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Nifty500 Multicap Infrastructure 50:30:20
Nifty500 Multicap Infrastructure 50:30:20 Performance
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Open
12,790.20
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High
12,897.80
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Low
12,757.15
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Prev Close
12,724.05
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Dividend Yeild
0.00%
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P/E
0
Nifty500 Multicap Infrastructure 50:30:20 Chart
Color code for Stocks Performance
- 5% and above
- 5% to 2%
- 2% to 0.5%
- 0.5% to -0.5%
- -0.5% to -2%
- -2% to -5%
- -5% and below
Constituent Companies
Company | Market Cap | Market Price | Volume | Sector |
---|---|---|---|---|
ACC Ltd | ₹37441 Cr |
₹1993.5
(0.38%)
|
366412 | Cement |
Aegis Logistics Ltd | ₹24345 Cr |
₹693.9
(0.94%)
|
2792301 | Trading |
Apollo Tyres Ltd | ₹27481 Cr |
₹432.8
(1.39%)
|
1425961 | Tyres |
Ashok Leyland Ltd | ₹61696 Cr |
₹210.33
(2.36%)
|
7010891 | Automobile |
Balkrishna Industries Ltd | ₹53451 Cr |
₹2764.7
(0.58%)
|
214327 | Tyres |
Nifty500 Multicap Infrastructure 50:30:20 Sector Performance
Top Performing
Sector Name | Percentage Change |
---|---|
IT - Hardware | 1.83 |
Leather | 1.31 |
Healthcare | 0.27 |
Dry cells | 0.67 |
Under Performing
Sector Name | Percentage Change |
---|---|
Diamond, Gems and Jewellery | -0.23 |
Ceramic Products | -0.26 |
IT - Software | -0.28 |
Stock/ Commodity Brokers | -0.21 |
Introduction
The Nifty500 Multicap Infrastructure 50:30:20 Index serves as a vital instrument in the financial landscape, designed to mirror the performance of carefully selected large, mid, and small-cap stocks from the Nifty 500 index that embody the infrastructure theme. The index employs a meticulous weighting system, where each stock's influence is determined by its free-float market capitalization.
Here's a breakdown of its key features:
Segment Weighting: The index allocates weights to different market capitalization segments in fixed proportions. Large-cap stocks carry a weight of 50%, mid-cap stocks 30%, and small-cap stocks 20%. This balanced approach ensures representation across various tiers of market capitalization while emphasizing the significance of each segment.
Stock Weight Caps: To prevent any single stock from exerting disproportionate influence, the index imposes a cap of 10% on individual stock weights during rebalancing. This measure promotes diversification within the index, reducing concentration risk and enhancing stability.
Versatile Applications: The Nifty500 Multicap Infrastructure 50:30:20 Index finds utility across a spectrum of investment activities. It serves as a benchmark for evaluating the performance of fund portfolios, facilitating the launch of index funds, exchange-traded funds (ETFs), and structured products tailored to the infrastructure theme. Whether investors seek to gauge their portfolio's performance or capitalize on infrastructure-related investment opportunities, the index offers a reliable framework.
Index Variant: In addition to the standard index, there exists a variant known as the Nifty500 Multicap Infrastructure 50:30:20 Total Returns Index. This variant incorporates reinvested dividends and other distributions, providing a more comprehensive measure of total returns for investors keen on maximizing their investment outcomes over time.
In essence, the Nifty500 Multicap Infrastructure 50:30:20 Index represents a strategic blend of market capitalization segments, curated to capture the essence of infrastructure investments. With its diversified approach, prudent weighting system, and versatile applications, the index serves as a valuable tool for investors navigating the infrastructure sector's opportunities and challenges.
Nifty500 Multicap Infrastructure Scrip Selection Criteria
The Nifty500 Multicap Infrastructure 50:30:20 Index operates under a set of robust guidelines and governance measures to ensure its effectiveness and integrity. Let's break down these key components:
Base Date and Value: Established on April 1, 2005, with a base value of 1000, the index provides a historical reference point for tracking performance over time.
Inclusion Criteria: Stocks eligible for inclusion must be part of the Nifty 500 index at the time of review, ensuring alignment with broader market trends and conditions.
Segment Allocation: The index carefully allocates weights to different market capitalization segments - 15 companies from the large-cap universe, 25 from mid-cap, and 35 from small-cap, based on free-float market capitalization. Stocks trading on the NSE's F&O segment are given preference.
Segment Weights: Maintaining a balanced representation, the index allocates 50% to large-cap, 30% to mid-cap, and 20% to small-cap segments, reflecting the diversity of the infrastructure sector.
Weighting Mechanism: The weight of each stock is determined by its free-float market capitalization, ensuring that stocks with larger market capitalizations have a greater influence on the index's performance.
Reconstitution and Rebalancing: The index undergoes semi-annual reconstitution and quarterly rebalancing to reflect changes in the market landscape. Average data for six months ending on January 31 and July 31 is considered for reconstitution, with ample notice provided to the market beforehand.
Governance Structure: A professional team manages all NSE indices, including the Nifty500 Multicap Infrastructure 50:30:20 Index. Governance oversight is provided by a three-tier structure comprising the Board of Directors of NSE Indices Limited, the Index Advisory Committee (Equity), and the Index Maintenance Sub-Committee, ensuring transparency and adherence to established standards.
By adhering to these stringent criteria and governance measures, the Nifty500 Multicap Infrastructure 50:30:20 Index maintains its credibility as a reliable benchmark for tracking the performance of infrastructure-related stocks, providing investors with valuable insights and opportunities for informed decision-making.
How to Invest in Nifty 500 Multicap Infrastructure
Investing in the Nifty500 Multicap Infrastructure index is straightforward, offering investors various avenues to gain exposure. From index funds to exchange-traded funds (ETFs), investors can access the infrastructure theme through diversified investment products tailored to their preferences.
Summarizing
The Nifty500 Multicap Infrastructure 50:30:20 Index emerges as a valuable instrument for investors looking to capitalize on the growth potential of the infrastructure sector. With its balanced approach to market capitalization, meticulous stock selection criteria, and diverse range of applications, the index offers a compelling opportunity to diversify investment portfolios and navigate the dynamic landscape of financial markets with confidence. Whether used for benchmarking, fund creation, or structured products, the index stands as a beacon guiding investors towards new horizons of opportunity in the realm of infrastructure investments.
Other Indices
Indices Name | Price | Price Change (% change) |
---|---|---|
India VIX | 17.39 | -1.25 (-6.71%) |
Nifty 10 Yr Benchmark G-Sec | 2472.45 | 2.88 (0.12%) |
Nifty 10 Yr Benchmark G-Sec (Clean Price) | 894.93 | 1.07 (0.12%) |
Nifty 100 | 23772.5 | 76.25 (0.32%) |
Nifty 100 Alpha 30 Index | 16850.2 | 122.25 (0.73%) |
Faqs
What is the current share price of Nifty500 Multicap Infrastructure Index?
The current share price of the Nifty500 Multicap Infrastructure index can be obtained through financial data providers or online platforms that track index performance in real-time.
What has been the 52-week high of Nifty500 Multicap 50:25:25 stocks?
The 52-week high of Nifty500 Multicap 50:25:25 stocks reflects the highest trading price reached by these stocks over the past year, providing insight into their performance and potential trends.
Which stocks in the Nifty500 Multicap Infrastructure index have shown significant profit growth?
Stocks in the Nifty500 Multicap Infrastructure index that have exhibited substantial profit growth may vary based on market conditions and individual company performance. Investors can analyze financial reports and earnings announcements to identify such stocks.
How to select the best stocks from Nifty500 Multicap Infrastructure companies?
Selecting the best stocks from Nifty500 Multicap Infrastructure companies involves thorough research and analysis. Key factors to consider include financial health, growth prospects, industry trends, and valuation metrics. Investors can employ fundamental and technical analysis techniques to make informed decisions.
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