Bajaj Finance Ltd
NSE:BAJFINANCE

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Bajaj Finance Ltd
NSE:BAJFINANCE
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Price: 6 896.8999 INR -0.11% Market Closed
Market Cap: 4.3T INR
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Balance Sheet

Balance Sheet Decomposition
Bajaj Finance Ltd

Current Assets 138.1B
Cash & Short-Term Investments 123.6B
Receivables 14.5B
Non-Current Assets 4.1T
Long-Term Investments 337.5B
PP&E 24.7B
Intangibles 9.8B
Other Non-Current Assets 3.7T
Current Liabilities 709.6B
Accounts Payable 28.5B
Other Current Liabilities 681.1B
Non-Current Liabilities 2.6T
Long-Term Debt 2.6T
Other Non-Current Liabilities 48.1B

Balance Sheet
Bajaj Finance Ltd

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Balance Sheet
Currency: INR
Mar-2015 Mar-2016 Mar-2017 Mar-2018 Mar-2019 Mar-2020 Mar-2021 Mar-2022 Mar-2023 Mar-2024
Assets
Cash & Cash Equivalents
2 279
13 275
3 250
3 382
3 470
13 779
21 622
36 785
15 508
106 240
Cash
419
693
0
0
0
334
3 129
2 713
0
40 345
Cash Equivalents
1 860
12 582
3 250
3 382
3 470
13 445
18 493
34 072
15 508
65 895
Total Receivables
0
1 989
4 662
6 389
8 976
9 525
10 969
12 659
12 997
17 335
Accounts Receivables
0
0
4 039
5 852
8 054
9 525
10 969
12 659
12 997
17 335
Other Receivables
0
0
623
537
922
0
0
0
0
0
Inventory
0
0
43
71
158
591
944
965
0
0
Other Current Assets
0
0
0
0
0
0
0
0
34 500
855
Total Current Assets
2 278
15 264
7 955
9 842
12 604
23 895
33 535
50 409
2 556 773
58 535
PP&E Net
2 183
2 430
2 875
3 462
5 265
10 973
10 488
12 959
16 912
23 837
PP&E Gross
2 183
2 430
2 875
3 462
5 265
10 973
10 488
12 959
16 912
23 837
Accumulated Depreciation
944
1 356
1 714
2 411
3 249
5 429
7 180
9 037
11 295
14 429
Intangible Assets
309
441
752
1 208
1 651
2 205
3 147
4 513
6 930
9 064
Goodwill
33
33
33
33
33
33
33
33
33
33
Note Receivable
315 928
438 439
554 929
791 768
1 127 044
1 416 399
1 468 683
1 916 722
2 425 296
3 266 475
Long-Term Investments
3 275
10 305
46 192
33 982
89 021
180 143
189 339
129 670
262 309
388 196
Other Long-Term Assets
2 131
2 820
6 668
7 689
6 707
8 550
9 480
9 529
10 314
10 998
Other Assets
1 694
33
33
33
33
1 751
33
1 252
1 522
311
Total Assets
327 798
N/A
469 731
+43%
619 403
+32%
847 983
+37%
1 242 325
+47%
1 643 914
+32%
1 714 704
+4%
2 125 054
+24%
2 752 287
+30%
3 757 416
+37%
Liabilities
Accounts Payable
2 737
3 349
2 881
4 460
5 638
7 620
8 843
11 693
14 521
20 640
Accrued Liabilities
5 748
11 522
0
0
0
0
0
0
3 419
0
Short-Term Debt
42 778
56 385
10 000
45 321
104 792
54 374
90 813
118 726
136 772
278 924
Current Portion of Long-Term Debt
41 033
60 992
0
0
0
0
0
0
359 690
0
Other Current Liabilities
2 346
1 794
44 031
80 615
135 636
217 449
261 605
312 905
456 144
612 023
Total Current Liabilities
94 642
134 042
56 912
130 396
246 066
279 443
361 261
443 324
1 062 019
911 588
Long-Term Debt
182 735
252 869
456 210
542 323
779 157
1 032 930
976 939
1 236 702
1 589 351
2 063 037
Other Liabilities
2 424
8 552
15 754
16 787
20 133
8 266
7 320
7 900
11 779
15 838
Total Liabilities
279 801
N/A
395 463
+41%
528 875
+34%
689 504
+30%
1 045 355
+52%
1 320 637
+26%
1 345 520
+2%
1 687 927
+25%
2 208 567
+31%
2 990 463
+35%
Equity
Common Stock
502
539
1 094
1 150
1 154
1 200
1 203
1 207
1 209
1 236
Retained Earnings
28 331
39 441
52 306
75 189
112 821
154 536
199 395
264 560
368 935
500 849
Additional Paid In Capital
19 166
34 291
37 103
82 237
82 988
168 414
169 785
172 178
174 410
265 820
Treasury Stock
2
3
0
0
0
0
0
0
0
0
Other Equity
0
0
26
98
7
874
1 198
818
834
952
Total Equity
47 997
N/A
74 268
+55%
90 528
+22%
158 478
+75%
196 970
+24%
323 276
+64%
369 184
+14%
437 127
+18%
543 720
+24%
766 954
+41%
Total Liabilities & Equity
327 798
N/A
469 731
+43%
619 403
+32%
847 983
+37%
1 242 325
+47%
1 643 914
+32%
1 714 704
+4%
2 125 054
+24%
2 752 287
+30%
3 757 416
+37%
Shares Outstanding
Common Shares Outstanding
500
535
547
575
577
600
602
603
604
618

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