Financial Services - Investment & Credit Company (NBFC-ICC)
Strategic Profile
Post-demerger, BHIL retained all businesses and properties, assets, investments, and liabilities of the erstwhile Bajaj Auto Ltd other than the manufacturing undertaking and strategic business undertaking. The company's investment portfolio primarily consists of strategic investments in group companies and financial investments in capital markets. The company leverages its diversified holdings across automobiles and financial services to generate strong shareholder returns through dividends and capital appreciation.
Cyborg Score Rationale
Net profit rose 8.54% to Rs 1559.02 crore in Q3 FY2026 with solid fundamentals. Recent acquisition of 17.56% equity in Bajaj General and Bajaj Life demonstrates strategic portfolio expansion, with collective holdings reaching 97% in both companies. Dominant market position through high-quality holdings in blue-chip group companies provides stability.
Top Insights
Acquired 17.56% equity in Bajaj General and Bajaj Life from Allianz SE in February 2026, expanding insurance exposure with collective holdings reaching 97%
Bajaj Auto Ltd. recorded a remarkable 132% return during FY2024, significantly enhancing the investment value of holdings
BHIL holds 30%+ shares each in BAL and BFS, maintaining control over key group entities
Revenue grew 14.79% yearly over 5 years, slightly outpacing industry average of 14.51%
Named Competitors
Tata Group Holdings — Diversified conglomerate holding company
Reliance Industries — Energy and financial services conglomerate
Mahindra Group Holdings — Diversified automotive and industrial holdings
Recent Developments
(Feb 2026) Acquired 17.56% equity in Bajaj General and Life from Allianz SE for ₹16,330.85 crore
(Feb 2026) Chief Investment Officer Purav Jhaveri resigned for external career opportunities
(Dec 2025) Q3 net profit reached ₹1,559 crore, up 8.54% YoY
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