FUTURE TATAMOTORS Half Yearly Results

  Sep-19 Mar-19 Sep-18 Mar-18 Sep-17
Net Sales/Income from operations (Net of Excise)23,163.5234,528.4234,236.4635,880.9222,982.12
Other Operating Income188.87240.66197.220.000.00
Total Income From Operations23,352.3934,769.0834,433.6835,880.9222,982.12
EXPENDITURE
Cost of Material Consumed14,932.2120,738.4823,010.2922,378.8914,701.73
Purchase of Traded Goods2,955.633,537.063,186.262,916.411,846.00
Changes In Inventories of FG, WIP and Stock In Trade-814.131,354.97-1,210.28658.22180.54
Employee Benefit Expenses2,216.432,194.782,078.322,032.901,773.95
Depreciation and Amortisation1,537.701,639.441,459.201,625.041,425.41
Expenses Capitalised-608.35-560.28-532.83-466.38-386.65
Other Expenditure4,339.514,802.325,664.125,863.764,143.76
Total Expenses24,559.0033,706.7733,655.0835,008.8423,684.74
P/L Before Other Inc. , Int., Excpt. Items & Tax-1,206.611,062.31778.60872.08-702.62
Other Income762.62689.201,865.46768.91781.81
P/L Before Interest, Excpt. Items & Tax-443.991,751.512,644.061,640.9979.19
Finance Costs937.41857.22936.35947.47811.93
P/L Before Exceptional Items & Tax-1,381.40894.291,707.71693.52-732.74
Exceptional Items63.74-109.86-93.21-966.660.00
P/L Before Tax-1,317.66784.431,614.50-273.14-732.74
Tax61.4160.62317.7143.1529.61
P/L After Tax from Ordinary Activities-1,379.07723.811,296.79-316.29-762.35
Net Profit/Loss For the Period-1,379.07723.811,296.79-316.29-762.35
Equity Share Capital679.22679.22679.22679.22679.22
EPS Before Extra Ordinary *
Basic EPS (Rs.)-4.060.003.800.00-2.24
Diluted EPS (Rs.)-4.060.003.800.00-2.24
EPS After Extra Ordinary *
Basic EPS (Rs.)-4.060.003.800.00-2.24
Diluted EPS (Rs.)-4.060.003.800.00-2.24
Public Share Holding
Promoters and Promoter Group Shareholding
a) Pledged/Encumbered
b) Non-encumbered

CIN: U67190WB2003PTC096617. Trading in Commodities is done through our Group Company Dynamic Commodities Pvt. Ltd. The company is also engaged in Proprietory Trading apart from Client Business.
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