WEP Solutions Share Price & Earnings Call Analysis

Financials of WEP Solutions

Quarterly Results, Profit & Loss, Balance Sheet, Cash Flows, and Ratios are shown below as separate sections.

Financials of WEP Solutions

Quarterly Results

Quarter-by-quarter operating performance

Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026
Sales +18.7915.8016.8418.1518.0514.7715.9915.9018.1416.1217.5016.6017.68
Expenses +15.1812.5813.5414.6914.2411.1412.1812.2714.0912.7213.8713.2313.09
Operating Profit3.613.223.303.463.813.633.813.634.053.403.633.374.59
OPM %19.21%20.38%19.60%19.06%21.11%24.58%23.83%22.83%22.33%21.09%20.74%20.30%25.96%
Other Income +0.420.320.140.130.270.410.330.310.550.500.370.330.50
Interest0.180.130.140.130.100.270.310.420.350.460.600.600.39
Depreciation2.522.162.082.042.192.182.262.362.882.982.953.053.03
Profit before tax1.331.251.221.421.791.591.571.161.370.460.450.051.67
Tax %-159.40%28.00%27.87%28.17%38.55%28.30%26.75%28.45%34.31%-17.39%31.11%40.00%28.14%
Net Profit +3.460.900.871.021.091.151.150.830.900.540.300.031.19
EPS in Rs0.950.250.240.280.300.310.310.230.240.150.080.010.32

Financials of WEP Solutions

Profit & Loss

Annual income statement trend

Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Sales +104.1888.9080.0579.8473.9165.6564.49110.8092.2068.8464.7967.91
Expenses +94.1279.6170.3868.2363.0052.3453.5797.7178.5654.9549.4652.92
Operating Profit10.069.299.6711.6110.9113.3110.9213.0913.6413.8915.3314.99
OPM %9.66%10.45%12.08%14.54%14.76%20.27%16.93%11.81%14.79%20.18%23.66%22.07%
Other Income +0.450.220.730.720.720.820.390.871.390.831.461.69
Interest1.771.751.200.941.071.341.541.100.990.581.422.05
Depreciation6.506.207.749.3710.7512.7211.029.119.398.489.6812.02
Profit before tax2.241.561.462.02-0.190.07-1.253.754.655.665.692.61
Tax %29.02%32.69%33.56%30.69%5.26%28.57%-10.40%30.93%-25.59%31.63%29.17%21.07%
Net Profit +1.581.050.971.40-0.190.05-1.112.595.843.874.032.06
EPS in Rs0.500.330.280.41-0.050.01-0.310.721.611.061.090.56
Dividend Payout %72.78%0.00%0.00%0.00%0.00%0.00%0.00%69.90%31.12%47.29%45.67%89.39%

Financials of WEP Solutions

Balance Sheet

Capital structure and asset base

Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Equity Capital23.0023.0025.0825.1226.2126.3226.3236.2136.3536.6036.8136.83
Reserves6.918.0217.1320.7723.9824.2314.0816.9721.2723.6226.1026.78
Borrowings +11.4312.233.587.668.8911.2914.546.975.3113.0115.3411.98
Other Liabilities +33.0925.5220.6418.3916.6818.3316.4918.5014.3216.6625.3313.94
Total Liabilities74.4368.7766.4371.9475.7680.1771.4378.6577.2589.89103.5889.53
Fixed Assets +22.9724.1630.8332.7931.1331.9525.7825.7327.0926.1733.9731.83
CWIP0.000.150.190.832.562.171.943.571.763.643.134.15
Investments0.000.810.814.937.118.230.000.000.000.000.000.00
Other Assets +51.4643.6534.6033.3934.9637.8243.7149.3548.4060.0866.4853.55
Total Assets74.4368.7766.4371.9475.7680.1771.4378.6577.2589.89103.5889.53

Financials of WEP Solutions

Cash Flows

Operating, investing and financing cash movement

Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Cash from Operating Activity +10.1211.0414.269.429.089.648.2311.6510.0014.316.439.71
Cash from Investing Activity +-7.31-8.55-14.52-14.10-13.83-9.62-5.06-9.34-7.45-8.86-15.37-2.54
Cash from Financing Activity +-2.78-2.330.234.684.75-0.03-2.750.26-5.445.48-1.12-8.02
Net Cash Flow0.030.16-0.03-0.010.01-0.010.422.57-2.9010.93-10.06-0.85
Free Cash Flow2.813.31-0.41-1.77-1.940.103.162.022.334.99-10.22-0.82
CFO/OP109%128%157%89%93%80%82%97%82%111%49%73%

Financials of WEP Solutions

Ratios

Working capital efficiency and return ratios

Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Debtor Days68.7062.0053.7159.2061.1472.8373.7543.7163.3492.47106.64101.64
Inventory Days135.08152.19119.55106.62120.87181.55169.6565.3490.11149.28234.77174.17
Days Payable116.67108.61105.1875.1042.7271.3769.9822.2318.8333.1636.0927.61
Cash Conversion Cycle87.12105.5868.0990.72139.29183.02173.4286.83134.63208.59305.32248.19
Working Capital Days18.0823.0716.056.8631.1644.0360.6743.7869.2446.9829.7593.04
ROCE %9.70%8.30%6.45%6.30%1.90%2.61%0.62%8.50%9.07%9.21%9.57%6.06%

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