Nifty Midcap 50
The primary objective of the Nifty Midcap 50 Index is to capture the movement of the midcap segment of the market. Nifty Midcap 50 includes top 50 companies based on full market capitalisation from Nifty Midcap 150 index with preference given to those stocks on which derivative contracts are available on National Stock Exchange (NSE).
Nifty Midcap 50 Index is computed using free float market capitalization method, wherein the level of the index reflects the total free float market value of all the stocks in the index relative to particular base market capitalization value.
Nifty Midcap 50 Index can be used for a variety of purposes such as benchmarking fund portfolios, launching of index funds, ETFs and structured products.
Nifty Midcap 50 Constituents
Price | 22,543.25 -295.10 (-1.29%) | 52 Week High | 24,744.25 |
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ISIN | INE358A01014 | 52 Week Low | 17,481.80 |
Industry | Pharmaceuticals: Major | Volume | 9,333 |
Sector | Health Technology | P/E Ratio TTM | 46.33 |
Market Cap | 485.4 B | 1 Year Beta | -0.12 |
Price | 175.05 -0.75 (-0.43%) | 52 Week High | 199.30 |
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ISIN | INE674K01013 | 52 Week Low | 106.65 |
Industry | Multi-Line Insurance | Volume | 4.7 M |
Sector | Finance | P/E Ratio TTM | 8.47 |
Market Cap | 457.4 B | 1 Year Beta | 1.79 |
Price | 3,550.65 -101.20 (-2.77%) | 52 Week High | 4,243.00 |
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ISIN | INE540L01014 | 52 Week Low | 2,940.05 |
Industry | Pharmaceuticals: Major | Volume | 267.5 T |
Sector | Health Technology | P/E Ratio TTM | 37.13 |
Market Cap | 436.6 B | 1 Year Beta | 0.41 |
Price | 178.85 -0.50 (-0.28%) | 52 Week High | 191.50 |
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ISIN | INE208A01029 | 52 Week Low | 133.10 |
Industry | Trucks/Construction/Farm Machinery | Volume | 8.7 M |
Sector | Producer Manufacturing | P/E Ratio TTM | 29.51 |
Market Cap | 526 B | 1 Year Beta | 0.91 |
Price | 1,841.05 -52.10 (-2.75%) | 52 Week High | 2,058.00 |
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ISIN | INE006I01046 | 52 Week Low | 1,297.80 |
Industry | Miscellaneous Manufacturing | Volume | 391 T |
Sector | Producer Manufacturing | P/E Ratio TTM | 101.05 |
Market Cap | 508.6 B | 1 Year Beta | 0.96 |
Price | 744.55 1.95 (0.26%) | 52 Week High | 795.00 |
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ISIN | INE949L01017 | 52 Week Low | 548.00 |
Industry | Regional Banks | Volume | 1.7 M |
Sector | Finance | P/E Ratio TTM | 32.07 |
Market Cap | 495.5 B | 1 Year Beta | 1.15 |
Price | 866.40 -10.05 (-1.15%) | 52 Week High | 907.70 |
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ISIN | INE406A01037 | 52 Week Low | 397.20 |
Industry | Pharmaceuticals: Other | Volume | 1.4 M |
Sector | Health Technology | P/E Ratio TTM | 25.67 |
Market Cap | 513.3 B | 1 Year Beta | 0.66 |
Price | 2,547.20 17.90 (0.71%) | 52 Week High | 2,577.25 |
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ISIN | INE787D01026 | 52 Week Low | 1,796.30 |
Industry | Automotive Aftermarket | Volume | 152.8 T |
Sector | Consumer Durables | P/E Ratio TTM | 45.50 |
Market Cap | 487.8 B | 1 Year Beta | 0.81 |
Price | 249.35 3.85 (1.57%) | 52 Week High | 275.90 |
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ISIN | INE545U01014 | 52 Week Low | 182.15 |
Industry | Major Banks | Volume | 12 M |
Sector | Finance | P/E Ratio TTM | 19.79 |
Market Cap | 395.1 B | 1 Year Beta | 0.56 |
Price | 1,633.60 -22.20 (-1.34%) | 52 Week High | 1,875.00 |
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ISIN | INE176A01028 | 52 Week Low | 1,381.05 |
Industry | Apparel/Footwear | Volume | 140,677 |
Sector | Consumer Non-Durables | P/E Ratio TTM | 67.62 |
Market Cap | 213 B | 1 Year Beta | 0.38 |
Price | 1,090.95 -7.85 (-0.71%) | 52 Week High | 1,148.05 |
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ISIN | INE465A01025 | 52 Week Low | 677.35 |
Industry | Metal Fabrication | Volume | 860 T |
Sector | Producer Manufacturing | P/E Ratio TTM | 86.48 |
Market Cap | 511.8 B | 1 Year Beta | 1.10 |
Price | 264.35 -2.65 (-0.99%) | 52 Week High | 299.15 |
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ISIN | INE376G01013 | 52 Week Low | 191.55 |
Industry | Pharmaceuticals: Major | Volume | 3.6 M |
Sector | Health Technology | P/E Ratio TTM | 75.62 |
Market Cap | 320.6 B | 1 Year Beta | 1.27 |
Price | 5,293.45 -42.85 (-0.80%) | 52 Week High | 5,762.70 |
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ISIN | INE591G01017 | 52 Week Low | 3,295.00 |
Industry | Information Technology Services | Volume | 296.9 T |
Sector | Technology Services | P/E Ratio TTM | 46.26 |
Market Cap | 327.1 B | 1 Year Beta | 1.09 |
Price | 735.00 -5.35 (-0.72%) | 52 Week High | 828.75 |
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ISIN | INE111A01025 | 52 Week Low | 555.00 |
Industry | Railroads | Volume | 1.3 M |
Sector | Transportation | P/E Ratio TTM | 39.90 |
Market Cap | 451.5 B | 1 Year Beta | 1.13 |
Price | 1,725.35 -19.30 (-1.11%) | 52 Week High | 1,980.15 |
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ISIN | INE298A01020 | 52 Week Low | 1,150.00 |
Industry | Auto Parts: OEM | Volume | 418.8 T |
Sector | Producer Manufacturing | P/E Ratio TTM | 34.56 |
Market Cap | 483.7 B | 1 Year Beta | 0.85 |
Price | 3,126.55 19.00 (0.61%) | 52 Week High | 3,343.85 |
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ISIN | INE042A01014 | 52 Week Low | 1,807.70 |
Industry | Auto Parts: OEM | Volume | 150.5 T |
Sector | Producer Manufacturing | P/E Ratio TTM | 43.13 |
Market Cap | 336.4 B | 1 Year Beta | 0.95 |
Price | 1,538.80 -14.80 (-0.95%) | 52 Week High | 1,769.00 |
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ISIN | INE484J01027 | 52 Week Low | 1,005.00 |
Industry | Real Estate Development | Volume | 435.7 T |
Sector | Finance | P/E Ratio TTM | 65.74 |
Market Cap | 431.9 B | 1 Year Beta | 1.80 |
Price | 439.60 -1.45 (-0.33%) | 52 Week High | 539.10 |
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ISIN | INE844O01030 | 52 Week Low | 438.60 |
Industry | Gas Distributors | Volume | 751 T |
Sector | Utilities | P/E Ratio TTM | 22.21 |
Market Cap | 303.6 B | 1 Year Beta | 0.49 |
Price | 260.95 -2.50 (-0.95%) | 52 Week High | 309.90 |
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ISIN | INE094A01015 | 52 Week Low | 200.05 |
Industry | Oil Refining/Marketing | Volume | 4.5 M |
Sector | Energy Minerals | P/E Ratio TTM | 4.44 |
Market Cap | 373.9 B | 1 Year Beta | 0.60 |
Price | 40,850.00 648.30 (1.61%) | 52 Week High | 44,150.00 |
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ISIN | INE671A01010 | 52 Week Low | 34,343.40 |
Industry | Electronic Equipment/Instruments | Volume | 6,695 |
Sector | Electronic Technology | P/E Ratio TTM | 82.18 |
Market Cap | 354.6 B | 1 Year Beta | 0.74 |
Price | 93.60 0.20 (0.21%) | 52 Week High | 100.70 |
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ISIN | INE092T01019 | 52 Week Low | 46.20 |
Industry | Regional Banks | Volume | 16.4 M |
Sector | Finance | P/E Ratio TTM | 22.02 |
Market Cap | 621.7 B | 1 Year Beta | 1.63 |
Price | 531.00 -4.45 (-0.83%) | 52 Week High | 652.35 |
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ISIN | INE797F01020 | 52 Week Low | 412.10 |
Industry | Restaurants | Volume | 1.7 M |
Sector | Consumer Services | P/E Ratio TTM | 129.77 |
Market Cap | 353.2 B | 1 Year Beta | 0.32 |
Price | 4,651.30 -8.95 (-0.19%) | 52 Week High | 4,807.15 |
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ISIN | INE010V01017 | 52 Week Low | 3,215.85 |
Industry | Engineering & Construction | Volume | 111,348 |
Sector | Industrial Services | P/E Ratio TTM | 40.82 |
Market Cap | 492.7 B | 1 Year Beta | 1.11 |
Price | 460.45 4.85 (1.06%) | 52 Week High | 470.80 |
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ISIN | INE115A01026 | 52 Week Low | 315.10 |
Industry | Finance/Rental/Leasing | Volume | 2.5 M |
Sector | Finance | P/E Ratio TTM | 7.72 |
Market Cap | 250.7 B | 1 Year Beta | 0.87 |
Price | 1,097.45 -29.85 (-2.65%) | 52 Week High | 1,174.50 |
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ISIN | INE326A01037 | 52 Week Low | 628.00 |
Industry | Pharmaceuticals: Other | Volume | 1.3 M |
Sector | Health Technology | P/E Ratio TTM | 51.59 |
Market Cap | 513.9 B | 1 Year Beta | 0.46 |
Price | 302.55 1.55 (0.51%) | 52 Week High | 346.55 |
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ISIN | INE774D01024 | 52 Week Low | 176.10 |
Industry | Finance/Rental/Leasing | Volume | 4.5 M |
Sector | Finance | P/E Ratio TTM | 17.06 |
Market Cap | 370.8 B | 1 Year Beta | 1.89 |
Price | 918.30 -8.80 (-0.95%) | 52 Week High | 961.00 |
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ISIN | INE180A01020 | 52 Week Low | 599.10 |
Industry | Life/Health Insurance | Volume | 572.2 T |
Sector | Finance | P/E Ratio TTM | 77.26 |
Market Cap | 320 B | 1 Year Beta | 0.35 |
Price | 2,486.00 -2.10 (-0.08%) | 52 Week High | 2,552.00 |
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ISIN | INE356A01018 | 52 Week Low | 1,660.05 |
Industry | Packaged Software | Volume | 172.5 T |
Sector | Technology Services | P/E Ratio TTM | 28.84 |
Market Cap | 469.3 B | 1 Year Beta | 1.05 |
Price | 108,655.05 -186.60 (-0.17%) | 52 Week High | 112,727.95 |
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ISIN | INE883A01011 | 52 Week Low | 78,689.95 |
Industry | Automotive Aftermarket | Volume | 3,372 |
Sector | Consumer Durables | P/E Ratio TTM | 37.34 |
Market Cap | 461.9 B | 1 Year Beta | 0.74 |
Price | 143.20 -0.75 (-0.52%) | 52 Week High | 154.25 |
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ISIN | INE584A01023 | 52 Week Low | 92.25 |
Industry | Other Metals/Minerals | Volume | 10.1 M |
Sector | Non-Energy Minerals | P/E Ratio TTM | 7.23 |
Market Cap | 421.7 B | 1 Year Beta | 1.31 |
Price | 1,120.85 -13.15 (-1.16%) | 52 Week High | 1,206.90 |
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ISIN | INE093I01010 | 52 Week Low | 790.10 |
Industry | Real Estate Development | Volume | 284.3 T |
Sector | Finance | P/E Ratio TTM | 22.35 |
Market Cap | 412.2 B | 1 Year Beta | 1.48 |
Price | 4,195.30 -59.10 (-1.39%) | 52 Week High | 4,528.45 |
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ISIN | INE881D01027 | 52 Week Low | 2,883.25 |
Industry | Packaged Software | Volume | 32,518 |
Sector | Technology Services | P/E Ratio TTM | 20.05 |
Market Cap | 368 B | 1 Year Beta | 0.77 |
Price | 5,849.35 94.30 (1.64%) | 52 Week High | 6,035.00 |
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ISIN | INE262H01013 | 52 Week Low | 3,092.05 |
Industry | Information Technology Services | Volume | 258.8 T |
Sector | Technology Services | P/E Ratio TTM | 47.72 |
Market Cap | 442.7 B | 1 Year Beta | 1.25 |
Price | 240.25 2.40 (1.01%) | 52 Week High | 254.40 |
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ISIN | INE347G01014 | 52 Week Low | 195.70 |
Industry | Gas Distributors | Volume | 2 M |
Sector | Utilities | P/E Ratio TTM | 10.54 |
Market Cap | 357.2 B | 1 Year Beta | 0.37 |
Price | 5,130.00 -91.85 (-1.76%) | 52 Week High | 5,358.55 |
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ISIN | INE455K01017 | 52 Week Low | 2,451.10 |
Industry | Electrical Products | Volume | 660.1 T |
Sector | Producer Manufacturing | P/E Ratio TTM | 53.11 |
Market Cap | 783.3 B | 1 Year Beta | 1.10 |
Price | 238.40 8.70 (3.79%) | 52 Week High | 251.12 |
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ISIN | INE134E01011 | 52 Week Low | 80.68 |
Industry | Finance/Rental/Leasing | Volume | 19.9 M |
Sector | Finance | P/E Ratio TTM | 4.61 |
Market Cap | 757.9 B | 1 Year Beta | 1.46 |
Price | 77.50 2.50 (3.33%) | 52 Week High | 79.05 |
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ISIN | INE160A01022 | 52 Week Low | 34.25 |
Industry | Major Banks | Volume | 96.3 M |
Sector | Finance | P/E Ratio TTM | 19.36 |
Market Cap | 825.8 B | 1 Year Beta | 2.41 |
Price | 270.90 11.80 (4.55%) | 52 Week High | 284.70 |
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ISIN | INE020B01018 | 52 Week Low | 91.05 |
Industry | Finance/Rental/Leasing | Volume | 28.9 M |
Sector | Finance | P/E Ratio TTM | 6.11 |
Market Cap | 682.4 B | 1 Year Beta | 0.86 |
Price | 1,890.95 -9.35 (-0.49%) | 52 Week High | 1,971.80 |
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ISIN | INE721A01013 | 52 Week Low | 1,146.00 |
Industry | Finance/Rental/Leasing | Volume | 561 T |
Sector | Finance | P/E Ratio TTM | 11.34 |
Market Cap | 713.3 B | 1 Year Beta | 0.65 |
Price | 93.20 -1.15 (-1.22%) | 52 Week High | 103.65 |
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ISIN | INE114A01011 | 52 Week Low | 73.20 |
Industry | Steel | Volume | 11.8 M |
Sector | Non-Energy Minerals | P/E Ratio TTM | 24.30 |
Market Cap | 389.8 B | 1 Year Beta | 1.33 |
Price | 1,876.00 1.35 (0.07%) | 52 Week High | 1,957.35 |
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ISIN | INE151A01013 | 52 Week Low | 1,096.05 |
Industry | Major Telecommunications | Volume | 1 M |
Sector | Communications | P/E Ratio TTM | 32.72 |
Market Cap | 534.6 B | 1 Year Beta | 1.16 |
Price | 145.95 0.15 (0.10%) | 52 Week High | 150.00 |
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ISIN | INE171A01029 | 52 Week Low | 109.45 |
Industry | Regional Banks | Volume | 8.1 M |
Sector | Finance | P/E Ratio TTM | 9.15 |
Market Cap | 342.3 B | 1 Year Beta | 1.04 |
Price | 406.25 -0.55 (-0.14%) | 52 Week High | 436.45 |
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ISIN | INE053A01029 | 52 Week Low | 280.05 |
Industry | Hotels/Resorts/Cruise lines | Volume | 2.5 M |
Sector | Consumer Services | P/E Ratio TTM | 54.70 |
Market Cap | 577.8 B | 1 Year Beta | 1.18 |
Price | 2,065.90 7.70 (0.37%) | 52 Week High | 2,131.55 |
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ISIN | INE849A01020 | 52 Week Low | 1,155.00 |
Industry | Apparel/Footwear Retail | Volume | 394.8 T |
Sector | Retail Trade | P/E Ratio TTM | 150.60 |
Market Cap | 738.3 B | 1 Year Beta | 1.01 |
Price | 1,494.10 -4.80 (-0.32%) | 52 Week High | 1,533.40 |
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ISIN | INE494B01023 | 52 Week Low | 967.55 |
Industry | Motor Vehicles | Volume | 1 M |
Sector | Consumer Durables | P/E Ratio TTM | 48.70 |
Market Cap | 712.1 B | 1 Year Beta | 0.78 |
Price | 1,562.90 -8.50 (-0.54%) | 52 Week High | 1,806.45 |
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ISIN | INE686F01025 | 52 Week Low | 1,353.50 |
Industry | Beverages: Alcoholic | Volume | 69,522 |
Sector | Consumer Non-Durables | P/E Ratio TTM | 148.59 |
Market Cap | 415.3 B | 1 Year Beta | 0.54 |
Price | 11.30 0.45 (4.15%) | 52 Week High | 12.50 |
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ISIN | INE669E01016 | 52 Week Low | 5.70 |
Industry | Wireless Telecommunications | Volume | 298.3 M |
Sector | Communications | P/E Ratio TTM | |
Market Cap | 528.7 B | 1 Year Beta | 1.58 |
Price | 865.55 -3.15 (-0.36%) | 52 Week High | 936.00 |
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ISIN | INE226A01021 | 52 Week Low | 737.20 |
Industry | Industrial Machinery | Volume | 597 T |
Sector | Producer Manufacturing | P/E Ratio TTM | 184.27 |
Market Cap | 287.2 B | 1 Year Beta | 0.54 |
Price | 265.50 -1.75 (-0.65%) | 52 Week High | 290.70 |
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ISIN | INE256A01028 | 52 Week Low | 170.10 |
Industry | Broadcasting | Volume | 4.7 M |
Sector | Consumer Services | P/E Ratio TTM | |
Market Cap | 256.7 B | 1 Year Beta | 0.93 |
Price | 595.60 -20.05 (-3.26%) | 52 Week High | 668.75 |
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ISIN | INE010B01027 | 52 Week Low | 350.25 |
Industry | Pharmaceuticals: Major | Volume | 1.6 M |
Sector | Health Technology | P/E Ratio TTM | 23.84 |
Market Cap | 623.1 B | 1 Year Beta | 0.36 |
Nifty Midcap 50 Methodolgy
Eligibility Criteria for Selection of Constituent Stocks:
i. To be considered for inclusion in Nifty Midcap 50 Index, companies must form part of Nifty Midcap 150
ii. Securities will be included if rank of any F&O constituent in Nifty Midcap 150 based on full market capitalisation is among top 30 iii. Securities will be included if full market capitalisation of any F&O constituent in Nifty Midcap 150 is 1.50 times of the last constituent in Nifty Midcap 50
iv. Securities will be excluded if rank based on full market capitalisation falls below 70 among F&O constituents in Nifty Midcap 150 v. Securities will be excluded if it is excluded from Nifty Midcap 150 or excluded from F&O segment of NSE
vi. Eligibility criteria for newly listed security is checked based on the data for a three-month period instead of a six-month period
Index Re-Balancing:
Index is re-balanced on semi-annual basis. The cut-off date is January 31 and July 31 of each year, i.e. For semi-annual review of indices, average data for six months ending the cut-off date is considered. Four weeks prior notice is given to market from the date of change.
Index Governance:
A professional team manages all NSE indices. There is a three-tier governance structure comprising the Board of Directors of NSE Indices Limited, the Index Advisory Committee (Equity) and the Index Maintenance Sub-Committee.
i. To be considered for inclusion in Nifty Midcap 50 Index, companies must form part of Nifty Midcap 150
ii. Securities will be included if rank of any F&O constituent in Nifty Midcap 150 based on full market capitalisation is among top 30 iii. Securities will be included if full market capitalisation of any F&O constituent in Nifty Midcap 150 is 1.50 times of the last constituent in Nifty Midcap 50
iv. Securities will be excluded if rank based on full market capitalisation falls below 70 among F&O constituents in Nifty Midcap 150 v. Securities will be excluded if it is excluded from Nifty Midcap 150 or excluded from F&O segment of NSE
vi. Eligibility criteria for newly listed security is checked based on the data for a three-month period instead of a six-month period
Index Re-Balancing:
Index is re-balanced on semi-annual basis. The cut-off date is January 31 and July 31 of each year, i.e. For semi-annual review of indices, average data for six months ending the cut-off date is considered. Four weeks prior notice is given to market from the date of change.
Index Governance:
A professional team manages all NSE indices. There is a three-tier governance structure comprising the Board of Directors of NSE Indices Limited, the Index Advisory Committee (Equity) and the Index Maintenance Sub-Committee.
Related Indices to Nifty Midcap 50
The Nifty 50 index is a well-diversified 50 companies index reflecting overall market conditions. Nifty 50 Index is computed using free float market capitalization method.
Nifty 50 can be used for a variety of purposes such as benchmarking fund portfolios, launching of index funds, ETFs and structured products.
Index Variants: Nifty50 USD, Nifty 50 Total Returns Index and Nifty50 Dividend Points Index more about Nifty 50
The Nifty Next 50 Index represents 50 companies from Nifty 100 after excluding the Nifty 50 companies. The Nifty Next 50 Index represents about 12% of the free float market capitalization of the stocks listed on NSE as on March 31, 2016. Nifty Next 50 was introduced on January 1, 1997, with base date and base value being November 03, 1996 and 1000 respectively and a base capital of 0.43 trillion. The total traded value for the last six months March 2016 of all index constituents is approximately 13% of the traded value of all stocks on NSE.Effective May 04, 2009, Nifty Next 50 is computed using Free Float Market Capitalisation weighted method, wherein the level of index reflects the free float market capitalisation of all stocks in Index. more about Nifty Next 50
Nifty 100 is a diversified 100 stock index representing major sectors of the economy. Nifty 100 represents top 100 companies based on full market capitalisation from Nifty 500. This index intends to measure the performance of large market capitalisation companies. The Nifty 100 tracks the behavior of combined portfolio of two indices viz. Nifty 50 and Nifty Next 50. The Nifty 100 Index represents about 77% of the free float market capitalization of the stocks listed on NSE as on March 31, 2016. The total traded value for the last six months ending March 2016 of all index constituents is approximately 61% of the traded value of all stocks on the NSE. more about Nifty 100
The Nifty 200 Index is designed to reflect the behaviour and performance of large and mid market capitalization companies . Nifty 200 includes all companies forming part of Nifty 100 and Nifty Full Midcap 100 index. The Nifty 200 Index represents about 86% of the free float market capitalization of the stocks listed on NSE as on March 31, 2016. The total traded value for the last six months ending March 2016, of all index constituents is approximately 77% of the traded value of all stocks on NSE. more about Nifty 200
The Nifty Total Market Index will track the performance of 750 stocks covering large, mid, small and microcap segments via a single index.
All stocks that are part of Nifty 500 index and Nifty Microcap 250 index form part of the Nifty Total Market index. Stock’s weight is based on its free-float market capitalization. more about Nifty Total Market
The Nifty 500 represents the top 500 companies based on full market capitalisation and average daily turnover from the eligible universe. It represents about 94% of the free float market capitalization of the stocks listed on NSE as on March 31, 2016. The total traded value for the last six months ending March 2016, of all Index constituents is approximately 87% of the traded value of all stocks on NSE. more about Nifty 500
The Nifty500 Multicap 50:25:25 index aims to measure the performance of portfolio of large, mid and small market capitalisation companies with target weights assigned to each size segment. The Nifty500 Multicap 50:25:25 index includes all companies that are part of Nifty 500 index. While in Nifty 500 index, the total weight of each size segment (Large, Mid and Small cap) is based on the total free float market capitalisation of all stocks falling within that size segment, in Nifty500 Multicap 50:25:25 index, the total weight of each of these three segments (Large, Mid and Small cap) is fixed at 50%, 25% and 25% respectively at every quarterly rebalance date. The weight of 50%, 25% and 25% for the three segments are further divided amongst stocks within the respective segment based on underlying stock’s free float market capitalisation. Weight of each size segment may be different from its respective capped level between two rebalance dates due to price drift of underlying stocks. more about Nifty500 Multicap 50:25:25
Nifty Midcap 150 represents 150 companies (companies ranked 101-250) based on full market capitalisation from Nifty 500. The Nifty Midcap 150 Index represents about 11.4% of the free float market capitalization of the stocks listed on NSE as on March 31, 2016. The total traded value for the last six months ending March 2016, of all index constituents is approximately 19% of the traded value of all stocks on NSE. more about Nifty Midcap150
Nifty Midcap Select index aims to track the performance of focused portfolio of 25 stocks within the Nifty Midcap 150 index. The stocks are selected based on market cap, average daily turnover and availability for trading on NSE’s Futures & Options segment (F&O) are eligible to be the part of the index. The weight of the stocks is based on free-float market capitalization more about Nifty Midcap Select
The Nifty Midcap 100 Index captures the movement of the midcap segment of the market. The Nifty Midcap 100 Index comprises 100 tradable stocks listed on the National Stock Exchange (NSE). The Nifty Midcap 100 Index represents about 11% of the free float market capitalization of the stocks listed on NSE as on March 31, 2018. The total traded value for the last six months ending March 2018, of all index constituents is approximately 20% of the traded value of all stocks on NSE. more about Nifty Midcap 100
Nifty Smallcap 250 represents 250 companies (companies ranked 251-500) from Nifty 500. This index intends to measure the performance of small market capitalisation companies. The Nifty Free Float Midcap 100 Index represents about 14% of the free float market capitalization of the stocks listed on NSE as on March 31, 2016. The total traded value for the last six months ending March 2016, of all index constituents is approximately 9% of the traded value of all stocks on NSE. more about Nifty Smallcap 250
The Nifty Smallcap 50 Index represents the movement of the smallcap segment of the market. more about Nifty Smallcap 50
The Nifty Smallcap 100 Index reflects the behaviour and performance of the small cap segment of the financial market. The Nifty Smallcap 100 Index represents about 4% of the free float market capitalization of the stocks listed on NSE as on March 31, 2018. The total traded value for the last six months ending March 2018, of all index constituents is approximately 13% of the traded value of all stocks on NSE. more about Nifty Smallcap 100
The Nifty Microcap 250 index aims to track the performance of microcap stocks listed or permitted to trade on NSE. The index includes the top 250 companies beyond the Nifty 500 index constituents, selected based on their average full market capitalization. A stock’s weight is based on its free-float market capitalization. more about Nifty Microcap 250
The Nifty LargeMidcap 250 reflects the performance of a portfolio of 100 large cap and 150 mid cap companies listed on NSE, represented through the Nifty 100 and the Nifty Midcap 150 index respectively. The aggregate weight of large cap stocks and mid cap stocks is 50% each and are reset on a quarterly basis.
The index has a base date of April 01, 2005 and a base value of 1000. The Index is reconstituted on a semi-annual basis along with Nifty 100 and Nifty Midcap 150 index. more about Nifty LargeMidcap 250
The Nifty MidSmallcap 400 Index is designed to reflect the behaviour and performance of the mid and small market capitalisation companies.
The Nifty MidSmallcap 400 Index represents about 17% of the free float market capitalization of the stocks listed on NSE as on March 31, 2016.
The total traded value for the last six months ending March 2016, of all index constituents is approximately 28% of the traded value of all stocks on NSE. more about Nifty MidSmallcap 400
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