NIFTY100 ESG PE Ratio
The NIFTY100 ESG PE ratio is 21.41 as of 21 July 2026, about 14% below its 5-year median of 24.83, which places it in moderately undervalued territory on a historical basis.
PE Ratio vs Historical Medians
| Period | Median PE | Current vs Median |
|---|---|---|
| Full history | 26.26 | -18.47% |
| 7 Years | 25.65 | -16.53% |
| 5 Years | 24.83 | -13.77% |
| 3 Years | 23.54 | -9.05% |
| 1 Year | 22.66 | -5.54% |
Historical PE Ratio
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Frequently Asked Questions
What is the current NIFTY100 ESG PE ratio?
As of 21 July 2026, the NIFTY100 ESG PE ratio is 21.41. That is about 14% below its 5-year median of 24.83 and about 6% below its 1-year median of 22.66.
Is the NIFTY100 ESG undervalued right now?
On a historical basis it screens as moderately undervalued. Its current PE of 21.41 sits below every median window: 1-year (22.66), 3-year (23.54), 5-year (24.83), 7-year (25.65) and full-history (26.26).
What is a normal PE ratio for the NIFTY100 ESG?
Over the past five years its median PE has been 24.83, and over the past three years 23.54. Today's 21.41 is toward the lower end of that historical range.
Last updated: 21 July 2026.