Nifty100 ESG Sector Leaders

Leading the Charge in Sustainability

As of Apr 24, 2026, the PE ratio is 21.26 and the PB ratio is 3.44

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Index Report

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

1) Index Snapshot (1-minute read)

Nifty100 ESG Sector Leaders is at 4,001.70 as of Apr 24, 2026. 1Y CAGR is 1.78%. It is 9.32% below its recent peak. Current valuation: PE 21.26, PB 3.44.

As of
Apr 24, 2026
Current Value
4,001.70
PE / PB
21.26 / 3.44
Dividend Yield
1.34%
1Y CAGR
1.78%
3Y CAGR
-
5Y CAGR
-
Volatility (1Y)
14.72%
Drawdown from Peak
9.32%

2) Valuation Zone

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

Very Cheappercentile
PE 21.26vs 5Y avg 25.75 (-17.43%)
PE 21.26vs 10Y avg 25.75 (-17.43%)
PE 21.26vs 15Y avg 25.75 (-17.43%)
PB 3.44vs 5Y avg 4.22 (-18.56%)
PB 3.44vs 10Y avg 4.22 (-18.56%)
PB 3.44vs 15Y avg 4.22 (-18.56%)

3) Earnings Growth Health

Trend:Improving

Composite proxy: 14.18% (weighted 1Y/3Y/5Y/10Y/15Y).

Status map: 1Y Improving.

1YImproving
Price CAGR: 1.78%
PE CAGR: -12.40%
Proxy: 14.18%
3YN/A
Price CAGR: -
PE CAGR: -
Proxy: -
5YN/A
Price CAGR: -
PE CAGR: -
Proxy: -
10YN/A
Price CAGR: -
PE CAGR: -
Proxy: -
15YN/A
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

Top sector exposure based on available data.

Sector split is not available yet.

5) Risk Signals

  • Volatility is low (14.72%). Moves are calmer.
  • Index is near its recent peak (drawdown 9.32%).
  • 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

OverboughtDeath Cross Active

Recent Performance

Analyze the recent performance of the Nifty100 ESG Sector Leaders, including its recent highs and lows

Recent HighRecent LowCurrent Market Apr 24, 2026
PEPBDIVPointsPEPBDIVPointsFall(%)~PEPBDIVPoints
Jan 02, 2026Mar 30, 2026~Apr 24, 2026
23.833.791.234413.1019.863.191.413707.20-16

21.263.441.344001.70 (7.94% )

Performance

Past performance returns (%) of the index

#1D1W1M3M6M1Y3Y5Y7Y10Y15Y
Nifty100 ESG Sector Leaders-1.31-1.19-0.77-8.84-5.032.28-----

Fundamentals

Nifty100 ESG Sector Leaders

PEPBDiv
21.263.441.34

Exchange Traded Funds (ETF)

Available ETFs tracking this index

Exchange Trade Fund ( ETF )
Name of the ETFExpense
MIRAE ASSET ESG SECTOR LEADERS ETF0.64

About

ESG stands for Environmental, Social and Governance. The Nifty100 ESG Sector Leaders Index will track the performance of the companies within Nifty 100 based on ESG Risk Score which do not have involvement in any major controversies.

Portfolio Characteristics

MethodologyPeriodic Capped Free Float MCap
No. of Constituents56
Launch Date2020-06-15
Calculation FrequencyReal-Time
Index RebalancingSemi - Annually