BAJAJ FINANCE LTD
2024W13
Asset class
C4_Shares
Geographical zone
5_WORLD
Asset type
MSCI_India
Activity sector
Financials
ADAM score (9 to 20)
12
ESG score (0 to 20)
0.0
Market Cap. €bn
49.9
Quotation currency
INR
ISIN code
INE296A01024
Link to investor paqeLink to finance siteAnalysis of weekly valuations of the share BAJAJ FINANCE LTD. This asset is quoted in INR. The valuations are in EURO equivalent and cover the weeks 2002W27 to 2024W13. The income from this financial asset has been taken into account since the week 2003W28. The ESG rating for this asset is not known.
Growth stab. (0 to 20)
7.2
Sharpe ratio
0.90
LT return %
42.9
LT recurring inc. %
3.0
LT return vs index %
33.9
Price-to-book
7.5
PER (TTM)
32.0
Chowder 5A (div%+div slope%)
0.0
1y Target Est (CV€)
0.0
Price level (in % or 0 to 20)
0.0
Bollinger Ratio 20 w.
-0.10
% of 1y positive return
80.3
Max drop in one week %
40.6
LT volatility %
47.3
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