Page 117 - Annual Report 2019-20
P. 117

Notes forming part of the financial statements  Notes forming part of the financial statements                   115


 (  in crores)  notes:
 4 Property, Plant and Equipment and Capital Work-In-Progress                                      (  in crores)
 As at  As at  a)  Assets given under lease included in Note 4 above are as under:
 31  March   31  March                                                                                             PIDILITE ANNUAL REPORT 2019-20
 st
 st
 2020  2019                                                                                  As at      As at
                                                                                           st
                                                                                          31  March   31  March
                                                                                                      st
 Carrying Amounts                                                                            2020       2019
 Freehold Land   84.40    53.30
                Carrying Amounts
 Buildings   260.20    182.60
                    Freehold Land                                                             13.79      13.79
 Plant and Machinery   453.15    371.41
                    Buildings                                                                 22.29      21.27
 Vehicles   5.06    5.62
 Furniture and Fixtures   26.42    25.44   TOTAL                                             36.08      35.06
 Office Equipment   32.01    29.25
  861.24    667.62                                                              Freehold   Buildings   ToTAL
                                                                                   Land
 Capital Work-In-Progress*   247.64    229.08
                Gross Carrying Amount
 TOTAL   1,108.88    896.70
                Balance as at 1  April 2018                                        13.79      26.12      39.91
                            st
 *net of Impairment   55.19 crores (  5.92 crores as at 31  March 2019) (refer note 38)
 st
                    Additions                                                          -       1.29       1.29
 Free- Buildings  Plant and   Vehicles  Furniture   Office   ToTAL
 hold   Machinery  and   Equipment  Disposals/ Adjustments                             -       0.79      0.79
 Land  Fixtures
                Balance as at 31  March 2019                                       13.79     28.20       41.99
                            st
 Gross Carrying Amount
                    Additions                                                          -       3.12       3.12
 Balance as at 1  April 2018   53.27    250.35    974.27    19.18    72.35    101.85    1,471.27
 st
 Additions   0.03    12.19    77.24    0.65    2.88    14.45    107.44   Disposals/ Adjustments   -    -    -
                            st
 Disposals/ Adjustments   -    (0.66)   (37.67)   (1.15)   (0.64)   (5.34)   (45.46)  Balance as at 31  March 2020   13.79    31.32    45.11
 st
 Balance as at 31  March 2019   53.30    261.88    1,013.84    18.68    74.59    110.96    1,533.25
 Additions   31.10    88.40    152.46    0.66    5.21    12.82    290.65   Accumulated Depreciation and Impairment
 Disposals/ Adjustments   -    (2.74)   (13.96)   (0.20)   (0.09)   (0.06)   (17.05)  Balance as at 1  April 2018   -   (5.87)  (5.87)
                            st
 Balance as at 31  March 2020   84.40    347.54    1,152.34    19.14    79.71    123.72    1,806.85   Disposals/ Adjustments   -   (0.10)  (0.10)
 st
                    Depreciation expense                                               -     (0.96)    (0.96)
 Accumulated Depreciation and Impairment
                            st
 Balance as at 1  April 2018   -   (71.68)  (606.74)  (12.99)  (45.41)  (77.83)  (814.65)  Balance as at 31  March 2019   -   (6.93)  (6.93)
 st
 Eliminated on disposal of assets   -    0.04    28.10    1.08    0.51    4.78    34.51   Disposals/ Adjustments   -    -    -
 Depreciation expense   -   (7.64)  (63.79)  (1.15)  (4.25)  (8.66)  (85.49)  Depreciation expense   -   (2.10)  (2.10)
 Balance as at 31  March 2019   -   (79.28)  (642.43)  (13.06)  (49.15)  (81.71)  (865.63)  Balance as at 31  March 2020   -   (9.03)  (9.03)
 st
                            st
 Eliminated on disposal of assets   -    1.63    12.33    0.08    0.04    0.02    14.10
 Depreciation expense   -   (9.69)  (69.09)  (1.10)  (4.18)  (10.02)  (94.08)  Net Carrying Amount
 Balance as at 31  March 2020   -   (87.34)  (699.19)  (14.08)  (53.29)  (91.71)  (945.61)
 st
                Balance as at 1  April 2018                                        13.79      20.25     34.04
                            st
 Net Carrying Amount  Additions                                                        -       1.29       1.29
 st
 Balance as at 1  April 2018   53.27    178.67    367.53    6.19    26.94    24.02   656.62   Disposals/ Adjustments   -   0.79   0.79
 Additions   0.03    12.19    77.24    0.65    2.88    14.45    107.44   Depreciation expense   -   (0.96)  (0.96)
 Disposals/ Adjustments   -   (0.66)  (37.67)  (1.15)  (0.64)  (5.34)  (45.46)  Balance as at 31  March 2019   13.79   (0.10)   35.06
                    Depreciation eliminated on disposal of assets
                                                                                                        (0.10)
                                                                                       -
 PIDILITE ANNUAL REPORT 2019-20  Balance as at 31  March 2019   53.30    182.60   (69.09)  (0.20)   25.44   (10.02)   290.65   Additions   -   (2.10)  (2.10)
 (8.66)
 (4.25)
 (7.64)
 (63.79)
 Depreciation expense
  -
 (85.49)
 (1.15)
                                                                                              21.27
                            st
 4.78
  34.51
  0.04
  -
  1.08
 Depreciation Eliminated on
  0.51
  28.10
                                                                                               3.12
                                                                                                         3.12
 disposal of assets
 st
  667.62
  5.62
  371.41
  29.25
                                                                                                            -
                                                                                                 -
                                                                                       -
                    Disposals/ Adjustments
 Additions
  152.46
  31.10
  88.40
  5.21
  0.66
  12.82
                    Depreciation expense
                                                                                       -
 (0.09)
 (0.06)
  -
 (2.74)
 (13.96)
 (17.05)
 Disposals/ Adjustments
                                                                                                 -
                                                                                                            -
                    Depreciation eliminated on disposal of assets
                                                                                       -
 (94.08)
 Depreciation expense
 (1.10)
 (9.69)
  -
 (4.18)
                            st
  1.63
  -
  12.33
 14.10
 Depreciation Eliminated on
  0.04
  0.02
 disposal of assets
                Buildings includes shares of co-operative societies of   0.01 crores (  0.01 crores as at 31  March 2019)
                                                                                  st
  5.06
 st
 114  Balance as at 31  March 2020   84.40    260.20    453.15    0.08    26.42    32.01   861.24     b)  Balance as at 31  March 2020   13.79    22.29    36.08
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