BSE Limited Corporate Relationship Department 1st Floor, New Trading Ring Rotunda Bldg., P. J. Towers Dalal Street, Fort Mumbai - 400 001. Scrip Code: 500400
Dear Sirs,
G TATA
30th January 2020 BJ/SH-L2/
National Stock Exchange of India Limited Exchange Plaza, 5th Floor Plot No. C/1, G Block Bandra-Kurla Complex Sandra (East) Mumbai - 400 051. Symbol: TATAPOWER EQ
Newspaper Advertisement - Results for the quarter and nine months ended 31 st December 2019
In terms of Regulation 47 to the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 ('Listing Regulations'), as amended from time to time, please find enclosed herewith the newspaper advertisement for the financial results of the Company for the quarter and nine months ended 31 st December 2019, published on 30th January 2020 in the following newspapers:
1. Financial Express 2. The Indian Express 3. Loksatta
This is for your information and records.
Yours faithfully, For The Tata Power Company Limited
Encl: As above
TATA POWER The Tata Power Company Limited
Registered Office Bombay House 24 Homi Mody Street Mumbai 400 001
Tel 91 22 6665 8282 Fax 91 22 6665 8801
~~*1 Company Secretary
Website: www tatapower.com ~mail: tatapower@tatapower com CIN: L28920MH1919PLC000567
WWW.FINANCIALEXPRESS.COM THURSDAY, JANUARY 30, 2020
FINANCIAL EXPRESS
""" ~ -,, G ' TAT.I\ TATA POWER
The Tata Power Company Limited Bombay House, 24, Homi Mody Street, Mumbai 400 001. Website: www.tatapower.com CIN: L28920MH1919PLC000567
EXTRACT OF CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER AND NINE MONTHS ENDED 31ST DECEMBER, 2019
fcrore
Sr. · Quaw Quarblr Quartar Nine months Nine months Year No. Coneolldatad anded anded ended anded anded ended
31-0ac-19 30.s.io-19 31-0eo-18 31..0.C,.19 31,Dac.18 31-Mar-19 IU""udnan1 (UnaudihHI Un1udlled (Unaudltlld 1unauc1 ...... , (Aun....,,
B. Total Income from operations 7,071 .03 7,677.82 7,982.61 22,515.57 22,651.22 29,881 .06 b. Profit/ (Loss) before Exceptional Items and tax 349.08 541.98 456.27 1,577.91 1,546.53 1,968.13 C. Profit/ (Loss) before Tax 349.08 541 .98 45.6.27 1,483.94 3,443.77 3,713.96 d. Profit/ (Loss) for the period/year 245.64 350.81 219.79 827.25 2,377.90 2,500.53 e. Total Comprehensive Income 307.80 506.45 (75.88) 1,030.61 2,655,06 2,664.97 f. Paid-up Equity Share Capital
(Face Value:, 1/- per share) 270.50 270.50 270.50 270.50 210:50 270.50 g. Total Reserves 16,450.66 h . Earnings Per Equity Share
(of, 1/- each) (not annualised) Basic and Diluted: (In ,) (i) From Continuing Operations before net
movement in regulatory deferral balances 0.31 1.64 0.66 2.96 8.57 7.90 (II) From Continuing Operations after net
movement in regulatory deferral balances 0.55 0.80 0.49 1.88 7.94 8.15 (iii) From Discontinued Operations (0.05) (0.02) (0.12) (0.14) (0.37) (0.46) (iv) Total Operations after net movement in
regulatory deferral balanoes 0.50 0.78 0.37 1.74 7.57 7.69
Notes: 1. The above results were reviewed by the Audit Committee and approved by the Board of Directors at its meeting held on
29th January, 2020. 2. Financial Information of the standalone financial results of the Company is as follows:
fcrore Sr. Quarter Quarter Quarter Nine months Nina month• Year No Standalone ended ended anded ended ended anded
31-Dec-19 30-Sen.-19 31-0ac:.48 31-0ec-19 31-0ec-18 31-Mar-19 (Audited}, (Audited) !Au~lted) (Audited) (Audited) {Audited)
a. Total Income from operations 1,932.22 1,993.21 2,274.80 5,961.97 6,085.81 8,255.25 b. Profit/ (Loss) before Exceptional Items and lalC (2.87) 171.64 389.47 601.67 1,072.11 1,179.01 c. P_rofit / (Loss) before Tax (2.87) 171.64 389.47 507.70 2,285.10 2,347.00 d. Profit/ (Loss) for the period/year 6.94 154.61 270.77 458.06 1,699.54 1,768.70 e. Total Comprehensive Income (1.90) 109.40 267.44 412.66 1,683.69 1,724.06 f ; Paid-up Equity Share Capital
(Face Value: , 11- per share) 270.50 270.50 270.50 270.50 270.50 270.50 g. Total Reserves 13,919.10 h, Earnings Per Equity Share
(of, 1/- each) (not annualised) Basic and Diluted: (In ?) (i) From Continuing Operations before net
movement in regulatory deferral balances 0.34 0.81 1.34 2.66 6.44 6.72 (ii) From Continuing Operations after net '
movement in regulatory deferral balances (0.08) 0.38 0.96 1.36 6.17 6.36 (iii) From Discontinued Operations (0.05) (0,02) (0,12) (0.14) (0.37) (0.46) (iv) Total Operations after net movement in
regulatory deferral balances (0.13) 0.36 0.84 1.22 5.80 5.90
3. The above is an extract of the detailed format of Quarterly Financial Results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Financial Results is available on the Stock Exchange websites www.nseindla.com and www.bseindia.com and on the Company's websitewww.tatapower.com.
For and on behalf of the Board of THE TATA POWER COMPANY LIMITED
Data : 29th January, 2020 PRAVEER SINHA
CEO & Managing Director • ~ ace : Mumbai ~ DIN 01785164 ~ -
WWW.INDIANEXPRESS.COM . THE iNDIAN EXPRESS, THURSDAY, JANUARY 30, 2020
' _._ -.... ~ .r. ,
- ,,,·'TATA TATA POWER
- The Tata Power Company Limited Bombay House, 24, Homi 'Mo.jy Street, Mumbai 400 001. Website: www.tatapower.com CIN: L28920MH1919PLC000567
EXTRACT OF CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER AND NINE MONTHS ENDED 31ST DECEMBER, 2019
tcrore ' Sr. Quarblr Quarlllr Quarter jljlnemonths Nlne!119111"- Year
No eonaondatad ended ended ended ended ended ended . 31-0ac-19 30-s--19 31-0ac,18 31,Dec.19 , 31-0ec-18 31-Mar-19
I1un..,dlliKI "'""'"'"""' ICUnau,,....,. I runaudltad !Unaudited) 1AUdrma1
a. Total Income from operations 7,071 .Ql 7,677.82 7.~.61 22,515.57 22,651 .22 29,881.,06 b. Profit / (Loss) before Exceptional items end tax 349,cc. 541 :98 456.27 1,577.91 1,546.53 1,968.13 C. Profit /•(Loss) before Tax ,3'\9. 541.98 451j:27 1,483.94 3,443.77 3,713'..98 d. Profit ((Loss) for the period/year 245:64 350.81 219.79 827.25 2,377.90 2,500.53 e. Total Comprehensive Income 3p7.80 ' 506.45 '(75:88) 1,030.61 2,655.06 .2(66'4.-97
I f. Paid-up Equity Share Capital (Face Value: ~ 1/- per share) ' , 270.50 270.50 270.50 270.50 270.50 270.50
g. Total Reserves 16,450.66 h. Earnings Rot Equity Smare
,(oft 1(- eoch) (nqt,11nnuall&O<!J Basic 11nd Dll~lllil: (Ill'') (i) Fram Continulng ~ rations &lfoio net
~vement lh, regulatory deferral bajBMes (11) F~irJ Continuing 0perat[ons11fter net
0.31 1.64 0.66 2.96 8.57 7.90
movement in regulatory deferral balances 0.55 0.80 0.49 1.88 7.94 8.15 I:~i From Dis,:ondoued 0perations (0.05) (0.02) (0.12) (0.14) (0.37) (0.46)
Total 0Q!Jrallona_a(lar Rf/.Hnovomefll in ,regulatory detitrral-balances 0.50 , 0.78 0.37 1.74 7.57 7.69
-
Notes: 1. The above results were reviewed by the Audit Committee and approved by the Board of Directors at its meeting held on
29th Janu11cy. 2020.
I 2. Financial I (Clf(Tlajjon of the standalone financial results of the Company is as follows: f ·Cl'Of6
-Sr. QQ.,tor Quarter Quart• r Nin-, months Nfpa month, Year. No Standalone i nde'd anded anded onded ended , ended ·' 31-Dac--19 30-Sen-19 31-Dac-18 31-Dec,19 .31-Dec-18 31-MJir-19
(Audlwdl ,fAu_dHecfl fAUdlfad) , (Audited) l~dltad) (Audited
I a. Total Income from operations 1,932.22 1,993.21 2,274.80 5,961 .97 6,085.61 8,2¥:25 b. Profit/ (Loss) before Excep~onal items and tax (2.87) 171.64 389.47 601.67 1,072.11 1,179.0_1 c. Profit/ (Loss) before Tax (2.87) 171.64 369.47 507.70 2,285.10 2, 34_?:.00 d. Profil / (Loss) for the period/year 6.94 154.61 270.77 458.06 1,699.54 1,768.70 e. Total Comprehensive Income (1 .90) 109.40 267.44 412.66 1,683.69 1,7:24,06 f. Paid-up Equity Shere Capttal
(Face Value:, 1/- per share) 270.50 270.50 270.50 270.50 270.50 270.50 g. Total Reserves 13,919.10 h. Earnings Per Equity Share
(off 1/- each) (not annualised) Basic and Diluted: (In r) . (i) From Continuing Operations before net
movement In regu1atory deferral balances 0,34 0.81 1.34 2.66 6.44 6.72 (Ii) From ConUnuing Operations after net
movement In regulatory deferral balances (0.08) 0.38 0.96 1.36 6.17 6.36 (Iii) Frorii'Dlscof)Unue<I Glpera11o~• (0.05) (0.02) (0.12) (0.14) (0.37) (0.46) (iv) Total Operallilns aillt i:re.t'rriilvement in
reg_ulatory deferral balances (0.13) 0.36 0.84 1.22 5.80 5.90
3. The above is an extract of the detailed format of Quarterly Financial Results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Financial Results is available on the Stock Exchange websites www.nselndla.com and www.bseindia.com and on the Company's website www.tatapower.com,
For and on behalf of the Board of I THE TATA POWER COMPANY LIMITED
.. ,, '. PRAVEER SINHA Date ·: 29th January, 2020 CEO & Managing Director Place : Mumbai DIN 01785164
II - - ·~
~
WWW .LO KS ATTA.COM
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TATA TATA POWER
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The Tata Power Company Limited Bom__bay.f-louse, 24, Homi Mody Street, Mumbai 400 001 . Website: www.talBpower.COf]1 CIN: L28920MH1919PLC000567
EXTRACT OF CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER AND NINE MONTHS ENDED 31ST DECEMBER, 2019
1"crora
Sr. Quarter Quarter Quarter Nino months Mn• mori1hs Year ~0. Consol!-.! ended ended ended ended e110lld ended
31-0ec-19 311-S.o-19 31-0oc-18 31,0ec-19 31-0ec-18 31-Mar-18 {Unaudltoa, IJnaudlladl (Uru,udlladl (Unauditl!dl (Unaudilad}, !Audltadl
a. Total lncoroe from operall_oris 7,071,03 7,677.82 7,982.61 22,515.57 22,651.22 29,881.06 b. l?rofotd (Loss! bolore El!aeptlonal items a'nd tax 349.08 541.98 456.27 1,577.91 1,546.53 1,968.13 C, PfC111l / (toss b&lore Tox 349.08 541 .98 456.27 1,483.94 3,443.77 3,743:es d. Profit-/ (~) for-ihe-perfodlyoar 245,64 350.81 219.79 827.25 2,377.90 2,500.63 e. Total 1;:ofr!prehenslve•(ncome 307.80 506.45 (75.88) 1',030,61 2,655.06 2,664.97 f. Pald-up Equity Share Capita\
(FBCC Value; 1/- per ~Mara) 270.50 270.50 270,50 270.50 270.50 270,50 g, Tob\l Reserves 1'16,4-50.611 h. E;amlngs Per Equity Sher<>
(oft 11- each) (not annualised) Basic and Diluted: (l(J ~) (I) From & rilinLiing 'Qperallol'IS beltlro net
movement In ra9ulJIDly ~eler1al balances 0,31 1.64 0.66 2.96 8.57 7.90 (ii) Fm/rr"Go'ilti~ulng: Opera lions after n,:,t
mO\lilmenl in regulator)'. dnJe,rml :bal_ances 0.55 0.80 0.49 1.88 7.94 B.15 lTil) From Discontinued OpemUons (0.05) (0.02) (0.12) (0.14) (0.37) '(0.48) (l~p-o!ar Opera\jons after nel rr,oveme~tln
reg~lal!lr.Y <lererral balances 0.50 0.78 0.37 1.74 7.57 7.69
Notes: 1. The abo'ro results were reviewed by the Audit Committee and approved by the Board of Directors at its meeting held on
29th January, 2020. 2. Financiai Information of the standalone financial results of the Company is as follows:
1"crore Sr: Quarter Quarter Quarter Nine months Nino months Yeat ~o Standalone ended ended ended ended ended ended
31-Dec-19 30-Seo-19 31-Dec-18 31-Oec-19. 31-Dec-18 31-Mar-19 (Audit.ad) [Audited) (_AudltedJ (Audited) (Audited} (Audited)
a. ,qtal ln"Prno from ope~1ons- 1,932.22 1,993.21 2,274.80 5,961 .97 6,085.81 8,255.25 b. f1rorlt / i~) befora Exceptional items and lax (2,B7) 171 .64 3B9.47 601 .67 1,072.11 1,179.01 c, ·Ptorrt 1' ~=> ti!irotu Tax (2.87) 171.64 389.47 507.70 2,285.10 2,347.00 d. Profit '/ (Loss) 1or1"8 P.!'r!od~ar 6.94 154.61 270.77 458.06 1,699.54 1,768.70 e. Total Comprehensive lncor;:i (1 ,90) 109.40 267,44 412.66 1,683.69 1,724.06 f. Poid-up Equity Share Ciip lal
(Ft1F!! Value: , 1/- per sharo) 270.50 270,50 270.50 270.50 270.50 270.50 g, Tola! ~850/VOS 13,919.10 ff. Earnings f'ef Equi)}' Shara
(of'f 1/-eacfi)l(nol anot!alised) Bas1c arid Dllylnd: (In ) (I) From Continuing Of!Ora!IO(is-bofora net
mpyement in regulnlory deforral &~lances 0.34 0.81 1.34 2.66 6.44 6.72 (l From •Contlnulng Gpjlm tiO}JS afler-nel
. movernent)n rqgllfatocy,deferral ba\an~ (0,0B) 0,3B 0.96 1.36 6.17 6.36 (In) Ff0111 Qlsoi>nllnyed, 0peraUona (0.05) (0,02) (0.12) (0.14) (0.37) (0.46) (iv) Total OperaU0113•alfer pel movement I~
rl!guliiloJY 'deferrnl ,balan_ces (0.1;l) 0.36 0.84 1.22 5.80 5.90
3. The above is an extract of the detailed formal of Quarterly Financial Results filed with the Stock Excllanges under Regulation 33 of the SEBI (listing and Other Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Financial
I
I
Results is available on the Stock Exchange websites www.nselndia.com and www.bseindia.com and on the Company's 1
website www.latapower.com.
Fpr-and on behalf of the Board of THE TATA POWER COMPANY LIMITED
~ Date : 29th January, 2020 PRAVEER SINHA
CEO & Ma~agl~g Director ~IBCG : Mumbai • DIN 01785184
' '