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BAJAJ FINANCE

BAJAJ FINANCE Latest Share Price (BAJFINANCE)

TechnicalsTV Chart
₹948.30
11.10−1.16%
Overall Score39/100
Day range937
₹948.30
956
52-week788
₹948.30
1,176
Above low+20.4%
Below high19.4%
Range position41%
Open953.90
Prev Close959.40
Bid948.252.3K
Ask948.351.4K

TODAY IN ONE LINE

BAJFINANCE fell 1.2% on light volume, in line with Nifty's -0.9% move, supported by recent strong earnings.

With a market cap of ₹5.91 L Cr., it trades at a P/E of 29.47. Track live valuations, technical indicators, and peers comparison below. Check delivery conviction and recent filings to build your view.

Volume5.7M−10%vs 20D avg
Price BandNo Band
Lower Band883.8
Upper Band1,080.2
Tick Size0.10
Daily Volatility1.89%
Annualised Vol36.11%
Market Cap₹5.91 L Cr.
PromoterNot applicable
Face Value₹1
Fwd P/E19.74
PEG1.04
EV/EBITDA20.89
P/S12.64
ROA3.77%
Beta1.26
Div Payout38.02%
THE STOCK SCORE
Overall Score39/100
Updated 02 Oct

How good is this company?

Overall performance across 5 key dimensions.

Each card tappable → shows formula + inputs
FLAGS & NEWS

BAJAJ FINANCE flags & news 

Key strengths, potential risks, and recent updates.

✅ 5 green flags🚩 3 red flags

Green Flags

  • ●Earnings GrowthEPS (TTM) grew by a solid 21.4% YoY
  • ●Consistent GrowthEPS compounded at 32.1% over 3 years
  • ●Quarterly OutperformanceLatest quarter Sales up 17.0% and Profit up 13.8%
  • ●Strong Return on EquityHealthy ROE of 17.3%
  • ●Healthy Operating MarginsOPM is structurally strong at 64.5%

Red Flags

  • ●FII SellingFII holding decreased by 1.12% QoQ
  • ●Rising Receivables vs SalesReceivables grew 72.3% outpacing sales growth of 26.8%
  • ●Promoter Pledging DetectedPledge activity recorded on 2026-05-14

Latest BAJAJ FINANCE News

THE CHANGELOG

What changed recently?

Recent events, corporate actions, and announcements.

No recent changes found for this period.
🔒Prime: full history + alerts on this stock
Valuation

BAJAJ FINANCE valuation: P/E, P/B and sector benchmarks.

Twelve years of multiples investors have paid for BAJAJ FINANCE, framed against the sector median so the premium or discount is obvious at a glance.

BAJAJ FINANCE trades at a P/E of 29.47× and P/B of 5.25×, against the Financial Services sector median P/E of 15.05×.

Key MetricsMarket + reported · 01 Oct 2026Consolidated

Market-priced ratios use the latest available quote; accounting metrics use the latest reported filing. Compare values with matched peers and the company's own history.

Valuation

Valuation

Market Cap
₹5.91 L Cr.
P/E Ratio
29.47
P/B Ratio
5.25
EPS
₹9.61
Profitability

Profitability

ROE
17.26%
ROCE
15.45%
Net Margin
37.88%
Op Margin
64.55%
Growth

Growth

EPS YoY
21.4%
Revenue YoY
26.8%
Qtr Sales
16.98%
Qtr Profit
13.75%
Financial Health

Financial Health

Book Value
₹187.9
Div Yield
0.63%
Promoter Holding
Not applicable

BAJAJ FINANCE technical analysis: indicators, pivots and CPR.

Latest RSI, MACD and moving-average signals plus the latest pivot and Central Pivot Range levels for BAJAJ FINANCE — derived from the latest tape, not yesterday's close.

BAJAJ FINANCE last traded at ₹948.3 with an intraday range of ₹937.3–₹955.95 — latest indicator, pivot and CPR signals below.

Last updated: 4 October 2026, 4:08 pm IST

Pivot points

Standard pivot — most widely referenced.

Pivot levels · Classic

Last: ₹948.30
LevelPrice (₹)Distance% Δ
R4994.37+46.07+4.86%
R3975.72+27.42+2.89%
R2965.83+17.53+1.85%
R1957.07+8.77+0.92%
PIVOT947.18-1.12-0.12%
CURRENT948.30——
S1938.42-9.88-1.04%
S2928.53-19.77-2.08%
S3919.77-28.53-3.01%
S4901.12-47.18-4.98%
CPR Levels
Support
Resistance
S4
S3
S2
S1
| CPR |
BC: 946.63P: 947.18TC: 947.74
R1
R2
R3
R4
indicator
LTP: 948.30
PDH: 981.50
PDL: 955.80
● Market Sentiment

BAJFINANCE is trading Above CPR, indicating Bullishness

● CPR Width

CPR is Narrower, suggesting likely for trending moves

● Opening Range

Day's range: ₹947.7–₹955.95

● Price Position

Trading Below opening range, showing Bearishness

BAJAJ FINANCE financials: P&L, balance sheet, cash flow, ratios.

Reported annual and quarterly results for BAJAJ FINANCE — consolidated or standalone — with margins, YoY growth and key ratios inline.

BAJAJ FINANCE reports its full P&L, balance sheet, cash flow and ratios on this page — current market capitalisation of ₹5.91 L Cr. and reported EPS of ₹9.61.

iTap any row for a plain-English meaning▲▼Change vs a year ago — green means the move is healthy for that line, red means it isn’tDerivedCalculated by us, not reported directly
Mobile view
Latest vs previous year
MetricMar 2025Mar 2026
Interest Earned61,164
72,776
▲ 19.0%
41
7
▼ 82.7%
Total Income69,725
81,990
▲ 17.6%
Net Interest Income (NII)Derived61,164
72,776
▲ 19.0%
Profit Before Tax (PBT)22,062
25,800
▲ 16.9%
5,300
6,484
▲ 22.3%
Effective Tax %Derived24.02%
25.13%
Total Profit for Period16,779
19,332
▲ 15.2%
Less: Non-controlling Interests142
315
▲ 122.3%
Net Profit (Owner's PAT)Derived16,638
19,017
▲ 14.3%
PAT Growth YoY %Derived15.13%
14.30%
Earnings Per Share (EPS ₹)26.77
30.56
▲ 14.2%
Diluted Shares Outstanding (Cr)621
622
▲ 0.1%
Share of Profit from Associates/JVs18
16
▼ 7.6%
Other Comprehensive Income (Net of Tax)-67
-61
▲ 9.8%
Fees & Commission Expense2,598
3,658
▲ 40.8%
Impairment On Financial Instruments7,966
9,482
▲ 19.0%
Net Gain Fair Value Changes539
471
▼ 12.6%
Other Revenue From Operations1,971
965
▼ 51.0%
Revenue Sale Of Services27
16
▼ 42.1%
Sales CAGR · 3Y
+25.6%
Sales CAGR · 5Y
+25.2%
PAT CAGR · 3Y
+18.2%
PAT CAGR · 5Y
+33.9%
all values in ₹ Cr unless marked % / x / ₹ · fiscal-period end shown · reported figures via Stockezee financials API · annual results may be audited; quarterly results may be unaudited or limited-review
Segment Analysis

BAJAJ FINANCE segment analysis : revenue and profit mix.

Disclosed business segments at BAJAJ FINANCE with their share of revenue and profit, switchable between consolidated and standalone reporting.

BAJAJ FINANCE discloses revenue and profit across multiple business segments — toggle between consolidated and standalone views to see the mix.

Segment-wise Financial Analysis

Thesis

The Bull, Bear, and Flip case for BAJAJ FINANCE.

Our AI distills the core fundamental drivers supporting BAJAJ FINANCE, the risks that threaten it, and the quantitative conditions that could weaken the thesis.

BAJAJ FINANCE's investment case rests on 11 positive markers and 10 flagged concerns drawn from the latest reported filings.

bull case

What you're getting.

  • India's largest NBFC with ₹5.91 LCr market capitalization.

  • Operating margin of 64.55% demonstrates strong pricing power and operational efficiency.

  • ROE of 17.26% and ROCE of 15.45% are above peer median.

  • 5-year revenue CAGR of 22.58% and 5-year EPS CAGR of 32.10%.

  • Wide array of financial products across consumer, MSME, and corporate lending.

bear case

Key Risks.

  • Persistently negative operating cash flow at ₹-40,853.78 Cr in FY26.

  • Critically low current ratio of 0.24x indicates severe working capital stress and liquidity constraints.

  • FY26 net profit growth of 6.86% YoY lags behind revenue growth of 17.64%.

  • Latest quarterly sales declined -14.52% YoY, and quarterly profit declined -12.09% YoY.

  • FII holding eased from 23.90% to 20.81%, signaling foreign institutional investor caution.

flip conditions

Flip Conditions.

  • Valuation risk. a P/E above 38 (~2.5× the sector multiple of 15.1) would leave less room for earnings disappointment.

  • Reassess if Net Interest Margin (NIM) contracts for two consecutive quarters.

  • Watch for asset quality deterioration if Gross NPA trends upward.

  • Return-quality risk. ROE below 12% would indicate weaker capital compounding.

BAJAJ FINANCE shareholding pattern: promoters, FII, DII and public.

Quarter-on-quarter ownership shifts in BAJAJ FINANCE — who is buying, who is exiting, and which institutions hold the largest positions.

Shareholding Pattern

Annual • Jun 2026

DII16.40%↑1.22%
Promoters54.67%↓0.03%
FII20.21%↓1.12%
Public8.64%↓0.07%
Others0.08%

Ownership Distribution

Domestic Institutions
16.40%
Promoters
54.67%
Foreign Institutions
20.21%
Retail & Public
8.64%
Others
0.08%

Category Trends

Foreign Institutions Breakdown
Total Holding: 20.21%
Net Change: -1.12%
Category Total20.21%
Total Holding20.21%
Net Change-1.12%
Not Fully Disclosed

⚠️Partial Disclosure Notice

Individual institutions below total 1.36%, but category aggregate is 20.21%. Some institutions may not be disclosed by the company as per regulatory requirements.

Institution Name
Trend (Last 6)
Holding %
QoQ Change
YoY ChangePeriod
Government Of Singapore
1.36%
1.36%
+1.36%
Jun 2026
STEADVIEW CAPITAL MAURITIUS LIMITED
0.00%
0.00%
0.00%
Jun 2026
Smallcap World Fund, Inc
0.00%
0.00%
0.00%
Jun 2026
GOVERNMENT OF SINGAPORE - E
0.00%
2.12%
-2.12%
Jun 2026
Peers

BAJAJ FINANCE peer comparison — same-sector benchmarks.

Same-sector listed peers ranked on P/E, market cap, dividend yield and growth — BAJAJ FINANCE is highlighted for quick read-across.

Quick Compare

Largest by Market Cap
BAJAJ FINANCE
₹5.91 Lakh Cr
Best Profit Growth
DHUNSERI INVESTMENTS
1052.11 %
Highest Dividend Yield
CSL FINANCE
1.45 %
09 · Chart Patterns

BAJAJ FINANCE chart patterns: breakouts, tops and bottoms.

Auto-detected classical chart patterns for BAJAJ FINANCE — Double Top/Bottom, Head & Shoulders, Triple Bottom and more — with break levels, targets and quality scores across Intraday, Daily and Weekly timeframes.

Delivery Conviction

BAJAJ FINANCE delivery volume — last 20 sessions of conviction.

Daily traded volume and delivery percentage for BAJAJ FINANCE over 20 sessions — the gap between intraday flipping and genuine accumulation.

Latest session delivery in BAJAJ FINANCE stood at 59.4% of traded volume, against a 20-day average of 65.3%.

Avg Delivery (20D)65.3%-5.9 ppt latest vs avg
Highest Delivery75.9%on 18 Sept
Avg Volume (20D)63.10 L20-day run-rate
Conviction Trend↓ Weakening-5.9 ppt latest read
Volume & Delivery · last 20 sessions
Exchange Filings & Investor Updates

BAJAJ FINANCE announcements: results, concalls, ratings, M&A.

Filings BAJAJ FINANCE sent to the exchanges, sequenced as they hit the tape — concall transcripts, results, credit ratings and presentations.

BAJAJ FINANCE files concall transcripts, results, credit ratings and corporate-action notices on the NSE and BSE exchange portals — latest 210 documents below.

  1. 17 Sept 2026Analysts/Institutional Investor Meet/Con. Call UpdatesView PDF

    Analysts/Institutional Investor Meet/Con. Call Updates

    Bajaj Finance Limited has informed the Exchange about Schedule of meet

  2. 17 Sept 2026Analysts/Institutional Investor Meet/Con. Call UpdatesView PDF

    Analysts/Institutional Investor Meet/Con. Call Updates

    Bajaj Finance Limited has informed the Exchange about Schedule of meet

  3. 15 Sept 2026Analysts/Institutional Investor Meet/Con. Call UpdatesView PDF

    Analysts/Institutional Investor Meet/Con. Call Updates

    Bajaj Finance Limited has informed the Exchange about Schedule of meet

  4. 15 Sept 2026Analysts/Institutional Investor Meet/Con. Call UpdatesView PDF

    Analysts/Institutional Investor Meet/Con. Call Updates

    Bajaj Finance Limited has informed the Exchange about Schedule of meet

  5. 08 Sept 2026Allotment of SecuritiesView PDF

    Allotment of Securities

    Bajaj Finance Limited has informed the Exchange regarding allotment of 205000 Non Convertible Securities at its meeting held on September 08, 2026

BAJAJ FINANCE dividend history, splits and bonus issues.

Every dividend, stock split and bonus issue BAJAJ FINANCE has declared, sequenced by announce and record date.

BAJAJ FINANCE corporate-action history below covers all declared dividends, stock splits and bonus issues recorded with NSE and BSE.

Insider Activity

BAJAJ FINANCE insider trading: promoter and management activity.

Promoter, director and designated-employee transactions in BAJAJ FINANCE as reported to SEBI — buying and selling signals from the people who know the business best.

BAJAJ FINANCE insider activity below tracks 34 reported promoter, director and designated-employee transactions under SEBI Regulation 7(2).

InsiderCategoryTxn DateActionQuantityValue (₹)Price
-Insider28 Jun 2026sell−0——
-Insider21 Jun 2026sell−0——
-Insider14 Jun 2026sell−0——
-Insider08 Jun 2026sell−0——
-Insider05 Jun 2026sell−0——
-Insider03 Jun 2026sell−0——
BFL EMPLOYEE WELFARE TRUSTInsider07 Apr 2026buy+34.72 L₹127.83 Cr.₹368.14
BFL EMPLOYEE WELFARE TRUSTInsider07 Apr 2026buy+34.72 L₹127.83 Cr.₹368.14
BFL EMPLOYEE WELFARE TRUSTInsider07 Apr 2026buy+34.72 L₹127.83 Cr.₹368.14
BFL EMPLOYEE WELFARE TRUSTInsider07 Apr 2026buy+34.72 L₹127.83 Cr.₹368.14
About the Company

About BAJAJ FINANCE: business, sector, key facts.

What BAJAJ FINANCE does, where it operates, the people running it, and the numbers that describe the entity behind the ticker.

BAJAJ FINANCE operates in the Non Banking Financial Company (NBFC) industry under the Financial Services sector, listed as NSE: BAJFINANCE, BSE: 500034.

BAJFINANCE
Financial Services

BAJAJ FINANCE

NSE · BAJFINANCE·BSE · 500034·www.aboutbajajfinserv.com/finance-about-us

Bajaj Finance Limited (BFL) is a prominent non-banking financial company (NBFC) in India, operating primarily as a deposit-taking institution. Its core business revolves around providing a wide array of financial products and services to both individuals and businesses. The company holds a significant market share and plays a vital role in India's financial landscape.

A major portion of BFL's business focuses on consumer finance. This segment encompasses a diverse range of offerings, including loans for durable goods (like electronics and furniture), lifestyle products, and digital purchases. They also offer EMI (Equated Monthly Installment) cards, personal loans, two-wheeler and three-wheeler vehicle financing, loans against fixed deposits, home loans, and gold loans. Complementing these are extended warranties, retail EMIs, and co-branded credit cards and wallets in partnerships with various e-commerce platforms.

BFL's activities extend significantly to the corporate sector, particularly serving the Micro, Small, and Medium Enterprises (MSME) market. They provide both secured and unsecured loans to MSMEs, catering to their working capital and term loan needs. Further corporate offerings include loans against property, mutual funds, insurance policies, and shares. Other services in this segment include lease rental discounting, business and professional loans, developer finance, and financing for new and used cars and tractors. In addition, BFL engages in commercial and rural lending.

Beyond lending, Bajaj Finance also participates in the broader financial services market. This includes accepting public and corporate deposits, offering loans against securities, and providing a range of investment services. These investment services encompass demat (dematerialized) services for holding securities electronically, broking services for facilitating the buying and selling of securities, and margin trade financing for leveraged investing. The company further diversifies its revenue streams by distributing life, health, and general insurance products.

company facts
Employees—
SectorFinancial Services
HeadquartersPune, India
Market Cap₹5.91 L Cr.
Listed OnNSE
leadership49 on record
Dr. Arindam Bhattacharya
Independent Non-Executive Director
Dr. Gauri Chandratreya
Chief - Corporate Audit Services
Dr. Naushad Forbes
Independent Non-Executive Director
Mr. Ajay Sharda
Senior Executive Vice President - Debt Management Services
Mr. Amit Raghuvanshi
President - Sales Finance, Urban Two Wheeler and Cars
Mr. Amit Raghuvanshi
President of Cars, Two-Wheeler & Sales Finance
Mr. Anami Roy
Independent Non-Executive Director
Mr. Anand Bagri
Executive Vice President - Treasury
Mr. Anand Kumar
President - Microfinance
Mr. Anand Kumar
President of Microfinance
Mr. Anupam Sirbhaiya
Chief Human Resource Officer
Mr. Anup Saha
Deputy Managing Director, Executive Director

Go deeper on BAJAJ FINANCE

§ ∞ · Plainly Answered

Questions investors ask about BAJAJ FINANCE (BAJFINANCE).

Quick answers grounded in this page's data — price action, fundamentals, ratios and ownership.

01What is the current share price of BAJAJ FINANCE (BAJFINANCE)?

The current share price of BAJAJ FINANCE (BAJFINANCE) is ₹948.30. Today, the stock has declined by ₹11.10 (1.16%), trading in a range of ₹937.30 to ₹955.95. The stock opened at ₹953.90 with a trading volume of 56,98,769 shares.

02Is BAJAJ FINANCE stock a good investment for long-term?

BAJAJ FINANCE can be considered for long-term investment based on several factors. The company has a market capitalization of ₹5.91 L Cr., P/E ratio of 29.47, ROE of 17.26%, and ROCE of 15.45%. The dividend yield stands at 0.63%. However, investment decisions should be based on your financial goals, risk appetite, and thorough research. It's recommended to consult with a SEBI-registered financial advisor before making investment decisions.

03What is the 52-week high and low price of BAJAJ FINANCE stock?

The 52-week high price of BAJAJ FINANCE (BAJFINANCE) is ₹1,176.40, while the 52-week low is ₹787.90. Currently trading at ₹948.30, the stock is 20.36% above its 52-week low and 19.39% below its 52-week high. These levels help investors understand the stock's price volatility and trading range over the past year.

04Should I buy BAJAJ FINANCE stock at the current price?

Whether to buy BAJAJ FINANCE stock at ₹948.30 depends on multiple factors. The stock is currently trading with a P/E ratio of 29.47 and P/B ratio of 5.25. Today's performance shows a loss of 1.16%. Consider analyzing the company's fundamentals, technical indicators, industry trends, and your investment horizon. Compare these metrics with industry peers and consult a financial advisor for personalized advice.

05What is the dividend yield of BAJAJ FINANCE and when is the next dividend?

BAJAJ FINANCE offers a dividend yield of 0.63%, which means for every ₹100 invested at the current price of ₹948.30, you can expect to receive approximately ₹0.63 annually as dividends. The face value of the stock is ₹1.00. For information about the next dividend announcement and ex-dividend date, please check the company's official announcements or visit the BSE/NSE websites.

06What are the key financial ratios and metrics of BAJAJ FINANCE?

BAJAJ FINANCE's key financial metrics include: P/E Ratio: 29.47, P/B Ratio: 5.25, ROE: 17.26%, ROCE: 15.45%, Dividend Yield: 0.63%, EPS: ₹9.61, Book Value: ₹187.90, and Debt-to-Equity: 1.14. The company's market cap stands at ₹5.91 L Cr.. These metrics help evaluate the company's valuation, profitability, and financial health.

07How is BAJAJ FINANCE stock performing today in the market?

BAJAJ FINANCE stock opened at ₹953.90 and is currently trading at ₹948.30, showing a decline of ₹11.10 (1.16%). The intraday high is ₹955.95 and low is ₹937.30. The trading volume stands at 56,98,769 shares, indicating strong market participation today.

08What is the P/E ratio of BAJAJ FINANCE and what does it indicate?

BAJAJ FINANCE has a Price-to-Earnings (P/E) ratio of 29.47, which means investors are willing to pay 29.47 for every ₹1 of earnings. With an EPS of ₹9.61, this P/E ratio suggests the stock may be trading at a premium, possibly due to high growth expectations. Compare this with industry peers and historical P/E ratios for better context.

Disclaimer

The data, ratios and commentary about BAJAJ FINANCE (BAJFINANCE) on this page are published for educational and informational purposes only and are not investment, legal or tax advice. StockeZee is not a SEBI-registered investment adviser, research analyst or portfolio manager, and no content here should be construed as a recommendation to buy, hold or sell any security. Live and historical market data may be delayed, revised by the exchanges, or contain errors; figures sourced from third-party feeds and corporate disclosures may not always be current. Past performance is not indicative of future results, and equity investments carry the risk of capital loss. Before acting on anything you read here, please consult a SEBI-registered financial advisor and read all scheme-related documents carefully.