Insights for Bajaj Finserve
National Stock Exchange: BAJAJFINSV
04 - Tracking Well with Low profitability

Sector: Misc
Industry: Misc
Based on PEG Ratio: Unknown
Today's Price
updated on:
2011.5 (0.03%)
Open 2010.9 (0.03%)
High (Upside %) 2031.7 (1.0%)
Low (Downside %) 2010.9 (0.03%)
P. Close 2010.9 (0.03%)
Open-High % 1.03%
Open-Low % 0.0%
Low-High % 1.03%
Previous Data

BAJAJFINSV is a Stock listed in the India on the National Stock Exchange under the ticker 'BAJAJFINSV'

Company Summary

Business Units or Product Lines

Bajaj Finserv operates in financial services with product lines including lending, insurance, and wealth management. Its key subsidiaries are Bajaj Finance Limited, Bajaj Allianz General Insurance, and Bajaj Allianz Life Insurance.

Business Models for Each Product Line

Bajaj Finance generates revenue through interest income from loans, including personal, auto, and SME loans. The insurance segments earn from premiums paid for general and life insurance policies. Major expenses include interest costs, acquisition of insurance policies, and administrative costs.

Future Opportunities for Growth

Bajaj Finserv sees growth opportunities in expanding its digital financial services, increasing penetration in underserved markets in India, and leveraging technology to offer innovative products.

Potential Major Risks

Major risks include regulatory changes in the financial sector, economic downturns impacting loan repayment capacities, increased competition, and technological disruptions affecting service delivery.

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Also read: https://finance.yahoo.com/BAJAJFINSV.NS/profile

Basic Stats
Revenue Quarterly Revenue Growth Market Cap-Display EBITDA-Display Market Cap-Actual EBITDA-Actual Market Cap Enterprise Value-Display Enterprise Value-Actual Enterprise Value Trailing P/E Forward P/E Price/Sales Price/Book Enterprise Value/Revenue Enterprise Value/EBITDA Profit Margin Operating Margin Return on Assets Return on Equity Revenue-Display Revenue-Actual EBITDA Diluted EPS Quarterly Earnings Growth Total Cash-Display Total Cash-Actual Total Cash Total Debt-Display Total Debt-Actual Total Debt Total Debt/Equity Current Ratio Operating Cash Flow-Display Operating Cash Flow-Actual Operating Cash Flow Levered Free Cash Flow-Display Levered Free Cash Flow-Actual Levered Free Cash Flow % Held by Insiders % Held by Institutions
131619.34 13.9% 3.26 lakh cr 49210.24 Cr 3256494850048.0 492102385664.0 325649.49 6.5 lakh cr 6502158434304.0 650215.84 37.18 41.32 2.47 4.51 4.94 13.21 6.74% 34.17% 5.05% 15.12% 1.32 lakh cr 1316193435648.0 49210.24 54.91 14.1% 15736.8 Cr 157367992320.0 15736.8 2.84 lakh cr 2844515106816.0 284451.51 2.2148 3.03 -6211325.0 lakh -621132513280.0 -62113.25 -2034337.0 lakh -203433721856.0 -20343.37 66.01% 12.75%

source:https://finance.yahoo.com/BAJAJFINSV.NS/key-statistics

Upside-Downside Spread
Key Weighted 5D 1M 3M 6M 1Y 3Y 10Y
Upside % (high) 4.3% 2.91% (2070) 3.5% (2082) 6.14% (2135) 6.14% (2135) 6.14% (2135) 6.14% (2135) 6.14% (2135)
Downside % (low) 9.19% 0.57% (2000.1) 4.69% (1917.2) 13.85% (1733) 22.86% (1551.65) 29.45% (1419.05) 46.67% (1072.7) 93.74% (125.85)
Spread % -4.89% 2.34% -1.18% -7.71% -16.72% -23.31% -40.53% -87.6%

BAJAJFINSV's price used for computing the stats is 2011.5 as on date

Cumulative Return Percent
Key Today 5D 2W 1M 3M 6M 1Y 3Y 10Y
Last Price-Trend PrevClose 0.03% 0.52% -1.49% -1.86% 6.16% 20.85% 25.06% 56.53% 1357.61%
Last Price 2011.5 2011.5 2011.5 2011.5 2011.5 2011.5 2011.5 2011.5 2011.5
Trend-Previous Close 2010.9 2001 2041.9 2049.7 1894.85 1664.45 1608.45 1285.05 138

BAJAJFINSV's symbol cumulative return percent is computed basis data from date

Return Velocity
5D 2W 1M 3M 6M 1Y
5D window
Metric Mean Median Stdev
Overall 0.37% 2008.38 0.49% 2010.9 0.73% 1986.42 2030.34
Up 1.33% 2027.54 0.75% 2016.03 1.07% 1995.43 2059.64
Down -1.08% 1979.31 -1.6% 1968.92 0.9% 1952.21 2006.41
5D Opportunity:
returns: 0.52% (2.93%), p.close: 2001
entry: 2059.64, exit: 2030.34, min.ret: 1.42%
Using: 5D trend, 0 Days Left
Metric Mean Median Stdev
Overall 0.27% 2006.34 0.32% 2007.38 1.41% 1963.87 2048.8
Up 1.3% 2026.91 0.91% 2019.16 1.32% 1987.19 2066.64
Down -1.04% 1980.19 -1.16% 1977.71 0.8% 1956.11 2004.27
5D Opportunity:
returns: 0.52% (3.28%), p.close: 2001
entry: 2066.64, exit: 2048.8, min.ret: 0.86%
Using: 5D trend, 0 Days Left
Metric Mean Median Stdev
Overall -0.47% 1991.66 -0.49% 1991.26 2.5% 1916.52 2066.81
Up 1.35% 2028.09 1.02% 2021.37 1.35% 1987.67 2068.51
Down -2.37% 1953.68 -1.79% 1965.22 2.23% 1886.66 2020.69
5D Opportunity:
returns: 0.52% (3.37%), p.close: 2001
entry: 2068.51, exit: 2066.81, min.ret: 0.08%
Using: 5D trend, 0 Days Left
Metric Mean Median Stdev
Overall 0.89% 2018.79 0.56% 2012.15 3.79% 1904.91 2132.68
Up 2.7% 2055.02 2.36% 2048.26 2.68% 1974.44 2135.59
Down -1.88% 1963.35 -1.54% 1970.14 2.08% 1900.8 2025.9
5D Opportunity:
returns: 0.52% (6.73%), p.close: 2001
entry: 2135.59, exit: 2132.68, min.ret: 0.14%
Using: 5D trend, 0 Days Left
Metric Mean Median Stdev
Overall 0.73% 2015.52 0.5% 2010.96 3.76% 1902.75 2128.29
Up 2.45% 2049.99 1.73% 2035.53 2.52% 1974.39 2125.58
Down -1.87% 1963.56 -1.23% 1976.35 2.08% 1901.21 2025.91
5D Opportunity:
returns: 0.52% (6.23%), p.close: 2001
entry: 2125.58, exit: 2128.29, min.ret: -0.13%
Using: 5D trend, 0 Days Left
Metric Mean Median Stdev
Overall 0.56% 2012.14 0.42% 2009.46 3.75% 1899.47 2124.81
Up 2.28% 2046.56 1.44% 2029.91 2.47% 1972.35 2120.77
Down -1.87% 1963.57 -1.14% 1978.15 2.1% 1900.43 2026.71
5D Opportunity:
returns: 0.52% (5.99%), p.close: 2001
entry: 2120.77, exit: 2124.81, min.ret: -0.19%
Using: 5D trend, 0 Days Left
2W window
Metric Mean Median Stdev
Overall 0.57% 2053.52 0.23% 2046.52 1.78% 1998.97 2108.06
Up 1.78% 2078.34 1.39% 2070.37 1.51% 2031.96 2124.71
Down -1.7% 2007.2 -1.9% 2003.13 1.19% 1970.72 2043.67
2W Opportunity:
returns: -1.49% (-3.49%), p.close: 2041.9
entry: 1970.72, exit: 1998.97, min.ret: 1.43%
Using: 2W trend, 0 Days Left
Metric Mean Median Stdev
Overall -0.24% 2037.0 -0.35% 2034.79 2.89% 1948.35 2125.65
Up 2.36% 2090.02 1.27% 2067.86 2.52% 2012.71 2167.34
Down -2.97% 1981.16 -2.59% 1988.98 2.51% 1904.19 2058.14
2W Opportunity:
returns: -1.49% (-6.74%), p.close: 2041.9
entry: 1904.19, exit: 1948.35, min.ret: 2.32%
Using: 2W trend, 0 Days Left
Metric Mean Median Stdev
Overall 1.82% 2079.06 0.41% 2050.3 4.45% 1942.75 2215.37
Up 4.45% 2132.67 3.98% 2123.12 3.53% 2024.5 2240.84
Down -2.72% 1986.45 -2.52% 1990.47 2.36% 1914.23 2058.66
2W Opportunity:
returns: -1.49% (-6.25%), p.close: 2041.9
entry: 1914.23, exit: 1942.75, min.ret: 1.49%
Using: 2W trend, 0 Days Left
Metric Mean Median Stdev
Overall 1.35% 2069.47 2.0% 2082.66 4.9% 1919.29 2219.65
Up 4.02% 2124.08 3.51% 2113.48 3.23% 2025.24 2222.92
Down -2.76% 1985.55 -1.9% 2003.08 2.71% 1902.58 2068.51
2W Opportunity:
returns: -1.49% (-6.82%), p.close: 2041.9
entry: 1902.58, exit: 1919.29, min.ret: 0.88%
Using: 2W trend, 0 Days Left
Metric Mean Median Stdev
Overall 1.12% 2064.68 0.68% 2055.73 5.23% 1904.51 2224.84
Up 3.78% 2119.16 2.97% 2102.46 3.65% 2007.31 2231.01
Down -2.75% 1985.84 -1.91% 2002.92 2.72% 1902.59 2069.08
2W Opportunity:
returns: -1.49% (-6.82%), p.close: 2041.9
entry: 1902.59, exit: 1904.51, min.ret: 0.1%
Using: 2W trend, 0 Days Left
1M window
Metric Mean Median Stdev
Overall 2.19% 2094.63 1.62% 2082.91 4.04% 1970.53 2218.73
Up 6.32% 2179.26 7.56% 2204.61 4.24% 2048.83 2309.68
Down -3.88% 1970.25 -4.24% 1962.87 2.66% 1888.46 2052.05
1M Opportunity:
returns: -1.86% (-7.87%), p.close: 2049.7
entry: 1888.46, exit: 1970.53, min.ret: 4.35%
Using: 1M trend, 0 Days Left
Metric Mean Median Stdev
Overall 4.48% 2141.6 3.64% 2124.4 4.52% 2002.69 2280.52
Up 7.94% 2212.4 8.42% 2222.19 3.81% 2095.41 2329.39
Down -2.69% 1994.66 -2.52% 1998.07 2.31% 1923.5 2065.82
1M Opportunity:
returns: -1.86% (-6.16%), p.close: 2049.7
entry: 1923.5, exit: 2002.69, min.ret: 4.12%
Using: 1M trend, 0 Days Left
Metric Mean Median Stdev
Overall 2.61% 2103.18 2.97% 2110.59 6.22% 1912.01 2294.34
Up 6.42% 2181.33 6.87% 2190.58 4.24% 2051.09 2311.57
Down -3.81% 1971.55 -2.81% 1992.03 3.53% 1863.13 2079.97
1M Opportunity:
returns: -1.86% (-9.1%), p.close: 2049.7
entry: 1863.13, exit: 1912.01, min.ret: 2.62%
Using: 1M trend, 0 Days Left
Metric Mean Median Stdev
Overall 2.32% 2097.31 1.41% 2078.64 7.42% 1869.15 2325.47
Up 6.29% 2178.53 5.2% 2156.22 5.38% 2013.18 2343.87
Down -4.04% 1966.98 -2.89% 1990.45 3.63% 1855.45 2078.52
1M Opportunity:
returns: -1.86% (-9.48%), p.close: 2049.7
entry: 1855.45, exit: 1869.15, min.ret: 0.74%
Using: 1M trend, 0 Days Left

BAJAJFINSV's symbol current price is 2011.5 (0.03%) as on . Yesterday's close was 2010.9. It's return velocities are computed basis data from date .