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Bluechip Stocks

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Here you get all Nifty 50 stocks that have fulfilled the following criteria, indicating their strength and reliability:

List of Bluechip Shares

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5 Yr Returns
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50 DMA
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RSI
MTF
Margin Pledge

R

Reliance Industries

1,535.60

-0.21%1,18,67,93020,78,04721.5213.59 1,581.301,114.852.64%11.68%16.15%26.11%72.75%2.390.36%8.54%8.71%101.611,463.441,390.0957.5078.00%91.00%

H

HDFC Bank

997.20

-0.33%1,45,28,16915,31,73420.669.44 1,020.50812.151.27%3.51%6.89%23.65%45.34%2.881.09%13.93%6.38%89.49986.95958.8451.2178.00%91.00%

B

Bharti Airtel

2,103.80

0.85%46,11,81911,99,60927.5656.32 2,174.501,559.500.42%11.00%30.24%149.24%321.12%10.460.72%8.11%18.01%21.422,033.861,887.0653.0678.00%91.00%

T

Tata Consultancy Services

3,229.20

1.55%50,25,90511,68,35322.9132.78 4,494.902,866.607.25%5.93%-27.66%-5.74%17.95%10.764.01%50.48%62.02%131.543,047.803,292.1168.6278.00%91.00%

I

ICICI Bank

1,386.70

-0.34%73,73,9099,90,54417.359.44 1,500.001,186.005.02%-1.15%3.76%48.53%171.66%3.000.79%16.67%6.13%64.381,372.851,385.1953.8678.00%91.00%

S

State Bank of India

948.10

-0.31%1,36,22,7248,75,15510.8110.43 999.00680.00-1.32%17.54%9.55%53.59%251.67%1.671.57%15.83%5.57%81.94924.13822.9646.8178.00%91.00%

I

Infosys

1,597.60

1.20%1,26,09,6196,63,70622.6732.78 2,006.451,307.008.92%10.59%-17.43%-2.57%39.71%6.722.80%29.67%35.85%64.201,504.441,551.8266.0878.00%90.50%

B

Bajaj Finance

1,029.10

0.75%54,04,9186,40,35634.47-3.64 1,102.50668.55-1.23%9.76%50.22%54.51%113.09%6.200.54%18.84%10.98%241.141,032.18935.1251.2376.00%89.44%

H

Hindustan Unilever

2,462.20

0.58%25,87,7535,78,51652.2448.95 2,750.002,136.001.08%-6.50%-1.30%-6.02%9.13%11.722.18%19.99%23.38%43.992,485.102,414.5051.1078.00%87.50%

L

Larsen & Toubro

3,983.60

-0.11%10,26,9685,47,96729.0415.59 4,140.002,965.302.63%12.10%3.97%91.01%240.57%5.480.84%15.18%18.71%96.603,892.373,583.1150.7076.00%91.00%

I

ITC

403.05

0.64%80,57,9895,04,88714.3719.81 471.50390.15-1.09%-1.06%-8.87%26.52%109.73%7.153.53%27.71%36.57%16.36406.47413.2345.3978.00%91.00%

M

Maruti Suzuki

15,994.00

-0.55%2,48,8125,02,85633.6139.24 16,660.0010,725.003.51%7.38%43.03%81.91%106.55%4.980.85%15.75%19.54%467.7116,022.9813,553.2051.8378.00%91.00%

M

Mahindra & Mahindra

3,671.60

0.61%19,84,0014,56,57429.8039.24 3,795.002,425.001.47%3.10%19.53%191.44%388.05%5.570.66%15.83%15.04%88.803,597.413,189.5050.5976.00%89.20%

H

HCL Technologies

1,654.60

0.86%39,35,7084,49,00326.2932.78 2,012.201,302.758.40%16.60%-14.00%46.31%93.45%6.273.65%23.01%30.84%60.531,530.721,563.3666.1076.00%90.70%

S

Sun Pharmaceutical

1,818.30

0.64%17,13,9614,36,27140.6817.73 1,910.001,548.007.85%14.10%0.27%74.94%212.26%5.480.90%14.38%18.92%43.951,705.621,686.3869.0778.00%91.00%

U

UltraTech Cement

11,608.00

0.15%1,59,6873,42,06447.4730.95 13,097.0010,047.85-2.54%-7.88%-2.72%61.25%129.57%4.810.66%11.62%9.06%243.8411,959.8611,832.4640.7078.00%91.00%

T

Titan

3,800.40

-0.46%7,76,6933,37,39483.8825.26 3,956.002,925.000.69%3.69%10.44%45.29%166.64%27.050.28%37.22%36.95%38.913,696.343,476.9647.3478.00%91.00%

A

Adani Ports & SEZ

1,505.60

0.53%15,91,8053,25,23126.9039.86 1,549.001,010.754.79%13.91%17.90%68.57%219.32%4.800.47%15.69%13.60%46.341,456.511,345.6756.9675.01%80.00%

N

NTPC

322.95

-59,65,3573,13,15412.9918.65 373.95292.80-1.13%-1.75%-12.52%84.38%223.76%1.652.56%12.31%9.85%22.08334.33336.7537.6776.00%91.00%

O

Oil & Natural Gas Corporation

242.23

0.92%1,08,25,4203,04,7327.29-131.01 273.50205.00-3.69%3.46%-7.30%68.51%164.59%0.854.94%15.64%11.31%36.35247.00241.3041.6776.00%89.94%

B

Bharat Electronics

407.15

0.79%1,08,65,1102,97,61854.3032.40 436.00240.25-0.40%9.80%29.46%278.92%962.50%14.340.57%24.13%33.72%5.80412.86365.7644.8775.80%87.50%

A

Asian Paints

2,957.20

0.13%14,66,0982,83,65469.1843.83 2,985.702,124.7513.61%14.62%20.59%-6.33%19.60%14.010.87%28.61%23.98%52.962,598.932,425.9578.9178.00%91.00%

J

JSW Steel

1,150.60

0.61%22,85,7772,81,37447.0923.63 1,223.90880.00-1.56%7.22%15.15%52.08%215.23%3.450.30%11.25%7.49%28.471,160.771,058.5147.8476.00%90.53%

W

Wipro

256.93

0.88%1,06,87,3812,69,35719.0432.78 324.60228.007.03%5.44%-14.16%24.61%43.35%3.022.43%14.88%18.97%21.37244.50255.4168.8076.00%90.25%

B

Bajaj Auto

9,085.00

0.94%2,75,6042,53,70630.1211.63 9,490.007,089.354.18%0.01%2.17%148.23%173.68%7.342.34%26.61%24.90%286.768,934.358,481.8555.9576.00%90.56%

P

Power Grid Corporation of India

269.10

0.24%51,03,2042,50,27916.9718.65 336.25247.30-0.41%-5.69%-18.04%61.69%147.24%2.613.25%18.53%12.27%16.88280.91286.5338.4276.00%90.72%

N

Nestle

1,242.40

0.04%6,64,6412,39,57483.7052.59 1,311.601,055.00-1.87%2.81%9.68%25.80%41.48%55.691.05%117.72%59.30%33.581,240.791,185.5540.6478.00%91.00%

C

Coal India

379.05

1.01%31,35,0612,33,5987.53-89.71 421.50349.251.58%-3.46%-9.40%63.91%177.08%2.226.98%44.71%24.48%59.34384.10386.2248.2076.00%91.00%

T

Tata Steel

166.77

-0.09%1,14,19,9662,08,18832.1723.63 186.94122.62-5.92%-0.54%13.40%43.95%171.39%2.302.09%-5.31%8.15%1.60173.49158.7737.8276.00%89.27%

E

Eicher Motors

7,100.00

0.26%3,64,6721,94,73738.2655.07 7,284.504,646.004.31%7.89%46.77%112.30%177.22%8.850.98%22.17%26.14%152.706,971.185,914.9855.5378.00%91.00%

G

Grasim Industries

2,730.40

0.37%2,76,8791,85,80820.843.44 2,977.802,276.951.12%-2.62%0.87%50.94%192.34%1.880.36%7.14%5.94%85.432,795.832,704.3343.4178.00%91.00%

H

Hindalco Industries

810.80

-0.67%33,81,6011,82,20510.1249.62 864.00546.452.84%9.01%20.86%68.50%222.71%1.330.62%9.57%12.85%48.78792.69699.5154.7076.00%89.16%

H

HDFC Life Insurance

760.80

1.18%26,49,2591,63,98786.91-3.64 820.75584.303.36%0.16%18.29%29.19%17.13%9.700.27%10.73%0.60%7.61756.81737.3949.5478.00%91.00%

S

Shriram Finance

828.15

0.01%1,14,36,8991,55,77615.75-3.64 872.00493.354.50%39.77%32.45%219.79%289.39%2.561.20%14.88%10.65%201.17743.80664.7160.2975.03%86.82%

T

Tech Mahindra

1,562.30

1.34%24,22,6631,53,03731.9932.78 1,807.701,209.4010.52%5.71%-12.57%42.06%65.45%5.183.09%8.83%18.78%25.741,453.991,510.6271.9776.00%90.49%

T

Tata Motors Passenger Vehicles

356.45

-0.11%91,73,1451,31,2641.4039.24 496.62324.33-12.60%-14.87%-25.71%37.33%220.78%1.201.67%34.17%18.34%102.18394.89407.3031.7976.00%88.55%

C

Cipla

1,521.00

0.86%7,26,4731,22,85922.7317.73 1,673.001,335.001.30%-2.09%1.52%36.37%96.73%3.751.05%15.50%21.57%55.041,534.491,511.3948.0878.00%91.00%

T

Tata Consumer Products

1,148.40

0.74%7,03,6431,13,63984.81-7.87 1,202.80882.90-3.53%7.09%18.83%45.24%104.75%5.710.70%7.46%7.91%13.531,154.941,095.0144.7978.00%91.00%

D

Dr Reddys Laboratories

1,277.60

-0.24%19,71,1301,06,63018.1517.73 1,405.901,020.006.01%0.75%3.04%42.61%27.02%2.890.64%19.74%21.88%333.591,247.691,233.4262.7978.00%91.00%

Showing 39 of 39 results

Please Note:

  • PE Ratio: Share Price/Earning Per Share
  • PB Ratio: Market Cap/Book Value
  • ROE: Net Income/Shareholder's Equity
  • ROCE: Earning Before Interest & Tax (EBIT)/Capital Employed
  • EPS: (Net Income-Preferred Dividend)/Weighted Average Number of Shares Outstanding
  • 50 DMA: Simple Moving Average of the past 50 days closing prices for a stock.
  • 200 DMA: Simple Moving Average of the past 200 days closing prices for a stock.
  • RSI: Relative Strength Index (14) is a momentum indicator to measure price changes to analyse overbought/oversold conditions.
  • MTF: % Amount Funded by Dhan.
  • Margin Pledge: % Collateral Benefit for Additional Margin.

*The scrips mentioned above are just for research purpose and not recommendations. Please do your own due diligence before investing.


What are the most accurate indicators?

Bluechip stocks represent well-established, financially strong companies known for their reliability and ability to perform across economic cycles. The most accurate indicators include:

  • Market Leadership: Leading position in their industry, often with nationally or globally recognized brands.
  • High Liquidity: Significant trading volumes, ensuring easy entry and exit for investors.
  • Strong Financial Fundamentals: Consistent revenue and profit growth over many years signals sustainable operations and mature business models.
  • High Market Capitalization: Blue-chip companies have large market capitalizations and are part of benchmark indices, such as the Nifty 50 or Sensex.
  • Return Ratios: Healthy ROE and ROCE (15% or above) reflect efficient capital utilization and long-term value creation.
  • Low Debt & Stable Cash Flows: A solid balance sheet, characterized by low debt-to-equity ratios and positive free cash flows, indicates financial resilience.
  • Corporate Governance: Transparent practices, regular dividend payouts, and institutional investor confidence are key hallmarks.

How to identify good ones?

Identifying good Blue-chip stocks requires a blend of careful financial examination and qualitative assessment.

  • Brand Loyalty : Select companies are firmly established as industry leaders with a breadth of operations and brand recognition among customers.
  • Sustained Financial Health: Focus on firms that demonstrate strong financial stability and disciplined growth over extended periods.
  • Inclusion in Prominent Indices: Check for a track record of listing in major market indices such as Nifty 50, Sensex, or S&P 500 as a credibility marker.
  • Resilience During Economic Stress: Prioritize those that maintain dividend consistency and steady profits even during downturns.
  • Sector Stability and Defensive Characteristics: Favor sectors like finance, consumer goods, or utilities that better withstand market volatility and economic cycles.
  • Market Liquidity Considerations: Prefer stocks with consistently high trading volumes, ensuring efficient market entry and exit.
  • Valuation Comparisons: Avoid overvalued shares by benchmarking P/E and P/B ratios against sector peers to ensure attractive pricing.

How to analyse?

Analysing blue-chip stocks involves combining quantitative financial analysis with a comprehensive review of qualitative factors. This includes:

  • Financial Metric Scrutiny: Start by reviewing key financial metrics. Assess for steady and predictable revenue and profit growth, analyze low debt-to-equity ratios, high return on equity (ROE), and consistent cash flow generation.
  • Dividend Sustainability: Check the history and sustainability of dividend payments; a rising or stable dividend payout is a characteristic trait and a strong positive indicator of a blue-chip company's financial health.
  • Brand Strength & Adaptability: Beyond the numbers, qualitatively assess the company's brand strength, customer loyalty, and its demonstrated adaptability to evolving market trends and consumer preferences.
  • Macroeconomic & Sector Outlook: Consider broader macroeconomic factors and the specific sector outlook to understand external risks and opportunities that could influence the company's operations and performance.
  • Competitive Moats: Evaluate a company's ability to withstand technological shifts and economic disruptions through strong competitive advantages.

Where do most investors or traders go right/wrong?

Investors succeed with blue-chip stocks by adopting a long-term, disciplined approach that involves holding through market ups and downs to realize the benefits of steady compounding and dividend income. They benefit from reinvesting dividends and holding through market fluctuations. Regularly reviewing fundamentals helps investors stay alert to changes in company performance or leadership.However, mistakes occur when investors either neglect valuation and buy overhyped blue chips at inflated prices or become complacent, assuming all blue chips are immune to downturns. Some sell too quickly during minor market corrections, missing out on eventual recoveries. Conversely, holding poorly performing blue chips without reassessing fundamentals reduces returns. Another error is ignoring changing competitive dynamics or failing to monitor management's strategic shifts.Successful investing in blue chip stocks requires discipline, valuation awareness, and ongoing evaluation rather than blind loyalty to the brand or past performance.

Frequently Asked Questions

To choose Bluechip stocks, start by looking for companies with strong financials, stable earnings, and a solid market reputation. Check for consistent dividend payouts and growth potential. Reviewing annual reports, industry trends, and future growth strategies can help you identify the best options.
Investing in Bluechip stocks offers stability, reliability, and steady returns. These stocks belong to well-established companies with proven track records. Bluechip stocks are less volatile, provide regular dividends, and are considered safer investments, making them attractive for long-term portfolios.
While generally stable, Bluechip stocks are not immune to market risks and economic downturns. Their growth might be slower compared to smaller companies. Additionally, sector-specific issues or global economic challenges can impact their performance, though usually less drastically than other stocks.
Bluechip stocks can be ideal for beginners due to their stability and lower risk compared to smaller, less established companies. These stocks provide a good foundation for building a diversified portfolio. Beginners should still research each company's financial health and market position before investing.
Bluechip stocks can be a solid investment due to their strong fundamentals and reliable performance. They offer potential for steady growth and regular dividends, making them suitable for long-term investment strategies. However, thorough research and understanding of market conditions are essential for informed investment decisions.

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