indices

BSE Enhanced Value

Factsheet
The BSE Enhanced Value Index is designed to measure the performance of the 30 companies in the BSE LargeMidCap with the highest valuations based on three fundamental measures – book value-to-price, earnings-to-price and sales-to-price. It was launched on 3rd December 2015.
1,024.31-4.3 (-0.41%)
Note: Live price is not available for this index. Showing closing price. For historical calculations, prices are adjusted for splits, bonus and rights issue. Percentage change shown is absolute irrespective of the period.
1 Week returns: -0.80 %
Low
1,021.2
High
1,035.6
1 Month returns: -2.28 %
Low
1,014.6
High
1,066.8
1 Year returns: 6.34 %
Low
891.6
High
1,150.9
3 Year CAGR: 24.96 %
Low
521.7
High
1,150.9
5 Year CAGR: 21.25 %
Low
347.5
High
1,150.9
P/E Ratio
8.7
P/B Ratio
1.2
Constituents
30
Dividend Yield
3.43 %
Avg P/B Ratio (3Y)
1.36
Avg P/B Ratio (5Y)
1.29
Avg P/E Ratio (3Y)
9.35
Avg P/E Ratio (5Y)
8.94
Avg Div yield (3Y)
2.99
Avg Div yield (5Y)
2.67
ROCE
10.43 %
ROE
15.36 %
PAT margin
7.76 %
Operating margin
11.39 %
Historical Performance
Constituents

Performance

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Constituents

A magic table that shows all the constituents of the index and lets you compare all the constituents at one place. Customize columns as per your preference.

Frequently Asked Questions

What is the current level of BSE Enhanced Value?
BSE Enhanced Value is currently at 1,025.29. Over the past 1 week, the index has declined 0.80%. The 52-week high is 1,150.94 and the 52-week low is 891.58.
What is the 1-year return of BSE Enhanced Value?
BSE Enhanced Value has delivered a 1-year point-to-point return of 6.34%. Over 3 years, the CAGR is 24.96% and over 5 years it is 21.25%. Detailed returns across all timeframes are shown in the Price & Range Analysis section.
What is the 3-year CAGR of BSE Enhanced Value?
BSE Enhanced Value has delivered a 3-year CAGR of 24.96% and a 5-year CAGR of 21.25%. The 1-year return is 6.34%. CAGR (Compound Annual Growth Rate) represents the steady annual return an investor would have earned over the period.
What is the 5-year CAGR of BSE Enhanced Value?
BSE Enhanced Value has delivered a 5-year CAGR of 21.25%, compared to a 3-year CAGR of 24.96% and a 1-year return of 6.34%. The 5-year CAGR is the most reliable measure of long-term index performance as it smooths out short-term market cycles.
What is the P/E ratio of BSE Enhanced Value?
The current P/E (Price-to-Earnings) ratio of BSE Enhanced Value is 8.70. The P/E ratio is the aggregate of the price-to-earnings multiples of all constituent stocks weighted by their index weight. A higher P/E than historical averages may indicate expensive valuations — compare with historical P/E trends in the Fundamentals tab.
What is the P/B ratio of BSE Enhanced Value?
The current P/B (Price-to-Book) ratio of BSE Enhanced Value is 1.20 and the P/E ratio is 8.70. P/B ratio compares the index's market value to the collective book value of its constituent companies. Historical P/B trends and comparisons are available in the Fundamentals tab.
What is the dividend yield of BSE Enhanced Value?
The aggregate dividend yield of BSE Enhanced Value is 3.43%. This is the weighted average dividend yield of all constituent stocks and represents the income return from the index if held as a portfolio. Historical dividend yield trends are shown in the Fundamentals tab.
How many stocks are in BSE Enhanced Value?
BSE Enhanced Value consists of 30 constituent stocks. With 30 stocks, the index is a concentrated benchmark — each constituent has a significant weight and influence on the index level. The full constituent list with individual performance can be viewed in the Stock Technicals tab.
What is the 52-week high and low of BSE Enhanced Value?
BSE Enhanced Value's 52-week high is 1,150.94 and the 52-week low is 891.58. At the current level of 1,025.29, the index is 10.92% below its 52-week high. The 52-week range reflects the full extent of market movement over the past year.
What is the recent 1-week and 1-month performance of BSE Enhanced Value?
BSE Enhanced Value has declined 0.80% over 1 week and declined 2.28% over 1 month. The 1-year return is 6.34%. Full return breakdown across all timeframes is in the Price & Range Analysis section.