Consolidated Statement of Cash Flows: Ind-AS

Particulars(Rs. in million)
March 16

March 17
March 18

(A) CASH FLOW FROM OPERATING ACTIVITIES
Net Profit before tax and extraordinary items1,458.30(3,583.38)(439.34)
Adjustments for :
Depreciation and Amortization Expenses5,427.502,630.882,682.17
Finance Costs4,780.245,567.366,160.38
Interest Income(188.57)(127.82)(96.78)
Licence Fees(20.40)(18.58)(38.09)
Dividend Income
Bad debts & Provision for Doubtful Debts322.745,382.629.82
Profit on Sale of Investment (net)(0.08)0.08
(Profit)/Loss on Sale of Asset (net)(11.74)(0.22)(96.87)
Gain on Buyback of Senior Notes(158.10)
Employee Stock Option Scheme91.790.7847.47
Exchange difference adjustment(net) (Including amortization of FCMITDA)889.0854.49155.49
OPERATING PROFIT BEFORE WORKING CAPITAL CHANGES12,590.769,906.138,384.33
Adjustments for :
Trade Receivables, Loans & Advances and Other Assets(10,332.98)(10,553.69)(11,847.13)
Trade Payables, Other Liabilities and Provisions327.89341.104,644.90
CASH GENERATED FROM OPERATIONS2,585.67(306.46)1,182.10
Direct taxes paid (net of refunds)(199.86)(157.55)(395.67)
NET CASH FROM OPERATING ACTIVITIES2,385.81(464.01)786.43
(B) CASH FLOW FROM INVESTING ACTIVITIES
Purchase of Fixed Assets (including CWIP)(7,985.42)(1,003.20)(118.25)
Sale of Fixed Assets344.553.33285.46
Sale / purchase of Investment (net)1.88(0.08)
Interest received173.09132.28114.37
Licence Fees20.4018.5838.09
Dividend received from Mutual Funds
Consideration towards Acquisition / Intangibles(102.33)(56.41)(11.12)
Deposits having original maturity over three months and restricted balance(854.89)40.81489.21
NET CASH USED IN INVESTING ACTIVITIES(8,402.72)(864.61)797.68
(C) CASH FLOW FROM FINANCING ACTIVITIES
Repayment of short-term borrowings (net)4,232.91411.28101.86
Proceeds from long-term borrowings2,980.916,000.004,531.30
Repayment of long-term borrowings(213.32)(2,803.63)(3,969.94)
Dividend and Dividend Tax Paid(483.99)
Interest paid(4,545.06)(2,398.08)(2,470.67)
Proceeds from issue of Share Capital (includes security premium)14.3815.3011.71
NET CASH FROM FINANCING ACTIVITIES1,985.831,224.87(1,795.74)
NET INCREASE IN CASH & CASH EQUIVALENTS(4,031.08)(103.75)(211.63)
CASH & CASH EQUIVALENTS(OPENING BALANCE)4,560.55529.47425.72
CASH & CASH EQUIVALENTS(CLOSING BALANCE)529.47425.72214.09
Email This Page