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Reading: Bajaj Auto Q1 Outcomes Preview: Muted earnings seen amid flat volumes. 6 issues to maintain watch
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StockWaves > Financial News > Bajaj Auto Q1 Outcomes Preview: Muted earnings seen amid flat volumes. 6 issues to maintain watch
Financial News

Bajaj Auto Q1 Outcomes Preview: Muted earnings seen amid flat volumes. 6 issues to maintain watch

StockWaves By StockWaves Last updated: August 5, 2025 5 Min Read
Bajaj Auto Q1 Outcomes Preview: Muted earnings seen amid flat volumes. 6 issues to maintain watch
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Contents
1. PATReside Occasions2. Income3. EBITDA4. EBITDA margin5. Quantity6. Key monitorables
Two-wheeler main Bajaj Auto will announce its Q1 earnings on Wednesday, August 6 the place the corporate is anticipated to report a modest set of numbers for Q1FY26, as per brokerage estimates, with income development in low single digits and margin pressures rising because of commodity inflation, product combine influence and regulatory prices.

The web revenue development is seen in a variety of 4% and -4% in line with estimates of 4 brokerages particularly Axis Securities, Nuvama Institutional Equities, YES Securities and PhillipCapital (PC). Whereas Axis and PC see revenue after tax (PAT) taking place, Nuvama and YES anticipate an year-on-year development within the quarter below overview.


Quantity development stays flattish, whereas realizations are anticipated to point out minor positive factors. Traders ought to intently watch the corporate’s commentary on demand outlook, export restoration, and new product pipeline.

1. PAT

– Axis Securities: Rs 1,969-2,049 cr, down 3.9% YoY and down 1% QoQ

Reside Occasions

– Nuvama: Rs 2,024 cr, up 2% YoY and down -1% QoQ

– YES Securities: Rs 2,064 cr, up 3.8% YoY and up 0.7% QoQ

– PhillipCapital: Rs 1,943 cr, down 2% YoY and down 5% QoQ

Weaker working efficiency is prone to have a bearing on the corporate’s PAT. Margin compression is a key drag, though barely greater realizations and price controls could partially cushion the influence.

2. Income

– Axis Securities: Rs 12,276 crore, up 2.9% YoY and up 1.1% QoQ

– Nuvama: Rs 12,288 crore, up 3% YoY, up 1% QoQ

– YES Securities: 12,313 crore, up 3.2% YoY and 1.4% QoQ

– PhillipCapital: Rs 11,978 crore, flat YoY and down 1% QoQ

Axis Securities sees income uptick led by 1% YoY/QoQ improve in general volumes and a gentle enchancment in common promoting value (ASPs) on account of upper 2W and CV export volumes.

Quantity development and higher realisation shall help slight income development YoY, echoes Nuvama.

Income development is prone to be modest, pushed by steady volumes and marginally greater common promoting costs (ASPs). Exports and premiumisation could assist ASP development.

3. EBITDA

– Axis Securities: Margin at 19.2%, down 101 bps YoY and 93 bps QoQ

– Nuvama: Rs 2,410 cr, flat YoY, down 2% YoY

– YES Securities:
Rs 2,500 crore, up 3.5% YoY and a couple of% QoQ

– PhillipCapital:
Rs 2,348 crore, down 3% YoY and down 4% QoQ

Axis attributed EBITDA margin drop to commodity inflation, forex-linked income, and OBD-2 norms influence being partly offset by richer product combine (greater exports) and price management efforts.

4. EBITDA margin

– Axis Securities: 19.2%, down 101 bps YoY and down 93 bps QoQ

– YES Securities: 20.3%, flat YoY and QoQ

– PhillipCapital: 19.6% (↓64 bps YoY, ↓57 bps QoQ)

– Nuvama expects EBITDA margin dip YoY because of decrease gross margin.

5. Quantity

Axis Securities has pegged volumes at 11,11,237 models, which can be up 0.8% YoY and up 0.8% QoQ.

Nuvama sees general volumes development at 0.8% YoY and QoQ every at 11.1 lakh models, whereas realizations are anticipated to develop by 2.4% YoY and 0.6% QoQ at ~Rs 110.8k/unit.

Quantity development is anticipated to stay muted. Sequential development in 3Ws is barely greater than 2Ws, however general quantity efficiency is basically flat.

6. Key monitorables

– Axis Securities: Export restoration, commodity price development, ASP combine

– Nuvama: Demand outlook, new product timelines

– YES Securities: Foreign exchange motion, 3W export efficiency, margin outlook

– PhillipCapital: Share of exports, commodity inflation, value discounting influence

(Disclaimer: Suggestions, recommendations, views and opinions given by the specialists are their very own. These don’t signify the views of Financial Occasions)

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