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Borrowings (Details Textual)
₨ in Thousands
12 Months Ended
Mar. 31, 2022
INR (₨)
shares
Mar. 31, 2022
INR (₨)
$ / shares
Mar. 31, 2021
INR (₨)
Collateral Asset Member One [Member]      
Disclosure Of Borrowings [Line Items]      
Working Capital Facilities ₨ 250,000 ₨ 250,000 ₨ 0
Collateral Asset Member Two [Member]      
Disclosure Of Borrowings [Line Items]      
Working Capital Facilities 400,000 400,000 0
Collateral asset Member Three [Member]      
Disclosure Of Borrowings [Line Items]      
Working Capital Facilities 420,000 420,000 0
Collaterally Secured by Unencumbered Movable Fixed Asset [Member]      
Disclosure Of Borrowings [Line Items]      
Borrowings 2,222,000 2,222,000 2,346,000
Collaterally Secured by Equitable Mortgages Over Properties [Member]      
Disclosure Of Borrowings [Line Items]      
Borrowings 1,072,000 1,072,000 1,501
Collaterally Secured by Equitable Mortgage Over Vashi Property [Member]      
Disclosure Of Borrowings [Line Items]      
Borrowings 950,000 950,000 648,000
Collaterally Secured by Equitable Mortgage Over Land And Building [Member]      
Disclosure Of Borrowings [Line Items]      
Borrowings ₨ 680,000 680,000 ₨ 866,000
Bottom of range [member]      
Disclosure Of Borrowings [Line Items]      
Working Capital Facilities Bear Interest 5.40%   5.40%
Top of range [member]      
Disclosure Of Borrowings [Line Items]      
Working Capital Facilities Bear Interest 8.80%   9.45%
Movable Fixed Assets Funded By Term Loan And Project Receivables [Member]      
Disclosure Of Borrowings [Line Items]      
Borrowings ₨ 4,054,000 4,054,000 ₨ 1,375,000
Specific Project Receivables [Member]      
Disclosure Of Borrowings [Line Items]      
Borrowings 721,000 721,000 966,000
Moveable Fixed Assets Funded Out Of Term Loan [Member]      
Disclosure Of Borrowings [Line Items]      
Borrowings 331,000 331,000 352,000
Movable Fixed Assets Rabale Two Tower Floor One And Two Data Centre [Member]      
Disclosure Of Borrowings [Line Items]      
Borrowings 260,000 260,000 361,000
Hyderabad Property [Member] | Properties At Tidel Vileparle And Vashi Sixth Floor [Member]      
Disclosure Of Borrowings [Line Items]      
Borrowings ₨ 0 ₨ 0 ₨ 244,000
Term bank loans [Member]      
Disclosure Of Borrowings [Line Items]      
Borrowings, interest rate 2.50% 2.50%  
Borrowings maturity repayable in quarterly instalments within a tenor of 3 to 5 years after moratorium periods ranging from 6 months to one year in certain cases    
Borrowings, Face amount ₨ 0 ₨ 0  
Term bank loans [Member] | Bottom of range [member] | Borrowings Interest Rate For Others [Member]      
Disclosure Of Borrowings [Line Items]      
Borrowings, interest rate 7.20% 7.20% 6.80%
Term bank loans [Member] | Top of range [member] | Borrowings Interest Rate For Others [Member]      
Disclosure Of Borrowings [Line Items]      
Borrowings, interest rate 8.92% 8.92% 9.60%
Buyers Credit [Member] | Bottom of range [member] | Borrowings Interest Rate For Others [Member]      
Disclosure Of Borrowings [Line Items]      
Borrowings, interest rate 0.79% 0.79% 0.89%
Buyers Credit [Member] | Top of range [member] | Borrowings Interest Rate For Others [Member]      
Disclosure Of Borrowings [Line Items]      
Borrowings, interest rate 1.73% 1.73% 3.35%
ECB [Member] | ECB Facility Agreement [Member]      
Disclosure Of Borrowings [Line Items]      
Borrowings, Face amount ₨ 5,000 ₨ 5,000  
Proceeds from borrowings ₨ 2,000    
Term Loan INR In Lieu Of Buyer Credits From Banks [Member] | Bottom of range [member] | Borrowings Interest Rate For Others [Member]      
Disclosure Of Borrowings [Line Items]      
Borrowings, interest rate     9.00%
Term Loan INR In Lieu Of Buyer Credits From Banks [Member] | Top of range [member] | Borrowings Interest Rate For Others [Member]      
Disclosure Of Borrowings [Line Items]      
Borrowings, interest rate     9.60%
Loans From NBFCs [Member]      
Disclosure Of Borrowings [Line Items]      
Borrowings maturity repayable over a period of 12 to 60 months on equated monthly / quarterly instalments    
Loans From NBFCs [Member] | Bottom of range [member]      
Disclosure Of Borrowings [Line Items]      
Borrowings, interest rate 8.30% 8.30% 8.60%
Loans From NBFCs [Member] | Top of range [member]      
Disclosure Of Borrowings [Line Items]      
Borrowings, interest rate 9.90% 9.90% 9.90%
Cumulative Non Convertible Redeemable Preference Shares Issued From Print House India Private Limited [Member]      
Disclosure Of Borrowings [Line Items]      
Borrowings maturity 20    
Borrowings ₨ 500,000 ₨ 500,000  
Percentage of preferential dividend payable till redemption 9.00% 9.00%  
Foreign currency term loans [Member]      
Disclosure Of Borrowings [Line Items]      
Borrowings maturity 20 years    
Bank Guarantees And Non Fund Limits Secured By Pari Passu First Charge On The Entire Current Assets Of The Company [Member]      
Disclosure Of Borrowings [Line Items]      
Borrowings ₨ 2,902,000 ₨ 2,902,000 ₨ 3,212,000
Kotak Special Situations Fund [Member]      
Disclosure Of Borrowings [Line Items]      
Debt Conversion Converted Instrument Interest Rate 6.00%    
Kotak Special Situations Fund [Member] | Series 1 Compulsorily Convertible Debentures [Member]      
Disclosure Of Borrowings [Line Items]      
Debt Conversion Converted Instrument Shares Issued 1 | shares 20,000,000    
Debt Conversion Converted Instrument Share Price | $ / shares   ₨ 100  
Debt Conversion Converted Instrument Amount 1 ₨ 20,000    
Debt Conversion Converted Instrument Maturity Date Oct. 31, 2022    
Kotak Special Situations Fund [Member] | Series 2 Compulsorily Convertible Debentures [Member]      
Disclosure Of Borrowings [Line Items]      
Debt Conversion Converted Instrument Shares Issued 1 | shares 20,000,000    
Debt Conversion Converted Instrument Share Price | $ / shares   ₨ 100  
Debt Conversion Converted Instrument Amount 1 ₨ 200,000    
Debt Conversion, Converted Instrument Rate 1.00%   99.00%
Debt Conversion Converted Instrument Maturity Date Mar. 31, 2023