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Bajaj Auto Ltd

Updated on October 16, 2020

Stock/Share Code - BAJAJ-AUTO

Bajaj Auto is engaged in the business of development, manufacturing and distribution of automobiles such as motorcycles, commercial vehicles etc. and parts thereof. The Company sells its products in India as well as in various other global markets.

Below is the details of BAJAJ-AUTO Bajaj Auto Ltd

Market Cap₹85,855 Cr.
Current Price ₹3,018 as on 21 Oct 20
52 Week High / Low Price₹3,315.15 / ₹1,788.65
Face Value₹10
Stock P/E19.07
Book Value₹688.59
Dividend Yield4.04 %
ROCE31.33 %
ROE24.42 %
Sales Growth (3yrs)11.21 %
IndustryAutomobiles - Scooters And 3 - Wheelers
Listed onBSE  AND  NSE
Company WebsiteCompany Website
Pros: Company is virtually debt free. Stock is providing a good dividend yield of 4.04%. Company has been maintaining a healthy dividend payout of 49.30%
Cons: The company has delivered a poor growth of 6.74% over past five years. Earnings include an other income of Rs.1630.19 Cr.

Bajaj Auto Ltd Price Chart

Bajaj Auto Ltd Price Chart

Bajaj Auto Ltd Peer Comparison in Automobile

S.No. Name CMP Rs. P/E Mar Cap Rs.Cr. Div Yld % NP Qtr Rs.Cr. Qtr Profit Var % Qtr Sales Var % Sales Qtr Rs.Cr. ROCE %
1. Bajaj Auto 19.07 ₹85,855.19 Cr. 4.04 ₹528.04 Cr. -53.09 -60.30 3079.24 31.33
2. Atul Auto ₹5,909.55 11.32 ₹389.16 Cr. 0.85 -₹6.77 Cr. -160.18 -82.03 26.55 24.20
3. Scooters India ₹274.95 ₹384.87 Cr. 0.00 -₹5.7 Cr. 14.29 -96.79 0.44 -21.83

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Bajaj Auto Ltd Fundamentals

Quarterly Results

Quarterly reports are issued by companies every three months. Most companies have a financial year-end of Mar. 31 and quarters that end on June 30, Sept. 30, Dec. 31 and March 31.

Standalone Figures in Rs. Crores

Sep 2017Dec 2017Mar 2018Jun 2018Sep 2018Dec 2018Mar 2019Jun 2019Sep 2019Dec 2019Mar 2020Jun 2020
Sales -6,5806,3886,7887,4658,0367,4367,4217,7567,7077,6406,8163,079
YOY Sales Growth %9%26%39%37%22%16%9%4%-4%3%-8%-60%
Expenses -5,2825,1385,4586,1266,6226,2236,1946,5586,4296,2725,5632,671
Material Cost %69%68%69%71%72%72%72%72%71%70%68%67%
Employee Cost %4%4%4%4%4%4%4%5%4%5%5%11%
Operating Profit1,2981,2501,3301,3391,4141,2131,2271,1981,2781,3671,253409
OPM %20%20%20%18%18%16%17%15%17%18%18%13%
Other Income296209352347310414710441393366533338
Profit before tax1,5171,3831,5941,6161,6531,5591,8761,5791,6091,6711,721682
Tax %27%31%32%31%30%29%30%29%13%25%24%23%
Net Profit1,1129521,0801,1151,1521,1021,3061,1261,4021,2621,310528
EPS in Rs38.4032.9037.3038.5039.8038.1045.1038.9048.5043.6045.3018.30

Profit & Loss

The profit and loss (P&L) statement is a financial statement that summarizes the revenues, costs and expenses incurred during a specified period, usually a fiscal quarter or year. The P&L statement is synonymous with the income statement. These records provide information about a company's ability or inability to generate profit" by increasing revenue, reducing costs or both. Some refer to the P&L statement as a statement of profit and loss, income statement, statement of operations, statement of financial results or income, earnings statement or expense statement.

Standalone Figures in Rs. Crores

Mar 2009Mar 2010Mar 2011Mar 2012Mar 2013Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020TTM
Sales -8,41811,49116,37719,51619,98020,08821,59322,57421,75525,21030,35829,91925,242
Sales Growth %-2.39%36.51%42.52%19.17%2.38%0.54%7.50%4.54%-3.63%15.88%20.42%-1.45%
Expenses -7,6429,38213,30815,82616,34215,98217,65817,78517,32820,37525,16524,82220,936
Material Cost %77%70%72%72%72%69%69%67%67%69%72%70%
Manufacturing Cost %2%2%2%2%2%3%4%3%3%3%2%3%
Employee Cost %7%5%3%3%3%4%4%4%5%4%4%5%
Other Cost %5%4%5%4%5%4%5%5%5%5%4%5%
Operating Profit7752,1093,0693,6913,6384,1063,9354,7894,4264,8355,1925,0964,307
OPM %9%18%19%19%18%20%18%21%20%19%17%17%17%
Other Income3294411,4035037957064231,0671,2181,2641,7811,7341,630
Profit before tax9532,4084,3484,0264,2664,6324,0855,5475,3365,7836,7036,5805,683
Tax %31%29%23%25%29%30%31%29%28%30%30%22%
Net Profit6541,7033,3403,0043,0443,2432,8143,9303,8284,0684,6755,1004,502
EPS in Rs20.7555.52108.9296.5197.53103.5887.29115.68132.27140.58161.56176.24155.70
Dividend Payout %49%34%35%43%43%45%51%40%42%43%37%68%

Compounded Sales Growth

  • 10 Years:: 10.04%
  • 5 Years:: 6.74%
  • 3 Years:: 11.21%
  • TTM:: -17.64%

Compounded Profit Growth

  • 10 Years:: 11.05%
  • 5 Years:: 11.74%
  • 3 Years:: 9.95%
  • TTM:: 1.23%

Return on Equity

  • 10 Years:: 7.55%
  • 5 Years:: 5.73%
  • 3 Years:: 0.62%
  • 1 Year:: 6.56%

Balance Sheet

A balance sheet is a financial statement that reports a company's assets, liabilities and shareholders' equity at a specific point in time, and provides a basis for computing rates of return and evaluating its capital structure. It is a financial statement that provides a snapshot of what a company owns and owes, as well as the amount invested by shareholders. It is used alongside other important financial statements such as the income statement and statement of cash flows in conducting fundamental analysis or calculating financial ratios.

Standalone Figures in Rs. Crores

Mar 2009Mar 2010Mar 2011Mar 2012Mar 2013Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020
Share Capital -145145289289289289289289289289289289
Equity Capital145145289289289289289289289289289289
Other Liabilities -2,4422,8604,0124,9184,4885,0804,7583,1023,6614,5955,4764,722
Trade Payables8001,5711,7891,9581,9802,1111,7612,0272,2363,2443,7873,200
Advance from Customers1201990279201449440175414328491254
Other liability items1,5221,0892,2232,6812,3082,5202,5589001,0121,0231,1981,268
Total Liabilities5,8817,1269,24811,08412,47914,74815,56216,48620,81523,81927,38024,773
Fixed Assets -1,5421,4801,4831,4821,8042,0061,9172,0262,0021,8781,7641,699
Gross Block3,3503,3793,3953,3963,8294,0774,1014,4354,6034,5194,2964,157
Accumulated Depreciation1,8081,9001,9121,9142,0242,0712,1842,4092,6012,6402,5322,458
Other Assets -2,5091,5842,9734,6783,9504,0484,2374,0884,0394,2966,4094,818
Trade receivables3592393604237687967177189531,4922,5601,725
Cash Equivalents1371012291,654559495586860294778923308
Loans n Advances1,6529871,3761,4781,6811,5421,7461,2361,5356601,122838
Other asset items23-190461444307575374555530624843883
Total Assets5,8817,1269,24811,08412,47914,74815,56216,48620,81523,81927,38024,773

Cash Flows

Cash flow is the net amount of cash and cash-equivalents being transferred into and out of a business. At the most fundamental level, a company’s ability to create value for shareholders is determined by its ability to generate positive cash flows, or more specifically, maximize long-term free cash flow.

Standalone Figures in Rs. Crores

Mar 2009Mar 2010Mar 2011Mar 2012Mar 2013Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020
Cash from Operating Activity -4132,7371,6143,1932,1343,5462,1473,6573,3394,2612,4903,862
Profit from operations1,2082,5873,4094,0103,8954,4564,0464,9314,6164,9245,2525,163
Loans Advances-169-20-1,068246-200106-15100000
Other WC items00-19-19-20330-3654554761,576491-350
Working capital changes-265868-822332-521404-6145452261,022-798376
Direct taxes-321-700-974-1,148-1,239-1,314-1,285-1,819-1,503-1,685-1,964-1,678
Exceptional CF items-209-180000000000
Cash from Investing Activity --209-2,164-623-682-1,278-2,141-414-30-3,687-1,894-2711,757
Fixed assets purchased00-207-391-549000-199-183-184-297
Fixed assets sold6939232071669137617
Investments purchased-7-2,112-608-100-1,363-7,426-4,919-6,270-5,783-7,484-9,601-3,518
Investments sold229435433485,4904,5656,3672,2005,5479,3555,346
Investment income00000-12511200000
Interest received77593273183012151259263701623
Dividends received0000027089013594234
Invest in subsidiaries-138-83-210-680000000-11
Investment in group cos0000-232-68000000
Other investing items-376-81-18-498496-1-2-423020-27-38
Cash from Financing Activity --123-609-862-1,564-1,479-1,468-1,644-3,384-190-1,885-2,074-6,247
Proceeds from borrowings24813145000000000
Repayment of borrowings-13-2480-15800000000
Interest paid fin-21-6-2-22-1-0-6-0-1-0-4-2
Dividends paid-288-317-578-1,154-1,300-1,302-1,445-2,863-173-1,588-1,736-5,195
Other financing items-49-50-428-230-179-166-193-521-17-296-335-1,049
Net Cash Flow81-35129947-622-6489242-538481144-628

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Mar 2009Mar 2010Mar 2011Mar 2012Mar 2013Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020
ROCE %36%66%75%73%60%52%42%46%35%32%31%31%
Debtor Days168881414121216223121
Inventory Turnover18.9520.7423.9223.1822.1021.9220.5919.8020.3423.8125.7220.86

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