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Fair Value Measurements (Tables)
12 Months Ended
Mar. 31, 2024
Fair Value Measurements [Abstract]  
Schedule of Carrying Amounts and Fair Values of Financial Instruments The carrying amounts and fair values of financial instruments by class are as follows:
As at March 31, 2024  Fair value
through
profit &
loss
   Fair value
through other
comprehensive
income
   (In USD)
Amortised
cost
 
Financial Assets            
(i) Investments   
               
(ii) Trade receivables   3,682,302.00           
(iii) Others financial assets   4,222,957.00           
Total   7,905,259.00    
    
 
                
Financial Liabilities               
(i) Borrowings             2,497,985.00 
(ii) Trade payables   8,430,154.00           
(iii) Other financial liabilities   243,655.00           
Total   8,673,809.00    
    2,497,985.00 
As at March 31, 2023  Fair value
through
profit &
loss
   Fair value
through other
comprehensive
income
   (In USD)
Amortised
cost
 
Financial Assets            
(i) Investments   
                  
(ii) Trade receivables   1,831,724           
(iii) Others financial assets   2,529,576           
Total   4,361,300    
    
 
                
Financial Liabilities               
(i) Borrowings             3,899,316 
(ii) Trade payables   6,802,780           
(iii) Other financial liabilities   1,715,060           
Total   8,517,840    
    3,899,316 

 

Schedule of Fair Value of Instruments Measured at Amortized Cost Fair value of instruments measured at amortized cost

Financial liabilities

  Carrying
value as of
31 March
2024
   Fair value
as of
31 March
2024
 
Borrowings  $2,497,985.00   $2,497,985.00 

Financial liabilities

  Carrying
value as of
31 March
2023
   Fair value
as of
31 March
2023
 
Borrowings  $3,899,316.00   $3,899,316.00