BAJAJFINSV vs BAJFINANCE: Which Is Better on the Numbers?
Bajaj Finserv Ltd (BAJAJFINSV) trades at ₹1710 on a P/E of 27.4, while Bajaj Finance Ltd (BAJFINANCE) trades at ₹874 on a P/E of 28.8. On valuation, Bajaj Finserv Ltd is cheaper on earnings (P/E 27.4 vs 28.8). This is a data comparison, not a recommendation.
BAJAJFINSV vs BAJFINANCE — full comparison
| Metric | BAJAJFINSV | BAJFINANCE |
|---|---|---|
| Share price | ₹1,709.8 | ₹874.4 |
| P/E ratio (lower = cheaper) | 27.40 | 28.80 |
| ROE (higher = better) | 13.20% | 18.20% |
| ROCE (higher = better) | 10.50% | 10.80% |
| Dividend yield | 0.09% | 0.61% |
| Annualised return (history) | +7.4% | +15.0% |
| Volatility (lower = steadier) | 24% | 27% |
| 1-year forecast (Monte Carlo median) | ₹1,777.95 | ₹981.57 |
| Cheapest MTF margin | 22% (Dhan) | 23% (Dhan) |
How BAJAJFINSV and BAJFINANCE compare
- On valuation, Bajaj Finserv Ltd is cheaper on earnings (P/E 27.4 vs 28.8).
- On profitability, Bajaj Finance Ltd earns a higher return on equity (ROE 18.2% vs 13.2%).
- For income, Bajaj Finance Ltd pays a higher dividend yield (0.61% vs 0.09%).
- On recent momentum, Bajaj Finance Ltd has the stronger annualised return (+15.0% vs +7.4%).
- On risk, Bajaj Finserv Ltd has been less volatile (annualised volatility 24% vs 27%).
- For margin trading, Bajaj Finserv Ltd has the lower MTF margin requirement (22% via Dhan).
Not investment advice. This page compares publicly available metrics and a statistical forecast for information only. The 1-year forecast is a Monte Carlo projection from historical volatility, not a prediction. Do your own research or consult a SEBI-registered adviser before investing.
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