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Nifty500 Low Volatility 50

Research tool · not investment advice. Full disclaimer →

A description of one index and never a recommendation: its own price trend beside its strength against the broad market, what it costs, and what is happening to the companies inside it — so a move can be read as the index, or as a few names carrying it.

Nifty500 Low Volatility 50

its own trend, beside its relative strength
Updated: nightly

Other index · as of 2026-10-01

Falling and lagging the market

Price: Near 52-week low Relative strength: Lagging ☁ Neutral

-6.3% vs its 50-day average · -6.7% vs its 200-day average · 3-month return -6.4% · -11.8% off its 52-week high · +0.7% above its 52-week low. Price is the index's own trend; relative strength is measured against the Nifty 500 — the two can disagree, and when they do that disagreement is the read.

Weather, because: 3m slope -0.3

Nifty500 Low Volatility 50 20717.95patearn.in
Nifty500 Low Volatility 50 20717.95
range 20431.23–23206.47 · 2025-12-31 → 2026-10-01 · 5 sessions
Show the numbers

5 rows, all of them.

Nifty500 Low Volatility 50 its own trend, beside its relative strength i Source: computed from NSE index prices · NSE index closes.
DateNifty500 Low Volatility 50
2025-12-3123057.80
2026-03-3020579.90
2026-06-3021716.75
2026-09-3020988.25
2026-10-0120717.95

Last quarter (2026-10-01): open 20,890.65 · high 20,907.80 · low 20,531.80 · close 20,717.95 · 50-quarter average — · 200-quarter average —

Today

levels, valuation and returns
Updated: nightly
Close20,717.95-270 points
Today-1.29%change on the day
1-month return-6.5%price only
Today levels, valuation and returns i Source: NSE index closes.
Open20,890.65High20,907.80
Low20,531.80Volume164,402,731
Turnover₹14,770 crDividend yield1.68%
P/E20.49 — higher than on 0 of the last 252 sessions it was recorded (higher = richer)P/B3.38
50-day average22,112.64 (-6.3%)200-day average22,201.98 (-6.7%)
52-week high23,501.85 (-11.8%)52-week low20,579.90 (+0.7%)

Returns · 1 day -1.3% · 1 week -3.4% · 1 month -6.5% · 3 months -6.4% · 6 months +0.1% · 12 months -6.2%

Relative strength

versus the broad market
Updated: nightly
Relative strength versus the broad market i Source: computed from NSE index prices · computed from NSE index prices · computed relative strength.
HorizonRelative-strength slope vs Nifty 500
1 month-0.2%
3 months-0.3%
6 months-4.1%
12 months-1.6%
18 months-0.1%
24 months—

3-month slope -0.3% · relative-strength trend Lagging · Compare with other indices →

The ratio lineNifty500 Low Volatility 50 ÷ Nifty 500

Below its 50-day line Below its 200-day line

Read — relative strength against the Nifty 500

  • Relative strength is below its 200-day line — not yet structurally ahead of the Nifty 500.
  • It is below its 50-day line — near-term lagging the Nifty 500.
Nifty500 Low Volatility 50 ÷ Nifty 500 0.947950-day average 0.9542200-day average 0.9674patearn.in
Nifty500 Low Volatility 50 ÷ Nifty 500 0.947950-day average 0.9542200-day average 0.9674
range 0.9400–0.9763 · 2026-07-06 → 2026-10-01 · 63 sessions
Show the numbers

63 rows, all of them.

⚙ Hide columns
The ratio line Nifty500 Low Volatility 50 ÷ Nifty 500
DateNifty500 Low Volatility 50 ÷ Nifty 50050-day average200-day average
2026-07-060.94850.96370.9702
2026-07-070.95270.96340.9701
2026-07-080.95680.96310.9700
2026-07-090.95340.96280.9699
2026-07-100.94690.96230.9698
2026-07-130.94890.96190.9697
2026-07-140.95290.96140.9697
2026-07-150.95430.96100.9696
2026-07-160.95390.96060.9696
2026-07-170.95200.96030.9695
2026-07-200.95980.96010.9694
2026-07-210.96030.95990.9694
2026-07-220.96660.95970.9694
2026-07-230.97100.95950.9694
2026-07-240.97080.95940.9694
2026-07-270.96860.95940.9695
2026-07-280.97320.95920.9695
2026-07-290.97030.95910.9696
2026-07-300.97440.95900.9696
2026-07-310.97030.95890.9697
2026-08-030.96830.95880.9697
2026-08-040.96540.95860.9697
2026-08-050.96480.95850.9697
2026-08-060.95980.95840.9696
2026-08-070.96210.95830.9696
2026-08-100.95810.95810.9696
2026-08-110.95810.95800.9695
2026-08-120.95640.95780.9694
2026-08-130.95600.95760.9693
2026-08-140.95610.95750.9693
2026-08-170.95330.95730.9692
2026-08-180.95200.95700.9691
2026-08-190.95260.95670.9691
2026-08-200.95190.95640.9691
2026-08-210.95070.95610.9690
2026-08-240.94980.95590.9690
2026-08-250.94860.95590.9690
2026-08-260.94490.95570.9689
2026-08-270.94520.95560.9688
2026-08-280.94620.95560.9687
2026-08-310.95240.95560.9687
2026-09-010.94940.95570.9687
2026-09-020.95140.95570.9686
2026-09-030.94660.95570.9686
2026-09-040.94190.95560.9686
2026-09-070.94200.95550.9685
2026-09-080.94440.95550.9684
2026-09-090.94500.95550.9684
2026-09-100.94690.95550.9684
2026-09-110.94500.95540.9683
2026-09-150.94980.95540.9683
2026-09-160.94970.95540.9682
2026-09-170.95130.95530.9681
2026-09-180.94520.95510.9681
2026-09-210.94610.95510.9680
2026-09-220.94630.95500.9679
2026-09-230.94590.95490.9679
2026-09-240.95120.95480.9678
2026-09-250.95200.95480.9677
2026-09-280.95730.95490.9677
2026-09-290.95480.95480.9676
2026-09-300.95090.95460.9675
2026-10-010.94790.95420.9674
The ratio line Nifty500 Low Volatility 50 ÷ Nifty 500
DateWhat the ratio did
2026-09-30crossed BELOW its 50-day average
2026-09-28crossed ABOVE its 50-day average
2026-08-12crossed BELOW its 50-day average
2026-08-11crossed ABOVE its 50-day average
2026-08-10crossed BELOW its 50-day average
2026-07-21crossed ABOVE its 50-day average

The most recent 6 of 6 such events inside this window, newest first.

Its rotation, last six monthsrelative-strength ratio × momentum versus Nifty 500

LEADINGIMPROVINGLAGGINGWEAKENING1007212812872Strength →Direction →Nifty500 Low Volatility 50patearn.in
LeadingImprovingWeakeningLaggingThe tail is the last six months, week by week; the bright end is the latest week. Every sector at once: the Rotation page.

0 of 1 sectors are leading the market and 1 are improving toward it. Improving: Nifty500 Low Volatility 50.

Left–right is strength (is it stronger than the market?); up–down is direction (is that strength building?). Both are centred at 100, so the crossing point is “exactly as strong as the market”, and sectors travel clockwise.

Every sector on one rotation map →

Relative-strength depthversus Nifty 500 · rotation, Mansfield and capture

Relative-strength depth versus Nifty 500 · rotation, Mansfield and capture
QuadrantImproving
RS momentum103.85 (100 = the benchmark's pace)
Mansfield RS-2.02%
RSI-of-RS46
Up-capture0.71× over 1 year
Down-capture0.87× over 1 year

Relative-strength channel

where the ratio sits in its own range
Updated: nightly

Nifty500 Low Volatility 50 — its own RS channelrelative strength versus Nifty 500

Not enough relative-strength history to draw a channel for this name yet. The band engine needs roughly two years before a range means anything, and it is not drawn on less.

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Inside the index

bottom-up, equal-weight
Updated: nightly

No liquid constituent signals on record for this index yet.

Seasonality

the calendar record
Updated: nightly

How Nifty500 Low Volatility 50 has behaved month by month and week by week, every year on record, with each result's sample size beside it: its seasonal record →

Two readings answer different questions. The price trend says whether the index is going up. Relative strength says whether it is beating the market. A sector can rise while lagging — money is still flowing elsewhere faster — and it can fall while leading, simply by falling less.

Descriptive market data from the exchange's own index files and the stock tape. No ranking of what to own, no recommendation, and nothing here is adjusted for risk.

Download: every member (CSV) ↓ · the price series with its averages (CSV) ↓