BAJAJFINSV.NS Bajaj Finserv Ltd.
54funnel
as of 2026-06-19
Key numbers
Market cap
₹2,82,664 Cr
Current price
₹1,768.3
52w high / low
—
Stock P/E
28.8
Book value
₹487.42
P/B
3.6
ROCE
—
ROE
12.6%
Computed from the latest reported financials and the current market price.
Who's the real player?
Strong90
A genuine play on this theme — most of its business sits right here.
NBFCs~85% core revenue
Is the business healthy?
Weak47
Shaky fundamentals — weak cash generation or a stretched balance sheet. Tread carefully.
- ⚠Weak FCF conversion (<50% of net income turns into free cash)
- ⚠Altman Z in distress zone (<1.8)
cashflow quality: 9.6capital efficiency: —growth quality: 99.3balance sheet: 0valuation: 100
FCF conversion
-579.0%
FCF margin
-44.4%
Accrual ratio
9.2%
ROCE
—
ROIC
—
Net debt / EBITDA
—
Interest coverage
—
Revenue CAGR
—
Piotroski F
1
Altman Z
0.8
P / FCF
-5.0
EV / EBITDA
—
- Strong growth quality
- Positive Piotroski score
Are the smart people buying?
Mixed56
No ownership-change data for this stock. Conviction is judged from capex and buyback signals alone.
Capex growth -22.3%Ownership-change data not available for this stock.
- High founder/insider ownership
- Significant insider net buys
- Buyback active
What is management saying?
No earnings-call transcript or filings found for this stock.
Is the price right?
DCF not meaningful here — no positive base FCF or share count — DCF not meaningful.
Through the masters' eyes
Each investor's numeric rules, checked against this stock's metrics: exact math, no guesswork. Tap one to see which rules pass, fail, and what to judge yourself.
Scoring this stock against the masters' frameworks…
Financial statements (INR)
↗ sourceCash-flow lines highlighted — we trust cash over reported profit.
| Line | 2026 | 2025 | 2024 | 2023 | 2022 |
|---|---|---|---|---|---|
| Revenue | 1.28T | 1.14T | 998.80B | 738.46B | — |
| Operating income | — | — | — | — | — |
| EBITDA | — | — | — | — | — |
| Net income | 98.01B | 88.72B | 81.48B | 64.17B | — |
| Operating cash flow | -553.01B | -617.50B | -655.02B | -394.80B | — |
| Capex | -14.48B | -18.64B | -14.35B | -12.20B | — |
| Free cash flow | -567.50B | -636.14B | -669.38B | -407.00B | — |
| Total assets | 7.58T | 6.52T | 5.38T | 4.06T | — |
| Total equity | 779.15B | 723.95B | 603.29B | 464.07B | — |
| Total debt | 3.61T | 2.84T | 2.29T | 1.68T | — |
| Cash & equivalents | 35.99B | 58.17B | 57.65B | 25.94B | — |
Technical entry
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