Bajaj Holdings & Investment Limited — research summary
Price history, fundamentals, business-quality scores, DCF intrinsic value, shareholding, quarterly results and risk metrics for Bajaj Holdings & Investment Limited, explained in plain English.
- Bajaj Holdings & Investment Limited is tracked in the Financial Services sector of the NSE universe covered here.
- Reported fundamentals show return on equity of 11.6%, a net margin of 7.35%, debt to equity of 0.01.
- Our transparent MaxGrade checklist scores it D (38/100) across momentum, growth, profitability and safety, using Financial Services sector medians as the bar.
- Annualised volatility over the past year is 28.22% with a maximum drawdown of -33.46%.
Last traded values from 6 Oct 2026. Market closed.
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