P/E Ratio
26.19x
N/A
P/B Ratio
4.30x
Div. Yield
1.24%
1Y Return (TRI)
+0.47%
3Y CAGR (TRI)
+12.06%
5Y CAGR (TRI)
+9.96%
Constituents
50
Stocks listed
🌡 Valuation Meter: Nifty Low Volatility 50
N/A (26.19x P/E)
< 18x (Undervalued)18x – 24x (Fair Value)> 24x (Expensive)
🔍
Showing 50 of 50 stocks
#SymbolCompany NameIndustry / SectorSeriesISIN CodeInstitutional Holdings
1APOLLOHOSPApollo Hospitals Enterprise Ltd.HealthcareEQINE437A01024View Fund Holdings ➔
2ASIANPAINTAsian Paints Ltd.Consumer DurablesEQINE021A01026View Fund Holdings ➔
3DMARTAvenue Supermarts Ltd.Consumer ServicesEQINE192R01011View Fund Holdings ➔
4AXISBANKAxis Bank Ltd.Financial ServicesEQINE238A01034View Fund Holdings ➔
5BAJAJ-AUTOBajaj Auto Ltd.Automobile and Auto ComponentsEQINE917I01010View Fund Holdings ➔
6BAJAJFINSVBajaj Finserv Ltd.Financial ServicesEQINE918I01026View Fund Holdings ➔
7BHARTIARTLBharti Airtel Ltd.TelecommunicationEQINE397D01024View Fund Holdings ➔
8BRITANNIABritannia Industries Ltd.Fast Moving Consumer GoodsEQINE216A01030View Fund Holdings ➔
9CIPLACipla Ltd.HealthcareEQINE059A01026View Fund Holdings ➔
10COLPALColgate Palmolive (India) Ltd.Fast Moving Consumer GoodsEQINE259A01022View Fund Holdings ➔
11DABURDabur India Ltd.Fast Moving Consumer GoodsEQINE016A01026View Fund Holdings ➔
12DIVISLABDivi's Laboratories Ltd.HealthcareEQINE361B01024View Fund Holdings ➔
13DRREDDYDr. Reddy's Laboratories Ltd.HealthcareEQINE089A01031View Fund Holdings ➔
14GODREJCPGodrej Consumer Products Ltd.Fast Moving Consumer GoodsEQINE102D01028View Fund Holdings ➔
15GRASIMGrasim Industries Ltd.Construction MaterialsEQINE047A01021View Fund Holdings ➔
16HCLTECHHCL Technologies Ltd.Information TechnologyEQINE860A01027View Fund Holdings ➔
17HDFCBANKHDFC Bank Ltd.Financial ServicesEQINE040A01034View Fund Holdings ➔
18HDFCLIFEHDFC Life Insurance Company Ltd.Financial ServicesEQINE795G01014View Fund Holdings ➔
19HEROMOTOCOHero MotoCorp Ltd.Automobile and Auto ComponentsEQINE158A01026View Fund Holdings ➔
20HINDUNILVRHindustan Unilever Ltd.Fast Moving Consumer GoodsEQINE030A01027View Fund Holdings ➔
21ICICIBANKICICI Bank Ltd.Financial ServicesEQINE090A01021View Fund Holdings ➔
22ICICIGIICICI Lombard General Insurance Company Ltd.Financial ServicesEQINE765G01017View Fund Holdings ➔
23ITCITC Ltd.Fast Moving Consumer GoodsEQINE154A01025View Fund Holdings ➔
24IRCTCIndian Railway Catering And Tourism Corporation Ltd.Consumer ServicesEQINE335Y01020View Fund Holdings ➔
25INFYInfosys Ltd.Information TechnologyEQINE009A01021View Fund Holdings ➔
26JSWSTEELJSW Steel Ltd.Metals & MiningEQINE019A01038View Fund Holdings ➔
27KOTAKBANKKotak Mahindra Bank Ltd.Financial ServicesEQINE237A01036View Fund Holdings ➔
28LTLarsen & Toubro Ltd.ConstructionEQINE018A01030View Fund Holdings ➔
29LUPINLupin Ltd.HealthcareEQINE326A01037View Fund Holdings ➔
30MRFMRF Ltd.Automobile and Auto ComponentsEQINE883A01011View Fund Holdings ➔
31MARICOMarico Ltd.Fast Moving Consumer GoodsEQINE196A01026View Fund Holdings ➔
32MARUTIMaruti Suzuki India Ltd.Automobile and Auto ComponentsEQINE585B01010View Fund Holdings ➔
33NTPCNTPC Ltd.PowerEQINE733E01010View Fund Holdings ➔
34NESTLEINDNestle India Ltd.Fast Moving Consumer GoodsEQINE239A01024View Fund Holdings ➔
35PAGEINDPage Industries Ltd.TextilesEQINE761H01022View Fund Holdings ➔
36PIDILITINDPidilite Industries Ltd.ChemicalsEQINE318A01026View Fund Holdings ➔
37POWERGRIDPower Grid Corporation of India Ltd.PowerEQINE752E01010View Fund Holdings ➔
38RELIANCEReliance Industries Ltd.Oil Gas & Consumable FuelsEQINE002A01018View Fund Holdings ➔
39SBICARDSBI Cards and Payment Services Ltd.Financial ServicesEQINE018E01016View Fund Holdings ➔
40SBILIFESBI Life Insurance Company Ltd.Financial ServicesEQINE123W01016View Fund Holdings ➔
41SBINState Bank of IndiaFinancial ServicesEQINE062A01020View Fund Holdings ➔
42SUNPHARMASun Pharmaceutical Industries Ltd.HealthcareEQINE044A01036View Fund Holdings ➔
43TCSTata Consultancy Services Ltd.Information TechnologyEQINE467B01029View Fund Holdings ➔
44TATACONSUMTata Consumer Products Ltd.Fast Moving Consumer GoodsEQINE192A01025View Fund Holdings ➔
45TECHMTech Mahindra Ltd.Information TechnologyEQINE669C01036View Fund Holdings ➔
46TITANTitan Company Ltd.Consumer DurablesEQINE280A01028View Fund Holdings ➔
47TORNTPHARMTorrent Pharmaceuticals Ltd.HealthcareEQINE685A01028View Fund Holdings ➔
48ULTRACEMCOUltraTech Cement Ltd.Construction MaterialsEQINE481G01011View Fund Holdings ➔
49UNITDSPRUnited Spirits Ltd.Fast Moving Consumer GoodsEQINE854D01024View Fund Holdings ➔
50WIPROWipro Ltd.Information TechnologyEQINE075A01022View Fund Holdings ➔
PRO FEATURE⚡ Multi-Index Overlap Analyser

Compare portfolio overlap, common stock weightings, and sector concentration between Nifty Low Volatility 50 and any of the other 63 benchmarks (e.g. Nifty 50, Nifty 500, or BSE SENSEX).

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📘 Index Construction & Methodology

DISCLOSURE STANDARD

⚖️ Weighting & Rebalancing Mechanism

Nifty Low Volatility 50 is reconstituted semi-annually in March and September using average data over a six-month observation window. Stock weightings are calculated based on free-float market capitalization with regulatory single-stock concentration caps where applicable.

🔄 Total Return Index (TRI) Mandate

SEBI guidelines require all Indian active and passive mutual fund schemes to measure alpha against Total Return Indices (TRI). Unlike Price Return indices, TRI accounts for gross dividend reinvestment, providing an authentic benchmark for performance attribution.

🔍 Institutional Reverse Ownership

Every stock in this constituent list is integrated with the Abundance Reverse Stock Holdings Engine. Click "View Fund Holdings ➔" to inspect which mutual funds, PMS managers, and schemes have built active positions in that equity.

Frequently Asked Questions: Nifty Low Volatility 50

How many constituent stocks are in the Nifty Low Volatility 50 index?

As of 2026-09-22, the Nifty Low Volatility 50 consists of exactly 50 listed equity constituents on the NSE. The portfolio is reconstituted semi-annually based on predefined methodology rules.

What is the current P/E ratio and valuation zone of Nifty Low Volatility 50?

The current trailing Price-to-Earnings (P/E) ratio of Nifty Low Volatility 50 is 26.19x (P/B: 4.30x, Dividend Yield: 1.24%). Historically, this places the index in the N/A valuation band.

Which mutual funds and PMS strategies hold stocks of Nifty Low Volatility 50?

You can view institutional mutual fund ownership and portfolio weights for every constituent by clicking the "View Fund Holdings ➔" link next to any stock symbol in the table below. This deep-links directly into our Reverse Stock Holdings Engine (/stocks-in-funds).

What is the difference between Total Return Index (TRI) and Price Return for Nifty Low Volatility 50?

The Price Return (PR) version of Nifty Low Volatility 50 measures only stock price changes. Under SEBI regulations, mutual funds benchmark against the Total Return Index (TRI) variant, which reinvests all gross dividend payouts back into the portfolio. Over a 5-to-10 year horizon, dividend reinvestment typically generates an additional 1.2% to 1.8% in annualised returns.

Source Attribution & Regulatory Disclosures: Constituent data sourced from official index publications (NSE Indices Limited and BSE Limited). Trailing returns and valuation multiples calculated on Total Return Index (TRI) and Price Return bases. Published by Abundance Financial Services (ARN-251838, AMFI Registered Mutual Fund Distributor) · Atin Kumar Agrawal (APRN04279, APMI Registered PMS Distributor). Market index returns are presented for factual benchmarking and investor education.