Bajaj Finance Ltd

NSE :BAJFINANCE   BSE :500034  Sector : Finance
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20 Dec
6848.25
(-1.02%)
19 Dec
6918.55
(-2.20%)
18 Dec
7074.45
(-1.10%)
17 Dec
7152.80
(-0.77%)
16 Dec
7208.40
(0.36%)
13 Dec
7182.80
(0.80%)
12 Dec
7125.80
(0.15%)
11 Dec
7115.10
(2.58%)
10 Dec
6936.20
(0.99%)
09 Dec
6868.35
(0.26%)
06 Dec
6850.30
(-0.00%)
05 Dec
6850.40
(1.64%)
04 Dec
6740.00
(0.97%)
03 Dec
6675.45
(0.37%)
02 Dec
6650.65
(1.14%)
29 Nov
6575.90
(1.02%)
28 Nov
6509.40
(-2.92%)
27 Nov
6705.20
(1.32%)
26 Nov
6617.95
(-1.01%)
25 Nov
6685.40
(0.02%)
22 Nov
6683.95
(3.38%)


Technical Analysis

Short Term Investors

Neutral

Medium Term Investors

Very Bearish

Long Term Investors

Very Bearish

Moving Averages

5 DMA
Bearish

7036.21


10 DMA
Bearish

7041.06


20 DMA
Bearish

6863.55


50 DMA
Bearish

6868.35


100 DMA
Bearish

6992.47


200 DMA
Bearish

6955.71



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On Dec 20, 2024 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 7199.24 7111.62 6908.56 - -
R2 7111.62 7027.85 6888.46 7100.6 -
R1 6979.94 6976.09 6868.35 6957.9 7045.78
P 6892.32 6892.32 6892.32 6881.3 6925.24
S1 6760.64 6808.55 6828.15 6738.6 6826.48
S2 6673.02 6756.79 6808.05 6662 -
S3 6541.34 6673.02 6787.94 - -

Key Metrics

EPS

219.85

P/E

31.1

P/B

5.34

Dividend Yield

0.53%

Market Cap

4,23,904 Cr.

Face Value

2

Book Value

1279.65

ROE

22.05%

EBITDA Growth

11,759.84 Cr.

Debt/Equity

3.89

Shareholding Pattern

  54.7% Total Promoter Holding
9.5% Mutual Fund Holdings
17.73% FIIs
9.35% Non Institution
4.32% Insurance Companies
0.05% Custodians
4.35% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Bajaj Finance Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 13384.23 14168.54 14934.99 16104.83 17098.86
PROFIT 3550.8 3638.95 3824.53 3911.98 3999.73
EPS 58.67 59.42 61.91 63.28 64.66

Bajaj Finance Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 11409.98 12104.53 12764.43 13725.74 17035.9
PROFIT 3105.75 3177.39 3401.91 3401.54 3627.55
EPS 51.32 51.89 55.07 55.03 90.76

Profit & Loss (Figures in Rs. Crores)


Bajaj Finance Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 5418.28 7333.56 9992.19 12756.84 18500.18 26385.64 26683.05 31648.05 41419.93 54990.15
PROFIT 898.04 1278.78 1836.54 2496.6 3992.8 5265.35 4424.77 7046.54 11517.57 14460.49
EPS 17.59 23.37 33.58 43.4 69.26 87.74 73.47 116.5 190.38 233.84

Bajaj Finance Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 5418.23 7333.38 9988.97 12649.66 17399.27 23834.15 23546.33 27879.12 35689.81 46945.98
PROFIT 898.02 1278.67 1836.23 2484.74 3887.99 4882.37 3960.16 6368.3 10299.12 12652.81
EPS 17.96 23.88 33.58 43.2 67.44 81.36 65.75 105.26 170.23 204.6

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 123.6120.89120.66120.32119.99115.37115.03109.3753.5550
Reserves Total 76,274.5454,251.0943,592.0336,798.0932,207.6419,581.6515,732.819,490.897,271.184,749.71
Equity Share Warrants297.210000000102.030
Total Shareholders Funds76,695.3554,371.9843,712.6936,918.4132,327.6319,697.0215,847.849,600.267,426.764,799.71
Secured Loans1,96,513.751,48,837.661,13,382.5388,448.5893,323.3435,723.9649,978.5436,467.8930,445.1222,534.33
Unsecured Loans96,832.0867,852.8351,84943,184.9636,483.0965,863.8916,578.6812,781.656,579.474,120.26
Total Loan Funds2,93,345.832,16,690.491,65,231.531,31,633.541,29,806.431,01,587.8566,557.2249,249.5437,024.5926,654.59
Other Liabilities000000230.731,570.49690.34287.85
Total Liabilities3,70,041.182,71,062.472,08,944.221,68,551.951,62,134.061,21,284.8782,635.7960,420.2945,141.6931,742.15
APPLICATION OF FUNDS :
Loan / Non-Current Assets 3,26,293.322,42,268.931,91,423.251,46,686.871,41,376.051,12,512.8279,102.532,028.1524,778.5518,119.67
Gross Block 5,233.533,797.362,863.852,278.092,032.051,133.27788.99592.29425.85346.88
Less: Accumulated Depreciation1,983.631,489.741,147.55962.39711.06438.43318.73226.28135.5894.43
Net Block3,249.92,307.621,716.31,315.71,320.99694.84470.26366.01290.27252.45
Capital Work in Progress43.4679.8434.1451.06000000
Investments 30,880.6522,751.8412,245.5418,396.9117,543.98,599.033,139.434,069.511,029.1326.29
Sundry Debtors 1,733.491,299.721,265.891,096.86952.56808.7585.21000
Cash and Bank Balance10,624.014,304.523,680.32,164.321,382.72348.71339.66326.091,330.85229.83
Loans and Advances 1,899.361,276.751,189.33812.78964.78599.38336.6726,511.7819,164.4213,549.19
Total Current Assets14,256.866,880.996,135.524,073.963,300.061,756.791,261.5426,837.8720,495.2713,779.02
Current Liabilities 5,169.913,756.553,294.682,600.592,116.92,851.382,074.023,100.91,189.63870.39
Provisions 530.53407.29266.96317.86140.1796.2688.46209.32641.75167.23
Total Current Liabilities & Provisions5,700.444,163.843,561.642,918.452,257.072,947.642,162.483,310.221,831.381,037.62
Net Current Assets8,556.422,717.152,573.881,155.511,042.99-1,190.85-900.9423,527.6518,663.8912,741.4
Deferred Tax Assets1,121.971,085.611,050.21,037.51909.78686.62767.45388.45295.36225.01
Deferred Tax Liability104.54148.5299.0991.6159.6517.59019.3815.3212.73
Net Deferred Tax1,017.43937.09951.11945.9850.13669.03767.45369.07280.04212.28
Other Assets00000057.0959.999.8490.06
Total Assets3,70,041.182,71,062.472,08,944.221,68,551.951,62,134.061,21,284.8782,635.7960,420.2945,141.6931,742.15
Contingent Liabilities3,092.793,143.192,924.142,212.92,256.081,629.311,327.591,222.1189.9943.48
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 123.6120.89120.66120.32119.99115.37115.03109.3753.5550
Reserves Total 71,589.7251,372.2441,935.2235,818.4231,693.2219,448.2615,702.189,490.947,271.064,749.7
Equity Share Warrants297.210000000102.030
Total Shareholders Funds72,010.5351,493.1342,055.8835,938.7431,813.2119,563.6315,817.219,600.317,426.644,799.7
Secured Loans1,31,408.3496,706.5777,158.6860,136.1469,427.1731,419.0727,381.336,467.8930,445.1222,534.33
Unsecured Loans88,970.3164,978.0645,881.1839,717.8634,778.8254,932.6536,248.0312,781.766,579.584,120.37
Total Loan Funds2,20,378.651,61,684.631,23,039.8699,8541,04,205.9986,351.7263,629.3349,249.6537,024.726,654.7
Other Liabilities000000223.671,570.49690.34287.85
Total Liabilities2,92,389.182,13,177.761,65,095.741,35,792.741,36,019.21,05,915.3579,670.2160,420.4545,141.6831,742.25
APPLICATION OF FUNDS :
Loan / Non-Current Assets 2,43,334.431,79,097.121,44,276.251,13,089.941,13,417.0895,181.2675,532.8832,028.124,778.5518,119.67
Gross Block 4,882.483,521.982,668.812,138.131,908.761,085.17782.38586.51422.58343.61
Less: Accumulated Depreciation 1,822.551,375.071,070.37910.93680.62430.84317.72225.38135.5894.43
Net Block3,059.932,146.911,598.441,227.21,228.14654.33464.66361.13287249.18
Capital Work in Progress42.5979.5332.6851.06000000
Investments 37,153.3628,737.8516,371.8220,169.1220,138.9810,370.413,653.464,074.71,034.07332.29
Sundry Debtors 1,244.891,070.211,017.11709.72867.18805.38585.21000
Cash and Bank Balance9,432.263,319.462,900.731,373.9679.36241.69228.82325.81,329.15228.62
Loans and Advances 1,420.281,154.67911.15743.4825.22585.97332.7126,511.7819,164.3913,549.15
Total Current Assets12,097.435,544.344,828.992,827.022,371.761,633.041,146.7426,837.5820,493.5413,777.77
Current Liabilities 3,757.332,969.772,679.272,181.471,853.42,493.271,858.643,100.671,189.56870.31
Provisions 467.94377.22241.57309.34130.9791.2586.58209.32641.75167.23
Total Current Liabilities & Provisions4,225.273,346.992,920.842,490.811,984.372,584.521,945.223,309.991,831.311,037.54
Net Current Assets7,872.162,197.351,908.15336.21387.39-951.48-798.4823,527.5918,662.2312,740.23
Deferred Tax Assets998.83964.98939.06956.09884.31675.73777.93388.45295.36225.01
Deferred Tax Liability72.1245.9830.6636.8836.714.914.9519.3815.3212.73
Net Deferred Tax926.71919908.4919.21847.61660.83762.98369.07280.04212.28
Other Assets00000054.7159.8699.7988.6
Total Assets2,92,389.182,13,177.761,65,095.741,35,792.741,36,019.21,05,915.3579,670.2160,420.4545,141.6831,742.25
Contingent Liabilities3,088.063,139.72,919.912,211.052,255.291,629.261,327.591,222.1189.9943.48

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...19,309.57
Depreciation683.32
Interest (Net)-772.42
P/L on Sales of Assets12.54
Prov. and W/O (Net)4,630.7
Others262.66
Total Adjustments (PBT and Ext...4,532.75
Operating Profit before Workin...23,842.32
Trade and 0ther Receivables-457.54
Trade Payables737.17
Loans and Advances-88,187.48
Investments-24.86
Total Adjustments (OP before W...-91,504.47
Cash Generated from/(used in) ...-67,662.15
Direct Taxes Paid-5,097.99
Total Adjustments(Cash Generat...-5,097.99
Cash Flow before Extraordinary...-72,760.14
Net Cash from Operating Activi...-72,760.14
Purchased of Fixed Assets-1,037.78
Sale of Fixed Assets38.89
Purchase of Investments-1,41,295.15
Sale of Investments1,34,446.34
Interest Received943.99
Investment in Group Cos.-267.47
Net Cash used in Investing Act...-7,171.18
Proceeds from Issue of shares ...9,067.17
Proceed from 0ther Long Term B...72,666.31
Proceed from Short Tem Borrowi...22,023.5
Proceed from Deposits14,759.93
Of the Long Tem Borrowings-34,375.91
Of Financial Liabilities-174
Dividend Paid-1,814.58
Net Cash used in Financing Act...82,415.08
Net Profit before Tax and Extr...17,053.08
Depreciation629.13
Interest (Net)-631.22
P/L on Sales of Assets11.76
Prov. and W/O (Net)4,572.19
Others262.67
Total Adjustments (PBT and Ext...4,706.2
Operating Profit before Workin...21,759.28
Trade and 0ther Receivables-193.89
Trade Payables159.67
Loans and Advances-68,567.63
Total Adjustments (OP before W...-71,542.09
Cash Generated from/(used in) ...-49,782.81
Direct Taxes Paid-4,554.88
Total Adjustments(Cash Generat...-4,554.88
Cash Flow before Extraordinary...-54,337.69
Net Cash from Operating Activi...-54,337.69
Purchased of Fixed Assets-982.38
Sale of Fixed Assets35.51
Purchase of Investments-96,337.96
Sale of Investments89,181.3
Interest Received808.13
Invest.In Subsidiaires-200
Investment in Group Cos.-267.47
Net Cash used in Investing Act...-7,762.87
Proceeds from Issue of shares ...9,097.74
Proceed from 0ther Long Term B...48,834.19
Proceed from Short Tem Borrowi...16,355.94
Proceed from Deposits14,751.88
Of the Long Tem Borrowings-22,558.04
Of Financial Liabilities-155.44
Dividend Paid-1,814.58
Net Cash used in Financing Act...64,774.36

Company Details

Registered Office
AddressMumbai-Pune Road,
Akurdi
CityPune
StateMaharashtra
Pin Code411035
Tel. No.91-20-30405060/71576403
Fax. No.91-20-30405020/30/71576364
Emailinvestor.service@bajajfinserv.in
Internethttp://www.aboutbajajfinserv.com/finance-about-us
Registrars
AddressMumbai-Pune Road
CityPune
StateMaharashtra
Pin Code411035
Tel. No.91-20-30405060/71576403
Fax. No.91-20-30405020/30/71576364
Emailinvestor.service@bajajfinserv.in
Internethttp://www.aboutbajajfinserv.com/finance-about-us
Management
Name Designation
Rajiv BajajNon Executive Director
Sanjiv BajajChairman (Non-Executive)
Rajeev JainManaging Director
Vijay RCompany Sec. & Compli. Officer
Naushad ForbesIndependent Director
Anami RoyIndependent Director
Pramit JhaveriIndependent Director
Radhika HaribhaktiIndependent Director
Anup SahaDeputy Managing Director
Arindam BhattacharyaIndependent Director
Tarun BajajIndependent Director