BCG vs LOWVOLIETF: Stock Comparison

Head-to-head financial and trading comparison between Brightcom Group Limited (BCG) and LOWVOLIETF (LOWVOLIETF) in the Cross-Sector Peers sector.

BCG

NSE: BCG
Brightcom Group Limited
₹9.05
1Y Return: -5.14%
52W High: ₹12.09
52W Low: ₹8.92
Annual Volatility: 46.69%
Check BCG Trade Fees →

LOWVOLIETF

NSE: LOWVOLIETF
LOWVOLIETF
₹20.47
1Y Return: -5.67%
52W High: ₹22.87
52W Low: ₹20.18
Annual Volatility: 9.26%
Check LOWVOLIETF Trade Fees →

Key Metrics Comparison Table

MetricBCGLOWVOLIETFEdge / Winner
Current Market Price (CMP) ₹9.05 ₹20.47 —
1-Year Price Return -5.14% -5.67% BCG (0.53% higher)
52-Week High ₹12.09 ₹22.87 —
52-Week Low ₹8.92 ₹20.18 —
30-Day Annualized Volatility 46.69% 9.26% LOWVOLIETF (Steadier)
30-Day Average Daily Volume 8,363,741 2,206,465 BCG (Higher Liquidity)
Statutory Cost to Trade ₹1 Lakh ₹118.50 ₹118.50 Identical statutory tariff

Frequently Asked Questions

Between BCG and LOWVOLIETF, which stock gave better returns over the last year?

BCG has outperformed LOWVOLIETF over the past 12 months with a gain of -5.14% compared to -5.67%.

Which stock is less volatile: BCG or LOWVOLIETF?

LOWVOLIETF demonstrated lower price volatility (9.26% annualized) compared to BCG (46.69%). Lower volatility generally indicates steadier price action during market downturns.

What is the statutory cost to buy ₹1,00,000 of BCG vs LOWVOLIETF?

Statutory exchange and government charges (STT, NSE turnover fees, SEBI fee, Stamp duty, and GST) are identical for delivery purchases of equal rupee value across both stocks, totaling approximately ₹118.50 on discount brokers offering zero delivery brokerage (like Zerodha or Dhan).

Are BCG and LOWVOLIETF direct sector competitors?

Yes, both companies operate within the Cross-Sector Peers sector in India and are actively tracked as sector peers by institutional and retail market participants.