v3.25.2
Group information - Consolidated Statement of Cash Flows (Details)
₨ in Millions, $ in Millions
12 Months Ended
Mar. 31, 2025
INR (₨)
Mar. 31, 2025
USD ($)
Mar. 31, 2024
INR (₨)
Mar. 31, 2023
INR (₨)
Disclosure of associates [line items]        
Net cash generated from operating activities ₨ 69,787 $ 817 ₨ 72,225 ₨ 67,656
Net cash used in investing activities (74,164) (868) (162,535) (74,978)
Net cash generated from financing activities 19,984 234 82,417 ₨ 19,113
RPPL        
Disclosure of associates [line items]        
Net cash generated from operating activities 68,949 807 70,671  
Net cash used in investing activities (74,327) (870) (162,820)  
Net cash generated from financing activities 19,679 230 81,381  
Net increase/ (decrease) in cash and cash equivalents ₨ 14,301 $ 167 ₨ (10,768)