Particulars                              As at 31st March As at 31st March   Inc / (Dec)   Inc / (Dec)
2021             2022                            %
Assets
Non-Current Assets
Property, Plant and Equipment                292,092          223,824            -68,268    -23.4%
Capital Work-in-Progress                     20,765           19,267              -1,498     -7.2%
Intangible Assets                            14,741           15,802               1,061      7.2%
Intangible Assets Under Development          12,070           15,395               3,325     27.5%
Financial Assets
Investments                                  252,620          330,493             77,873     30.8%
Loans                                         64,073          41,951             -22,122    -34.5%
Other Financial Assets                        1,625            2,247                 622     38.3%
Other Non-Current Assets                      4,968            7,297               2,329     46.9%
Total Non-Current Assets                     662,954          656,276             -6,678     -1.0%
Current Assets
Inventories                                  37,437            45,923              8,486     22.7%
Financial Assets
Investments                                   94,665          78,304             -16,361    -17.3%
Trade Receivables                             4,159           14,394              10,235    246.1%
Cash and Cash Equivalents                     5,573           21,714              16,141    289.6%
Loans                                          993              161                 -832    -83.8%
Other Financial Assets                        59,560          54,901              -4,659     -7.8%
Other Current Assets                          8,332            7,001              -1,331    -16.0%
Total Current Assets                         210,719          222,398             11,679      5.5%
Total Assets                                 873,673          878,674              5,001      0.6%
Equity and Liabilities
Equity
Equity Share capital                          6,445            6,765                 320      5.0%
Other Equity                                 468,038          464,762             -3,276     -0.7%
Total Equity                                 474,483          471,527             -2,956     -0.6%
Liabilities
Non-Current Liabilities
Financial Liabilities
Borrowings                                   160,598          167,231              6,633      4.1%
Lease Liabilities                             2,869            2,790                 -79     -2.8%
Other Financial Liabilities                   1,145            3,210               2,065    180.3%
Provisions                                    1,499            1,598                  99      6.6%
Deferred Tax Liabilities (Net)                30,788          30,832                  44      0.1%
Other Non-Current Liabilities                  504              504                   -       0.0%
Total Non-Current Liabilities                197,403          206,165              8,762      4.4%
Current Liabilities
Financial Liabilities
Borrowings                                   61,100            27,332            -33,768    -55.3%
Lease Liabilities                             116                86                  -30    -25.9%
Trade Payables Due to:
Micro and Small Enterprises                     90              138                   48     53.3%
Other than Micro and Small Enterprises        86,909          133,867             46,958     54.0%
Other Financial Liabilities                   33,108          33,225                 117      0.4%
Other Current Liabilities                     19,563           5,438             -14,125    -72.2%
Provisions                                     901              896                   -5     -0.6%
Total Current Liabilities                    201,787          200,982               -805     -0.4%
Total Liabilities                            399,190          407,147              7,957      2.0%
Total Equity and Liabilities                 873,673          878,674              5,001      0.6%
Particulars                                                               2020-21    2021-22    Inc / (Dec)   Inc / (Dec) %
Income
Value of Sales                                                            276,181    463,067      186,886        67.7%
Income from Services                                                        2,759      3,358          599        21.7%
Value of Sales & Services (Revenue)                                       278,940    466,425      187,485        67.2%
Less: GST Recovered                                                        13,871     21,050        7,179        51.8%
Revenue from Operations                                                   265,069    445,375      180,306        68.0%
Other Income                                                               14,818     13,872         -946        -6.4%
Total Income                                                              279,887    459,247      179,360        64.1%
Expenses
Cost of Material Consumed                                                 168,262    320,852      152,590        90.7%
Purchase of Stock-in-Trade                                                  7,301     10,691        3,390        46.4%
Changes in Inventories of Finished Goods, Work-in-Progress and                610      -7,962      -8,572      -1405.2%
Stock-in-Trade
Excise Duty                                                                19,402     21,672        2,270         11.7%
Employee Benefits Expense                                                   5,024      5,426          402          8.0%
Finance Costs                                                              16,211      9,123       -7,088        -43.7%
Depreciation / Amortisation and Depletion Expense                           9,199     10,276        1,077         11.7%
Other Expenses                                                             30,970     42,383       11,413         36.9%
Total Expenses                                                            256,979    412,461      155,482         60.5%
Profit Before Exceptional Item and Tax                                     22,908     46,786       23,878        104.2%
Exceptional Item (Net of Tax)                                               4,304          -       -4,304       -100.0%
Profit Before Tax *                                                        27,212     46,786       19,574         71.9%
Tax Expenses *
Current Tax                                                                     -         787          787        0.0%
Deferred Tax                                                                -4,732      6,915       11,647      -246.1%
Profit for the Year                                                         31,944     39,084        7,140       22.4%
Other Comprehensive Income
i. Items that will not be reclassified to Profit or Loss                      350        241          -109      -31.1%
ii. Income tax relating to items that will not be reclassified to              -79        -58           21      -26.6%
Profit or Loss
iii. Items that will be reclassified to Profit or Loss                       2,755     -2,705       -5,460      -198.2%
iv. Income tax relating to items that will be reclassified to Profit or       -456        543          999      -219.1%
Loss
Total Other Comprehensive Income/ (Loss) for the Year (Net of                2,570     -1,979       -4,549      -177.0%
Tax)
Total Comprehensive Income for the Year                                     34,514     37,105        2,591        7.5%
Earnings per Equity Share of Face Value of ` 10 Each
Basic (in `) - After Exceptional Item                                          50         59            10       19.3%
Basic (in `) - Before Exceptional Item                                         43         59            16       37.9%
Diluted (in `) - After Exceptional Item                                        49         58            10       19.6%
Diluted (in `) - Before Exceptional Item                                       42         58            16       38.2%