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Bajaj Finserv Q4 FY26: Profit after tax jumps to ₹1,431.73 crore

April 30, 2026 3 mins read Firehose Gupta

Bajaj Finserv Limited — quarter and financial year ended 31 March 2026

Particulars Quarter ended 31.03.2026 (Unaudited) Quarter ended 31.12.2025 (Unaudited) Quarter ended 31.03.2025 (Unaudited) Year ended 31.03.2026 (Audited) Year ended 31.03.2025 (Audited)
1 Income
Interest income 41.33 54.05 57.58 190.42 226.02
Dividend income 1,788.45 2,001.58
Rental income 1.34 1.20 0.55 4.95 2.22
Windpower income 2.43 4.08 2.83 23.97 22.28
Net gain on fair value changes 1.63 3.29 3.68 8.44 9.58
Total revenue from operations 46.73 62.62 64.64 2,016.23 2,261.68
Other income 23.49 8.42 9.28 60.59 37.51
Total income 70.22 71.04 73.92 2,076.82 2,299.19
2 Expenses
Employee benefits expenses 52.82 49.32 33.53 203.12 158.08
Depreciation, amortisation and impairment 1.55 1.39 1.55 5.60 4.26
Other expenses 29.32 18.14 27.18 87.03 87.45
Total expenses 83.69 68.85 62.26 295.75 249.79
3 Profit before tax (1-2) (13.47) 2.19 11.66 1,781.07 2,049.40
4 Tax expense
Current tax (3.09) 1.71 4.25 416.71 491.49
Deferred tax 0.78 (0.14) (0.16) 0.01 (0.96)
Tax credit pertaining to earlier year (See note 5) (27.17) (67.38)
Total tax expense (29.48) 1.57 4.09 349.34 490.53
5 Profit after tax (3-4) 16.01 0.62 7.57 1,431.73 1,558.87
6 Other comprehensive income, net of tax
(a) Items that will not be reclassified to profit or loss (1.53) (0.87) (2.54) (4.13) (2.76)
(b) Items that will be reclassified to profit or loss
Total other comprehensive income, net of tax (1.53) (0.87) (2.54) (4.13) (2.76)
7 Total comprehensive income (5+6) 14.48 (0.25) 5.03 1,427.60 1,556.11
8 Paid-up equity share capital (Face value of ₹ 1) 159.87 159.71 159.60 159.87 159.60
9 Other equity 10,021.53 8,212.29
10 Earnings per share (₹) (not annualised)
Basic 0.1 0.0 0.0 9.0 9.8
Diluted 0.1 0.0 0.0 8.9 9.7
Particulars As at 31.03.2026 (Audited) As at 31.03.2025 (Audited)
A Assets
1 Financial assets
Cash and cash equivalents 7.31 18.04
Bank balances other than cash and cash equivalents 1.13 0.88
Trade receivables 0.75 1.17
Investment in subsidiaries and joint venture (See note 6 and 7) 7,261.33 5,743.89
Other investments 2,392.51 2,140.23
Other financial assets 35.03 60.44
Sub-total – Financial assets 9,698.06 7,964.65
2 Non-financial assets
Current tax assets (net) 54.40 51.84
Investment property 4.72 4.85
Property, plant and equipment 121.92 121.90
Capital work-in-progress 12.86 4.58
Other non-financial assets 457.71 377.00
Sub-total – Non-financial assets 651.61 560.17
Total – Assets 10,349.67 8,524.82
B Liabilities and equity
1 Financial liabilities
Trade payables
Total outstanding dues of micro enterprises and small enterprises
Total outstanding dues of creditors other than micro enterprises and small enterprises 2.70 8.50
Other financial liabilities 69.22 63.43
Sub-total – Financial liabilities 71.92 71.93
2 Non-financial liabilities
Current tax liabilities (net) 70.26 63.96
Deferred tax liabilities (net) 0.67 2.06
Provisions 18.26 13.34
Other non-financial liabilities 7.16 1.64
Sub-total – Non-financial liabilities 96.35 81.00
3 Equity
Equity share capital 159.87 159.60
Other equity 10,021.53 8,212.29
Sub-total – Equity 10,181.40 8,371.89
Total – Liabilities and Equity 10,349.67 8,524.82
Particulars Year ended 31.03.2026 (Audited) Year ended 31.03.2025 (Audited)
I. Operating activities
Profit before tax 1,781.07 2,049.40
Adjustments to reconcile profit before tax to net cash flows:
Depreciation, amortisation and impairment 5.60 4.26
Share based payments to employees 22.58 20.20
Loss on sale of property, plant and equipment 0.26 0.60
Profit on sale of investments, net (8.44) (9.58)
Surplus on sale of property, plant and equipment (0.06)
Interest on income tax refund (25.84)
Amortisation of premium/discount on acquisition of debt securities (87.21) (101.46)
1,687.96 1,963.42
Change in assets and liabilities
(Increase)/decrease in trade receivables 0.42 (0.38)
(Increase)/decrease in loans and other assets (7.13) (10.69)
(Increase)/decrease in other bank balances (0.25) (0.32)
Increase/(decrease) in liabilities and provisions 4.65 22.70
Reimbursement of share based payments 207.68 190.58
(Purchase) / sale of money market mutual funds, etc., net 36.43 3.56
Net cash flow from operating activities before income-tax 1,929.76 2,168.87
Income-tax refund for earlier years (net) 100.48
Income-tax paid (420.22) (445.07)
Net cash flow from operating activities 1,610.02 1,723.80
II. Investing activities
Purchase of property, plant and equipment (63.63) (387.68)
Sale proceeds of property, plant and equipment 1.49 0.09
Investment in subsidiaries (1,517.44) (1,572.34)
Sale of investments 4,313.12 4,390.02
Purchase of investments (4,506.19) (4,193.17)
(Investment in)/Realisation from treasury shares by ESOP trust 51.97 40.40
Net cash used in investing activities (1,720.68) (1,722.68)
III. Financing activities
Dividend paid (159.53) (159.35)
Issue of equity share capital (including securities premium) 259.46 155.30
Net cash used in financing activities 99.93 (4.05)
Net change in cash and cash equivalents (10.73) (2.93)
Cash and cash equivalents as at the beginning of the year 18.04 20.97
Cash and cash equivalents as at the end of the year 7.31 18.04
Particulars Quarter ended 31.03.2026 (Unaudited) Quarter ended 31.12.2025 (Unaudited) Quarter ended 31.03.2025 (Unaudited) Year ended 31.03.2026 (Audited) Year ended 31.03.2025 (Audited)
1. Segment revenue
Insurance
Gross written premium
– Life insurance 11,198.92 7,853.86 9,237.08 32,896.91 27,160.06
– General insurance 4,321.82 7,389.39 4,325.54 23,325.84 21,582.92
– Total 15,520.74 15,243.25 13,562.62 56,222.75 48,742.98
Less: Premium for investment contracts of life insurance 513.01 484.65 466.99 2,128.90 1,573.27
Reserve for unexpired risk of general insurance (917.21) 1,605.14 (1,009.28) 1,282.13 614.21
Total 15,924.94 13,153.46 14,104.91 52,811.72 46,555.50
Investment and other income (excluding accretions to unit linked holders) 1,133.57 5,337.80 4,187.32 16,048.24 17,617.64
Insurance total 17,058.51 18,491.26 18,292.23 68,859.96 64,173.14
Investments and others 496.33 466.50 450.34 3,619.47 4,005.88
Retail financing 21,606.51 21,014.18 18,306.34 81,989.50 68,846.98
Windmill 2.43 4.08 2.83 23.97 22.28
Total 39,163.78 39,976.02 37,051.74 1,54,492.90 1,37,048.28
Less: Inter-segment revenue 655.64 468.36 617.71 3,962.52 4,103.96
Total 38,508.14 39,507.66 36,434.03 1,50,530.38 1,32,944.32
2. Segment profit before tax
Insurance
– Life insurance (137.70) 189.77 141.76 196.87 165.08
– General insurance 127.46 575.62 506.29 1,974.85 2,130.38
Insurance total (10.24) 765.39 648.05 2,171.72 2,295.46
Investments and others (279.83) (199.45) (264.76) (902.56) (810.50)
Retail financing 7,218.61 5,358.91 5,616.20 25,601.49 22,249.47
Windmill (0.44) 1.43 2.83 12.50 13.78
Total profit before tax 6,928.10 5,926.28 6,002.32 26,883.15 23,748.21
3. Capital employed
Segment assets
Insurance
– Life insurance