BAJAJHLDNG

Bajaj Holdings & Investment Share PriceBajaj Holdings & Investment

₹7,984.25
-96.15 (-1.19%)
As on 11 December, 2023 | 01:27 BSE: 500490 NSE: BAJAJHLDNGISIN: INE118A01012

Bajaj Holdings & Investment Performance

Day Range

  • Low 7,920.00
  • High 8,080.40
₹ 7,984.25

52 Week Range

  • Low 5,560.15
  • High 8,373.85
₹ 7,984.25
  • Open Price8,080.40
  • Previous Close8,080.40
  • Volume27621

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Bajaj Holdings & Investment Share Price

  • Over 1 Month 11.97%
  • Over 3 Month 11.8%
  • Over 6 Month 16.76%
  • Over 1 Year 29.29%

Bajaj Holdings & Investment Key Statistics

P/E Ratio 16
PEG Ratio 0.6
Market Cap Cr 88,860
Price to Book Ratio 1.7
EPS 153.8
Dividend 1.5
Relative Strength Index 69.75
Money Flow Index 81.89
MACD Signal 159.57
Average True Range 217.33

Bajaj Holdings & Investment Investment Rating

  • Master Rating:
  • Bajaj Holdings & Invs. has an operating revenue of Rs. 513.90 Cr. on a trailing 12-month basis. An annual revenue growth of 8% is good, Pre-tax margin of 74% is great, ROE of 10% is good. The stock from a technical standpoint is comfortably placed above its key moving averages, around 12% and 15% from 50DMA and 200DMA. It has recently broken out of a base in its weekly chart and is trading around 4% from the pivot point (which is the ideal buying range for a stock). From an O'Neil Methodology perspective, the stock has an EPS Rank of 87 which is a GOOD score indicating consistency in earnings, a RS Rating of 53 which is POOR indicating the underperformance as compared to other stocks, Buyer Demand at A- which is evident from recent demand for the stock, Group Rank of 32 indicates it belongs to a strong industry group of Finance-Investment Mgmt and a Master Score of B is close to being the best. Institutional holding has gone up in the last reported quarter is a positive sign. Overall, the stock is lagging behind in some of the technical parameters, but great earnings make it a stock to examine in more detail.

EPS Strength

Price Strength

Buyer Demand

Group Rank

Bajaj Holdings & Investment Financials
IndicatorSep 2023Jun 2023Mar 2023Dec 2022Sep 2022Jun 2022Mar 2022
Oper Rev Qtr Cr 1,6649877911,6248479
Operating Expenses Qtr Cr 28322433303225
Operating Profit Qtr Cr 1,6366753581,5935254
Depreciation Qtr Cr 8888888
Interest Qtr Cr 1151111
Tax Qtr Cr 72181416241315
Net Profit Qtr Cr 1,5715545491,5744346
IndicatorMar 2023Mar 2022
Total Revenue Annual Cr 1,9371,833
Operating Expenses Annual Cr 11997
Operating Profit Annual in Cr 1,7561,679
Depreciation Cr 3232
Interest Annual Cr 73
Tax Annual Cr 6771
Net Profit Annual Cr 1,7121,631
IndicatorMar 2023Mar 2022
Cash from Operating Activity Annual Cr 1,6691,564
Cash from Investing Activity Annual Cr -133-89
Cash from Financing Annual Activity Cr -1,532-1,475
Net Cash Flow Annual Cr 40
IndicatorMar 2023Mar 2022
Total ShareHolders Funds Annual Cr 15,66515,388
Fixed Assets Annual Cr 265297
Total Non Current Assets Annual Cr 461449
Total Current Assets Annual Cr 15,86015,620
Total Assets Annual Cr 16,32116,069
IndicatorMar 2023Mar 2022
Book Value Per Share Annual Rs 1,4081,383
ROE Annual % 1111
ROCE Annual % 1111
Total Debt to Total Equity Annual --
EBDIT Annual Margin % 9798
IndicatorSep 2023Jun 2023Mar 2023Dec 2022Sep 2022Jun 2022Mar 2022
Oper Rev Qtr Cr 22510487981889189
Operating Expenses Qtr Cr 34373437373733
Operating Profit Qtr Cr 1916752621515557
Depreciation Qtr Cr 8898888
Interest Qtr Cr 0021111
Tax Qtr Cr 74181417201416
Net Profit Qtr Cr 1,4911,4161,3531,2861,2439691,105
IndicatorMar 2023Mar 2022
Total Revenue Annual Cr 527487
Operating Expenses Annual Cr 142117
Operating Profit Annual in Cr 322312
Depreciation Cr 3434
Interest Annual Cr 73
Tax Annual Cr 65100
Net Profit Annual Cr 4,8514,056
IndicatorMar 2023Mar 2022
Cash from Operating Activity Annual Cr 1,7281,610
Cash from Investing Activity Annual Cr -137-151
Cash from Financing Annual Activity Cr -1,587-1,460
Net Cash Flow Annual Cr 4-1
IndicatorMar 2023Mar 2022
Total ShareHolders Funds Annual Cr 44,18342,842
Fixed Assets Annual Cr 278310
Total Non Current Assets Annual Cr 476464
Total Current Assets Annual Cr 52,71253,124
Total Assets Annual Cr 53,18853,588
IndicatorMar 2023Mar 2022
Book Value Per Share Annual Rs 4,6334,635
ROE Annual % 119
ROCE Annual % 11
Total Debt to Total Equity Annual --
EBDIT Annual Margin % 8386

Bajaj Holdings & Investment Technicals

EMA & SMA

Current Price
₹7,984.25
-96.15 (-1.19%)
pointer
  • Bullish Moving Average
  • ___
  • 16
  • Bearish Moving Average
  • ___
  • 0
  • 20 Day
  • ₹7,500.14
  • 50 Day
  • ₹7,276.31
  • 100 Day
  • ₹7,150.23
  • 200 Day
  • ₹6,897.86
  • 20 Day
  • ₹7,436.65
  • 50 Day
  • ₹7,120.68
  • 100 Day
  • ₹7,215.17
  • 200 Day
  • ₹6,890.67

Bajaj Holdings & Investment Resistance and Support

PIVOT
₹7,994.89
Resistance
First Resistance 8,069.77
Second Resistance 8,155.28
Third Resistance 8,230.17
RSI 69.75
MFI 81.89
MACD Single Line 159.57
MACD 226.60
Support
First Resistance 7,909.37
Second Resistance 7,834.48
Third Resistance 7,748.97

Bajaj Holdings & Investment Delivery and Volume

Period NSE + BSE Volume Avg NSE + BSE Delivery Volume Avg NSE + BSE Delivery Volume %
Day 28,683 852,459 29.72
Week 93,168 2,863,978 30.74
1 Month 40,365 1,652,927 40.95
6 Month 35,802 2,014,916 56.28

Bajaj Holdings & Investment Result Highlights

Bajaj Holdings & Investment Synopsis

NSE-Finance-Investment Mgmt

Bajaj Holdings & Inv is involved in the business activities of Trusts, funds and other financial vehicles. Company’s Total Operating Revenue is Rs. 1875.15 Cr. and Equity Capital is Rs. 111.29 Cr. for the Year ended 31/03/2023. Bajaj Holdings & Investment Ltd. is a Public Limited Listed company incorporated on 29/11/1945 and has its registered office in the State of Maharashtra, India. Company’s Corporate Identification Number(CIN) is L65100PN1945PLC004656 and registration number is 004656.
Market Cap 88,860
Sales 1,930
Shares in Float 5.45
No of funds 515
Yield 1.54
Book Value 5.67
U/D Vol ratio 1.9
LTDebt / Equity
Alpha 0.08
Beta 0.62

Bajaj Holdings & Investment

Owner NameSep-23Jun-23Mar-23Dec-22
Promoters 51.46%51.46%51.46%51.36%
Mutual Funds 4.55%3.76%3.68%3.64%
Insurance Companies 1.28%1.23%1.23%1.25%
Foreign Portfolio Investors 11.65%12.39%12.34%12.27%
Financial Institutions/ Banks 0.02%0.02%0.02%0.02%
Individual Investors 12.47%12.89%13.1%13.26%
Others 18.57%18.25%18.17%18.2%

Bajaj Holdings & Investment Management

Name Designation
Mr. Shekhar Bajaj Chairman
Mr. Niraj Bajaj Vice Chairman
Mr. Sanjiv Bajaj Managing Director & CEO
Mr. Manish Kejriwal Director
Dr. Arindam Bhattacharya Director
Mr. Pradip P Shah Director
Mr. D J Balaji Rao Director
Dr. Naushad Forbes Director
Mr. Anami N Roy Director
Mr. Madhur Bajaj Director
Mr. Rajiv Bajaj Director
Dr. Vidya Rajiv Yeravdekar Director

Bajaj Holdings & Investment Forecast

Price Estimates

2,000(9.8%)
1,758(-3.5%)
1,590(-12.7%)

Other Analyst Rating

Bajaj Holdings & Investment Corporate Action

Date Purpose Remarks
2023-10-27 Quarterly Results
2023-09-15 Interim Dividend
2023-07-27 Quarterly Results
2023-04-27 Audited Results & Final Dividend
2023-01-30 Quarterly Results
Date Purpose Remarks
2023-09-29 INTERIM Rs.110.00 per share(1100%)Interim Dividend
2023-06-30 FINAL Rs.13.00 per share(130%)Final Dividend
2022-09-23 INTERIM Rs.110.00 per share(1100%)Interim Dividend
2022-07-01 FINAL Rs.25.00 per share(250%)Final Dividend
2021-09-29 INTERIM Rs.90.00 per share(900%)Interim Dividend

Bajaj Holdings & Investment MF Shareholding

Name Amount(cr)
Parag Parikh Flexi Cap Regular Growth 44,038
Nippon India ETF Nifty Next 50 Junior BeES 3,590
HSBC Flexi Cap Fund - Growth 3,504
ICICI Prudential Nifty Next 50 Index Fund Growth 2,991
UTI Nifty Next 50 Index Fund Regular Growth 2,478

About Bajaj Holdings & Investment

Bajaj Holdings and Investment Ltd is an investment and finance company which focus on new business opportunities for their investments and holdings. It is an Indian based company formerly known as Bajaj Auto Ltd headquartered in Pune (Maharashtra). Bajaj Holdings and Investment Limited comes under Bajaj Group which is founded by Jamnalal Bajaj in 1926 in Mumbai. The group consists of 34 companies out of which Bajaj Holdings and Investment Ltd is a one company.

The company's primary source of income is dividends, interest, and investment gains. The firm invests in both publicly traded and unlisted companies. It also makes investments in fixed income securities such as government securities, commercial paper, corporate bonds, and so on.

Included in

BSE - Yes

NSE - Yes

Sensex - No

Nifty 50 - No

Other details

BSE - 500490

NSE - BAJAJHLDNG

Series - EQ

ISIN - INE118A01012

Bajaj Holdings and Investment Limited came into picture in 2007 after demerger of erstwhile Bajaj Auto Ltd into three entities -

●  Bajaj Auto Ltd

●  Bajaj Finserv Ltd and

●  Erstwhile Bajaj Auto Ltd (renamed as Bajaj Holdings & Investment Ltd) with effect from 1/4/2007


(1945 - 1960)

●  Incorporated as Bachraj Trading Corporation Pvt Ltd in 1945.

●  After 3 years in 1948 started importing two and three wheelers.

●  Obtained a licence of manufacturing two and three wheelers in 1959.
●   In 1960 it became a public limited company.

(1961 - 1990)

●  'Chetak' the famous scooter was introduced by Bajaj in 1972.

●  After 3 years, company formed a joint venture namely Maharashtra Scooters Ltd in 1975.

●  Company entered into a agreement with Moenka Motors Ltd to know their technical knowhow in 1979.

●  After a year companyinves ted around fifteen thousands dollars as a capital into Bajaj America.

●  In 1985 company formed a manufacturing unit at Waluj Aurangabad.

●  And after with in a span of 5 years, Bajaj Introduced Bajaj M-80, Bajaj Sunny, Kawasaki Bajaj 4s and Kawasaki Bajaj KB 100 in collaboration with Kawasaki of Japan. 

(1991 - 2000) 

●  Company signed an agreement with Japanese based company Kubota for development of diesel engines for three-wheelers and for the I feared scooters and moved development.

●  After two years, Bajaj introduced Kawasaki Bajaj Boxer and the RE diesel Autorickshaw in 1997.

●  In 1999, company Bajaj inaugurated their third manufacturing plant at Chakan in Pune.

●  In the same year, Bajaj also introduced Kawasaki Bajaj Boxer and the RE diesel Autorickshaw.

(2000 - 2022)

●  Bajaj design pulsar bike during 2001 and updated Kawasaki boxer to Caliber Croma.

●  In the same year they also developed Chetak into four stroke of 112cc

●  In 2002 they launched 115 motorcycle of caliber which is popularly known as 'Hoodibaba' and 100cc bike for entry level.

●  After two years, Bajaj launched their one of the most popular bike known as Discover.

●  In Pune, company incorporated a exclusively new Pro-biking showroom

●  In the same year, on November 2004 they upgraded their bike of Pulsar 150 and Pulsar 180 with an additional feature of Exhaustec and Nitrox Gas Shock Absorber.

●  The company is continuously engaged in manufacturing of motor cycles and vehicles till 2007.

●  BHIL's BOD on 31/10/2007 approved delisting the company's GRDs from the London Stock Exchange.

Financials of Bajaj Holdings as of 31/3/22 (all figure are in crores)

Income (P&L) 

Total Incomes - 105.35
Total Expenses - 41.05
EBIT - 64.03
Profit after Tax - 1105.39

Balance Sheet 

Total Asset - 53,587.63
Total Liabilities - 2007.13
Total Equity - 51,580.5

Key Ratios (%)

Return on Equity - 9.46
Return on Capital Employed - 0.62
Return on Assets - 7.56
EBITDA Margin - 85.89

Bajaj Holdings & Investment FAQs

What is Share Price of Bajaj Holdings & Investment ?

Bajaj Holdings & Investment share price is ₹7,984 As on 11 December, 2023 | 01:13

What is the Market Cap of Bajaj Holdings & Investment ?

The Market Cap of Bajaj Holdings & Investment is ₹88859.5 Cr As on 11 December, 2023 | 01:13

What is the P/E ratio of Bajaj Holdings & Investment ?

The P/E ratio of Bajaj Holdings & Investment is 16 As on 11 December, 2023 | 01:13

What is the PB ratio of Bajaj Holdings & Investment ?

The PB ratio of Bajaj Holdings & Investment is 1.7 As on 11 December, 2023 | 01:13

Is it a good time to invest in Bajaj Holdings & Investment Limited?

Bajaj Holdings & Investment has an operating revenue of Rs.437.48 Cr. on a trailing 12-month basis. An annual revenue growth of 6% is not great, Pre-tax margin of 80% is great. The stocks recommendation is 'buy'.

How many times have Bajaj Holdings & Investment Limited given dividends since 2001?

Bajaj Holdings & Investment Ltd. has declared 23 dividends since June 29, 2001.

What is the stock price CAGR of Bajaj Holdings & Investment Limited?

The stock price CAGR of Bajaj Holdings & Investment Limited for 10 Years is 23%, 5 Years is 23%, 3 Years is 21%, 1 Year is 67%.

What is the ROE of Bajaj Holdings & Investment Limited?

The ROE of Bajaj Holdings & Investment Limited is 9% which is fair but needs improvement.

Who is the Managing Director of Bajaj Holdings & Investment Limited?

Mr. Sanjiv Bajaj is the Managing Director of Bajaj Holdings & Investment Limited.

How to buy Bajaj Holdings and Investment shares?

You can buy the shares of Bajaj Holdings by creating a demat account from 5paisa.com and getting your KYC documents verified

Who are the peers of Bajaj Holdings and Investment Ltd?

HDFC Assets Management Company Ltd

Nippon Life India Asset Management Ltd

IIFL Wealth Management Ltd

What is the PB of Bajaj holdings and Investment Limited?

The P/B of Bajaj holdings is 1.08

Q2FY23