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Consolidated Quarterly Results (in ₹ Crores)

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Total Figures
QoQ Changes
Total Figures
Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025
Sales1,1131,2281,1881,1551,1181,2901,2651,0651,1071,051
Expenses1,0381,1711,1381,0801,0671,2021,1721,0311,0451,038
Operating Profit75585075528793336213
OPM %6.774.694.196.534.616.787.353.135.591.23
Other Income11432211151338233.05-19
Interest14201816171918181313
Depreciation27303032353641373735
Profit Before Tax455024381545711.5216-54
Tax %29.8325.99-19.8826.5912.3626.5517.1240.1336.3936.92
Net Profit323729281333590.919.86-34
EPS in Rs2.353.232.542.441.122.895.110.080.85-2.95

Consolidated Profit Loss (in ₹ Crores)

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Total Figures
YoY Changes
Total Figures
Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025TTM
Sales4,2984,7166,6794,9874,5854,8134,8894,6414,8284,738
Expenses4,0194,4146,3394,7794,2814,5634,5144,3824,5214,473
Operating Profit279302340208303250375260307265
OPM %6.506.415.094.186.615.207.665.606.375.60
Other Income30-366343955545867688
Interest8059118171767044637072
Depreciation30344474756974110144149
Profit Before Tax1631642417.16246166302173170133
Tax %37.1549.1536.31243.7423.2725.1828.7521.5021.3720.08
Net Profit10284154-10189124215136133106
EPS in Rs13.25-0.9016.3210.7418.9211.3311.553.09
Dividend Payout %27.7842.7423.180.000.0026.8821.3126.3925.95

Consolidated Balance Sheet (in ₹ Crores)

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Total Figures
YoY Changes
Total Figures
Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Equity Capital20202020232323232323
Reserves7338439161,0351,3251,5551,7091,8841,4181,702
Borrowings8215467181,58584150991101215243
Other Liabilities1,3821,6641,8122,5382,3782,1802,1692,9852,1772,251
Total Liabilities2,9573,0723,4665,1794,5674,2683,9924,9933,8334,219
Fixed Assets276310316393469405623640780794
CWIP217.856.349.45111844426313
Investments77727.651113131136176171390
Other Assets2,5832,6823,1364,7664,0753,7143,1894,1342,8193,023
Total Assets2,9573,0723,4665,1794,5674,2683,9924,9933,8334,219

Consolidated Cash Flows (in ₹ Crores)

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Total Figures
YoY Changes
Total Figures
Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Cash from Operating Activity305437-103-621658914449354347
Cash from Investing Activity-53-9036-1030.00-110-70-88-449-195
Cash from Financing Activity-239-36864713-604-771-139-133-146
Net Cash Flow13-21-3.26-110.00-5673223-2275.76

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Q3 FY26

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Frequently Asked Questions about Bajaj Electricals Ltd

Bajaj Electricals Ltd (BAJAJELEC) is currently trading at 356.80 per share. Stock prices fluctuate during market hours on NSE and BSE based on demand, company updates, and overall market conditions. Refer to the live price chart above for the most recent price movement.

Bajaj Electricals is a diversified Indian electricals company manufacturing and selling consumer appliances, fans and lighting products while delivering illumination EPC, transmission towers and exports; it operates through a pan-India network of ~850 distributors, 170,000+ retail outlets and 660+ service centres and leverages an Ranjangaon manufacturing base and longstanding brand partnerships. Q3 FY'26 delivered a mixed set: consolidated revenue fell 18.5% YoY to INR 1,051 crore driven by a 25.2% decline in Consumer Products while Lighting Solutions grew 9.1%, with consolidated PAT turning negative at INR (34) crore after exceptional labour-code and JV-related charges, reflecting tactical channel actions and operating deleverage. Management initiated a deliberate shift from volume-led primary loading to a demand-led, secondary offtake model to restore channel health; this tactical inventory normalization freed working capital, produced operating cash flow of ~INR 211 crore in Q3, and leaves Bajaj Electricals with a strong C&CE and surplus investments balance of c. INR 620 crore. The company is actively expanding adjacent portfolio lines—announcing entries into wires, switchgear and solar solutions while continuing heavy product launches across consumer and professional lighting; combined with its lighting EPC track record and awards for product design, this signals an intent to monetise distribution and engineering capabilities beyond legacy appliances.

Over the past 52 weeks, Bajaj Electricals Ltd has traded between a low of ₹350.00 and a high of ₹710.00. The 52-week high and low indicate the stock’s price range over the last year and help investors understand its volatility and recent trading levels.

Bajaj Electricals Ltd has a market capitalization of approximately 4,172.45. Market capitalization represents the total value of a company’s outstanding shares and helps investors understand its size, stability, and relative risk compared to other listed companies.

Bajaj Electricals Ltd’s investment profile depends on its business fundamentals, valuation, and long-term outlook. The stock currently trades at a PE ratio of 115.55 and operates in the Consumer Durables sector. Investors typically assess financial performance, growth prospects, and individual risk tolerance before making investment decisions.

Based on its market capitalization of 4,172.45 Cr, Bajaj Electricals Ltd is classified as a Small Cap stock. Large-cap stocks are generally more stable, while mid-cap and small-cap stocks tend to offer higher growth potential along with higher price volatility.

Bajaj Electricals Ltd operates in the Consumer Durables sector. Sector classification matters because companies in the same sector are often affected by similar economic conditions, regulatory changes, and competitive dynamics, which can influence overall stock performance.

The Price-to-Earnings (PE) ratio of Bajaj Electricals Ltd is 115.55. The PE ratio compares a company’s share price to its earnings and is commonly used to assess valuation. Comparing the PE ratio with sector peers and historical levels provides better context.

The key highlights were a 287% surge in standalone net profit to ₹129.21 crore, contrasted by a consolidated net loss of ₹30.85 crore, and an 18.5% year-on-year decline in revenue.

The stock surged after the company announced its strategic entry into the high-demand wires business, a move seen by investors as a positive step for diversification and long-term growth.