Bajaj Holdings And Investment Ltd Analysis

Company Introduction

Founding Year: 1945

Headquarters Location: Mumbai, India

Core Business Summary: Bajaj Holdings & Investment Ltd is a holding company that invests in and manages various businesses, including finance, insurance, and automotive.

Overview

Bajaj Holdings And Investment Ltd (BAJAJHLDNG)

Current Price
₹ 12,146
PE Ratio
16.10
EPS
755
Market Cap
₹ 135,177 Cr

Company Overview

Industry Sector: Financial Services

Financials

2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
Revenue 470 842 420 431 435 457 484 522 1,702 739
YoY % +79.1% -50.1% +2.6% +0.9% +5.1% +5.9% +7.9% +226.1% -56.6%
EBITDA 434 633 360 351 334 386 401 414 1,596 593
YoY % +45.9% -43.1% -2.5% -4.8% +15.6% +3.9% +3.2% +285.5% -62.8%
Net Profit 2,265 2,473 2,655 3,048 3,080 3,654 4,126 4,946 7,365 6,626
YoY % +9.2% +7.4% +14.8% +1.0% +18.6% +12.9% +19.9% +48.9% -10.0%
EPS 203.54 222.22 238.54 273.90 268.84 327.95 364.41 435.83 652.98 585.90
YoY % +9.2% +7.3% +14.8% -1.8% +22.0% +11.1% +19.6% +49.8% -10.3%

Growth Drivers

Historical Growth Drivers: Strategic investments, diversification, and strong brand presence

Future Growth Drivers: Digital transformation, expansion into new markets, and increasing demand for financial services

Examples: Bajaj Finance's digital platform, Bajaj Allianz's insurance products, and Bajaj Auto's export growth

Market Position

Competitive Position: Strong brand presence and diversified portfolio

Estimated Market Share: 5-7% in the Indian financial services sector

Technological Maat: Investments in digital platforms and data analytics

Strengths

  • Bajaj brand valued at over ₹1,000 billion
  • Investments across finance, insurance, and automotive sectors
  • Revenue growth of 15.1% and net profit growth of 21.1% in FY2022
  • Leadership team with average experience of over 20 years

Weaknesses

  • Changes in government regulations and policies
  • Increasing competition from new entrants and established players
  • Exposure to economic downturns and industry cycles
  • Dependence on key personnel and leadership team

Valuations

Valuations for BAJAJHLDNG

Formula Bull Base Bear Margin of Safety
Ben Graham ₹ 13,516 ₹ 13,516 ₹ 4,980 10.1%
Peter Lynch ₹ 5,859 -107.3%
PEG Ratio: 2.26

Rule of thumb (Lynch):
PEG ≈ 1 → Fairly valued
PEG < 1 → Undervalued (growth cheap relative to earnings)
PEG > 1.5 → Overvalued

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Outlook

Balanced Analysis: The company's strong brand presence, diversified portfolio, and investments in digital platforms position it for growth, but regulatory risks, competition, and cyclical exposure pose challenges.

Opportunities: Growing demand for financial services, increasing digitalization, and expansion into new markets

Risks: Regulatory changes, competition, and economic downturns

Horizon: 3-5 years

Stock Price Performance

2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
Price 1,482.35 2,168.25 2,622.85 3,352.15 1,754.55 3,338.70 5,398.85 5,819.50 8,407.55 11,911.45
YoY % +46.3% +21.0% +27.8% -47.7% +90.3% +61.7% +7.8% +44.5% +41.7%
* The price is shown as of 01 April each year.

Stock 3 Year Rolling CAGR

Metric 2018 2019 2020 2021 2022 2023 2024 2025 Average
Revenue -3.68% -20.01% 1.18% 1.97% 3.62% 4.53% 52.07% 12.29% 6.50%
EBITDA -6.04% -17.84% -2.47% 3.22% 6.28% 2.36% 58.48% 12.72% 7.09%
Net Profit 5.44% 7.22% 5.07% 6.23% 10.24% 10.62% 21.31% 10.24% 9.55%
EPS 5.43% 7.22% 4.07% 6.19% 10.67% 9.94% 21.46% 10.37% 9.42%
Price 20.95% 15.63% -12.54% -0.13% 45.45% 20.35% 15.91% 26.97% 16.57%

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