Index Overview

BSE Sensex

Return Overview

1M
-4.63%
3M
+1.24%
6M
-4.22%
1Y
-8.01%
3Y
+3.99%
5Y
+5.14%
10Y
+10.03%
Max
+9.95%

Fundamentals

Asset TypeEquity
Index TypeBroad Market Index
No. of Companies30
Market Cap FocusLarge Cap
P/E25.31
P/B4.95
Div Yield1.48%
Std Deviation (1 yr)0.85%

Exchange Traded Funds (ETFs)

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Fund NameLast CloseAUM (Cr)Avg Exp RatioTracking Error1M ADTO (Cr)1M Avg NAV GapAll-In-CostScore
869.501,19,4440.04%0.02%1-0.15%0.06%
840.9855,1680.04%0.11%00.20%0.35%
860.5530,6900.02%0.11%10.12%0.25%

Index Funds

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Fund NameLast CloseAUM (Cr)Avg Exp RatioTracking ErrorAll-In-CostScore
N/A8,4850.18%0.16%0.34%
N/A1,8430.17%0.16%0.33%
N/A9180.17%0.16%0.33%

Sectoral Allocation

Total
100%
allocation
  • Bank34.9%
  • Crude Oil10.1%
  • IT9.7%
  • Telecom5.9%
  • Infrastructure5.4%
  • FMCG5.3%
  • Automobile & Ancillaries5.0%
  • Finance3.9%
  • Power3.6%
  • Retailing3.1%
  • Healthcare2.2%
  • Iron & Steel1.9%
  • Diamond & Jewellery1.9%
  • Capital Goods1.7%
  • Construction Materials1.5%
  • Logistics1.5%
  • Chemicals1.4%
  • Aviation1.1%

Index Constituents

NameWeight
HDFC Bank Ltd.12.8%
ICICI Bank Ltd.10.2%
Reliance Industries Ltd.10.1%
Bharti Airtel Ltd.5.9%
Larsen & Toubro Ltd.5.4%
Infosys Ltd.4.6%
State Bank Of India4.5%
Axis Bank Ltd.4.2%
Kotak Mahindra Bank Ltd.3.2%
ITC Ltd.3.1%
Mahindra & Mahindra Ltd.3.1%
Bajaj Finance Ltd.2.7%
Tata Consultancy Services Ltd.2.6%
Sun Pharmaceutical Industries Ltd.2.2%
Hindustan Unilever Ltd.2.2%
NTPC Ltd.2.1%
Eternal Ltd.2.0%
Maruti Suzuki India Ltd.2.0%
Tata Steel Ltd.1.9%
Titan Company Ltd.1.9%
Bharat Electronics Ltd.1.7%
Ultratech Cement Ltd.1.5%
Adani Ports and Special Economic Zone Ltd.1.5%
Power Grid Corporation Of India Ltd.1.5%
HCL Technologies Ltd.1.4%
Asian Paints Ltd.1.4%
Bajaj Finserv Ltd.1.1%
Interglobe Aviation Ltd.1.1%
Tech Mahindra Ltd.1.1%
Trent Ltd.1.1%

Holdings Concentration

Total covered: 100%
Top 1–5
5 holdings
44.4%
44%
share
Top 6–10
5 holdings
19.6%
20%
share
Top 11–20
10 holdings
22.7%
23%
share
Beyond 20
10 holdings
13.3%
13%
share

Market Cap Classification

Total
100%
allocation
  • Large Cap100.0%

Index Methodology

Factor BasisSize (Market Cap)
UniverseBSE 100
WeightageFree-Float Market Cap Weighting; Max Weight =15%
Stocks Included30 largest, most liquid and financially sound companies listed on the BSE are selected. Process: [1] Top 75 by float-adjusted mcap (6-month avg) are identified, [2] Output of [1] are ranked again by their loat-adjusted mcap (6-month avg); [3] Output of [2] are sorted by theri annualized traded value and bottom 2% of the companies based on annualized traded value are excluded. [4] Ouptut of [3] are sorted by float adjusted market cap (6-month avg). Companies with weight less than 0.5% are excluded. [5] Ouput of [4] are ranked by float adjusted market cap (6-month avg) Top 21 are selected with no-sector consideration. Existing Stocks ranked 22-39 are selected until 30 is reached. In case of shortfall, non-constituents ranked 22-30 are selected by giving preference to the underrepresented sectors. *Annualized traded value = median of the monthly medians of the daily traded values over the six-month period
ExclusionsConstituents moving; Contituents with listing hitory of <1 year; Constituents that trade less than all days over last 6m; Constittuents moving out of the BSE 100 index. out of the BSE 100 are excluded; Constituents that no longer meet the eligibility criteria are excluded.

Index • Last updated: 11/09/2026

Note: Above data is based on average of ETFs / Index Funds.