Free Access to TSR Screeners - Sign Up for Your Weekend Pass
Asset Turnover ratio Analysis of Bajaj Finance - Deep Dive


Asset Turnover of BAJFINANCE
Mar-25
16.55
Not Good Asset Turnover
Mar-24
16.89
Not Good Asset Turnover
Growth
-1.98
%
Asset Turnover Analysis of Bajaj Finance
Asset Turnover Ratio of Bajaj Finance with value of 16.55 means shows the company does not utilize its assets efficiently to make profits.
Asset Turnover Ratio of BAJFINANCE has fallen by -1.98 % Compared to previous Financial Year.
Asset Turnover Ratio with value of 16.98 was highest in Year Mar-23 in last Five Years.
Asset Turnover Ratio with value of 15.89 was lowest in Year Mar-21 in last Five Years.
Latest Asset Turnover Ratio with value of 16.55 is lower than Average Asset Turnover of 16.56 in last five years.
Other Asset Turnover Related Info of BAJFINANCE that may interest you.
Bajaj Finance Overview
CodePricePrevious PricePrice ChangeSector
BAJFINANCE1000.001011.701.16 % Hire Purchase
Fundamental AnalysisTechnical Analysis
Defination of Asset Turnover
Asset turnover ratio is a profitability ratio that measures how efficiently a company utilizes its assets to generate revenue, and it is based on an annual basis. It is calculated by dividing total sales by average assets.   more ..
Asset Turnover Formula
   Asset Turnover Screener
Asset Turnover Related Ratios
ReturnOnAssetNetProfitMargin

Tsr Profitability Index
No Significant ProfitabilityScreener
FY - Historical Asset Turnover of Bajaj Finance
PeriodMar-25Mar-24Mar-23Mar-22Mar-21Mar-20Mar-19
Asset Turnover16.5516.8916.9816.4715.8918.2817.52
Change-1.98 %-0.512 %3.04 %3.67 %-13.05 %4.33 %2.24 %
Price894.56724.53561.68726.00514.99221.58302.50
Price Change23.47 %28.99 %-22.63 %40.97 %132.41 %-26.75 %71.14 %
You are view first 7 Records. Log in to view all 22 in Premium view
FY Chart of Asset Turnover of Bajaj Finance