Windsor Machines Limited — Quarter ended March 31, 2026 and year ended March 31, 2026
| Particulars | Quarter ended March 31, 2026 (Audited) | December 31, 2025 (Unaudited)* | March 31, 2025 (Audited)* | Year ended March 31, 2026 (Audited) | March 31, 2025 (Audited)* |
|---|---|---|---|---|---|
| 1 Income | |||||
| a) Revenue from operations | 18,066.77 | 13,583.11 | 12,082.11 | 56,651.86 | 36,557.76 |
| b) Other income | 289.51 | 2.59 | 6.58 | 374.17 | 135.24 |
| Total Income | 18,356.28 | 13,585.70 | 12,088.69 | 57,026.03 | 36,693.00 |
| 2 Expenses | |||||
| a) Cost of raw materials consumed | 13,523.19 | 10,677.00 | 7,905.83 | 39,844.03 | 23,492.09 |
| b) Changes in inventories of Finished Goods & Work in progress | (526.55) | (924.81) | 207.52 | 343.17 | 142.24 |
| c) Employee benefits expense | 2,007.16 | 1,947.92 | 1,251.00 | 7,297.35 | 4,902.57 |
| d) Finance Cost | 224.51 | 72.38 | 172.98 | 509.79 | 514.78 |
| e) Depreciation & amortisation expense | 516.61 | 615.96 | 509.37 | 2,082.52 | 1,767.17 |
| f) Other expenses | 2,129.22 | 1,485.61 | 1,618.45 | 6,184.01 | 4,882.16 |
| Total expenses | 17,874.14 | 13,874.06 | 11,665.15 | 56,260.87 | 35,701.01 |
| 3 Profit/(Loss) before exceptional items and tax (1-2) | 482.14 | (288.36) | 423.54 | 765.16 | 991.99 |
| 4 Exceptional items (refer note 7, 8 & 14) | – | – | 33.47 | (895.93) | (736.34) |
| 5 Profit/(Loss) before tax (3+4) | 482.14 | (288.36) | 457.01 | (130.77) | 255.65 |
| 6 Tax expense | |||||
| – Current Tax | – | – | 21.44 | – | 120.19 |
| – Income tax exp for earlier years | 41.25 | 41.25 | 1,433.35 | 206.89 | 2,981.68 |
| – Deferred Tax | 225.77 | (55.47) | (597.50) | 105.69 | (788.18) |
| 7 Net Profit/(Loss) after tax (5-6) | 215.12 | (274.14) | (400.28) | (443.35) | (2,058.04) |
| 8 Other Comprehensive Income | |||||
| – Items that will not be reclassified to profit or loss: | |||||
| Remeasurement of the net defined benefit obligation gain/(loss) | (22.03) | (61.52) | (6.88) | (59.60) | (50.43) |
| 9 Total Comprehensive Income/(loss) (net of tax) (7+8) | 193.09 | (335.66) | (407.16) | (502.95) | (2,108.47) |
| 10 Paid-up Equity Share Capital | 1,770.44 | 1,741.69 | 1,689.57 | 1,770.44 | 1,689.57 |
| (Face value of Rs. 2/- each) | |||||
| 11 Other Equity | 47,052.22 | 40,390.40 | |||
| 12 Earning Per Share (EPS) (In ₹`) (not annualised) | |||||
| – Basic | 0.25 | (0.32) | (0.51) | (0.52) | (3.01) |
| – Diluted | 0.21 | (0.32) | (0.51) | (0.52) | (3.01) |
| Sr.No | Particulars | Quarter ended March 31, 2026 (Audited) | December 31, 2025 (Unaudited) (Restated*) | March 31, 2025 (Audited) (Restated*) | Year ended March 31, 2026 (Audited) | March 31, 2025 (Audited) (Restated*) |
|---|---|---|---|---|---|---|
| (i) Segment Revenue | ||||||
| Extrusion Machinery Division | 2,101.77 | 3,491.33 | 3,710.78 | 13,175.57 | 14,087.11 | |
| Injection Moulding Machinery | 11,564.80 | 5,680.01 | 4,564.86 | 25,284.42 | 18,764.71 | |
| CNC & VMC Machinery ## | 4,858.97 | 4,447.04 | 3,810.76 | 18,630.66 | 3,810.76 | |
| Total Segment Revenue | 18,525.54 | 13,618.38 | 12,086.40 | 57,090.65 | 36,662.58 | |
| (ii) Segment Results | ||||||
| Extrusion Machinery Division | 560.71 | 207.47 | (218.64) | 333.67 | 139.18 | |
| Injection Moulding Machinery | 1,442.71 | (132.50) | 311.76 | 1,493.28 | 1,114.55 | |
| CNC & VMC Machinery ## | (411.85) | 426.91 | 568.44 | 1,612.23 | 568.44 | |
| Total Segment Results | 1,591.57 | 501.88 | 661.56 | 3,439.18 | 1,822.17 | |
| Unallocated Corporate income net of unallocated expenses | (884.92) | (717.86) | (65.04) | (2,164.23) | (315.40) | |
| Profit / (Loss) before exceptional items, interest and taxation | 706.65 | (215.98) | 596.52 | 1,274.95 | 1,506.77 | |
| Finance cost | 224.51 | 72.38 | 172.98 | 509.79 | 514.78 | |
| Profit/(Loss) before exceptional items and tax | 482.14 | (288.36) | 423.54 | 765.16 | 991.99 | |
| Exceptional items | – | – | 33.47 | (895.93) | (736.34) | |
| Profit/(Loss) before tax | 482.14 | (288.36) | 457.01 | (130.77) | 255.65 | |
| Tax Expenses: | ||||||
| Current Tax | – | – | 21.44 | – | 120.19 | |
| Income tax exp for earlier years | 41.25 | 41.25 | 1,433.35 | 206.89 | 2,981.68 | |
| Deferred tax | 225.77 | (55.47) | (597.50) | 105.69 | (788.18) | |
| Net Profit/ (Loss) after tax | 215.12 | (274.14) | (400.28) | (443.35) | (2,058.04) | |
| Other Comprehensive Income | (22.03) | (61.52) | (6.88) | (59.60) | (50.43) | |
| Net Comprehensive Income | 193.09 | (335.66) | (407.16) | (502.95) | (2,108.47) | |
| (iii) Segment Assets | ||||||
| Extrusion Machinery Division | 36,689.72 | 31,349.02 | 22,174.18 | 36,689.72 | 22,174.18 | |
| Injection Moulding Machinery | 22,868.20 | 17,739.26 | 12,658.61 | 22,868.20 | 12,658.61 | |
| CNC & VMC Machinery ## | 8,148.36 | 7,481.89 | 7,243.69 | 8,148.36 | 7,243.69 | |
| Total Segment Assets | 67,706.28 | 56,570.17 | 42,076.48 | 67,706.28 | 42,076.48 | |
| Unallocated Corporate Assets | 19,608.06 | 15,984.35 | 26,807.33 | 19,608.06 | 26,807.33 | |
| Total Assets | 87,314.34 | 72,554.52 | 68,883.81 | 87,314.34 | 68,883.81 | |
| (iv) Segment Liabilities | ||||||
| Extrusion Machinery Division | 10,401.47 | 7,333.99 | 8,649.62 | 10,401.47 | 8,649.62 | |
| Injection Moulding Machinery | 9,715.90 | 7,855.70 | 5,082.95 | 9,715.90 | 5,082.95 | |
| CNC & VMC Machinery ## | 3,241.95 | 2,501.08 | 2,789.68 | 3,241.95 | 2,789.68 | |
| Total Segment Liabilities | 23,359.32 | 17,690.77 | 16,522.25 | 23,359.32 | 16,522.25 | |
| Unallocated Corporate Liabilities | 15,132.36 | 13,073.41 | 10,281.59 | 15,132.36 | 10,281.59 | |
| Total Liabilities | 38,491.68 | 30,764.18 | 26,803.84 | 38,491.68 | 26,803.84 |
| Particulars | As at March 31, 2026 (Audited) | As at March 31, 2025 (Audited) Restated* |
|---|---|---|
| Non-current assets | ||
| Property, Plant & Equipment (net) | 20,176.08 | 30,748.64 |
| ROU Asset | 633.93 | 2,582.27 |
| Capital Work in Progress | 1,605.06 | 2,091.12 |
| Intangible assets | 460.56 | 509.11 |
| Financial assets | ||
| – Investments | 4,200.05 | 0.05 |
| – Other financial assets | 32.10 | 0.40 |
| Income tax assets (net) | 472.20 | 466.92 |
| Other assets | 2,239.97 | 247.27 |
| Total Non-Current Assets | 29,819.95 | 36,645.78 |
| Current Assets | ||
| Inventories | 21,219.66 | 14,422.37 |
| Financial assets | ||
| – Trade receivables | 3,429.61 | 2,458.35 |
| – Cash and cash equivalents | 2,276.33 | 9,165.82 |
| – Bank balances other than Cash and cash equivalents | 861.73 | 213.24 |
| – Loans | – | 4,300.00 |
| – Other financial assets | 292.00 | 309.89 |
| Other assets | 3,561.70 | 1,368.36 |
| Total Current Assets | 31,641.03 | 32,238.03 |
| Assets held for sale (Refer note no. 13) | 25,853.36 | – |
| Total Assets | 87,314.34 | 68,883.81 |
| Equity and Liabilities | ||
| Equity | ||
| Equity share capital | 1,770.44 | 1,689.57 |
| Other equity | 47,052.22 | 40,390.40 |
| Total Equity | 48,822.66 | 42,079.97 |
| Liabilities | ||
| Non-Current Liabilities | ||
| Financial Liabilities | ||
| – Borrowings | 5,487.46 | 651.36 |
| – Lease liabilities | 404.46 | 2,280.82 |
| – Other non current financial liabilities | 1,886.00 | – |
| Deferred Tax Liabilities (Net) | 5,711.65 | 5,605.96 |
| Total Non-Current Liabilities | 13,489.57 | 8,538.14 |
| Current Liabilities | ||
| Financial Liabilities | ||
| – Borrowings | 2,467.32 | 353.15 |
| – Trade payables | ||
| A) Total outstanding dues of micro enterprises and small enterprises | 612.03 | 329.35 |
| B) Total outstanding dues of creditors other than micro and small enterprises | 13,035.88 | 7,989.02 |
| – Other financial liabilities | 676.93 | 500.99 |
| – Lease liabilities | 245.12 | 199.85 |
| Other liabilities | 4,841.39 | 4,442.09 |
| Provisions | 582.97 | 323.83 |
| Current tax Liabilities | 2,540.47 | 4,127.42 |
| Total Current Liabilities | 25,002.11 | 18,265.70 |
| Total Liabilities | 38,491.68 | 26,803.84 |
| Total Equity and Liabilities | 87,314.34 | 68,883.81 |
| Particulars | Year ended March 31, 2026 | Year ended March 31, 2025 |
|---|---|---|
| A. Cash flow from operating activities | ||
| Profit before tax as per statement of profit and loss | (130.77) | 255.65 |
| Depreciation and amortization expenses | 2,082.52 | 1,767.17 |
| Finance cost | 509.79 | 514.78 |
| Interest income | (115.95) | (23.26) |
| Net (profit)/loss on sale of fixed assets (net) | (104.13) | 4.33 |
| Provision for diminution in value of investment/ICD/Advances | – | 1,510.18 |
| Unrealised exchange difference | 23.25 | 58.06 |
| Sundry Balances written back (net) | – | (36.81) |
| Allowance for doubtful debts / debt written off | 9.19 | (3.43) |
| Remeasurement of the net defined benefit (liability) / asset | (59.60) | (51.79) |
| Operating profit before working capital changes | 2,214.30 | 3,994.88 |
| (Increase)/Decrease in trade and other receivables | (1,003.70) | (50.33) |
| (Increase)/Decrease in Other receivables | (1,353.91) | (1,746.22) |
| (Increase)/Decrease in inventories | (6,797.29) | (5,854.53) |
| Increase/(Decrease) |
