Page 8 - Tata Chemical Annual Report_2022-2023
P. 8

Integrated Annual Report 2022-23                01-83                   84-192                  193-365
                                                                                                                                     Integrated Report       Statutory Reports       Financial Statements
                                                                                                                                     Key Financial Outcomes

           Key Financial Outcomes




           Tata Chemicals delivered another strong set of numbers during FY 2022-23, with Revenue up by D 4,167 Crore and EBITDA by
           D 1,517 Crore as we channeled the benefit of improved realisations, while progressing steadfastly on our strategic trajectory.
           Our focus on serving customers further aided us in driving growth, as we continued to invest in being their partner of choice.  Revenues         EBITDA and                PBT and                  PAT and
                                                                                                                                   (C in Crore)             EBITDA margin             PBT margin               PAT margin
           Our growth is an outcome of our sustained focus on sharpening our core competencies. At the same time, it is driven by
           our continuous efforts to nurture the business by being responsible corporate citizens and delivering greater value to     10,200   12,622   16,789   1,501    2,305    3,822    634    1,667    2,740    436    1,400    2,452
           our stakeholders. We believe our strengths and efforts are together helping us ensure sustainable growth. They are also                                     23%
           concurrently enabling us to work with our stakeholder groups to deliver on our objective of a sustainable future.                                                                     16%                       15%
                                                                                                                                                                  18%                       13%                      11%
                                                                                                                                                             15%
                                                                                      C  in Crore (except for no. of shares)
                                                     Standalone                       Consolidated                                                                                      6%                       4%
           Particulars                    FY 2022-23  FY 2021-22  FY 2020-21  FY 2022-23  FY 2021-22  FY 2020-21
           Revenue from Operations             4,930       3,721      2,999     16,789      12,622      10,200                        FY 2020-21  FY 2021-22  FY 2022-23  FY 2020-21  FY 2021-22  FY 2022-23  FY 2020-21  FY 2021-22  FY 2022-23  FY 2020-21  FY 2021-22  FY 2022-23
           EBITDA                              1,235        951        611       3,822       2,305      1,501
           Profit Before Tax (PBT)             1,265        988        614       2,740       1,667        634
           Profit After Tax (PAT)              1,027        787        479       2,452       1,400        436                                                    EBITDA (C in Crore)       PBT (C in Crore)         PAT (C in Crore)
           PAT including discontinued operations   1,027    802        479       2,434       1,405        436                                                    EBITDA margin (%)         PBT margin (%)           PAT margin (%)
           Other Comprehensive Income           (59)       1,538      1,081       (531)     2,959       1,417                                                                                                  Note: PAT is for Continuing
           Total Comprehensive Income           968        2,340      1,560      1,903      4,364       1,853                                                                                                  Operations only
                                                                                                                                   Cash from Operations
           Share Capital                        255         255        255         255        255         255                      (C in Crore)             Net Debt : Equity        Net Debt : EBITDA
           Other Equities                     15,737      15,087     13,002     19,466      17,998      14,035
           Non-Controlling Interest                -          -          -         921        904         853                          2,037    1,645    2,971   0.31  0.26  0.22        3.1  2.1  1.2             CFO on
           Networth                           15,992     15,342      13,257     20,642      19,157     15,143                                                                                                      Performance
                                                                                                                                                                                                                   Review
           Borrowings   1                          -          3          9       6,296       7,024      6,933
           Non-Current                             -          -          5       5,677       3,860      5,388
           Current                                 -          3          4         619       3,164      1,545                                                                                                All our financial
           Cash and Cash Equivalents (including    1,134    1,606     1,967      1,935       2,636      2,975
           Deposits with < 12 months maturity &                                                                                                                                                              metrics improved in
           Current Investments)                                                                                                       FY 2020-21  FY 2021-22  FY 2022-23  FY 2020-21  FY 2021-22  FY 2022-23  FY 2020-21  FY 2021-22  FY 2022-23  FY 2022-23, with
           Capital Employed 2                 15,992      15,345     13,266     26,938     26,181       22,076                                                                                               increase in margins,
           Borrowings : Networth                   -          *          *        0.31        0.37       0.46                                                                                                leading to our balance
           Networth per share (in ₹)            628         602        520         774        716         561                                                                                                sheet getting further
           Earnings Per Share (EPS) - Basic &    40.31     30.87      18.81      91.66       49.17      10.06                      Market Capitalisation    Dividend Per Share                               strengthened.  Our cash
                                                                                                                                                            (C)
                                                                                                                                   (C in Crore)
           Diluted (continuing operations) (in ₹)                                                                                                                                                            generation was robust
           Dividend per share paid             17.50       12.50      10.00      17.50       12.50      10.00                         19,153   24,822   24,774     10.0    12.5    17.5
           (proposed for FY 2022-23) (in ₹)                                                                                                                                                                  and we started prepaying
           No. of Shares                  25,47,56,278   25,47,56,278   25,47,56,278   25,47,56,278   25,47,56,278   25,47,56,278                                                                            our debts across all
           Notes:                                                                                                                                                                                            geographies.  Overall,
           1   Includes Lease Liabilities                                                                                                                                                                    a robust financial
           2   Capital Employed = Networth plus Borrowings                                                                                                                                                   performance.
           *  Less than 0.00
                                                                                                                                      FY 2020-21  FY 2021-22  FY 2022-23  FY 2020-21  FY 2021-22  FY 2022-23       Nandakumar S. Tirumalai



                                                                                                                                                                                                                   Chief Financial Officer
                                                                                                                                   Market Capitalisation based on
                                                                                                                                   Closing Price as on March 31

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