IPOpulse
Back to Ticker

Bajaj Finserv Limited

NSE: BAJAJFINSV
Financial Services Holding Company
₹1,674.6
-1.68%EOD · 8 Jun

The holding company of the Bajaj Group's financial services businesses: Bajaj Finance, Bajaj Allianz Life Insurance, and Bajaj Allianz General Insurance.

Market Cap
₹2.68 L Cr
52W Range
₹2195 / ₹1597
Volume
757K
55.5% delivery
1Y Return
-18.5%
P/E Ratio
27.9
P/B Ratio
3.5
ROE
14.6%
Debt / Equity
256.36

Peers in Financial Services

Top 8 by market cap
CompanyLTP30DMarket CapP/EP/BROE %Div Yld %
Bajaj Finserv Limited(this stock)₹1,674.6₹2.68 L Cr27.93.514.6%0.08%
Bajaj Finance LimitedBAJFINANCE₹871.1₹5.42 L Cr29.14.817.9%0.61%
Shriram Finance LimitedSHRIRAMFIN₹896.65₹2.11 L Cr17.32.616.4%1.49%
ICICI Prudential Asset Management Company LimitedICICIAMC₹3,233.5₹1.60 L Cr48.838.585.8%0.76%
Jio Financial Services LimitedJIOFIN₹228.86₹1.51 L Cr97.91.11.2%0.21%
Power Finance Corporation LimitedPFC₹428.4₹1.41 L Cr5.51.120.5%3.38%
Tata Capital LimitedTATACAP₹312.55₹1.32 L Cr26.83.512.0%
Union Bank of IndiaUNIONBANK₹165.18₹1.26 L Cr6.61.015.7%2.99%
Cholamandalam Investment and Finance Company LimitedCHOLAFIN₹1,456₹1.24 L Cr24.34.219.3%0.09%

Technical Indicators

Full analysis · objective math, not advice
Returns
1D
-1.7%
1W
-3.8%
1M
-3.8%
3M
-6.5%
6M
-18.1%
1Y
-18.5%
Weinstein Stage
Stage 4 — Declining (downtrend)
RSI (14)
26 Oversold
Trend Template
1/7weak
Moving Averages (price vs MA)
20-DMA
₹1755
below
50-DMA
₹1772
below
150-DMA
₹1896
below
200-DMA
₹1939
below
From 52W High
-23.7%
From 52W Low
+4.9%
Support (20D)
1662
Resistance (20D)
1818

Technical indicators are objective calculations from historical EOD prices (RSI, moving averages, Weinstein stage, Minervini trend-template, relative strength). For educational reference only — not a buy/sell recommendation.

Quality Signals

Multi-year consistency · Source: Screener annual data
ROE Consistency
0/0 years ≥15%
Revenue Growth
+22.9% CAGR
Up 8 of last 11 years
Earnings Quality
Fully cash-backed
OCF / Net Profit = 1.12x · 12/12 yrs +ve cash flow

Quality signals derived from multi-year annual financials. ROE consistency = years with ≥15% return on equity. Cash-backed = operating cash flow vs reported net profit (≥1x means earnings are converted to real cash, not just accruals). Educational reference only — not investment advice.

Community discussion(0)

Sign in to join the discussion.

Sign in

No comments yet — be the first to share your view.