Page 222 - Tata_Chemicals_yearly-reports-2019-20
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39.  Segment information
           39.1 Continuing operations
               (a)  Information about operating segments
               Reportable Segments approved by Board of Directors are as under:

               -   Basic chemistry products : soda ash, salt and other bulk chemicals other bulk chemicals
               -   Specialty products : nutrition solutions, agri solutions and advance materials
                 The corresponding information for the previous periods presented in Standalone Financial Statements have been restated (note 34
               and 36).
                                                                                                      ` in crore
                                                                                      Year ended   Year ended
                                                                                   March 31, 2020 March 31, 2019
               1.   Segment revenue (Revenue from operations)
                   (i)   Basic chemistry products                                        2,836.91     3,071.92
                   (ii)   Speciality products                                              74.39        42.32
                                                                                        2,911.30     3,114.24
                   unallocated                                                              8.99         7.01
                                                                                        2,920.29     3,121.25
               2.   Segment result (Reconciliation with profit from continuing operations)
                   (i)   Basic chemistry products                                         819.20       762.48
                   (ii)   Speciality products                                             (31.99)      (22.71)
               Total segment results                                                      787.21       739.77
               Net unallocated income                                                      90.48       206.85
               Finance costs                                                              (43.37)      (86.14)
               Profit before tax                                                          834.32       860.48
               Tax expense                                                               (162.50)     (229.67)
               Profit for the year from continuing operations                             671.82       630.81

               3.   Segment assets and segment liabilities
                                                                                                      ` in crore
                                                               Segment assets           Segment liabilities
                                                                 As at        As at        As at        As at
                                                         March 31, 2020 March 31, 2019 March 31, 2020 March 31, 2019
               (i)   Basic chemistry products                  2,808.67     2,211.52      650.64       607.97
               (ii)   Speciality products                       587.30       468.68        39.19        72.98
                                                              3,395.97     2,680.20       689.83       680.95
               unallocated                                    10,063.23    11,649.91      792.05      1,348.47
                                                             13,459.20    14,330.11     1,481.88     2,029.42

















           220  I  INTEGRATED ANNuAL REPORT 2019-20
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