Bajaj Holdings & Invs Share Price, Fundamentals and Financials
Track Bajaj Holdings & Investment Ltd live share price with 52 week high and low, chart views, fundamentals, financial highlights, shareholding pattern, ratios, peer comparison, dividends, bonuses/splits and beginner-friendly company details.
₹10,500.00
+₹36.00 · +0.34%
Symbol: BAJAJHLDNG.NSExchange: NSIUpdated: 17 Jun 2026, 19:46:07 IST
Bajaj Holdings price chart
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Quick Fundamentals
Market Cap—Latest available market feedCurrent Price₹10,500.00Latest available market price52W High / Low— / —Latest available 52 week rangeStock P/E—Valuation multipleBook Value—Per shareDividend Yield—Trailing yieldPrice to Book—Book valuationEPS TTM—Trailing earnings per shareVolume1.24 KLatest available volume
Live fundamentals can differ across data vendors. Please verify the latest market cap, P/E, book value, dividend yield and 52 week range from NSE, BSE or official exchange filings before making decisions.
About Bajaj Holdings & Investment Ltd
Bajaj Holdings & Investment Ltd is the Bajaj Group’s investment holding company. Its purpose is different from an operating business: it holds strategic investments and manages financial investments instead of selling motorcycles, insurance policies or consumer loans directly to customers.
For beginners, the most important idea is that the company’s value is influenced by the value of its underlying investments. Investors often study the market value of its major holdings, dividend income, portfolio mix, cash flows, book value and whether the stock trades at a premium or discount to the estimated value of its investments.
Important monitorables include Bajaj Auto and Bajaj Finserv performance, dividend income, other investment returns, capital allocation, regulatory classification, promoter holding, liquidity, tax impact and changes in the holding company discount.
How to think about this company as a retail investor
Do not analyse Bajaj Holdings exactly like a lender or manufacturing company. A holding company’s profits may change due to dividends, investment income, portfolio gains and accounting treatment. Read the annual report notes and official filings along with the share price chart.
Business Segments and Revenue Drivers
The company is best understood through its investment buckets rather than customer-facing product lines. Its reported income can include dividends, interest, gains on investments and returns linked to its strategic portfolio.
Educational view of business drivers
Segment / Driver
What it Includes
Why it Matters
Strategic investments
Long-term holdings in Bajaj Group companies
Drives net asset value, dividends and market perception
Other investments
Debt, equity and treasury-style investment portfolio
Can affect income, liquidity and balance sheet strength
Investment income
Dividends, interest, gains and fair value movements
Can make annual profit uneven compared with operating companies
Shareholder returns
Dividends and capital allocation decisions
Important for retail investors tracking cash returns
Segment and portfolio details can change. Verify the latest investment schedule, related-party disclosures and notes to accounts from the company’s annual report and exchange filings.
Shareholding Pattern
Shareholding pattern in percentage
Category
Mar 2024
Mar 2025
Mar 2026
Promoters
51.46%
51.46%
51.46%
FIIs
11.53%
10.56%
9.62%
DIIs
6.09%
7.30%
8.08%
Public
30.90%
30.69%
30.85%
No. of Shareholders
60,774
69,354
83,963
Shareholding numbers are educational snapshots. Always verify the latest promoter, FII, DII and public holding from quarterly exchange filings before relying on them.
Profit and Loss Highlights
For a holding company, annual profit can be affected by dividend flows, investment income and portfolio-related gains. Compare several years instead of focusing on one quarter or one year only.
Consolidated figures in ₹ crore
Particulars
Mar 2024
Mar 2025
Mar 2026
Sales / Income from Operations
₹1,702 Cr
₹739 Cr
₹1,070 Cr
Expenses
₹140 Cr
₹180 Cr
₹162 Cr
Operating Profit
₹1,562 Cr
₹559 Cr
₹907 Cr
Other Income
₹5,967 Cr
₹6,224 Cr
₹9,182 Cr
Profit Before Tax
₹7,493 Cr
₹6,748 Cr
₹10,057 Cr
Net Profit
₹7,365 Cr
₹6,626 Cr
₹9,789 Cr
EPS
₹652.98
₹585.90
₹865.89
Dividend Payout
20%
16%
23%
Financial numbers should be verified from official results, annual reports and stock exchange filings. Accounting classifications may change over time.
Balance Sheet Highlights
The balance sheet is especially important because investments form the core asset base. Investors should review investment value, reserves, borrowings, other liabilities and changes in total assets.
Consolidated figures in ₹ crore
Particulars
Mar 2024
Mar 2025
Mar 2026
Equity Capital
₹111 Cr
₹111 Cr
₹111 Cr
Reserves
₹54,136 Cr
₹62,576 Cr
₹73,039 Cr
Borrowings
₹63 Cr
₹31 Cr
₹10 Cr
Other Liabilities
₹10,851 Cr
₹12,547 Cr
₹12,027 Cr
Total Liabilities
₹65,161 Cr
₹75,266 Cr
₹85,187 Cr
Investments
₹64,715 Cr
₹73,808 Cr
₹84,865 Cr
Other Assets
₹203 Cr
₹1,254 Cr
₹142 Cr
Total Assets
₹65,161 Cr
₹75,266 Cr
₹85,187 Cr
Balance sheet values are educational snapshots. Confirm the latest investment carrying value, reserves, liabilities and asset schedule from official filings.
Cash Flow Highlights
Cash flow can look uneven for investment companies because purchases, sales, dividends and financing decisions may vary from year to year. Review the notes to understand the reason behind large inflows or outflows.
Consolidated figures in ₹ crore
Particulars
Mar 2024
Mar 2025
Mar 2026
Cash from Operating Activity
₹1,941 Cr
-₹1,957 Cr
₹4,780 Cr
Cash from Investing Activity
-₹472 Cr
₹3,054 Cr
-₹3,695 Cr
Cash from Financing Activity
-₹1,455 Cr
-₹1,055 Cr
-₹1,156 Cr
Net Cash Flow
₹14 Cr
₹43 Cr
-₹71 Cr
Free Cash Flow
₹1,941 Cr
-₹1,865 Cr
₹4,781 Cr
CFO / Operating Profit
133%
-233%
624%
Cash flow data should be cross-checked with the latest annual report and exchange filings, especially when investing and financing flows are large.
Key Ratios
Ratios for Bajaj Holdings should be interpreted differently from an operating lender or manufacturer. Price-to-book, return ratios, dividend payout, investment portfolio value and holding company discount can be more relevant than only revenue growth.
Key return and growth ratios
Metric
Mar 2024
Mar 2025
Mar 2026
ROCE
13%
10%
11%
ROE
12%
12%
12%
Compounded Sales Growth
10Y: 9%
5Y: 19%
3Y: 27%
Compounded Profit Growth
10Y: 14%
5Y: 18%
3Y: 19%
Stock Price CAGR
10Y: 21%
5Y: 24%
3Y: 15%
Dividend Payout
20%
16%
23%
Peer Comparison
Peer comparison is only indicative because Bajaj Holdings is a holding company. Compare it separately with operating NBFCs and with investment holding companies to avoid misleading conclusions.
Selected financial services and holding-company comparables
Company
Primary Nature
Valuation Lens
How to Compare
Bajaj Holdings & Investment Ltd
Investment holding company
P/E, P/B, discount to portfolio value
Study portfolio value and holding company discount
Bajaj Finserv Ltd
Financial services holding and operating group
P/E, subsidiary performance, insurance and lending exposure
Compare exposure to insurance, lending and investments
Bajaj Finance Ltd
Retail and SME finance company
P/E, P/B, AUM growth and credit cost
Compare lending growth, margins and asset quality
Maharashtra Scooters Ltd
Bajaj Group-linked holding company
P/B and holding discount
Compare concentration, dividend income and liquidity
Cholamandalam Investment & Finance
Operating NBFC lender
P/E, P/B, AUM growth and asset quality
Compare operating lending risk, not just holdings
Peer market data changes daily. Use latest NSE/BSE data and company filings for market cap, valuation multiples and financial ratios.
Dividends, Bonuses and Splits
Dividends
Year
Dividend Detail
Note
FY 2025-26
Dividend payout ratio shown at 23%
Verify per-share dividend, record date and payment date from official exchange filings
FY 2024-25
Dividend payout ratio shown at 16%
Check the annual report and company dividend history before relying on historical figures
FY 2023-24
Dividend payout ratio shown at 20%
Dividend eligibility depends on record date and demat holding status
Bonuses / Splits
Action
Detail
Note
Bonus History
Check official shareholder guide and exchange corporate action records
Bonus ratios and dates should be verified from company, NSE and BSE records
Split History
No live split figure is assumed on this page
Verify any split, face value change or record date from official exchange filings
Face Value
₹10.00 commonly shown in market reference pages
Face value can change after corporate actions, so confirm from current filings
Corporate action details such as dividend amount, record date, ex-date, bonus ratio, split ratio and face value must be verified from the company, NSE and BSE filings before use. This page is educational and does not determine eligibility.
Bajaj Holdings customer and investor FAQs
These FAQs help beginners understand Bajaj Holdings & Investment Ltd beyond the share price, including business model, investment portfolio, risks, dividends, corporate actions and useful monitorables.
What is Bajaj Holdings & Investment Ltd?
Bajaj Holdings & Investment Ltd is an investment holding company from the Bajaj Group. It mainly owns long-term strategic stakes in Bajaj Group companies and manages an investment portfolio. Retail investors usually track it as a holding company rather than as an operating manufacturer or lender.
What is the NSE symbol of Bajaj Holdings & Invs?
The NSE symbol is BAJAJHLDNG and the Yahoo Finance-compatible symbol used on this page is BAJAJHLDNG.NS. The BSE code is 500490 and the ISIN is INE118A01012. Users should verify identifiers from NSE, BSE or company filings before placing orders.
How does Bajaj Holdings make money?
The company earns mainly from dividends, interest income, gains or fair value changes from investments, and returns from its strategic holdings. Because it is a holding company, its performance is strongly linked to the market value and dividends of its investee companies.
Which companies are important for Bajaj Holdings investors to track?
Investors commonly monitor Bajaj Auto, Bajaj Finserv and other Bajaj Group-linked investments because changes in these holdings can influence the company’s net asset value, dividend income and market perception.
Is Bajaj Holdings an operating company or a holding company?
It is primarily a holding and investment company. Investors should study investment portfolio value, dividend inflows, holding company discount, capital allocation and related-party exposure instead of evaluating it only like a normal operating company.
What should beginners check before tracking Bajaj Holdings share price?
Beginners should check the live share price, 52 week high and low, market capitalisation, book value, price-to-book ratio, dividend yield, investment portfolio composition, shareholding pattern, annual report and exchange filings.
What is holding company discount and why does it matter here?
A holding company discount means the stock may trade below the market value of its underlying investments because of taxes, liquidity, control, capital allocation and shareholder return expectations. This is an important concept when studying Bajaj Holdings.
Does Bajaj Holdings pay dividends?
Bajaj Holdings has historically paid dividends, but dividend amount, record date and eligibility can change each year. Investors should verify the latest dividend declaration, record date and payment details from official NSE, BSE and company filings.
Has Bajaj Holdings announced any bonus or stock split?
Bonus and split details should always be verified from the company’s official shareholder guide, NSE filings and BSE corporate action records. This page is educational and does not replace official corporate action documents.
What are the main risks for Bajaj Holdings investors?
Key risks include market value changes in investee companies, concentration in group holdings, holding company discount, changes in dividend income, regulatory changes for NBFC investment companies, taxation, lower liquidity and broader equity market volatility.
How should investors read Bajaj Holdings financial statements?
For a holding company, profit may include dividend income, investment income and fair value or sale-related gains. Investors should read financial statements together with notes to accounts, investment schedule, related-party disclosures and management commentary.
Is Bajaj Holdings suitable for short-term trading or long-term investing?
This page does not provide buy, sell or hold recommendations. Short-term traders may focus on price momentum and liquidity, while long-term investors may study portfolio value, dividend policy, management quality, valuation versus net asset value and risk appetite.
Where can investors find the latest official information on Bajaj Holdings?
The latest official information should be checked from the company investor relations website, annual reports, quarterly results, NSE filings, BSE filings and corporate action announcements.
How does Bajaj Holdings compare with Bajaj Finance or Bajaj Finserv?
Bajaj Finance and Bajaj Finserv are operating financial services businesses, while Bajaj Holdings is mainly an investment holding company. Their revenue drivers, valuation approach, risks and balance sheet interpretation can be very different.