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[110000] Balance sheet
Balance sheet [Abstract]
Assets [Abstract]
Non-current assets [Abstract]
Property, plant and equipment
Capital work-in-progress
Investment property
Goodwill
Other intangible assets
Intangible assets under development
Biological assets other than bearer plants
Investments accounted for using equity method
Non-current financial assets [Abstract]
Non-current investments
Trade receivables, non-current
Loans, non-current
Other non-current financial assets
Total non-current financial assets
Deferred tax assets (net)
Other non-current assets
Total non-current assets
Current assets [Abstract]
Inventories
Current financial assets [Abstract]
Current investments
Trade receivables, current
Cash and cash equivalents
Bank balance other than cash and cash equivalents
Loans, current
Other current financial assets
Total current financial assets
Current tax assets
Other current assets
Total current assets
Non-current assets classified as held for sale
Regulatory deferral account debit balances and related deferred tax Assets
Total assets
Equity and liabilities [Abstract]
Equity [Abstract]
Equity attributable to owners of parent [Abstract]
Equity share capital
Other equity
Total equity attributable to owners of parent
Non controlling interest
Total equity
Liabilities [Abstract]
Non-current liabilities [Abstract]
Non-current financial liabilities [Abstract]
Borrowings, non-current
Trade payables, non-current
Other non-current financial liabilities
Total non-current financial liabilities
Provisions, non-current
Deferred tax liabilities (net)
Deferred government grants, Non-current
Other non-current liabilities
Total non-current liabilities
Current liabilities [Abstract]
Current financial liabilities [Abstract]
Borrowings, current
Trade payables, current
Other current financial liabilities
Total current financial liabilities
Other current liabilities
Provisions, current
Current tax liabilities
Deferred government grants, Current
Total current liabilities
Liabilities directly associated with assets in disposal group classified as held for sale
Regulatory deferral account credit balances and related deferred tax liability
Total liabilities
Total equity and liabilities
[210000] Statement of profit and loss
Statement of profit and loss [Abstract]
Profit before exceptional items and tax
Exceptional items before tax
Total profit before tax
Tax expense [Abstract]
Current tax
Deferred tax
Total tax expense
Net movement in regulatory deferral account balances related to profit or loss and the related deferred tax movement
Total profit (loss) for period from continuing operations
Profit (loss) from discontinued operations before tax
Tax expense of discontinued operations
Total profit (loss) from discontinued operations after tax
Share of profit (loss) of associates and joint ventures accounted for using equity method
Total profit (loss) for period
Profit or loss, attributable to owners of parent
Profit or loss, attributable to non-controlling interests
Comprehensive income OCI components presented net of tax [Abstract]
Other comprehensive income net of tax [Abstract]
Components of other comprehensive income that will not be reclassified to profit or loss, net of tax [Abstract]
Other comprehensive income, net of tax, gains (losses) on revaluation
Other comprehensive income, net of tax, gains (losses) on remeasurements of defined benefit plans
Other comprehensive income, net of tax, gains (losses) from investments in equity instruments
Other comprehensive income, net of tax, change in fair value of financial liability attributable to change in credit risk of liability
Other comprehensive income, net of tax, gains (losses) on hedging instruments that hedge investments in equity instruments
Other comprehensive income, net of tax, net movement in regulatory deferral account balances related to items that will not be reclassified to profit or loss
Share of other comprehensive income of associates and joint ventures accounted for using equity method that will not be reclassified to profit or loss, net of tax
Other comprehensive income that will not be reclassified to profit or loss, net of tax, others
Total other comprehensive income that will not be reclassified to profit or loss, net of tax
Components of other comprehensive income that will be reclassified to profit or loss, net of tax [Abstract]
Exchange differences on translation net of tax [Abstract]
Gains (losses) on exchange differences on translation, net of tax
Reclassification adjustments on exchange differences on translation, net of tax
Total other comprehensive income, net of tax, exchange differences on translation
Debt instrument through other comprehensive income Net of tax [Abstract]
Gains (losses) on debt instrument through other Comprehensive income, net of tax
Reclassification adjustments on debt instrument through other Comprehensive income, net of tax
Other comprehensive income, net of tax, Debt instrument through other comprehensive income
Cash flow hedges net of tax [Abstract]
Gains (losses) on cash flow hedges, net of tax
Reclassification adjustments on cash flow hedges, net of tax
Amounts removed from equity and included in carrying amount of non-financial asset (liability) whose acquisition or incurrence was hedged highly probable forecast transaction, net of tax
Total other comprehensive income, net of tax, cash flow hedges
Hedges of net investment in foreign operations net of tax [Abstract]
Gains (losses) on hedges of net investments in foreign operations, net of tax
Reclassification adjustments on hedges of net investments in foreign operations, net of tax
Total other comprehensive income, net of tax, hedges of net investments in foreign operations
Change in value of time value of options net of tax [Abstract]
Gains (losses) on change in value of time value of options, net of tax
Reclassification adjustments on change in value of time value of options, net of tax
Total other comprehensive income, net of tax, change in value of time value of options
Change in value of forward elements of forward contracts net of tax [Abstract]
Gains (losses) on change in value of forward elements of forward contracts, net of tax
Reclassification adjustments on change in value of forward elements of forward contracts, net of tax
Total other comprehensive income, net of tax, change in value of forward elements of forward contracts
Other comprehensive income, net of tax, net movement in regulatory deferral account balances related to items that will be reclassified to profit or loss [Abstract]
Gains (losses) on net movement in regulatory deferral account balances related to items that will be reclassified to profit or loss, net of tax
Reclassification adjustments on net movement in regulatory deferral account balances, net of tax
Total other comprehensive income, net of tax, net movement in regulatory deferral account balances related to items that will be reclassified to profit or loss
Financial assets measured at fair value through other comprehensive income net of tax [Abstract]
Gains (losses) on financial assets measured at fair value through other comprehensive income, net of tax
Reclassification adjustments on financial assets measured at fair value through other comprehensive income, net of tax
Total other comprehensive income, net of tax, financial assets measured at fair value through other comprehensive income
Amounts removed from equity and adjusted against fair value of financial assets on reclassification out of fair value through other comprehensive income measurement category, net of tax
Change in value of foreign currency basis spreads net of tax [Abstract]
Gains (losses) on change in value of foreign currency basis spreads, net of tax
Reclassification adjustments on change in value of foreign currency basis spreads, net of tax
Total other comprehensive income, net of tax, change in value of foreign currency basis spreads
Share of other comprehensive income of associates and joint ventures accounted for using equity method that will be reclassified to profit or loss, net of tax
Other comprehensive income that will be reclassified to profit or loss, net of tax, others
Total other comprehensive income that will be reclassified to profit or loss, net of tax
Total other comprehensive income
Other comprehensive income attributable to net of tax [Abstract]
Other Comprehensive income, attributable to owners of parent
Other Comprehensive income, attributable to non-controlling interests
Total comprehensive income
Comprehensive income attributable to net of tax [Abstract]
Comprehensive income, attributable to owners of parent
Comprehensive income, attributable to non-controlling interests
Income [Abstract]
Revenue from operations
Other income
Total income
Expenses [Abstract]
Depreciation, depletion and amortisation expense
Expenditure on production, transportation and other expenditure pertaining to exploration and production activities
Other expenses
Total expenses
Cost of materials consumed
Purchases of stock-in-trade
Changes in inventories of finished goods, work-in-progress and stock-in-trade
Employee benefit expense
Finance costs
Comprehensive income OCI components presented before tax [Abstract]
Other comprehensive income before tax [Abstract]
Components of other comprehensive income that will not be reclassified to profit or loss, before tax [Abstract]
Other comprehensive income, before tax, gains (losses) from investments in equity instruments
Other comprehensive income, before tax, gains (losses) on revaluation
Other comprehensive income, before tax, gains (losses) on remeasurements of defined benefit plans
Other comprehensive income, before tax, change in fair value of financial liability attributable to change in credit risk of liability
Other comprehensive income, before tax, gains (losses) on hedging instruments that hedge investments in equity instruments
Other comprehensive income, before tax, net movement in regulatory deferral account balances related to items that will not be reclassified to profit or loss
Share of other comprehensive income of associates and joint ventures accounted for using equity method that will not be reclassified to profit or loss, before tax
Other comprehensive income that will not be reclassified to profit or loss, before tax, others
Other comprehensive income that will not be reclassified to profit or loss, before tax
Components of other comprehensive income that will be reclassified to profit or loss, before tax [Abstract]
Exchange differences on translation before tax [Abstract]
Gains (losses) on exchange differences on translation, before tax
Reclassification adjustments on exchange differences on translation, before tax
Total other comprehensive income, before tax, exchange differences on translation
Debt instrument through other comprehensive income before tax [Abstract]
Gains (losses) on debt instrument through other comprehensive income, before tax
Reclassification adjustments on debt instrument through other comprehensive income, before tax
Other comprehensive income, before tax, Debt instrument through other comprehensive income
Cash flow hedges before tax [Abstract]
Gains (losses) on cash flow hedges, before tax
Reclassification adjustments on cash flow hedges, before tax
Amounts removed from equity and included in carrying amount of non-financial asset (liability) whose acquisition or incurrence was hedged highly probable forecast transaction, before tax
Total other comprehensive income, before tax, cash flow hedges
Hedges of net investments in foreign operations before tax [Abstract]
Gains (losses) on hedges of net investments in foreign operations, before tax
Reclassification adjustments on hedges of net investments in foreign operations, before tax
Total other comprehensive income, before tax, hedges of net investments in foreign operations
Change in value of time value of options before tax [Abstract]
Gains (losses) on change in value of time value of options, before tax
Reclassification adjustments on change in value of time value of options, before tax
Total other comprehensive income, before tax, change in value of time value of options
Change in value of forward elements of forward contracts before tax [Abstract]
Gains (losses) on change in value of forward elements of forward contracts, before tax
Reclassification adjustments on change in value of forward elements of forward contracts, before tax
Total other comprehensive income, before tax, change in value of forward elements of forward contracts
Change in value of foreign currency basis spreads before tax [Abstract]
Gains (losses) on change in value of foreign currency basis spreads, before tax
Reclassification adjustments on change in value of foreign currency basis spreads, before tax
Total other comprehensive income, before tax, change in value of foreign currency basis spreads
Other comprehensive income, before tax, net movement in regulatory deferral account balances related to items that will be reclassified to profit or loss [Abstract]
Gains (losses) on net movement in regulatory deferral account balances related to items that will be reclassified to profit or loss, before tax
Reclassification adjustments on net movement in regulatory deferral account balances, before tax
Total other comprehensive income, before tax, net movement in regulatory deferral account balances related to items that will be reclassified to profit or loss
Financial assets measured at fair value through other comprehensive income before tax [Abstract]
Gains (losses) on financial assets measured at fair value through other comprehensive income, before tax
Reclassification adjustments on financial assets measured at fair value through other comprehensive income, before tax
Total other comprehensive income, before tax, financial assets measured at fair value through other comprehensive income
Amounts removed from equity and adjusted against fair value of financial assets on reclassification out of fair value through other comprehensive income measurement category, before tax
Share of other comprehensive income of associates and joint ventures accounted for using equity method that will be reclassified to profit or loss, before tax
Other comprehensive income that will be reclassified to profit or loss, before tax, others
Total other comprehensive income that will be reclassified to profit or loss, before tax
Total other comprehensive income, before tax
Income tax relating to components of other comprehensive income that will not be reclassified to profit or loss [Abstract]
Income tax relating to investments in equity instruments of other comprehensive income
Income tax relating to changes in revaluation surplus of other comprehensive income
Income tax relating to remeasurements of defined benefit plans of other comprehensive income
Income tax relating to changes in fair value of financial liability attributable to change in credit risk of liability of other comprehensive income
Income tax relating to hedges of investments in equity instruments of other comprehensive income
Others income tax relating to components of other comprehensive income that will not be reclassified to profit or loss
Aggregated income tax relating to components of other comprehensive income that will not be reclassified to profit or loss
Income tax relating to share of other comprehensive income of associates and joint ventures accounted for using equity method that will not be reclassified to profit or loss
Income tax relating to components of other comprehensive income that will be reclassified to profit or loss [Abstract]
Income tax relating to exchange differences on translation of other comprehensive income
Income tax relating to cash flow hedges of other comprehensive income
Income tax relating to hedges of net investments in foreign operations of other comprehensive income
Income tax relating to change in value of time value of options of other comprehensive income
Income tax relating to change in value of forward elements of forward contracts of other comprehensive income
Income tax relating to change in value of foreign currency basis spreads of other comprehensive income
Income tax relating to financial assets measured at fair value through other comprehensive income
Others income tax relating to components of other comprehensive income that will be reclassified to profit or loss
Aggregated income tax relating to components of other comprehensive income that will be reclassified to profit or loss
Income tax relating to share of other comprehensive income of associates and joint ventures accounted for using equity method that will be reclassified to profit or loss
Total other comprehensive income
Other comprehensive income attributable to [Abstract]
Other Comprehensive income, attributable to owners of parent
Other Comprehensive income, attributable to non-controlling interests
Total comprehensive income
Comprehensive income attributable to [Abstract]
Comprehensive income, attributable to owners of parent
Comprehensive income, attributable to non-controlling interests
Additional disclosure on discontinued operations [Abstract]
Pre-tax gain or loss recognised on disposal of assets or settlement of liabilities attributable to discontinued operations
Earnings per share explanatory [Text Block]
Earnings per share [Abstract]
Earnings per share [Table]
Classes of equity share capital [Axis]
Equity shares [Member]
Equity shares 1 [Member]
Equity shares 2 [Member]
Equity shares 3 [Member]
Equity shares 4 [Member]
Equity shares 5 [Member]
Equity shares 6 [Member]
Equity shares 7 [Member]
Equity shares 8 [Member]
Equity shares 9 [Member]
Equity shares 10 [Member]
Earnings per share [Line items]
Basic earnings per share [Abstract]
Basic earnings (loss) per share from continuing operations
Basic earnings (loss) per share from discontinued operations
Total basic earnings (loss) per share
Diluted earnings per share [Abstract]
Diluted earnings (loss) per share from continuing operations
Diluted earnings (loss) per share from discontinued operations
Total diluted earnings (loss) per share
[210000a] Statement of profit and loss
Other comprehensive income that will be reclassified to profit or loss, before tax, others [Abstract]
Other comprehensive income that will be reclassified to profit or loss, before tax, others [Table]
Other comprehensive income that will be reclassified to profit or loss, before tax, others [Axis]
Other comprehensive income that will be reclassified to profit or loss, before tax, others [Line items]
Description of other comprehensive income that will be reclassified to profit or loss, before tax, others
Other comprehensive income that will be reclassified to profit or loss, before tax, others
Other comprehensive income that will not be reclassified to profit or loss, net of tax, others [Abstract]
Other comprehensive income that will not be reclassified to profit or loss, net of tax, others [Table]
Other comprehensive income that will not be reclassified to profit or loss, net of tax, others [Axis]
Other comprehensive income that will not be reclassified to profit or loss, net of tax, others [Line items]
Other comprehensive income that will not be reclassified to profit or loss, net of tax, others
Description of other comprehensive income that will not be reclassified to profit or loss, net of tax, others
Other comprehensive income that will not be reclassified to profit or loss, before tax, others [Abstract]
Other comprehensive income that will not be reclassified to profit or loss, before tax, others [Table]
Other comprehensive income that will not be reclassified to profit or loss, before tax, others [Axis]
Other comprehensive income that will not be reclassified to profit or loss, before tax, others [Line items]
Description of other comprehensive income that will not be reclassified to profit or loss, before tax, others
Other comprehensive income that will not be reclassified to profit or loss, before tax, others
Other comprehensive income that will be reclassified to profit or loss, net of tax, others [Abstract]
Other comprehensive income that will be reclassified to profit or loss, net of tax, others [Table]
Other comprehensive income that will be reclassified to profit or loss, net of tax, others [Axis]
Other comprehensive income that will be reclassified to profit or loss, net of tax, others [Line items]
Description of other comprehensive income that will be reclassified to profit or loss, net of tax, others
Other comprehensive income that will be reclassified to profit or loss, net of tax, others
[310000] Cash flow statement,direct
Statement of cash flows [Abstract]
Whether cash flow statement is applicable on company
Cash flows from used in operating activities [Abstract]
Classes of cash receipts from operating activities [Abstract]
Receipts from sales of goods and rendering of services
Receipts from royalties fees, commissions and other revenue
Receipts from contracts held for dealing or trading purpose
Receipts from premiums and claims annuities and other policy benefits
Receipts from rents and subsequent sales of assets held for rental to others and subsequently held for sale
Other cash receipts from operating activities
Classes of cash payments from operating activities [Abstract]
Payments to suppliers for goods and services
Payments from contracts held for dealing or trading purpose
Payments to and on behalf of employees
Payments for premiums and claims, annuities and other policy benefits
Payments to manufacture or acquire assets held for rental to others and subsequently held for sale
Other cash payments from operating activities
Net cash flows from (used in) operations
Dividends received
Interest paid
Interest received
Income taxes paid (refund)
Other inflows (outflows) of cash
Net cash flows from (used in) operating activities
Cash flows from used in investing activities [Abstract]
Cash flows from losing control of subsidiaries or other businesses
Cash flows used in obtaining control of subsidiaries or other businesses
Other cash receipts from sales of equity or debt instruments of other entities
Other cash payments to acquire equity or debt instruments of other entities
Other cash receipts from sales of interests in joint ventures
Other cash payments to acquire interests in joint ventures
Proceeds from sales of property
Purchase of property, plant and equipment
Proceeds from sales of investment property
Purchase of investment property
Proceeds from sales of goodwill
Purchase of goodwill
Proceeds from sales of intangible assets
Purchase of intangible assets
Proceeds from biological assets other than bearer plants
Purchase of biological assets other than bearer plants
Proceeds from sales of other long-term assets
Purchase of other long-term assets
Cash advances and loans made to other parties
Cash receipts from repayment of advances and loans made to other parties
Cash payments for future contracts, forward contracts, option contracts and swap contracts
Cash receipts from future contracts, forward contracts, option contracts and swap contracts
Dividends received
Interest received
Income taxes paid (refund)
Other inflows (outflows) of cash
Proceeds from government grants
Net cash flows from (used in) investing activities
Cash flows from used in financing activities [Abstract]
Proceeds from changes in ownership interests in subsidiaries that do not result in loss of control
Payments from changes in ownership interests in subsidiaries that do not result in loss of control
Proceeds from issuing shares
Proceeds from issuing other equity instruments
Payments to acquire or redeem entity's shares
Payments of other equity instruments
Proceeds from exercise of stock options
Proceeds from issuing debentures notes bonds etc
Proceeds from borrowings
Repayments of borrowings
Payments of finance lease liabilities
Payments of lease liabilities
Dividends paid
Interest paid
Income taxes paid (refund)
Other inflows (outflows) of cash
Net cash flows from (used in) financing activities
Net increase (decrease) in cash and cash equivalents before effect of exchange rate changes
Effect of exchange rate changes on cash and cash equivalents [Abstract]
Effect of exchange rate changes on cash and cash equivalents
Net increase (decrease) in cash and cash equivalents
Cash and cash equivalents cash flow statement at beginning of period
Cash and cash equivalents cash flow statement at end of period
[320000] Cash flow statement, indirect
Statement of cash flows [Abstract]
Whether cash flow statement is applicable on company
Cash flows from used in operating activities [Abstract]
Profit before tax
Adjustments for reconcile profit (loss) [Abstract]
Adjustments for finance costs
Adjustments for decrease (increase) in inventories
Adjustments for decrease (increase) in trade receivables, current
Adjustments for decrease (increase) in trade receivables, non-current
Adjustments for decrease (increase) in other current assets
Adjustments for decrease (increase) in other non-current assets
Adjustments for other financial assets, non-current
Adjustments for other financial assets, current
Adjustments for other bank balances
Adjustments for increase (decrease) in trade payables, current
Adjustments for increase (decrease) in trade payables, non-current
Adjustments for increase (decrease) in other current liabilities
Adjustments for increase (decrease) in other non-current liabilities
Adjustments for depreciation and amortisation expense
Adjustments for impairment loss reversal of impairment loss recognised in profit or loss
Adjustments for provisions, current
Adjustments for provisions, non-current
Adjustments for other financial liabilities, current
Adjustments for other financial liabilities, non-current
Adjustments for unrealised foreign exchange losses gains
Adjustments for dividend income
Adjustments for interest income
Adjustments for share-based payments
Adjustments for fair value losses (gains)
Adjustments for undistributed profits of associates
Other adjustments for which cash effects are investing or financing cash flow
Other adjustments to reconcile profit (loss)
Other adjustments for non-cash items
Share of profit and loss from partnership firm or association of persons or limited liability partnerships
Total adjustments for reconcile profit (loss)
Net cash flows from (used in) operations
Dividends received
Interest paid
Interest received
Income taxes paid (refund)
Other inflows (outflows) of cash
Net cash flows from (used in) operating activities
Cash flows from used in investing activities [Abstract]
Cash flows from losing control of subsidiaries or other businesses
Cash flows used in obtaining control of subsidiaries or other businesses
Other cash receipts from sales of equity or debt instruments of other entities
Other cash payments to acquire equity or debt instruments of other entities
Other cash receipts from sales of interests in joint ventures
Other cash payments to acquire interests in joint ventures
Cash receipts from share of profits of partnership firm or association of persons or limited liability partnerships
Cash payment for investment in partnership firm or association of persons or limited liability partnerships
Proceeds from sales of property
Purchase of property, plant and equipment
Proceeds from sales of investment property
Purchase of investment property
Proceeds from sales of intangible assets
Purchase of intangible assets
Proceeds from sales of intangible assets under development
Purchase of intangible assets under development
Proceeds from sales of goodwill
Purchase of goodwill
Proceeds from biological assets other than bearer plants
Purchase of biological assets other than bearer plants
Proceeds from government grants
Proceeds from sales of other long-term assets
Purchase of other long-term assets
Cash advances and loans made to other parties
Cash receipts from repayment of advances and loans made to other parties
Cash payments for future contracts, forward contracts, option contracts and swap contracts
Cash receipts from future contracts, forward contracts, option contracts and swap contracts
Dividends received
Interest received
Income taxes paid (refund)
Other inflows (outflows) of cash
Net cash flows from (used in) investing activities
Cash flows from used in financing activities [Abstract]
Proceeds from changes in ownership interests in subsidiaries
Payments from changes in ownership interests in subsidiaries
Proceeds from issuing shares
Proceeds from issuing other equity instruments
Payments to acquire or redeem entity's shares
Payments of other equity instruments
Proceeds from exercise of stock options
Proceeds from issuing debentures notes bonds etc
Proceeds from borrowings
Repayments of borrowings
Payments of finance lease liabilities
Payments of lease liabilities
Dividends paid
Interest paid
Income taxes paid (refund)
Other inflows (outflows) of cash
Net cash flows from (used in) financing activities
Net increase (decrease) in cash and cash equivalents before effect of exchange rate changes
Effect of exchange rate changes on cash and cash equivalents [Abstract]
Effect of exchange rate changes on cash and cash equivalents
Net increase (decrease) in cash and cash equivalents
Cash and cash equivalents cash flow statement at beginning of period
Cash and cash equivalents cash flow statement at end of period
[400100] Notes - Equity share capital
Disclosure of notes on equity share capital explanatory [Text Block]
Disclosure of classes of equity share capital [Abstract]
Disclosure of classes of equity share capital [Table]
Classes of equity share capital [Axis]
Equity shares [Member]
Equity shares 1 [Member]
Equity shares 2 [Member]
Equity shares 3 [Member]
Equity shares 4 [Member]
Equity shares 5 [Member]
Equity shares 6 [Member]
Equity shares 7 [Member]
Equity shares 8 [Member]
Equity shares 9 [Member]
Equity shares 10 [Member]
Disclosure of classes of equity share capital [Line items]
Type of share
Number of shares authorised
Value of shares authorised
Number of shares issued
Value of shares issued
Number of shares subscribed and fully paid
Value of shares subscribed and fully paid
Number of shares subscribed but not fully paid
Value of shares subscribed but not fully paid
Total number of shares subscribed
Total value of shares subscribed
Value of shares paid-up [Abstract]
Number of shares paid-up
Value of shares called
Calls unpaid [Abstract]
Calls unpaid by directors and officers [Abstract]
Calls unpaid by directors
Calls unpaid by officers
Total calls unpaid by directors and officers
Calls unpaid by others
Total calls unpaid
Forfeited shares
Forfeited shares reissued
Value of shares paid-up
Par value per share
Amount per share called in case shares not fully called
Reconciliation of number of shares outstanding [Abstract]
Number of shares outstanding at beginning of period
Changes in number of shares outstanding [Abstract]
Increase in number of shares outstanding [Abstract]
Number of shares issued in public offering
Number of shares issued as bonus shares
Number of shares issued as rights
Number of shares issued in private placement arising out of conversion of debentures preference shares during period
Number of shares issued in other private placement
Number of shares issued as preferential allotment arising out of conversion of debentures preference shares during period
Number of shares issued as other preferential allotment
Number of shares issued in shares based payment transactions
Number of shares issued under scheme of amalgamation
Number of other issues of shares
Number of shares issued under employee stock option plan
Number of other issue of shares arising out of conversion of securities
Total aggregate number of shares issued during period
Decrease in number of shares during period [Abstract]
Number of shares bought back or treasury shares
Other decrease in number of shares
Total decrease in number of shares during period
Total increase (decrease) in number of shares outstanding
Number of shares outstanding at end of period
Reconciliation of value of shares outstanding [Abstract]
Equity share capital at beginning of period
Changes in equity share capital [Abstract]
Increase in equity share capital during period [Abstract]
Amount of public issue during period
Amount of bonus issue during period
Amount of rights issue during period
Amount of private placement issue arising out of conversion of debentures preference shares during period
Amount of other private placement issue during period
Amount of preferential allotment issue arising out of conversion of debentures preference shares during period
Amount of other preferential allotment issue during period
Amount of share based payment transactions during period
Amount of issue under scheme of amalgamation during period
Amount of other issues during period
Amount of shares issued under employee stock option plan
Amount of other issue arising out of conversion of securities during period
Total aggregate amount of increase in equity share capital during period
Decrease in equity share capital during period [Abstract]
Decrease in amount of treasury shares or shares bought back
Other decrease in amount of shares
Total decrease in equity share capital during period
Total increase (decrease) in share capital
Equity share capital at end of period
Rights preferences and restrictions attaching to class of share capital
Shares in company held by holding company or ultimate holding company or by its subsidiaries or associates [Abstract]
Shares in company held by holding company
Shares in company held by ultimate holding company
Shares in company held by subsidiaries of its holding company
Shares in company held by subsidiaries of its ultimate holding company
Shares in company held by associates of its holding company
Shares in company held by associates of its ultimate holding company
Total shares in company held by holding company or ultimate holding company or by its subsidiaries or associates
Shares reserved for issue under options and contracts or commitments for sale of shares or disinvestment
Amount of shares reserved for issue under options and contracts or commitments for sale of shares or disinvestment
Description of terms of shares reserved for issue under options and contracts or commitments for sale of shares or disinvestment
Aggregate number of fully paid-up shares issued pursuant to contracts without payment being received in cash during last five years
Aggregate number of fully paid up shares issued by way of bonus shares during last five years
Aggregate number of shares bought back during last five years
Original paid-up value of forfeited shares
Terms of securities convertible into equity shares issued along with earliest date of conversion in descending order starting from farthest such date explanatory [Text Block]
Details of application money received for allotment of securities and due for refund and interest accrued thereon [Abstract]
Application money received for allotment of securities and due for refund and interest accrued thereon [Abstract]
Application money received for allotment of securities and due for refund, principal
Application money received for allotment of securities and due for refund, interest accrued
Total application money received for allotment of securities and due for refund and interest accrued thereon
Terms and conditions of shares pending allotment
Number of shares proposed to be issued
Period before which shares are to be allotted
Share premium for shares to be allotted
Description of whether company have sufficient authorised capital to cover proposed equity share capital amount resulting from allotment
Over due period for which application money is pending prior to allotment of shares
Reason for over due period for which application money is pending prior to allotment of shares
Disclosure of shareholding more than five per cent in company [Abstract]
Whether there are any shareholders holding more than five per cent shares in company
Disclosure of shareholding more than five per cent in company [Table]
Classes of equity share capital [Axis]
Equity shares [Member]
Equity shares 1 [Member]
Equity shares 2 [Member]
Equity shares 3 [Member]
Equity shares 4 [Member]
Equity shares 5 [Member]
Equity shares 6 [Member]
Equity shares 7 [Member]
Equity shares 8 [Member]
Equity shares 9 [Member]
Equity shares 10 [Member]
Name of shareholder [Axis]
Name of shareholder [Member]
Shareholder 1 [Member]
Shareholder 2 [Member]
Shareholder 3 [Member]
Shareholder 4 [Member]
Shareholder 5 [Member]
Shareholder 6 [Member]
Shareholder 7 [Member]
Shareholder 8 [Member]
Shareholder 9 [Member]
Shareholder 10 [Member]
Shareholder 11 [Member]
Shareholder 12 [Member]
Shareholder 13 [Member]
Shareholder 14 [Member]
Shareholder 15 [Member]
Shareholder 16 [Member]
Shareholder 17 [Member]
Shareholder 18 [Member]
Shareholder 19 [Member]
Shareholder 20 [Member]
Disclosure of shareholding more than five per cent in company [Line Items]
Type of share
Name of shareholder
CIN of shareholder
Permanent account number of shareholder
Country of incorporation or residence of shareholder
Number of shares held in company
Percentage of shareholding in company
Disclosure of details on private placement of share [Abstract]
Disclosure of details on private placement of equity share [Abstract]
Number of persons on private placement of equity share
Nature of security on private placement of equity share
Date of redemption on private placement of equity share
Disclosure of number of shareholders allottees [Abstract]
Number of shareholders of company
Number of allottees in case of preferential allotment
Disclosure of reduction in capital [Abstract]
Whether reduction in capital done during year
Amount of reduction in capital during year
Percentage of capital reduction to capital prior to reduction
Disclosure of public offering [Abstract]
Whether money raised from public offering during year
Amount raised from public offering during year
Amount utilised towards specified purposes for public offering
Amount remaining unutilised received in respect of public offering
Details of outstanding unutilised amounts received in respect of public offering
[400200] Statement of changes in equity
Disclosure of notes on changes in equity [Text Block]
Statement of changes in equity [Abstract]
Equity share capital [Abstract]
Equity share capital at beginning of period
Increase (decrease) in share capital
Equity share capital at end of period
Other equity [Abstract]
Statement of changes in equity [Line items]
Equity [Abstract]
Balance at beginning of period (if restatement is applicable)
Adjustments to equity for restatement [Abstract]
Effect of changes in accounting policy
Correction of prior period errors
Adjustments to equity for restatement
Other equity at beginning of period
Changes in equity [Abstract]
Comprehensive income [Abstract]
Profit (loss) for period
Changes in comprehensive income components
Total comprehensive income
Other changes in equity [Abstract]
Other additions to reserves
Deductions to reserves [Abstract]
Securities premium adjusted bonus shares
Securities premium adjusted writing off preliminary expenses
Securities premium adjusted writing off discount expenses issue shares debentures
Securities premium adjusted premium payable redemption preference shares debentures
Securities premium adjusted purchase own shares other securities under section 68
Other utilisation of securities premium if permitted
Other deductions to reserves
Total deductions to reserves
Appropriations for dividend, dividend tax and general reserve [Abstract]
Dividend appropriation [Abstract]
Interim dividend appropriation [Abstract]
Interim equity dividend appropriation
Interim special dividend appropriation
Total interim dividend appropriation
Final dividend appropriation [Abstract]
Final equity dividend appropriation
Final special dividend appropriation
Total final dividend appropriation
Total dividend appropriation
Equity dividend tax appropriation
Other appropriations
Transfer to Retained earnings
Total appropriations for dividend, dividend tax and retained earnings
Appropriation towards bonus shares
Increase (decrease) through other contributions by owners, equity
Increase (decrease) through other distributions to owners, equity
Increase (decrease) through other changes, equity
Increase (decrease) through changes in ownership interests in subsidiaries that do not result in loss of control, equity
Other changes in equity, others
Total other changes in equity
Total increase (decrease) in equity
Other equity at end of period
Description of nature of other equity, others
Description of nature of other reserves
Statement of changes in equity [Table]
Components of equity [Axis]
Equity [Member]
Non-controlling interests [Member]
Equity attributable to the equity holders of the parent [Member]
Other equity components [Member]
Debt instrument through other comprehensive income [Member]
Equity instrument through other comprehensive income [Member]
Cash flow hedges [Member]
Hedges of net investment in foreign operations [Member]
Time value of options [Member]
Forward elements of forward contracts [Member]
Foreign currency basis spreads [Member]
Financial assets measured at fair value through other comprehensive income [Member]
Equity Instruments through Other Comprehensive Income [Member]
Effective portion of cash flow hedges [Member]
Revaluation surplus [Member]
Exchange differences on translating the financial statements of a foreign operation [Member]
Investments in equity instruments [Member]
Other comprehensive income, others [Member]
Money received against share warrants [Member]
Other equity other [Member]
Other equity other 1 [Member]
Other equity other 2 [Member]
Other equity other 3 [Member]
Other equity other 4 [Member]
Other equity other 5 [Member]
Other equity other 6 [Member]
Other equity other 7 [Member]
Other equity other 8 [Member]
Other equity other 9 [Member]
Other equity other 10 [Member]
Share application money pending allotment [Member]
Equity component of financial instrument [Member]
Reserves [Member]
General reserve [Member]
Other funds [Member]
Foreign currency translation reserve [Member]
Retained earnings [Member]
Remeasurements of defined benefit plans [Member]
Fair value changes relating to own credit risk of financial liabilities designated at fair value through profit or loss [Member]
Other retained earning [Member]
Other reserves [Member]
Capital reserves [Member]
Securities premium reserve [Member]
Capital redemption reserves [Member]
Debenture redemption reserve [Member]
Deposit repayment reserve [Member]
Revaluation reserve [Member]
Share options outstanding account [Member]
Capital reserve consolidation [Member]
Employee stock options outstanding [Member]
Deferred employee compensation [Member]
Subsidy incentive reserve [Member]
Restructuring reserve [Member]
Amalgamation reserve [Member]
Bond redemption reserve [Member]
Sinking fund reserve [Member]
Contingency reserve [Member]
Special reserve [Member]
Hedging reserve [Member]
[400300] Notes - Borrowings
Disclosure of notes on borrowings explanatory [Text Block]
Borrowings notes [Abstract]
Details of borrowings [Abstract]
Classification of borrowings [Table]
Classification based on current non-current [Axis]
Classification based on current non-current [Member]
Non-current [Member]
Current [Member]
Classification of borrowings [Axis]
Borrowings [Member]
Bonds/debentures [Member]
Bonds [Member]
Debentures [Member]
Fully convertible debentures banks [Member]
Fully convertible debentures government semi-government [Member]
Fully convertible debentures intercorporate [Member]
Fully convertible debentures others [Member]
Partly convertible debentures banks [Member]
Partly convertible debentures government semi-government [Member]
Partly convertible debentures intercorporate [Member]
Partly convertible debentures others [Member]
Non-convertible debentures banks [Member]
Non-convertible debentures government semi-government [Member]
Non-convertible debentures intercorporate [Member]
Non-convertible debentures others [Member]
Redeemable preference shares [Member]
Term loans [Member]
Term loans from banks [Member]
Rupee term loans from banks [Member]
Foreign currency term loans from banks [Member]
Term loans from others [Member]
Rupee term loans from others [Member]
Foreign currency term loans from others [Member]
Other external commercial borrowings [Member]
Working capital loans from banks [Member]
Loans repayable on demand [Member]
Loans repayable on demand from banks [Member]
Loans repayable on demand from others [Member]
Intercorporate borrowings [Member]
Borrowing from government semi-government bodies [Member]
Borrowing from foreign institutional agencies [Member]
Borrowing from foreign companies [Member]
Deferred payment liabilities [Member]
Deferred payment for acquisition of property, plant and equipment [Member]
Deferred sales tax loan [Member]
Deferred payment foreign sources [Member]
Deferred payment Indian sources [Member]
Deposits [Member]
Deposits from directors [Member]
Deposits from shareholders [Member]
Intercorporate deposits [Member]
Public deposits [Member]
Deposits from others [Member]
Commercial paper [Member]
Loans and advances from related parties [Member]
Loans and advances from directors [Member]
Loans and advances from others [Member]
Long-term maturities of finance lease obligations [Member]
Liability component of compound financial instruments [Member]
Other loans and advances [Member]
Loans taken for property, plant and equipment [Member]
Loans taken for vehicles [Member]
Loans taken for other property, plant and equipment [Member]
Other loans and advances, others [Member]
Subclassification of borrowings [Axis]
Secured/Unsecured borrowings [Member]
Secured borrowings [Member]
Unsecured borrowings [Member]
Details of borrowings [Line items]
Borrowings
Nature of security [Abstract]
Nature of security
Details of personal security given by promoters, other shareholders or other third parties, though such security does not result in classification of borrowings as secured
Details on loans guaranteed [Abstract]
Aggregate amount of loans guaranteed by directors
Aggregate amount of loans guaranteed by others
Particulars of any redeemed bonds/debentures which company has power to reissue
Terms of repayment of term loans and other loans
Details on defaults on borrowings [Abstract]
Beginning date of continuing default for borrowings
Outstanding amount of continuing default principal
Outstanding amount of continuing default interest
Details of bonds or debentures [Abstract]
Details of bonds or debentures [Table]
Details of bonds or debentures [Axis]
Details of bonds or debentures [Line items]
Whether bonds or debentures
Nature of bond or debenture
Holder of bond or debenture
Rate of interest
Particulars of redemption or conversion
Nominal value per bond or debenture
Number of bonds or debentures
Amount of bonds or debentures issued during period
Number of allottees to whom bonds or debentures were issued
Earliest date of redemption
Nominal amount of bonds or debentures held by nominee or trustee of company
Book value of bonds or debentures held by nominee or trustee of company
[400400] Notes - Non-current investments
Disclosure of notes on non-current investments explanatory [Text Block]
Non-current investments [Abstract]
Disclosure of details of non-current investments [Abstract]
Details of non-current investments [Table]
Classification of non-current investments [Axis]
Details of non-current investments [Line items]
Type of non-current investments
Class of non-current investments
Nature of non-current investments
Non-current investments
Name of body corporate in whom investment has been made
Details of whether such body corporate is subsidiary, associate, joint venture or controlled special purpose entity
Number of shares of non-current investment made in body corporate
Details of non-current investments made in body corporate which are partly paid
Details of non-current investment made in partnership firms [Abstract]
Details of non-current investment made in partnership firms explanatory [Text Block]
Name of partnership firm where non-current investment is made
Names of all partners in partnership firm
Details of capital of partnership firm [Abstract]
Total capital of partnership firm
Date to which capital of partnership firm relates
Details of share of each partner in capital of partnership firm
Details of share of each partner in profits of partnership firm
Aggregate amount of quoted non-current investments
Market value of quoted non-current investments
Aggregate amount of unquoted non-current investments
Aggregate provision for diminution in value of non-current investments
[400500] Notes - Current investments
Disclosure of notes on current investments explanatory [Text Block]
Current investments [Abstract]
Disclosure of details of current investments [Abstract]
Details of current investments [Table]
Classification of current investments [Axis]
Details of current investments [Line items]
Type of current investments
Class of current investments
Nature of current investments
Current investments
Basis of valuation of current investments
Name of body corporate in whom investment has been made
Details of whether such body corporate is subsidiary, associate, joint venture or controlled special purpose entity
Number of shares of current investment made in body corporate
Details of current investments made in body corporate which are partly paid
Details of current investment made in partnership firms [Abstract]
Details of current investment made in partnership firms explanatory [Text Block]
Name of partnership firm where current investment is made
Names of all partners in partnership firm
Details of capital of partnership firm [Abstract]
Total capital of partnership firm
Date to which capital of partnership firm relates
Details of share of each partner in capital of partnership firm
Details of share of each partner in profits of partnership firm
Aggregate amount of quoted current investments
Market value of quoted current investments
Aggregate amount of unquoted current investments
Aggregate provision for diminution in value of current investments
[400600] Notes - Property, plant and equipment
Disclosure of property, plant and equipment [Text Block]
Disclosure of detailed information about property, plant and equipment [Text Block]
Disclosure of detailed information about property, plant and equipment [Abstract]
Disclosure of detailed information about property, plant and equipment [Table]
Classes of property, plant and equipment [Axis]
Property, plant and equipment [Member]
Land [Member]
Buildings [Member]
Residential building [Member]
Office building [Member]
Factory building [Member]
Other building [Member]
Plant and equipment [Member]
Factory equipments [Member]
Emission reduction equipment [Member]
Other pollution reduction equipment [Member]
Other plant and equipment [Member]
Furniture and fixtures [Member]
Vehicles [Member]
Ships vessels [Member]
Aircrafts helicopters [Member]
Motor vehicles [Member]
Office equipment [Member]
Computer equipments [Member]
Bearer plants [Member]
Leasehold improvements [Member]
Other property, plant and equipment [Member]
Livestock [Member]
Bridges roads ports culverts [Member]
Railway sidings [Member]
Books periodicals [Member]
Plantations [Member]
Mines quarries [Member]
Other property, plant and equipment, others [Member]
Sub classes of property, plant and equipment [Axis]
Owned and leased assets [Member]
Assets held under lease [Member]
Assets given under operating lease [Member]
Owned assets [Member]
Carrying amount accumulated depreciation and gross carrying amount [Axis]
Carrying amount [Member]
Gross carrying amount [Member]
Accumulated depreciation and impairment [Member]
Disclosure of detailed information about property, plant and equipment [Line items]
Nature of other property plant and equipment others
Reconciliation of changes in property, plant and equipment [Abstract]
Property, plant and equipment at beginning of period
Changes in property, plant and equipment [Abstract]
Additions other than through business combinations, property, plant and equipment
Acquisitions through business combinations, property, plant and equipment
Increase (decrease) through net exchange differences, property, plant and equipment
Depreciation, property, plant and equipment [Abstract]
Depreciation recognised in profit or loss
Depreciation recognised as part of cost of other assets
Total Depreciation property plant and equipment
Impairment loss recognised in profit or loss, property, plant and equipment
Reversal of impairment loss recognised in profit or loss, property, plant and equipment
Revaluation increase (decrease), property, plant and equipment
Impairment loss recognised in other comprehensive income, property, plant and equipment
Reversal of impairment loss recognised in other comprehensive income, property, plant and equipment
Increase (decrease) through transfers and other changes, property, plant and equipment [Abstract]
Increase (decrease) through transfers, property, plant and equipment
Increase (decrease) through other changes, property, plant and equipment
Total increase (decrease) through transfers and other changes, property, plant and equipment
Disposals and retirements, property, plant and equipment [Abstract]
Disposals, property, plant and equipment
Retirements, property, plant and equipment
Total disposals and retirements, property, plant and equipment
Decrease through classified as held for sale, property, plant and equipment
Decrease through loss of control of subsidiary, property, plant and equipment
Total increase (decrease) in property, plant and equipment
Property, plant and equipment at end of period
Disclosure of additional information about property plant and equipment [Abstract]
Disclosure of additional information about property plant and equipment [Table]
Classes of property, plant and equipment [Axis]
Property, plant and equipment [Member]
Land [Member]
Buildings [Member]
Residential building [Member]
Office building [Member]
Factory building [Member]
Other building [Member]
Plant and equipment [Member]
Factory equipments [Member]
Emission reduction equipment [Member]
Other pollution reduction equipment [Member]
Other plant and equipment [Member]
Furniture and fixtures [Member]
Vehicles [Member]
Ships vessels [Member]
Aircrafts helicopters [Member]
Motor vehicles [Member]
Office equipment [Member]
Computer equipments [Member]
Bearer plants [Member]
Leasehold improvements [Member]
Other property, plant and equipment [Member]
Livestock [Member]
Bridges roads ports culverts [Member]
Railway sidings [Member]
Books periodicals [Member]
Plantations [Member]
Mines quarries [Member]
Other property, plant and equipment, others [Member]
Sub classes of property, plant and equipment [Axis]
Owned and leased assets [Member]
Assets held under lease [Member]
Assets given under operating lease [Member]
Owned assets [Member]
Disclosure of additional information about property plant and equipment [Line items]
Measurement bases, property, plant and equipment
Depreciation method, property, plant and equipment
Useful lives or depreciation rates, property, plant and equipment
Effective dates of revaluation, property, plant and equipment
Explanation of involvement of independent valuer in revaluation, property, plant and equipment
Additional information [Abstract]
Property, plant and equipment, expenditures recognised in course of its construction
Property, plant and equipment, temporarily idle
Property, plant and equipment, gross carrying amount of fully depreciated assets still in use
Property, plant and equipment, assets retired from active use and not classified as held for sale
Property, plant and equipment, revaluation [Abstract]
Property, plant and equipment, revalued assets
Property, plant and equipment, revalued assets, at cost
Property, plant and equipment, revaluation surplus
Description of restrictions on distribution of revaluation surplus to shareholders, property, plant and equipment
Property, plant and equipment, restrictions on title
Description of existence of restrictions on title, property, plant and equipment
Property, plant and equipment, pledged as security
Contractual commitments for acquisition of property, plant and equipment
Compensation from third parties for items of property, plant and equipment that were impaired, lost or given up
Fair value of property, plant and equipment materially different from carrying amount
[400700] Notes - Investment property
Disclosure of investment property [Text Block]
Disclosure of detailed information about investment property [Text Block]
Disclosure of detailed information about investment property at cost [Abstract]
Disclosure of detailed information about investment property [Table]
Type of investment property [Axis]
Carrying amount accumulated depreciation and gross carrying amount [Axis]
Carrying amount [Member]
Gross carrying amount [Member]
Accumulated depreciation and impairment [Member]
Disclosure of detailed information about investment property [Line items]
Nature of investment property
Reconciliation of changes in investment property [Abstract]
Investment property at beginning of period
Changes in investment property [Abstract]
Additions other than through business combinations, investment property [Abstract]
Additions from subsequent expenditure recognised as Assets, investment property
Additions from acquisitions, investment property
Total additions other than through business combinations, investment property
Acquisitions through business combinations, investment property
Increase (decrease) through net exchange differences, investment property
Depreciation, investment property
Impairment loss recognised in profit or loss, investment property
Reversal of impairment loss recognised in profit or loss, investment property
Transfer from (to) inventories and owner-occupied property, investment property
Transfer from investment property under construction or development, investment property
Disposals, investment property
Decrease through classified as held for sale, investment property
Increase (decrease) through other changes, investment property
Total increase (decrease) in investment property
Investment property at end of period
Description of criteria used to distinguish investment property from owner-occupied property and from property held for sale in ordinary course of business
Description of extent to which fair value of investment property is based on valuation by independent valuer
Rental income from investment property, net of direct operating expense [Abstract]
Rental income from investment property
Direct operating expense from investment property [Abstract]
Direct operating expense from investment property generating rental income
Direct operating expense from investment property not generating rental income
Total direct operating expense from investment property
Rental income from investment property, net of direct operating expense
Explanation of restrictions on realisability of investment property or remittance of income and proceeds of disposal of investment property
Restrictions on realisability of investment property or remittance of income and proceeds of disposal of investment property
Explanation of contractual obligations to purchase, construct or develop investment property or for repairs, maintenance or enhancements
Depreciation method, investment property, cost model
Useful lives or depreciation rates, investment property, cost model
Description of investment property where fair value information is unreliable, cost model
Explanation of why fair value cannot be reliably measured for investment property, cost model
Range of estimates within which fair value is likely to lie for investment property, cost model
[400800] Notes - Goodwill
Disclosure of goodwill [Text Block]
Disclosure of reconciliation of changes in goodwill [Abstract]
Disclosure of reconciliation of changes in goodwill [Table]
Carrying amount accumulated amortization and impairment and gross carrying amount [Axis]
Carrying amount [Member]
Gross carrying amount [Member]
Accumulated amortization and impairment [Member]
Disclosure of reconciliation of changes in goodwill [Line items]
Goodwill at beginning of period
Changes in goodwill [Abstract]
Acquisitions through business combinations, goodwill
Increase (decrease) through net exchange differences, goodwill
Impairment loss recognised in profit or loss, goodwill
Increase (decrease) through transfers and other changes, Goodwill [Abstract]
Increase (decrease) through transfers, goodwill
Increase (decrease) through other changes, goodwill
Total increase (decrease) through transfers and other changes, goodwill
Disposals and retirements, Goodwill [Abstract]
Disposals, goodwill
Retirements, goodwill
Total disposals and retirements, goodwill
Decrease through classified as held for sale, goodwill
Decrease through loss of control of subsidiary, goodwill
Subsequent recognition of deferred tax assets, goodwill
Total increase (decrease) in goodwill
Goodwill at end of period
[400900] Notes - Other intangible assets
Disclosure of other intangible assets [Text Block]
Disclosure of detailed information about other intangible assets [Text Block]
Disclosure of detailed information about other intangible assets [Abstract]
Disclosure of detailed information about other intangible assets [Table]
Classes of other intangible assets [Axis]
Company other intangible assets [Member]
Brands and trade marks [Member]
Brands [Member]
Trade marks [Member]
Computer software [Member]
Mastheads and publishing titles [Member]
Mining rights [Member]
Copyrights, patents and other operating rights [Member]
Copyrights [Member]
Patents [Member]
Other intellectual property rights [Member]
Airport landing rights [Member]
Broadcasting rights [Member]
Services and operating rights [Member]
Recipes, formulae, models, designs and prototypes [Member]
Recipes [Member]
Formulae [Member]
Models [Member]
Designs [Member]
Prototypes [Member]
Licenses and franchise [Member]
Licenses [Member]
Exploration license [Member]
Franchise [Member]
Other intangible assets [Member]
Know-how [Member]
Commercial contractual rights [Member]
Other intangible assets, others [Member]
Sub classes of other intangible assets [Axis]
Internally generated and other than internally generated intangible assets [Member]
Internally generated intangible assets [Member]
Intangible assets other than internally generated [Member]
Carrying amount accumulated amortization and impairment and gross carrying amount [Axis]
Carrying amount [Member]
Gross carrying amount [Member]
Accumulated amortization and impairment [Member]
Disclosure of detailed information about other intangible assets [Line items]
Nature of other intangible assets others
Reconciliation of changes in other intangible assets [Abstract]
Other intangible assets at beginning of period
Changes in Other intangible assets [Abstract]
Additions other than through business combinations
Acquisitions through business combinations
Increase (decrease) through net exchange differences
Amortisation other intangible assets
Impairment loss recognised in profit or loss
Reversal of impairment loss recognised in profit or loss
Revaluation increase (decrease), other intangible assets
Impairment loss recognised in other comprehensive income, other intangible assets
Reversal of impairment loss recognised in other comprehensive income, other intangible assets
Increase (decrease) through transfers and other changes, other intangible assets [Abstract]
Increase (decrease) through transfers, other intangible assets
Increase (decrease) through other changes
Total increase (decrease) through transfers and other changes, Other intangible assets
Disposals and retirements, other intangible assets [Abstract]
Disposals
Retirements
Total Disposals and retirements, Other intangible assets
Decrease through classified as held for sale
Decrease through loss of control of subsidiary
Total increase (decrease) in Other intangible assets
Other intangible assets at end of period
Disclosure of additional information about other intangible assets [Abstract]
Disclosure of additional information about other intangible assets [Table]
Classes of other intangible assets [Axis]
Company other intangible assets [Member]
Brands and trade marks [Member]
Brands [Member]
Trade marks [Member]
Computer software [Member]
Mastheads and publishing titles [Member]
Mining rights [Member]
Copyrights, patents and other operating rights [Member]
Copyrights [Member]
Patents [Member]
Other intellectual property rights [Member]
Airport landing rights [Member]
Broadcasting rights [Member]
Services and operating rights [Member]
Recipes, formulae, models, designs and prototypes [Member]
Recipes [Member]
Formulae [Member]
Models [Member]
Designs [Member]
Prototypes [Member]
Licenses and franchise [Member]
Licenses [Member]
Exploration license [Member]
Franchise [Member]
Other intangible assets [Member]
Know-how [Member]
Commercial contractual rights [Member]
Other intangible assets, others [Member]
Sub classes of other intangible assets [Axis]
Internally generated and other than internally generated intangible assets [Member]
Internally generated intangible assets [Member]
Intangible assets other than internally generated [Member]
Disclosure of additional information about other intangible assets [Line items]
Description of line item(s) in statement of comprehensive income in which amortisation of intangible assets is included
Amortisation method, other intangible assets
Useful lives or amortisation rates, other intangible assets
Effective dates of revaluation, other intangible assets
Revaluation of intangible assets [Abstract]
Other intangible assets, revalued assets
Other intangible assets, revalued assets, at cost
Other intangible assets, revaluation surplus
Disclosure of intangible assets with indefinite useful life [Text Block]
Disclosure of intangible assets with indefinite useful life [Abstract]
Disclosure of intangible assets with indefinite useful life [Table]
Intangible assets with indefinite useful life [Axis]
Disclosure of intangible assets with indefinite useful life [Line items]
Intangible assets with indefinite useful life
Description of intangible assets with indefinite useful life supporting assessment of indefinite useful life
Disclosure of intangible assets material to entity [Text Block]
Disclosure of intangible assets material to entity [Abstract]
Disclosure of intangible assets material to entity [Table]
Intangible assets material to entity [Axis]
Disclosure of intangible assets material to entity [Line items]
Description of intangible assets material to entity
Intangible assets material to entity
Remaining amortisation period of intangible assets material to entity
Intangible assets acquired by way of government grant
Explanation of assets acquired by way of government grant and initially recognised at fair value
Intangible assets whose title is restricted
Intangible assets pledged as security for liabilities
Contractual commitments for acquisition of intangible assets
Description of fully amortised intangible assets
Description of significant intangible assets controlled by entity but not recognised
Explanation of restrictions on distribution of revaluation surplus for intangible assets
Research and development expense
[401000] Notes - Biological assets other than bearer plants
Disclosure of biological assets, agriculture produce at point of harvest and government grants related to biological assets [Text Block]
Gains (losses) on initial recognition of biological assets and agricultural produce for current period
Gains (losses) on change in fair value less costs to sell of biological assets for current period
Disclosure of detailed information about biological assets [Text Block]
Disclosure of detailed information about biological assets [Abstract]
Disclosure of detailed information about biological assets [Table]
Biological assets by type [Axis]
Biological assets, type [Member]
Consumable biological assets [Member]
Bearer biological assets [Member]
Biological assets by age [Axis]
Biological assets, age [Member]
Mature biological assets [Member]
Immature biological assets [Member]
Disclosure of detailed information about biological assets [Line items]
Description of biological assets
Biological assets
Description of nature of activities of biological assets
Description of non-financial measures or estimates of physical quantities of biological assets and output of agricultural produce
Biological assets whose title is restricted
Biological assets pledged as security for liabilities
Commitments for development or acquisition of biological assets
Description of financial risk management related to agricultural activity
Disclosure of reconciliation of changes in biological assets other than bearer plants [Text Block]
Disclosure of reconciliation of changes in biological assets other than bearer plants [Abstract]
Disclosure of reconciliation of changes in biological assets other than bearer plants [Table]
Type of biological assets other than bearer plants [Axis]
Measurement [Axis]
Aggregated measurement [Member]
At fair value [Member]
At cost [Member]
Carrying amount, accumulated depreciation, amortisation and impairment and gross carrying amount [Axis]
Carrying amount [Member]
Gross carrying amount [Member]
Accumulated depreciation and impairment [Member]
Disclosure of reconciliation of changes in biological assets other than bearer plants [Line items]
Nature of biological assets other than bearer plants
Reconciliation of changes in biological assets other than bearer plants [Abstract]
Biological assets other than bearer plants at beginning of period
Changes in biological assets other than bearer plants [Abstract]
Additions other than through business combinations, biological assets other than bearer plants
Acquisitions through business combinations, biological assets other than bearer plants
Increase (decrease) through net exchange differences, biological assets other than bearer plants
Depreciation, biological assets other than bearer plants
Impairment loss recognised in profit or loss, biological assets other than bearer plants
Reversal of impairment loss recognised in profit or loss, biological assets other than bearer plants
Gains (losses) on fair value adjustment, biological assets other than bearer plants [Abstract]
Gains (losses) on fair value adjustment attributable to physical changes, biological assets other than bearer plants
Gains (losses) on fair value adjustment attributable to price changes, biological assets other than bearer plants
Total gains (losses) on fair value adjustment, biological assets other than bearer plants
Increase (decrease) through other changes, biological assets other than bearer plants
Disposals, biological assets other than bearer plants
Decrease due to harvest, biological assets other than bearer plants
Decrease through classified as held for sale, biological assets other than bearer plants
Total increase (decrease) in biological assets other than bearer plants
Biological assets other than bearer plants at end of period
Description of biological assets other than bearer plants where fair value information is unreliable
Explanation of why fair value cannot be reliably measured for biological assets other than bearer plants, at cost
Range of estimates within which fair value is likely to lie for biological assets other than bearer plants, at cost
Depreciation method, biological assets other than bearer plants, at cost
Useful lives or depreciation rates, biological assets other than bearer plants, at cost
Description of biological assets other than bearer plants previously measured at cost
Explanation of why fair value becomes reliable for biological assets other than bearer plants previously measured at cost
Explanation of effect of change for biological assets for which fair value becomes reliably measurable
Description of nature and extent of government grants for agricultural activity recognised in financial statements
Description of unfulfilled conditions and other contingencies attached to government grant for agricultural activity
Explanation of significant decrease in level of government grants for agricultural activity
[401100] Notes - Subclassification and notes on liabilities and assets
Disclosure of subclassification and notes on liabilities and assets explanatory [Text Block]
Subclassification and notes on liabilities and assets [Abstract]
Disclosure of notes on trade receivables [Abstract]
Disclosure of notes on trade receivables explanatory [Text Block]
Subclassification of trade receivables [Abstract]
Subclassification of trade receivables [Table]
Classification based on current non-current [Axis]
Classification based on current non-current [Member]
Non-current [Member]
Current [Member]
Classification of assets based on security [Axis]
Classification of assets based on security [Member]
Secured considered good [Member]
Unsecured considered good [Member]
Doubtful [Member]
Subclassification of trade receivables [Line items]
Breakup of trade receivables [Abstract]
Trade receivables, gross
Allowance for bad and doubtful debts
Total trade receivables
Details of trade receivables due by directors, other officers or others [Abstract]
Trade receivables due by directors
Trade receivables due by other officers
Trade receivables due by others
Total trade receivables due by directors, other officers or others
Details of trade receivables due by firms or companies in which any director is partner or director [Abstract]
Trade receivables due by firms in which any director is partner
Trade receivables due by private companies in which any director is director
Trade receivables due by private companies in which any director is member
Total trade receivables due by firms or companies in which any director is partner or director
Loans notes [Abstract]
Disclosure of notes on loans explanatory [Text Block]
Disclosure of loans [Abstract]
Details of loans [Table]
Classification based on current non-current [Axis]
Classification based on current non-current [Member]
Non-current [Member]
Current [Member]
Classification of loans [Axis]
Loans [Member]
Security deposits [Member]
Loans to related parties [Member]
Loans given subsidiaries [Member]
Loans given associates [Member]
Loans given directors [Member]
Loans given other related parties [Member]
Loans given companies under same management [Member]
Loans given to other companies [Member]
Loans given suppliers [Member]
Loans given employees [Member]
Loans value be received [Member]
Other loans [Member]
Intercorporate deposits [Member]
Deposits with statutory authorities [Member]
Other deposit assets [Member]
Notes receivable [Member]
Other loans, others [Member]
Classification of assets based on security [Axis]
Classification of assets based on security [Member]
Secured considered good [Member]
Unsecured considered good [Member]
Doubtful [Member]
Details of loans [Line items]
Loans , gross
Allowance for bad and doubtful loans
Total loans
Details of loans to related parties
Nature of other loans
Details of loans due by directors, other officers or others [Abstract]
Loans due by directors
Loans due by other officers
Loans due by others
Total loans due by directors, other officers or others
Details of loans due by firms or companies in which any director is partner or director [Abstract]
Loans due by firms in which any director is partner
Loans due by private companies in which any director is director
Loans due by private companies in which any director is member
Total loans due by firms or companies in which any director is partner or director
Other non-current financial assets notes [Abstract]
Disclosure of notes on other non-current financial assets [Text Block]
Other non-current financial assets [Abstract]
Dividend receivable [Abstract]
Dividend receivable, subsidiaries
Dividend receivable, others
Total dividend receivable
Derivative assets
Interest income accrued
Other non-current financial assets, others
Total other non-current financial assets
Other non-current financial assets, others [Abstract]
Other non-current financial assets, others [Table]
Classification of other non-current financial assets others [Axis]
Other non-current financial assets, others [Line items]
Description other non-current financial assets, others
Other non-current financial assets, others
Disclosure of notes on advances [Abstract]
Disclosure of notes on advances explanatory [Text Block]
Disclosure of advances [Abstract]
Details of advances [Table]
Classification based on current non-current [Axis]
Classification based on current non-current [Member]
Non-current [Member]
Current [Member]
Classification of advances [Axis]
Advances [Member]
Capital advances [Member]
Security deposits [Member]
Advances to related parties [Member]
Advances given subsidiaries [Member]
Advances given associates [Member]
Advances given directors [Member]
Advances given other related parties [Member]
Advances given companies under same management [Member]
Advances given to other companies [Member]
Advances given suppliers [Member]
Advances given employees [Member]
Advances value be received [Member]
Finance lease receivables treated as advances [Member]
Other Advances [Member]
Prepaid expenses [Member]
Advance tax [Member]
Advance income tax paid [Member]
Advance sales tax/VAT paid [Member]
Tax deducted at source [Member]
Advance fringe benefit tax paid [Member]
Other advance taxes [Member]
MAT credit entitlement [Member]
Cenvat receivable [Member]
VAT receivable [Member]
Service tax receivable [Member]
Other taxes receivable [Member]
Export incentives receivables [Member]
Deposits with statutory authorities [Member]
Other deposit assets [Member]
Notes receivable [Member]
Claims recoverable [Member]
Other advances, others [Member]
Classification of assets based on security [Axis]
Classification of assets based on security [Member]
Secured considered good [Member]
Unsecured considered good [Member]
Doubtful [Member]
Disclosure of advances [Line items]
Advances
Details of advance to related parties
Nature of other advance
Details of advance due by directors other officers or others [Abstract]
Advance due by directors
Advance due by other officers
Advance due by others
Total advance due by directors other officers or others
Details of advance due by firms or companies in which any director is partner or director [Abstract]
Advance due by firms in which any director is partner
Advance due by private companies in which any director is director
Advance due by private companies in which any director is member
Total advance due by firms or companies in which any director is partner or director
Other non-current assets notes [Abstract]
Disclosure of notes on other non-current assets explanatory [Text Block]
Other non-current assets [Abstract]
Advances, non-current
Other non-current assets, others
Total other non-current assets
Other non-current assets, others [Abstract]
Other non-current assets, others [Table]
Other non-current assets, others [Axis]
Other non-current assets, others [Line items]
Description of other non-current assets, others
Other non-current assets, others
Inventories notes [Abstract]
Disclosure of inventories Explanatory [Text Block]
Description of accounting policy for measuring inventories [Text Block]
Classification of inventories [Abstract]
Classification of inventories [Table]
Classification of inventories [Axis]
Company inventories [Member]
Raw materials [Member]
Work-in-progress [Member]
Finished goods [Member]
Stock-in-trade [Member]
Stores and spares [Member]
Loose tools [Member]
Transferable development rights [Member]
Certified emission rights [Member]
Other inventories [Member]
Waste [Member]
Scrap [Member]
Other inventories, others [Member]
Classification of inventories [Line items]
Inventories
Goods in transit
Mode of valuation
Nature of other inventories
Number of certified emission rights held as inventory
Number of certified emission rights under certification
Description of inventory cost formulas
Inventories, at fair value less costs to sell
Inventories, at net realisable value
Inventory write-down
Reversal of inventory write-down
Description of circumstances leading to reversals of inventory write-down
Cost of inventories recognised as expense during period
Inventories pledged as security for liabilities
Cash and bank balances notes [Abstract]
Disclosure of notes on cash and bank balances explanatory [Text Block]
Cash and bank balances [Abstract]
Classification of cash and bank balances [Abstract]
Cash and cash equivalents [Abstract]
Balance with banks [Abstract]
Fixed deposits with banks
Other deposits with banks
Deposit repayment reserve account with banks
Other balances with banks
Total balance with banks
Cheques, drafts on hand
Cash on hand
Others
Total cash and cash equivalents
Bank balance other than cash and cash equivalents
Total cash and bank balances
Nature of other cash and cash equivalents
Earmarked balances with banks
Details of balances held with banks to extent held as margin money or security against borrowings, guarantees or other commitments [Abstract]
Balances held with banks to extent held as margin money
Balances held with banks to extent held as security against borrowings
Balances held with banks to extent held as guarantees
Balances held with banks to extent held against other commitments
Total balances held with banks to extent held as margin money or security against borrowings, guarantees or other commitments
Repatriation restrictions if any in respect of cash and bank balances
Bank deposits with more than 12 months maturity
Other current financial assets [Abstract]
Disclosure of notes on other current financial assets explanatory [Text Block]
Derivative financial instruments
Unbilled revenue
Security deposits
Other current financial assets others
Total other current financial assets
Other current financial assets others [Abstract]
Other current financial assets others [Table]
Other current financial assets others [Axis]
Other current financial assets others [Line items]
Description other current financial assets others
Other current financial assets others
Other current assets notes [Abstract]
Disclosure of notes on other current assets explanatory [Text Block]
Other current assets [Abstract]
Advances, current
Other unamortised expenses
Property plant and equipment held for sale
Other current assets, others
Total other current assets
Other current assets others [Abstract]
Other current assets others [Table]
Other current assets others [Axis]
Other current assets others [Line items]
Description of other current assets others
Other current assets, others
Disclosure of other non-current financial liabilities notes [Abstract]
Disclosure of notes on other non-current financial liabilities explanatory [Text Block]
Other non-current financial liabilities [Abstract]
Security deposits refundable, Non-current
Public deposit payable, Non-current
Derivative liabilities, Non-current
Other non-current financial liabilities, others
Total other non-current financial liabilities
Other non-current financial liabilities others [Abstract]
Other non-current financial liabilities others [Table]
Other non-current financial liabilities others [Axis]
Other non-current financial liabilities others [Line items]
Description other non-current financial liabilities others
Other non-current financial liabilities, others
Provisions notes [Abstract]
Disclosure of notes on provisions explanatory [Text Block]
Disclosure of breakup of provisions [Abstract]
Disclosure of breakup of provisions [Table]
Classification based on current non-current [Axis]
Classification based on current non-current [Member]
Non-current [Member]
Current [Member]
Disclosure of breakup of provisions [Line items]
Provisions [Abstract]
Provisions for employee benefits [Abstract]
Provision gratuity
Provision leave encashment
Provision pension
Provision employee insurance scheme
Provision other employee related liabilities
Total provisions for employee benefits
Provision for corporate tax [Abstract]
Provision for wealth tax
Provision for fringe benefit tax
Provision for other tax
Provision for corporate dividend tax
Total provision for corporate tax
Provision for statutory liabilities
CSR expenditure provision
Provision for abandonment cost
Other provisions
Total provisions
Nature of other provisions
Other non-current liabilities [Abstract]
Disclosure of notes on other non-current liabilities explanatory [Text Block]
Advances received
Other non-current liabilities others
Total other non-current liabilities
Other non-current liabilities others [Abstract]
Other non-current liabilities others [Table]
Other non-current liabilities others [Axis]
Other non-current liabilities others [Line items]
Description of other non-current liabilities others
Other non-current liabilities others
Disclosure of other current financial liabilities notes [Abstract]
Disclosure of notes on other current financial liabilities explanatory [Text Block]
Other current financial liabilities [Abstract]
Current maturities of long-term debt
Current maturities of finance lease obligations
Interest accrued on borrowings
Interest accrued on public deposits
Interest accrued others
Unpaid dividends
Retention money payable
Application money received for allotment of securities and due for refund and interest accrued thereon [Abstract]
Application money received for allotment of securities and due for refund, principal
Application money received for allotment of securities and due for refund, interest accrued
Total application money received for allotment of securities and due for refund and interest accrued thereon
Unpaid matured deposits and interest accrued thereon
Unpaid matured debentures and interest accrued thereon
Debentures claimed but not paid
Public deposit payable, current
Derivative liabilities
Other current financial liabilities, others
Total other current financial liabilities
Other current financial liabilities, others [Abstract]
Other current financial liabilities, others [Table]
Other current financial liabilities, others [Axis]
Other current financial liabilities, others [Line items]
Description of other current financial liabilities, others
Other current financial liabilities, others
Disclosure of other current liabilities notes [Abstract]
Disclosure of other current liabilities notes explanatory [Text Block]
Other current liabilities [Abstract]
Revenue received in advance
Other advance [Abstract]
Advance received against contracts
Advance received from customers
Other advance received
Total other advance
Deposits refundable current [Abstract]
Security deposits refundable, current
Customer deposits refundable, current
Other deposits refundable, current
Total deposits refundable current
Other payables, current [Abstract]
Withholding taxes payable
Service tax payable
VAT payable
Excise duty payable
Taxes payable sales tax
Taxes payable other tax
Accrued expenses payable
Gross amount due to customers for contract work, current
Current liabilities portion of share application money pending allotment
Total other payables, current
Bills payable acceptances
Contribution to provident fund scheme
Proposed dividend [Abstract]
Proposed equity dividend [Abstract]
Proposed equity interim dividend
Proposed equity final dividend
Proposed equity special dividend
Total proposed equity dividend
Proposed preference dividend [Abstract]
Proposed preference interim dividend
Proposed preference final dividend
Proposed preference special dividend
Total proposed preference dividend
Total proposed dividend
Other current liabilities, others
Total other current liabilities
Other current liabilities, others [Abstract]
Other current liabilities, others [Table]
Other current liabilities, others [Axis]
Other current liabilities, others [Line items]
Description of other current liabilities, others
Other current liabilities, others
Details of application money received for allotment of securities and due for refund and interest accrued thereon [Abstract]
Terms and conditions of shares pending allotment
Number of shares proposed to be issued
Period before which shares are to be allotted
Share premium for shares to be allotted
Description of whether company have sufficient authorised capital to cover proposed share capital amount resulting from allotment
Over due period for which application money is pending prior to allotment of shares
Reason for over due period for which application money is pending prior to allotment of shares
[401200] Notes - Additional disclosures on balance sheet
Disclosure of additional balance sheet notes explanatory [Text Block]
Description of estimates and critical accounting estimates explanatory [Text Block]
Additional balance sheet notes [Abstract]
Contingent liabilities and commitments [Abstract]
Classification of contingent liabilities [Abstract]
Claims against company not acknowledged as debt
Guarantees
Other money for which company is contingently liable
Total contingent liabilities
Classification of commitments [Abstract]
Estimated amount of contracts remaining to be executed on capital account and not provided for
Uncalled liability on shares and other investments partly paid
Other commitments
Total commitments
Nature of other commitments
Total contingent liabilities and commitments
Details regarding dividends [Abstract]
Amount of dividends proposed to be distributed to equity shareholders
Amount of per share dividend proposed to be distributed to equity shareholders
Amount of dividends proposed to be distributed to preference shareholders
Amount of per share dividend proposed to be distributed to preference shareholders
Arrears of fixed cumulative dividends on preference shares
Percentage of proposed dividend
Details of outstanding unutilised amounts received in respect of issue of securities for specific purpose [Abstract]
Description of how outstanding unutilised amounts received in respect of issue of securities for specific purpose are used
Outstanding unutilised amounts received in respect of issue of securities for specific purpose
Amount of unutilised amounts invested
Details of disclosures required under MSMED Act 2006 [Abstract]
Details of disclosures required under MSMED Act 2006 [Table]
Micro small medium enterprises [Axis]
Details of disclosures required under MSMED Act 2006 [Line items]
Principal and interest due remaining unpaid [Abstract]
Principal due remaining unpaid
Interest due remaining unpaid
Total principal and interest due remaining unpaid
Amount of interest paid under MSMED Act 2006
Amount of payments made to supplier beyond due date during year
Amount of interest due and payable for period
Amount of interest accrued and remaining unpaid at end of accounting year
Amount of further interest due and payable even in succeeding year
Maximum amount outstanding for period from micro small medium enterprises
Name supplier being micro small medium enterprises
CIN of micro small and medium enterprise
Details of disclosure regarding companies limited by guarantee [Abstract]
Amount each member undertakes to contribute as per memorandum of association in case of companies limited by guarantee having share capital
Amount each member undertakes to contribute as per memorandum of association in case of companies limited by guarantee not having share capital
Disclosure of information on deviation from accounting standards balance sheet [Abstract]
Disclosure of information on deviation from accounting standards balance sheet
Disclosure of reasons for deviation from accounting standards balance sheet
Financial effect of deviation from accounting standards balance sheet
Disclosure of information on derivative instruments [Abstract]
Disclosure of category wise quantitative data about outstanding derivative instruments explanatory [Text Block]
Disclosure of purpose for which derivative instruments have been acquired
Details of share capital held by foreign companies [Abstract]
Percentage of share capital held by foreign company
Value of share capital held by foreign company
Percentage of paid-up capital held by foreign holding company and or with its subsidiaries
Value of paid-up capital held by foreign holding company and or with its subsidiaries
Details of shareholding pattern of promoters and public [Abstract]
Details of shareholding pattern of promoters and public [Table]
Shareholding pattern of promoters and public [Axis]
Shareholding pattern of promoters and public [Member]
Promoters [Member]
Public shareholding [Member]
Classification based on nationality or origin [Axis]
Classification based on nationality or origin [Member]
Indian [Member]
Foreign [Member]
Details of shareholding pattern of promoters and public [Line Items]
Number of shares held by Indian
Percentage of shares held by Indian
Number of shares held by non-resident Indian
Percentage of shares held by non-resident Indian
Number of shares held by foreign national other than non-resident Indian
Percentage of shares held by foreign national other than non-resident Indian
Number of shares held by central government
Percentage of shares held by central government
Number of shares held by state government
Percentage of shares held by state government
Number of shares held by government companies
Percentage of shares held by government companies
Number of shares held by insurance companies
Percentage of shares held by insurance companies
Number of shares held by banks
Percentage of shares held by banks
Number of shares held by financial institutions
Percentage of shares held by financial institutions
Number of shares held by foreign institutional investors
Percentage of shares held by foreign institutional investors
Number of shares held by mutual funds
Percentage of shares held by mutual funds
Number of shares held by venture capital
Percentage of shares held by venture capital
Number of shares held by body corporate
Percentage of shares held by body corporate
Number of shares held by others
Percentage of shares held by others
Total number of shares
Total of percentage shares
Number of shareholders promoters
Number of shareholders public
Total number of shareholders promoters and public
Details of provision made by nidhi companies [Abstract]
Amount of provisions to be made on account of income reversal and non-performing assets remaining unrealised
Cumulative amount provided till previous year
Amount provided in current year
Balance amount to be provided
Details of deposits [Abstract]
Deposits accepted or renewed during period
Deposits matured and claimed but not paid during period
Deposits matured and claimed but not paid
Deposits matured but not claimed
Interest on deposits accrued and due but not paid
Disclosure of equity share warrants [Abstract]
Equity share warrants at beginning of period
Changes in equity share warrants during period [Abstract]
Additions to equity share warrants during period
Deductions in equity share warrants during period
Total changes in equity share warrants during period
Equity share warrants at end of period
Breakup of equity share warrants [Abstract]
Equity share warrants for existing members
Equity share warrants for others
Total equity share warrants
Details of share application money received and paid [Abstract]
Share application money received during year
Share application money paid during year
Amount of share application money received back during year
Amount of share application money repaid returned back during year
Number of person share application money paid during year
Number of person share application money received during year
Number of person share application money paid as at end of year
Number of person share application money received as at end of year
Share application money received and due for refund
Disclosure of whether all assets and liabilities are registered with company
Disclosure of salient features of arrangement or acquisition
Disclosure of details pertaining to oil and gas producing companies [Abstract]
Method of accounting followed by upstream petroleum industry
Net quantities of enterprise’s interests in proved reserves and proved developed reserves of oil including condensate and natural gas liquids and gas as at beginning and additions, deductions, production and closing balance for year explanatory [Text Block]
Net quantities of enterprise’s interest in proved reserves and proved developed reserves of oil and gas on geographical basis explanatory [Text Block]
Details on sweat equity shares [Abstract]
Amount of sweat equity shares issued
Details regarding cost records and cost audit[Abstract]
Details regarding cost records and cost audit explanatory [Text Block]
Details regarding cost records [Abstract]
Whether maintenance of cost records by company has been mandated under Companies (Cost Records and Audit) Rules, 2014
If yes, Central Excise Tariff Act, heading in which product/ service is covered under cost records
Details regarding cost audit [Abstract]
Whether audit of cost records of company has been mandated under Rules specified in SN 1
If yes, Central Excise Tariff Act, heading in which product/ service is covered under cost audit
Net worth of company
Disclosure of dates regarding unclaimed amounts [Abstract]
Disclosure of dates from which dividend is unclaimed beyond seven years explanatory [Text Block]
Date from which dividend is unclaimed beyond seven years
Disclosure of dates from which deposits is unclaimed beyond seven years explanatory [Text Block]
Date from which deposits is unclaimed beyond seven years
Disclosure of dates from which share application money is unclaimed beyond seven years explanatory [Text Block]
Date from which share application money is unclaimed beyond seven years
Disclosure of dates from which interest on deposits is unclaimed beyond seven years explanatory [Text Block]
Date from which interest on deposits is unclaimed beyond seven years
Disclosure of dates from which debentures is unclaimed beyond seven years explanatory [Text Block]
Date from which debentures is unclaimed beyond seven years explanatory
Disclosure of dates from which interest on debentures is unclaimed beyond seven years explanatory [Text Block]
Date from which interest on debentures is unclaimed beyond seven years
Disclosure pertaining to companies acceptance of deposit rules [Abstract]
Disclosure in accordance with ceilings for liquid assets and small depositors explanatory [Text Block]
Details of unclaimed liabilities [Abstract]
Unclaimed share application refund money
Unclaimed matured debentures
Unclaimed matured deposits
Interest unclaimed amount
Details of acquisition and disposal of investments [Abstract]
Acquisition and disposal of investments [Table]
Acquisition and disposal of investments [Axis]
Acquisition and disposal of investments [Line items]
Nature of investment purchased or sold during period
Type of investment
Number of units purchased
Face value of units purchased
Purchase price per unit
Number of units sold
Selling price per unit
Financial parameters balance sheet items [Abstract]
Investment in subsidiary companies
Investment in government companies
Amount due for transfer to investor education and protection fund (IEPF)
Gross value of transactions with related parties
Number of warrants converted into equity shares during period
Number of warrants converted into preference shares during period
Number of warrants converted into debentures during period
Number of warrants issued during period (in foreign currency)
Number of warrants issued during period (INR)
Number of shareholders to whom shares are allotted under private placement during period
[500100] Notes - Subclassification and notes on income and expenses
Subclassification and notes on income and expense explanatory [Text Block]
Disclosure of revenue from operations [Abstract]
Disclosure of notes on revenue from operations explanatory [Text Block]
Disclosure of revenue from operations for other than finance company [Abstract]
Revenue from sale of products
Revenue from sale of services
Other operating revenues
Total revenue from operations other than finance company
Disclosure of revenue from operations for finance company [Abstract]
Revenue from interest
Revenue from other financial services
Total revenue from operations finance company
Total revenue from operations
Disclosure of other operating revenues [Abstract]
Disclosure of notes on other operating revenues explanatory [Text Block]
Other operating revenues [Abstract]
Net gain/loss on foreign currency fluctuations treated as other operating revenue
Miscellaneous other operating revenues
Total other operating revenues
Miscellaneous other operating revenues [Abstract]
Miscellaneous other operating revenues [Table]
Miscellaneous other operating revenues [Axis]
Miscellaneous other operating revenues [Line Items]
Description of miscellaneous other operating revenues
Miscellaneous other operating revenues
Disclosure of other income [Abstract]
Disclosure of notes on other income explanatory [Text Block]
Interest income [Abstract]
Interest income on current investments [Abstract]
Interest on fixed deposits, current investments
Interest from customers on amounts overdue, current investments
Interest on current intercorporate deposits
Interest on current debt securities
Interest on current government securities
Interest on other current investments
Total interest income on current investments
Interest income on non-current investments [Abstract]
Interest on fixed deposits, non-current investments
Interest from customers on amounts overdue, non-current investments
Interest on non-current intercorporate deposits
Interest on non-current debt securities
Interest on non-current government securities
Interest on other non-current investments
Total interest income on non-current investments
Total interest income
Dividend income [Abstract]
Dividend income current investments [Abstract]
Dividend income current investments from subsidiaries
Dividend income current equity securities
Dividend income current mutual funds
Dividend income current investments from others
Total dividend income current investments
Dividend income non-current investments [Abstract]
Dividend income non-current investments from subsidiaries
Dividend income non-current equity securities
Dividend income non-current mutual funds
Dividend income non-current investments from others
Total dividend income non-current investments
Total dividend income
Net gain/loss on sale of investments [Abstract]
Net gain/loss on sale of current investments
Net gain/loss on sale of non-current investments
Total net gain/loss on sale of investments
Rental income on investment property [Abstract]
Rental income on investment property, current
Rental income on investment property, non-current
Total rental income on investment property
Other non-operating income [Abstract]
Net gain (loss) on foreign currency fluctuations treated as other income [Abstract]
Other net gain (loss) on foreign currency fluctuations treated as other income
Net gain (loss) on foreign currency translation
Net gain (loss) on derivatives
Total net gain/loss on foreign currency fluctuations treated as other income
Surplus on disposal, discard, demolishment and destruction of depreciable property, plant and equipment
Gain on disposal of intangible Assets
Amount credited to profit and loss as transfer from revaluation reserve on account of additional depreciation charged on revalued tangible assets
Excess provision diminution in value investment written back
Excess provisions bad doubtful debts advances written back
Income government grants subsidies
Income export incentives
Income import entitlements
Income insurance claims
Income from subsidiaries
Interest on income tax refund
Income on brokerage commission
Income on sales tax benefit
Excess provisions written back
Liabilities written off
Other allowances deduction other income
Miscellaneous other non-operating income
Total other non-operating income
Income from pipeline transportation
Total other income
Disclosure of finance cost [Abstract]
Disclosure of notes on finance cost explanatory [Text Block]
Interest expense [Abstract]
Interest expense non-current loans [Abstract]
Interest expense non-current loans, banks
Interest expense non-current loans, others
Total interest expense non-current loans
Interest expense current loans [Abstract]
Interest expense current loans, banks
Interest expense current loans, others
Total interest expense current loans
Interest expense deposits
Interest expense debt securities
Interest expense other borrowings
Interest expense borrowings
Interest lease financing
Other interest charges
Total interest expense
Dividend on preference shares treated as debt
Other borrowing costs
Net gain/loss on foreign currency transactions and translations treated as finance costs
Total finance costs
Employee benefit expense [Abstract]
Disclosure of notes on employee benefit expense explanatory [Text Block]
Salaries and wages
Managerial remuneration [Abstract]
Remuneration to directors [Abstract]
Salary to directors
Commission to directors
Other benefits to directors
Total remuneration to directors
Remuneration to manager [Abstract]
Salary to manager
Commission to manager
Other benefits to manager
Total remuneration to manager
Total managerial remuneration
Contribution to provident and other funds [Abstract]
Contribution to provident and other funds for contract labour
Contribution to provident and other funds for others
Total contribution to provident and other funds
Employee share based payment [Abstract]
Employee share based payment- Cash settled
Employee share based payment- Equity settled
Total employee share based payment
Commission employees
Employee medical insurance expenses
Leave encashment expenses
Gratuity
Pension schemes
Voluntary retirement compensation
Other retirement benefits
Staff welfare expense
Other employee related expenses
Total employee benefit expense
Depreciation, depletion and amortisation expense [Abstract]
Disclosure of notes on depreciation, depletion and amortisation expense explanatory [Text Block]
Depreciation expense
Amortisation expense
Depletion expense
Total depreciation, depletion and amortisation expense
Breakup of other expenses [Abstract]
Disclosure of notes on other expenses explanatory [Text Block]
Consumption of stores and spare parts
Power and fuel
Rent
Repairs to building
Repairs to machinery
Insurance
Rates and taxes excluding taxes on income [Abstract]
Excise duty
Purchase tax
Other cess taxes
Cost taxes other levies by government local authorities
Provision wealth tax
Total rates and taxes excluding taxes on income
Research development expenditure
Subscriptions membership fees
Electricity expenses
Telephone postage
Printing stationery
Information technology expenses
Travelling conveyance
Catering canteen expenses
Entertainment expenses
Legal professional charges
Training recruitment expenses
Vehicle running expenses
Safety security expenses
Directors sitting fees
Commission to directors other than whole time director or managing director or manager
Donations subscriptions
Books periodicals
Seminars conference expenses
Registration filing fees
Custodial fees
Bank charges
Guest house expenses
Advertising promotional expenses
After sales service expenses
Warranty claim expenses
Commission paid sole selling agents
Commission paid other selling agents
Commission paid sole buying agents
Transportation distribution expenses
Secondary packing expenses
Discounting charges
Guarantee commission
Cost repairs maintenance other assets
Cost transportation [Abstract]
Cost freight
Cost octroi
Cost loading and unloading
Cost other transporting
Total cost transportation
Cost lease rentals
Cost effluent disposal
Provision for cost of restoration
Cost warehousing
Cost water charges
Cost technical services
Cost royalty
Impairment loss on financial assets [Abstract]
Impairment loss on financial assets trade receivables
Impairment loss on financial assets loans and advances
Impairment loss on financial assets investments
Impairment loss on financial assets other
Total impairment loss on financial assets
Impairment loss on non financial assets [Abstract]
Impairment loss on property plant and equipment
Impairment loss on intangible assets
Impairment loss on investment property
Impairment loss on non-financial assets, others
Total impairment loss on non-financial assets
Net provisions charged [Abstract]
Provision warranty claims created
Provision statutory liabilities created
Provision restructuring created
Other provisions created
Total net provisions charged
Discount issue shares debentures written off [Abstract]
Discount issue shares written off
Discount issue debentures written off
Total discount issue shares debentures written off
Loss on disposal of intangible Assets
Loss on disposal, discard, demolishment and destruction of depreciable property plant and equipment
Contract cost [Abstract]
Site labour supervision cost contracts
Material cost contract
Depreciation assets contracts
Cost transportation assets contracts
Hire charges assets contracts
Cost design technical assistance contracts
Warranty cost contracts
Other claims contracts
Sale material scrap other assets contracts
Overhead costs apportioned contracts [Abstract]
Insurance cost apportioned contract
Design technical assistance apportioned contracts
Other overheads apportioned contracts
Total overhead costs apportioned contracts
Total contract cost
Cost dry wells
Operating and maintenance cost of emission and other pollution reduction equipments
Payments to auditor [Abstract]
Payment for audit services
Payment for taxation matters
Payment for company law matters
Payment for other services
Payment for reimbursement of expenses
Total payments to auditor
Payments to cost auditor [Abstract]
Payment for cost audit charges
Payment for cost compliance report
Payment for other cost services
Payment to cost auditor for reimbursement of expenses
Total payments to cost auditor
CSR expenditure
Miscellaneous expenses
Total other expenses
Breakup of expenditure on production, transportation and other expenditure pertaining to exploration and production activities [Abstract]
Disclosure of notes on expenditure on production, transportation and other expenditure pertaining to exploration and production activities explanatory [Text Block]
Royalty pertaining to exploration and production activities
Cess pertaining to exploration and production activities
Education cess pertaining to exploration and production activities
National calamity contingency duty pertaining to exploration and production activities
Extraction cost pertaining to exploration and production activities
Sales tax pertaining to exploration and production activities
Geological and geophysical expenditure pertaining to exploration and production activities
Administrative expenditure pertaining to exploration and production activities
Research and development expenditure pertaining to exploration and production activities
Pipeline operation and maintenance expenditure pertaining to exploration and production activities
Other expenditure pertaining to exploration and production activities
Total expenditure on production, transportation and other expenditure pertaining to exploration and production activities
Current tax [Abstract]
Current tax pertaining to previous years
Current tax pertaining to current year
MAT credit recognised during year
Total current tax
[500200] Notes - Additional information statement of profit and loss
Additional information on profit and loss account explanatory [Text Block]
Additional information on profit and loss account [Abstract]
Material income and expense [Abstract]
Write-downs (reversals of write-downs) of inventories [Abstract]
Inventory write-down
Reversal of inventory write-down
Net write-downs (reversals of write-downs) of inventories
Write-downs (reversals of write-downs) of property, plant and equipment [Abstract]
Impairment loss recognised in profit or loss, property, plant and equipment
Reversal of impairment loss recognised in profit or loss, property, plant and equipment
Net write-downs (reversals of write-downs) of property, plant and equipment
Impairment loss (reversal of impairment loss) on trade receivables [Abstract]
Impairment loss recognised in profit or loss, trade receivables
Reversal of impairment loss recognised in profit or loss, trade receivables
Net impairment loss (reversal of impairment loss) recognised in profit or loss, trade receivables
Expense of restructuring activities
Reversal of provisions for cost of restructuring
Gains (losses) on disposals of non-current assets [Abstract]
Gains on disposals of non-current assets
Losses on disposals of non-current assets
Net gains (losses) on disposals of non-current assets
Gains (losses) on disposals of property, plant and equipment [Abstract]
Gains on disposals of property, plant and equipment
Losses on disposals of property, plant and equipment
Net gains (losses) on disposals of property, plant and equipment
Gains (losses) on disposals of investment properties [Abstract]
Gains on disposals of investment properties
Losses on disposals of investment properties
Net gains (losses) on disposals of investment properties
Gains (losses) on disposals of investments [Abstract]
Gains on disposals of investments
Losses on disposals of investments
Net gains (losses) on disposals of investments
Gains (losses) on disposals of other non-current assets
Gain (loss) arising from difference between carrying amount of financial liability extinguished and consideration paid
Expense (income) on discontinued operations
Gains (losses) on litigation settlements [Abstract]
Gains on litigation settlements
Losses on litigation settlements
Net gains (losses) on litigation settlements
Gains (losses) on change in fair value of derivatives [Abstract]
Gains on change in fair value of derivatives
Losses on change in fair value of derivatives
Net gains (losses) on change in fair value of derivatives
Miscellaneous other comprehensive income [Abstract]
Increase (decrease) in accumulated deferred tax recognised in other comprehensive income due to change in tax rate
Other Comprehensive income, attributable to owners of parent
Other Comprehensive income, attributable to non-controlling interests
Other individually immaterial components of other comprehensive income, net of tax
Other individually immaterial components of other comprehensive income, before tax
Income tax relating to other individually immaterial components of other comprehensive income
Share of profit (loss) of associates and joint ventures accounted for using equity method [Abstract]
Share of profit (loss) of associates accounted for using equity method
Share of profit (loss) of joint ventures accounted for using equity method
Total share of profit (loss) of associates and joint ventures accounted for using equity method
Share of other comprehensive income of associates and joint ventures accounted for using equity method, net of tax [Abstract]
Share of other comprehensive income of associates and joint ventures accounted for using equity method that will not be reclassified to profit or loss, net of tax
Share of other comprehensive income of associates and joint ventures accounted for using equity method that will be reclassified to profit or loss, net of tax
Total share of other comprehensive income of associates and joint ventures accounted for using equity method, net of tax
Share of other comprehensive income of associates and joint ventures accounted for using equity method, before tax [Abstract]
Share of other comprehensive income of associates and joint ventures accounted for using equity method that will not be reclassified to profit or loss, before tax
Share of other comprehensive income of associates and joint ventures accounted for using equity method that will be reclassified to profit or loss, before tax
Total share of other comprehensive income of associates and joint ventures accounted for using equity method, before tax
Income tax relating to share of other comprehensive income of associates and joint ventures accounted for using equity method [Abstract]
Total aggregated income tax relating to share of other comprehensive income of associates and joint ventures accounted for using equity method
Income tax relating to share of other comprehensive income of associates and joint ventures accounted for using equity method that will not be reclassified to profit or loss
Income tax relating to share of other comprehensive income of associates and joint ventures accounted for using equity method that will be reclassified to profit or loss
Income tax relating to components of other comprehensive income [Abstract]
Aggregated income tax relating to components of other comprehensive income that will not be reclassified to profit or loss
Aggregated income tax relating to components of other comprehensive income that will be reclassified to profit or loss
Total aggregated income tax relating to components of other comprehensive income
Changes in inventories of finished goods, work-in-progress and stock-in-trade [Abstract]
Changes in inventories of finished goods
Changes in inventories of work-in-progress
Changes in inventories of stock-in-trade
Changes in other inventories
Total changes in inventories of finished goods, work-in-progress and stock-in-trade
Details of exceptional items [Abstract]
Exceptional items after tax [Abstract]
Exceptional items before tax
Tax effect of exceptional items
Total exceptional items
Details of nature of exceptional items
Details of aggregate amount set aside to provisions made for meeting specific liabilities, contingencies or commitments [Abstract]
Aggregate amount set aside to provisions made for meeting specific liabilities, contingencies or commitments
Aggregate amount withdrawn from such provisions made for meeting specific liabilities, contingencies or commitments no longer required
Details of income or expense requiring separate disclosure [Abstract]
Write down of inventories to net realizable value
Reversal of write down of inventories to net realizable value
Cost of restructuring of enterprise
Reversal of cost of restructuring of enterprise
Disposals of items of property, plant and equipment
Disposals of investments
Expenses on legislative changes having retrospective application
Income on legislative changes having retrospective application
Expense on litigation settlements
Income on litigation settlements
Other reversals of provisions
Dividends from subsidiary companies
Provisions for losses of subsidiary companies
Details of share of profits or losses in partnership firm or association of persons or limited liability partnerships [Abstract]
Accounting period of partnership firm or association of persons or limited liability partnerships in respect of which profit or losses have been accounted in company's books, in case where year ending is different for partnership firm or association of persons or limited liability partnerships and company [Abstract]
Start date of accounting period of partnership firm or association of persons or limited liability partnerships in respect of which profit or losses have been accounted in company's books, in case where year ending is different for partnership firm or association of persons or limited liability partnerships and company
End date of accounting period of partnership firm or association of persons or limited liability partnerships in respect of which profit or losses have been accounted in company's books, in case where year ending is different for partnership firm or association of persons or limited liability partnerships and company
Profits or losses from partnership firms or association of persons or limited liability partnerships
Disclosure of information on deviation from accounting standards profit and loss account [Abstract]
Disclosure of information on deviation from accounting standards profit and loss account
Disclosure of reasons for deviation from accounting standards profit and loss account
Financial effect of deviation from accounting standards profit and loss account
Disclosure of contributions made to political party or for political purpose [Abstract]
Amount of contributions made to political party or for political purpose
Name of political party of person to whom contribution has been made
Disclosure of contributions made to national defence fund [Abstract]
Amount of contributions made to national defence fund
Details of cost incurred for issuing options or shares under employee stock option or stock purchase scheme [Abstract]
Cost incurred by holding company for issuing options or shares under employee stock option or stock purchase scheme
Cost reimbursed by subsidiary company for issuing options or shares under employee stock option or stock purchase scheme
Revenue arising from exchanges of goods or services [Abstract]
Revenue arising from exchanges of goods or services, sale of goods
Revenue arising from exchanges of goods or services, rendering of services
Revenue arising from exchanges of goods or services, construction contracts
Income arising from exchanges of goods or services, royalties
Income arising from exchanges of goods or services, interest
Income arising from exchanges of goods or services, dividends
Revenue arising from exchanges of goods or services, other revenue
Total revenue arising from exchanges of goods or services
Breakup of revenue as export and domestic [Abstract]
Revenue from sale of products [Abstract]
Domestic turnover goods, gross [Abstract]
Domestic sale manufactured goods
Domestic sale traded goods
Total domestic turnover goods, gross
Export turnover goods, gross [Abstract]
Export sale manufactured goods
Export sale traded goods
Total export turnover goods, gross
Total revenue from sale of products
Revenue from sale of services [Abstract]
Domestic revenue services
Export revenue services
Total revenue from sale of services
Details of capital expenditure incurred in foreign currency [Abstract]
Capital expenditure in foreign currency
Disclosure of computation of managerial information as per companies act [Abstract]
Disclosure of computation of managerial information as per companies act explanatory [Text Block]
Disclosure of expenditure on corporate social responsibility [Abstract]
Expenditure on corporate social responsibility activities as per guidelines
Gross value of transaction with related parties
Bad debts of related parties
[610100] Notes - List of accounting policies
Disclosure of significant accounting policies [Text Block]
Description of accounting policy for biological assets other than bearer plants [Text Block]
Description of accounting policy for borrowing costs [Text Block]
Description of accounting policy for borrowings [Text Block]
Description of accounting policy for business combinations [Text Block]
Description of accounting policy for business combinations and goodwill [Text Block]
Description of accounting policy for cash flows [Text Block]
Description of accounting policy for collateral [Text Block]
Description of accounting policy for construction in progress [Text Block]
Description of accounting policy for contingent liabilities and contingent assets [Text Block]
Description of accounting policy for customer acquisition costs [Text Block]
Description of accounting policy for customer loyalty programmes [Text Block]
Description of accounting policy for decommissioning, restoration and rehabilitation provisions [Text Block]
Description of accounting policy for deferred acquisition costs arising from insurance contracts [Text Block]
Description of accounting policy for deferred income tax [Text Block]
Description of accounting policy for depreciation expense [Text Block]
Description of accounting policy for derecognition of financial instruments [Text Block]
Description of accounting policy for derivative financial instruments [Text Block]
Description of accounting policy for derivative financial instruments and hedging [Text Block]
Description of accounting policy for determining components of cash and cash equivalents [Text Block]
Description of accounting policy for discontinued operations [Text Block]
Description of accounting policy for dividends [Text Block]
Description of accounting policy for earnings per share [Text Block]
Description of accounting policy for emission rights [Text Block]
Description of accounting policy for employee benefits [Text Block]
Description of accounting policy for environment related expense [Text Block]
Description of accounting policy for expenses [Text Block]
Description of accounting policy for exploration and evaluation expenditures [Text Block]
Description of accounting policy for fair value measurement [Text Block]
Description of accounting policy for fee and commission income and expense [Text Block]
Description of accounting policy for finance costs [Text Block]
Description of accounting policy for finance income and costs [Text Block]
Description of accounting policy for financial assets [Text Block]
Description of accounting policy for financial guarantees [Text Block]
Description of accounting policy for financial instruments [Text Block]
Description of accounting policy for financial instruments at fair value through profit or loss [Text Block]
Description of accounting policy for financial liabilities [Text Block]
Description of accounting policy for foreign currency translation [Text Block]
Description of accounting policy for functional currency [Text Block]
Description of accounting policy for goodwill [Text Block]
Description of accounting policy for government grants [Text Block]
Description of accounting policy for hedging [Text Block]
Description of accounting policy for impairment of assets [Text Block]
Description of accounting policy for impairment of financial assets [Text Block]
Description of accounting policy for impairment of non-financial assets [Text Block]
Description of accounting policy for income tax [Text Block]
Description of accounting policy for insurance contracts and related assets, liabilities, income and expense [Text Block]
Description of accounting policy for intangible assets and goodwill [Text Block]
Description of accounting policy for intangible assets other than goodwill [Text Block]
Description of accounting policy for interest income and expense [Text Block]
Description of accounting policy for investment in associates [Text Block]
Description of accounting policy for investment in associates and joint ventures [Text Block]
Description of accounting policy for investments in joint ventures [Text Block]
Description of accounting policy for investment property [Text Block]
Description of accounting policy for investments other than investments accounted for using equity method [Text Block]
Description of accounting policy for issued capital [Text Block]
Description of accounting policy for leases [Text Block]
Description of accounting policy for loans and receivables [Text Block]
Description of accounting policy for measuring inventories [Text Block]
Description of accounting policy for mining assets [Text Block]
Description of accounting policy for mining rights [Text Block]
Description of accounting policy for non-current assets or disposal groups classified as held for sale [Text Block]
Description of accounting policy for non-current assets or disposal groups classified as held for sale and discontinued operations [Text Block]
Description of accounting policy for offsetting of financial instruments [Text Block]
Description of accounting policy for oil and gas assets [Text Block]
Description of accounting policy for programming assets [Text Block]
Description of accounting policy for property, plant and equipment [Text Block]
Description of accounting policy for provisions [Text Block]
Description of accounting policy for reclassification of financial instruments [Text Block]
Description of accounting policy for recognising in profit or loss difference between fair value at initial recognition and transaction price [Text Block]
Description of accounting policy for recognition of revenue [Text Block]
Description of accounting policy for regulatory deferral accounts [Text Block]
Description of accounting policy for reinsurance [Text Block]
Description of accounting policy for repairs and maintenance [Text Block]
Description of accounting policy for repurchase and reverse repurchase agreements [Text Block]
Description of accounting policy for research and development expense [Text Block]
Description of accounting policy for restricted cash and cash equivalents [Text Block]
Description of accounting policy for segment reporting [Text Block]
Description of accounting policy for service concession arrangements [Text Block]
Description of accounting policy for share-based payment transactions [Text Block]
Description of accounting policy for stripping costs [Text Block]
Description of accounting policy for subsidiaries [Text Block]
Description of accounting policy for taxes other than income tax [Text Block]
Description of accounting policy for termination benefits [Text Block]
Description of accounting policy for transactions with non-controlling interests [Text Block]
Description of accounting policy for transactions with related parties [Text Block]
Description of accounting policy for treasury shares [Text Block]
Description of accounting policy for warrants [Text Block]
Description of accounting policy for exemption availed on first time adoption
Description of other accounting policies relevant to understanding of financial statements [Text Block]
[610200] Notes - Corporate information and statement of IndAs compliance
Disclosure of corporate information notes and other explanatory information [Text Block]
Statement of Ind AS compliance [Text Block]
Management conclusion on fair presentation as consequence of departure
Explanation of departure from Ind AS
Explanation of financial effect of departure from Ind AS
Explanation of nature of requirement in Ind AS and conclusion why requirement is in conflict with objective of financial statements set out in Framework
Explanation of adjustments that would be necessary to achieve fair presentation
Disclosure of uncertainties of entity's ability to continue as going concern [Text Block]
Explanation of fact and basis for preparation of financial statements when not going concern basis
Explanation of why entity not regarded as going concern
Description of reason for using longer or shorter reporting period
Description of fact that amounts presented in financial statements are not entirely comparable
Whether there are reclassifications to comparative amounts
Disclosure of reclassifications or changes in presentation [Text Block]
Disclosure of reclassifications or changes in presentation [Abstract]
Disclosure of reclassifications or changes in presentation [Table]
Reclassified items [Axis]
Disclosure of reclassifications or changes in presentation [Line items]
Description of nature of reclassifications or changes in presentation
Amount of reclassifications or changes in presentation
Description of reason for reclassifications or changes in presentation
Description of reason why reclassification of comparative amounts is impracticable
Description of nature of necessary adjustments to provide comparative information
Disclosure of amounts to be recovered or settled after twelve months for classes of assets and liabilities that contain amounts to be recovered or settled both no more and more than twelve months after reporting date [Text Block]
Disclosure of amounts to be recovered or settled after twelve months for classes of assets and liabilities that contain amounts to be recovered or settled both no more and more than twelve months after reporting date [Abstract]
Disclosure of amounts to be recovered or settled after twelve months for classes of assets and liabilities that contain amounts to be recovered or settled both no more and more than twelve months after reporting date [Table]
Maturity [Axis]
Aggregated time bands [Member]
Not later than one year [Member]
Later than one year [Member]
Disclosure of amounts to be recovered or settled after twelve months for classes of assets and liabilities that contain amounts to be recovered or settled both no more and more than twelve months after reporting date [Line items]
Current inventories
Current trade receivables
Current trade payables
Disclosure of significant accounting policies [Text Block]
Explanation of measurement bases used in preparing financial statements [Text Block]
Description of other accounting policies relevant to understanding of financial statements [Text Block]
Explanation of management judgements in applying entity's accounting policies with significant effect on recognised amounts
Explanation of sources of estimation uncertainty with significant risk of causing material adjustment
Disclosure of assets and liabilities with significant risk of material adjustment [Text Block]
Disclosure of assets and liabilities with significant risk of material adjustment [Abstract]
Disclosure of assets and liabilities with significant risk of material adjustment [Table]
Assets and liabilities [Axis]
Disclosure of assets and liabilities with significant risk of material adjustment [Line items]
Description of nature of assets with significant risk of material adjustments within next financial year
Description of nature of liabilities with significant risk of material adjustments within next financial year
Assets with significant risk of material adjustments within next financial year
Liabilities with significant risk of material adjustments within next financial year
Disclosure of objectives, policies and processes for managing capital [Text Block]
Disclosure of objectives, policies and processes for managing capital [Abstract]
Disclosure of objectives, policies and processes for managing capital [Table]
Capital requirements [Axis]
Disclosure of objectives, policies and processes for managing capital [Line items]
Qualitative information about entity's objectives, policies and processes for managing capital
Summary quantitative data about what entity manages as capital
Description of changes in entity's objectives, policies and processes for managing capital and what entity manages as capital
Information whether entity complied with any externally imposed capital requirements
Information about consequences of non-compliance with externally imposed capital requirements
Dividends recognised as distributions to owners per share
Dividends proposed or declared before financial statements authorised for issue but not recognised as distribution to owners
Dividends proposed or declared before financial statements authorised for issue but not recognised as distribution to owners per share
Cumulative preference dividends not recognised
Equity reclassified into financial liabilities
Financial liabilities reclassified into equity
Description of timing and reason of reclassification between financial liabilities and equity
[610300] Notes - Accounting policies, changes in accounting estimates and errors
Disclosure of changes in accounting policies, accounting estimates and errors [Text Block]
Disclosure of initial application of standards or interpretations [Text Block]
Disclosure of initial application of standards or interpretations [Abstract]
Disclosure of initial application of standards or interpretations [Table]
Initially applied Ind ASs [Axis]
Disclosure of initial application of standards or interpretations [Line items]
Title of initially applied Ind AS
Description whether change in accounting policy is made in accordance with transitional provisions of initially applied Ind AS
Description of nature of change in accounting policy
Description of transitional provisions of initially applied Ind AS
Description of transitional provisions of initially applied Ind AS that might have effect on future periods
Disclosure of voluntary change in accounting policy [Text Block]
Disclosure of voluntary change in accounting policy [Abstract]
Disclosure of voluntary change in accounting policy [Table]
Voluntary changes in accounting policy [Axis]
Disclosure of voluntary change in accounting policy [Line items]
Description of nature of voluntary change in accounting policy
Description of reasons why applying new accounting policy provides reliable and more relevant information
Explanation of new Ind AS not applied
Disclosure of expected impact of initial application of new standards or interpretations [Text Block]
Disclosure of expected impact of initial application of new standards or interpretations [Abstract]
Disclosure of expected impact of initial application of new standards or interpretations [Table]
New Ind AS [Axis]
Disclosure of expected impact of initial application of new standards or interpretations [Line items]
Title of new Ind AS
Description of nature of impending change in accounting policy
Date by which application of new Ind AS is required
Date as at which entity plans to apply new Ind AS initially
Discussion of impact that initial application of new Ind AS is expected to have on financial statements
Description of fact that impact of initial application of new Ind AS is not known or reasonably estimable
Explanation of reason why it is impracticable to determine amounts of adjustments related to change in accounting policy
Disclosure of changes in accounting estimates [Text Block]
Disclosure of changes in accounting estimates [Abstract]
Disclosure of changes in accounting estimates [Table]
Accounting estimates [Axis]
Disclosure of changes in accounting estimates [Line items]
Description of nature of change in accounting estimate [Text Block]
Increase (decrease) in accounting estimate
Description of fact that amount of change in accounting estimate is impracticable [Text Block]
Description of nature of accounting errors in prior periods [Text Block]
Explanation of reason why it is impracticable to determine amounts for correction related to prior period errors
[610400] Notes - Interim financial reporting
Disclosure of interim financial reporting [Text Block]
Description of significant events and transactions
Description of cross-reference to disclosures presented outside interim financial statements
Description of accounting policies and methods of computation followed in interim financial statements [Text Block]
Explanation of seasonality or cyclicality of interim operations
Explanation of nature and amount of items affecting assets, liabilities, equity, net income or cash flows that are unusual because of their nature size or incidence
Explanation of nature and amount of changes in estimates of amounts reported in prior interim periods or prior financial years
Explanation of issues, repurchases and repayments of debt and equity securities
Dividends paid, ordinary shares
Dividends paid, other shares
Dividends paid, ordinary shares per share
Dividends paid, other shares per share
Explanation of events after interim period that have not been reflected
Explanation of effect of changes in composition of entity during interim period
Description of compliance with Ind AS if applied for interim financial report
Description of nature and amount of change in estimate during final interim period
[610500] Notes - Events after reporting period
Disclosure of events after reporting period [Text Block]
Explanation of body of approval
Date of approval for issue of financial statements
Explanation of fact that entity's owners or others have power to amend financial statements after issue
Disclosure of non-adjusting events after reporting period [Text Block]
Disclosure of non-adjusting events after reporting period [Abstract]
Disclosure of non-adjusting events after reporting period [Table]
Non-adjusting events after reporting period [Axis]
Non-adjusting events after reporting period [Member]
Major business combination [Member]
Disposal of major subsidiary [Member]
Announcement of plan to discontinue operation [Member]
Major purchases of assets [Member]
Classification of assets as held for sale [Member]
Other disposals of assets [Member]
Expropriation of major assets by government [Member]
Destruction of major production plant [Member]
Announcing or commencing implementation of major restructuring [Member]
Major ordinary share transactions [Member]
Potential ordinary share transactions [Member]
Abnormally large changes in Assets prices or foreign exchange rates [Member]
Changes in tax rates or tax laws enacted or announced [Member]
Entering into significant commitments or contingent liabilities [Member]
Commencement of major litigation [Member]
Disclosure of non-adjusting events after reporting period [Line items]
Description of nature of non-adjusting event after reporting period
Explanation of financial effect of non-adjusting event after reporting period [Text Block]
Dividends proposed or declared before financial statements approval for issue but not recognised as distribution to owners
[610600] Notes - Hyperinflationary reporting
Disclosure of hyperinflationary reporting [Text Block]
Explanation of fact that financial statements and corresponding figures for previous periods have been restated for changes in general purchasing power of functional currency
Description of bases of financial statements that have been restated for changes in general purchasing power of functional currency
Description of identity of price index
Level of price index
Price index movements
Gains (losses) on net monetary position
Duration of the hyperinflationary situation existing in the economy
[610700] Notes - Business combinations
Disclosure of business combinations [Text Block]
Description of nature and financial effect of business combinations during period
Description of nature and financial effect of business combinations after reporting period before statements authorised for issue
Explanation of financial effect of adjustments related to business combinations
Additional information about nature and financial effect of business combination
Disclosure of detailed information about business combinations [Text Block]
Disclosure of detailed information about business combination [Abstract]
Disclosure of detailed information about business combination [Table]
Business combinations [Axis]
Disclosure of detailed information about business combination [Line items]
Name of acquiree
Description of acquiree
Date of acquisition
Percentage of voting equity interests acquired
Description of primary reasons for business combination
Description of how acquirer obtained control of acquiree
Description of factors that make up goodwill recognised
Acquisition-date fair value of total consideration transferred [Abstract]
Cash transferred
Other tangible or intangible assets transferred
Liabilities incurred
Equity interests of acquirer
Number of instruments or interests issued or issuable
Description of method of measuring fair value of instruments or interests
Total consideration transferred, acquisition-date fair value
Contingent consideration arrangements and indemnification assets recognised as of acquisition date
Description of arrangement for contingent consideration arrangements and indemnification assets
Description of basis for determining amount of payment for contingent consideration arrangements and indemnification assets
Description of estimate of range of undiscounted outcomes from contingent consideration arrangements and indemnification assets
Description of explanation of fact and reasons why range of outcomes from contingent consideration arrangements and indemnification assets cannot be estimated
Explanation of fact that maximum amount of payment for contingent consideration arrangements and indemnification assets is unlimited
Amounts recognised as of acquisition date for each major class of assets acquired and liabilities assumed [Abstract]
Financial assets recognised as of acquisition date
Inventory recognised as of acquisition date
Property, plant and equipment recognised as of acquisition date
Identifiable intangible assets recognised as of acquisition date
Customer-related intangible assets recognised as of acquisition date
Technology-based intangible assets recognised as of acquisition date
Financial liabilities recognised as of acquisition date
Contingent liabilities recognised as of acquisition date
Net identifiable assets acquired (liabilities assumed)
Additional disclosures for amounts recognised as of acquisition date for each major class of assets acquired and liabilities assumed [Abstract]
Non-current assets recognised as of acquisition date
Current assets recognised as of acquisition date
Non-current liabilities recognised as of acquisition date
Current liabilities recognised as of acquisition date
Trade and other payables recognised as of acquisition date
Deferred tax assets recognised as of acquisition date
Deferred tax liabilities recognised as of acquisition date
Borrowings recognised as of acquisition date
Deferred income recognised as of acquisition date
Cash and cash equivalents recognised as of acquisition date
Goodwill expected to be deductible for tax purposes
Gain recognised in bargain purchase transaction
Amount of any gain directly recognised in equity
Description of reasons why bargain purchase transaction resulted in gain
Non-controlling interest in acquiree recognised at acquisition date
Description of measurement basis for non-controlling interest in acquiree recognised at acquisition date
Description of valuation techniques and significant inputs used to measure non-controlling interest in acquiree measured at fair value
Acquisition-date fair value of equity interest in acquiree held by acquirer immediately before acquisition date
Gain (loss) recognised as result of remeasuring to fair value equity interest in acquiree held by acquirer before business combination
Description of line item of statement of profit and loss in which gain or loss as result of remeasuring to fair value equity interest is recognised
Revenue of acquiree since acquisition date
Profit (loss) of acquiree since acquisition date
Revenue of combined entity as if combination occurred at beginning of period
Profit (loss) of combined entity as if combination occurred at beginning of period
Explanation of fact and explanation of why disclosure of information on revenues and profit or loss is impracticable
Description of reasons why initial accounting for business combination is incomplete
Description of assets, liabilities, equity interests or items of consideration for which initial accounting is incomplete
Description of nature of any measurement period adjustments recognised for particular assets, liabilities, non-controlling interests or items of consideration
Measurement period adjustments recognised for particular assets, liabilities, non-controlling interests or items of consideration
Increase (decrease) in contingent consideration Assets (liability)
Explanation of any changes in recognised amounts of contingent consideration
Explanation of any changes in range of undiscounted outcomes and reasons for those changes for contingent consideration
Description of valuation techniques and key model inputs used to measure contingent consideration
Gain (loss) that relates to identifiable assets acquired or liabilities assumed in business combination and is of such size, nature or incidence that disclosure is relevant to understanding combined entity's financial statements
Explanation of gain or loss that relates to identifiable assets acquired or liabilities assumed in business combination and is of such size, nature or incidence that disclosure is relevant to understanding combined entity's financial statements
Disclosure of reconciliation of changes in goodwill [Text Block]
Disclosure of reconciliation of changes in goodwill [Abstract]
Disclosure of reconciliation of changes in goodwill [Table]
Business combinations [Axis]
Carrying amount, accumulated depreciation, amortisation and impairment and gross carrying amount [Axis]
Carrying amount [Member]
Gross carrying amount [Member]
Accumulated impairment [Member]
Disclosure of reconciliation of changes in goodwill [Line items]
Name of acquiree
Description of acquiree
Reconciliation of changes in goodwill [Abstract]
Goodwill at beginning of period
Changes in goodwill [Abstract]
Additional recognition, goodwill
Subsequent recognition of deferred tax assets, goodwill
Decrease through classified as held for sale, goodwill
Goodwill derecognised without having previously been included in disposal group classified as held for sale
Impairment loss recognised in profit or loss, goodwill
Increase (decrease) through net exchange differences
Increase (decrease) through transfers and other changes
Total increase (decrease) in goodwill
Goodwill at end of period
Disclosure of transactions recognised separately from acquisition of assets and assumption of liabilities in business combination [Text Block]
Disclosure of transactions recognised separately from acquisition of assets and assumption of liabilities in business combination [Abstract]
Disclosure of transactions recognised separately from acquisition of assets and assumption of liabilities in business combination [Table]
Business combinations [Axis]
Transactions recognised separately from acquisition of assets and assumption of liabilities in business combination [Axis]
Disclosure of transactions recognised separately from acquisition of assets and assumption of liabilities in business combination [Line items]
Description of line items in financial statements for amounts recognised for transaction recognised separately from acquisition of assets and assumption of liabilities in business combination
Description of how issue costs not recognised as expense were recognised for transaction recognised separately from acquisition of assets and assumption of liabilities in business combination
Name of acquiree
Description of acquiree
Description of transaction recognised separately from acquisition of assets and assumption of liabilities in business combination
Description of accounting for transaction recognised separately from acquisition of assets and assumption of liabilities in business combination
Amounts recognised for transaction recognised separately from acquisition of assets and assumption of liabilities in business combination
Acquisition-related costs for transaction recognised separately from acquisition of assets and assumption of liabilities in business combination
Acquisition-related costs recognised as expense for transaction recognised separately from acquisition of assets and assumption of liabilities in business combination
Issue costs not recognised as expense for transaction recognised separately from acquisition of assets and assumption of liabilities in business combination
Description of line items in statement of comprehensive income for amounts of acquisition-related costs recognised as expense for transaction recognised separately from acquisition of assets and assumption of liabilities in business combination
Method used to determine settlement amount for pre-existing relationship for transaction recognised separately from acquisition of assets and assumption of liabilities in business combination
Disclosure of acquired receivables [Text Block]
Disclosure of acquired receivables [Abstract]
Disclosure of acquired receivables [Table]
Business combinations [Axis]
Classes of acquired receivables [Axis]
Classes of acquired receivables [Member]
Loans acquired in business combination [Member]
Direct finance leases acquired in business combination [Member]
Other acquired receivables [Member]
Other acquired receivables 1 [Member]
Other acquired receivables 2 [Member]
Other acquired receivables 3 [Member]
Other acquired receivables 4 [Member]
Other acquired receivables 5 [Member]
Disclosure of acquired receivables [Line items]
Name of acquiree
Description of acquiree
Fair value of acquired receivables
Gross contractual amounts receivable for acquired receivables
Best estimate at acquisition date of contractual cash flows not expected to be collected for acquired receivables
Disclosure of contingent liabilities in business combination [Text Block]
Disclosure of contingent liabilities in business combination [Abstract]
Disclosure of contingent liabilities in business combination [Table]
Business combinations [Axis]
Classes of contingent liabilities [Axis]
Contingent liabilities [Member]
Warranty contingent liability [Member]
Restructuring contingent liability [Member]
Legal proceedings contingent liability [Member]
Onerous contracts contingent liability [Member]
Contingent liability for decommissioning restoration and rehabilitation costs [Member]
Other environment related contingent liability [Member]
Tax contingent liability [Member]
Contingent liability for guarantees [Member]
Contingent liabilities of joint venture [Member]
Contingencies related to government grant [Member]
Share of contingent liabilities of associates [Member]
Contingent liability arising from post-employment benefit obligations [Member]
Other contingent liabilities [Member]
Indemnity for guarantees given by bank [Member]
Indemnity for guarantees given by financial institutions [Member]
Guarantee given for letter of credit [Member]
Guarantee given for related parties [Member]
Other guarantees given [Member]
Contingent liability on bill discounted [Member]
Contingent liability on uncalled liability on partly paid-up shares [Member]
Contingent liability on disputed tax liabilities relating to sales service and income [Member]
Contingent liability on disputed sales tax [Member]
Contingent liability on disputed income tax [Member]
Contingent liability on disputed excise demands [Member]
Contingent liability on disputed custom demands [Member]
Contingent liability on disputed service tax demands [Member]
Contingent liability on other disputed tax liabilities [Member]
Contingent liability on disputed liability relating to employees and other staff [Member]
Contingent liability relating to provisions under companies act [Member]
Contingent liability in foreign exchange [Member]
Contingent liabilities in respect of derivative transactions [Member]
Contingent liability on liquidated damages for delay in delivery of goods [Member]
Contingent liability on lease commitments [Member]
Contingent liability on environmental liabilities [Member]
Contingent liability on disputed liabilities pending before court [Member]
Contingent liabilities in respect of technology know-how fees royalties [Member]
Other contingent liabilities, others [Member]
Disclosure of contingent liabilities in business combination [Line items]
Description of nature of obligation, contingent liabilities in business combination
Description of expected timing of outflows, contingent liabilities in business combination
Indication of uncertainties of amount or timing of outflows, contingent liabilities in business combination
Description of major assumptions made concerning future events, contingent liabilities in business combination
Expected reimbursement, contingent liabilities in business combination
Assets recognised for expected reimbursement, contingent liabilities in business combination
Explanation of estimated financial effect, contingent liabilities in business combination
Estimated financial effect, contingent liabilities in business combination
Explanation of possibility of reimbursement, contingent liabilities in business combination
Description of reasons why liability cannot be measured reliably
Reconciliation of changes in contingent liabilities recognised in business combination [Abstract]
Contingent liabilities recognised in business combination at beginning of period
Changes in contingent liabilities recognised in business combination [Abstract]
Additional liabilities, contingent liabilities recognised in business combination [Abstract]
New liabilities, contingent liabilities recognised in business combination
Increase in existing liabilities, contingent liabilities recognised in business combination
Total additional liabilities, contingent liabilities recognised in business combination
Settled liabilities, contingent liabilities recognised in business combination
Reversed unsettled liabilities, contingent liabilities recognised in business combination
Increase through adjustments arising from passage of time, contingent liabilities recognised in business combination
Increase (decrease) through change in discount rate, contingent liabilities recognised in business combination
Total increase (decrease) in contingent liabilities recognised in business combination
Contingent liabilities recognised in business combination at end of period
Explanation of which disclosures could not be made and reasons why they cannot be made if initial accounting for business combination is incomplete at time financial statements are authorised for issue
[610800] Notes - Related party
Disclosure of related party [Text Block]
Name of parent entity
Name of ultimate parent of group
Name of most senior parent entity producing publicly available financial statements
Explanation of relationships between parent and subsidiaries
Key management personnel compensation, short-term employee benefits
Key management personnel compensation, post-employment benefits
Key management personnel compensation, other long-term employee benefits
Key management personnel compensation, termination benefits
Key management personnel compensation, share-based payment
Key management personnel compensation
Whether there are any related party transactions during year
Disclosure of transactions between related parties [Text Block]
Disclosure of transactions between related parties [Abstract]
Disclosure of transactions between related parties [Table]
Categories of related parties [Axis]
Related parties [Member]
Parent [Member]
Entities with joint control or significant influence over entity [Member]
Subsidiaries [Member]
Associates [Member]
Joint ventures where entity is venturer [Member]
Key management personnel of entity or parent [Member]
Other related parties [Member]
Related party [Axis]
Disclosure of transactions between related parties [Line items]
Name of related party
Country of incorporation or residence of related party
Permanent account number of related party
CIN of related party
Identification number of foreign related party in country of incorporation or residence
Description of nature of transactions with related party
Description of nature of related party relationship
Related party transactions [Abstract]
Purchases of goods related party transactions
Revenue from sale of goods related party transactions
Purchases of property and other assets, related party transactions
Sales of property and other assets, related party transactions
Services received related party transactions
Revenue from rendering of services related party transactions
Leases as lessor related party transactions
Leases as lessee related party transactions
Transfers of research and development from entity related party transactions
Transfers of research and development to entity related party transactions
Transfers under license agreements from entity related party transactions
Transfers under license agreements to entity related party transactions
Transfers under finance agreements from entity, related party transactions
Transfers under finance agreements to entity, related party transactions
Provision of guarantees or collateral by entity related party transactions
Provision of guarantees or collateral to entity related party transactions
Commitments made by entity, related party transactions
Commitments made on behalf of entity, related party transactions
Settlement of liabilities by entity on behalf of related party, related party transactions
Settlement of liabilities on behalf of entity by related party, related party transactions
Participation in defined benefit plan that shares risks between group entities, related party transactions
Other related party transactions expense
Other related party transactions income
Other related party transactions contribution made
Other related party transactions contribution received
Outstanding balances for related party transactions [Abstract]
Amounts payable related party transactions
Amounts receivable related party transactions
Outstanding commitments made by entity, related party transactions
Outstanding commitments made on behalf of entity, related party transactions
Explanation of terms and conditions of outstanding balances for related party transaction
Explanation of details of guarantees given or received of outstanding balances for related party transaction
Provisions for doubtful debts related to outstanding balances of related party transaction
Expense recognised during period for bad and doubtful debts for related party transaction
Disclosure of amounts incurred by entity for provision of key management personnel services provided by separate management entities [Text Block]
Disclosure of amounts incurred by entity for provision of key management personnel services provided by separate management entities [Abstract]
Disclosure of amounts incurred by entity for provision of key management personnel services provided by separate management entities [Table]
Separate management entities [Axis]
Disclosure of amounts incurred by entity for provision of key management personnel services provided by separate management entities [Line items]
Description of transaction by entity for provision of key management personnel services provided by separate management entities
Amount incurred by entity for provision of key management personnel services provided by separate management entity
Disclosure that related party transactions were made on terms equivalent to those that prevail in arm's length transactions
Explanation of whether entity applies exemption in Ind AS 24.25
Name of government and nature of relationship with government
Explanation of nature and amount of significant transactions
Description of other transactions that are collectively significant
Other information subsidiary details [Abstract]
Whether company is subsidiary company
Section under which company is subsidiary
[610900] Notes - First time adoption
Disclosure of first-time adoption [Text Block]
Whether company has adopted Ind AS first time
Description of nature of main adjustments that would make historical summaries or comparative information presented in accordance with previous GAAP comply with Ind AS
Disclosure of reconciliation of equity from previous GAAP to Ind AS [Text Block]
Disclosure of reconciliation of equity from previous GAAP to Ind AS [Abstract]
Equity as per Indian GAAP
Ind AS Adjustment for equity
Equity as per Ind AS
Disclosure of equity Ind AS adjustment [Abstract]
Disclosure of equity Ind AS adjustment [Table]
Ind AS adjustment for equity [Axis]
Disclosure of equity Ind AS adjustment [Line items]
Description of Ind AS adjustment
Ind AS Adjustment for equity
Disclosure of reconciliation of comprehensive income from previous GAAP to Ind AS [Text Block]
Disclosure of reconciliation of comprehensive income from previous GAAP to Ind AS [Abstract]
Comprehensive income as per Indian GAAP
Ind AS Adjustment for comprehensive income
Comprehensive income as per Ind AS
Disclosure of comprehensive income Ind AS adjustment [Abstract]
Disclosure of comprehensive income Ind AS adjustment [Table]
Ind AS adjustment for comprehensive income [Axis]
Disclosure of comprehensive income Ind AS adjustment [Line items]
Description of Ind AS adjustment
Ind AS Adjustment for comprehensive income
Disclosure of reconciliation of profit (loss) for the period from previous GAAP to Ind AS [Text Block]
Disclosure of reconciliation of profit (loss) for the period from previous GAAP to Ind AS [Abstract]
Profit (loss) for the period as per Indian GAAP
Ind AS Adjustment for profit (loss) for the period
Profit (loss) for the period as per Ind AS
Disclosure of profit (loss) for the period Ind AS adjustment [Abstract]
Disclosure of profit (loss) for the period Ind AS adjustment [Table]
Ind AS adjustment for profit (loss) for the period [Axis]
Disclosure of profit (loss) for the period Ind AS adjustment [Line items]
Description of Ind AS adjustment
Ind AS Adjustment for profit (loss) for the period
Explanation of effect of transition on reported financial position
Explanation of effect of transition on reported financial performance
Explanation of effect of transition on reported cash flows
Explanation of fact that financial statements for previous periods not presented
Explanation of cross-reference to interim financial statement disclosures for first-time adopter
Disclosure of redesignated financial assets and liabilities [Text Block]
Disclosure of redesignated financial assets and liabilities [Abstract]
Disclosure of redesignated financial assets and liabilities [Table]
Redesignation [Axis]
Redesignated [Member]
Previous GAAP [Member]
Redesignated amount [Member]
Disclosure of redesignated financial assets and liabilities [Line items]
Redesignated financial assets as at fair value through profit or loss
Redesignated financial liability as at fair value through profit or loss
Description of redesignated financial liabilities
Description of redesignated financial assets
Disclosure of fair values of items used as deemed cost [Text Block]
Disclosure of fair values of items used as deemed cost [Abstract]
Disclosure of fair values of items used as deemed cost [Table]
Fair value as deemed cost [Axis]
Aggregate of fair values [Member]
Previous GAAP [Member]
Aggregate adjustment to carrying amounts reported under previous GAAP [Member]
Disclosure of fair values of items used as deemed cost [Line items]
Intangible Assets fair value used as deemed cost
Property, plant and equipment fair value used as deemed cost
Investment property fair value used as deemed cost
Right-of-use Assets fair value used as deemed cost
Aggregate deemed cost of investments for which deemed cost is previous GAAP carrying amount
Aggregate deemed cost of investments for which deemed cost is fair value
Aggregate adjustment to carrying amounts of investments reported under previous GAAP
Description of fact and basis on which carrying amounts determined under previous GAAP were allocated if entity uses exemption in Ind AS 101.D8A(b)
Description of fact and basis on which carrying amounts were determined under previous GAAP if entity uses exemption in Ind AS 101.D8B
[611000] Notes - Exploration for and evaluation of mineral resources
Disclosure of exploration and evaluation assets [Text Block]
Description of accounting policy for exploration and evaluation expenditures [Text Block]
Assets arising from exploration for and evaluation of mineral resources
Liabilities arising from exploration for and evaluation of mineral resources
Income arising from exploration for and evaluation of mineral resources
Expense arising from exploration for and evaluation of mineral resources
Cash flows from (used in) exploration for and evaluation of mineral resources, classified as operating activities
Cash flows from (used in) exploration for and evaluation of mineral resources, classified as investing activities
[611100] Notes - Financial instruments
Disclosure of financial instruments [Text Block]
Disclosure of detailed information about financial instruments [Text Block]
Disclosure of detailed information about financial instruments [Abstract]
Disclosure of detailed information about financial instruments [Table]
Classes of financial instruments [Axis]
Financial instruments, class [Member]
Loan commitments [Member]
Financial guarantee contracts [Member]
Trade receivables [Member]
Contract assets [Member]
Lease receivables [Member]
Mortgages [Member]
Consumer loans [Member]
Corporate loans [Member]
Trade payables [Member]
Other payables [Member]
Other financial instruments [Member]
Other financial instruments 1 [Member]
Other financial instruments 2 [Member]
Other financial instruments 3 [Member]
Other financial instruments 4 [Member]
Other financial instruments 5 [Member]
Other financial instruments 6 [Member]
Other financial instruments 7 [Member]
Other financial instruments 8 [Member]
Other financial instruments 9 [Member]
Other financial instruments 10 [Member]
Disclosure of detailed information about financial instruments [Line items]
Description of accounting policy for recognising in profit or loss difference between fair value at initial recognition and transaction price [Text Block]
Reconciliation of aggregate difference between fair value at initial recognition and transaction price yet to be recognised in profit or loss [Abstract]
Aggregate difference between fair value at initial recognition and transaction price yet to be recognised in profit or loss at beginning of period
Changes in aggregate difference between fair value at initial recognition and transaction price yet to be recognised in profit or loss [Abstract]
Other increases, aggregate difference between fair value at initial recognition and transaction price yet to be recognised in profit or loss
Increase (decrease) through new transactions, aggregate difference between fair value at initial recognition and transaction price yet to be recognised in profit or loss
Increase (decrease) through amounts recognised in profit or loss, aggregate difference between fair value at initial recognition and transaction price yet to be recognised in profit or loss
Other decreases, aggregate difference between fair value at initial recognition and transaction price yet to be recognised in profit or loss
Total increase (decrease) in aggregate difference between fair value at initial recognition and transaction price yet to be recognised in profit or loss
Aggregate difference between fair value at initial recognition and transaction price yet to be recognised in profit or loss at end of period
Nature of other financial instruments
Description of conclusion why transaction price was not best evidence of fair value
Maximum exposure to credit risk
Description of collateral held as security and other credit enhancements and their financial effect in respect of amount that best represents maximum exposure
Description of collateral held as security and other credit enhancements
Information about collateral held as security and other credit enhancements for credit-impaired financial assets [Text Block]
Maximum exposure to credit risk, financial instruments to which impairment requirements in Ind AS 9 are not applied
Description of collateral held as security and other credit enhancements and their financial effect in respect of amount that best represents maximum exposure, financial instruments to which impairment requirements in Ind AS 9 are not applied
Disclosure of financial assets [Text Block]
Disclosure of financial assets [Abstract]
Disclosure of financial assets [Table]
Classes of financial assets [Axis]
Financial assets, class [Member]
Financial assets at amortised cost, class [Member]
Mortgages [Member]
Consumer loans [Member]
Corporate loans [Member]
Trade receivables [Member]
Other financial assets at amortised cost class [Member]
Other financial assets at amortised cost class 1 [Member]
Other financial assets at amortised cost class 2 [Member]
Other financial assets at amortised cost class 3 [Member]
Other financial assets at amortised cost class 4 [Member]
Other financial assets at amortised cost class 5 [Member]
Other financial assets at amortised cost class 6 [Member]
Other financial assets at amortised cost class 7 [Member]
Other financial assets at amortised cost class 8 [Member]
Other financial assets at amortised cost class 9 [Member]
Other financial assets at amortised cost class 10 [Member]
Financial assets at fair value, class [Member]
Trading securities [Member]
Derivatives [Member]
Option contract [Member]
Futures contract [Member]
Swap contract [Member]
Currency swap contract [Member]
Interest rate swap contract [Member]
Forward contract [Member]
Equity investments [Member]
Other financial assets at fair value class [Member]
Other financial assets at fair value class 1 [Member]
Other financial assets at fair value class 2 [Member]
Other financial assets at fair value class 3 [Member]
Other financial assets at fair value class 4 [Member]
Other financial assets at fair value class 5 [Member]
Other financial assets at fair value class 6 [Member]
Other financial assets at fair value class 7 [Member]
Other financial assets at fair value class 8 [Member]
Other financial assets at fair value class 9 [Member]
Other financial assets at fair value class 10 [Member]
Financial assets outside scope of Ind AS 107, class [Member]
Categories of financial assets [Axis]
Financial assets, category [Member]
Financial assets at fair value through profit or loss, category [Member]
Financial assets at fair value through profit or loss, designated upon initial recognition or subsequently, category [Member]
Financial assets at fair value through profit or loss, classified as held for trading, category [Member]
Financial assets at fair value through profit or loss, mandatorily measured at fair value, category [Member]
Financial assets at amortised cost, category [Member]
Financial assets at fair value through other comprehensive income, category [Member]
Financial assets measured at fair value through other comprehensive income, category [Member]
Investments in equity instruments designated at fair value through other comprehensive income [Member]
Disclosure of financial assets [Line items]
Financial assets
Financial assets, at fair value
Description of other financial assets at amortised cost class
Description of other financial assets at fair value class
Disclosure of financial liabilities [Text Block]
Disclosure of financial liabilities [Abstract]
Disclosure of financial liabilities [Table]
Classes of financial liabilities [Axis]
Financial liabilities, class [Member]
Financial liabilities at amortised cost, class [Member]
Financial liabilities at fair value, class [Member]
Financial liabilities outside scope of Ind AS 107, class [Member]
Categories of financial liabilities [Axis]
Financial liabilities, category [Member]
Financial liabilities at fair value through profit or loss, category [Member]
Financial liabilities at fair value through profit or loss, designated upon initial recognition or subsequently, category [Member]
Financial liabilities at fair value through profit or loss that meet definition of held for trading, category [Member]
Financial liabilities at amortised cost, category [Member]
Disclosure of financial liabilities [Line items]
Financial liabilities
Financial liabilities, at fair value
Designated loans or receivables at fair value through profit or loss [Abstract]
Maximum exposure to credit risk of loans or receivables
Amount by which loans or receivables related credit derivatives or similar instruments mitigate maximum exposure to credit risk
Increase (decrease) in fair value of loans or receivables, attributable to changes in credit risk of financial assets
Accumulated increase (decrease) in fair value of loan or receivable, attributable to changes in credit risk of financial assets
Increase (decrease) in fair value of loans or receivables related credit derivatives or similar instruments
Accumulated increase (decrease) in fair value of loans or receivables related credit derivatives or similar instruments
Financial assets designated as measured at fair value through profit or loss [Abstract]
Maximum exposure to credit risk of financial assets designated as measured at fair value through profit or loss
Amount by which financial assets designated as measured at fair value through profit or loss related credit derivatives or similar instruments mitigate maximum exposure to credit risk
Increase (decrease) in fair value of financial assets designated as measured at fair value through profit or loss, attributable to changes in credit risk of financial assets
Accumulated increase (decrease) in fair value of financial assets designated as measured at fair value through profit or loss, attributable to changes in credit risk of financial assets
Increase (decrease) in fair value of financial assets designated as measured at fair value through profit or loss related credit derivatives or similar instruments
Accumulated increase (decrease) in fair value of financial assets designated as measured at fair value through profit or loss related credit derivatives or similar instruments
Designated financial liabilities at fair value through profit or loss [Abstract]
Increase (decrease) in fair value of financial liability, attributable to changes in credit risk of liability
Accumulated increase (decrease) in fair value of financial liability, attributable to changes in credit risk of liability
Difference between carrying amount of financial liability and amount contractually required to pay at maturity to holder of obligation
Transfers of cumulative gain (loss) within equity when changes in liability's credit risk are presented in other comprehensive income
Description of reasons for transfers of cumulative gain (loss) within equity when changes in liability's credit risk are presented in other comprehensive income
Amount presented in other comprehensive income realised at derecognition of financial liability
Description of methods to determine amount of changes in fair value of financial assets and financial liabilities attributable to changes in credit risk
Description of reasons and relevant factors why amount of changes in fair value of financial assets and financial liabilities attributable to changes in credit risk are not faithfully represented
Description of methodology or methodologies used to determine whether presenting effects of changes in liability's credit risk in other comprehensive income would create or enlarge accounting mismatch in profit or loss
Description of investments in equity instrument designated at fair value through other comprehensive income
Description of reason for using presentation alternative
Disclosure of fair value of investments in equity instruments designated at fair value through other comprehensive income [Text Block]
Disclosure of fair value of investments in equity instruments designated at fair value through other comprehensive income [Abstract]
Disclosure of fair value of investments in equity instruments designated at fair value through other comprehensive income [Table]
Investments in equity instruments designated at fair value through other comprehensive income [Axis]
Disclosure of fair value of investments in equity instruments designated at fair value through other comprehensive income [Line items]
Description of investments in equity instruments designated at fair value through other comprehensive income
Investments in equity instruments designated at fair value through other comprehensive income
Dividends recognised for investments in equity instruments designated at fair value through other comprehensive income, held at end of reporting period
Dividends recognised for investments in equity instruments designated at fair value through other comprehensive income, derecognised during period
Explanation of transfers of cumulative gain or loss within equity of investments in equity instruments designated at fair value through other comprehensive income
Description of reason for disposing of investments in equity instruments designated at fair value through other comprehensive income
Fair value of investments in equity instruments designated at fair value through other comprehensive income at date of derecognition
Cumulative gain (loss) on disposal of investments in equity instruments designated at fair value through other comprehensive income
Disclosure of reclassification of financial assets [Text Block]
Disclosure of reclassification of financial assets [Abstract]
Disclosure of reclassification of financial assets [Table]
Events of reclassification of financial assets [Axis]
Disclosure of reclassification of financial assets [Line items]
Date of reclassification of financial assets due to change in business model
Explanation of change in business model for managing financial assets
Description of effect of changing business model for managing financial assets on financial statements
Reclassification of financial assets out of measured at amortised cost into measured at fair value through profit or loss
Reclassification of financial assets out of measured at fair value through profit or loss into measured at amortised cost
Reclassification of financial assets out of measured at amortised cost into measured at fair value through other comprehensive income
Reclassification of financial assets out of measured at fair value through other comprehensive income into measured at amortised cost
Reclassification of financial assets out of measured at fair value through other comprehensive income into measured at fair value through profit or loss
Reclassification of financial assets out of measured at fair value through profit or loss into measured at fair value through other comprehensive income
Effective interest rate determined on date of reclassification for assets reclassified out of fair value through profit or loss category into amortised cost or fair value through other comprehensive income category
Interest revenue recognised for assets reclassified out of fair value through profit or loss category into amortised cost or fair value through other comprehensive income category
Fair value of financial assets reclassified out of fair value through profit or loss category into amortised cost or fair value through other comprehensive income category
Fair value gain (loss) that would have been recognised in profit or loss if financial assets had not been reclassified
Fair value of financial assets reclassified out of fair value through other comprehensive income category into amortised cost category
Fair value gain (loss) that would have been recognised in other comprehensive income if financial assets had not been reclassified
Disclosure of offsetting of financial assets and financial liabilities [Text Block]
Disclosure of offsetting of financial assets [Text Block]
Disclosure of offsetting of financial assets [Abstract]
Disclosure of offsetting of financial assets [Table]
Types of financial assets [Axis]
Counterparties [Axis]
Disclosure of offsetting of financial assets [Line items]
Type of financial assets
Type of counterparties
Net financial assets subject to offsetting, enforceable master netting arrangements or similar agreements [Abstract]
Net financial assets subject to offsetting, enforceable master netting arrangements or similar agreements in balance Sheet [Abstract]
Gross financial assets subject to offsetting, enforceable master netting arrangements or similar agreements
Gross financial liabilities set off against financial assets subject to offsetting, enforceable master netting arrangements or similar agreements
Net financial assets subject to offsetting, enforceable master netting arrangements or similar agreements in balance Sheet
Amounts subject to enforceable master netting arrangement or similar agreement not set off against financial assets [Abstract]
Financial instruments subject to enforceable master netting arrangement or similar agreement not set off against financial assets
Cash collateral received subject to enforceable master netting arrangement or similar agreement not set off against financial assets
Total amounts subject to enforceable master netting arrangement or similar agreement not set off against financial assets
Net financial assets subject to offsetting, enforceable master netting arrangements or similar agreements
Description of rights of set-off associated with financial assets subject to enforceable master netting arrangement or similar agreement
Description of measurement differences for financial assets subject to offsetting, enforceable master netting arrangements or similar agreements
Disclosure of reconciliation of financial assets subject to offsetting, enforceable master netting arrangements or similar agreements to individual line items in balance Sheet [Text Block]
Disclosure of offsetting of financial liabilities [Text Block]
Disclosure of offsetting of financial liabilities [Abstract]
Disclosure of offsetting of financial liabilities [Table]
Types of financial liabilities [Axis]
Counterparties [Axis]
Disclosure of offsetting of financial liabilities [Line items]
Type of financial liabilities
Type of counterparties
Net financial liabilities subject to offsetting, enforceable master netting arrangements or similar agreements [Abstract]
Net financial liabilities subject to offsetting, enforceable master netting arrangements or similar agreements in balance Sheet [Abstract]
Gross financial liabilities subject to offsetting, enforceable master netting arrangements or similar agreements
Gross financial assets set off against financial liabilities subject to offsetting, enforceable master netting arrangements or similar agreements
Net financial liabilities subject to offsetting, enforceable master netting arrangements or similar agreements in balance Sheet
Amounts subject to enforceable master netting arrangement or similar agreement not set off against financial liabilities [Abstract]
Financial instruments subject to enforceable master netting arrangement or similar agreement not set off against financial liabilities
Cash collateral pledged subject to enforceable master netting arrangement or similar agreement not set off against financial liabilities
Total amounts subject to enforceable master netting arrangement or similar agreement not set off against financial liabilities
Net financial liabilities subject to offsetting, enforceable master netting arrangements or similar agreements
Description of rights of set-off associated with financial liabilities subject to enforceable master netting arrangement or similar agreement
Description of measurement differences for financial liabilities subject to offsetting, enforceable master netting arrangements or similar agreements
Disclosure of reconciliation of financial liabilities subject to offsetting, enforceable master netting arrangements or similar agreements to individual line items in balance Sheet [Text Block]
Financial assets pledged as collateral for liabilities or contingent liabilities
Description of terms and conditions of financial assets pledged as collateral for liabilities or contingent liabilities
Collateral held permitted to be sold or repledged in absence of default by owner of collateral, at fair value
Collateral sold or repledged in absence of default by owner of collateral, at fair value
Explanation of whether entity has obligation to return collateral sold or repledged in absence of default by owner of collateral
Description of terms and conditions associated with entity's use of collateral permitted to be sold or repledged in absence of default by owner of collateral
Description of compound financial instruments with multiple embedded derivatives
Description of details of defaults during period of principal, interest, sinking fund, or redemption terms of loans payable
Loans payable in default
Explanation of whether default was remedied or terms of loans payable were renegotiated before financial statements were authorised for issue
Description of details of breaches which permitted lender to demand accelerated repayment during period of principal, interest, sinking fund, or redemption terms of loans payable
Loans payable in breach which permitted lender to demand accelerated repayment
Explanation of whether breaches which permitted lender to demand accelerated repayment were remedied or terms of loans payable were renegotiated before financial statements were authorised for issue
Income, expense, gains or losses of financial instruments [Abstract]
Gains (losses) on financial instruments [Abstract]
Gains (losses) on financial assets at fair value through profit or loss, designated upon initial recognition or subsequently
Gains (losses) on financial assets at fair value through profit or loss, classified as held for trading
Gains (losses) on financial assets at fair value through profit or loss, mandatorily measured at fair value
Total gains (losses) on financial assets at fair value through profit or loss
Gains (losses) on financial liabilities at fair value through profit or loss, designated upon initial recognition or subsequently
Gains (losses) recognised in other comprehensive income on financial liabilities at fair value through profit or loss, designated upon initial recognition or subsequently
Gains (losses) recognised in profit or loss on financial liabilities at fair value through profit or loss, designated upon initial recognition or subsequently
Gains (losses) on financial liabilities at fair value through profit or loss, classified as held for trading
Total gains (losses) on financial liabilities at fair value through profit or loss
Gains (losses) on financial liabilities at amortised cost
Gains (losses) on financial assets at amortised cost
Other comprehensive income, before tax, gains (losses) from investments in equity instruments
Other comprehensive income, before tax, financial assets measured at fair value through other comprehensive income
Gains (losses) on financial assets measured at fair value through other comprehensive income, before tax
Reclassification adjustments on financial assets measured at fair value through other comprehensive income, before tax
Interest income and interest expense for financial assets or financial liabilities not at fair value through profit or loss [Abstract]
Interest income for financial assets not at fair value through profit or loss
Interest expense for financial liabilities not at fair value through profit or loss
Interest revenue for financial assets measured at amortised cost
Interest revenue for financial assets measured at fair value through other comprehensive income
Fee income and expense [Abstract]
Fee income (expense) arising from financial assets or financial liabilities not at fair value through profit or loss
Fee income (expense) arising from trust and fiduciary activities
Fee income arising from financial assets not at fair value through profit or loss
Fee expense arising from financial liabilities not at fair value through profit or loss
Gain (loss) arising from derecognition of financial assets measured at amortised cost [Abstract]
Gains arising from derecognition of financial assets measured at amortised cost
Losses arising from derecognition of financial assets measured at amortised cost
Net gain (loss) arising from derecognition of financial assets measured at amortised cost
Description of reason for derecognition of financial assets measured at amortised cost
Disclosure of general hedge accounting [Text Block]
Description of cross-reference to disclosures about hedge accounting presented outside financial statements
Disclosure of risk management strategy related to hedge accounting [Text Block]
Disclosure of risk management strategy related to hedge accounting [Abstract]
Disclosure of risk management strategy related to hedge accounting [Table]
Types of risks [Axis]
Risks [Member]
Credit risk [Member]
Liquidity risk [Member]
Market risk [Member]
Currency risk [Member]
Interest rate risk [Member]
Other price risk [Member]
Equity price risk [Member]
Commodity price risk [Member]
Prepayment risk [Member]
Residual value risk [Member]
Risk diversification effect [Member]
Other risk [Member]
Other risk 1 [Member]
Other risk 2 [Member]
Other risk 3 [Member]
Other risk 4 [Member]
Other risk 5 [Member]
Other risk 6 [Member]
Other risk 7 [Member]
Other risk 8 [Member]
Other risk 9 [Member]
Other risk 10 [Member]
Disclosure of risk management strategy related to hedge accounting [Line items]
Explanation of risk management strategy related to hedge accounting [Text Block]
Description of hedging instruments used to hedge risk exposures and how they are used
Description of how entity determines economic relationship between hedged item and hedging instrument for purpose of assessing hedge effectiveness
Description of how entity establishes hedge ratio and what sources of hedge ineffectiveness are
Information about how entity determined risk component designated as hedged item [Text Block]
Information about how designated risk component relates to hedged item in its entirety [Text Block]
Information about ultimate risk management strategy in relation to hedging relationships that entity frequently resets
Description of how entity reflects its risk management strategy by using hedge accounting and designating hedging relationships that it frequently resets
Indication of how frequently hedging relationships are discontinued and restarted
Description of fact and reason why volume of hedging relationships to which exemption in Ind AS 107.23C applies is unrepresentative of normal volumes
Nature of other risk
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [Text Block]
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [Abstract]
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [Table]
Types of risks [Axis]
Risks [Member]
Credit risk [Member]
Liquidity risk [Member]
Market risk [Member]
Currency risk [Member]
Interest rate risk [Member]
Other price risk [Member]
Equity price risk [Member]
Commodity price risk [Member]
Prepayment risk [Member]
Residual value risk [Member]
Risk diversification effect [Member]
Other risk [Member]
Other risk 1 [Member]
Other risk 2 [Member]
Other risk 3 [Member]
Other risk 4 [Member]
Other risk 5 [Member]
Other risk 6 [Member]
Other risk 7 [Member]
Other risk 8 [Member]
Other risk 9 [Member]
Other risk 10 [Member]
Hedging instruments [Axis]
Maturity [Axis]
Aggregated time bands [Member]
Not later than one year [Member]
Not later than three months [Member]
Not later than one month [Member]
Later than one month and not later than three months [Member]
Later than three months and not later than one year [Member]
Later than three months and not later than six months [Member]
Later than six months and not later than one year [Member]
Later than one year [Member]
Later than one year and not later than five years [Member]
Later than one year and not later than three years [Member]
Later than one year and not later than two years [Member]
Later than two years and not later than three years [Member]
Later than three years and not later than five years [Member]
Later than three years and not later than four years [Member]
Later than four years and not later than five years [Member]
Later than five years [Member]
Later than five years and not later than ten years [Member]
Later than five years and not later than seven years [Member]
Later than seven years and not later than ten years [Member]
Later than ten years [Member]
Later than ten years and not later than fifteen years [Member]
Later than fifteen years and not later than twenty years [Member]
Later than twenty years and not later than twenty-five years [Member]
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [Line items]
Type of hedge instruments
Nominal amount of hedging instrument
Average price of hedging instrument
Average rate of hedging instrument
Description of sources of hedge ineffectiveness expected to affect hedging relationship
Description of sources of hedge ineffectiveness that emerged in hedging relationship
Explanation of hedge ineffectiveness resulting from sources that emerged in hedging relationship
Nature of other risk
Description of forecast transaction hedge accounting previously used but no longer expected to occur
Disclosure of detailed information about hedging instruments [Text Block]
Disclosure of detailed information about hedging instruments [Abstract]
Disclosure of detailed information about hedging instruments [Table]
Types of risks [Axis]
Risks [Member]
Credit risk [Member]
Liquidity risk [Member]
Market risk [Member]
Currency risk [Member]
Interest rate risk [Member]
Other price risk [Member]
Equity price risk [Member]
Commodity price risk [Member]
Prepayment risk [Member]
Residual value risk [Member]
Risk diversification effect [Member]
Other risk [Member]
Other risk 1 [Member]
Other risk 2 [Member]
Other risk 3 [Member]
Other risk 4 [Member]
Other risk 5 [Member]
Other risk 6 [Member]
Other risk 7 [Member]
Other risk 8 [Member]
Other risk 9 [Member]
Other risk 10 [Member]
Types of hedges [Axis]
Hedges [Member]
Fair value hedges [Member]
Cash flow hedges [Member]
Hedges of net investment in foreign operations [Member]
Hedging instruments [Axis]
Disclosure of detailed information about hedging instruments [Line items]
Type of hedge instruments
Hedging instrument, assets
Hedging instrument, liabilities
Description of line item in balance Sheet that includes hedging instrument
Gain (loss) on change in fair value of hedging instrument used as basis for recognising hedge ineffectiveness
Nominal amount of hedging instrument
Nature of other risk
Disclosure of detailed information about hedged items [Text Block]
Disclosure of detailed information about hedged items [Abstract]
Disclosure of detailed information about hedged items [Table]
Types of risks [Axis]
Risks [Member]
Credit risk [Member]
Liquidity risk [Member]
Market risk [Member]
Currency risk [Member]
Interest rate risk [Member]
Other price risk [Member]
Equity price risk [Member]
Commodity price risk [Member]
Prepayment risk [Member]
Residual value risk [Member]
Risk diversification effect [Member]
Other risk [Member]
Other risk 1 [Member]
Other risk 2 [Member]
Other risk 3 [Member]
Other risk 4 [Member]
Other risk 5 [Member]
Other risk 6 [Member]
Other risk 7 [Member]
Other risk 8 [Member]
Other risk 9 [Member]
Other risk 10 [Member]
Types of hedges [Axis]
Hedges [Member]
Fair value hedges [Member]
Cash flow hedges [Member]
Hedges of net investment in foreign operations [Member]
Hedged items [Axis]
Disclosure of detailed information about hedged items [Line items]
Type of hedged items
Hedged item, assets
Hedged item, liabilities
Accumulated fair value hedge adjustment on hedged item included in carrying amount, assets
Accumulated fair value hedge adjustment on hedged item included in carrying amount, liabilities
Description of line item in balance Sheet that includes hedged item
Gain (loss) on change in fair value of hedged item used as basis for recognising hedge ineffectiveness
Accumulated fair value hedge adjustment remaining in balance Sheet for hedged item that ceased to be adjusted for hedging gains and losses, assets
Accumulated fair value hedge adjustment remaining in balance Sheet for hedged item that ceased to be adjusted for hedging gains and losses, liabilities
Reserve of cash flow hedges, continuing hedges
Reserve of exchange differences on translation, continuing hedges
Reserve of cash flow hedges, hedging relationships for which hedge accounting is no longer applied
Reserve of exchange differences on translation, hedging relationships for which hedge accounting is no longer applied
Nature of other risk
Disclosure of information about amounts that affected statement of comprehensive income as result of hedge accounting [Text Block]
Disclosure of information about amounts that affected statement of comprehensive income as result of hedge accounting [Abstract]
Disclosure of information about amounts that affected statement of comprehensive income as result of hedge accounting [Table]
Types of risks [Axis]
Risks [Member]
Credit risk [Member]
Liquidity risk [Member]
Market risk [Member]
Currency risk [Member]
Interest rate risk [Member]
Other price risk [Member]
Equity price risk [Member]
Commodity price risk [Member]
Prepayment risk [Member]
Residual value risk [Member]
Risk diversification effect [Member]
Other risk [Member]
Other risk 1 [Member]
Other risk 2 [Member]
Other risk 3 [Member]
Other risk 4 [Member]
Other risk 5 [Member]
Other risk 6 [Member]
Other risk 7 [Member]
Other risk 8 [Member]
Other risk 9 [Member]
Other risk 10 [Member]
Types of hedges [Axis]
Hedges [Member]
Fair value hedges [Member]
Cash flow hedges [Member]
Hedges of net investment in foreign operations [Member]
Disclosure of information about amounts that affected statement of comprehensive income as result of hedge accounting [Line items]
Gain (loss) on hedge ineffectiveness [Abstract]
Gain (loss) on hedge ineffectiveness recognised in profit or loss
Gain (loss) on hedge ineffectiveness recognised in other comprehensive income
Total gain (loss) on hedge ineffectiveness
Description of line item in statement of comprehensive income that includes recognised hedge ineffectiveness
Gains (losses) on cash flow hedges, net of tax
Gains (losses) on hedges of net investments in foreign operations, net of tax
Reclassification adjustments on cash flow hedges, net of tax
Reclassification adjustments on cash flow hedges for which hedged future cash flows are no longer expected to occur, net of tax
Reclassification adjustments on cash flow hedges for which hedged item affected profit or loss, net of tax
Reclassification adjustments on hedges of net investments in foreign operations, net of tax
Description of line item in statement of comprehensive income that includes reclassification adjustments
Hedging gains (losses) for hedge of group of items with offsetting risk positions
Nature of other risk
Disclosure of information about credit exposures designated as measured at fair value through profit or loss [Text Block]
Disclosure of information about credit exposures designated as measured at fair value through profit or loss [Abstract]
Disclosure of information about credit exposures designated as measured at fair value through profit or loss [Table]
Financial instruments measured at fair value through profit or loss because credit derivative is used to manage credit risk [Axis]
Disclosure of information about credit exposures designated as measured at fair value through profit or loss [Line items]
Reconciliation of nominal amount of credit derivative [Abstract]
Credit derivative, nominal amount at beginning of period
Changes in nominal amount of credit derivative [Abstract]
Total increase (decrease) in credit derivative, nominal amount
Credit derivative, nominal amount at end of period
Reconciliation of fair value of credit derivative [Abstract]
Credit derivative, fair value at beginning of period
Changes in fair value of credit derivative [Abstract]
Total increase (decrease) in credit derivative, fair value
Credit derivative, fair value at end of period
Gain (loss) on designation of financial instrument as measured at fair value through profit or loss because credit derivative is used to manage credit risk
Fair value of financial instrument on discontinuation of measurement at fair value through profit or loss because credit derivative is used to manage credit risk, assets
Fair value of financial instrument on discontinuation of measurement at fair value through profit or loss because credit derivative is used to manage credit risk, liabilities
Nominal or principal amount of financial instrument on discontinuation of measurement at fair value through profit or loss because credit derivative is used to manage credit risk
Disclosure of information about possible differences between carrying amount and fair value of contracts described in Ind AS 107.29 b and Ind AS 107.29 c [Text Block]
Description of fact that fair value information has not been disclosed because fair value of instruments cannot be measured reliably
Description of financial instruments, their carrying amount, and explanation of why fair value cannot be measured reliably
Information about market for financial instruments
Information about whether and how entity intends to dispose of financial instruments
Explanation of fact that financial instruments whose fair value previously could not be reliably measured are derecognised
Financial instruments whose fair value previously could not be reliably measured at time of derecognition
Gain (loss) recognised on derecognition of financial instruments whose fair value previously could not be reliably measured
Description of cross-reference to disclosures about nature and extent of risks arising from financial instruments
Disclosure of nature and extent of risks arising from financial instruments [Text Block]
Disclosure of nature and extent of risks arising from financial instruments [Abstract]
Disclosure of nature and extent of risks arising from financial instruments [Table]
Types of risks [Axis]
Risks [Member]
Credit risk [Member]
Liquidity risk [Member]
Market risk [Member]
Currency risk [Member]
Interest rate risk [Member]
Other price risk [Member]
Equity price risk [Member]
Commodity price risk [Member]
Prepayment risk [Member]
Residual value risk [Member]
Risk diversification effect [Member]
Other risk [Member]
Other risk 1 [Member]
Other risk 2 [Member]
Other risk 3 [Member]
Other risk 4 [Member]
Other risk 5 [Member]
Other risk 6 [Member]
Other risk 7 [Member]
Other risk 8 [Member]
Other risk 9 [Member]
Other risk 10 [Member]
Disclosure of nature and extent of risks arising from financial instruments [Line items]
Nature of other risk
Description of exposure to risk
Description of objectives, policies and processes for managing risk
Methods used to measure risk
Description of changes in exposure to risk
Description of changes in objectives, policies and processes for managing risk
Description of changes in methods used to measure risk
Summary quantitative data about entity's exposure to risk [Text Block]
Description of concentrations of risk
Description of how management determines concentrations
Description of shared characteristic for concentration
Risk exposure associated with instruments sharing characteristic
Additional information about entity exposure to risk
Sensitivity analysis for types of market risk [Text Block]
Disclosure of credit risk [Text Block]
Description of cross-reference to disclosures about credit risk presented outside financial statements
Explanation of credit risk management practices and how they relate to recognition and measurement of expected credit losses [Text Block]
Information on how entity determined whether credit risk of financial instruments has increased significantly since initial recognition
Information about entity's definitions of default
Information on how instruments were grouped if expected credit losses were measured on collective basis
Information on how entity determined that financial assets are credit-impaired financial assets
Information on entity's write-off policy
Information on how requirements for modification of contractual cash flows of financial assets have been applied
Explanation of inputs, assumptions and estimation techniques used to apply impairment requirements [Text Block]
Description of basis of inputs and assumptions and estimation techniques used to measure 12-month and lifetime expected credit losses
Description of basis of inputs and assumptions and estimation techniques used to determine whether financial asset is credit-impaired financial asset
Description of basis of inputs and assumptions and estimation techniques used to determine whether credit risk of financial instruments have increased significantly since initial recognition
Description of how forward-looking information has been incorporated into determination of expected credit losses
Description of changes in estimation techniques or significant assumptions made when applying impairment requirements and reasons for those changes
Disclosure of reconciliation of changes in loss allowance and explanation of changes in gross carrying amount for financial instruments [Text Block]
Disclosure of reconciliation of changes in loss allowance and explanation of changes in gross carrying amount for financial instruments [Abstract]
Disclosure of reconciliation of changes in loss allowance and explanation of changes in gross carrying amount for financial instruments [Table]
Classes of financial instruments [Axis]
Financial instruments, class [Member]
Loan commitments [Member]
Financial guarantee contracts [Member]
Trade receivables [Member]
Contract assets [Member]
Lease receivables [Member]
Mortgages [Member]
Consumer loans [Member]
Corporate loans [Member]
Trade payables [Member]
Other payables [Member]
Other financial instruments [Member]
Other financial instruments 1 [Member]
Other financial instruments 2 [Member]
Other financial instruments 3 [Member]
Other financial instruments 4 [Member]
Other financial instruments 5 [Member]
Other financial instruments 6 [Member]
Other financial instruments 7 [Member]
Other financial instruments 8 [Member]
Other financial instruments 9 [Member]
Other financial instruments 10 [Member]
Type of measurement of expected credit losses [Axis]
Type of measurement of expected credit losses [Member]
12-month expected credit losses [Member]
Lifetime expected credit losses [Member]
Method of assessment of expected credit losses [Axis]
Method of assessment of expected credit losses [Member]
Expected credit losses individually assessed [Member]
Expected credit losses collectively assessed [Member]
Credit impairment of financial instruments [Axis]
Credit impairment of financial instruments [Member]
Financial instruments not credit-impaired [Member]
Financial instruments credit-impaired [Member]
Financial instruments purchased or originated credit-impaired [Member]
Financial instruments credit-impaired after purchase or origination [Member]
Carrying amount, accumulated depreciation, amortisation and impairment and gross carrying amount [Axis]
Carrying amount [Member]
Gross carrying amount [Member]
Accumulated impairment [Member]
Disclosure of reconciliation of changes in loss allowance and explanation of changes in gross carrying amount for financial instruments [Line items]
Nature of other financial instruments
Financial assets at beginning of period
Increase (decrease) in financial assets [Abstract]
Increase (decrease) through transfers, financial assets
Decrease through derecognition, financial assets
Increase through origination or purchase, financial assets
Decrease through write-off, financial assets
Increase (decrease) through changes in models or risk parameters, financial assets
Increase (decrease) through modification of contractual cash flows, financial assets
Increase (decrease) through foreign exchange and other movements, financial assets [Abstract]
Increase (decrease) through foreign exchange, financial assets
Increase (decrease) through other movements, financial assets
Total increase (decrease) through foreign exchange and other movements, financial assets
Total increase (decrease) in financial assets
Financial assets at end of period
Exposure to credit risk on loan commitments and financial guarantee contracts at beginning of period
Increase (decrease) in exposure to credit risk on loan commitments and financial guarantee contracts [Abstract]
Increase (decrease) through transfers, exposure to credit risk on loan commitments and financial guarantee contracts
Decrease through derecognition, exposure to credit risk on loan commitments and financial guarantee contracts
Increase through origination or purchase, exposure to credit risk on loan commitments and financial guarantee contracts
Increase (decrease) through changes in models or risk parameters, exposure to credit risk on loan commitments and financial guarantee contracts
Increase (decrease) through modification of contractual cash flows, exposure to credit risk on loan commitments and financial guarantee contracts
Increase (decrease) through foreign exchange and other movements, exposure to credit risk on loan commitments and financial guarantee contracts [Abstract]
Increase (decrease) through foreign exchange, exposure to credit risk on loan commitments and financial guarantee contracts
Increase (decrease) through other movements, exposure to credit risk on loan commitments and financial guarantee contracts
Total increase (decrease) through foreign exchange and other movements, exposure to credit risk on loan commitments and financial guarantee contracts
Total increase (decrease) in exposure to credit risk on loan commitments and financial guarantee contracts
Exposure to credit risk on loan commitments and financial guarantee contracts at end of period
Undiscounted expected credit losses at initial recognition on purchased or originated credit-impaired financial assets initially recognised
Explanation of reasons for changes in loss allowance for financial instruments
Explanation of how significant changes in gross carrying amount of financial instruments contributed to changes in loss allowance
Financial assets with contractual cash flows modified during reporting period while loss allowance measured at lifetime expected credit losses, amortised cost before modification
Financial assets with contractual cash flows modified during reporting period while loss allowance measured at lifetime expected credit losses, modification gain (loss)
Financial assets with modified contractual cash flows while loss allowance measured at lifetime expected credit losses for which loss allowance changed during reporting period to 12-month expected credit losses, gross carrying amount
Financial assets written off during reporting period and still subject to enforcement activity, contractual amount outstanding
Information about groups or portfolios of financial instruments with particular features that could affect large portion of that group
Disclosure of credit risk exposure [Text Block]
Disclosure of credit risk exposure [Abstract]
Disclosure of credit risk exposure [Table]
Credit grades [Axis]
Classes of financial instruments [Axis]
Financial instruments, class [Member]
Loan commitments [Member]
Financial guarantee contracts [Member]
Trade receivables [Member]
Contract assets [Member]
Lease receivables [Member]
Mortgages [Member]
Consumer loans [Member]
Corporate loans [Member]
Trade payables [Member]
Other payables [Member]
Other financial instruments [Member]
Other financial instruments 1 [Member]
Other financial instruments 2 [Member]
Other financial instruments 3 [Member]
Other financial instruments 4 [Member]
Other financial instruments 5 [Member]
Other financial instruments 6 [Member]
Other financial instruments 7 [Member]
Other financial instruments 8 [Member]
Other financial instruments 9 [Member]
Other financial instruments 10 [Member]
Type of measurement of expected credit losses [Axis]
Type of measurement of expected credit losses [Member]
12-month expected credit losses [Member]
Lifetime expected credit losses [Member]
Method of assessment of expected credit losses [Axis]
Method of assessment of expected credit losses [Member]
Expected credit losses individually assessed [Member]
Expected credit losses collectively assessed [Member]
Credit impairment of financial instruments [Axis]
Credit impairment of financial instruments [Member]
Financial instruments not credit-impaired [Member]
Financial instruments credit-impaired [Member]
Financial instruments purchased or originated credit-impaired [Member]
Financial instruments credit-impaired after purchase or origination [Member]
Carrying amount, accumulated depreciation, amortisation and impairment and gross carrying amount [Axis]
Carrying amount [Member]
Gross carrying amount [Member]
Accumulated impairment [Member]
Disclosure of credit risk exposure [Line items]
Nature of credit risk rating grades
Nature of other financial instruments
Financial assets
Exposure to credit risk on loan commitments and financial guarantee contracts
Disclosure of provision matrix [Text Block]
Disclosure of provision matrix [Abstract]
Disclosure of provision matrix [Table]
Classes of financial instruments [Axis]
Financial instruments, class [Member]
Loan commitments [Member]
Financial guarantee contracts [Member]
Trade receivables [Member]
Contract assets [Member]
Lease receivables [Member]
Mortgages [Member]
Consumer loans [Member]
Corporate loans [Member]
Trade payables [Member]
Other payables [Member]
Other financial instruments [Member]
Other financial instruments 1 [Member]
Other financial instruments 2 [Member]
Other financial instruments 3 [Member]
Other financial instruments 4 [Member]
Other financial instruments 5 [Member]
Other financial instruments 6 [Member]
Other financial instruments 7 [Member]
Other financial instruments 8 [Member]
Other financial instruments 9 [Member]
Other financial instruments 10 [Member]
Past due status [Axis]
Past due status [Member]
Current [Member]
Later than one month and not later than two months [Member]
Later than two months and not later than three months [Member]
Carrying amount, accumulated depreciation, amortisation and impairment and gross carrying amount [Axis]
Carrying amount [Member]
Gross carrying amount [Member]
Accumulated impairment [Member]
Disclosure of provision matrix [Line items]
Nature of other financial instruments
Financial assets
Nature of financial assets
Description of nature of assets obtained by taking possession of collateral or calling on other credit enhancements
Assets obtained by taking possession of collateral or calling on other credit enhancements
Description of policies for disposal or for use in operation of assets obtained by taking possession of collateral or other credit enhancement [Text Block]
Disclosure of maturity analysis for non-derivative financial liabilities [Text Block]
Disclosure of maturity analysis for non-derivative financial liabilities [Abstract]
Disclosure of maturity analysis for non-derivative financial liabilities [Table]
Maturity [Axis]
Aggregated time bands [Member]
Not later than one year [Member]
Not later than three months [Member]
Not later than one month [Member]
Later than one month and not later than three months [Member]
Later than three months and not later than one year [Member]
Later than three months and not later than six months [Member]
Later than six months and not later than one year [Member]
Later than one year [Member]
Later than one year and not later than five years [Member]
Later than one year and not later than three years [Member]
Later than one year and not later than two years [Member]
Later than two years and not later than three years [Member]
Later than three years and not later than five years [Member]
Later than three years and not later than four years [Member]
Later than four years and not later than five years [Member]
Later than five years [Member]
Later than five years and not later than ten years [Member]
Later than five years and not later than seven years [Member]
Later than seven years and not later than ten years [Member]
Later than ten years [Member]
Later than ten years and not later than fifteen years [Member]
Later than fifteen years and not later than twenty years [Member]
Later than twenty years and not later than twenty-five years [Member]
Disclosure of maturity analysis for non-derivative financial liabilities [Line items]
Non-derivative financial liabilities, undiscounted cash flows
Gross finance lease obligations
Gross lease liabilities
Disclosure of maturity analysis for derivative financial liabilities [Text Block]
Disclosure of maturity analysis for derivative financial liabilities [Abstract]
Disclosure of maturity analysis for derivative financial liabilities [Table]
Maturity [Axis]
Aggregated time bands [Member]
Not later than one year [Member]
Not later than three months [Member]
Not later than one month [Member]
Later than one month and not later than three months [Member]
Later than three months and not later than one year [Member]
Later than three months and not later than six months [Member]
Later than six months and not later than one year [Member]
Later than one year [Member]
Later than one year and not later than five years [Member]
Later than one year and not later than three years [Member]
Later than one year and not later than two years [Member]
Later than two years and not later than three years [Member]
Later than three years and not later than five years [Member]
Later than three years and not later than four years [Member]
Later than four years and not later than five years [Member]
Later than five years [Member]
Later than five years and not later than ten years [Member]
Later than five years and not later than seven years [Member]
Later than seven years and not later than ten years [Member]
Later than ten years [Member]
Later than ten years and not later than fifteen years [Member]
Later than fifteen years and not later than twenty years [Member]
Later than twenty years and not later than twenty-five years [Member]
Disclosure of maturity analysis for derivative financial liabilities [Line items]
Derivative financial liabilities, undiscounted cash flows
Prices specified in forward agreements to purchase financial assets for cash
Net amounts for pay-floating (receive-fixed) interest rate swaps for which net cash flows are exchanged
Contractual amounts to be exchanged in derivative financial instrument for which gross cash flows are exchanged
Gross loan commitments
Disclosure of how entity manages liquidity risk [Text Block]
Disclosure of maturity analysis for financial assets held for managing liquidity risk [Abstract]
Disclosure of maturity analysis for financial assets held for managing liquidity risk [Table]
Maturity [Axis]
Aggregated time bands [Member]
Not later than one year [Member]
Not later than three months [Member]
Not later than one month [Member]
Later than one month and not later than three months [Member]
Later than three months and not later than one year [Member]
Later than three months and not later than six months [Member]
Later than six months and not later than one year [Member]
Later than one year [Member]
Later than one year and not later than five years [Member]
Later than one year and not later than three years [Member]
Later than one year and not later than two years [Member]
Later than two years and not later than three years [Member]
Later than three years and not later than five years [Member]
Later than three years and not later than four years [Member]
Later than four years and not later than five years [Member]
Later than five years [Member]
Later than five years and not later than ten years [Member]
Later than five years and not later than seven years [Member]
Later than seven years and not later than ten years [Member]
Later than ten years [Member]
Later than ten years and not later than fifteen years [Member]
Later than fifteen years and not later than twenty years [Member]
Later than twenty years and not later than twenty-five years [Member]
Disclosure of maturity analysis for financial assets held for managing liquidity risk [Line items]
Financial assets held for managing liquidity risk
Disclosure of financial instruments by type of interest rate [Text Block]
Disclosure of financial instruments by type of interest rate [Abstract]
Disclosure of financial instruments by type of interest rate [Table]
Types of interest rates [Axis]
Interest rate types [Member]
Floating interest rate [Member]
Fixed interest rate [Member]
Disclosure of financial instruments by type of interest rate [Line items]
Financial assets
Financial liabilities
Disclosure of detailed information about borrowings [Text Block]
Disclosure of detailed information about borrowings [Abstract]
Disclosure of detailed information about borrowings [Table]
Borrowings by name [Axis]
Types of interest rates [Axis]
Interest rate types [Member]
Floating interest rate [Member]
Fixed interest rate [Member]
Range [Axis]
Ranges [Member]
Bottom of range [Member]
Weighted average [Member]
Top of range [Member]
Disclosure of detailed information about borrowings [Line items]
Nature of borrowings
Borrowings
Notional amount
Borrowings, interest rate
Borrowings, interest rate basis
Borrowings, adjustment to interest rate basis
Borrowings, maturity
Borrowings, original currency
Description of methods and assumptions used in preparing sensitivity analysis
Description of changes in methods and assumptions used in preparing sensitivity analysis
Description of reasons for changes in methods and assumptions used in preparing sensitivity analysis
Description of method, parameters and assumptions used in preparing sensitivity analysis reflecting interdependencies between risk variables
Description of objective of method used and limitations that may result in information not fully reflecting fair value of assets and liabilities involved
Value at risk
Description of fact and reason why sensitivity analyses are unrepresentative
Disclosure of transfers of financial assets [Text Block]
Disclosure of transferred financial assets that are not derecognised in their entirety [Text Block]
Disclosure of transferred financial assets that are not derecognised in their entirety [Abstract]
Disclosure of transferred financial assets that are not derecognised in their entirety [Table]
Transferred financial assets that are not derecognised in their entirety [Axis]
Disclosure of transferred financial assets that are not derecognised in their entirety [Line items]
Description of nature of transferred financial assets that are not derecognised in their entirety
Description of nature of risks and rewards of ownership to which entity is exposed
Description of nature of relationship between transferred financial assets that are not derecognised in their entirety and associated liabilities
Fair value of transferred financial assets (associated financial liabilities) that are not derecognised in their entirety [Abstract]
Fair value of transferred financial assets that are not derecognised in their entirety
Fair value of associated financial liabilities
Net fair value of transferred financial assets (associated financial liabilities) that are not derecognised in their entirety
Assets that entity continues to recognise
Associated liabilities that entity continues to recognise
Original assets before transfer
Assets that entity continues to recognise to extent of continuing involvement
Associated liabilities that entity continues to recognise to extent of continuing involvement
Disclosure of continuing involvement in derecognised financial assets [Text Block]
Disclosure of continuing involvement in derecognised financial assets [Abstract]
Disclosure of continuing involvement in derecognised financial assets [Table]
Continuing involvement in derecognised financial assets by type of instrument [Axis]
Types of instrument [Member]
Written put options [Member]
Purchased call options [Member]
Guarantees [Member]
Continuing involvement in derecognised financial assets by type of transfer [Axis]
Types of transfer [Member]
Securities lending [Member]
Factoring of receivables [Member]
Securitisations [Member]
Disclosure of continuing involvement in derecognised financial assets [Line items]
Recognised assets representing continuing involvement in derecognised financial assets
Recognised liabilities representing continuing involvement in derecognised financial assets
Description of line items of recognised assets and liabilities representing continuing involvement in derecognised financial assets
Fair value of assets representing continuing involvement in derecognised financial assets
Fair value of liabilities representing continuing involvement in derecognised financial assets
Maximum exposure to loss from continuing involvement
Information about how maximum exposure to loss from continuing involvement is determined
Undiscounted cash outflow required to repurchase derecognised financial assets
Other amounts payable to transferee in respect of transferred assets
Qualitative information about continuing involvement in derecognised financial assets
Gain (loss) of derecognised financial assets at date of transfer
Income from continuing involvement in derecognised financial assets
Income from continuing involvement in derecognised financial assets cumulatively recognised
Expense from continuing involvement in derecognised financial assets
Expense from continuing involvement in derecognised financial assets cumulatively recognised
Explanation when greatest transfer activity took place
Gain (loss) from transfer activity during period representing greatest transfer activity
Proceeds from transfer activity during period representing greatest transfer activity
Disclosure of maturity analysis of undiscounted cash outflows to repurchase derecognised financial assets or amounts payable to transferee in respect of transferred assets [Text Block]
Disclosure of maturity analysis of undiscounted cash outflows to repurchase derecognised financial assets or amounts payable to transferee in respect of transferred assets [Abstract]
Disclosure of maturity analysis of undiscounted cash outflows to repurchase derecognised financial assets or amounts payable to transferee in respect of transferred assets [Table]
Maturity [Axis]
Aggregated time bands [Member]
Not later than one year [Member]
Not later than three months [Member]
Not later than one month [Member]
Later than one month and not later than three months [Member]
Later than three months and not later than one year [Member]
Later than three months and not later than six months [Member]
Later than six months and not later than one year [Member]
Later than one year [Member]
Later than one year and not later than five years [Member]
Later than one year and not later than three years [Member]
Later than one year and not later than two years [Member]
Later than two years and not later than three years [Member]
Later than three years and not later than five years [Member]
Later than three years and not later than four years [Member]
Later than four years and not later than five years [Member]
Later than five years [Member]
Later than five years and not later than ten years [Member]
Later than five years and not later than seven years [Member]
Later than seven years and not later than ten years [Member]
Later than ten years [Member]
Later than ten years and not later than fifteen years [Member]
Later than fifteen years and not later than twenty years [Member]
Later than twenty years and not later than twenty-five years [Member]
Continuing involvement in derecognised financial assets by type of instrument [Axis]
Types of instrument [Member]
Written put options [Member]
Purchased call options [Member]
Guarantees [Member]
Continuing involvement in derecognised financial assets by type of transfer [Axis]
Types of transfer [Member]
Securities lending [Member]
Factoring of receivables [Member]
Securitisations [Member]
Disclosure of maturity analysis of undiscounted cash outflows to repurchase derecognised financial assets or amounts payable to transferee in respect of transferred assets [Line items]
Undiscounted cash outflow required to repurchase derecognised financial assets
Other amounts payable to transferee in respect of transferred assets
[611200] Notes - Fair value measurement
Disclosure of fair value measurement [Text Block]
Disclosure of fair value measurement of assets [Text Block]
Disclosure of fair value measurement of assets [Abstract]
Disclosure of fair value measurement of assets [Table]
Measurement [Axis]
Aggregated measurement [Member]
At fair value [Member]
Recurring fair value measurement [Member]
Non-recurring fair value measurement [Member]
Not measured at fair value in balance Sheet but for which fair value is disclosed [Member]
Classes of assets [Axis]
Classes of assets [Member]
Trading equity securities [Member]
Other equity securities [Member]
Debt securities [Member]
Hedge fund investments [Member]
Derivatives [Member]
Investment property [Member]
Non-current assets held for sale [Member]
Other assets [Member]
Other assets 1 [Member]
Other assets 2 [Member]
Other assets 3 [Member]
Other assets 4 [Member]
Other assets 5 [Member]
Other assets 6 [Member]
Other assets 7 [Member]
Other assets 8 [Member]
Other assets 9 [Member]
Other assets 10 [Member]
Levels of fair value hierarchy [Axis]
All levels of fair value hierarchy [Member]
Level 1 of fair value hierarchy [Member]
Level 2 of fair value hierarchy [Member]
Level 3 of fair value hierarchy [Member]
Disclosure of fair value measurement of assets [Line items]
Assets
Nature of other assets
Description of reasons for fair value measurement, assets
Transfers out of Level 1 into Level 2 of fair value hierarchy, assets held at end of reporting period
Description of reasons for transfers out of Level 1 into Level 2 of fair value hierarchy, assets
Transfers out of Level 2 into Level 1 of fair value hierarchy, assets held at end of reporting period
Description of reasons for transfers out of Level 2 into Level 1 of fair value hierarchy, assets
Description of policy for determining when transfers between levels are deemed to have occurred, assets
Description of valuation techniques used in fair value measurement, assets
Description of inputs used in fair value measurement, assets
Description of change in valuation technique used in fair value measurement, assets
Description of reasons for change in valuation technique used in fair value measurement, assets
Reconciliation of changes in fair value measurement, assets [Abstract]
Assets at beginning of period
Changes in fair value measurement, assets [Abstract]
Gains (losses) recognised in profit or loss, fair value measurement, assets
Gains (losses) recognised in other comprehensive income, fair value measurement, assets
Purchases, fair value measurement, assets
Sales, fair value measurement, assets
Issues, fair value measurement, assets
Settlements, fair value measurement, assets
Transfers into Level 3 of fair value hierarchy, assets
Transfers out of Level 3 of fair value hierarchy, assets
Total increase (decrease) in fair value measurement, assets
Assets at end of period
Description of line items in profit or loss where gains (losses) are recognised, fair value measurement, assets
Description of line items in other comprehensive income where gains (losses) are recognised, fair value measurement, assets
Description of reasons for transfers into Level 3 of fair value hierarchy, assets
Description of reasons for transfers out of Level 3 of fair value hierarchy, assets
Gains (losses) recognised in profit or loss attributable to change in unrealised gains or losses for assets held at end of period, fair value measurement
Description of line items in profit or loss where gains (losses) attributable to change in unrealised gains or losses for assets held at end of period are recognised, fair value measurement
Description of valuation processes used in fair value measurement, assets
Description of sensitivity of fair value measurement to changes in unobservable inputs, assets
Description of interrelationships between unobservable inputs and of how they might magnify or mitigate effect of changes in unobservable inputs on fair value measurement, assets
Description of fact that changing one or more unobservable inputs to reflect reasonably possible alternative assumptions would change fair value significantly, assets
Increase (decrease) in fair value measurement due to change in one or more unobservable inputs to reflect reasonably possible alternative assumptions, assets
Increase in fair value measurement due to change in one or more unobservable inputs to reflect reasonably possible alternative assumptions, assets
Decrease in fair value measurement due to change in one or more unobservable inputs to reflect reasonably possible alternative assumptions, assets
Description of how effect on fair value measurement due to change in one or more unobservable inputs to reflect reasonably possible alternative assumptions was calculated, assets
Description of fact that highest and best use of non-financial assets differs from current use
Description of reason why non-financial assets is being used in manner different from highest and best use
Disclosure of information sufficient to permit reconciliation of classes determined for fair value measurement to line items in balance Sheet, assets [Text Block]
Description of accounting policy decision to use exception in Ind AS 113.48, assets
Disclosure of fair value measurement of liabilities [Text Block]
Disclosure of fair value measurement of liabilities [Abstract]
Disclosure of fair value measurement of liabilities [Table]
Measurement [Axis]
Aggregated measurement [Member]
At fair value [Member]
Recurring fair value measurement [Member]
Non-recurring fair value measurement [Member]
Not measured at fair value in balance Sheet but for which fair value is disclosed [Member]
Classes of liabilities [Axis]
Levels of fair value hierarchy [Axis]
All levels of fair value hierarchy [Member]
Level 1 of fair value hierarchy [Member]
Level 2 of fair value hierarchy [Member]
Level 3 of fair value hierarchy [Member]
Disclosure of fair value measurement of liabilities [Line items]
Nature of liabilities
Liabilities
Description of reasons for fair value measurement, liabilities
Transfers out of Level 1 into Level 2 of fair value hierarchy, liabilities held at end of reporting period
Description of reasons for transfers out of Level 1 into Level 2 of fair value hierarchy, liabilities
Transfers out of Level 2 into Level 1 of fair value hierarchy, liabilities held at end of reporting period
Description of reasons for transfers out of Level 2 into Level 1 of fair value hierarchy, liabilities
Description of policy for determining when transfers between levels are deemed to have occurred, liabilities
Description of valuation techniques used in fair value measurement, liabilities
Description of inputs used in fair value measurement, liabilities
Description of change in valuation technique used in fair value measurement, liabilities
Description of reasons for change in valuation technique used in fair value measurement, liabilities
Reconciliation of changes in fair value measurement, liabilities [Abstract]
Liabilities at beginning of period
Changes in fair value measurement, liabilities [Abstract]
Losses (gains) recognised in profit or loss, fair value measurement, liabilities
Losses (gains) recognised in other comprehensive income, fair value measurement, liabilities
Purchases, fair value measurement, liabilities
Sales, fair value measurement, liabilities
Issues, fair value measurement, liabilities
Settlements, fair value measurement, liabilities
Transfers into Level 3 of fair value hierarchy, liabilities
Transfers out of Level 3 of fair value hierarchy, liabilities
Total increase (decrease) in fair value measurement, liabilities
Liabilities at end of period
Description of line items in profit or loss where gains (losses) are recognised, fair value measurement, liabilities
Description of line items in other comprehensive income where gains (losses) are recognised, fair value measurement, liabilities
Description of reasons for transfers into Level 3 of fair value hierarchy, liabilities
Description of reasons for transfers out of Level 3 of fair value hierarchy, liabilities
Gains (losses) recognised in profit or loss attributable to change in unrealised gains or losses for liabilities held at end of period, fair value measurement
Description of line items in profit or loss where gains (losses) attributable to change in unrealised gains or losses for liabilities held at end of period are recognised, fair value measurement
Description of valuation processes used in fair value measurement, liabilities
Description of sensitivity of fair value measurement to changes in unobservable inputs, liabilities
Description of interrelationships between unobservable inputs and of how they might magnify or mitigate effect of changes in unobservable inputs on fair value measurement, liabilities
Description of fact that changing one or more unobservable inputs to reflect reasonably possible alternative assumptions would change fair value significantly, liabilities
Increase (decrease) in fair value measurement due to change in one or more unobservable inputs to reflect reasonably possible alternative assumptions, liabilities
Increase in fair value measurement due to change in one or more unobservable inputs to reflect reasonably possible alternative assumptions, liabilities
Decrease in fair value measurement due to change in one or more unobservable inputs to reflect reasonably possible alternative assumptions, liabilities
Description of how effect on fair value measurement due to change in one or more unobservable inputs to reflect reasonably possible alternative assumptions was calculated, liabilities
Disclosure of information sufficient to permit reconciliation of classes determined for fair value measurement to line items in balance Sheet, liabilities [Text Block]
Description of accounting policy decision to use exception in Ind AS 113.48, liabilities
Disclosure of fair value measurement of equity [Text Block]
Disclosure of fair value measurement of equity [Abstract]
Disclosure of fair value measurement of equity [Table]
Measurement [Axis]
Aggregated measurement [Member]
At fair value [Member]
Recurring fair value measurement [Member]
Non-recurring fair value measurement [Member]
Not measured at fair value in balance Sheet but for which fair value is disclosed [Member]
Classes of entity's own equity instruments [Axis]
Levels of fair value hierarchy [Axis]
All levels of fair value hierarchy [Member]
Level 1 of fair value hierarchy [Member]
Level 2 of fair value hierarchy [Member]
Level 3 of fair value hierarchy [Member]
Disclosure of fair value measurement of equity [Line items]
Nature of entity's own equity instruments
Equity
Description of reasons for fair value measurement, entity's own equity instruments
Transfers out of Level 1 into Level 2 of fair value hierarchy, entity's own equity instruments held at end of reporting period
Description of reasons for transfers out of Level 1 into Level 2 of fair value hierarchy, entity's own equity instruments
Transfers out of Level 2 into Level 1 of fair value hierarchy, entity's own equity instruments held at end of reporting period
Description of reasons for transfers out of Level 2 into Level 1 of fair value hierarchy, entity's own equity instruments
Description of policy for determining when transfers between levels are deemed to have occurred, entity's own equity instruments
Description of valuation techniques used in fair value measurement, entity's own equity instruments
Description of inputs used in fair value measurement, entity's own equity instruments
Description of change in valuation technique used in fair value measurement, entity's own equity instruments
Description of reasons for change in valuation technique used in fair value measurement, entity's own equity instruments
Reconciliation of changes in fair value measurement, entity's own equity instruments [Abstract]
Equity at beginning of period
Changes in fair value measurement, entity's own equity instruments [Abstract]
Losses (gains) recognised in profit or loss, fair value measurement, entity's own equity instruments
Losses (gains) recognised in other comprehensive income, fair value measurement, entity's own equity instruments
Purchases, fair value measurement, entity's own equity instruments
Sales, fair value measurement, entity's own equity instruments
Issues, fair value measurement, entity's own equity instruments
Settlements, fair value measurement, entity's own equity instruments
Transfers into Level 3 of fair value hierarchy, entity's own equity instruments
Transfers out of Level 3 of fair value hierarchy, entity's own equity instruments
Total increase (decrease) in fair value measurement, entity's own equity instruments
Equity at end of period
Description of line items in profit or loss where gains (losses) are recognised, fair value measurement, entity's own equity instruments
Description of line items in other comprehensive income where gains (losses) are recognised, fair value measurement, entity's own equity instruments
Description of reasons for transfers into Level 3 of fair value hierarchy, entity's own equity instruments
Description of reasons for transfers out of Level 3 of fair value hierarchy, entity's own equity instruments
Gains (losses) recognised in profit or loss attributable to change in unrealised gains or losses for entity's own equity instruments held at end of period, fair value measurement
Description of line items in profit or loss where gains (losses) attributable to change in unrealised gains or losses for entity's own equity instruments held at end of period are recognised, fair value measurement
Description of valuation processes used in fair value measurement, entity's own equity instruments
Description of sensitivity of fair value measurement to changes in unobservable inputs, entity's own equity instruments
Description of interrelationships between unobservable inputs and of how they might magnify or mitigate effect of changes in unobservable inputs on fair value measurement, entity's own equity instruments
Description of fact that changing one or more unobservable inputs to reflect reasonably possible alternative assumptions would change fair value significantly, entity's own equity instruments
Increase (decrease) in fair value measurement due to change in one or more unobservable inputs to reflect reasonably possible alternative assumptions, entity's own equity instruments
Increase in fair value measurement due to change in one or more unobservable inputs to reflect reasonably possible alternative assumptions, entity's own equity instruments
Decrease in fair value measurement due to change in one or more unobservable inputs to reflect reasonably possible alternative assumptions, entity's own equity instruments
Description of how effect on fair value measurement due to change in one or more unobservable inputs to reflect reasonably possible alternative assumptions was calculated, entity's own equity instruments
Disclosure of information sufficient to permit reconciliation of classes determined for fair value measurement to line items in balance Sheet, entity's own equity instruments [Text Block]
Disclosure of significant unobservable inputs used in fair value measurement of assets [Text Block]
Disclosure of significant unobservable inputs used in fair value measurement of assets [Abstract]
Disclosure of significant unobservable inputs used in fair value measurement of assets [Table]
Measurement [Axis]
Aggregated measurement [Member]
At fair value [Member]
Recurring fair value measurement [Member]
Non-recurring fair value measurement [Member]
Not measured at fair value in balance Sheet but for which fair value is disclosed [Member]
Classes of assets [Axis]
Classes of assets [Member]
Trading equity securities [Member]
Other equity securities [Member]
Debt securities [Member]
Hedge fund investments [Member]
Derivatives [Member]
Investment property [Member]
Non-current assets held for sale [Member]
Other assets [Member]
Other assets 1 [Member]
Other assets 2 [Member]
Other assets 3 [Member]
Other assets 4 [Member]
Other assets 5 [Member]
Other assets 6 [Member]
Other assets 7 [Member]
Other assets 8 [Member]
Other assets 9 [Member]
Other assets 10 [Member]
Valuation techniques used in fair value measurement [Axis]
Valuation techniques [Member]
Market approach [Member]
Market comparable companies [Member]
Market comparable prices [Member]
Matrix pricing [Member]
Consensus pricing [Member]
Cost approach [Member]
Income approach [Member]
Discounted cash flow [Member]
Option pricing model [Member]
Multi-period excess earnings method [Member]
Range [Axis]
Ranges [Member]
Bottom of range [Member]
Weighted average [Member]
Top of range [Member]
Disclosure of significant unobservable inputs used in fair value measurement of assets [Line items]
Interest rate, significant unobservable inputs, assets
Historical volatility for shares, significant unobservable inputs, assets
Adjustment to mid-market consensus price, significant unobservable inputs, assets
Current estimate of future cash outflows to be paid to fulfil obligation, significant unobservable inputs, assets
Financial forecast of profit or loss for cash-generating unit, significant unobservable inputs, assets
Financial forecast of cash flows for cash-generating unit, significant unobservable inputs, assets
Nature of other assets
Disclosure of significant unobservable inputs used in fair value measurement of liabilities [Text Block]
Disclosure of significant unobservable inputs used in fair value measurement of liabilities [Abstract]
Disclosure of significant unobservable inputs used in fair value measurement of liabilities [Table]
Measurement [Axis]
Aggregated measurement [Member]
At fair value [Member]
Recurring fair value measurement [Member]
Non-recurring fair value measurement [Member]
Not measured at fair value in balance Sheet but for which fair value is disclosed [Member]
Classes of liabilities [Axis]
Valuation techniques used in fair value measurement [Axis]
Valuation techniques [Member]
Market approach [Member]
Market comparable companies [Member]
Market comparable prices [Member]
Matrix pricing [Member]
Consensus pricing [Member]
Cost approach [Member]
Income approach [Member]
Discounted cash flow [Member]
Option pricing model [Member]
Multi-period excess earnings method [Member]
Disclosure of significant unobservable inputs used in fair value measurement of liabilities [Line items]
Nature of liabilities
Interest rate, significant unobservable inputs, liabilities
Historical volatility for shares, significant unobservable inputs, liabilities
Adjustment to mid-market consensus price, significant unobservable inputs, liabilities
Current estimate of future cash outflows to be paid to fulfil obligation, significant unobservable inputs, liabilities
Financial forecast of profit or loss for cash-generating unit, significant unobservable inputs, liabilities
Financial forecast of cash flows for cash-generating unit, significant unobservable inputs, liabilities
Weighted average cost of capital, significant unobservable inputs, liabilities
Revenue multiple, significant unobservable inputs, liabilities
Constant prepayment rate, significant unobservable inputs, liabilities
Probability of default, significant unobservable inputs, liabilities
Disclosure of significant unobservable inputs used in fair value measurement of equity [Text Block]
Disclosure of significant unobservable inputs used in fair value measurement of equity [Abstract]
Disclosure of significant unobservable inputs used in fair value measurement of equity [Table]
Measurement [Axis]
Aggregated measurement [Member]
At fair value [Member]
Recurring fair value measurement [Member]
Non-recurring fair value measurement [Member]
Not measured at fair value in balance Sheet but for which fair value is disclosed [Member]
Classes of entity's own equity instruments [Axis]
Valuation techniques used in fair value measurement [Axis]
Valuation techniques [Member]
Market approach [Member]
Market comparable companies [Member]
Market comparable prices [Member]
Matrix pricing [Member]
Consensus pricing [Member]
Cost approach [Member]
Income approach [Member]
Discounted cash flow [Member]
Option pricing model [Member]
Multi-period excess earnings method [Member]
Disclosure of significant unobservable inputs used in fair value measurement of equity [Line items]
Interest rate, significant unobservable inputs, entity's own equity instruments
Historical volatility for shares, significant unobservable inputs, entity's own equity instruments
Adjustment to mid-market consensus price, significant unobservable inputs, entity's own equity instruments
Current estimate of future cash outflows to be paid to fulfil obligation, significant unobservable inputs, entity's own equity instruments
Financial forecast of profit or loss for cash-generating unit, significant unobservable inputs, entity's own equity instruments
Financial forecast of cash flows for cash-generating unit, significant unobservable inputs, entity's own equity instruments
Disclosure of liabilities measured at fair value and issued with inseparable third-party credit enhancement [Text Block]
Disclosure of liabilities measured at fair value and issued with inseparable third-party credit enhancement [Abstract]
Disclosure of liabilities measured at fair value and issued with inseparable third-party credit enhancement [Table]
Liabilities measured at fair value and issued with inseparable third-party credit enhancement [Axis]
Disclosure of liabilities measured at fair value and issued with inseparable third-party credit enhancement [Line items]
Description of existence of third-party credit enhancement
Description of whether third-party credit enhancement is reflected in fair value measurement
[611300] Notes - Regulatory deferral accounts
Disclosure of regulatory deferral accounts [Text Block]
Items for presentation of regulatory deferral accounts [Abstract]
Balance sheet [Abstract]
Regulatory deferral account debit balances and related deferred tax Assets [Abstract]
Regulatory deferral account debit balances [Abstract]
Regulatory deferral account debit balances directly related to disposal group
Other regulatory deferral account debit balances
Total regulatory deferral account debit balances
Deferred tax Assets associated with regulatory deferral account balances
Total regulatory deferral account debit balances and related deferred tax assets
Assets and regulatory deferral account debit balances
Regulatory deferral account credit balances and related deferred tax liability [Abstract]
Regulatory deferral account credit balances [Abstract]
Regulatory deferral account credit balances directly related to disposal group
Other regulatory deferral account credit balances
Total regulatory deferral account credit balances
Deferred tax liability associated with regulatory deferral account balances
Total regulatory deferral account credit balances and related deferred tax liability
Equity, liabilities and regulatory deferral account credit balances
Statement of profit or loss and other comprehensive income [Abstract]
Profit (loss), including net movement in regulatory deferral account balances related to profit or loss and net movement in related deferred tax
Profit (loss), including net movement in regulatory deferral account balances related to profit or loss and net movement in related deferred tax, attributable to owners of parent
Profit (loss), including net movement in regulatory deferral account balances related to profit or loss and net movement in related deferred tax, attributable to non-controlling interests
Net movement in regulatory deferral account balances related to profit or loss and net movement in related deferred tax [Abstract]
Net movement in regulatory deferral account balances related to profit or loss [Abstract]
Net movement in regulatory deferral account balances related to profit or loss directly associated with discontinued operations
Net movement in other regulatory deferral account balances related to profit or loss
Total net movement in regulatory deferral account balances related to profit or loss
Net movement in deferred tax arising from regulatory deferral account balances related to profit or loss
Total net movement in regulatory deferral account balances related to profit or loss and net movement in related deferred tax
Net movement in regulatory deferral account balances related to other comprehensive income [Abstract]
Other comprehensive income, net of tax, net movement in regulatory deferral account balances related to items that will not be reclassified to profit or loss
Other comprehensive income, before tax, net movement in regulatory deferral account balances related to items that will not be reclassified to profit or loss
Income tax relating to net movement in regulatory deferral account balances related to items that will not be reclassified to profit or loss
Other comprehensive income, net of tax, net movement in regulatory deferral account balances related to items that will be reclassified to profit or loss [Abstract]
Gains (losses) on net movement in regulatory deferral account balances related to items that will be reclassified to profit or loss, net of tax
Reclassification adjustments on net movement in regulatory deferral account balances, net of tax
Total other comprehensive income, net of tax, net movement in regulatory deferral account balances related to items that will be reclassified to profit or loss
Other comprehensive income, before tax, net movement in regulatory deferral account balances related to items that will be reclassified to profit or loss [Abstract]
Gains (losses) on net movement in regulatory deferral account balances related to items that will be reclassified to profit or loss, before tax
Reclassification adjustments on net movement in regulatory deferral account balances, before tax
Total other comprehensive income, before tax, net movement in regulatory deferral account balances related to items that will be reclassified to profit or loss
Income tax relating to net movement in regulatory deferral account balances related to items that will be reclassified to profit or loss
Earnings per share [Abstract]
Basic earnings (loss) per share, including net movement in regulatory deferral account balances and net movement in related deferred tax
Diluted earnings (loss) per share, including net movement in regulatory deferral account balances and net movement in related deferred tax
Basic and diluted earnings (loss) per share, including net movement in regulatory deferral account balances and net movement in related deferred tax
Basic earnings (loss) per share from continuing operations, including net movement in regulatory deferral account balances and net movement in related deferred tax
Diluted earnings (loss) per share from continuing operations, including net movement in regulatory deferral account balances and net movement in related deferred tax
Basic and diluted earnings (loss) per share from continuing operations, including net movement in regulatory deferral account balances and net movement in related deferred tax
Basic earnings (loss) per share from discontinued operations, including net movement in regulatory deferral account balances and net movement in related deferred tax
Diluted earnings (loss) per share from discontinued operations, including net movement in regulatory deferral account balances and net movement in related deferred tax
Basic and diluted earnings (loss) per share from discontinued operations, including net movement in regulatory deferral account balances and net movement in related deferred tax
Description of basis on which regulatory deferral account balances are recognised and derecognised, and how they are measured initially and subsequently
Disclosure of information about activities subject to rate regulation [Text Block]
Disclosure of information about activities subject to rate regulation [Abstract]
Disclosure of information about activities subject to rate regulation [Table]
Types of rate-regulated activities [Axis]
Classes of regulatory deferral account balances [Axis]
Disclosure of information about activities subject to rate regulation [Line items]
Types of rate-regulated activities
Description of regulatory deferral account balances
Description of nature and extent of rate-regulated activity
Description of nature of regulatory rate-setting process
Description of identity of rate regulator(s)
Statement that rate regulator is related party
Explanation of how rate regulator is related
Description of how future recovery or reversal of regulatory deferral account balances is affected by risks and uncertainty
Description of cross-reference to disclosures about activities subject to rate regulation
Disclosure of information about amounts recognised in relation to regulatory deferral account balances [Text Block]
Disclosure of information about amounts recognised in relation to regulatory deferral account balances [Abstract]
Disclosure of information about amounts recognised in relation to regulatory deferral account balances [Table]
Types of rate-regulated activities [Axis]
Regulatory deferral account balances [Axis]
Regulatory deferral account balances [Member]
Regulatory deferral account balances not classified as disposal groups [Member]
Regulatory deferral account balances classified as disposal groups [Member]
Classes of regulatory deferral account balances [Axis]
Disclosure of information about amounts recognised in relation to regulatory deferral account balances [Line items]
Types of rate-regulated activities
Description of regulatory deferral account balances
Reconciliation of regulatory deferral account debit balances [Abstract]
Regulatory deferral account debit balances at beginning of period
Changes in regulatory deferral account debit balances [Abstract]
Increase (decrease) through balances recognised in current period in balance Sheet, regulatory deferral account debit balances
Decrease through balances recovered in current period, regulatory deferral account debit balances
Increase (decrease) through other changes, regulatory deferral account debit balances [Abstract]
Decrease through impairments, regulatory deferral account debit balances
Increase through items acquired in business combination, regulatory deferral account debit balances
Decrease through disposals, regulatory deferral account debit balances
Increase (decrease) through changes in foreign exchange rates, regulatory deferral account debit balances
Increase (decrease) through changes in discount rates, regulatory deferral account debit balances
Increase (decrease) through transfers to disposal groups, regulatory deferral account debit balances
Other increase decrease through other changes regulatory deferral debit balances
Total increase (decrease) through other changes, regulatory deferral account debit balances
Total increase (decrease) in regulatory deferral account debit balances
Regulatory deferral account debit balances at end of period
Reconciliation of regulatory deferral account credit balances [Abstract]
Regulatory deferral account credit balances at beginning of period
Changes in regulatory deferral account credit balances [Abstract]
Increase (decrease) through balances recognised in current period in balance Sheet, regulatory deferral account credit balances
Decrease through balances reversed in current period, regulatory deferral account credit balances
Increase (decrease) through other changes, regulatory deferral account credit balances [Abstract]
Increase through items assumed in business combination, regulatory deferral account credit balances
Decrease through disposals, regulatory deferral account credit balances
Increase (decrease) through changes in foreign exchange rates, regulatory deferral account credit balances
Increase (decrease) through changes in discount rates, regulatory deferral account credit balances
Increase (decrease) through transfers to disposal groups, regulatory deferral account credit balances
Other increase decrease through other changes regulatory deferral account credit balances
Total increase (decrease) through other changes, regulatory deferral account credit balances
Total increase (decrease) in regulatory deferral account credit balances
Regulatory deferral account credit balances at end of period
Rate of return used to reflect time value of money, regulatory deferral account balances
Discount rate used to reflect time value of money, regulatory deferral account balances
Remaining recovery period of regulatory deferral account debit balances
Remaining reversal period of regulatory deferral account credit balances
Statement that regulatory deferral account balance is no longer fully recoverable or reversible
Description of reason why regulatory deferral account balance is no longer fully recoverable or reversible
Amount by which regulatory deferral account debit balance has been reduced because it is no longer fully recoverable
Amount by which regulatory deferral account credit balance has been reduced because it is no longer fully reversible
Description of impact of rate regulation on current and deferred tax
Increase (decrease) in current tax expense (income) due to rate regulation
Increase (decrease) in deferred tax expense (income) due to rate regulation
Additional disclosures related to regulatory deferral accounts [Abstract]
Net movement in regulatory deferral account balances related to profit or loss, attributable to non-controlling interests
Portion of gains (losses) recognised when control of subsidiary is lost, attributable to derecognising regulatory deferral account balances in former subsidiary
[611400] Notes - Separate financial statements
Disclosure of separate financial statements [Text Block]
Description of nature of financial statements
Description of fact that exemption from consolidation has been used
Name of entity whose consolidated financial statements have been produced for public use
Principal place of business of entity whose consolidated financial statements have been produced for public use
Country of incorporation of entity whose consolidated financial statements have been produced for public use
Address where consolidated financial statements are obtainable
Disclosure of subsidiaries [Text Block]
Disclosure of subsidiaries [Abstract]
Disclosure of subsidiaries [Table]
Subsidiaries [Axis]
Disclosure of subsidiaries [Line items]
Name of subsidiary
CIN of subsidiary company
Permanent account number of subsidiary company
Identification number of foreign subsidiary in country of incorporation or residence
Principal place of business of subsidiary
Country of incorporation or residence of subsidiary
Proportion of ownership interest in subsidiary
Proportion of voting rights held in subsidiary
Disclosure of joint ventures [Text Block]
Disclosure of joint ventures [Abstract]
Disclosure of joint ventures [Table]
Joint ventures [Axis]
Disclosure of joint ventures [Line items]
Name of joint venture
CIN of joint venture
Permanent account number of joint venture
Identification number of foreign joint venture in country of incorporation or residence
Principal place of business of joint venture
Country of incorporation of joint venture
Proportion of ownership interest in joint venture
Proportion of voting rights held in joint venture
Disclosure of associates [Text Block]
Disclosure of associates [Abstract]
Disclosure of associates [Table]
Associates [Axis]
Disclosure of associates [Line items]
Name of associate entity
CIN of associate entity
Permanent account number of associate entity
Identification number of foreign associate in country of incorporation or residence
Principal place of business of associate
Country of incorporation of associate
Proportion of ownership interest in associate
Proportion of voting rights held in associate
Method used to account for investments in subsidiaries
Method used to account for investments in joint ventures
Method used to account for investments in associates
Statement that investment entity prepares separate financial statements as its only financial statements
Description of identification of financial statements to which separate financial statements relate
[611500] Notes - Interests in other entities
Disclosure of interests in other entities [Text Block]
Disclosure of significant judgements and assumptions made in relation to interests in other entities [Text Block]
Description of significant judgements and assumptions made in determining that entity does not control another entity even though it holds more than half of voting rights
Description of nature of relationship with subsidiary where parent has directly or indirectly less than half of voting power
Description of significant judgements and assumptions made in determining that entity is agent or principal
Description of reasons why presumption investor has significant influence is overcome when its interest in investee is more than twenty per cent
Description of reasons why presumption investor does not have significant influence is overcome when its interest in investee is less than twenty per cent
Disclosure of how entity aggregated interests in similar entities [Text Block]
Disclosure of interests in subsidiaries [Text Block]
Disclosure of composition of group [Text Block]
Disclosure of subsidiaries [Text Block]
Whether company has subsidiary companies
Number of subsidiary companies
Disclosure of subsidiaries [Abstract]
Disclosure of details of subsidiaries [Table]
Subsidiaries [Axis]
Disclosure of subsidiaries [Line items]
Name of subsidiary
Principal place of business of subsidiary
Country of incorporation or residence of subsidiary
Permanent account number of subsidiary company
CIN of subsidiary company
Identification number of foreign subsidiary in country of incorporation or residence
Nature of issuing authority in country of incorporation or residence subsidiary company
Section under which company became subsidiary
Whether subsidiary has filed balance sheet
SRN of filing of balance sheet by subsidiary
Reason if no filing has been made by subsidiary
Whether financial year of subsidiary different from financial year of holding company
Financial year of subsidiary [Abstract]
Start date of accounting period of subsidiary
End date of accounting period of subsidiary
Description of reason why using different reporting date or period for subsidiary
Percentage of shareholding in subsidiary
Key information about subsidiary [Abstract]
Reporting currency of subsidiary
Exchange rate as applicable for subsidiary
Share capital of subsidiary
Reserves and surplus of subsidiary
Total assets of subsidiary
Total liabilities of subsidiary
Investment of subsidiary
Turnover of subsidiary
Profit before tax of subsidiary
Provision for tax of subsidiary
Profit after tax of subsidiary
Proposed dividend of subsidiary
Current assets of subsidiary
Non-current assets of subsidiary
Current liabilities of subsidiary
Non-current liabilities of subsidiary
Revenue of subsidiary
Comprehensive income of subsidiary
Proportion of ownership interests held by non-controlling interests
Proportion of voting rights held by non-controlling interests
Profit (loss), attributable to non-controlling interests
Non-controlling interests of subsidiary
Dividends paid to non-controlling interests
Details if exemption is granted for statement under section 129
Whether company has subsidiary companies which are yet to commence operations
Details of subsidiaries which are yet to commence operations [Abstract]
Details of subsidiaries which are yet to commence operations [Table]
Subsidiaries which are yet to commence operations [Axis]
Details of subsidiaries which are yet to commence operations [Line Items]
Name of subsidiary which is yet to commence operations
Country of incorporation or residence of subsidiary which is yet to commence operations
CIN of subsidiary company which is yet to commence operations
PAN of subsidiary company which is yet to commence operations
Identification number of foreign subsidiary which is yet to commence operations in country of incorporation or residence
Nature of issuing authority in country of incorporation or residence foreign subsidiary which is yet to commence operations
Whether company has subsidiary companies liquidated or sold during year
Details of subsidiaries liquidated or sold during year [Abstract]
Details of subsidiaries liquidated or sold during year [Table]
Subsidiaries liquidated or sold during year [Axis]
Details of subsidiaries liquidated or sold during year [Line Items]
Name of subsidiary liquidated or sold during year
Country of incorporation or residence of subsidiary liquidated or sold during year
CIN of subsidiary company liquidated or sold during year
PAN of subsidiary company liquidated or sold during year
Identification number of foreign subsidiary liquidated or sold during year in country of incorporation or residence
Nature of issuing authority in country of incorporation or residence foreign subsidiary liquidated or sold during year
Description of significant restrictions on entity's ability to access or use assets and settle liabilities of group
Description of nature and extent to which protective rights of non-controlling interests can significantly restrict entity's ability to access or use assets and settle liabilities of group
Assets to which significant restrictions apply
Liabilities to which significant restrictions apply
Disclosure of information about consolidated structured entities [Text Block]
Disclosure of information about consolidated structured entities [Abstract]
Disclosure of information about consolidated structured entities [Table]
Consolidated structured entities [Axis]
Disclosure of information about consolidated structured entities [Line items]
Name of consolidated structured entity
Description of terms of contractual arrangements that could require parent or subsidiaries to provide financial support to structured entity
Description of type of support provided to structured entity without having contractual obligation to do so
Support provided to structured entity without having contractual obligation to do so
Description of reasons for providing support to structured entity without having contractual obligation to do so
Explanation of factors in reaching decision to provide support to previously unconsolidated structured entity that resulted in obtaining control
Description of intentions to provide support to structured entity
Disclosure of effects of changes in parent's ownership interest in subsidiary that do not result in loss of control on equity attributable to owners of parent [Text Block]
Increase (decrease) through changes in ownership interests in subsidiaries that do not result in loss of control, equity attributable to owners of parent
Gains (losses) recognised when control of subsidiary is lost
Portion of gains (losses) recognised when control of subsidiary is lost, attributable to recognising investment retained in former subsidiary
Description of line item(s) in profit or loss in which gain (loss) is recognised when control of subsidiary is lost
Disclosure of interests in associates [Text Block]
Disclosure of associates [Text Block]
Whether company has invested in associates
Disclosure of associates [Abstract]
Disclosure of associates [Table]
Associates [Axis]
Disclosure of associates [Line items]
Name of associate entity
Description of nature of entity's relationship with associate
Principal place of business of associate
Country of incorporation of associate
Permanent account number of associate entity
CIN of associate entity
Name of associate for which reporting date is different
CIN of associate entity whose reporting date is different
PAN of associate entity whose reporting date is different
Identification number of foreign associate in country of incorporation or residence
Latest audited balance sheet date
Description of reason why using different reporting date or period for associate
Whether associate has been considered in consolidation
Reason why associate is not consolidated
Description how there is significant influence in associate
Proportion of ownership interest in associate
Proportion of voting rights held in associate
Description of whether investment in associate is measured using equity method or at fair value
Description of basis of preparation of summarised financial information of associate
Amount of investment in associate
Number of shares held of associate
Net worth attributable to shareholding as per latest audited balance sheet associate
Profit (loss) for year associate
Profit (loss) for year associate considered in consolidation
Profit (loss) for year associate not considered in consolidation
Dividends received
Current assets of associate
Non-current assets of associate
Current liabilities of associate
Non-current liabilities of associate
Revenue of associate
Profit (Loss) from continuing operations of associate
Profit (loss) from discontinued operations of associate
Other comprehensive income of associate
Comprehensive income of associate
Fair value of investments in associates for which there are quoted market prices
Investments accounted for using equity method of associate
Share of profit (loss) from continuing operations of associates accounted for using equity method
Share of post-tax profit (loss) from discontinued operations of associates accounted for using equity method
Share of other comprehensive income of associates accounted for using equity method, net of tax
Share of total comprehensive income of associates accounted for using equity method
Disclosure of reconciliation of summarised financial information of associate accounted for using equity method to carrying amount of interest in associate [Text Block]
Description of nature and extent of significant restrictions on transfer of funds to parent
Unrecognised share of losses of associates
Cumulative unrecognised share of losses of associates
Contingent liabilities incurred in relation to interests in associates
Share of contingent liabilities of associates incurred jointly with other investors
Whether company has associates which are yet to commence operations
Details of associates which are yet to commence operations [Abstract]
Details of associates which are yet to commence operations [Table]
Associates which are yet to commence operations [Axis]
Details of associates which are yet to commence operations [Line Items]
Name of associate which is yet to commence operations
Country of incorporation or residence of associate which is yet to commence operations
CIN of associate which is yet to commence operations
PAN of associate which is yet to commence operations
Identification number of foreign associate which is yet to commence operations in country of incorporation or residence
Nature of issuing authority in country of incorporation or residence associate which is yet to commence operations
Whether company has associates liquidated or sold during year
Details of associates liquidated or sold during year [Abstract]
Details of associates liquidated or sold during year [Table]
Associates liquidated or sold during year [Axis]
Details of associates liquidated or sold during year [Line Items]
Name of associate liquidated or sold during year
Country of incorporation or residence of associate liquidated or sold during year
CIN of associate liquidated or sold during year
PAN of associate liquidated or sold during year
Identification number of foreign associate liquidated or sold during year in country of incorporation or residence
Nature of issuing authority in country of incorporation or residence foreign associate liquidated or sold during year
Disclosure of interests in joint arrangements [Text Block]
Disclosure of joint operations [Text Block]
Disclosure of joint operations [Abstract]
Disclosure of joint operations [Table]
Joint operations [Axis]
Disclosure of joint operations [Line items]
Name of joint operation
Description of nature of entity's relationship with joint operation
Principal place of business of joint operation
Country of incorporation of joint operation
Permanent account number of joint operation
CIN of Joint operation
Identification number of foreign joint operation in country of incorporation or residence
Proportion of ownership interest in joint operation
Proportion of voting rights held in joint operation
Disclosure of joint ventures [Text Block]
Whether company has invested in joint ventures
Disclosure of joint ventures [Abstract]
Disclosure of joint ventures [Table]
Joint ventures [Axis]
Disclosure of joint ventures [Line items]
Name of joint venture
Description of nature of entity's relationship with joint venture
Principal place of business of joint venture
Country of incorporation of joint venture
Permanent account number of joint venture
CIN of joint venture
Identification number of foreign joint venture in country of incorporation or residence
CIN of joint venturer whose reporting date is different
PAN of joint venturer whose reporting date is different
Number of shares held of joint venture
Amount of investment in joint venture
Latest audited balance sheet date
Description of reason why using different reporting date or period for joint venture
Whether joint venture has been considered in consolidation
Reason why joint venture is not consolidated
Proportion of ownership interest in joint venture
Proportion of voting rights held in joint venture
Description of whether investment in joint venture is measured using equity method or at fair value
Description of basis of preparation of summarised financial information of joint venture
Net worth attributable to shareholding as per latest audited balance sheet joint venture
Profit (loss) for year joint venture
Profit (loss) for year joint venture considered in consolidation
Profit (loss) for year joint venture not considered in consolidation
Dividends received of joint venture
Current assets of joint venture
Non-current assets of joint venture
Current liabilities of joint venture
Non-current liabilities of joint venture
Revenue of joint venture
Profit (loss) from continuing operations of joint venture
Profit (loss) from discontinued operations of joint venture
Other comprehensive income of joint venture
Comprehensive income of joint venture
Cash and cash equivalents of joint venture
Other current financial liabilities of joint venture
Other non-current financial liabilities of joint venture
Depreciation and amortisation expense of joint venture
Revenue from interest of joint venture
Interest expense of joint venture
Income tax expense continuing operations of joint venture
Fair value of investments in joint ventures for which there are quoted market prices
Investment accounted for using equity method of joint venture
Share of profit (loss) from continuing operations of joint ventures accounted for using equity method
Share of post-tax profit (loss) from discontinued operations of joint ventures accounted for using equity method
Share of other comprehensive income of joint ventures accounted for using equity method, net of tax
Share of total comprehensive income of joint ventures accounted for using equity method
Disclosure of reconciliation of summarised financial information of joint venture accounted for using equity method to carrying amount of interest in joint venture [Text Block]
Description of nature and extent of significant restrictions on transfer of funds to entity
Unrecognised share of losses of joint ventures
Cumulative unrecognised share of losses of joint ventures
Commitments in relation to joint ventures
Contingent liabilities incurred in relation to interests in joint ventures
Share of contingent liabilities incurred jointly with other venturers
Whether company has joint ventures which are yet to commence operations
Details of joint ventures which are yet to commence operations [Abstract]
Details of joint ventures which are yet to commence operations [Table]
Joint ventures which are yet to commence operations [Axis]
Details of joint ventures which are yet to commence operations [Line Items]
Name of joint venture which is yet to commence operations
Country of incorporation or residence of joint venture which is yet to commence operations
CIN of joint venture which is yet to commence operations
PAN of joint venture which is yet to commence operations
Identification number of foreign joint venture which is yet to commence operations in country of incorporation or residence
Nature of issuing authority in country of incorporation or residence joint venture which is yet to commence operations
Whether company has joint ventures liquidated or sold during year
Details of joint ventures liquidated or sold during year [Abstract]
Details of joint ventures liquidated or sold during year [Table]
Joint ventures liquidated or sold during year [Axis]
Details of joint ventures liquidated or sold during year [Line Items]
Name of joint venture liquidated or sold during year
Country of incorporation or residence of joint venture liquidated or sold during year
CIN of joint venture liquidated or sold during year
PAN of joint venture liquidated or sold during year
Identification number of foreign joint venture liquidated or sold during year in country of incorporation or residence
Nature of issuing authority in country of incorporation or residence foreign joint venture liquidated or sold during year
Disclosure of interests in unconsolidated structured entities [Text Block]
Disclosure of unconsolidated structured entities [Text Block]
Disclosure of unconsolidated structured entities [Abstract]
Disclosure of unconsolidated structured entities [Table]
Classification of unconsolidated structured entities [Axis]
Unconsolidated structured entities [Member]
Securitisation vehicles [Member]
Assets-backed financings [Member]
Investment funds [Member]
Others unconsolidated structured entities [Member]
Unconsolidated structured entities [Axis]
Total unconsolidated structured entities [Member]
Unconsolidated structured entities 1 [Member]
Unconsolidated structured entities 2 [Member]
Unconsolidated structured entities 3 [Member]
Unconsolidated structured entities 4 [Member]
Unconsolidated structured entities 5 [Member]
Unconsolidated structured entities 6 [Member]
Unconsolidated structured entities 7 [Member]
Unconsolidated structured entities 8 [Member]
Unconsolidated structured entities 9 [Member]
Unconsolidated structured entities 10 [Member]
Disclosure of unconsolidated structured entities [Line items]
Name of un-consolidated structured entity
Permanent account number of un-consolidated structured entity
CIN of un-consolidated structured entity
Identification number of foreign un-consolidated structured entity in country of incorporation or residence
Disclosure of information about interests in structured entity [Text Block]
Description of how entity determined which structured entities it sponsored
Income from structured entities
Description of types of income from structured entities
Assets transferred to structured entities, at time of transfer
Assets recognised in entity's financial statements in relation to structured entities
Liabilities recognised in entity's financial statements in relation to structured entities
Description of line items in balance Sheet in which assets and liabilities recognised in relation to structured entities are recognised
Maximum exposure to loss from interests in structured entities
Information about how maximum exposure to loss from interests in structured entities is determined
Description of fact and reasons why maximum exposure to loss from interests in structured entities cannot be quantified
Description of comparison between assets and liabilities recognised in relation to structured entities and maximum exposure to loss from interests in structured entities
Description of type of support provided to structured entity without having contractual obligation to do so
Support provided to structured entity without having contractual obligation to do so
Description of reasons for providing support to structured entity without having contractual obligation to do so
Description of intentions to provide support to structured entity
Additional information about nature of and changes in risks associated with interests in structured entities [Text Block]
Description of terms of contractual arrangements that could require parent or subsidiaries to provide financial support to structured entity
Losses incurred in relation to interests in structured entities
Description of whether entity is required to absorb losses of structured entities before other parties
Maximum limit of losses of structured entities which entity is required to absorb before other parties
Disclosure of ranking and amounts of potential losses in structured entities borne by parties whose interests rank lower than entity's interests [Text Block]
Disclosure of information about liquidity arrangements, guarantees or other commitments with third parties that may affect fair value or risk of interests in structured entities [Text Block]
Description of difficulties structured entity experienced in financing its activities
Disclosure of forms of funding of structured entity and their weighted-average life [Text Block]
Disclosure of investment entities [Text Block]
Information about significant judgements and assumptions made in determining that entity is investment entity
Description of reasons for concluding that entity is investment entity if it does not have one or more typical characteristics
Description of change of investment entity status
Description of reasons for change of investment entity status
Disclosure of effect of change of investment entity status on financial statements [Text Block]
Fair value of subsidiaries that cease to be consolidated as of date of change of investment entity status
Gain (loss) on cessation of consolidation of subsidiaries due to change of investment entity status
Description of line item(s) in profit or loss in which gain (loss) on cessation of consolidation of subsidiaries is recognised
Statement that investment entity is required to apply exception from consolidation
Disclosure of information about unconsolidated subsidiaries [Text Block]
Disclosure of information about unconsolidated subsidiaries [Abstract]
Disclosure of information about unconsolidated subsidiaries [Table]
Unconsolidated subsidiaries [Axis]
Disclosure of information about unconsolidated subsidiaries [Line items]
Type of un-consolidated subsidiaries
Name of subsidiary
Principal place of business of subsidiary
Country of incorporation or residence of subsidiary
Permanent account number of subsidiary company
CIN of subsidiary company
Identification number of foreign subsidiary in country of incorporation or residence
Proportion of ownership interest in subsidiary
Proportion of voting rights held in subsidiary
Description of nature and extent of significant restrictions on transfer of funds to parent
Description of current commitments or intentions to provide support to subsidiary
Description of type of support provided to subsidiary by investment entity or its subsidiaries without having contractual obligation to do so
Support provided to subsidiary by investment entity or its subsidiaries without having contractual obligation to do so
Description of reasons for providing support to subsidiary by investment entity or its subsidiaries without having contractual obligation to do so
Disclosure of information about unconsolidated structured entities controlled by investment entity [Text Block]
Disclosure of information about unconsolidated structured entities controlled by investment entity [Abstract]
Disclosure of information about unconsolidated structured entities controlled by investment entity [Table]
Unconsolidated structured entities controlled by investment entity [Axis]
Disclosure of information about unconsolidated structured entities controlled by investment entity [Line items]
Name of un-consolidated structured entity
Permanent account number of un-consolidated structured entity
CIN of un-consolidated structured entity
Identification number of foreign un-consolidated structured entity in country of incorporation or residence
Description of terms of contractual arrangements that could require investment entity or its subsidiaries to provide financial support to unconsolidated structured entity controlled by investment entity
Explanation of relevant factors in reaching decision to provide support that resulted in controlling unconsolidated structured entity
[611600] Notes - Non-current asset held for sale and discontinued operations
Disclosure of non-current assets held for sale and discontinued operations [Text Block]
Revenue discontinued operations
Expenses discontinued operations
Profit (loss) before tax, discontinued operations
Tax expense relating to profit (loss) from ordinary activities of discontinued operations
Gain (loss) recognised on measurement to fair value less costs to sell or on disposal of assets or disposal groups constituting discontinued operation
Tax expense relating to gain (loss) on discontinuance
Cash flows from continuing and discontinued operations [Abstract]
Cash flows from used in operating activities [Abstract]
Net cash flows from (used in) operating activities, continuing operations
Net cash flows from (used in) operating activities, discontinued operations
Net cash flows from (used in) operating activities
Cash flows from used in investing activities [Abstract]
Net cash flows from (used in) investing activities, continuing operations
Net cash flows from (used in) investing activities, discontinued operations
Net cash flows from (used in) investing activities
Cash flows from used in financing activities [Abstract]
Net cash flows from (used in) financing activities, continuing operations
Net cash flows from (used in) financing activities, discontinued operations
Net cash flows from (used in) financing activities
Increase (decrease) in cash and cash equivalents, discontinued operations
Income from continuing operations attributable to owners of parent
Income from discontinued operations attributable to owners of parent
Profit (loss) from continuing operations attributable to non-controlling interests
Profit (loss) from discontinued operations attributable to non-controlling interests
Explanation of nature and adjustments to amounts previously presented in discontinued operations
Description of non-current Assets or disposal group held for sale which were sold or reclassified
Explanation of facts and circumstances of sale or reclassification and expected disposal, manner and timing
Gains (losses) on subsequent increase in fair value less costs to sell not in excess of recognised cumulative impairment loss or write-down to fair value less costs to sell
Description of segment in which non-current Assets or disposal group held for sale is presented
Explanation of effect of changes in plan to sell non-current Assets or disposal group held for sale on results of operations for current period
Explanation of effect of changes in plan to sell non-current Assets or disposal group held for sale on results of operations for prior period
Description of changes in plan to sell non-current Assets or disposal group held for sale
[611700] Notes - Other provisions, contingent liabilities and contingent assets
Disclosure of other provisions, contingent liabilities and contingent assets [Text Block]
Disclosure of other provisions [Text Block]
Disclosure of other provisions [Abstract]
Disclosure of other provisions [Table]
Classes of other provisions [Axis]
Other provisions [Member]
Warranty provision [Member]
Restructuring provision [Member]
Legal proceedings provision [Member]
Refunds provision [Member]
Onerous contracts provision [Member]
Provision for decommissioning restoration and rehabilitation costs [Member]
Other environment related provision [Member]
Provision for credit commitments [Member]
Provision for taxes other than income tax [Member]
CSR expenditure provision [Member]
Other provisions, others [Member]
Other provisions, others 1 [Member]
Other provisions, others 2 [Member]
Other provisions, others 3 [Member]
Other provisions, others 4 [Member]
Other provisions, others 5 [Member]
Disclosure of other provisions [Line items]
Reconciliation of changes in other provisions [Abstract]
Other provisions at beginning of period
Changes in other provisions [Abstract]
Additional provisions, other provisions [Abstract]
New provisions, other provisions
Increase in existing provisions, other provisions
Total additional provisions, other provisions
Acquisitions through business combinations, other provisions
Provision used, other provisions
Unused provision reversed, other provisions
Increase through adjustments arising from passage of time, other provisions
Increase (decrease) through change in discount rate, other provisions
Increase (decrease) through net exchange differences, other provisions
Decrease through loss of control of subsidiary, other provisions
Increase (decrease) through transfers and other changes, other provisions
Decrease through transfer to liabilities included in disposal groups classified as held for sale, other provisions
Other increase decrease in other provisions
Total changes in other provisions
Other provisions at end of period
Description of nature of obligation, other provisions
Description of expected timing of outflows other provisions
Indication of uncertainties of amount or timing of outflows other provisions
Description of major assumptions made concerning future events other provisions
Assets recognised for expected reimbursement other provisions
Expected reimbursement other provisions
Description of other provisions, others
Disclosure of contingent liabilities [Text Block]
Disclosure of contingent liabilities [Abstract]
Disclosure of contingent liabilities [Table]
Classes of contingent liabilities [Axis]
Contingent liabilities [Member]
Warranty contingent liability [Member]
Restructuring contingent liability [Member]
Legal proceedings contingent liability [Member]
Onerous contracts contingent liability [Member]
Contingent liability for decommissioning restoration and rehabilitation costs [Member]
Other environment related contingent liability [Member]
Tax contingent liability [Member]
Contingent liability for guarantees [Member]
Contingent liabilities of joint venture [Member]
Contingencies related to government grant [Member]
Share of contingent liabilities of associates [Member]
Contingent liability arising from post-employment benefit obligations [Member]
Other contingent liabilities [Member]
Indemnity for guarantees given by bank [Member]
Indemnity for guarantees given by financial institutions [Member]
Guarantee given for letter of credit [Member]
Guarantee given for related parties [Member]
Other guarantees given [Member]
Contingent liability on bill discounted [Member]
Contingent liability on uncalled liability on partly paid-up shares [Member]
Contingent liability on disputed tax liabilities relating to sales service and income [Member]
Contingent liability on disputed sales tax [Member]
Contingent liability on disputed income tax [Member]
Contingent liability on disputed excise demands [Member]
Contingent liability on disputed custom demands [Member]
Contingent liability on disputed service tax demands [Member]
Contingent liability on other disputed tax liabilities [Member]
Contingent liability on disputed liability relating to employees and other staff [Member]
Contingent liability relating to provisions under companies act [Member]
Contingent liability in foreign exchange [Member]
Contingent liabilities in respect of derivative transactions [Member]
Contingent liability on liquidated damages for delay in delivery of goods [Member]
Contingent liability on lease commitments [Member]
Contingent liability on environmental liabilities [Member]
Contingent liability on disputed liabilities pending before court [Member]
Contingent liabilities in respect of technology know-how fees royalties [Member]
Other contingent liabilities, others [Member]
Disclosure of contingent liabilities [Line items]
Description of nature of obligation, contingent liabilities
Explanation of estimated financial effect of contingent liabilities
Estimated financial effect of contingent liabilities
Explanation of possibility of reimbursement contingent liabilities
Indication of uncertainties of amount or timing of outflows contingent liabilities
Description of other contingent liabilities others
Description of nature of contingent assets
Explanation of estimated financial effect of contingent assets
Estimated financial effect of contingent assets
Information about contingent assets that disclosure is not practicable
Information about contingent liabilities that disclosure is not practicable
Explanation of general nature of dispute and of reason for non-disclosure of information regarding provision
Explanation of reason for nondisclosure of information regarding contingent liability
Explanation of general nature of dispute and of reason for non-disclosure of information regarding contingent Assets
[611800] Notes - Revenue
Disclosure of revenue [Text Block]
Description of accounting policy for recognition of revenue [Text Block]
[611900] Notes - Accounting for government grants and disclosure of government assistance
Disclosure of accounting for government grants and disclosure of government assistance [Text Block]
Description of accounting policy for government grants [Text Block]
Description of nature and extent of government grants recognised in financial statements
Indication of other forms of government assistance with direct benefits for entity
Explanation of unfulfilled conditions and other contingencies attaching to government assistance
Capital subsidies or grants received from government authorities
Revenue subsidies or grants received from government authorities
[612000] Notes - Construction contracts
Disclosure of notes on construction contracts [Text Block]
Revenue from construction contracts
Methods used to determine construction contract revenue recognised
Methods used to determine stage of completion of construction in progress
Costs incurred and recognised profits (less recognised losses)
Advances received for contracts in progress
Retention for contracts in progress
Gross amount due from customers for contract work as Assets
Gross amount due to customers for contract work as liability
Progress billings
[612100] Notes - Impairment of assets
Disclosure of impairment of assets [Text Block]
Disclosure of impairment loss and reversal of impairment loss [Text Block]
Disclosure of impairment loss and reversal of impairment loss [Abstract]
Disclosure of impairment loss and reversal of impairment loss [Table]
Classes of assets [Axis]
Classes of assets [Member]
Property, plant and equipment [Member]
Other intangible assets [Member]
Biological assets other than bearer plants [Member]
Investment property [Member]
Goodwill [Member]
Right-of-use assets [Member]
Exploration and evaluation assets [Member]
Investments accounted for using equity method [Member]
Non-current assets or disposal groups classified as held for sale [Member]
Other impaired assets [Member]
Other impaired assets 1 [Member]
Other impaired assets 2 [Member]
Other impaired assets 3 [Member]
Other impaired assets 4 [Member]
Other impaired assets 5 [Member]
Other impaired assets 6 [Member]
Other impaired assets 7 [Member]
Other impaired assets 8 [Member]
Other impaired assets 9 [Member]
Other impaired assets 10 [Member]
Disclosure of impairment loss and reversal of impairment loss [Line items]
Description of other impaired assets
Impairment loss recognised in profit or loss
Description of line item(s) in statement of comprehensive income in which impairment losses recognised in profit or loss are included
Reversal of impairment loss recognised in profit or loss
Description of line item(s) in statement of comprehensive income in which impairment losses recognised in profit or loss are reversed
Impairment loss recognised in other comprehensive income
Reversal of impairment loss recognised in other comprehensive income
Disclosure of information for impairment loss recognised or reversed for individual Assets or cash-generating unit [Text Block]
Disclosure of information for impairment loss recognised or reversed for individual Assets or cash-generating unit [Abstract]
Disclosure of information for impairment loss recognised or reversed for individual Assets or cash-generating unit [Table]
Individual assets or cash generating units [Axis]
Disclosure of information for impairment loss recognised or reversed for individual Assets or cash-generating unit [Line items]
Description of individual assets or cash-generating units
Explanation of main events and circumstances that led to recognition of impairment losses and reversals of impairment losses
Impairment loss
Reversal of impairment loss
Description of nature of individual Assets
Description of reportable segment to which individual Assets belongs
Description of cash generating unit
Description of current and former way of aggregating assets
Description of reasons for changing way cash-generating unit is identified
Recoverable amount of Assets or cash-generating unit
Information whether recoverable amount of Assets is fair value less costs of disposal or value in use
Description of level of fair value hierarchy within which fair value measurement is categorised
Description of valuation techniques used to measure fair value less costs of disposal
Description of change in valuation technique used to measure fair value less costs of disposal
Description of reasons for change in valuation technique used to measure fair value less costs of disposal
Description of key assumptions on which management has based determination of fair value less costs of disposal
Description of management’s approach to determining the value (or values) assigned to each key assumption
Discount rate used in current measurement of fair value less costs of disposal
Discount rate used in previous measurement of fair value less costs of disposal
Discount rate used in current estimate of value in use
Discount rate used in previous estimate of value in use
Explanation of impairment loss recognised or reversed by class of assets and by reportable segment
Disclosure of impairment loss recognised or reversed [Abstract]
Disclosure of impairment loss recognised or reversed [Table]
Individual assets or cash generating units [Axis]
Classes of assets [Axis]
Classes of assets [Member]
Property, plant and equipment [Member]
Other intangible assets [Member]
Biological assets other than bearer plants [Member]
Investment property [Member]
Goodwill [Member]
Right-of-use assets [Member]
Exploration and evaluation assets [Member]
Investments accounted for using equity method [Member]
Non-current assets or disposal groups classified as held for sale [Member]
Other impaired assets [Member]
Other impaired assets 1 [Member]
Other impaired assets 2 [Member]
Other impaired assets 3 [Member]
Other impaired assets 4 [Member]
Other impaired assets 5 [Member]
Other impaired assets 6 [Member]
Other impaired assets 7 [Member]
Other impaired assets 8 [Member]
Other impaired assets 9 [Member]
Other impaired assets 10 [Member]
Reportable segments [Axis]
Reportable segments [Member]
Reportable segments 1 [Member]
Reportable segments 2 [Member]
Reportable segments 3 [Member]
Reportable segments 4 [Member]
Reportable segments 5 [Member]
Reportable segments 6 [Member]
Reportable segments 7 [Member]
Reportable segments 8 [Member]
Reportable segments 9 [Member]
Reportable segments 10 [Member]
Reportable segments 11 [Member]
Reportable segments 12 [Member]
Reportable segments 13 [Member]
Reportable segments 14 [Member]
Reportable segments 15 [Member]
Reportable segments 16 [Member]
Reportable segments 17 [Member]
Reportable segments 18 [Member]
Reportable segments 19 [Member]
Reportable segments 20 [Member]
Disclosure of impairment loss recognised or reversed [Line items]
Description of cash-generating units
Description of segment
Description of other impaired assets
Impairment loss
Reversal of impairment loss
Explanation of main events and circumstances that led to recognition of impairment losses and reversals of impairment losses
Explanation of main classes of assets affected by impairment losses or reversals of impairment losses
Unallocated goodwill
Explanation of goodwill not allocated to cash-generating unit
Explanation of fact that carrying amount of goodwill or intangible assets with indefinite useful lives is not significant
Explanation of fact that aggregate carrying amount of goodwill or intangible assets with indefinite useful lives allocated to cash-generating units is significant
Disclosure of information for cash-generating units [Text Block]
Disclosure of information for cash-generating units [Abstract]
Disclosure of information for cash-generating units [Table]
Cash-generating units [Axis]
Disclosure of information for cash-generating units [Line items]
Description of cash generating unit
Goodwill
Intangible assets with indefinite useful life
Description of basis on which unit's recoverable amount has been determined
Description of key assumptions on which management has based cash flow projections
Description of valuation techniques used to measure fair value less costs of disposal
Description of key assumptions on which management has based determination of fair value less costs of disposal
Description of management's approach to determining values assigned to key assumptions
Description of level of fair value hierarchy within which fair value measurement is categorised
Description of change in valuation technique used to measure fair value less costs of disposal
Description of reasons for change in valuation technique used to measure fair value less costs of disposal
Explanation of period over which management has projected cash flows
Growth rate used to extrapolate cash flow projections
Description of justification for using growth rate that exceeds long-term average growth rate
Discount rate applied to cash flow projections
Amount by which unit's recoverable amount exceeds its carrying amount
Explanation of value assigned to key assumption
Amount by which value assigned to key assumption must change in order for unit's recoverable amount to be equal to carrying amount
[612200] Notes - Leases
Disclosure of leases [Text Block]
Disclosure of recognised finance lease as assets by lessee [Text Block]
Disclosure of recognised finance lease as assets by lessee [Abstract]
Disclosure of recognised finance lease as assets by lessee [Table]
Classes of assets [Axis]
Classes of assets [Member]
Property, plant and equipment [Member]
Other intangible assets [Member]
Investment property [Member]
Biological assets other than bearer plants [Member]
Other assets [Member]
Carrying amount, accumulated depreciation, amortisation and impairment and gross carrying amount [Axis]
Carrying amount [Member]
Gross carrying amount [Member]
Accumulated depreciation and impairment [Member]
Disclosure of recognised finance lease as assets by lessee [Line items]
Recognised finance lease as assets
Nature of other assets
Disclosure of finance lease and operating lease by lessee [Text Block]
Disclosure of finance lease and operating lease by lessee [Abstract]
Disclosure of finance lease and operating lease by lessee [Table]
Maturity [Axis]
Aggregated time bands [Member]
Not later than one year [Member]
Later than one year and not later than five years [Member]
Later than five years [Member]
Disclosure of finance lease and operating lease by lessee [Line items]
Minimum finance lease payments payable
Minimum finance lease payments payable at present value
Future finance charge on finance lease
Minimum lease payments payable under non-cancellable operating lease
Minimum lease payments of arrangements that include payments for non lease elements
Minimum lease payments of other arrangements that do not include payments for non-lease elements
Lease and sublease payments recognised as expense [Abstract]
Contingent rents recognised as expense classified as finance lease
Contingent rents recognised as expense, classified as operating lease
Total contingent rents recognised as expense
Sublease payments recognised as expense
Minimum operating lease payments recognised as expense
Total lease and sublease payments recognised as expense
Expected future minimum sublease payments receivable under non-cancellable subleases, classified as finance lease
Expected future minimum sublease payments receivable under non cancellable subleases, classified as operating lease
Description of material leasing arrangements by lessee classified as finance lease
Description of material leasing arrangements by lessee classified as operating lease
Disclosure of finance lease and operating lease by lessor [Text Block]
Disclosure of finance lease and operating lease by lessor [Abstract]
Disclosure of finance lease and operating lease by lessor [Table]
Maturity [Axis]
Aggregated time bands [Member]
Not later than one year [Member]
Later than one year and not later than five years [Member]
Later than five years [Member]
Disclosure of finance lease and operating lease by lessor [Line items]
Gross investment in finance lease
Unearned finance income on finance lease
Minimum finance lease payments receivable at present value
Minimum lease payments receivable under non-cancellable operating lease
Contingent rents recognised as income [Abstract]
Contingent rents recognised as income classified as finance lease
Contingent rents recognised as income classified as operating lease
Total contingent rents recognised as income
Explanation of unguaranteed residual values accruing to benefit of lessor
Accumulated allowance for uncollectible minimum lease payments receivable
Description of material leasing arrangements by lessor classified as finance lease
Description of material leasing arrangements by lessor classified as operating lease
Whether any operating lease has been converted to financial lease or vice-versa
If yes, details of such conversions [Text Block]
[612300] Notes - Transactions involving legal form of lease
Disclosure of arrangements involving legal form of lease [Text Block]
Disclosure of detailed information about arrangements involving legal form of lease [Text Block]
Disclosure of detailed information about arrangements involving legal form of lease [Abstract]
Disclosure of detailed information about arrangements involving legal form of lease [Table]
Arrangements involving legal form of lease [Axis]
Disclosure of detailed information about arrangements involving legal form of lease [Line items]
Description of arrangement involving legal form of lease
Description of Assets underlying arrangement involving legal form of lease and any restrictions on its use
Description of life and other significant terms of arrangement involving legal form of lease
Explanation of transactions linked together
Explanation of accounting treatment applied to any fee received
Amount recognised as income from arrangement involving legal form of lease
Description of line item of statement of comprehensive income in which amount recognised as income from arrangement involving legal form of lease is included
[612400] Notes - Service concession arrangements
Disclosure of service concession arrangements [Text Block]
Disclosure of detailed information about service concession arrangements [Text Block]
Disclosure of detailed information about service concession arrangements [Abstract]
Disclosure of detailed information about service concession arrangements [Table]
Service concession arrangements [Axis]
Disclosure of detailed information about service concession arrangements [Line items]
Description of service concession arrangement
Explanation of significant terms of service concession arrangement that may affect amount, timing and certainty of future cash flows
Explanation of nature and extent of rights to use specified assets
Explanation of nature and extent of obligations to provide or rights to expect provision of services
Explanation of nature and extent of obligations to acquire or build items of property, plant and equipment
Explanation of nature and extent of obligations to deliver or rights to receive specified assets at end of concession period
Explanation of nature and extent of renewal and termination options
Explanation of nature and extent of other rights and obligations
Description of changes in service concession arrangement
Explanation of how service concession arrangement has been classified
Revenue recognised on exchanging construction services for financial assets
Revenue recognised on exchanging construction services for intangible Assets
Profit (loss) recognised on exchanging construction services for financial assets
Profit (loss) recognised on exchanging construction services for intangible Assets
[612500] Notes - Share-based payment arrangements
Disclosure of share-based payment arrangements [Text Block]
Disclosure of terms and conditions of share-based payment arrangement [Text Block]
Disclosure of terms and conditions of share-based payment arrangement [Abstract]
Disclosure of terms and conditions of share-based payment arrangement [Table]
Types of share-based payment arrangements [Axis]
Disclosure of terms and conditions of share-based payment arrangement [Line items]
Description of share-based payment arrangement
Description of vesting requirements for share-based payment arrangement
Description of maximum term of options granted for share-based payment arrangement
Description of method of settlement for share-based payment arrangement
Date of grant of share-based payment arrangement
Number of instruments granted in share-based payment arrangement
Disclosure of number and weighted average exercise prices of share options [Text Block]
Number of share options outstanding in share-based payment arrangement at beginning of period
Number of share options outstanding in share based payment arrangement [Abstract]
Number of share options granted in share-based payment arrangement
Number of share options forfeited in share-based payment arrangement
Number of share options exercised in share-based payment arrangement
Number of share options expired in share-based payment arrangement
Total changes of number of share options outstanding in share based payment arrangement
Number of share options outstanding in share-based payment arrangement at end of period
Number of share options exercisable in share-based payment arrangement
Weighted average exercise price of share options outstanding in share-based payment arrangement at beginning of period
Weighted average exercise price of share options outstanding in share based payment arrangement [Abstract]
Weighted average exercise price of share options granted in share-based payment arrangement
Weighted average exercise price of share options forfeited in share-based payment arrangement
Weighted average exercise price of share options exercised in share-based payment arrangement
Weighted average exercise price of share options expired in share-based payment arrangement
Total changes of weighted average exercise price of share options outstanding in share-based payment arrangement
Weighted average exercise price of share options outstanding in share-based payment arrangement at end of period
Weighted average exercise price of share options exercisable in share-based payment arrangement
Weighted average share price for share options in share-based payment arrangement exercised during period at date of exercise
Weighted average share price
Disclosure of range of exercise prices of outstanding share options [Text Block]
Disclosure of range of exercise prices of outstanding share options [Abstract]
Disclosure of range of exercise prices of outstanding share options [Table]
Range [Axis]
Ranges [Member]
Bottom of range [Member]
Top of range [Member]
Disclosure of range of exercise prices of outstanding share options [Line items]
Exercise price of outstanding share options
Disclosure of number and weighted average remaining contractual life of outstanding share options [Text Block]
Disclosure of number and weighted average remaining contractual life of outstanding share options [Abstract]
Disclosure of number and weighted average remaining contractual life of outstanding share options [Table]
Ranges of exercise prices for outstanding share options [Axis]
Disclosure of number and weighted average remaining contractual life of outstanding share options [Line items]
Number of share options outstanding in share based payment arrangement
Weighted average remaining contractual life of outstanding share options
Disclosure of number and weighted average exercise prices of other equity instruments [Text Block]
Number of other equity instruments outstanding in share-based payment arrangement at beginning of period
Number of other equity instruments outstanding in share based payment arrangement [Abstract]
Number of other equity instruments granted in share-based payment arrangement
Number of other equity instruments forfeited in share-based payment arrangement
Number of other equity instruments exercised or vested in share-based payment arrangement
Number of other equity instruments expired in share-based payment arrangement
Total changes of number of other equity instruments outstanding in share-based payment arrangement
Number of other equity instruments outstanding in share-based payment arrangement at end of period
Number of other equity instruments exercisable in share-based payment arrangement
Weighted average exercise price of other equity instruments outstanding in share-based payment arrangement at beginning of period
Weighted average exercise price of other equity instruments outstanding in share based payment arrangement [Abstract]
Weighted average exercise price of other equity instruments granted in share-based payment arrangement
Weighted average exercise price of other equity instruments forfeited in share-based payment arrangement
Weighted average exercise price of other equity instruments exercised or vested in share-based payment arrangement
Weighted average exercise price of other equity instruments expired in share-based payment arrangement
Total changes of weighted average exercise price of other equity instruments outstanding in share-based payment arrangement
Weighted average exercise price of other equity instruments outstanding in share-based payment arrangement at end of period
Weighted average exercise price of other equity instruments exercisable in share-based payment arrangement
Explanation of determination of fair value of goods or services received or fair value of equity instruments granted on share-based payments
Disclosure of indirect measurement of fair value of goods or services received, share options granted during period [Text Block]
Weighted average fair value at measurement date, share options granted
Information about how fair value was measured, share options granted
Description of option pricing model, share options granted
Description of inputs to option pricing model, share options granted
Weighted average share price, share options granted
Exercise price, share options granted
Expected volatility, share options granted
Option life, share options granted
Expected dividend, share options granted
Expected dividend as percentage, share options granted
Risk free interest rate, share options granted
Description of other inputs to options pricing model, share options granted
Description of method used and assumptions made to incorporate effects of expected early exercise, share options granted
Information about how expected volatility was determined, share options granted
Information whether and how other features were incorporated into measurement of fair value, share options granted
Disclosure of indirect measurement of fair value of goods or services received, other equity instruments granted during period [Text Block]
Number of other equity instruments granted in share-based payment arrangement
Weighted average fair value at measurement date, other equity instruments granted
Information how fair value was measured, other equity instruments granted
Information about how fair was determined if not on basis of observable market, other equity instruments granted
Information whether and how expected dividends were incorporated into measurement of fair value, other equity instruments granted
Information whether and how other features were incorporated into measurement of fair value, other equity instruments granted
Disclosure of indirect measurement of fair value of goods or services received, share-based payment arrangements modified during period [Text Block]
Explanation of modifications, modified share-based payment arrangements
Incremental fair value granted, modified share-based payment arrangements
Information on how incremental fair value granted was measured, modified share-based payment arrangements
Explanation of direct measurement of fair value of goods or services received
Description of reason why fair value of goods or services received cannot be reliably estimated
Explanation of effect of share-based payments on entity's profit or loss [Text Block]
Expense from share-based payment transactions in which goods or services received did not qualify for recognition as assets [Abstract]
Expense from equity-settled share-based payment transactions in which goods or services received did not qualify for recognition as assets
Expense from cash-settled share-based payment transactions in which goods or services received did not qualify for recognition as assets
Total expense from share-based payment transactions in which goods or services received did not qualify for recognition as assets
Expense from share-based payment transactions with employees
Explanation of effect of share-based payments on entity's financial position [Text Block]
Liabilities from share-based payment transactions
Intrinsic value of liabilities from share-based payment transactions for which counterparty's right to cash or other assets vested
Additional information about share-based payment arrangements [Text Block]
[612600] Notes - Employee benefits
Disclosure of employee benefits [Text Block]
Disclosure of defined benefit plans [Text Block]
Disclosure of defined benefit plans [Abstract]
Disclosure of defined benefit plans [Table]
Defined benefit plans [Axis]
Defined benefit plans [Member]
Foreign defined benefit plans [Member]
Domestic defined benefit plans [Member]
Multi-employer defined benefit plans [Member]
State defined benefit plans [Member]
Defined benefit plans that share risks between entities under common control [Member]
Defined benefit plans categories [Axis]
Disclosure of defined benefit plans [Line items]
Description of type of plan
Description of nature of benefits provided by plan
Description of regulatory framework in which plan operates
Description of effect of regulatory framework on plan
Description of any other entity's responsibilities for governance of plan
Description of risks to which plan exposes entity
Description of significant concentrations of risk related to plan
Description of plan amendments, curtailments and settlements
Surplus (deficit) in plan [Abstract]
Defined benefit obligation, at present value
Plan assets, at fair value
Net surplus (deficit) in plan
Description of link between reimbursement right and related obligation
Description of how entity determined maximum economic benefit available
Entity's own financial instruments included in fair value of plan assets
Property occupied by entity included in fair value of plan assets
Other assets used by entity included in fair value of plan assets
Actuarial assumption of discount rates
Actuarial assumption of expected rates of salary increases
Actuarial assumption of medical cost trend rates
Actuarial assumption of expected rates of pension increases
Actuarial assumption of expected rates of inflation
Other material actuarial assumptions
Description of Assets-liability matching strategies used by plan or entity to manage risk
Description of funding arrangements and funding policy that affect future contributions
Estimate of contributions expected to be paid to plan
Disclosure of information about maturity profile of defined benefit obligation [Text Block]
Weighted average duration of defined benefit obligation
Description of extent to which entity can be liable to multi-employer or state plan for other entities' obligations
Description of agreed allocation of deficit or surplus of multi-employer or state plan on wind-up of plan
Description of agreed allocation of deficit or surplus of multi-employer or state plan on entity's withdrawal from plan
Description of fact that multi-employer or state plan is defined benefit plan
Description of reason why sufficient information is not available to account for multi-employer plan as defined benefit plan
Description of information about surplus or deficit of multi-employer plan
Description of basis used to determine surplus or deficit of multi-employer plan
Description of implications of surplus or deficit on multi-employer or state plan for entity
Level of participation of entity compared with other participating entities
Description of contractual agreement or stated policy for charging net defined benefit cost
Description of policy for determining contribution of defined benefit plans that share risks between entities under common control [Text Block]
Description of cross-reference to disclosures about plans that share risks between entities under common control in another group entity's financial statements
Disclosure of net defined benefit liability (assets) [Text Block]
Disclosure of net defined benefit liability (assets) [Abstract]
Disclosure of net defined benefit liability (assets) [Table]
Defined benefit plans [Axis]
Defined benefit plans [Member]
Foreign defined benefit plans [Member]
Domestic defined benefit plans [Member]
Multi-employer defined benefit plans [Member]
State defined benefit plans [Member]
Defined benefit plans that share risks between entities under common control [Member]
Net defined benefit liability (assets) [Axis]
Net defined benefit liability (assets) [Member]
Present value of defined benefit obligation [Member]
Plan assets [Member]
Effect of Assets ceiling [Member]
Defined benefit plans categories [Axis]
Disclosure of net defined benefit liability (assets) [Line items]
Description of type of plan
Net defined benefit liability (assets) at beginning of period
Changes in net defined benefit liability (assets) [Abstract]
Current service cost, net defined benefit liability (assets)
Interest expense (income), net defined benefit liability (assets)
Gain (loss) on remeasurement, net defined benefit liability (assets) [Abstract]
Return on plan assets, net defined benefit liability (assets)
Actuarial losses (gains) arising from changes in demographic assumptions, net defined benefit liability (assets)
Actuarial losses (gains) arising from changes in financial assumptions, net defined benefit liability (assets)
Loss (gain) on changes in effect of limiting net defined benefit assets to assets ceiling, net defined benefit liability (assets)
Total loss (gain) on remeasurement, net defined benefit liability (assets)
Past service cost and gains (losses) arising from settlements, net defined benefit liability (assets) [Abstract]
Past service cost, net defined benefit liability (assets)
Losses (gains) arising from settlements, net defined benefit liability (assets)
Net past service cost and gains (losses) arising from settlements, net defined benefit liability (assets)
Increase (decrease) through changes in foreign exchange rates, net defined benefit liability (assets)
Contributions to plan, net defined benefit liability (assets) [Abstract]
Contributions to plan by employer, net defined benefit liability (assets)
Contributions to plan by plan participants, net defined benefit liability (assets)
Total contributions to plan, net defined benefit liability (assets)
Payments from plan, net defined benefit liability (assets)
Payments in respect of settlements, net defined benefit liability (assets)
Increase (decrease) through business combinations and disposals, net defined benefit liability (assets)
Increase (decrease) through other changes, net defined benefit liability (assets)
Total increase (decrease) in net defined benefit liability (assets)
Net defined benefit liability (assets) at end of period
Disclosure of reimbursement rights [Text Block]
Disclosure of reimbursement rights [Abstract]
Disclosure of reimbursement rights [Table]
Defined benefit plans [Axis]
Defined benefit plans [Member]
Foreign defined benefit plans [Member]
Domestic defined benefit plans [Member]
Multi-employer defined benefit plans [Member]
State defined benefit plans [Member]
Defined benefit plans that share risks between entities under common control [Member]
Defined benefit plans categories [Axis]
Disclosure of reimbursement rights [Line items]
Description of type of plan
Reimbursement rights, at fair value at beginning of period
Changes in reimbursement rights [Abstract]
Interest income, reimbursement rights
Gain (loss) on remeasurement, reimbursement rights [Abstract]
Return on reimbursement rights
Gain (loss) on changes in effect of limiting reimbursement rights to Assets ceiling, reimbursement rights
Total gain (loss) on remeasurement, reimbursement rights
Increase (decrease) through net exchange differences, reimbursement rights, at fair value
Decrease through benefits paid, reimbursement rights, at fair value
Payments in respect of settlements, reimbursement rights
Increase (decrease) through business combinations and disposals, reimbursement rights
Other increase decrease in reimbursement rights
Total changes in reimbursement rights, at fair value
Reimbursement rights, at fair value at end of period
Disclosure of fair value of plan assets [Text Block]
Disclosure of fair value of plan assets [Abstract]
Disclosure of fair value of plan assets [Table]
Defined benefit plans [Axis]
Defined benefit plans [Member]
Foreign defined benefit plans [Member]
Domestic defined benefit plans [Member]
Multi-employer defined benefit plans [Member]
State defined benefit plans [Member]
Defined benefit plans that share risks between entities under common control [Member]
Levels of fair value hierarchy [Axis]
All levels of fair value hierarchy [Member]
Level 1 of fair value hierarchy [Member]
Level 2 and 3 of fair value hierarchy [Member]
Defined benefit plans categories [Axis]
Disclosure of fair value of plan assets [Line items]
Description of type of plan
Cash and cash equivalents, amount contributed to fair value of plan assets
Equity instruments amount contributed to fair value of plan assets
Debt instruments amount contributed to fair value of plan assets
Property amount contributed to fair value of plan assets
Derivatives, amount contributed to fair value of plan assets
Investment funds, amount contributed to fair value of plan assets
Assets-backed securities, amount contributed to fair value of plan Assets
Structured debt, amount contributed to fair value of plan assets
Other assets amount contributed to fair value of plan assets
Disclosure of sensitivity analysis for actuarial assumptions [Text Block]
Disclosure of sensitivity analysis for actuarial assumptions [Abstract]
Disclosure of sensitivity analysis for actuarial assumptions [Table]
Defined benefit plans [Axis]
Defined benefit plans [Member]
Foreign defined benefit plans [Member]
Domestic defined benefit plans [Member]
Multi-employer defined benefit plans [Member]
State defined benefit plans [Member]
Defined benefit plans that share risks between entities under common control [Member]
Actuarial assumptions [Axis]
Actuarial assumptions [Member]
Actuarial assumption of discount rates [Member]
Actuarial assumption of expected rates of salary increases [Member]
Actuarial assumption of medical cost trend rates [Member]
Actuarial assumption of expected rates of pension increases [Member]
Actuarial assumption of expected rates of inflation [Member]
Other material actuarial assumptions [Member]
Defined benefit plans categories [Axis]
Disclosure of sensitivity analysis for actuarial assumptions [Line items]
Description of type of plan
Percentage of reasonably possible increase in actuarial assumption
Increase (decrease) in defined benefit obligation due to reasonably possible increase in actuarial assumption
Percentage of reasonably possible decrease in actuarial assumption
Increase (decrease) in defined benefit obligation due to reasonably possible decrease in actuarial assumption
Description of methods and assumptions used in preparing sensitivity analysis for actuarial assumptions
Description of limitations of methods used in preparing sensitivity analysis for actuarial assumptions
Description of changes in methods and assumptions used in preparing sensitivity analysis for actuarial assumptions
Description of reasons for changes in methods and assumptions used in preparing sensitivity analysis for actuarial assumptions
Disclosure of additional information about defined benefit plans [Text Block]
Disclosure of analysis of present value of defined benefit obligation that distinguishes nature, characteristics and risks [Text Block]
Termination benefits expense
[612700] Notes - Income taxes
Disclosure of income tax [Text Block]
Major components of tax expense (income) [Abstract]
Current tax expense (income) and adjustments for current tax of prior periods [Abstract]
Current tax expense (income)
Adjustments for current tax of prior periods
Total current tax expense (income) and adjustments for current tax of prior periods
Deferred tax expense (income) relating to origination and reversal of temporary differences
Deferred tax expense (income) relating to tax rate changes or imposition of new taxes
Tax benefit arising from previously unrecognised tax loss, tax credit or temporary difference of prior period used to reduce current tax expense
Tax benefit arising from previously unrecognised tax loss, tax credit or temporary difference of prior period used to reduce deferred tax expense
Deferred tax expense arising from write-down or reversal of write-down of deferred tax Assets
Tax expense (income) relating to changes in accounting policies and errors included in profit or loss
Adjustments for deferred tax of prior periods
Other components of deferred tax expense (income)
Total tax expense (income)
Current and deferred tax relating to items charged or credited directly to equity [Abstract]
Current tax relating to items credited (charged) directly to equity
Deferred tax relating to items credited (charged) directly to equity
Total aggregate current and deferred tax relating to items credited (charged) directly to equity
Income tax relating to components of other comprehensive income [Abstract]
Income tax relating to exchange differences on translation of other comprehensive income
Income tax relating to cash flow hedges of other comprehensive income
Income tax relating to changes in revaluation surplus of other comprehensive income
Income tax relating to remeasurements of defined benefit plans of other comprehensive income
Income tax relating to investments in equity instruments of other comprehensive income
Income tax relating to hedges of net investments in foreign operations of other comprehensive income
Income tax relating to changes in fair value of financial liability attributable to change in credit risk of liability of other comprehensive income
Income tax relating to hedges of investments in equity instruments of other comprehensive income
Income tax relating to change in value of time value of options of other comprehensive income
Income tax relating to change in value of forward elements of forward contracts of other comprehensive income
Income tax relating to change in value of foreign currency basis spreads of other comprehensive income
Income tax relating to financial assets measured at fair value through other comprehensive income
Others income tax relating to components of other comprehensive income that will not be reclassified to profit or loss
Others income tax relating to components of other comprehensive income that will be reclassified to profit or loss
Total aggregated income tax relating to components of other comprehensive income
Aggregated income tax relating to share of other comprehensive income of associates and joint ventures accounted for using equity method
Tax expense of discontinued operations [Abstract]
Tax expense relating to gain (loss) on discontinuance
Tax expense relating to profit (loss) from ordinary activities of discontinued operations
Explanation of changes in applicable tax rates to previous accounting period
Description of expiry date of deductible temporary differences, unused tax losses and unused tax credits
Deductible temporary differences for which no deferred tax Assets is recognised
Unused tax losses for which no deferred tax Assets recognised
Unused tax credits for which no deferred tax Assets recognised
Temporary differences associated with investments in subsidiaries, branches and associates and interests in joint arrangements for which deferred tax liabilities have not been recognised
Disclosure of temporary difference, unused tax losses and unused tax credits [Text Block]
Disclosure of temporary difference, unused tax losses and unused tax credits [Abstract]
Disclosure of temporary difference, unused tax losses and unused tax credits [Table]
Temporary difference, unused tax losses and unused tax credits [Axis]
Temporary difference, unused tax losses and unused tax credits [Member]
Temporary differences [Member]
Allowance for credit losses [Member]
Unrealised foreign exchange gains (losses) [Member]
Depreciation amortisation impairment [Member]
Other temporary differences [Member]
Other temporary differences 1 [Member]
Other temporary differences 2 [Member]
Other temporary differences 3 [Member]
Other temporary differences 4 [Member]
Other temporary differences 5 [Member]
Other temporary differences 6 [Member]
Other temporary differences 7 [Member]
Other temporary differences 8 [Member]
Other temporary differences 9 [Member]
Other temporary differences 10 [Member]
Unused tax losses [Member]
Unused tax credits [Member]
Disclosure of temporary difference, unused tax losses and unused tax credits [Line items]
Deferred tax assets and liabilities [Abstract]
Deferred tax assets
Deferred tax liabilities
Net deferred tax liability (assets)
Net deferred tax assets and liabilities [Abstract]
Net deferred tax assets
Net deferred tax liabilities
Deferred tax expense (income) [Abstract]
Deferred tax expense (income)
Deferred tax expense (income) recognised in profit or loss
Reconciliation of changes in deferred tax liability (assets) [Abstract]
Deferred tax liability (assets) at beginning of period
Changes in deferred tax liability (assets) [Abstract]
Deferred tax expense (income) recognised in profit or loss
Deferred tax relating to items credited (charged) directly to equity
Aggregated income tax relating to components of other comprehensive income
Increase (decrease) through business combinations, deferred tax liability (assets)
Increase (decrease) through loss of control of subsidiary, deferred tax liability (assets)
Increase (decrease) through net exchange differences, deferred tax liability (assets)
Total increase (decrease) in deferred tax liability (assets)
Deferred tax liability (assets) at end of period
Description of other temporary differences
Income tax consequences of dividends proposed or declared before financial statements authorised for issue not recognised as liability
Increase (decrease) in amount recognised for pre-acquisition deferred tax Assets
Description of event or change in circumstances that caused recognition of deferred tax benefits acquired in business combination after acquisition date
Description of nature of potential income tax consequences that would result from payment of dividend
Description of amounts of potential income tax consequences practicably determinable
Description of evidence supporting recognition of deferred tax assets when utilisation is dependent on future taxable profits in excess of profits from reversal of taxable temporary differences and entity has suffered loss in jurisdiction to which deferred tax assets relates
Deferred tax Assets when utilisation is dependent on future taxable profits in excess of profits from reversal of taxable temporary differences and entity has suffered loss in jurisdiction to which deferred tax Assets relates
Description of whether there are potential income tax consequences not practicably determinable
Reconciliation of accounting profit multiplied by applicable tax rates [Abstract]
Accounting profit
Tax expense (income) at applicable tax rate
Tax effect of revenues exempt from taxation
Tax effect of expense not deductible in determining taxable profit (tax loss)
Tax effect of impairment of goodwill
Tax effect of tax losses
Tax effect of foreign tax rates
Tax effect from change in tax rate
Other tax effects for reconciliation between accounting profit and tax expense (income)
Total tax expense (income)
Reconciliation of average effective tax rate and applicable tax rate [Abstract]
Accounting profit
Applicable tax rate
Tax rate effect of revenues exempt from taxation
Tax rate effect of expense not deductible in determining taxable profit (tax loss)
Tax rate effect of impairment of goodwill
Tax rate effect of tax losses
Tax rate effect of foreign tax rates
Tax rate effect from change in tax rate
Tax rate effect of adjustments for current tax of prior periods
Other tax rate effects for reconciliation between accounting profit and tax expense (income)
Total average effective tax rate
[612800] Notes - Borrowing costs
Disclosure of borrowing costs [Text Block]
Borrowing costs [Abstract]
Borrowing costs capitalised
Borrowing costs recognised as expense
Total borrowing costs incurred
Interest costs [Abstract]
Interest costs capitalised
Interest expense
Total interest costs incurred
Capitalisation rate of borrowing costs eligible for capitalisation
[612900] Notes - Insurance contracts
Disclosure of insurance contracts [Text Block]
Disclosure of amounts arising from insurance contracts [Text Block]
Description of accounting policy for insurance contracts and related assets, liabilities, income and expense [Text Block]
Assets arising from insurance contracts
Assets under insurance contracts and reinsurance contracts issued
Deferred acquisition costs arising from insurance contracts
Intangible assets relating to insurance contracts acquired in business combinations or portfolio transfers
Assets under reinsurance ceded
Liabilities under insurance contracts and reinsurance contracts issued [Abstract]
Unearned premiums
Claims reported by policyholders
Claims incurred but not reported
Provisions arising from liability adequacy tests
Provisions for future non-participating benefits
Liabilities or components of equity relating to discretionary participation features
Receivables and payables related to insurance contracts
Non-insurance assets acquired by exercising rights to recoveries
Other liabilities under insurance contracts and reinsurance contracts issued
Total liabilities under insurance contracts and reinsurance contracts issued
Income arising from insurance contracts
Expense arising from insurance contracts
Revenue from insurance contracts issued, without reduction for reinsurance held
Income from contracts with reinsurers
Expense for policyholder claims and benefits, without reduction for reinsurance held
Expenses arising from reinsurance held
Cash flows from (used in) insurance contracts
Gains (losses) recognised in profit or loss on buying reinsurance
Amortisation of losses (gains) arising on buying reinsurance
Remaining unamortised gains (losses) arising on buying reinsurance at beginning of period
Remaining unamortised gains (losses) arising on buying reinsurance at end of period
Explanation of process used to determine assumptions to measure recognised assets, liabilities, income and expense arising from insurance contracts
Explanation of effect of changes in assumptions to measure insurance assets and insurance liabilities
Reconciliation of changes in liabilities under insurance contracts and reinsurance contracts issued [Abstract]
Liabilities under insurance contracts and reinsurance contracts issued at beginning of period
Changes in liabilities under insurance contracts and reinsurance contracts issued [Abstract]
Additions other than through business combinations, liabilities under insurance contracts and reinsurance contracts issued
Acquisitions through business combinations, liabilities under insurance contracts and reinsurance contracts issued
Cash paid, liabilities under insurance contracts and reinsurance contracts issued
Expense (income) included in profit or loss, liabilities under insurance contracts and reinsurance contracts issued
Increase (decrease) through transfers, liabilities under insurance contracts and reinsurance contracts issued
Increase (decrease) through net exchange differences, liabilities under insurance contracts and reinsurance contracts issued
Increase (decrease) through adjustments arising from passage of time, liabilities under insurance contracts and reinsurance contracts issued
Increase (decrease) through other changes, liabilities under insurance contracts and reinsurance contracts issued
Total increase (decrease) in liabilities under insurance contracts and reinsurance contracts issued
Liabilities under insurance contracts and reinsurance contracts issued at end of period
Reconciliation of changes in deferred acquisition costs arising from insurance contracts [Abstract]
Deferred acquisition costs arising from insurance contracts at beginning of period
Changes in deferred acquisition costs arising from insurance contracts [Abstract]
Amounts incurred, deferred acquisition costs arising from insurance contracts
Acquisitions through business combinations, deferred acquisition costs arising from insurance contracts
Amortisation, deferred acquisition costs arising from insurance contracts
Impairment loss recognised in profit or loss, deferred acquisition costs arising from insurance contracts
Increase (decrease) through net exchange differences, deferred acquisition costs arising from insurance contracts
Increase (decrease) through shadow accounting, deferred acquisition costs arising from insurance contracts
Increase (decrease) through other changes, deferred acquisition costs arising from insurance contracts
Total increase (decrease) in deferred acquisition costs arising from insurance contracts
Deferred acquisition costs arising from insurance contracts at end of period
Reconciliation of changes in reinsurance assets [Abstract]
Reinsurance assets at beginning of period
Changes in reinsurance assets [Abstract]
Additions other than through business combinations, reinsurance assets
Acquisitions through business combinations, reinsurance assets
Increase (decrease) through net exchange differences, reinsurance assets
Increase (decrease) through adjustments arising from passage of time, reinsurance assets
Increase (decrease) through other changes, reinsurance assets
Total increase (decrease) in reinsurance assets
Reinsurance assets at end of period
Disclosure of nature and extent of risks arising from insurance contracts [Text Block]
Description of objectives, policies and processes for managing risks arising from insurance contracts and methods used to manage those risks
Disclosure of insurance risk [Text Block]
Disclosure of sensitivity to insurance risk [Text Block]
Sensitivity analysis to insurance risk
Qualitative information about sensitivity and information about those terms and conditions of insurance contracts that have material effect
Description of concentrations of insurance risk
Disclosure of actual claims compared with previous estimates [Text Block]
Disclosure of credit risk of insurance contracts [Text Block]
Disclosure of liquidity risk of insurance contracts [Text Block]
Disclosure of market risk of insurance contracts [Text Block]
Information about exposures to market risk arising from embedded derivatives contained in host insurance contract
Disclosure of types of insurance contracts [Text Block]
Disclosure of types of insurance contracts [Abstract]
Disclosure of types of insurance contracts [Table]
Types of insurance contracts [Axis]
Insurance contracts [Member]
Life insurance contracts [Member]
Non-life insurance contracts [Member]
Insurance contracts [Axis]
Disclosure of types of insurance contracts [Line items]
Nature of insurance contracts
Income arising from insurance contracts
Expense arising from insurance contracts
Disclosure of net, gross and reinsurer's share for amounts arising from insurance contracts [Text Block]
Disclosure of net, gross and reinsurer's share for amounts arising from insurance contracts [Abstract]
Disclosure of net, gross and reinsurer's share for amounts arising from insurance contracts [Table]
Amounts arising from insurance contracts [Axis]
Net amount arising from insurance contracts [Member]
Gross amount arising from insurance contracts [Member]
Reinsurer's share of amount arising from insurance contracts [Member]
Disclosure of net, gross and reinsurer's share for amounts arising from insurance contracts [Line items]
Nature of insurance contracts
Income arising from insurance contracts
Expense arising from insurance contracts
[613000] Notes - Earnings per share
Disclosure of earnings per share [Text Block]
Basic earnings per share [Abstract]
Basic earnings (loss) per share from continuing operations
Basic earnings (loss) per share from discontinued operations
Total basic earnings (loss) per share
Diluted earnings per share [Abstract]
Diluted earnings (loss) per share from continuing operations
Diluted earnings (loss) per share from discontinued operations
Total diluted earnings (loss) per share
Profit (loss), attributable to ordinary equity holders of parent entity [Abstract]
Profit (loss) from continuing operations attributable to ordinary equity holders of parent entity
Profit (loss) from discontinued operations attributable to ordinary equity holders of parent entity
Profit (loss), attributable to ordinary equity holders of parent entity
Profit (loss) from continuing operations attributable to ordinary equity holders of parent entity including dilutive effects
Profit (loss) from discontinued operations attributable to ordinary equity holders of parent entity including dilutive effects
Profit (loss), attributable to ordinary equity holders of parent entity including dilutive effects
Weighted average shares and adjusted weighted average shares [Abstract]
Weighted average number of ordinary shares outstanding
Adjusted weighted average shares
Increase (decrease) in number of ordinary shares issued
Explanation of adjustments of numerator to calculate basic earnings per share
Explanation of adjustments of numerator to calculate diluted earnings per share
Explanation of adjustments between denominators used to calculate basic and diluted earnings per share
Dilutive effect of convertible instruments on number of ordinary shares
Dilutive effect of share options on number of ordinary shares
Description of instruments with potential future dilutive effect not included in calculation of diluted earnings per share
Description of transactions after reporting period that significantly change number of ordinary shares outstanding
Description of transactions after reporting period that significantly change number of potential ordinary shares outstanding
[613100] Notes - Effects of changes in foreign exchange rates
Disclosure of effect of changes in foreign exchange rates [Text Block]
Description of functional currency
Description of presentation currency
Description of reason why presentation currency is different from functional currency
Description of reason for change in functional currency
Description of date of change in functional currency
Description of currency in which supplementary information is displayed
Description of methods of translation used to determine supplementary information
Foreign exchange gain (loss)
Net foreign exchange gain
Net foreign exchange loss
Reserve of exchange differences on translation
Foreign exchange rates [Abstract]
Closing foreign exchange rate
Average foreign exchange rate
[613200] Notes - Cash flow statement
Disclosure of cash flow statement [Text Block]
Consideration paid (received)
Portion of consideration paid (received) consisting of cash and cash equivalents
Cash and cash equivalents in subsidiary or businesses acquired or disposed
Assets other than cash or cash equivalents in subsidiary or businesses acquired or disposed
Liabilities in subsidiary or businesses acquired or disposed
Description of accounting policy for determining components of cash and cash equivalents [Text Block]
Cash and cash equivalents if different from balance Sheet [Abstract]
Cash and cash equivalents cash flow statement
Bank overdrafts
Cash and cash equivalents classified as part of disposal group held for sale
Other differences to cash and cash equivalents in statement of cash flows
Cash and cash equivalents
Explanation of investing and financing transactions not requiring use of cash or cash equivalents
Description of acquisition of assets by assuming directly related liabilities or means of finance lease
Description of acquisition of assets by assuming directly related liabilities or by means of lease
Description of acquisition of entity by means of equity issue
Description of conversion of debt to equity
Cash and cash equivalents held by entity unavailable for use by group
Commentary by management on significant cash and cash equivalent balances held by entity that are not available for use by group
Disclosure of additional information about understanding financial position and liquidity of entity [Text Block]
Undrawn borrowing facilities
Cash flows from used in increases in operating capacity
Cash flows from used in maintaining operating capacity
Income taxes paid (refund) [Abstract]
Income taxes paid (refund), classified as operating activities
Income taxes paid (refund), classified as investing activities
Income taxes paid (refund), classified as financing activities
Total income taxes paid (refund)
[613300] Notes - Operating segments
Disclosure of entity's operating segments [Text Block]
Description of factors used to identify entity's reportable segments
Description of judgements made by management in applying aggregation criteria for operating segments
Description of types of products and services from which each reportable segment derives its revenues
Description of sources of revenue for all other segments
Description of basis of accounting for transactions between reportable segments
Description of nature of differences between measurements of reportable segments' profits or losses and entity's profit or loss before income tax expense or income and discontinued operations
Description of nature of differences between measurements of reportable segments' assets and entity's assets
Description of nature of differences between measurements of reportable segments' liabilities and entity's liabilities
Description of nature of changes from prior periods in measurement methods used to determine reported segment profit or loss and effect of those changes on measure of segment profit or loss
Description of nature and effect of any asymmetrical allocations to reportable segments
Disclosure of reportable segments [Text Block]
Disclosure of reportable segments [Abstract]
Disclosure of reportable segments [Table]
Entity's reportable segments [Axis]
Reportable segments [Member]
Reportable segments 1 [Member]
Reportable segments 2 [Member]
Reportable segments 3 [Member]
Reportable segments 4 [Member]
Reportable segments 5 [Member]
Reportable segments 6 [Member]
Reportable segments 7 [Member]
Reportable segments 8 [Member]
Reportable segments 9 [Member]
Reportable segments 10 [Member]
Reportable segments 11 [Member]
Reportable segments 12 [Member]
Reportable segments 13 [Member]
Reportable segments 14 [Member]
Reportable segments 15 [Member]
Reportable segments 16 [Member]
Reportable segments 17 [Member]
Reportable segments 18 [Member]
Reportable segments 19 [Member]
Reportable segments 20 [Member]
Material reconciling items [Member]
Elimination of intersegment amounts [Member]
Unallocated amounts [Member]
Disclosure of reportable segments [Line items]
Nature of reportable segment
Revenue primary reportable segment
Revenues from transactions with other operating segments of the same entity
Total revenues from external customers and transactions with other reportable segments of same enterprise reportable segment
Interest revenue expense reportable segment [Abstract]
Interest income reportable segment
Interest expense reportable segment
Total interest income (expense) reportable segment
Depreciation and amortisation expense reportable segment
Share of profit (loss) of associates and joint ventures accounted for using equity method reportable segment
Tax expense (income), continuing operations reportable segment
Other material non-cash items reportable segment
Profit (loss) before tax reportable segment
Profit (loss) from continuing operations reportable segment
Profit (loss) reportable segment
Assets reportable segment
Investments accounted for using equity method reportable segment
Additions to non-current assets other than financial instruments, deferred tax assets, net defined benefit assets, and rights arising under insurance contracts reportable segment
Liabilities reportable segment
Impairment loss recognised in profit or loss reportable segment
Reversal of impairment loss recognised in profit or loss reportable segment
Impairment loss recognised in other comprehensive income reportable segment
Reversal of impairment loss recognised in other comprehensive income reportable segment
Net Cash flows from (used in) operating activities reportable segment
Net Cash flows from (used in) investing activities reportable segment
Net Cash flows from (used in) financing activities reportable segment
Description of material reconciling items reportable segment
Disclosure of products and services [Text Block]
Disclosure of products and services [Abstract]
Disclosure of products and services [Table]
Products and services [Axis]
Disclosure of products and services [Line items]
Name of product or services
Revenue from external customers
Disclosure of geographical areas [Text Block]
Disclosure of geographical areas [Abstract]
Disclosure of geographical areas [Table]
Geographical areas [Axis]
Geographical areas [Member]
Country of domicile [Member]
Foreign countries [Member]
Foreign country 1 [Member]
Foreign country 2 [Member]
Foreign country 3 [Member]
Foreign country 4 [Member]
Foreign country 5 [Member]
Foreign country 6 [Member]
Foreign country 7 [Member]
Foreign country 8 [Member]
Foreign country 9 [Member]
Foreign country 10 [Member]
Disclosure of geographical areas [Line items]
Country of domicile or foreign country
Revenue from external customers
Non-current assets other than financial instruments, deferred tax assets, post-employment benefit assets, and rights arising under insurance contracts
Disclosure of major customers [Text Block]
Disclosure of major customers [Abstract]
Disclosure of major customers [Table]
Major customers [Axis]
Disclosure of major customers [Line items]
Name of major customers
Revenue from external customers
Percentage of entity's revenue
Information about major customers
Description of basis for attributing revenues from external customers to individual countries
Explanation of interest income reported net of interest expense
Explanation of why revenues from external customers for each product and service, or each group of similar products and services, are not reported
[613400] Notes - Consolidated Financial Statements
Disclosure of notes on consolidated financial statements explanatory [Text Block]
Description of basis of consolidation [Text Block]
Whether consolidated financial statements is applicable on company
Disclosure of details of subsidiaries [Text Block]
Disclosure of details of subsidiaries [Abstract]
Disclosure of details of subsidiaries [Table]
Subsidiaries [Axis]
Disclosure of details of subsidiaries [Line Items]
Name of subsidiary consolidated
Principal place of business of subsidiary consolidated
Country of incorporation or residence of subsidiary consolidated
Date of end of reporting period of financial statements of subsidiary consolidated
Description of reason why using different reporting date or period for subsidiary consolidated
Proportion of ownership interest in subsidiary consolidated
Proportion of voting power held in subsidiary consolidated
Disclosure of additional information consolidated financial statements [Text Block]
Disclosure of additional information consolidated financial statements [Abstract]
Disclosure of details of entities consolidated [Table]
Entities consolidated [Axis]
Disclosure of additional information consolidated financial statements [Line items]
Name of entity consolidated
Type of entity consolidated
Amount of net assets of entity consolidated
Net assets of entity as percentage of consolidated net assets
Amount of share in profit or loss of entity consolidated
Share in profit or loss of entity as percentage of consolidated profit or loss
Amount of share in other comprehensive income consolidated
Share in other comprehensive income consolidated
Amount of share in comprehensive income consolidated
Share in comprehensive income consolidated
[700100] Notes - Key managerial personnels and directors remuneration and other information
Disclosure of key managerial personnels and directors and remuneration to key managerial personnels and directors explanatory [Text Block]
Disclosure of key managerial personnels and directors and remuneration to key managerial personnels and directors [Abstract]
Disclosure of key managerial personnels and directors and remuneration to key managerial personnels and directors [Table]
Key managerial personnels and directors [Axis]
Disclosure of key managerial personnels and directors and remuneration to key managerial personnels and directors [Line Items]
Name of key managerial personnel or director
Director identification number of key managerial personnel or director
Permanent account number of key managerial personnel or director
Date of birth of key managerial personnel or director
Designation of key managerial personnel or director
Qualification of key managerial personnel or director
Shares held by key managerial personnel or director
Key managerial personnel or director remuneration [Abstract]
Gross salary to key managerial personnel or director [Abstract]
Salary key managerial personnel or director
Perquisites key managerial personnel or director
Profits in lieu of salary key managerial personnel or director
Gross salary to key managerial personnel or director
Sitting fees key managerial personnel or director
Stock option key managerial personnel or director
Sweat equity key managerial personnel or director
Commission as percentage of profit key managerial personnel or director
Other commission key managerial personnel or director
Other compensation key managerial personnel or director
Total key managerial personnel or director remuneration
Ceiling as per act key managerial personnel or director remuneration
[700200] Notes - Corporate social responsibility
Disclosure of corporate social responsibility explanatory [Text Block]
Whether provisions of corporate social responsibility are applicable on company
Disclosure of net profits for last three financial years [Abstract]
Disclosure of net profits for last three financial years [Table]
Net profits for last three financial years [Axis]
Financial year [Member]
Financial year 1 [Member]
Financial year 2 [Member]
Financial year 3 [Member]
Disclosure of net profits for last three financial years [Line Items]
Description of financial year
Profit before tax of financial year
Net profit computed u/s 198 and adjusted as per rule 2(1)(f) of Companies (CSR Policy) Rules, 2014
Disclosure of composition of CSR committee [Text Block]
Disclosure of CSR policy [Abstract]
Whether company has written CSR policy
Details CSR policy [Text Block]
Disclosure overview of projects or programs proposed to be undertaken CSR policy
Disclosure web link of company at which CSR policy is placed
Disclosure web link projects or programs undertaken CSR policy
Disclosure other contents CSR policy
Disclosure of CSR spending [Abstract]
Average net profit for last three financial years
Prescribed CSR expenditure
Details of CSR spent during financial year [Abstract]
Amount CSR to be spent for financial year
Amount CSR spent for financial year
Amount spent in local area
Amount spent during year [Abstract]
Amount spent on construction/acquisition of any asset in cash
Amount spent on construction/acquisition of any asset yet to be paid in cash
Total amount spent on construction/acquisition of any asset
Amount spent on purposes other than construction/acquisition of any asset in cash
Amount spent on purposes other than construction/acquisition of any asset yet to be paid in cash
Total amount spent on purposes other than construction/acquisition of any asset
Amount unspent CSR
Disclosure manner in which amount CSR spent during financial year explanatory [Text Block]
Manner in which amount CSR spent during financial year [Abstract]
Classification of CSR spending [Table]
Classification of CSR spending [Axis]
Manner in which amount CSR spent during financial year [Line items]
CSR project or activity identified
Whether projects or programs undertaken in local area or other
Sector in which project is covered
Name of state or union territory where projects or programs was undertaken
Name of district where projects or programs was undertaken
Budget amount outlay project or program wise
Amount spent on projects or programs [Abstract]
Direct expenditure on projects or programs
Overheads on projects or programs
Total amount spent on projects or programs
Cumulative expenditure upto reporting period
Expenditure on administrative overheads
Mode of amount spent
Details of implementing agency
Disclosure responsibility statement of CSR committee that implementation and monitoring of CSR policy is in compliance with CSR policy of company
[700300] Disclosure of general information about company
Disclosure of general information about company [Abstract]
Disclosure of company information [Abstract]
Name of company
Corporate identity number
Permanent account number of entity
Address of registered office of company
Type of industry
Registration date
Category/sub-category of company
Whether company is listed company
Name of parent entity
Name of ultimate parent of group
Length of life of limited life entity
Disclosure of document information [Abstract]
Date of board meeting when final accounts were approved
Period covered by financial statements
Date of start of reporting period
Date of end of reporting period
Nature of report standalone consolidated
Content of report
Description of presentation currency
Level of rounding used in financial statements
Type of cash flow statement
Disclosure web link of company at which annual report is placed
Disclosure of other general information [Abstract]
Date from which register of members remained closed
Date till which register of members remained closed
Name of registrar and transfer agent
Address and contact details of registrar and transfer agent
Whether company is maintaining books of account and other relevant books and papers in electronic form
Postal address of place of maintenance of computer servers (storing accounting data) [Abstract]
Complete postal address of place of maintenance of computer servers (storing accounting data)
Name of city of place of maintenance of computer servers (storing accounting data)
Name of state/ union territory of place of maintenance of computer servers (storing accounting data)
Pin code of place of maintenance of computer servers (storing accounting data)
Name of district of place of maintenance of computer servers (storing accounting data)
ISO country code of place of maintenance of computer servers (storing accounting data)
Name of country of place of maintenance of computer servers (storing accounting data)
Phone (with STD/ ISD code) of place of maintenance of computer servers (storing accounting data)
Particulars of service provider [Abstract]
Name of the service provider
Internet protocol address of service provider
Location of the service provider
Whether books of account and other books and papers are maintained on cloud
Address as provided by the service provider
Disclosure of principal product or services [Abstract]
Total number of product or service category
Description of principal product or services category
Disclosure of principal product or services [Table]
Types of principal product or services [Axis]
Disclosure of principal product or services [Line Items]
Product or service category (ITC 4 digit) code
Description of product or service category
Turnover of product or service category
Highest turnover contributing product or service (ITC 8 digit) code
Description of product or service
Unit of measurement of highest contributing product or service
Turnover of highest contributing product or service
Quantity of highest contributing product or service in UoM
[700400] Disclosures - Auditors report
Disclosure in auditor’s report explanatory [Text Block]
Whether companies auditors report order is applicable on company
Whether auditors' report has been qualified or has any reservations or contains adverse remarks
Auditor's qualification(s), reservation(s) or adverse remark(s) in auditors' report
Disclosure of auditor's qualification(s), reservation(s) or adverse remark(s) in auditors' report [Abstract]
Disclosure of auditor's qualification(s), reservation(s) or adverse remark(s) in auditors' report [Table]
Auditor's qualification(s), reservation(s) or adverse remark(s) in auditors' report [Axis]
Auditor's remark [Member]
Auditor's favourable remark [Member]
Auditor's unfavourable remark [Member]
Auditor's disclaimer remark [Member]
Clause not applicable [Member]
Disclosure of auditor's qualification(s), reservation(s) or adverse remark(s) in auditors' report [Line Items]
Disclosure in auditors report relating to fixed assets
Disclosure relating to quantitative details of fixed assets
Disclosure relating to physical verification and material discrepancies of fixed assets
Disclosure relating to title deeds of immovable properties
Disclosure in auditors report relating to inventories
Disclosure in auditors report relating to loans
Disclosure about loans granted to parties covered under section 189 of companies act
Disclosure relating to terms and conditions of loans granted
Disclosure regarding receipt of loans granted
Disclosure regarding terms of recovery of loans granted
Disclosure in auditors report relating to compliance with Section 185 and 186 of Companies Act, 2013
Disclosure in auditors report relating to deposits accepted
Disclosure in auditors report relating to maintenance of cost records
Disclosure in auditors report relating to statutory dues [Text Block]
Disclosure relating to regularity in payment of undisputed statutory dues [Text Block]
Disclosure relating to disputed statutory dues [Text Block]
Disclosure in auditors report relating to default in repayment of financial dues
Disclosure in auditors report relating to public offer and term loans used for purpose for which those were raised
Disclosure in auditors report relating to fraud by the company or on the company by its officers or its employees reported during period
Disclosure in auditors report relating to managerial remuneration
Disclosure in auditors report relating to Nidhi Company
Disclosure in auditors report relating to transactions with related parties
Disclosure in auditors report relating to preferential allotment or private placement of shares or convertible debentures
Disclosure in auditors report relating to non-cash transactions with directors or persons connected with him
Disclosure in auditors report relating to registration under section 45-IA of Reserve Bank of India Act, 1934
Details regarding auditors [Abstract]
Details regarding auditors [Table]
Auditors [Axis]
Details regarding auditors [Line Items]
Category of auditor
Name of audit firm
Name of auditor signing report
Firms registration number of audit firm
Membership number of auditor
Address of auditors
Permanent account number of auditor or auditor's firm
SRN of form ADT-1
Date of signing audit report by auditors
Date of signing of balance sheet by auditors
[700500] Disclosures - Signatories of financial statements
Details of signatories of financial statements [Abstract]
Details of directors signing financial statements [Abstract]
Details of directors signing financial statements [Table]
Directors signing financial statements [Axis]
Details of directors signing financial statements [Line Items]
Name of director signing financial statements [Abstract]
First name of director
Middle name of director
Last name of director
Designation of director
Director identification number of director
Date of signing of financial statements by director
Details of company secretary signing financial statements [Abstract]
Name of company secretary
Permanent account number of company secretary
Date of signing of financial statements by company secretary
Details of chief financial officer financial statements [Abstract]
Name of chief financial officer
Permanent account number of chief financial officer
Date of signing of financial statements by chief financial officer
Details of manager signing financial statements [Abstract]
Details of manager signing financial statements [Table]
Manager signing financial statements [Axis]
Details of manager signing financial statements [Line Items]
Name of manager [Abstract]
First name of manager
Second name of manager
Last name of manager
Permanent account number of manager
Date of signing of financial statements by manager
[700600] Disclosures - Directors report
Disclosure in board of directors report explanatory [Text Block]
Disclosure of equity shares with differential rights [Text Block]
Number of shares allotted with differential rights
Details of differential rights relating to voting rights and dividends [Text Block]
Percentage of shares with differential rights issued to total post issue equity share capital
Percentage of voting rights which equity share capital with differential voting right shall carry to total voting right of aggregate equity share capital
Price per differential rights share issued
Particulars of promoters, directors or key managerial personnels to whom such shares are issued [Text Block]
Details of change in control, if any, in company consequent to issue of equity shares with differential voting rights [Text Block]
Diluted earning per share pursuant to issue of each class of shares
Details of pre and post issue shareholding pattern along with voting rights [Text Block]
Disclosure of voting rights not exercised directly by employees [Text Block]
Whether votes were cast in favour of resolution
Number of shares held by employees exercising voting rights directly
Percentage of such voting power to total voting power on each resolution
Percentage of exercised shares held by employees to total paid up share capital of company
Date of general meeting when voting power exercised
Resolutions on which votes casted by persons holding such voting power [Text Block]
Names of employees not exercised voting rights directly [Text Block]
Reasons for not voting directly [Text Block]
Name of person exercising voting rights directly [Text Block]
Disclosures relating to employee stock purchase scheme explanatory [Text Block]
Disclosures relating to employee stock purchase scheme [Abstract]
Disclosures relating to employee stock purchase scheme [Table]
Categories of employee stock purchase scheme [Axis]
Disclosures relating to employee stock purchase scheme [Line items]
Number of shares issues in employee stock purchase scheme
Price at which shares are issued
Employee wise details of shares issued [Abstract]
Shares issued to senior managerial personnel
Shares issued to employee receiving more than five per cent of shares issued
Shares issued to identified employees exceeding one per cent of issued capital
Diluted earning per share pursuant to issue of shares under employee stock purchase scheme
Consideration received against issuance of shares
Disclosure of composition of audit committee and non-acceptance of any recommendation of audit committee along with reasons [Text Block]
Disclosure of details of establishment of vigil mechanism [Text Block]
Disclosure of policy formulated by nomination and remuneration committee relating to remuneration for directors, key managerial personnels and other employees [Text Block]
Disclosure of receipt of commission by director from holding company or subsidiary company
Disclosure of facts of resignation of director in report of directors laid in immediately following general meeting [Text Block]
Disclosure of report concerns about unethical behaviour, actual or suspected fraud or violation of company’s code of conduct or ethics policy [Text Block]
Disclosures relating to employee stock option scheme explanatory [Text Block]
Disclosures relating to employee stock option scheme [Abstract]
Disclosures relating to employee stock option scheme [Table]
Categories of employee stock option scheme [Axis]
Disclosures relating to employee stock option scheme [Line items]
Impact on earnings per share of using intrinsic value of stock options as against fair value of stock options in computing employee compensation cost
Details of options whose exercise price equals or exceeds or is less than market price [Abstract]
Weighted average exercise prices of options whose exercise price equals or exceeds or is less than market price
Weighted average fair values of options whose exercise price equals or exceeds or is less than market price
Description of methods and significant assumptions used to estimate fair value of options
Weighted average information used in estimating fair value of options [Abstract]
Risk free interest rate
Expected life
Expected volatility
Expected dividends
Market price of underlying share
Impact on profits on following accounting policies specified in Schedule I of SEBI guidelines
Impact on earnings per share on following accounting policies specified in Schedule I of SEBI guidelines
Options granted
Pricing formula
Options vested
Options exercised
Total number of shares arising as result of exercise of option
Options lapsed
Exercise price
Variation of terms of options
Money realised by exercise of options
Total number of options in force
Employee wise details of options granted [Abstract]
Options granted to senior managerial personnel
Options granted to employee receiving grant of more than five per cent of option
Options granted to identified employees receiving grant exceeding one per cent of issued capital
Diluted earning per share pursuant to issue of shares on exercise of option
Difference of using intrinsic value of stock options as against fair value of stock options in computing employee compensation cost
Impact on profits of using intrinsic value of stock options as against fair value of stock options in computing employee compensation cost
Disclosure of statement on declaration given by independent directors under section 149(6) [Text Block]
Disclosure for companies covered under section 178(1) on directors appointment and remuneration including other matters provided under section 178(3) [Text Block]
Details regarding auditors' qualification(s), reservation(s) adverse remark(s) in auditors' report [Abstract]
Details regarding auditors' qualification(s), reservation(s) adverse remark(s) in auditors' report [Table]
Auditors' qualification(s), reservation(s) adverse remark(s) in auditors' report [Axis]
Details regarding auditors' qualification(s), reservation(s) adverse remark(s) in auditors' report [Line Items]
Auditors' qualification(s), reservation(s) adverse remark(s) in auditors' report
Directors' comment on auditors' qualification(s), reservation(s) adverse remark(s) in auditors' report
Details regarding company secretary qualification or observation or other remarks in secretarial audit report [Abstract]
Details regarding company secretary qualification or observation or other remarks in secretarial audit report [Table]
Company secretary qualification or observation or other remarks in secretarial audit report [Axis]
Details regarding company secretary qualification or observation or other remarks in secretarial audit report [Line Items]
Company secretary qualification or observation or other remarks in secretarial audit report
Directors' comment on company secretary qualification or observation or other remarks in secretarial audit report
Disclosure of statement on development and implementation of risk management policy [Text Block]
Details on policy development and implementation by company on corporate social responsibility initiatives taken during year [Text Block]
Disclosure as per rule 8(5) of companies accounts rules 2014 [Text Block]
Disclosure of financial summary or highlights [Text Block]
Details regarding adequacy of internal financial controls with reference to financial statements [Text Block]
Disclosure of change in nature of business [Text Block]
Details of directors or key managerial personnels who were appointed or have resigned during year [Text Block]
Disclosure of companies which have become or ceased to be its subsidiaries, joint ventures or associate companies during year [Text Block]
Details relating to deposits covered under chapter v of companies act [Text Block]
Maximum amount of default in repayment of deposits or payment of interest thereon during year
Deposits accepted during year
Deposits remained unpaid or unclaimed at end of year
Amount of default in repayment of deposits or payment of interest thereon beginning of year
Amount of default in repayment of deposits or payment of interest thereon end of year
Number of cases of default in repayment of deposits or payment of interest thereon beginning of year
Maximum number of cases of default in repayment of deposits or payment of interest thereon during year
Number of cases of default in repayment of deposits or payment of interest thereon end of year
Details of deposits which are not in compliance with requirements of chapter v of act [Text Block]
Details of significant and material orders passed by regulators or courts or tribunals impacting going concern status and company’s operations in future [Text Block]
Disclosure of contents of corporate social responsibility policy [Text Block]
Disclosure of reasons if company fails to spend prescribed amount on CSR
Disclosure of other reasons if company fails to spend prescribed amount on CSR
Disclosure of appointment and remuneration of managerial personnels [Text Block]
Details of comparison of remuneration of key managerial personnels against performance of company [Text Block]
Statement that remuneration is as per remuneration policy of company
Details of managerial personnels remuneration [Abstract]
Details of managerial personnels remuneration [Table]
Managerial personnels remuneration [Axis]
Details of managerial personnels remuneration [Line Items]
Name of managerial personnel
Ratio of remuneration of director to median of remuneration of employees for financial year
Percentage increase in managerial personnels remuneration in financial year
Percentage increase in median remuneration of employees in financial year
Number of permanent employees on rolls of company
Explanation on relationship between average increase in remuneration and company performance
Details of variations in market capitalisation of company [Text Block]
Details of average percentile increase in salaries of employees other than managerial personnels in last financial year and its comparison with percentile increase in managerial remuneration [Text Block]
Details of comparison of each remuneration of key managerial personnels against performance of company [Text Block]
Details of key parameters for any variable component of remuneration availed by directors [Text Block]
Ratio of remuneration of highest paid director to employees who are not directors but receive remuneration in excess of highest paid director during year
Statement showing details of employees of company under rule 5(2) and (3) of companies appointment and remuneration of managerial personnels rules 2014 [Text Block]
Disclosure regarding issue of sweat equity shares [Text Block]
Total number of shares arising as result of issue of sweat equity shares
Percentage of sweat equity shares of total post issued and paid up share capital
Consideration (including consideration other than cash) received or benefit accrued to company from issue of sweat equity shares
Diluted earnings per share pursuant to issuance of sweat equity shares
Class of director or employee to whom sweat equity shares were issued
Class of shares issued as sweat equity shares
Details of sweat equity shares issued under clause (c) of sub rule (13) of rule (8) of companies share capital and debentures rules 2014 [Text Block]
Reasons for issue of sweat equity shares
Principal terms and conditions for issue of sweat equity shares including pricing formula
Particulars of contracts/arrangements with related parties under section 188(1) [Text Block]
Details of contracts/arrangements/transactions not at arm's length basis [Abstract]
Whether there are contracts/arrangements/transactions not at arm's length basis
Details of contracts/arrangements/transactions not at arm's length basis [Table]
Contracts/arrangements/transactions not at arm's length basis [Axis]
Details of contracts/arrangements/transactions not at arm's length basis [Line Items]
Name of related party
Description of nature of contracts/arrangements/transactions with related party
Duration of contracts/arrangements/transactions with related party
Dates of approval of contracts/arrangements/transactions with related party by board
Amount paid as advances if any for contracts/arrangements/transactions with related party
Dates on which special resolution passed in general meeting for contracts/arrangements/transactions with related party required by section 188 of companies act, 2013
Nature of related party relationship
Details of material contracts/arrangements/transactions at arm's length basis [Abstract]
Details of material contracts/arrangements/transactions at arm's length basis [Table]
Material contracts/arrangements/transactions at arm's length basis [Axis]
Details of material contracts/arrangements/transactions at arm's length basis [Line Items]
Name of related party
Nature of related party relationship
Duration of material contracts/arrangements/transactions with related party
Dates of approval of material contracts/arrangements/transactions with related party by board
Amount paid as advances if any for material contracts/arrangements/transactions with related party
Description of nature of material contracts/arrangements/transactions with related party
Whether there are material contracts/arrangements/transactions at arm's length basis
Details of statement indicating manner in which formal annual evaluation made by board of its performance and of its committees and individual directors [Text Block]
Date of board of directors' meeting in which board's report referred to under section 134 was approved
Disclosure of extract of annual return as provided under section 92(3) [Text Block]
Details of shareholding pattern of directors and key managerial personnel [Text Block]
Details of shareholding pattern of directors and key managerial personnel [Abstract]
Details of shareholding pattern of directors and key managerial personnel [Table]
Directors and key managerial personnel [Axis]
Change in shareholding [Axis]
Shareholding [Member]
Shareholding at beginning of year [Member]
Cumulative shareholding during year [Member]
Details of shareholding pattern of directors and key managerial personnel [Line Items]
Name of directors and key managerial personnel
Total number of shares held at beginning of period
Percentage of total shares held at beginning of period
Increase decrease in shareholding during year
Percentage increase decrease in shareholding during year
Total number of shares held at end of period
Percentage of total shares held at end of period
Details of increase (decrease) in directors and key managerial personnel shareholding during year [Text Block]
Details of penalty/punishment/compounding of offence [Abstract]
Details of penalty/punishment/compounding of offence [Line Items]
Name of offender
Type of offender
CIN of offender
Permanent account number of offender
Identification number of offender outside India
Nature of issuing authority in country of incorporation or residence of offender
Type of offence
Brief description of offence
Details of penalty/punishment/compounding fees imposed
Authority
Appeal made
Section of companies act
Details of penalty/punishment/compounding of offence [Table]
Offender [Axis]
Particulars of holding, subsidiary and associate companies [Abstract]
Particulars of holding, subsidiary and associate companies [Table]
Particulars of companies [Axis]
Particulars of holding, subsidiary and associate companies [Line Items]
Applicable section
Name of company
Address of company
Country of incorporation of company
CIN of company
GLN of company
Type of company
Percentage of shares held
Details of shareholding pattern [Abstract]
Details of shareholding pattern [Table]
Shareholding pattern [Axis]
Shareholders [Member]
Promoters [Member]
Indian [Member]
Individual/HUF [Member]
Central government [Member]
State government [Member]
Corporate bodies [Member]
Banks/financial institutions [Member]
Other [Member]
Foreign [Member]
NRI individual [Member]
Other foreign individual [Member]
Foreign corporate bodies [Member]
Foreign banks/financial institutions [Member]
Foreign other [Member]
Public shareholding [Member]
Institutions [Member]
Mutual funds [Member]
Public shareholding banks/financial institutions [Member]
Public shareholding central government [Member]
Venture capital funds [Member]
Insurance companies [Member]
Foreign institutional investor [Member]
Foreign venture capital funds [Member]
Others institutions [Member]
Public shareholding state government [Member]
Non institutions [Member]
Non institutions corporate bodies [Member]
Indian corporate bodies [Member]
Overseas corporate bodies [Member]
Individuals [Member]
Individual shareholders holding nominal share capital in excess of rupees one lakh [Member]
Individual shareholders holding nominal share capital upto rupees one lakh [Member]
Other non-institutions [Member]
Shares held by custodian for GDRs and ADRs [Member]
Details of shareholding pattern [Line Items]
Number of demat shares held at beginning of period
Number of physical shares held at beginning of period
Total number of shares held at beginning of period
Percentage of total shares held at beginning of period
Number of demat shares held at end of period
Total number of shares held at end of period
Percentage of total shares held at end of period
Percentage of change in shares held during year
Number of physical shares held end of period
Details of shareholding of promoters [Abstract]
Details of shareholding of promoters [Table]
Promoters [Axis]
Details of shareholding of promoters [Line Items]
Shareholder’s name
Total number of shares held at beginning of period
Percentage of shares pledged/encumbered to total shares at beginning of period
Total number of shares held at end of period
Percentage of total shares held at end of period
Percentage of shares pledged/encumbered to total shares at end of period
Percentage of change in shares held during year
Percentage of total shares held at beginning of period
Details of change in promoters shareholding [Text Block]
Details of change in promoters’ shareholding [Abstract]
Details of change in promoters’ shareholding [Table]
Change in shareholding [Axis]
Shareholding [Member]
Shareholding at beginning of year [Member]
Cumulative shareholding during year [Member]
Promoters [Axis]
Details of change in promoters’ shareholding [Line Items]
Name of promoter
Total number of shares held at beginning of period
Percentage of total shares held at beginning of period
Increase decrease in shareholding during year
Total number of shares held at end of period
Percentage of total shares held at end of period
Details of increase (decrease) in promoters shareholding during year [Text Block]
Percentage increase decrease in shareholding during year
Details of shareholding pattern of top 10 shareholders [Abstract]
Details of shareholding pattern of top 10 shareholders [Line Items]
Name of shareholder
Total number of shares held at beginning of period
Percentage of total shares held at beginning of period
Increase decrease in shareholding during year
Percentage increase decrease in shareholding during year
Total number of shares held at end of period
Percentage of total shares held at end of period
Details of increase (decrease) in top 10 shareholders during year [Text Block]
Details of shareholding pattern of top 10 shareholders [Table]
Change in shareholding [Axis]
Shareholding [Member]
Shareholding at beginning of year [Member]
Cumulative shareholding during year [Member]
Name of top 10 shareholder [Axis]
Name of top 10 shareholder [Member]
Top 3 shareholder [Member]
Top 4 shareholder [Member]
Top 5 shareholder [Member]
Top 6 shareholder [Member]
Top 7 shareholder [Member]
Top 8 shareholder [Member]
Top 9 shareholder [Member]
Top 10 shareholder [Member]
Top 1 shareholder [Member]
Top 2 shareholder [Member]
Details of indebtedness of company [Abstract]
Details of indebtedness of company [Table]
Indebtedness [Axis]
Indebtedness [Member]
Secured loans excluding deposits [Member]
Unsecured loans [Member]
Deposits [Member]
Details of indebtedness of company [Line Items]
Principal amount at beginning of financial year
Interest due but not paid at beginning of financial year
Interest accrued but not due at beginning of financial year
Changes in indebtedness [Abstract]
Addition in indebtedness
Reduction in indebtedness
Total changes in indebtedness
Principal amount at end of financial year
Interest due but not paid at end of financial year
Interest accrued but not due at end of financial year
Total indebtedness at end of financial year
Total indebtedness at beginning of financial year
Details of principal business activities contributing 10% or more of total turnover of company [Abstract]
Details of principal business activities contributing 10% or more of total turnover of company [Table]
Principal business activities of company [Axis]
Product/service [Member]
Product/service 1 [Member]
Product/service 2 [Member]
Product/service 3 [Member]
Product/service 4 [Member]
Product/service 5 [Member]
Product/service 6 [Member]
Product/service 8 [Member]
Product/service 9 [Member]
Product/service 10 [Member]
Product/service 7 [Member]
Details of principal business activities contributing 10% or more of total turnover of company [Line Items]
Name of main product/service
Description of main product/service
NIC code of product/service
Percentage to total turnover of company
Description of state of companies affair
Disclosure relating to amounts if any which is proposed to carry to any reserves
Disclosures relating to amount recommended to be paid as dividend
Details regarding energy conservation
Details regarding technology absorption
Details regarding foreign exchange earnings and outgo
Disclosures in director’s responsibility statement
Details of material changes and commitment occurred during period affecting financial position of company
Number of meetings of board
Details of signatories of board report [Abstract]
Details of directors signing board report [Table]
Directors signing board report [Axis]
Details of directors signing board report [Line Items]
Name of director signing board report [Abstract]
First name of director
Middle name of director
Last name of director
Designation of director
Director identification number of director
Date of signing board report
Particulars of loans guarantee investment under section 186 [Text Block]
[700700] Disclosures - Secretarial audit report
Disclosure in secretarial audit report explanatory [Text Block]
Whether secretarial audit report is applicable on company
Whether secretarial audit report has been qualified or has any observation or other remarks
Secretarial qualifications or observations or other remarks in secretarial audit report
Details of signatories of secretarial audit report [Abstract]
Details of signatories of secretarial audit report [Table]
Signatories of secretarial audit report [Axis]
Details of signatories of secretarial audit report [Line Items]
Category of secretarial auditor
Name of secretarial audit firm
Name of secretarial auditor signing report
Firms registration number of secretarial audit firm
Membership number of secretarial auditor
Certificate of practice number of secretarial auditor
Address of secretarial auditors
Permanent account number of secretarial auditor or secretarial auditors firm
Date of signing secretarial audit report
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