Company Profile

RELIANCE POWER LTD.

NSE : RPOWERBSE : 532939ISIN CODE : INE614G01033Industry : Power Generation/DistributionHouse : ADAG
BSE6.82-0.1 (-1.45 % )
PREV CLOSE (Rs.) 6.92
OPEN PRICE (Rs.) 7.20
BID PRICE (QTY) 0.00 (0 )
OFFER PRICE (QTY) 0.00 (0 )
VOLUME 17714547
TODAY'S LOW / HIGH (Rs.)6.62 7.24
52 WK LOW / HIGH (Rs.)1.7 7.64
NSE6.80 -0.15 (-2.16 % )
PREV CLOSE(Rs.) 6.95
OPEN PRICE (Rs.) 7.20
BID PRICE (QTY) 6.80 (3021444 )
OFFER PRICE (QTY) 0.00 (0 )
VOLUME 108015150
TODAY'S LOW / HIGH(Rs.) 6.65 7.25
52 WK LOW / HIGH (Rs.)1.7 7.65

Profit & Loss

(Rs in Million)
Particulars Mar 2020 Mar 2019 Mar 2018 Mar 2017 Mar 2016
INCOME :               
Operating Income 75622.70 82013.10 95927.30 103956.50 102986.30
     Earning From Sale of Electrical Energy 69606.00 72601.70 83887.80 90596.30 90414.90
     Less: Cash Discount NA NA NA NA NA
     Contracts Income NA NA NA NA NA
     Transmission EPC Business NA NA NA NA NA
     Wheeling & Transmission Charges recoverable NA NA NA NA NA
     Other Operational Income 6016.70 9411.40 12039.50 13360.20 12571.40
Less: Excise Duty NA NA NA NA NA
Operating Income (Net) 75622.70 82013.10 95927.30 103956.50 102986.30
EXPENDITURE : NA NA NA NA NA
Increase/Decrease in Stock NA NA NA NA NA
Power Generation & Distribution Cost 29063.40 28590.70 39945.70 47061.70 46679.30
     Cost of power purchased NA NA NA NA NA
     Cost of Fuel 28966.00 28501.30 39852.00 46949.20 46507.80
     Power Project Expenses NA NA NA NA NA
     Wheeling & Transmission Charges Payable NA NA NA NA NA
     Other power & fuel 97.40 89.40 93.70 112.50 171.50
Employee Cost 2093.30 1865.00 1865.20 1826.50 1757.30
     Salaries, Wages & Bonus 1878.10 1656.30 1651.90 1613.90 1565.10
     Contributions to EPF & PensionFunds 71.30 66.80 66.50 67.90 60.80
     Workmen and Staff Welfare Expenses 63.80 60.40 58.20 68.00 47.30
     Other Employees Cost 80.10 81.50 88.60 76.70 84.10
Operating Expenses 2473.90 2608.00 2718.00 2365.40 2651.20
     Cost of Elastimold , Store & Spares Consumed 1039.50 1032.90 1146.30 1045.00 1410.20
     Processing Charges NA NA NA NA NA
     Sub Contract Charges NA NA NA NA NA
     Repairs and Maintenance 1434.40 1575.10 1571.70 1320.40 1241.00
     Other Operating Expenses 0.00 0.00 0.00 0.00 0.00
General and Administration Expenses 5676.60 4828.20 5169.50 4967.60 5111.00
     Rent , Rates & Taxes 3718.60 3520.80 3489.20 3122.20 3470.60
     Insurance 723.50 692.90 735.30 853.50 641.70
     Printing and stationery 0.40 43.90 40.80 39.10 32.70
     Professional and legal fees 1230.20 562.20 895.00 939.40 953.40
     Other Administration 3.90 8.40 9.20 13.40 12.60
Selling and Distribution Expenses NA NA NA NA NA
     Freight outwards NA NA NA NA NA
     Sales Commissions and Incentives NA NA NA NA NA
     Advertisement & Sales Promotion NA NA NA NA NA
     Handling and Clearing Charges 0.00 0.00 0.00 0.00 0.00
     Other Selling Expenses 0.00 0.00 0.00 0.00 0.00
Miscellaneous Expenses 6691.80 4824.90 2369.40 2670.60 2643.50
     Bad debts /advances written off NA NA NA NA NA
     Provision for doubtful debts 4171.70 1902.60 NA 349.80 361.90
     Losson disposal of fixed assets(net) 5.30 29.10 74.70 NA NA
     Losson foreign exchange fluctuations 988.10 761.50 440.20 600.20 446.00
     Losson sale of non-trade current investments 39.80 NA NA NA NA
     Other Miscellaneous Expenses 1486.90 2131.70 1854.50 1720.60 1835.60
Less: Expenses Capitalised NA NA NA NA NA
Total Expenditure 45999.00 42716.80 52067.80 58891.80 58842.30
Operating Profit (Excl OI) 29623.70 39296.30 43859.50 45064.70 44144.00
Other Income 6998.70 3370.80 2830.90 4960.30 3228.90
     Interest Received 922.90 1820.90 1723.60 3161.80 1333.50
     Dividend Received NA NA NA NA 28.70
     Profit on sale of Fixed Assets NA NA NA NA NA
     Profits on sale of Investments NA NA NA 46.20 39.40
     Foreign Exchange Gains 769.70 499.00 56.40 139.70 NA
     Others 2135.00 1049.50 1046.40 1612.60 1664.70
Operating Profit 36622.40 42667.10 46690.40 50025.00 47372.90
Interest 30687.20 32084.90 29259.70 28430.80 26826.50
     InterestonDebenture / Bonds 1328.80 1067.60 569.40 NA NA
     Intereston Term Loan 17623.20 18364.20 18812.40 17869.50 16381.40
     Intereston Fixed deposits NA NA NA NA NA
     Bank Charges etc 1444.10 3413.50 2633.90 2320.50 2461.90
     Other Interest 10291.10 9239.60 7244.00 8240.80 7983.20
PBDT 5935.20 10582.20 17430.70 21594.20 20546.40
Depreciation 8371.30 8390.80 7588.20 7340.00 7014.20
Profit Before Taxation & Exceptional Items -2436.10 2191.40 9842.50 14254.20 13532.20
Exceptional Income / Expenses -40042.10 -31531.70 NA NA NA
Profit Before Tax -42478.20 -29340.30 9842.50 14254.20 13532.20
Provision for Tax 236.60 177.90 1438.00 3212.60 4577.70
     Current Income Tax 451.80 545.00 2020.70 2572.90 2022.20
     Deferred Tax -212.80 -384.80 -566.80 639.70 2555.50
     Other taxes -428.00 -751.90 -1149.50 1279.40 5111.00
Profit After Tax -42714.80 -29518.20 8404.50 11041.60 8954.50
Extra items NA NA NA NA NA
Minority Interest NA NA NA NA NA
Share of Associate NA NA NA NA NA
Other Consolidated Items NA NA NA NA NA
Consolidated Net Profit -42714.80 -29518.20 8404.50 11041.60 8954.50
Adjustments to PAT NA NA NA NA NA
Profit Balance B/F 50222.00 79745.30 71306.60 44003.90 43978.50
Appropriations 7507.20 50227.10 79711.10 55045.50 52933.00
     General Reserves NA NA NA NA 5626.30
     Proposed Equity Dividend NA NA NA NA 2796.60
     Corporate dividend tax NA NA NA NA 571.10
     Other Appropriation 7507.20 50227.10 79711.10 55045.50 43939.00
Equity Dividend % NA NA NA NA 10.00
Earnings Per Share -15.00 -11.00 3.00 4.00 3.00
Adjusted EPS -15.00 -11.00 3.00 4.00 3.00