| Particulars | Mar 2025 | Mar 2024 | Mar 2023 | Mar 2022 | Mar 2021 | 
|     Equity - Authorised | 1500.00   | 1500.00   | 1500.00   | 1500.00   | 1500.00   | 
|     Equity - Issued | 1319.69   | 1319.69   | 1319.69   | 1319.69   | 1319.69   | 
|     Equity Paid Up | 1319.69   | 1319.69   | 1319.69   | 1319.69   | 1319.69   | 
|     Equity Shares Forfeited | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Adjustments to Equity | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Preference Capital Paid Up | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Face Value | 2.00   | 2.00   | 2.00   | 10.00   | 10.00   | 
| Share Warrants & Outstandings | 433.47   | 432.35   | 123.10   | 96.78   | 69.65   | 
| Total Reserves | 19274.32   | 19954.38   | 18935.11   | 18033.22   | 12878.93   | 
|     Securities Premium | 477.28   | 477.28   | 477.28   | 477.28   | 477.28   | 
|     Capital Reserves | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Profit & Loss Account Balance | 21085.95   | 20181.45   | 17805.71   | 15321.39   | 11908.08   | 
|     General Reserves | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Other Reserves | -2288.91   | -704.35   | 652.12   | 2234.55   | 493.58   | 
| Reserve excluding Revaluation Reserve | 19274.32   | 19954.38   | 18935.11   | 18033.22   | 12878.93   | 
| Revaluation reserve | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
| Shareholder's Funds | 21027.48   | 21706.42   | 20377.90   | 19449.69   | 14268.27   | 
| Minority Interest | 800.46   | 725.91   | 0.00   | 101.05   | 93.91   | 
| Long-Term Borrowings | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
| Secured Loans | 2497.42   | 1905.00   | 0.00   | 0.00   | 0.00   | 
|     Non Convertible Debentures | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Converible Debentures & Bonds | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Packing Credit - Bank | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Inter Corporate & Security Deposit | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Term Loans - Banks | 2955.00   | 2000.00   | 0.00   | 0.00   | 0.00   | 
|     Term Loans - Institutions | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Other Secured | -457.58   | -95.00   | 0.00   | 0.00   | 0.00   | 
| Unsecured Loans | 10334.28   | 10045.73   | 1827.11   | 1198.31   | 0.00   | 
|     Fixed Deposits - Public | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Loans and advances from subsidiaries | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Inter Corporate Deposits (Unsecured) | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Foreign Currency Convertible Notes | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Long Term Loan in Foreign Currency | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Loans - Banks | 10334.28   | 10045.73   | 1827.11   | 1198.31   | 0.00   | 
|     Loans - Govt. | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Loans - Others | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Other Unsecured Loan | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
| Deferred Tax Assets / Liabilities | 962.12   | 1612.57   | -742.93   | -525.77   | -830.74   | 
|     Deferred Tax Assets | 3629.60   | 2770.01   | 1643.32   | 1440.91   | 1335.69   | 
|     Deferred Tax Liability | 4591.72   | 4382.58   | 900.39   | 915.14   | 504.95   | 
| Other Long Term Liabilities | 27452.25   | 25210.08   | 21326.63   | 17876.54   | 14692.99   | 
| Long Term Trade Payables | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
| Long Term Provisions | 12149.35   | 11146.19   | 10251.44   | 8991.02   | 7540.16   | 
| Total Non-Current Liabilities | 53395.42   | 49919.57   | 32662.25   | 27540.10   | 21402.41   | 
| Current Liabilities | 0   | 0   | 0   | 0   | 0   | 
| Trade Payables | 9009.01   | 7904.69   | 5613.96   | 5369.55   | 5330.24   | 
|     Sundry Creditors | 9009.01   | 7904.69   | 5613.96   | 5369.55   | 5330.24   | 
|     Acceptances | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Due to Subsidiaries- Trade Payables | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
| Other Current Liabilities | 8801.82   | 7443.69   | 4253.59   | 3408.18   | 2859.88   | 
|     Bank Overdraft / Short term credit | 38.27   | 0.00   | 0.01   | 0.06   | 0.22   | 
|     Advances received from customers | 1047.63   | 798.81   | 298.81   | 191.26   | 172.35   | 
|     Interest Accrued But Not Due | 91.22   | 101.63   | 11.20   | 2.30   | 0.00   | 
|     Share Application Money | 0.00   | 0.00   | 0.00   | 0.90   | 5.08   | 
|     Current maturity of Debentures & Bonds | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Current maturity - Others | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Other Liabilities | 7624.70   | 6543.25   | 3943.57   | 3213.66   | 2682.23   | 
| Short Term Borrowings | 1732.35   | 3022.36   | 0.00   | 0.00   | 0.00   | 
|     Secured ST Loans repayable on Demands | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Working Capital Loans- Sec | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Buyers Credits - Unsec | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Commercial Borrowings- Unsec | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Other Unsecured Loans | 1732.35   | 3022.36   | 0.00   | 0.00   | 0.00   | 
| Short Term Provisions | 744.93   | 798.98   | 422.08   | 413.37   | 422.53   | 
|     Proposed Equity Dividend | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Provision for Corporate Dividend Tax | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Provision for Tax | 135.76   | 2.60   | 2.86   | 2.45   | 0.00   | 
|     Provision for post retirement benefits | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Preference Dividend | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Other Provisions | 609.17   | 796.38   | 419.22   | 410.92   | 422.53   | 
| Total Current Liabilities | 20288.11   | 19169.72   | 10289.63   | 9191.10   | 8612.64   | 
| Total Liabilities | 96189.38   | 91521.62   | 63329.78   | 56281.94   | 44377.22   | 
| ASSETS | 0   | 0   | 0   | 0   | 0   | 
| Gross Block | 100321.51   | 92446.96   | 57022.41   | 46603.69   | 38953.68   | 
| Less: Accumulated Depreciation | 35976.84   | 30608.76   | 22140.45   | 19238.05   | 17498.98   | 
| Less: Impairment of Assets | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
| Net Block | 64344.67   | 61838.20   | 34881.96   | 27365.64   | 21454.69   | 
| Lease Adjustment A/c | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
| Capital Work in Progress | 1790.73   | 924.96   | 1598.81   | 396.86   | 262.54   | 
| Non Current Investments | 1194.71   | 2101.86   | 6977.69   | 8271.00   | 4352.84   | 
| Long Term Investment | 1194.71   | 2101.86   | 6977.69   | 8271.00   | 4352.84   | 
|     Quoted | 0.00   | 0.00   | 4282.12   | 3380.90   | 2527.45   | 
|     Unquoted | 1239.68   | 2101.86   | 2695.57   | 4890.10   | 1825.40   | 
| Long Term Loans & Advances | 15297.37   | 14020.67   | 12736.50   | 10908.62   | 9866.41   | 
| Other Non Current Assets | 1224.22   | 818.37   | 37.31   | 47.33   | 35.24   | 
| Total Non-Current Assets | 84613.05   | 79957.07   | 56471.66   | 47058.38   | 35995.05   | 
| Current Assets  Loans & Advances | 0   | 0   | 0   | 0   | 0   | 
| Currents Investments | 565.49   | 978.41   | 1240.39   | 996.79   | 814.54   | 
|     Quoted | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Unquoted | 585.49   | 998.41   | 1260.39   | 996.79   | 814.54   | 
| Inventories | 4056.34   | 4098.92   | 1769.99   | 1611.76   | 1331.31   | 
|     Raw Materials | 2023.18   | 3209.18   | 1116.14   | 1124.76   | 945.15   | 
|     Work-in Progress | 382.86   | 165.06   | 109.22   | 74.41   | 44.12   | 
|     Finished Goods | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Packing Materials | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Stores  and Spare | 949.13   | 665.23   | 484.96   | 371.93   | 308.40   | 
|     Other Inventory | 701.17   | 59.45   | 59.67   | 40.66   | 33.64   | 
| Sundry Debtors | 3300.66   | 2650.74   | 287.31   | 220.49   | 167.99   | 
|     Debtors more than Six months | 78.50   | 134.65   | 18.92   | 15.42   | 38.01   | 
|     Debtors Others | 3292.01   | 2571.89   | 295.10   | 227.05   | 152.87   | 
| Cash and Bank | 1542.29   | 1569.52   | 2569.11   | 5633.59   | 5391.84   | 
|     Cash in hand | 171.71   | 111.15   | 69.65   | 54.26   | 54.39   | 
|     Balances at Bank | 1370.51   | 1454.95   | 2499.26   | 5579.29   | 5337.12   | 
|     Other cash and bank balances | 0.07   | 3.42   | 0.20   | 0.04   | 0.33   | 
| Other Current Assets | 238.99   | 165.86   | 15.27   | 21.02   | 17.46   | 
|     Interest accrued on Investments | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Interest accrued on Debentures | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Deposits with Government | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Interest accrued and or due on loans | 3.15   | 0.12   | 11.06   | 14.66   | 11.32   | 
|     Prepaid Expenses | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Other current_assets | 235.84   | 165.74   | 4.21   | 6.36   | 6.14   | 
| Short Term Loans and Advances | 1869.93   | 2101.10   | 976.05   | 739.91   | 659.04   | 
|     Advances recoverable in cash or in kind | 1774.98   | 1727.07   | 567.11   | 417.09   | 305.37   | 
|     Advance income tax and TDS | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Amounts due from directors | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Due From Subsidiaries | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Inter corporate deposits | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Corporate Deposits | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
|     Other Loans & Advances | 94.95   | 374.03   | 408.94   | 322.82   | 353.68   | 
| Total Current Assets | 11573.70   | 11564.55   | 6858.12   | 9223.56   | 8382.17   | 
| Net Current Assets (Including Current Investments) | -8714.41   | -7605.17   | -3431.51   | 32.46   | -230.47   | 
| Miscellaneous Expenses not written off | 0.00   | 0.00   | 0.00   | 0.00   | 0.00   | 
| Total Assets | 96189.38   | 91521.62   | 63329.78   | 56281.94   | 44377.22   | 
| Contingent Liabilities | 1586.42   | 1242.98   | 1171.78   | 1250.40   | 1321.26   | 
| Total Debt | 15021.63   | 15068.09   | 1827.11   | 1198.31   | 0.00   | 
| Book Value | 31.21   | 32.24   | 30.70   | 146.65   | 107.59   | 
| Adjusted Book Value | 31.21   | 32.24   | 30.70   | 29.33   | 21.52   |