Bajaj Finance

500034 · BSE · INR

949,35 ₹

Cierre · 1 de octubre de 2026

En resumen

Crecimiento de los ingresos
+18,75 %
Ej. a mar 2026 frente a Ej. a mar 2025
Crecimiento del beneficio neto
+14,30 %
Ej. a mar 2026 frente a Ej. a mar 2025
Margen neto
43,3 %
Ej. a mar 2025: 45,0 %

Datos financieros

Importes en millones de INR; valores por acción en INR; acciones en millones.

Balance · Anual
PartidaEj. a mar 2026Ej. a mar 2025Ej. a mar 2024Ej. a mar 2023Ej. a mar 2022Ej. a mar 2021Ej. a mar 2020Ej. a mar 2019Ej. a mar 2018Ej. a mar 2017
Activo total5.599.5244.661.2683.757.4162.752.2632.125.0591.714.7041.643.9111.242.325847.983637.305
Activo corriente5.256.1924.357.0503.468.7412.562.1261.990.6501.650.1771.612.4771.222.671832.931588.660
Efectivo y equivalentes18.96936.42540.34515.50833.81418.49313.8273.4873.3823.261
Cuentas por cobrar5.016.6624.106.8393.285.2302.438.7151.929.4711.482.5781.425.7361.134.917797.996580.388
Inmovilizado material neto29.12927.15623.83716.91212.95910.48810.9735.2653.4622.875
Fondo de comercio32,732,732,732,732,732,732,732,732,732,7
Otros activos intangibles11.49811.0269.0646.9304.5133.1472.2051.6511.208752
Inversiones a largo plazo75.29633.31526.11220.60235.2773.9708.6315.0622.67440.695
Pasivo corriente1.952.7821.763.9721.468.1911.054.822843.351567.561546.766424.205263.852194.438
Proveedores706.373732.812622.150461.177319.566266.877221.891137.56882.3883.093
Deuda a largo plazo2.448.4481.885.7991.502.6181.139.299832.531773.529769.541619.906424.917331.160
Deuda total3.095.5602.417.4841.898.6341.503.4341.207.250966.5091.026.226758.917519.818403.271
Pasivo total4.429.6683.671.8992.990.4632.208.5431.687.9321.345.5201.320.6351.045.355689.504541.303
Patrimonio neto (incl. minoritarios)1.169.855989.369766.954543.720437.127369.184323.276196.970158.47896.003
Reservas839.950674.996490.762364.393260.585196.362152.405111.44374.36957.806
Intereses minoritarios29.86522.4400,0———————