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Bajaj Finserv Ltd. Share Price & Valuation

Multi-agent institutional equity analysis for Bajaj Finserv Ltd. (BAJAJFINSV.NS). Live NSE exchange valuation multiples in INR (₹), 52-week support/resistance positioning, consensus target prices, and multi-agent AI committee verdict.

₹1,734.70+26.7 (1.56%)
NSE: BAJAJFINSV•Prev Close: ₹1,708.00•Sector: Financial Services
52W Low: ₹1,597+8.62% Above Low
52W High: ₹2,195-20.97% From Peak
🎯 Support Floor Accumulation ZoneCMP: ₹1734.7052-Week Peak Resistance

Market Trading Band & Circuit Limits

Real-time intraday bandwidth, statutory price bands, and official exchange identifiers for Bajaj Finserv Ltd.

NSE: BAJAJFINSVBSE: 500000
Today's Trading RangeIntraday Spread: ₹39.50
₹1734.70
Today's Low₹1711.50
Today's High₹1751.00
52-Week High / Low BandAnnual Range: ₹598.00
₹1734.70
52-Week Low₹1597.00
52-Week High₹2195.00
Lower Circuit (-10%)₹1559.70Statutory floor limit
Upper Circuit (+10%)₹1906.30Statutory ceiling limit
Traded Volume94,480Avg: 10,76,448
Delivery Ratio58.4%High conviction settlement
Par Value / Lot₹1.00 / 1Group: A / LargeCap
ISIN CodeINE000000000Global security identifier

Institutional AI Investment Checklist

8-factor multi-dimensional investment matrix screening fundamentals, technical trends, and institutional consensus for Bajaj Finserv Ltd. (BAJAJFINSV).

Institutional Grade A
AGRADE
Checklist Score
5 / 8 Passed
Moderate Investment Grade • 62.5% Alignment
Setup Verdict:Balanced investment profile with moderate risk-adjusted upside.
Passing: 5 FactorsNeeds Review: 3 FactorsBenchmark: Tier-1 Institutional

Valuation Moat & Multiple Margin

Passed
Current Metric
27.7x Trailing P/E
Threshold
P/E < 40x or Forward Multiple Discount

Equity trades within acceptable institutional multiples with defensive valuation support.

Fundamental FactorMeets institutional criteria

Earnings Projection & Growth Run-rate

Passed
Current Metric
Forward P/E 18.3x
Threshold
Forward EPS Expansion vs Trailing

Forward profit compounding trajectory supports enterprise cash flow yields.

Fundamental FactorMeets institutional criteria

Balance Sheet Solvency & Low Volatility

Passed
Current Metric
Beta 0.37 • Moat Leader
Threshold
Beta < 1.35 & Strong Solvency

Demonstrates capital buffer, resilient solvency ratios, and disciplined leverage metrics.

Fundamental FactorMeets institutional criteria

Structural Moving Average Alignment

Under Pressure
Current Metric
Sub-200-DMA
Threshold
CMP >= 50-DMA or 200-DMA

Price is undergoing corrective distribution beneath key long-term trendlines.

Technical FactorNeeds monitoring

Momentum Corridor (RSI 14)

Deeply Oversold
Current Metric
RSI 20.6
Threshold
28 <= RSI <= 72 (Active Band)

Asset is deeply oversold; potential contrarian reversal zone.

Technical FactorNeeds monitoring

Institutional Volume & Absorption

Low Volume
Current Metric
11% of 5D Avg
Threshold
Volume Ratio >= 75% Rolling Average

Trading volume is subdued; awaiting institutional expansion.

Technical FactorNeeds monitoring

Street Consensus & Price Targets

Passed
Current Metric
+36.6% Upside (Buy)
Threshold
Upside >= +8% or Buy Rating

Institutional research coverage maintains a constructive target price revision profile.

Institutional FactorMeets institutional criteria

News Flow & Qualitative Catalysts

Passed
Current Metric
56/100 Score (25% Bullish)
Threshold
Sentiment >= 38/100 or Net Positive

Corporate developments and sector headlines present net positive tailwinds.

Sentiment FactorMeets institutional criteria

Quantitative Technical Matrix (MACD, Bollinger & ATR)

Institutional algorithmic indicators calculated directly from daily close, high, and low price series for Bajaj Finserv Ltd..

14/20/26 Period Model

MACD (12, 26, 9)

Moving Average Convergence Divergence

Neutral Momentum

MACD line converging near Signal line without clear directional divergence.

MACD Line
-35.93
Signal Line
-24.78
Histogram
-11.15
RSI (14-Day): 20.6Trend: Bearish

Bollinger Bands (20, 2σ)

Volatility Envelope & Mean Reversion

Normal Trading Range

Price fluctuating comfortably within the 2-standard-deviation trading corridor.

Upper (+2σ)
₹1,946.85
20-SMA Basis
₹1,807.57
Lower (-2σ)
₹1,668.28
%B Corridor Position:24.0%
Bandwidth: 15.41%CMP: ₹1,734.70

ATR (14-Day) Volatility

Average True Range & Risk Sizing

₹34.13(1.97% of CMP)
Grade: Moderate Volatility

Expected daily swing range is ₹34.13. Use 1.5× ATR for swing target sizing and 2× ATR for stop protection.

2× ATR Stop Loss
₹1,666.44
-3.9% cut
1.5× ATR Target 1
₹1,785.90
+3.0% gain
200-DMA: ₹1,881.1550-DMA: ₹1,928.61
Institutional Daily Pivot Support & Resistance
Calculated from previous day high, low & close
R2 Resistance
₹1,771.90
R1 Resistance
₹1,753.30
Central Pivot (P)
₹1,732.40
S1 Support
₹1,713.80
S2 Support
₹1,692.90

Institutional Position Sizing & Risk Calculator

Fixed fractional mathematical risk engine to calculate exact trade allocation, stop loss limit, and risk-to-reward ratio for Bajaj Finserv Ltd..

₹500,000
1% (₹5,000 max loss)
0.25% (Conservative)1.0% (Standard Institutional)2.0% (Aggressive)3.0% (Max)
CMP: ₹1,734.7
-3.9% cut
+36.5% gain
Position RecommendationR:R Ratio 1:9.26
Optimal Position Size
73Shares
Capital Required
₹126,633.1
25.3% of portfolio
Capped Loss
₹4,982.98
Exactly 1% of account
Target Profit Projection:+₹46,157.9

Balanced allocation: This trade consumes 25.3% of total capital, remaining safely within institutional single-position limits.

Top Valuation & Financial Ratios

Official key metrics and capital efficiency scorecard for Bajaj Finserv Ltd.

100% Genuine Exchange Feed
Market Cap
₹2,77,322.4 Cr
Total equity valuation on NSE
Current Price
₹1,734.70
Live NSE market quote
High / Low
₹2,195 / ₹1,597
52-Week trading channel
Stock P/E
27.7x
Trailing price-to-earnings
Book Value
₹487.40
Net asset value per equity share
Dividend Yield
7.00%
Annual cash distribution yield
ROCE
17.1%
Return on Capital Employed
ROE
16.8%
Return on Equity
Face Value
₹1.00
Nominal par value

Institutional Analyst Consensus & 1-Year Price Target

Aggregated institutional price forecasts and rating distribution across 13 Dalal Street & global research brokerages

Consensus: None (85% Bullish)

Brokerage Recommendations (13 Analysts)

11 Positive Calls
Strong Buy2
Buy9
Hold0
Sell2
Strong Sell0
12-Month Consensus Price Target

₹2367.00+36.6% Upside

Current Price (CMP)₹1734.70
CMP: ₹1735
Target: ₹2367
Downside Low Target₹1710.00-1.4%
Consensus Mean Target₹2367.00+36.6% potential
Bullish High Target₹2640.00++52.2%

Machine-Generated Pros & Cons

Automated checklist highlighting key fundamental strengths and investment risks for Bajaj Finserv Ltd.

Algorithmic Audit

Fundamental Pros

4 Highlights
  • Company has delivered strong profit growth of 18.0% CAGR over last 5 years.
  • Solid top-line expansion with compounded sales growth of 14.0% over the past 5 years.
  • Company maintains a consistent shareholder yield with current dividend yield of 7.0%.
  • Robust Return on Capital Employed (ROCE) of 17.1% reflecting operational efficiency.

Fundamental Cons

1 Watchpoints
  • Vulnerable to broader macro rate cycles and input cost inflation across key business lines.
*The pros and cons are machine-generated using quantitative balance sheet filters to highlight noteworthy capital allocations. Please exercise caution and perform holistic risk management.

Autonomous AI Investment CommitteeMulti-Agent Consensus

Independent 4-analyst synthesis, adversarial bull/bear debate, and committee conviction decision for Bajaj Finserv Ltd. (BAJAJFINSV).

Strong Conviction Buy
Conviction Score9.1 / 10
Fundamental Analyst
Bullish

Normalized ROIC of 17.1% delivers a positive 5.9% spread above WACC (11.2%). Owner earnings yield of 3.32% provides durable fundamental backing.

ROIC: 17.1% | Owner Earnings Yield: 3.32% | P/E: 27.71x
Technical Analyst
Bullish

Daily RSI (20.65) has reached deep oversold stabilization near 52-week low support (₹1597). Mean-reversion risk-reward is heavily tilted to upside.

RSI(14): 20.65 | 50 DMA: ₹1928.61 | 200 DMA: ₹1881.15
Sentiment Analyst
Bullish

Wall Street and Dalal Street consensus maintains +36.58% projected upside with 13 tracked institutional analysts providing coverage.

Consensus Upside: +36.58% | Sentiment Index: +72
Risk Management Officer
Acceptable

Systematic market beta is measured at 0.37. Downside tail risk is bounded by major multi-month demand floors with an asymmetric reward-to-risk ratio.

Beta: 0.37 | Maximum Drawdown Guardrail: -8.5%

Adversarial Bull vs. Bear Committee Debate

Bull Case Pillars (Catalyst Arguments)
  • Economic Moat rating of "Wide Moat" with 85/100 structural moat score insulating pricing power.
  • Favorable Margin of Safety (-111.9%) relative to Buffett-Munger intrinsic DCF valuation.
  • Institutional Smart Money flow shows strong institutional accumulation with 65.2% delivery ratio.
Bear Case Scrutiny (Downside Risks)
  • Cyclical macro sensitivity to interest rates and global energy/commodity volatility.
  • Short-term overhead supply resistance around 50-day moving average (₹1928.61).
  • Capital expenditure execution risk and potential lag in intermediate cash conversion cycle.
Portfolio Manager Committee Executive Order

"Consensus approval reached with a conviction score of 9.1/10. Committee authorizes "Strong Conviction Buy" stance with staggered entry sizing across key support tranches."

12-Month Valuation Scenarios & Target Simulator

Goldman Sachs-style Bull / Base / Bear probability distribution and expected return analysis for BAJAJFINSV.

Bull Case Scenario25% Weight
₹2,640
+52.2% Potential Upside

Accelerated earnings expansion, multiple re-rating toward historical peak, and sector tailwinds.

Base Case Consensus50% Weight
₹2,367
+36.5% Expected Gain

Consensus projection based on normalized revenue growth and steady EBITDA margin delivery.

Bear Case Stress-Test25% Weight
₹1,710
-1.4% Downside Risk

Macro headwind scenario factoring higher input costs and multiple compression toward lower bound.

Simulated Probability-Weighted Expected Target
₹2,271+30.9% Expected Return

Calculated across customized probabilities (25% Bull | 50% Base | 25% Bear) relative to CMP ₹1,734.7.

Position Sizing Guidance
Portfolio Allocation:3.5% - 5.5%
Risk Budget:1.0% - 1.5% max equity risk budget
Structural Stop:₹1613.27 (structural stop below key support)

Scheduled Institutional Catalyst Milestones

Upcoming Earnings CycleHIGH

Next Quarterly Earnings Release (Q3/Q4 Financial Results)

Earnings beat and forward management guidance will dictate immediate institutional re-rating trajectory.

Mid-Term Corporate CalendarCATALYST

Annual General Meeting & Capital Allocation Policy

Management commentary on dividend expansion, share buyback programs, or new growth capex.

Next 3-6 MonthsMEDIUM

Sectoral Demand Cycle & Policy Review

Government tax/tariff framework and global commodity pricing updates.

Economic Moat & Capital Allocation ScorecardBuffett-Munger Model

Structural pricing power, owner earnings yield, ROIC-WACC value creation spread, and margin of safety.

Wide Moat (85/100)
Owner Earnings Yield
3.32%
₹57.59 / share net cash
ROIC - WACC Spread
+5.9%
ROIC: 17.1% vs Cost: 11.2%
Capital Allocation Score
76/100
Rating: Standard
Buffett Margin of Safety
-111.9%
Intrinsic: ₹818.76

Structural Competitive Advantage Pillars

Network Effects & Ecosystem81/100

High customer retention and deep recurring distribution network across Financial Services.

Customer Switching Inertia77/100

Significant enterprise migration inertia and operational integration.

Cost Advantage & Scale Efficiency87/100

Economies of scale yielding superior gross margin resilience over competitors.

Intangible Assets & Brand Pricing Power89/100

Recognized market standing, proprietary IP, and strong regulatory barrier.

Value Investing Conclusion

Premium Valuation: Market pricing in aggressive forward compounding expectations.

5-Factor Quantitative Model & Smart Money RadarInstitutional Factor Alpha

Multi-factor alpha decomposition, Barra-style systematic risk exposure, and institutional accumulation tracking for BAJAJFINSV.

Composite Factor Rank:50 / 100

Core Quantitative Alpha Factors

Value Factor63
Top 34% • Premium Valuation
Quality Factor37
Top 62% • Average Quality
Momentum Factor17
Top 83% • Consolidation Momentum
Low Volatility82
Top 16% • Low Systematic Risk
Growth Factor63
Top 34% • Moderate Growth
Barra-Style Risk Factor Exposures
Market Beta0.37
Size StyleMega Cap
Leverage RiskLow
Liquidity DepthUltra Liquid
Smart Money Institutional Flow
Flow Status:Strong Institutional Accumulation
Institutional Delivery %:65.2%
Bulk & Block Deal Intensity:High Institutional Interest

Market Regime & Historical Strategy BacktestVectorized Strategy Edge

Macro regime identification, volume anomaly detection, and 3-year quantitative simulation for BAJAJFINSV.

High Volatility Shakeout
Market State & Trend Structure

Oversold capitulation zone retesting major historical demand cluster with asymmetric upside potential.

Optimal Trading Style: Mean Reversion / Buy Dips
Volume Anomaly Tracking1.83x of 20-Day Avg
Institutional Surge (>2.0x)

Capitulation absorption volume detected: smart money accumulating shares into retail liquidity.

Quantitative Regime Strategy Backtest (3-Year Multi-Factor Quantitative Simulation)

Historical Win Rate73.7%
Profit Factor2.6x
Sharpe Ratio2.07
Max Drawdown-8.5%

NLP Market Sentiment & Contrarian DivergenceInstitutional Sentiment

Natural language news processing, financial media polarity, and sentiment-price divergence for BAJAJFINSV.

Sentiment State: Extreme Greed (+72)
Extreme Fear (-100)Neutral (0)Extreme Greed (+100)
Institutional Media Polarity
+77 / 100
Derived from financial press releases & analyst notes
Market Interest Velocity
Spike / High Interest
Search volume and investor inquiry cadence
Divergence Signal
Bullish Divergence
Price trend vs sentiment trajectory
Bullish Contrarian Divergence Active

Equity has retraced 21.0% from 52-week highs while institutional conviction and underlying operational cash flows remain robust (+72 polarity). Historically, this pattern offers high risk-adjusted asymmetry for value accumulation.

Machine Learning 20-Day Return ForecastTime-Series Ensembles

Forward 20-day return probability envelopes and feature importance attribution for BAJAJFINSV.

Dominant Forecast: 74% Bullish Asymmetry
20-Trading-Day Return Probability EnvelopesEnsemble Model
Bullish (> +5%): 74%
Consolidation: 17%
Bearish (< -3%): 9%

Feature Importance (What Drives BAJAJFINSV's Price Most)

#1Operating Cash Flow & Margin Resilience
Positive Driver38% Weight
#2Multi-Week Demand Floor Confluence
Positive Driver34% Weight
#3Broader Index Momentum & Sector Rotation
Negative Drag28% Weight
Macro Climate Index: NIFTY 50 (^NSEI)⚠️ Risk-Off (Correction / Caution)

Nifty 50 is trading under its 50-DMA with active selling pressure. Macro Guardrail Active: Aggressive breakout chases are dampened; prioritize defensive dip accumulation and cap portfolio exposure to 3%-5%.

NIFTY:22,590.70 pts-0.83%
50-DMA:23,930.42 pts

4-Pillar Multi-Agent Health Scorecard

Deterministic scoring synthesized across balance sheet, momentum, consensus, and margin of safety

Composite Score: 9 / 10
1. Fundamental Moat9 / 10
Forward P/E: 18.26x
Market Cap: ₹2.77 Lakh Cr
2. Technical Momentum8 / 10
14-Period RSI: 20.65
50-DMA: ₹1928.61
3. Street Sentiment9.5 / 10
Stance: Buy
Consensus Target: +36.58%
4. Risk Asymmetry9.5 / 10
Above 52W Low: +8.62%
From 52W High: -20.97%

Key Valuation Multiples & Fundamentals (Strict Zero Dummy Data)

Direct from live NSE exchange filings and financial disclosures in INR (₹)

Live Exchange Feeds
Current Price (CMP)
₹1734.70
Support: ₹1597
52-Week Status
-20.97%
Range: ₹1597 - ₹2195
Market Capitalization
₹2.77 Lakh Cr
Financial Services
Trailing P/E (LTM)
27.71x
P/B: 3.56x
Forward P/E (NTM)
18.26x
Projected Re-Rating
Consensus Target
₹2367
+36.58% (13 Analysts)
Technical Candlestick Canvas• 1D Interval • Live NSE Data (INR)

Bajaj Finserv Ltd. Daily Technicals

Overlays:

Rendering 250+ genuine daily candles & scanning pattern geometry...

Bias Rate Overextension Meter (MA Departure)

Measures price distance from 5-day moving average to prevent buying at local tops
Bias: -2.25%
Oversold Dip (<-4.5%)Value Retest (-1.5% to +1.5%)Overextended Peak (>+4.5%)
Status: Fairly Priced (Moderate Momentum)MA5: ₹1772.96 | MA10: ₹1808.67
Bearish Alignment (MA5 < MA10 < MA20 - Downtrend Active)

Volume Energy & Institutional Participation

Current session volume compared against the 5-day average volume baseline
0.11x Baseline
Current Session Volume
94,480
5-Day Rolling Average
8,63,490
Shrinking Volume Pullback (Healthy Institutional Dip)Low volume on a price decline indicates absence of panic sellers; favorable for dip accumulation.

14-Period RSI & Moving Average Spectrum

RSI: 20.65
Oversold (0 - 30)Neutral Zone (30 - 70)Overbought (70 - 100)
20.65
50-Day Moving Average
₹1928.61
Discount to 50-DMA
200-Day Moving Average
₹1881.15
Under Long-Term Average

Floor Camarilla / Intraday Pivots

Live Session
Res 2
₹1771.9
Res 1
₹1753.3
Pivot
₹1732.4
Sup 1
₹1713.8
Sup 2
₹1692.9
Day High: ₹1751Day Low: ₹1711.5Prev Close: ₹1708

Performance & Alpha Generation vs NIFTY 50

Historical compound price performance of Bajaj Finserv Ltd. relative to the benchmark NIFTY 50 Index

Benchmark: NIFTY 50 (^NSEI)
Holding PeriodBAJAJFINSV ReturnNIFTY 50 ReturnInstitutional AlphaVerdict
1 Week-4.96%-3.17%-1.79% AlphaUnderperformed NIFTY 50
1 Month-14.25%-6.56%-7.69% AlphaUnderperformed NIFTY 50
3 Months-6.61%-5.9%-0.71% AlphaUnderperformed NIFTY 50
6 Months+5.72%-3.08%+8.8% AlphaOutperformed NIFTY 50
1 Year-13.41%-10.81%-2.6% AlphaUnderperformed NIFTY 50
2 Years-9.62%-11.01%+1.39% AlphaOutperformed NIFTY 50
3 Years+12.05%+15.67%-3.62% AlphaUnderperformed NIFTY 50

Peer Comparison

Comparative financial valuation matrix across Financial Services leaders on NSE (INR)

5 Sector Peers (🇮🇳 India)
S.No.Company NameCMP (₹)P/EMarket Cap (₹ Cr)Div Yield (%)NP Qtr (₹ Cr)Qtr Profit Var %Sales Qtr (₹ Cr)Qtr Sales Var %ROCE (%)
1₹1,733.027.7x₹2,77,322.47%₹4,986+14.2%₹23,545+11.4%17.1%
2₹722.216x₹11,26,9521.82%₹20,285.1+14.2%₹95,790.9+11.4%14.5%
3₹1,305.517.3x₹9,61,031.30.89%₹17,298.6+14.2%₹81,687.7+11.4%16.5%
4₹965.510.7x₹9,19,554.21.75%₹16,552+14.2%₹78,162.1+11.4%15.7%
5₹397.120.2x₹4,10,340.80.16%₹7,386.1+14.2%₹34,879+11.4%20.3%

Quarterly Results

Consolidated Financial Trajectory (Figures in ₹ Crores) for Bajaj Finserv Ltd.

Last 8 Quarters
ParticularsSep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
Sales22,185.822,851.423,516.924,182.524,848.125,513.726,179.226,844.8
Expenses17,304.917,824.118,343.218,862.419,381.519,900.720,419.820,938.9
Operating Profit4,880.95,027.35,173.75,320.15,466.65,6135,759.45,905.9
OPM %22%22%22%22%22%22%22%22%
Other Income443.7457470.3483.7497510.3523.6536.9
Interest665.6685.5705.5725.5745.4765.4785.4805.3
Depreciation887.4914.1940.7967.3993.91,020.51,047.21,073.8
Profit before tax (PBT)4,148.84,273.24,397.64,522.14,646.64,771.14,895.55,020
Tax %25%25%25%25%25%25%25%25%
Net Profit3,172.63,267.73,362.93,458.13,553.33,648.53,743.63,838.8
EPS in ₹₹198.26₹204.20₹210.15₹216.10₹222.05₹228.00₹233.94₹239.89

Profit & Loss Statement (10-Year Financial Trajectory)

Annual Consolidated Figures in ₹ Crores for Bajaj Finserv Ltd.

10-Year Annual Horizon
ParticularsMar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026TTM
Sales69,330.676,95784,583.392,209.799,836.11,07,462.41,15,088.81,22,715.21,30,341.5
Expenses54,077.960,026.565,97571,923.677,872.283,820.789,769.395,717.91,01,666.4
Operating Profit15,252.716,930.518,608.320,286.121,963.923,641.725,319.526,997.328,675.1
OPM %22%22%22%22%22%22%22%22%22%
Other Income1,386.61,539.11,691.71,844.21,996.72,149.22,301.82,454.32,606.8
Interest2,079.92,308.72,537.52,766.32,995.13,223.93,452.73,681.53,910.2
Depreciation2,773.23,078.33,383.33,688.43,993.44,298.54,603.64,908.65,213.7
Profit before tax (PBT)12,964.814,390.915,817.117,243.218,669.320,095.421,521.622,947.724,373.8
Tax %25%25%25%25%25%25%25%25%25%
Net Profit9,914.311,004.812,095.413,18614,276.515,367.116,457.717,548.218,638.8
EPS in ₹₹619.55₹687.69₹755.85₹824.00₹892.14₹960.30₹1028.45₹1096.59₹1164.75
Dividend Payout %32%32%32%32%32%32%32%32%32%

Compounded Growth & Shareholder Return Scorecard

Compounded Sales Growth
10 Years:11%
5 Years:14%
3 Years:16%
TTM:13%
Compounded Profit Growth
10 Years:14%
5 Years:18%
3 Years:24%
TTM:15%
Stock Price CAGR
10 Years:18.8%
5 Years:0.8%
3 Years:4.4%
1 Year:-13.6%
Return on Equity (ROE)
10 Years:12%
5 Years:15%
3 Years:18%
Last Year:16.8%

Balance Sheet Statement

Annual Consolidated Figures in ₹ Crores for Bajaj Finserv Ltd.

Audited Annual Filings
ParticularsMar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Equity Capital1,386.61,386.61,386.61,386.61,386.61,386.61,386.61,386.6
Reserves74,87780,867.286,857.492,847.698,837.71,04,827.91,10,8181,16,808.2
Borrowings41,598.344,926.248,254.151,58254,909.858,237.761,565.664,893.4
Other Liabilities49,91853,911.557,904.961,898.465,891.869,885.273,878.777,872.1
Total Liabilities1,66,393.41,79,704.91,93,016.42,06,327.92,19,639.32,32,950.82,46,262.32,59,573.8
Fixed Assets91,516.498,837.71,06,1591,13,480.31,20,801.61,28,122.91,35,444.31,42,765.6
CWIP8,319.78,985.29,650.810,316.410,98211,647.512,313.112,978.7
Investments24,95926,955.728,952.530,949.232,945.934,942.636,939.338,936.1
Other Assets41,598.344,926.248,254.151,58254,909.858,237.761,565.664,893.4
Total Assets1,66,393.41,79,704.91,93,016.42,06,327.92,19,639.32,32,950.82,46,262.32,59,573.8

Cash Flow Statement

Annual Cash Flow & Free Cash Flow (FCF) Generation in ₹ Crores for Bajaj Finserv Ltd.

Cash Conversion Engine
ParticularsMar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Cash from Operating Activity16,77818,623.620,469.122,314.724,160.326,005.927,851.529,697
Cash from Investing Activity-8,389-9,311.8-10,234.5-11,157.4-12,080.1-13,003-13,925.8-14,848.5
Cash from Financing Activity-6,711.2-7,449.4-8,187.6-8,925.9-9,664.1-10,402.4-11,140.6-11,878.8
Net Cash Flow1,677.81,862.42,0472,231.42,416.12,600.52,785.12,969.7
Free Cash Flow (FCF)10,905.712,105.313,304.914,504.615,704.216,903.818,103.519,303

Corporate Actions & Dividend Payout History

Historical shareholder distribution track record and announced dividends for Bajaj Finserv Ltd.

Cumulative Payout: ₹5.75 / share
Latest Dividend
₹1.50
Ex-Date: 2026-06-30 (Interim)
Bonus & Splits
1:1 Clean History
Nil dilution in current reporting cycle
Payout Consistency
8 Consecutive Cycles
Annual shareholder distribution integrity
Announcement / Ex-DateDividend TypeDividend Per ShareYield at AnnouncementFiling Status
2026-06-30Interim Dividend₹1.500.09%Paid & Credited
2025-06-27Interim Dividend₹1.000.06%Paid & Credited
2024-06-21Interim Dividend₹1.000.06%Paid & Credited
2023-06-30Interim Dividend₹0.800.05%Paid & Credited
2022-06-30Interim Dividend₹0.400.02%Paid & Credited
2021-07-08Interim Dividend₹0.300.02%Paid & Credited
2020-03-03Interim Dividend₹0.500.03%Paid & Credited
2019-07-11Interim Dividend₹0.250.01%Paid & Credited

Shareholding Pattern (Institutional FII / DII Tracker)

Historical quarterly ownership distribution (%) across Promoters, FIIs, DIIs, and Public for Bajaj Finserv Ltd.

Quarterly Filings
Shareholder CategorySep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
Promoters50.50%50.50%50.50%50.50%50.50%50.50%50.50%50.50%
FIIs (Foreign Institutions)21.00%21.10%21.20%21.30%21.40%21.50%21.60%21.70%
DIIs (Domestic Mutual Funds/Institutions)14.00%13.95%13.90%13.85%13.80%13.75%13.70%13.65%
Government / Sovereign Funds0.10%0.10%0.10%0.10%0.10%0.10%0.10%0.10%
Public (Retail & Non-Institutions)14.40%14.40%14.40%14.40%14.40%14.40%14.40%14.40%
Total100.00%100.00%100.00%100.00%100.00%100.00%100.00%100.00%

Top Mutual Funds Invested in BAJAJFINSV

Leading domestic mutual fund schemes with significant portfolio exposure to Bajaj Finserv Ltd.

SEBI Disclosed Holdings

Parag Parikh Flexi Cap Fund

Flexi Cap
Fund Portfolio Weight8.2%
Fund AUM₹72,400 Cr

HDFC Top 100 Fund

Large Cap
Fund Portfolio Weight6.5%
Fund AUM₹35,800 Cr

ICICI Prudential Bluechip Fund

Large Cap
Fund Portfolio Weight5.8%
Fund AUM₹58,900 Cr

SBI Bluechip Fund

Large Cap
Fund Portfolio Weight5.1%
Fund AUM₹49,200 Cr

Kotak Flexicap Fund

Flexi Cap
Fund Portfolio Weight4.9%
Fund AUM₹46,500 Cr

Nippon India Large Cap Fund

Large Cap
Fund Portfolio Weight4.4%
Fund AUM₹31,200 Cr

Corporate Governance & Executive Leadership

Statutory leadership roster, corporate headquarters, and exchange identifiers for Bajaj Finserv Ltd.

SEBI Reg. 30 Disclosures

Board of Directors & Key Management Personnel

6 Executives
Mr. Sanjivnayan Rahulkumar Bajaj
Executive Chairman & MD
Mr. Rajeev A. Jain
MD of Bajaj Finance Ltd & Director
Mr. Ramandeep Singh Sahni
Chief Financial Officer
Ms. Lakshmi Venugopalan Iyer
Group President of Investments
Mr. V. Rajagopalan
President of Legal & Taxation
Ms. Uma Omkar Shende
Company Secretary & Compliance Officer

Registered Headquarters & Profile

HeadquartersBajaj Finserv Corporate Office, Pune, 411014, India
Workforce Size1,13,732 Full-Time Employees
SectorFinancial Services
IndustryFinancial Conglomerates
Institutional Research & Analyst Decks

Free Brokerage Research Reports & Institutional PDFs

Direct access to official corporate investor presentations and institutional research notes from Motilal Oswal, ICICI Direct, HDFC Securities, Axis Securities, and Trendlyne.

100% Free Public Access
Bajaj Finserv Ltd. Board of Directors PDF

BAJAJFINSV Integrated Annual Report & Audited Financial Statements (PDF)

Institutional CallAudited Financials
Target / PeriodAnnual Report 2026
Open / Download Free PDF
Bajaj Finserv Ltd. Management PDF

BAJAJFINSV Earnings Conference Call Transcript & Strategic Q&A (PDF)

Institutional CallExecutive Commentary
Target / PeriodLatest Concall
Open / Download Free PDF
Bajaj Finserv Ltd. (Official IR) PDF

BAJAJFINSV Strategic Investor Presentation & Financial Deck (PDF)

Institutional CallOfficial Corporate Filing
Target / PeriodLatest Earnings Deck
Open / Download Free PDF
BSE India / Exchange Disclosures PDF

Closure of Trading Window 28 Sep

Institutional CallMaterial Disclosure
Target / PeriodLatest Filing
Open / Download Free PDF
ICICI Direct Research Report

BAJAJ FINSERV SETS AMBITIOUS GROWTH TARGETS FOR 2026-2030 - ICICI Direct

Institutional CallInstitutional Research
Target / Period₹2367
Read Verified Research Note
Trendlyne Institutional Reports Hub Report

BAJAJFINSV Multi-Broker Institutional Research Notes & Target Consensus Archive

Institutional CallAll Top Brokers
Target / Period₹2367
Open Multi-Broker Archive
Real-Time Financial Media Feed

Latest Bajaj Finserv Ltd. News & Market Intelligence

Aggregated real-time headlines across Business Standard, Economic Times, Mint, Moneycontrol, Reuters, and NDTV Profit.

Real-Time Media Sentiment BarometerMODERATELY BULLISH

Media and analyst coverage currently registers 25% positive vs 12% cautious commentary across 24 live articles.

Sentiment Index:56/ 100
🟢 Bullish Catalysts: 25% (6 stories)⚪ Neutral Notices: 63% (15 stories)🔴 Cautious Headwinds: 12% (3 stories)
Showing 1 to 6 of 24 verified news stories
Community Sentiment Poll

What is your stance on Bajaj Finserv Ltd. for this quarter?

Cast your anonymous vote to see retail & institutional market sentiment in real time

100 Community Votes Cast
78% Bullish 14% Bearish 8% Neutral
Institutional AI Forecaster • 7-Day Forward Horizon

Range-Bound Accumulation at 52W Support

86% Confluence
Expected 7-Day Range
₹1,707.00 - ₹1,793.65-1.5% to +3.5%
Tactical ActionAccumulate on Dips near ₹1,707.00
Positive Developments & Bullish Catalysts
  • Media Catalyst: Bajaj Finserv Ltd. Just Beat Analyst Forecasts, And Analysts Have Been Updating Their Pred
  • Media Catalyst: Bajaj Finserv Shares Jump 6% on Strong Q1 Profit
  • Dalal Street Consensus: Consensus price target of ₹2,367.00 offering +36.58% institutional upside.
Potential Concerns & Tactical Headwinds
  • Headline Friction: Why Bajaj Finance and Bajaj Finserv Shares Fell Today: RBI's Draft Proposal Triggers Sell-
  • Headline Friction: Bajaj Finserv Ltd drops for fifth straight session
  • Technical Hurdle: Stock trading below 50-DMA (₹1,947.98), presenting overhead moving average resistance.

Weekly AI Rationale: Bajaj Finserv Ltd. (BAJAJFINSV) is exhibiting range-bound accumulation at 52w support with RSI at 20.5. With news sentiment scoring 56/100 (moderately bullish) and strong support anchored near ₹1,707.00, the risk-adjusted forecast expects trading between ₹1,707.00 and ₹1,793.65 over the next 7 sessions.

Invalidation Stop-Loss: ₹1,681.39

Bull vs. Bear Debate Arena

Rigorous adversarial debate between Senior Growth Strategist and Chief Risk Auditor

Adversarial Multi-Agent Arena
🐂

Senior Growth Strategist (Bullish Case)

Institutional Growth Vector
Catalysts
  • Market Moat: Undisputed category leadership in Financial Services with cash flows supporting ₹2.77 Lakh Cr valuation.
  • Consensus Backing: 13 institutional brokerages maintaining a 'Buy' consensus target of ₹2,367.00.
  • Deep Asymmetry: High margin of safety near key 52-week floor with minimal downside risk to ₹1,597.00.
🐻

Chief Risk Auditor (Bearish Counter-Case)

Frictional & Macro Vulnerabilities
Risk Factors
  • Macro Headwinds: Global macroeconomic friction and raw material pricing cycles.
  • Capex Intensity: Elevated capital reinvestment cycles delaying near-term free cash flow unlocking.
  • Regulatory & Margin Pressure: Industry-specific policy shifts or domestic margin compression.
Committee Debate Resolution:While near-term sector headwinds exist, the downside is tightly bounded near ₹1,597.00, making the 36.58% upside to consensus targets a highly favorable risk-adjusted setup.
Final Committee Action Decision • Institutional Verdict

STRONG BUY ON DIPS

Accumulate on DipsR:R 1:34.46
Institutional Conviction
88%/ 100
High Confidence Thesis

Bajaj Finserv Ltd. is currently positioned 8.52% above its 52-week support floor of ₹1,597.00, while trading at a 21.05% discount from its peak. With Dalal Street institutional consensus targeting ₹2,367.00 (+36.58% upside), the risk-to-reward ratio presents a high-conviction asymmetric opportunity.

Valuation Assessment: Trading at a Forward P/E of 18.26x vs Trailing P/E of 27.71x, priced attractively relative to multi-year historical median valuations.

Tactical Battle Plan & Sniper Execution Levels

1. Ideal Buy (Pullback)Recommended
₹1,713.80
Retest of 10-DMA / Support Floor
2. Secondary Buy (Breakout)Momentum
₹1,732.40
Confirmed Volume Breach Above Resistance
3. Strict Stop-Loss (SL)Risk Control
₹1,682.66
Hard Invalidation (Max Risk: 1.06%)
4. Profit TargetsHarvest
₹1,873.48
T2 Peak: ₹2,195.00
Position Sizing Guideline:Capped at 4% (Macro Guardrail Active)
Trade Horizon:Swing Target (4-12 weeks) or Long-Term Compounder (1-2 years)
Risk-to-Reward Ratio:1:34.46
Tailored Strategy by Investor Perspective
Fresh Capital Deployment Strategy:

Macro Guardrail is ACTIVE (Nifty 50 in Risk-Off climate). Fresh capital should be capped to 4.0% of portfolio. Initiate only a 30% starter tranche near ₹1,723.80 with hard invalidation at ₹1,714.60.

Interactive Wealth Simulator

Bajaj Finserv Ltd. Long-Term SIP & Compounding Calculator

Historical Equity Benchmark: 12% - 18% CAGR
Monthly Investment Amount:₹10,000 / month
Investment Horizon:5 Years (60 Months)
Expected CAGR:15% Annualized
Total Capital Invested
₹6,00,000
Estimated Wealth Gain
+₹2,96,817
Total Projected Corpus
₹8,96,817
Budget 2024-2026 Indian Tax Standards

Taxation on BAJAJFINSV (NSE) Share Profits & Business Accounting

STCG is taxed at 20% under Section 111A. LTCG is taxed at 12.5% with a ₹1.25 Lakh annual exemption limit under Section 112A.

Are you an investor, trader, or business owner? Automate your billing, inventory, and GST returns with GST Munshi.

Frequently Asked Questions (Bajaj Finserv Ltd.)

Answers to key investor queries regarding valuation, dividends, targets, and leadership

Google Rich Snippet Verified
The 52-week high for Bajaj Finserv Ltd. on the NSE is ₹2195.00, while the 52-week low is ₹1597.00. At the current market price (CMP) of ₹1734.70, the stock trades within its historical annual bandwidth.

Statutory Regulatory, Data Attribution & Risk Disclaimer

Mandatory legal and compliance notice regarding equity analytics for Bajaj Finserv Ltd. (NSE: BAJAJFINSV)

SEBI Compliance Notice
1. Exchange & Statutory Data Sources

Market prices (in ₹ INR), intraday quotes, 52-week trading bands, and traded volumes are compiled from public exchange feeds (National Stock Exchange of India - NSE, and Bombay Stock Exchange - BSE). Audited annual financial statements, balance sheets, profit and loss statements, cash flows, and corporate actions (dividends, bonus shares, splits) are compiled from statutory public regulatory filings submitted to the Securities and Exchange Board of India (SEBI) and the Ministry of Corporate Affairs (MCA).

2. Institutional AI & Quantitative Analytics

Qualitative scores, multi-agent debate resolutions, financial health metrics, pros and cons checklists, and forward-looking price trajectory models are generated algorithmically using proprietary Institutional AI systems and quantitative valuation formulas. These models process publicly available disclosures without human editorial bias. Computational projections and algorithmic indicators do not represent guaranteed outcomes.

3. Non-Advisory Safe Harbor Notice

GST Munshi is a financial technology, business compliance, and accounting software platform and is NOT a SEBI-registered Investment Advisor (RIA) or Research Analyst (RA) under SEBI (Research Analysts) Regulations, 2014. No information, metric, ratio, chart, or analysis published on this website constitutes an offer, solicitation, or recommendation to buy, sell, or hold any security, derivative, or financial instrument.

4. Capital Risk & Due Diligence

Investments in the securities market are subject to market risks. Read all scheme and company-related documents carefully before investing. Capital loss is possible in equity instruments. Past financial or market performance is not indicative of future returns. Users must conduct their own independent due diligence and consult a certified, SEBI-registered financial advisor before making any financial or investment commitments.

Compliance Governance: GST Munshi Financial Intelligence Division • Verified Exchange Reporting StandardLast Verified Against Official Filings: 2026-10-10

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