Mobile Trading

BAJAJ HOLDINGS & INVESTMENT LTD.

NSE : BAJAJHLDNGBSE : 500490ISIN CODE : INE118A01012Industry : Finance - NBFCHouse : Bajaj
BSE11127.95-52 (-0.47 %)
PREV CLOSE ( ) 11179.95
OPEN PRICE ( ) 11224.45
BID PRICE (QTY) 11104.90 (2)
OFFER PRICE (QTY) 11125.70 (1)
VOLUME 1609
TODAY'S LOW / HIGH ( )11016.05 11224.45
52 WK LOW / HIGH ( )10264 14873.2
Select year
ParticularsMar2025Mar2024Mar2023Mar2022Mar2021
Operational & Financial Ratios
   Earnings Per Share (Rs)585.92653.00435.85364.42327.96
   CEPS(Rs)598.39664.82447.49373.74331.36
   DPS(Rs)93.00131.00123.00115.0040.00
   Book NAV/Share(Rs)5632.814874.433970.063849.603339.65
   Tax Rate(%)1.811.701.302.372.96
Margin Ratios
   Core EBITDA Margin(%)73.7291.4969.3972.6773.56
   EBIT Margin(%)986.14454.581081.35984.21944.49
   Pre Tax Margin(%)985.92454.451079.86983.48943.53
   PAT Margin (%)968.08446.711065.79960.14915.57
   Cash Profit Margin (%)973.01448.771073.08967.98924.00
Performance Ratios
   ROA(%)9.4412.459.268.339.34
   ROE(%)11.3314.9611.3710.3111.26
   ROCE(%)11.5415.2311.5310.5711.61
   Asset Turnover(x)0.010.030.010.010.01
   Sales/Fixed Asset(x)3.026.751.911.781.66
   Working Capital/Sales(x)0.070.680.980.710.79
Efficiency Ratios
   Fixed Capital/Sales(x)0.330.150.520.560.60
   Receivable days0.000.926.527.165.27
   Inventory Days0.000.834.034.273.18
   Payable days452.21152.14116.59183.96184.97
Valuation Parameters
   PER(x)21.2812.7013.5813.7810.04
   PCE(x)20.8412.4713.2313.449.94
   Price/Book(x)2.211.701.491.300.99
   Yield(%)0.751.582.082.291.21
   EV/Net Sales(x)202.6555.93141.86130.0091.60
   EV/Core EBITDA(x)212.8758.61170.87151.34102.24
   EV/EBIT(x)20.5512.3013.1213.219.70
   EV/CE(x)2.211.701.491.040.80
   M Cap / Sales202.7855.96141.95130.0891.81
Growth Ratio
   Net Sales Growth(%)-58.49255.258.017.661.46
   Core EBITDA Growth(%)-58.58308.314.393.2218.50
   EBIT Growth(%)-9.9549.3418.6712.1913.33
   PAT Growth(%)-10.0448.9019.8912.9018.63
   EPS Growth(%)-10.2749.8219.6011.1221.99
Financial Stability Ratios
   Total Debt/Equity(x)0.000.000.000.000.00
   Current Ratio(x)118.6435.133.994.353.55
   Quick Ratio(x)118.6435.083.974.313.53
   Interest Cover(x)4560.343469.75723.121342.56991.98
   Total Debt/Mcap(x)0.000.000.000.000.00

Stock Brokers can accept securities as margin from clients only by way of pledge in the depository system w.e.f. September 1, 2020.

Update your mobile number & email Id with your stock broker/depository participant and receive OTP directly from depository on your email id and/or mobile number to create pledge.

Pay 20% upfront margin of the transaction value to trade in cash market segment.

Investors may please refer to the Exchange's Frequently Asked Questions (FAQs) issued vide circular reference NSE/INSP/45191 dated July 31, 2020 and NSE/INSP/45534 dated August 31, 2020 and other guidelines issued from time to time in this regard.

Check your Securities /MF/ Bonds in the consolidated account statement issued by NSDL/CDSL every month.
.......... Issued in the interest of Investors

INVESTOR CHARTER
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RISK DISCLOSURES ON DERIVATIVES

  • 9 out of 10 individual traders in equity Futures and Options Segment, incurred net losses.
  • On an average, loss makers registered net trading loss close to ₹ 50,000.
  • Over and above the net trading losses incurred, loss makers expended an additional 28% of net trading losses as transaction costs.
  • Those making net trading profits, incurred between 15% to 50% of such profits as transaction cost.
Source: SEBI study dated January 25, 2023 on “Analysis of Profit and Loss of Individual Traders dealing in equity Futures and Options (F&O) Segment”, wherein Aggregate Level findings are based on annual Profit/Loss incurred by individual traders in equity F&O during FY 2021-22.