FUTURE BAJAJ FINANCE Share Price Today

  • FUTURE BAJAJ FINANCENSE FUT

    3333.90 -12.20 (-0.36%)

  • VOL
    2737250
  • OPEN
    3362.90
  • HIGH
    3384.80
  • LOW
    3317.40
  • PREV CLOSE
    3333.90
  • UPDATED
    19,Aug 00:00
  • DL Recommends: Risky
  • This stock has been recommended Risky stock because some of the parameters are very very high in spite the company is in profit.

Key Fundamentals of BAJAJ FINANCE

  • Sector:
  • FINANCIAL SERVICES
  • Category:
  • Large Cap
Profit after Tax 3994.99 Book Value 337.30
PE Ratio 48.31 Institutions Holding 833
Market Capitalization 192991.69
Debt to Equity Ratio 5.19 EBIDTA 12786.05
Dividend Yield 0.18 Promoter's Pledge (%) 0.00

Correction Levels to Buy(From recent high)

Recent High 3772.65
10% Correction -
20% Correction -
30 % Correction -

Strong Support Technical Buy Levels(Monthly & Weekly Levels)

Week 3 Level, Current Month Level 3128.45
Week 4 Level, Month 1 Level 2996.35
Week 14 Level, Month 3 Level 2852.85
Week 23 Level 2762.90
Week 24 Level 2656.50
Month 5 Level 2651.90

Chart

We recomend to use Weekly and Monthly charts. Daily charts are also given which are used for exits. We donot recomend daily/intraday minuite, hourly charts. The major levels come from weekly and monthly charts which the FII, fund managers usually use for entry and profit exit.


Exchange Symbol BAJFINANCE (NSE)
Sector FINANCIAL SERVICES
Current Price * (Rs.) 3328.05
Face Value (Rs.) 2
52 Week High (Rs.) 3762.00 (05-Jul-19)
52 Week Low (Rs.) 1912.20 (08-Oct-18)
Life Time high (Rs.) 3762.00 (05-Jul-19)
Life Time low (Rs.) 18.91 (09-Mar-09)
Average Daily Movement [ADM] 99.56
Average Volume [20 days] 5629813
Average Value [1 Year] 540.93 (Cr)
1 Month Return (%) 0.14
Consolidated FY 15-16 PE Ratio 48.31
Consolidated Trailing PE Ratio 44.45
Standalone FY 15-16 PE Ratio 49.61
Standalone Trailing PE Ratio 46.29
Book Value 337.30
Market Cap 192991.69 (Cr)
% of Promoter holding pledged 0

Get to know the FUTURE BAJAJ FINANCE share price & overview of FUTURE BAJAJ FINANCE, 52 week highs/lows & lifetime highs/lows, average volume, adm & 1 month return %.

CIN: U67190WB2003PTC096617. Trading in Commodities is done through our Group Company Dynamic Commodities Pvt. Ltd. The company is also engaged in Proprietory Trading apart from Client Business.
“2019 © COPYRIGHT DYNAMIC EQUITIES PVT. LTD.”

Disclaimer: There is no guarantee of profits or no exceptions from losses. The investment advice provided are solely the personal views of the research team. You are advised to rely on your own judgment while making investment / Trading decisions. Past performance is not an indicator of future returns. Investment is subject to market risks. You should read and understand the Risk Disclosure Documents before trading/Investing.

Disclosure: We, Dynamic Equities Private Limited are also engaged in Proprietory Trading apart from Client Business. In case of any complaints/grievances, clients may write to us at compliance@dynamiclevels.com

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