Page 350 - Tata Chemical Annual Report_2022-2023
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Integrated Annual Report 2022-23                01-83                   84-192                  193-365
                                                                                                                                     Integrated Report       Statutory Reports       Financial Statements
                                                                                                                                                                                     Consolidated


           43.  Disclosures on financial instruments                                                                                                                                       As at March 31, 2023
           (a)  Financial instruments by category                                                                                                                                      Fair value measurement using
                                                                                                                                     Particulars
               The following table presents the carrying amounts of each category of financial assets and liabilities as at March 31, 2022                           Total Quoted prices in active  Significant observable  Significant unobservable
                                                                                                                                                                               markets (Level 1)   inputs (Level 2)      inputs (Level 3)
                                                                                                     ` in crore                     Assets measured at fair value:
                                        Investments   Investments   Derivatives -   Derivatives -    Amortised    Total carrying    Derivative financial assets
            Particulars
                                           - FVTOCI    - FVTPL     FVTPL      FVTOCI       cost         value                       Commodity swaps                    10                   -                10                     -
           Financial assets                                                                                                         Interest rate swaps                20                   -                20                     -
           (a)  Investments - non current                                                                                           FVTOCI financial investments
               Equity instrument at fair value  4,974        -         -           -          -         4,974                       Quoted equity instruments        4,364              4,364                  -                    -
               Debt instrument at fair value     -        150          -           -          -          150
           (b)  Investments - current                                                                                               Unquoted equity instruments       528                   -                  -                  528
               Investment in mutual funds        -       1,325         -           -          -         1,325                       FVTPL financial investments
           (c)  Trade receivables                -           -         -           -       1,933        1,933                       Investment in mutual funds       1,231                  -              1,231                    -
           (d)  Cash and cash equivalents        -           -         -           -        762          762                        Investment in Non convertible Debenture   39           39                  -                    -
           (e)  Other bank balances              -           -         -           -        549          549                        Investment in perpetual instrument  150                 -                  -                  150
           (f)  Other financial assets - non-    -           -         -           3         51            54                       Liabilities measured at fair value:
               current                                                                                                              Derivative financial liabilities
           (g)  Other financial assets - current  -          -         -        975         200         1,175                       Forward contracts                    9                  -                  9                    -
           Total                             4,974       1,475         -        978       3,495        10,922                       Commodity swaps                   146                   -               146                     -
           Financial liabilities
           (a)  Borrowings - non-current                               -           -       3,725        3,725                      There have been no transfers between levels during the period.
           (b)  Lease liabilities - non-current                        -           -        135          135
           (c)  Borrowings - current                                   -           -       3,077        3,077                                                                                                                ` in crore
           (d)  Lease liabilities - current                            -           -         87            87                                                                             As at March 31, 2022
           (e)  Trade payables                                         -           -       2,445        2,445                                                                         Fair value measurement using
           (f)  Other financial liabilities -                          -           -         16            16                        Particulars                    Total Quoted prices in active   Significant observable  Significant unobservable
               non-current
           (g)  Other financial liabilities -                           5        16         437          458                                                                  markets (Level 1)    inputs (Level 2)      inputs (Level 3)
               current                                                                                                              Assets measured at fair value:
           Total                                                        5        16       9,922         9,943                       Derivative financial assets
                                                                                                                                    Commodity swap                   977                  -                 977                     -
           (b)  Fair value hierarchy                                                                                                Forward contracts                  1                  -                    1                    -
                All assets and liabilities for which fair value is measured or disclosed in the Consolidated Financial Statements are categorised   FVTOCI financial investments
               within the fair value hierarchy, described as follows:                                                               Quoted equity instruments       4,354               4,354                 -                     -
                                                                                                                                    Unquoted equity instruments      620                  -                   -                   620
               Level 1 - Quoted (unadjusted) market prices in active markets for identical assets or liabilities
                                                                                                                                    FVTPL financial investments
                Level 2 - Valuation techniques for which the lowest level input that is significant to the fair value measurement is directly or   Investment in mutual funds  1,325      -                1,325                    -
               indirectly observable                                                                                                Investments in non convertible   150                150                   -                     -
                                                                                                                                    debentures
               Level 3 - Valuation techniques for which the lowest level input that is significant to the fair value measurement is unobservable.
                                                                                                                                    Liabilities measured at fair value:
                The following table provides the fair value measurement hierarchy of the Group’s financial assets and liabilities that are measured   Derivative financial liabilities
               at fair value or where fair value disclosure is required                                                             Forward contracts                  7                  -                    7                    -
                                                                                                                                    Interest rate swaps               14                  -                   14                    -
                                                                                                     ` in crore









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