January 27, 2026 11:16 AM
Live Updates: Bajaj Finserv Ltd Stock Falls Today
Bajaj Finserv Ltd witnessed a -2.02% decrease in its share price, and it is currently trading at 1909.70. This decline has prompted discussions among investors regarding the stock's performance and outlook. The stock has a PE ratio of 16.1800, an ROE of 12.6562 and a debt to equity ratio of 5.1275.
January 27, 2026 10:18 AM
Real-Time Updates: Bajaj Finserv Ltd Share Price Down -2.02% Today
With a -2.02% decrease, Bajaj Finserv Ltd's share price is now 1909.70. Investors should examine the factors driving this decline. The stock's PE ratio is 16.1800, whereas the industry PE ratio stands at 19.9835.
January 27, 2026 9:18 AM
Bajaj Finserv Ltd Stock Slides Today
Bajaj Finserv Ltd observed a -2.21% decrease in its share price, a situation that merits attention. As of now, it's actively trading at 1905.90. The stock has a PE ratio of 16.1800, an ROE of 12.6562 and a debt to equity ratio of 5.1275.
January 27, 2026 8:18 AM
Bajaj Finserv Ltd Tumbles -0.99% in Today's Trading Session
After a -0.99% decline, Bajaj Finserv Ltd shares are now trading at 1929.80. The stock has a PE ratio of 16.1800, an ROE of 12.6562 and a debt to equity ratio of 5.1275.
January 27, 2026 7:18 AM
Today's Trading Session: Bajaj Finserv Ltd Share Price on the Decline
With a -0.46% decrease, Bajaj Finserv Ltd's share price is currently at 1940.00. This development raises questions about the factors behind the decline. The stock's PE ratio is 16.1800, while the industry PE is 19.9835.
January 27, 2026 6:18 AM
Today's Trading Session: Bajaj Finserv Ltd Stock Falls
With a -0.57% decrease, Bajaj Finserv Ltd's share price is now at 1937.90. The stock is currently trading at a PE of 16.1800, while the industry PE is 19.9835, prompting investors to assess its value proposition.
January 27, 2026 5:17 AM
Bajaj Finserv Ltd Stock Unmoved by Market Volatility
The share price of Bajaj Finserv Ltd remained stagnant, with no fluctuations. It is currently at 1949.00. Investors may use this stability as an opportunity to reevaluate their portfolios and risk tolerance.