StandNote07_230626

7    Other financial assets

( In Crore)

Particulars

Non-current

Current

As at 31 March

As at 31 March

2026

2025

2026

2025

     

Bank balances [See note 12]

0.02

300.00

Security deposits*

30.64

29.36

Interest receivable on investments

176.83

75.18

Interest receivable on loans, deposits etc.

49.80

8.60

Mark-to-market gains on derivative instruments [See note 32]

2.51

Incentives receivable from Government

1,133.94

983.14

Other receivable and advances

152.93

117.52

     

30.64

29.38

1,513.50

1,486.95

* Security deposits include a sum of ₹ 2.17 crore (previous year ₹ 1.92 crore) against use of premises on a Leave License basis, placed with directors and their relatives, jointly and severally. [See note 39]