- DL Recommends: Moderate Sell
- This is recommended as Moderate sell as this stock is expected to do slightly worse than the overall stock market return.
Key Fundamentals of BAJAJ FINSERV
- Sector:
- INSURANCE
- Category:
- Large Cap
Profit after Tax | 3219.04 | Book Value | 2298.24 |
PE Ratio | 47.41 | Institutions Holding | 546 |
Market Capitalization | 152599.13 | ||
Debt to Equity Ratio | 4.20 | EBIDTA | 14691.84 |
Dividend Yield | 0.02 | Promoter's Pledge (%) | 0.00 |
Correction Levels to Buy(From recent high)
Recent High | 1447.80 |
10% Correction | 1303.02 |
20% Correction | 1158.24 |
30 % Correction | 1013.46 |
Strong Support Technical Buy Levels(Monthly & Weekly Levels)
Week 1 Level | 1405.00 |
Week 2 Level | 1397.05 |
Week 3 Level | 1363.10 |
Chart
We recomend to use Weekly and Monthly charts. Daily charts are also given which are used for exits. We donot recomend daily/intraday minuite, hourly charts. The major levels come from weekly and monthly charts which the FII, fund managers usually use for entry and profit exit.
Exchange Symbol | BAJAJFINSV (NSE) |
---|---|
Sector | FINANCIAL SERVICES |
Current Price * (Rs.) | 1439.15 |
Face Value (Rs.) | 5 |
52 Week High (Rs.) | 9619.00 (15-Jan-20) |
52 Week Low (Rs.) | 5855.00 (15-Feb-19) |
Life Time high (Rs.) | 9619.00 (15-Jan-20) |
Life Time low (Rs.) | 138.77 (03-Dec-08) |
Average Daily Movement [ADM] | 36.97 |
Average Volume [20 days] | 1548828 |
Average Value [1 Year] | 230.47 (Cr) |
1 Month Return (%) | 3.24 |
Consolidated FY 15-16 PE Ratio | 47.41 |
Consolidated Trailing PE Ratio | 40.80 |
Standalone FY 15-16 PE Ratio | 496.79 |
Standalone Trailing PE Ratio | 429.66 |
Book Value | 2298.24 |
Market Cap | 152599.13 (Cr) |
% of Promoter holding pledged | 0 |
Get to know the BAJAJ FINSERV share price & overview of BAJAJ FINSERV, 52 week highs/lows & lifetime highs/lows, average volume, adm & 1 month return %.