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STOCK COMPARISON

Bajaj Holdings & Investment vs Fondul Proprietatea: Fair Value & Quality

Both stocks run through our valuation models. Here is how Bajaj Holdings & Investment (BAJAJHLDNG) and Fondul Proprietatea (FP) compare, as of Aug 8, 2026.

As of Aug 8, 2026, Fair Value Calculator sees Bajaj Holdings & Investment as the less overvalued of the two: Bajaj Holdings & Investment trades at ₹11,387 versus a fair value of ₹9,202 (-19%), while Fondul Proprietatea trades at 0.61 versus 0.21 (-66%).
Bajaj Holdings & Investment
BAJAJHLDNG.NSE · INR · Financials
-19%
upside to fair value
overvalued
Price₹11,387
Fair Value₹9,202
Quality62/100
Fondul Proprietatea
FP.RO · Financials
-66%
upside to fair value
overvalued
Price0.61
Fair Value0.21
Quality90/100

Head-to-head numbers

Green value = the better side for that row (for valuation multiples: lower = cheaper).

Bajaj Holdings & InvestmentFondul Proprietatea
Valuation
12.0×P/E (TTM)4.3×
1.08×P/S (TTM)0.81×
P/B0.16×
1.3×EV/EBITDA
1.4%Dividend yield6.9%
₹145Dividend per share0.04
Profitability
Net margin92%
42%Operating margin
13%Return on equity20%
1%Return on assets11%
Growth
-48%Revenue growth (YoY)524%
25.5%Avg. growth/yr (3Y)-45.0%
21.3%Avg. growth/yr (5Y)
Balance & size
$12BMarket cap$387M
mixedGrowth qualityweak

Fondul Proprietatea leads: 1 to 6 metric wins.

Dash = not meaningfully computable, for example with negative equity.

Quality in detail

The quality score, broken down into the same factor families as on the stock page, 0 to 100 per family.

Bajaj Holdings & Investmentof which business quality 66 · market factors 51 Fondul Proprietateaof which business quality 87 · market factors 80
ProfitabilityMargins and returns on capital today
49
67
Quality GrowthAre margins and returns improving?
68
95
CashflowEarnings quality: real cash, not paper profit
75
100
Fin. StrengthBalance sheet, leverage, solvency risk
75
73
InvestmentDisciplined investing over empire-building
41
100
Low VolatilityCalm price path (market factor)
85
87
MomentumPrice trend over the last 3–12 months (market factor)
40
71
52W MomentumDistance to the 52-week high (market factor)
31
86
Net IssuanceBuybacks instead of dilution
82
100

What the models say

The median fair value (base case) per model family, each in the currency of its trading venue. Green = above the current price, red = below.

Bajaj Holdings & Investment

DCF Models₹18,118
Earnings-Based₹21,232
Dividend Discount₹1,928
Multiples₹13,253
Asset-Based₹4,404
Growth DCF₹9,898
Economic Profit₹11,209
Growth Earnings₹26,885

10 of 26 models see the stock below the current price.

Fondul Proprietatea

DCF Models0.08
Earnings-Based0.47
Multiples0.13
Asset-Based0.05
Growth DCF0.08
Economic Profit0.11
Growth Earnings0.60

16 of 17 models see the stock below the current price.

Scenario ranges

From our cautious bear case to the optimistic bull case. The white tick is the current price: left of fair value means room to run.

Bajaj Holdings & Investment
Bear ₹6,901Fair Value ₹9,202Bull ₹11,502
₹11,387 = current price (white tick)
Fondul Proprietatea
Bear 0.16Fair Value 0.21Bull 0.27
0.61 = current price (white tick)

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Ranked within their sector

Where each stock sits within its sector peer group. Band = middle 50% of peers, tick = median, dot = this stock.

Bajaj Holdings & Investment · Financials

Quality score62 · above median
Fair value upside-19% · below median

Fondul Proprietatea · Financials

Quality score90 · Top 25%
Fair value upside-66% · bottom 25%

Bottom line

As of Aug 8, 2026, Fair Value Calculator sees Bajaj Holdings & Investment as the less overvalued of the two: Bajaj Holdings & Investment trades at ₹11,387 versus a fair value of ₹9,202 (-19%), while Fondul Proprietatea trades at 0.61 versus 0.21 (-66%).

Fondul Proprietatea has the higher quality score (90/100).

See the full analysis →

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A model-based valuation snapshot from 21 models. Values change with price and fundamentals; the date shown above applies.