Nifty MNC

Diversify Globally. Invest Locally.

As of Jul 09, 2026, the PE ratio is 35.90 and the PB ratio is 7.46

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Index Report

Easy-to-read, rules-based summary. Educational only.

1) Index Snapshot (1-minute read)

Nifty MNC is at 32,466.20 as of Jul 09, 2026. 1Y CAGR is 12.72%. It is 2.15% below its recent peak. Current valuation: PE 35.90, PB 7.46.

As of
Jul 09, 2026
Current Value
32,466.20
PE / PB
35.90 / 7.46
Dividend Yield
1.49%
1Y CAGR
12.72%
3Y CAGR
-
5Y CAGR
-
Volatility (1Y)
14.57%
Drawdown from Peak
2.15%

2) Valuation Zone

Zone is Very Cheap based on the last 15Y of PE/PB history.

Very Cheappercentile
PE 35.90vs 5Y avg 39.13 (-8.26%)
PE 35.90vs 10Y avg PRO
PE 35.90vs 15Y avg PRO
PB 7.46vs 5Y avg 8.79 (-15.12%)
PB 7.46vs 10Y avg PRO
PB 7.46vs 15Y avg PRO

3) Earnings Growth Health

Trend:Improving

Composite proxy: 9.77% (weighted 1Y/3Y/5Y/10Y/15Y).

Status map: 1Y Improving.

1YImproving
Price CAGR: 12.72%
PE CAGR: 2.95%
Proxy: 9.77%
3YPRO
Price CAGR: -
PE CAGR: -
Proxy: -
5YPRO
Price CAGR: -
PE CAGR: -
Proxy: -
10YPRO
Price CAGR: -
PE CAGR: -
Proxy: -
15YPRO
Price CAGR: -
PE CAGR: -
Proxy: -

Proxy = price CAGR minus PE CAGR. Overall trend uses weighted proxy across 1Y/3Y/5Y/10Y/15Y, so single-year noise has less impact.

4) Sector Contribution Breakdown

Based on constituent counts (weights not available).

Fast Moving Consumer Goods
23.33%
Capital Goods
20.00%
Healthcare
16.67%
Consumer Durables
10.00%
Information Technology
6.67%
Automobile and Auto Components
6.67%

5) Risk Signals

  • Volatility is low (14.57%). Moves are calmer.
  • Index is near its recent peak (drawdown 2.15%).
  • Valuation is supportive vs history.

Signals are descriptive, not predictions.

6) Action Guidance

SIP
Increase

Consider increasing SIP if cashflow allows.

Lump-sum
Wait

Prefer staggered entries and avoid rushing.

Rules-based guidance for long-term investors. Not a buy/sell call.

7) Index vs Inflation vs FD

Inflation and FD rates are not configured yet.

Supporting Guides

Intent-focused pages connected to this index.

Technical Signals

OverboughtGolden Cross Active

Historical vs. Current Market

Compare its historical behavior with the current market environment to gain insights into potential trends.

GreedyFearCurrent Market Jul 09, 2026
PEPBDIVPointsPEPBDIVPointsFall(%)~PEPBDIVMRI
Level
Jan 16, 2020Mar 24, 2020~35.907.461.49
0.004.161.8014132.050.002.802.6210058.60-28.82

0

0

79.33

166.43

17.22

43.13

51
Mar 02, 2015Feb 26, 2016
43.027.220.9410234.4035.696.151.958315.80-18.75

16.55

0.59

3.32

21.3

58.51

23.59

86

Recent Performance

Analyze the recent performance of the Nifty MNC, including its recent highs and lows

Recent HighRecent LowCurrent Market Jul 09, 2026
PEPBDIVPointsPEPBDIVPointsFall(%)~PEPBDIVPoints
Jul 06, 2026Jul 08, 2026~Jul 09, 2026
36.697.991.4333181.1035.707.411.5032288.05-2.69

35.907.461.4932466.20 (0.55% )

Performance

Past performance returns (%) of the index

#1D1W1M3M6M1Y3Y5Y7Y10Y15Y
Nifty MNC0.55-1.17-1.079.266.812.5-----

Fundamentals

Nifty MNC

PEPBDiv
35.907.461.49

Index Companies

Companies included in this index

Companies
Name of the companyIndustrySymbol
3M India Ltd.Diversified3MINDIA
ABB India Ltd.Capital GoodsABB
Abbott India Ltd.HealthcareABBOTINDIA
Ambuja Cements Ltd.Construction MaterialsAMBUJACEM
Ashok Leyland Ltd.Capital GoodsASHOKLEY
Bata India Ltd.Consumer DurablesBATAINDIA
Bosch Ltd.Automobile and Auto ComponentsBOSCHLTD
Britannia Industries Ltd.Fast Moving Consumer GoodsBRITANNIA
Castrol India Ltd.Oil Gas & Consumable FuelsCASTROLIND
Colgate Palmolive (India) Ltd.Fast Moving Consumer GoodsCOLPAL
Cummins India Ltd.Capital GoodsCUMMINSIND
Gland Pharma Ltd.HealthcareGLAND
Glaxosmithkline Pharmaceuticals Ltd.HealthcareGLAXO
Hindustan Unilever Ltd.Fast Moving Consumer GoodsHINDUNILVR
Honeywell Automation India Ltd.Capital GoodsHONAUT
Kansai Nerolac Paints Ltd.Consumer DurablesKANSAINER
Maruti Suzuki India Ltd.Automobile and Auto ComponentsMARUTI
MphasiS Ltd.Information TechnologyMPHASIS
Nestle India Ltd.Fast Moving Consumer GoodsNESTLEIND
Oracle Financial Services Software Ltd.Information TechnologyOFSS
Pfizer Ltd.HealthcarePFIZER
Procter & Gamble Hygiene & Health Care Ltd.Fast Moving Consumer GoodsPGHH
SKF India Ltd.Capital GoodsSKFINDIA
Sanofi India Ltd.HealthcareSANOFI
Siemens Ltd.Capital GoodsSIEMENS
United Breweries Ltd.Fast Moving Consumer GoodsUBL
United Spirits Ltd.Fast Moving Consumer GoodsMCDOWELL-N
Vedanta Ltd.Metals & MiningVEDL
Vodafone Idea Ltd.TelecommunicationIDEA
Whirlpool of India Ltd.Consumer DurablesWHIRLPOOL

About

The NIFTY MNC Index provides a strategic approach to gaining exposure to leading multinational corporations (MNCs) operating in India. It comprises 30 companies listed on the National Stock Exchange of India (NSE) where foreign promoters hold a majority stake (over 50%). By following the NIFTY MNC Index, you invest in established global brands like Maruti Suzuki, Hindustan Unilever, Nestle, and others, potentially benefiting from their strong brand recognition, international reach, and growth prospects in the Indian market.

Portfolio Characteristics

MethodologyPeriodic capped free-float
No. of Constituents30
Launch Date2004-01-01
Calculation FrequencyReal-Time
Index RebalancingSemi - Annually