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                   Notes forming part of the Consolidated Financial Statements as at 31  March, 2020


                                                  2019-20 2018-19 2019-20 2018-19 2019-20 2018-19  2019-20 2018-19
                 Pension growth rate                2.50%  2.50%     NA     NA      NA     NA      NA     NA
                 Withdrawl rates at all stages      0.80%  0.80%  0.80%   0.80%       -      -  0.80%   0.80%
                 Sensitivity to key assumptions

                 Discount rate + 0.5%              801.01  591.22  234.14  194.11               186.45  153.09
                 Discount rate - 0.5%              958.96  713.54  256.14  212.95               206.46  169.85
                                                        -      -       -      -                      -      -
                 Salary growth rate + 0.5%         928.27  677.25  251.40  209.43               206.57  169.99
                 Salary growth rate - 0.5%         813.79  617.47  237.61  196.87               186.27  152.90

                 Expected Post employment term of the                                                -      -
                 obligation                         24.87   23.90  10.18  10.69   16.61  16.73   10.18  10.69

                 Expected future cashows from
                 the plan
                 We have not considered the future
                 accrual while computing the cashows.

                                           1st Year  5.19    3.96   8.41   6.57                   5.82   4.83
                                          2nd Year   7.56    4.25  10.14   7.31                   5.79   4.52
                                          3rd Year  10.39    6.86  11.62   9.74                   7.13   5.82
                                           4th Year   12.21  7.05  15.44  11.14                   9.92   7.17
                                           5th Year  15.85   9.11  17.95  14.83                  11.72  10.23
                                    6th to 10th Year  147.11  86.67  160.43  133.47             108.73  94.84


               37.   Finance costs




                                                                              2019-20            2018-19
                 Interest on Bonds (Refer note 37.1)                                130.72            130.38

                 Management Fees on Bonds Issued including service
                 charges                                                              0.36              0.20
                 Other Interest                                                       0.18              4.00

                 Finance Charges on Lease Assets (Refer Note 37.3)                    0.63                 -

                                                              TOTAL                 131.89            134.59

               * Interest is calculated using the effective interest method for nancial assets which are measured at amortized
               cost.





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