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Consolidated Statement of Cash Flows - USD ($)
$ in Thousands
12 Months Ended
Mar. 31, 2021
Mar. 31, 2020
Mar. 31, 2019
Cash flows from operating activities      
Loss for the year $ (56,042) $ (447,517) $ (167,883)
Adjustments for:      
Depreciation 8,973 9,347 3,895
Amortisation 24,037 24,335 22,922
Impairment of goodwill   272,160  
Provision for litigations   30,800  
Impairment in respect of an equity accounted investee     9,926
Net (gain) loss on derecognition of property, plant and equipment 406 19 (53)
Profit on disposal of equity accounted investee   (700)  
Gain on lease modification (1,912)    
Net finance costs (income) (7,302) 18,071 4,870
Share of loss of equity-accounted investees 168 65 887
Share based payment 35,589 41,631 40,033
Income tax benefit (4,507) (29) (740)
Cash flows from (used in) operations before changes in working capital (590) (51,818) (86,143)
Changes in working capital      
Change in inventories (2) 560 (30)
Change in trade and other receivables and contract assets 34,618 (1,974) 1,129
Change in other assets 3,649 15,531 9,061
Change in trade and other payables and contract liabilities (18,308) (82,108) 3,454
Change in employee benefits 774 1,504 659
Change in other liabilities 32,019 14,341 1,766
Income tax (paid) received, net 12,366 (8,769) (8,823)
Net cash generated from (used in) operating activities 64,526 (112,733) (78,927)
Cash flows from investing activities      
Interest received 5,967 4,327 5,487
Proceeds from sale of property, plant and equipment 423 120 162
Redemption of term deposits 39,094 124,076 205,448
Investment in term deposits (155,523) (27,999) (137,233)
Acquisition of property, plant and equipment (642) (3,538) (3,456)
Acquisition of subsidiary, net of cash acquired (refer note 7)   (14,630) (11,251)
Loan given to equity-accounted investee (54)    
Proceeds from settlement of entitlement from related party     17,101
Proceeds on disposal of equity accounted investee   700  
Acquisition of intangible assets (8,128) (9,223) (6,247)
Net cash generated from (used in) investing activities (118,863) 73,833 70,011
Cash flows from financing activities      
Proceeds from issuance of convertible notes (including equity component) 230,000    
Direct cost incurred in relation to convertible notes (5,970)    
Proceeds from issuance of shares on exercise of share based awards 293 [1] 298
Proceeds from bank loans (refer note 28) 191 702 336
Acquisition of non-controlling interests   (3,178)  
Repayment of bank loans (refer note 28) (505) (316) (239)
Payment of principal portion of lease liabilities (2,045) (3,481)  
Interest paid (2,565) (4,715) (730)
Net cash generated from (used in) financing activities 219,399 (10,988) (335)
Increase (decrease) in cash and cash equivalents 165,062 (49,888) (9,251)
Cash and cash equivalents at beginning of the year 129,881 177,990 187,647
Effect of exchange rate fluctuations on cash held 123 1,779 (406)
Cash and cash equivalents at end of the year (refer note 22) $ 295,066 $ 129,881 $ 177,990
[1] less than 1