Company CMP (Rs) MCap (Rs m) P/E (x) RoE (Latest, %)
RELIANCE IND. 1,284.0 17,375,567 22.5 10.0%
TCS 4,145.0 14,996,973 31.5 50.9%
HDFC BANK 1,754.6 13,407,547 18.7 14.1%
BHARTI AIRTEL 1,570.3 9,557,837 92.8 10.5%
ICICI BANK 1,259.4 8,884,912 17.9 17.4%
INFOSYS 1,831.1 7,602,811 28.2 30.1%
SBI 843.3 7,525,679 10.3 16.2%
ITC 478.2 5,982,135 28.8 28.0%
HUL 2,507.5 5,891,600 57.3 20.1%
LIFE INSURANCE CORPORATION 914.8 5,785,792 16.1 49.2%
L&T 3,661.2 5,034,560 31.2 18.1%
HCL TECHNOLOGIES 1,837.6 4,986,495 29.6 23.2%
SUN PHARMA 1,811.4 4,346,035 39.0 15.2%
BAJAJ FINANCE 6,899.4 4,277,418 27.8 19.1%
NTPC 397.7 3,856,364 21.5 13.3%
M&M 2,979.3 3,704,783 32.0 18.6%
AXIS BANK 1,161.5 3,593,782 12.8 16.9%
MARUTI SUZUKI 11,307.3 3,555,029 25.8 15.8%
KOTAK MAHINDRA BANK 1,746.6 3,472,428 15.9 14.0%
ADANI ENTERPRISES 2,928.9 3,380,422 59.0 9.0%
ONGC 262.4 3,300,436 7.0 16.9%
ULTRATECH CEMENT 11,047.8 3,189,478 48.8 11.7%
WIPRO 568.9 2,976,084 25.1 15.0%
TATA MOTORS 805.7 2,965,775 8.9 37.5%
ADANI PORTS & SEZ 1,363.2 2,944,701 29.6 15.3%
* We show NM where the values are negative
Disclaimer: This is for information purposes only. These are not stock recommendations and should not be treated as such. Also note that
Source: Equitymaster
https://www.equitymaster.com/stock-screener/top-25-stocks
D/E (Curr FY, x) CAGR (3 yrs, %) CAGR (3 yrs, %) vidend Yield (%)
0.4 26.7% 13.7% 0.4%
0.0 13.6% 12.3% 1.8%
6.8 30.2% 26.3% 1.1%
1.9 14.2% NM 0.5%
6.5 21.4% 34.0% 0.8%
0.0 15.2% 10.6% 2.5%
13.5 16.5% 44.1% 1.6%
0.0 12.7% 15.7% 2.9%
0.0 9.6% 8.7% 1.7%
0.0 NM 139.6% 1.1%
1.3 17.6% 49.4% 0.9%
0.0 13.4% 12.0% 2.8%
0.0 13.1% 61.6% 0.7%
3.9 27.2% 48.4% 0.5%
1.5 17.1% 12.5% 1.9%
1.6 23.0% 49.1% 0.6%
8.3 20.5% 54.2% 0.1%
0.0 26.3% 45.4% 1.1%
4.0 19.7% 22.2% 0.1%
1.4 34.6% 64.0% 0.0%
0.4 29.7% 38.8% 4.7%
0.2 16.6% 9.6% 0.6%
0.2 13.2% 0.7% 0.2%
1.2 20.6% NM 0.8%
0.9 28.6% 17.1% 0.4%
d not be treated as such. Also note that these screeners are based only on numbers. There is no screening for management quality.