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Bajaj Finance Ltd.
Swot
Bajaj Finance Ltd. SWOT Analysis: Strengths, Weakness, Opportunity, and Threats
Bajaj Finance Ltd. has 30 Strengths, 12 Weaknesses, 5 Opportunities and 2 Threats. The SWOT product gives you a quick x-ray of a stock's outlook and potential
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Strengths
(30)
Weakness
(12)
Opportunity
(5)
Threats
(2)
Others
(2)
Positive Breakout Third Resistance ( LTP > R3)
Benjamin Graham Value Screen
30 Day SMA crossing over 200 Day SMA, and current price greater than open
Companies with current TTM PE Ratio less than 3 Year, 5 Year and 10 Year PE
Buy Zone: Stocks in the buy zone based on days traded at current PE and P/BV
Strong Momentum: Price above short, medium and long term moving averages
Relative Outperformance versus Industry over 1 Month
Annual Profit Growth higher than Sector Profit Growth
PEG lower than Industry PEG
Stocks gaining versus previous close, open price and RSI
High Momentum Scores (Technical Scores greater than 50)
Good quarterly growth in the recent results
Relative Outperformance versus Industry over 1 Week
Relative Outperformance versus Industry over 1 Month
Increasing Revenue every Quarter for the past 8 Quarters
Increasing Revenue every Quarter for the past 4 Quarters
Increasing profits every quarter for the past 4 quarters
Annual Net Profits improving for last 2 years
Book Value per share Improving for last 2 years
Companies with Zero Promoter Pledge
Near 52 Week High
Decrease in Provision in recent results
RSI indicating price strength
High Volume, High Gain
MACD crossed above zero line previous end of day
Top Gainers
High Volume, High Gain
Volume Shockers
Stocks near 52 Week High with Significant Volumes
Insiders bought stocks
PE higher than Industry PE
Momentum Trap (DVM)
Stocks with Expensive Valuations according to the Trendlyne Valuation Score
Low durability companies
Performance of Stocks with Low Trendlyne Durability Score versus Benchmarks
Inefficient use of capital to generate profits - RoCE declining in the last 2 years
Inefficient use of shareholder funds - ROE declining in the last 2 years
Inefficient use of assets to generate profits - ROA declining in the last 2 years
Low Piotroski Score : Companies with weak financials
Declining Net Cash Flow : Companies not able to generate net cash
Red Flag: Resignation of Top Management
Stocks Underperforming their Industry Price Change in the Quarter
Brokers upgraded recommendation or target price in the past three months
Mutual Funds Increased Shareholding in Past Month
FII / FPI or Institutions increasing their shareholding
Mutual Funds Increased Shareholding over the Past Two Months
Mf buying for 2 months
MFs decreased their shareholding last quarter
Insiders sold stocks
Rising Delivery Percentage Compared to Prev Day
Average Bullish Trend - Stocks with Medium Trendlyne Momentum Score versus Benchmarks