5385

    541988

    AAVAS

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    AAVAS FINANCIERS LIMITED Share Price Today

    AAVAS FINANCIERS LIMITED is currently trading at ₹1520.8, up by ₹37.0 from the previous close. The stock touched an intraday high of ₹1530.00 and a low of ₹1483.10 during the latest trading session. Over the past one year, AAVAS FINANCIERS LIMITED has delivered a loss of 29.08%, while the stock has gained 10.47% in the last one month.

    AAVAS FINANCIERS LIMITED performance

    Today’s low Today’s high
    ₹ 1483.10 ₹ 1530.00
    ₹ 1520.90
    52 week low 52 week high
    ₹ 1060.40 ₹ 2152.90
    ₹ 1520.90
    Open Price ₹ 1487.90
    Prev. Close ₹ 1483.80
    Volume (Shares) 126103.00
    Total traded value ₹ 1917.90
    Upper Circuit ₹ 1780.50
    Lower Circuit ₹ 1187.10
    info

    Investment Returns

    Over 1 Month 10.47% Over 3 Months 37.64% Over 6 Months 0.39% Over 1 Year -29.08%
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    AAVAS FINANCIERS LIMITED fundamentals


    • Market cap (Cr) 12,023.20
    • P/E Ratio (TTM) 17.88
    • Beta 0.80
    • Book Value / share 637.02
    • Return on equity 14.12%
    • EPS (TTM) 82.60
    • Dividend yield 0.00%
    • Net profit/quarter (Cr) 181.67
    info icon alternate text
    • Market cap (Cr) 12,058.90
    • P/E Ratio (TTM) 17.88
    • Beta 0.77
    • Book Value / share 637.02
    • Return on equity 14.12%
    • EPS (TTM) 82.60
    • Dividend yield 0.00%
    • Net profit/quarter (Cr) 181.67
    info icon alternate text

    AAVAS FINANCIERS LIMITED Financials

    • Key Results
    • Key Ratios
    • Balance sheet
    • Cash Flow
    • Competition
    Open financial information
    Revenue
    Net income
    Particulars MAR 2026 (Values in Cr)
    Revenue 714.68
    Operating Expense 757.53
    Net Profit 181.67
    Net Profit Margin (%) 25.41
    Earnings Per Share (EPS) 22.94
    EBITDA 516.17
    Effective Tax Rate (%) 21.27
    Particulars DEC 2025 (Values in Cr)
    Revenue 674.20
    Operating Expense 729.77
    Net Profit 170.05
    Net Profit Margin (%) 25.22
    Earnings Per Share (EPS) 21.48
    EBITDA 504.91
    Effective Tax Rate (%) 22.46
    Particulars SEP 2025 (Values in Cr)
    Revenue 667.02
    Operating Expense 731.76
    Net Profit 163.93
    Net Profit Margin (%) 24.57
    Earnings Per Share (EPS) 20.71
    EBITDA 497.47
    Effective Tax Rate (%) 22.38
    Particulars JUN 2025 (Values in Cr)
    Revenue 627.56
    Operating Expense 720.16
    Net Profit 139.23
    Net Profit Margin (%) 22.18
    Earnings Per Share (EPS) 17.59
    EBITDA 459.82
    Effective Tax Rate (%) 22.27
    Particulars MAR 2025 (Values in Cr)
    Revenue 636.21
    Operating Expense 709.00
    Net Profit 153.68
    Net Profit Margin (%) 24.15
    Earnings Per Share (EPS) 19.42
    EBITDA 467.75
    Effective Tax Rate (%) 20.46
    Particulars MAR 2026 (Values in Cr)
    Revenue 2683.46
    Operating Expense 2939.23
    Net Profit 654.88
    Net Profit Margin (%) 24.40
    Earnings Per Share (EPS) 82.72
    EBITDA 1978.38
    Effective Tax Rate (%) 22.07
    Particulars MAR 2025 (Values in Cr)
    Revenue 2354.51
    Operating Expense 2633.30
    Net Profit 574.11
    Net Profit Margin (%) 24.38
    Earnings Per Share (EPS) 72.54
    EBITDA 1776.51
    Effective Tax Rate (%) 21.63
    Particulars MAR 2024 (Values in Cr)
    Revenue 2017.50
    Operating Expense 2224.21
    Net Profit 490.69
    Net Profit Margin (%) 24.32
    Earnings Per Share (EPS) 62.03
    EBITDA 1485.47
    Effective Tax Rate (%) 21.42
    Particulars MAR 2023 (Values in Cr)
    Revenue 1608.30
    Operating Expense 1652.20
    Net Profit 430.07
    Net Profit Margin (%) 26.74
    Earnings Per Share (EPS) 54.44
    EBITDA 1168.77
    Effective Tax Rate (%) 21.66
    Particulars MAR 2022 (Values in Cr)
    Revenue 1304.36
    Operating Expense 1328.20
    Net Profit 356.80
    Net Profit Margin (%) 27.35
    Earnings Per Share (EPS) 45.31
    EBITDA 956.12
    Effective Tax Rate (%) 21.55
    Particulars MAR 2024 (Values in Cr)
    Book Value / Share 476.79
    ROE % 13.93
    ROCE % 9.91
    Total Debt to Total Equity 3.16
    EBITDA Margin 73.56
    Particulars MAR 2023 (Values in Cr)
    Book Value / Share 413.57
    ROE % 14.14
    ROCE % 9.51
    Total Debt to Total Equity 2.95
    EBITDA Margin 72.53
    Particulars MAR 2022 (Values in Cr)
    Book Value / Share 355.48
    ROE % 13.64
    ROCE % 9.49
    Total Debt to Total Equity 2.76
    EBITDA Margin 73.06
    Particulars MAR 2021 (Values in Cr)
    Book Value / Share 305.82
    ROE % 12.84
    ROCE % 9.97
    Total Debt to Total Equity 2.61
    EBITDA Margin 75.20
    Particulars MAR 2020 (Values in Cr)
    Book Value / Share 267.85
    ROE % 12.66
    ROCE % 10.15
    Total Debt to Total Equity 2.30
    EBITDA Margin 75.01
    Particulars MAR 2025 (Values in Cr)
    Book Value / Share 550.93
    ROE % 14.12
    ROCE % 10.10
    Total Debt to Total Equity 3.24
    EBITDA Margin 75.33
    Particulars MAR 2024 (Values in Cr)
    Book Value / Share 476.79
    ROE % 13.93
    ROCE % 9.90
    Total Debt to Total Equity 3.17
    EBITDA Margin 73.53
    Particulars MAR 2023 (Values in Cr)
    Book Value / Share 413.57
    ROE % 14.15
    ROCE % 9.51
    Total Debt to Total Equity 2.94
    EBITDA Margin 72.59
    Particulars MAR 2022 (Values in Cr)
    Book Value / Share 355.76
    ROE % 13.70
    ROCE % 9.51
    Total Debt to Total Equity 2.76
    EBITDA Margin 73.23
    Particulars MAR 2021 (Values in Cr)
    Book Value / Share 305.89
    ROE % 12.87
    ROCE % 9.98
    Total Debt to Total Equity 2.61
    EBITDA Margin 75.29
    Particulars MAR 2024 (Values in Cr)
    Cash & Short Term Investments 1797.82
    Total Assets 16519.45
    Total Liabilities 16519.45
    Total Equity 3773.31
    Share Outstanding 7
    Price to Book Ratio 2.76
    Return on Assets (%) 2.97
    Return on Capital (%) 3.05
    Particulars MAR 2023 (Values in Cr)
    Cash & Short Term Investments 1392.83
    Total Assets 13409.60
    Total Liabilities 13409.60
    Total Equity 3269.66
    Share Outstanding 7
    Price to Book Ratio 3.88
    Return on Assets (%) 3.20
    Return on Capital (%) 3.28
    Particulars MAR 2022 (Values in Cr)
    Cash & Short Term Investments 1545.73
    Total Assets 11017.48
    Total Liabilities 11017.48
    Total Equity 2806.43
    Share Outstanding 7
    Price to Book Ratio 7.21
    Return on Assets (%) 3.22
    Return on Capital (%) 3.3
    Particulars MAR 2021 (Values in Cr)
    Cash & Short Term Investments 1125.16
    Total Assets 8959.25
    Total Liabilities 8959.25
    Total Equity 2400.81
    Share Outstanding 7
    Price to Book Ratio 7.91
    Return on Assets (%) 3.22
    Return on Capital (%) 3.3
    Particulars MAR 2020 (Values in Cr)
    Cash & Short Term Investments 1196.72
    Total Assets 7657.03
    Total Liabilities 7657.03
    Total Equity 2097.91
    Share Outstanding 7
    Price to Book Ratio 4.43
    Return on Assets (%) 3.25
    Return on Capital (%) 3.34
    Particulars MAR 2025 (Values in Cr)
    Cash & Short Term Investments 1559.63
    Total Assets 18618.47
    Total Liabilities 18618.47
    Total Equity 4360.83
    Share Outstanding 7
    Price to Book Ratio 3.79
    Return on Assets (%) 3.08
    Return on Capital (%) 3.15
    Particulars MAR 2024 (Values in Cr)
    Cash & Short Term Investments 1797.82
    Total Assets 16519.45
    Total Liabilities 16519.45
    Total Equity 3773.31
    Share Outstanding 7
    Price to Book Ratio 2.76
    Return on Assets (%) 2.97
    Return on Capital (%) 3.04
    Particulars MAR 2023 (Values in Cr)
    Cash & Short Term Investments 1381.62
    Total Assets 13410.53
    Total Liabilities 13410.53
    Total Equity 3269.66
    Share Outstanding 7
    Price to Book Ratio 3.88
    Return on Assets (%) 3.20
    Return on Capital (%) 3.28
    Particulars MAR 2022 (Values in Cr)
    Cash & Short Term Investments 1530.22
    Total Assets 11020.38
    Total Liabilities 11020.38
    Total Equity 2808.64
    Share Outstanding 7
    Price to Book Ratio 7.21
    Return on Assets (%) 3.23
    Return on Capital (%) 3.31
    Particulars MAR 2021 (Values in Cr)
    Cash & Short Term Investments 1120.96
    Total Assets 8960.04
    Total Liabilities 8960.04
    Total Equity 2401.40
    Share Outstanding 7
    Price to Book Ratio 7.91
    Return on Assets (%) 3.23
    Return on Capital (%) 3.31
    Particulars MAR 2024 (Values in Cr)
    Net Income 625.37
    Cash from Operations -1856.03
    Cash from Investing -646.80
    Cash from Financing 2477.28
    Net change in Cash -156.11
    Free Cash Flow -1823.28
    Particulars MAR 2023 (Values in Cr)
    Net Income 548.42
    Cash from Operations -1831.15
    Cash from Investing 195.69
    Cash from Financing 1858.25
    Net change in Cash 129.83
    Free Cash Flow -1792.19
    Particulars MAR 2022 (Values in Cr)
    Net Income 452.68
    Cash from Operations -1060.29
    Cash from Investing -462.60
    Cash from Financing 1623.42
    Net change in Cash 25.71
    Free Cash Flow -1044.69
    Particulars MAR 2021 (Values in Cr)
    Net Income 352.55
    Cash from Operations -1016.97
    Cash from Investing -264.91
    Cash from Financing 1007.59
    Net change in Cash -328.49
    Free Cash Flow -1008.67
    Particulars MAR 2020 (Values in Cr)
    Net Income 301.93
    Cash from Operations -1110.93
    Cash from Investing -341.75
    Cash from Financing 1704.56
    Net change in Cash 190.56
    Free Cash Flow -1091.37
    Particulars MAR 2025 (Values in Cr)
    Net Income 732.58
    Cash from Operations -1528.03
    Cash from Investing 176.22
    Cash from Financing 1474.65
    Net change in Cash -9.24
    Free Cash Flow -1497.96
    Particulars MAR 2024 (Values in Cr)
    Net Income 624.44
    Cash from Operations -1869.95
    Cash from Investing -646.49
    Cash from Financing 2490.89
    Net change in Cash -156.11
    Free Cash Flow -1837.20
    Particulars MAR 2023 (Values in Cr)
    Net Income 548.99
    Cash from Operations -1826.88
    Cash from Investing 195.92
    Cash from Financing 1858.25
    Net change in Cash 134.36
    Free Cash Flow -1787.93
    Particulars MAR 2022 (Values in Cr)
    Net Income 454.85
    Cash from Operations -1061.09
    Cash from Investing -467.10
    Cash from Financing 1623.42
    Net change in Cash 20.41
    Free Cash Flow -1045.50
    Particulars MAR 2021 (Values in Cr)
    Net Income 353.32
    Cash from Operations -1016.50
    Cash from Investing -265.21
    Cash from Financing 1007.59
    Net change in Cash -328.33
    Free Cash Flow -1008.21
    Company Name Price P/E P/B Market Cap 52 Week Low 52 Week High
    ALFRED HERBERT (INDIA) LTD. 2820.00 6.10 0.37 217.14 2200.00 3974.00
    BAJAJ HOLDINGS & INVS LTD 10590.85 14.45 1.61 117865.57 8597.50 14753.50
    TATA INVESTMENT CORP LTD 665.95 77.71 1.15 33693.94 538.70 1184.00
    Naperol Investments Limited 1437.10 23.31 0.90 825.90 801.00 2041.00
    Company Name Price P/E P/B Market Cap 52 Week Low 52 Week High
    ALFRED HERBERT (INDIA) LTD. 2820.00 6.15 0.38 217.14 2200.00 3974.00
    ARAVALI SECURITIES & FINANCE L 4.50 0.00 -6.17 6.82 3.35 6.54
    BAJAJ HOLDINGS & INVS LTD 10590.85 41.56 4.31 117865.57 8597.50 14753.50
    GKW LIMITED 1747.00 0.00 2.57 1042.96 1375.00 2168.80

    AAVAS FINANCIERS LIMITED shareholding pattern

    Holding
    12.24%
    48.88%
    16.73%
    22.13%
    54.05%
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    AAVAS FINANCIERS LIMITED Technicals Summary

    • EMA & SMA
    • Resistance and Support
    • Delivery and Volume
    • Beta
    • Price Change Analysis
    1516.40 2.19 redarrow
    red-green-graph indicator
    0 Bearish
    16 Bullish
    • 5 Days 1474.40
    • 26 Days 1403.40
    • 10 Days 1450.20
    • 50 Days 1373.60
    • 12 Days 1441.30
    • 100 Days 1373.90
    • 20 Days 1415.80
    • 200 Days 1441.30
    1482.93 PIVOT
    First Support 1466.87 First Resistance 1499.87 Second Support 1449.93 Second Resistance 1515.93 Third Support 1433.87 Third Resistance 1532.87
    RSI 66.21 ADX 23.40 MACD 37.84 Williams % R -6.79 Commodity Channel Index (CCI) 93.40
    Date 2026-06-29 Week 144195.00 Same Day 124955.00 Month 132142.00
    1 Year 0.80 3 Year 0.67
    Over 1 Month
    10.47% down
    Over 1 Year
    -29.08% down
    Over 3 Months
    37.64% down
    Over 3 Years
    -1.16% down
    Over 6 Months
    0.39% down
    Over 5 Years
    -11.27% down

    AAVAS FINANCIERS LIMITED Corporate Actions

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    Frequently Asked Questions

    What is the Current Share Price of AAVAS Financiers Ltd?

    Answer Field

    AAVAS Financiers Ltd share price is for NSE ₹ 1,520.80 & for BSE ₹ 1,514.25 as on Jun 30 2026 03:30 PM.

    What is the Market Cap of AAVAS Financiers Ltd Share?

    Answer Field

    The market cap of AAVAS Financiers Ltd for NSE ₹ 0.00 & for BSE ₹ 0.00 as on Jun 30 2026 03:30 PM.

    What is the 52 Week High and Low of AAVAS Financiers Ltd?

    Answer Field

    The 52 Week High and Low of AAVAS Financiers Ltd for NSE is ₹ 2,152.90 and ₹ 1,060.40 and for BSE is ₹ 2,152.00 and ₹ 1,050.25.

    What is 1 year return for AAVAS Financiers Ltd?

    Answer Field

    The 1 year returns on the stock has been -29.08%.

    What is the P/E Ratio of AAVAS Financiers Ltd Share?

    Answer Field

    As on Jun 30 2026 03:30 PM the price-to-earnings (PE) ratio for AAVAS Financiers Ltd share is 17.88.

    What is the PB ratio of AAVAS Financiers Ltd Share?

    Answer Field

    As on Jun 30 2026 03:30 PM, the price-to-book (PB) ratio for AAVAS Financiers Ltd share is 637.02.

    How to Buy AAVAS Financiers Ltd Share?

    Answer Field

    You can trade in AAVAS Financiers Ltd shares with Bajaj Broking by opening a demat account.

    How to Buy AAVAS Financiers Ltd Share on Bajaj Broking App?

    Answer Field

    To buy AAVAS Financiers Ltd shares on the Bajaj Broking app, follow these steps:

    • Login to the Bajaj Broking App

    • Click on the Search Icon

    • Search “AAVAS Financiers Ltd”

    • Click on the BUY icon

    • Place a buy order specifying the desired quantity of shares.

    • Click BUY again to complete the purchase

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