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BSE TECK Index

NSE
BSE

BSE TECK

14907.90 Closed
-0.88-132.87
As on Jun 5, 2026, 3:59 PM IST

Today's Trend

Advance / Decline

1W
-0.2
1M
0.1
3M
-3.5
6M
-20
1Y
-16.9
5Y
20.7
Check Technicals, Pivot Level Data
Company Name
Value
Change
Change (%)
Trend
Volume
Network18 Media & Investments
33.503.4711.5633,51,317
Zee Entertainment Enterprises
112.317.937.601,03,63,391
Tata Teleservices (Maharashtra)
46.151.964.4428,96,057
Sun TV Network
515.605.751.1321,470
KPIT Technologies
775.903.200.4143,539
Mphasis
2324.807.350.329,498
Vodafone Idea
14.970.040.273,96,65,313
PVR INOX
978.051.600.1613,402
Tata Elxsi
4299.905.900.148,904
ITI
302.350.250.0871,194
RailTel Corporation of India
313.95-0.45-0.141,03,623
Indus Towers
429.70-0.65-0.1531,995
PB Fintech
1534.60-2.40-0.1613,58,901
Infosys
1197.00-3.65-0.303,99,820
Tanla Platforms
516.20-1.85-0.3625,167
Tech Mahindra
1481.20-5.80-0.391,33,498
Route Mobile
525.00-2.15-0.416,302
Coforge
1430.00-6.40-0.451,22,638
Tata Communications
1970.00-13.85-0.701,31,154
Just Dial
521.00-4.60-0.881,789
Bharti Hexacom
1476.00-13.25-0.894,266
LTM
4026.45-42.75-1.0516,220
Bharti Airtel
1798.00-20.35-1.121,30,387
HCL Technologies
1154.45-14.05-1.201,22,013
Persistent Systems
5041.95-81.40-1.5932,302
Tata Consultancy Services
2198.25-41.35-1.852,70,021
Wipro
198.35-5.95-2.9121,81,920
Tejas Networks
575.95-26.35-4.3710,83,154
HFCL
187.20-9.85-5.0024,65,799
Jun 05, 2026, 04:01 PM IST

Index Funds

Motilal Oswal S&P 500 Index Fund - Direct Plan - Growth

1Y (%)41.96
3Y (%)110.59
5Y (%)141.52
Fund Size (Cr)4365.10
ER (%)0.58

Motilal Oswal S&P 500 Index Fund - Regular Plan - Growth

1Y (%)41.22
3Y (%)107.21
5Y (%)135.00
Fund Size (Cr)4365.10
ER (%)1.06

Motilal Oswal Nifty Midcap 150 Index Fund - Direct Plan - Growth

1Y (%)4.09
3Y (%)76.84
5Y (%)128.34
Fund Size (Cr)3408.10
ER (%)0.32

Aditya Birla Sun Life Nifty Midcap 150 Index Fund - Direct Plan - Growth

1Y (%)3.86
3Y (%)76.24
5Y (%)127.40
Fund Size (Cr)445.40
ER (%)0.40

Nippon India Nifty Midcap 150 Index Fund - Direct Plan - Growth

1Y (%)3.95
3Y (%)75.74
5Y (%)126.11
Fund Size (Cr)2336.80
ER (%)0.34