M&M vs LOWVOLIETF: Stock Comparison

Head-to-head financial and trading comparison between Mahindra & Mahindra Limited (M&M) and LOWVOLIETF (LOWVOLIETF) in the Cross-Sector Peers sector.

M&M

NSE: M&M
Mahindra & Mahindra Limited
₹2,796.20
1Y Return: -13.2%
52W High: ₹3,517.00
52W Low: ₹2,751.20
Annual Volatility: 18.24%
Check M&M 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

MetricM&MLOWVOLIETFEdge / Winner
Current Market Price (CMP) ₹2,796.20 ₹20.47 —
1-Year Price Return -13.2% -5.67% LOWVOLIETF (7.53% higher)
52-Week High ₹3,517.00 ₹22.87 —
52-Week Low ₹2,751.20 ₹20.18 —
30-Day Annualized Volatility 18.24% 9.26% LOWVOLIETF (Steadier)
30-Day Average Daily Volume 2,299,975 2,206,465 M&M (Higher Liquidity)
Statutory Cost to Trade ₹1 Lakh ₹118.50 ₹118.50 Identical statutory tariff

Frequently Asked Questions

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

LOWVOLIETF has outperformed M&M over the past 12 months with a gain of -5.67% compared to -13.2%.

Which stock is less volatile: M&M or LOWVOLIETF?

LOWVOLIETF demonstrated lower price volatility (9.26% annualized) compared to M&M (18.24%). Lower volatility generally indicates steadier price action during market downturns.

What is the statutory cost to buy ₹1,00,000 of M&M 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 M&M 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.