BAJAJ FINANCE LIMITED vs SMC GLOBAL SECURITIES LTD

A side-by-side comparison of BAJAJ FINANCE LIMITED (BAJFINANCE) and SMC GLOBAL SECURITIES LTD (SMCGLOBAL) — valuation, profitability, growth, and financial health — to help you judge which is the stronger buy today.

The verdict

On the numbers, BAJAJ FINANCE LIMITED leads BAJFINANCE vs SMCGLOBAL on 9 of 14 metrics. See the breakdown below — the right pick still depends on your goals (value vs growth, risk appetite).

  • Valuation13
  • Profitability31
  • Growth20
  • Size & financial health31
ValueReturnsMarginGrowthScaleLow debt

Each axis shows this group's split of that metric, scaled so the leader sits at the edge. Relative to each other, not an absolute score.

Valuation

SMCGLOBAL takes 3/4

How expensive each stock is relative to its earnings and book value. Lower usually means cheaper.

34.09
P/E ratio
16.25
5.57
P/B ratio
1.14
0.55%
Dividend yield
1.53%
₹30.56
EPS
₹4.87

Profitability

BAJFINANCE takes 3/4

How efficiently each company turns capital and sales into profit. Higher is better.

18.20%
Return on equity
8.07%
10.80%
Return on capital
11.00%
67.98%
EBITDA margin
20.00%
23.33%
Net margin
5.48%

Growth

BAJFINANCE takes 2/2

Three-year compounded growth. Faster-growing businesses can justify a higher valuation.

25.57%
Revenue CAGR (3Y)
15.72%
18.88%
Profit CAGR (3Y)
-4.96%

Size & financial health

BAJFINANCE takes 3/4

Scale and balance-sheet strength. Bigger revenue/profit and lower debt are generally safer.

₹6.47L Cr
Market cap
₹1,663 Cr
₹81,990 Cr
Revenue
₹1,878 Cr
₹19,332 Cr
Net profit
₹103 Cr
3.78
Debt / equity
1.29
BAJAJ FINANCE LIMITED
  • + ["Company has delivered good profit growth of 34.2% CAGR over last 5 years", "Company has been maintaining a healthy dividend payout of 18.6%", "Company's median sales growth is 29.4% of last 10 years"]
  • ["Stock is trading at 5.89 times its book value", "Company has low interest coverage ratio.", "Company might be capitalizing the interest cost"]
SMC GLOBAL SECURITIES LTD
  • + ["Company has been maintaining a healthy dividend payout of 18.4%"]
  • ["Company has low interest coverage ratio.", "Company has a low return on equity of 12.7% over last 3 years.", "Contingent liabilities of Rs.1,097 Cr.", "Company has high debtors of 161 days."]
BAJAJ FINANCE LIMITED full analysis SMC GLOBAL SECURITIES LTD full analysis

This comparison is for informational purposes only and is not investment advice. Please consult a SEBI-registered advisor before investing.

BAJFINANCE vs SMCGLOBAL: Share Price, Valuation & Which to Buy | DocStoX