Rolex Rings Limited has informed the Exchange about Investor Presentation
Rolex Rings Limited Update on earnings for Q2FY26/ H1 FY26
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do not constitute any offer, recommendation or invitation to purchase or subscribe for any securities, and shall not form the basis or be relied on in connection with any contract or binding
commitment whatsoever. No offering of securities of the Company will be made except by means of a statutory offering document containing detailed information about the Company. This
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implied, whatsoever, and no reliance shall be placed on, the truth, accuracy, completeness, fairness and reasonableness of the contents of this Presentation. This Presentation may not be all
inclusive and may not contain all of the information that you may consider material. Any liability in respect of the contents of, or any omission from, this Presentation is expressly excluded.
Certain matters discussed in this Presentation may contain statements regarding the Company’s market opportunity and business prospects that are individually and collectively forward-
looking statements. Such forward-looking statements are not guarantees of future performance and are subject to known and unknown risks, uncertainties and assumptions that are difficult
to predict. These risks and uncertainties include, but are not limited to, the performance of the Indian economy and of the economies of various international markets, the performance of the
industry in India and world-wide, competition, the company’s ability to successfully implement its strategy, the Company’s future levels of growth and expansion, technological
implementation, changes and advancements, changes in revenue, income or cash flows, the Company’s market preferences and its exposure to market risks, as well as other risks. The
Company’s actual results, levels of activity, performance or achievements could differ materially and adversely from results expressed in or implied by this Presentation. The Company
assumes no obligation to update any forward-looking information contained in this Presentation. Any forward-looking statements and projections made by third parties included in this
Presentation are not adopted by the Company and the Company is not responsible for such third party statements and projections
.
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Q2FY26 financials and business developments
Financial Performance - Quarterly
Revenues from Operations (₹ mn)
EBITDA (₹ mn) and margins
Operating PBT/ PAT (₹ mn)*
3 0 0 3
,
6 1 9 2
,
4 1 7 2
,
3,500.0
3,000.0
2,500.0
2,000.0
1,500.0
1,000.0
500.0
-
EBITDA (INR mn)
EBITDA Margin %
Operating PBT (INR Mn)
PAT (INR Mn)
25.1%
755
900.00
800.00
700.00
600.00
500.00
400.00
300.00
200.00
100.00
-
26.5%
25.5%
772
692
800.00
700.00
600.00
500.00
400.00
300.00
200.00
100.00
-
651
680
493
492
591
443
Q2FY25
Q1FY26
Q2FY26
Q2FY25
Q1FY26
Q2FY26
Q2FY25
Q1FY26
Q2FY26
Revenues from Operations (excluding scrap and other operating income) for Q2FY26
Business development during Q2 FY26
• We are witnessing
improvement
in domestic
revenue especially in bearing rings segment;
42%
.
Bearing Rings
Auto Components
57%
43%
Exports
Domestic
58%
• Improvement across Europe as well but US slowed
customer considerably till there is clarity on final Trade deal • 25% US custom duty waiver in major portion of
volumes
related
have
our exports to US, w.e.f . Nov 01, 2025
• 9MW solar plant is expected to be operational by
December-25
4
Revenue mix by indicative end-user industries
Revenues from operations (excluding scrap sales and other operating income)
FY19
FY20
FY21
FY22
FY23
FY24
FY25
H1FY26
0%
10%
20%
30%
40%
50%
60%
70%
80%
90%
45.0%
27.4%
26.3%
36.8%
38.2%
40.0%
42.5%
40.3%
30.6%
29.6%
26.4%
24.1%
20.3%
28.7%
32.3%
26.8%
26.1%
27.8%
1.3%
0.5%
0.0%
0.0%
0.0%
46.5%
51.5%
17.1%
28.7%
17.3%
24.1%
PV
Industrial
CV & HCV
2W
BEV & Hybrid
1.2%
100%
0.2%
0.3%
0.2%
4.1%
7.1%
5.6%
10.8%
7.7%
7.2%
5
Key financials parameters
Total Revenues from Operations (₹ mn)
EBITDA (₹ mn) and margins
PBT/ PAT (₹ mn)
Inside India
Outside India
EBITDA (INR mn)
EBITDA Margin %
14,000.00
12,000.00
10,000.00
8,000.00
6,000.00
4,000.00
2,000.00
-
10,102
6,163
5,472
11,790 12,217 11,548
6,523
6,357
5,534
3,459
2,704
4,630
5,267
5,860
6,014
5,630
2,405
3,225
3,000.00
2,500.00
2,000.00
1,500.00
1,000.00
500.00
-
18.1%
3 2 1 1
,
23.4% 0 0 8 2
,
23.4%
3 0 4 2
,
22.4%
23.0%
0 7 7 2
,
1 9 6 2
,
26.0%
4 6 4 1
,
FY21*
FY22
FY23
FY24
FY25 H1FY26
FY21*
FY22
FY23
FY24
FY25 H1FY26
Operating PBT (INR Mn)
PAT (INR Mn)
7 1 4 2
,
0 3 4 2
,
1 8 9 1
,
3 6 2 2
,
0 4 7 1
,
0 6 5 1
,
1 7 2 1
,
5 3 9
4 4 9 1
,
9 1 3 1
,
0 7 8
2 5 7
3000
2500
2000
1500
1000
500
0
FY21*
FY22
FY23
FY24**
FY25** H1FY26
Operating Cash Flows & Capex (₹ mn)
Net Debt (₹ mn) and Net Debt: Equity
Return on Equity (%)
2500
2000
1500
1000
500
0
CFO (INR Mn)
Capex (INR Mn)
Net Debt (INR mn)
Net Debt: Equity
5 3 1 2
,
4 1 2 2
,
2 7 2 2
,
2 9 5
7 8 3
5 9 6
9 8 5
3 2 4
8 4 5
3 2 5
0 7 8
7 2 1
FY21*
FY22
FY23
FY24
FY25 H1FY26
3,000.00
2,500.00
2,000.00
1,500.00
1,000.00
500.00
-
(500.00)
(1,000.00)
(1,500.00)
0.69
0.37
9 4 4 2
,
0 3 0 2
,
0.06
1 7 4
(0.01)
(0.05)
(0.09)
FY21*
FY22
FY23
FY24
FY25 H1FY26
) 7 0 1 (
) 9 3 5 (
) 8 0 0 1 (
,
28.00%
26.00%
24.00%
22.00%
20.00%
18.00%
16.00%
14.00%
12.00%
10.00%
RoE (%) 27%
20%
24%
24%
17%
16%
FY20*
FY21*
FY22
FY23
FY24** FY25**
Note : Return on Equity = Profit After Tax / Total Equity; * indicates that numbers are based on Restated Financials; **FY24 & FY25 financials includes exceptional expenses of INR 320 million and INR 186 million respectively .
6
Statement of Profit and Loss (Quarterly)
Particulars (₹ mn)
Income
Revenue from operations
Other income
Total income (I)
Expenses Cost of raw materials and components consumed
Decrease/ (increase) in inventories of finished goods and work-in progress
Employee benefits expense
Finance costs
Depreciation and amortization expense
Other expenses
Total expenses (II)
Profit before tax before exceptional items (III) = (I - II)
Total tax expense (V)
Profit for the period (VI) = (III – IV-V)
.
Q2FY26
Q2FY25
Y-o-Y %
Q1FY25
Q-o-Q %
2,714
144
2,857
2,916
156
3,072
(7.0%)
1,383
1,435
(70)
186
8
93
666
2
176
2
90
686
2,267
2,392
591
148
443
680
188
492
(13.1%)
(9.9%)
3,003
95
3,097
1,554
(108)
179
7
97
717
2,446
651
159
493
(7.7%)
(9.3%)
(10.0%)
7
Statement of Profit and Loss
Particulars (₹ mn)
Income
Revenue from operations
Other income
Total income (I)
Expenses
Cost of raw materials and components consumed
Decrease/ (increase) in inventories of finished goods and WIP
Employee benefits expense
Finance costs
Depreciation and amortization expense
Other expenses
Total expenses (II)
Profit before exceptional items and tax (III) = (I - II)
Exceptional items (IV)
Tax expense
Current tax expenses
Adjustment of tax related to earlier periods
Deferred tax charge / (Credit)
Total tax expense (V)
Profit for the period (VI) = (III – IV – V)
.
H1FY26
FY25
FY24
FY23
FY22
FY21
FY20
5,630
300
5,929
11,548
285
11,833
12,218
151
12,368
11,790
193
11,983
10,102
114
10,217
2,819
5,942
6,313
5,860
(68)
363
10
183
1,353
4,658
1,271
-
301
-
35
336
935
(96)
689
24
404
2,607
9,570
2,263
186
535
(176)
(22)
337
(42)
644
27
326
2,683
9,951
2,417
320
588
-
(52)
537
1,740
1,560
139
592
101
269
2,593
9,553
2,430
-
612
-
(163)
449
1,981
5,195
(554)
588
204
256
2,584
8,273
1,944
-
666
-
(41)
625
1,319
6,163
34
6,198
3,166
(292)
519
117
254
1,682
5,446
752
-
130
-
(248)
(118)
870
6,660
93
6,753
3,137
156
527
322
265
1,626
6,032
721
-
127
-
64
191
529
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Balance Sheet - Snapshot
Particulars (₹ mn)
H1FY26
FY25
FY24
FY23
FY22
FY21
Particulars (₹ mn)
H1FY26
FY25
FY24
FY23
FY22
FY21
Assets
Non-current assets
Property, plant, and equip.
Capital work in progress
Right-of-use assets
Intangible assets
Financial assets
a) Other financial assets
Income tax assets (net)
Other non-current assets
Current assets
Inventories
Financial assets
a) Loans
4,392 397
0
7
54
36 43
4,440
4,659
3,902
344
0
4
90
36
110
41
0
5
157
20
77
458
0
6
116
20
184
3,789
460
0
8
42
20
155
3,851
597
0
6
140
20
288
2,624
2,440
2,405
2,556
2,617
1,711
0
0
0
0
0
1
b) Trade receivables
1,867
1,927
2,176
2,285
2,305
1,708
c) Cash and cash equivalents
d) Bank balances other than c.
e) Other financial assets
775
234
55
489
191
46
189
99
43
f) Investments
3,019
2,610
1,075
Current tax assets (net)
Other current assets
-
158
-
95
15
249
217
127
76
-
-
38
162
104
-
-
46
58
68
-
-
186
152
195
Total assets
13,660
12,822
11,209
10,133
9,850
7,969
Equity and liabilities
Equity
Equity share capital
Other equity
Total equity
Liabilities
Non-current liabilities
Financial liabilities
a) Borrowings
b) Lease liabilities
Income tax liabilities (net)
Deferred tax liab. (net)
Provisions
Current liabilities
Financial Liabilities
a) Borrowings
b) Lease liabilities
c) Trade payables
d) Other financial liabilities
Other liabilities
Provisions
Current tax liabilities (net)
272 11,383 11,656
272
10,449
10,721
272
8,710
8,982
272
7,158
7,430
272
5,176
5,448
240
3,328
3,567
0
-
3 403 43
1
0
937
72
16
514
15
0
0
3
368
48
141
0
901
74
41
516
8
0
0
179
390
44
0
0
179
445
32
205
0
179
608
33
323
1
179
324
31
180
0
815
0
2,024
1,836
0
1,010
1,110
1,197
66
21
329
6
47
22
7
45
58
23
8
67
0
1,176
434
15
7
75
Total liabilities
1,556
2,101
2,227
2,702
4,402
4,402
Total equity and liabilities
13,660
12,822
11,209
10,133
9,850
7,969
.
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Contact Us
For further information, please contact:
+91 281 6699 577/ 677
info@rolexrings.com
Mr. Hiren Doshi – Chief Financial Officer
.
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