Bajaj Finance Ltd.

Bajaj Finance Ltd.

Bajaj Finance Ltd.

Date Founded



4th Floor,Bajaj Finserv Corporate Office,Ahmednagar Road, Viman Nagar,Pune, Maharashtra 411014

Type of Company


Employees (Worldwide)



Consumer Finance

Company Description

Bajaj Finance Ltd. is a non-banking financial company, which engages in the lending and allied activities. It offers consumer finance, SME finance, commercial lending, and investment. The company was founded on March 25, 1987 and is headquartered in Pune, India.

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Executives & Employees

Chief Financial Officer

Chief Operating Officer

Chief Compliance Officer

Chief Human Resources & Administration

Business Head, Loan Against Securities

Senior Vice President & Group Business Head-B2C Unsecured

Executive Vice President & Group Business Head-SME Business

Business Head, Insurance Services

Business Head-Digital Products Finance

Board of Directors

Former Chief Executive Officer at Bajaj Auto Ltd.

Chief Executive Officer, MD & Executive Director at Bajaj Finserv Ltd.

Former Chief Executive Officer at Citibank NA (India Branch)

Managing Director & Executive Director at Bajaj Auto Ltd.

Former Chairman, Western Region at Confederation of Indian Industry

Executive Chairman at Corporate & Economic Research Group Advisory Pvt Ltd.

Executive Chairman at Poddar Housing & Development Ltd.

Associate Member at The Indian Institution of Industrial Engineering

Former President at Bombay Gymkhana Ltd.

Professional at GlaxoSmithKline Pharmaceuticals Ltd.

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GIC-IM's investment teams manage a broad-based portfolio of asset classes. A focus on intrinsic value and price discipline guides them as they structure and pursue investment opportunities across asset classes and the capital structure. The team decides how to implement the asset policy mix in terms of the various investment strategies, proportion of funds to be actively/passively managed, allocation of risk capital and the selection of managers. The firm's portfolio managers then construct portfolios based on considerations of currency management, country selection, industry/sector allocation, yield curve management and security selection. GIC-IM's Board of Directors sets the policy asset mix and decides on a policy portfolio which specifies the allocation of funds to eligible asset classes. Investment decisions are based on analysis of fundamentals in line with long-term sustainable performance.

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SBI is an active manager which offers portfolios that has a focus on Indian securities. Portfolios offered in SBI separately managed accounts may be suitable for a wide variety of investors, but particularly for more conservative investors with long-term time horizons that seeks growth of capital or a high level of current income, investments in sound, well-managed companies that have long-term potential investments gains, and those who wish not to be led by the market's irrational and emotional behavior and desire an easy-to- understand strategy for investing in the stock and bond markets. SBI may also purchase, recommend and provide advice on investment in fixed rate instruments, foreign securities (particularly Indian securities), money market and other financial instruments, derivative and hybrid instruments and any other interest in any of the foregoing.

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Axis AMC's investment philosophy has three pillars: outside-in view; enduring wealth creation and; long-term relationships. The firm performs fundamental analysis to assess fair value of stocks in their universe, seeking to identify companies with sustainable earnings growth, potential, credible management and acceptable liquidity. They utilize a bottom-up approach to construct portfolios while adhering to top-down risk parameters, liquidity profiles and volatility targets. Decisions are driven by extensive macroeconomic and company research.

Key Stats and Financials As of 2019
Market Capitalization
Total Enterprise Value
Earnings Per Share
Net Profit
Total Debt
Total Equity
Enterprise Value Sales
Enterprise Value EBITDAOperating
TEVNet Income
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Three Year Compounded Annual Growth Rate Of Revenue
Five Year Compounded Annual Growth Rate Of Revenue
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