Performance Analysis of Top Performing Sectors’ Stocks in India

Dr.Krishnaprabha Sivaprakasam

Abstract


The risk and return analysis in equity market affect the automobile sector, banking sector, infrastructure sector and IT sector in NSE NIFTY to a great extent and had led the investors in dilemma regarding the choice of investment. The study focused on risk and return analysis of equity based on 4 sectors. The study also describes standard deviation and variance of selected stocks. The study analysis the return and systematic risk associated with selected stocks.


References


Reference

Books

• Punithavathy Pandiyan “Security Analysis and Portfolio Management” Vikas publishing Pvt Ltd.

• S.Kevin “Security Analysis and Portfolio Management” PHI learning Pvt Ltd, New Delhi.

Journals

• Madhvi February 2014, “an evaluating study of Indian stock market scenario with reference to its growth and inception trend attempted by Indian investors, S.D institute of management and technology, Jagadhri.

• Dr. Ambrish Gupta, Scenario of the Primary Capital Market in India: Present State, Future Outlook and Suggested Policy Reforms FORE School of Management New Delhi.

• Nay-Fu Chen, Richard Roll and Stephen A. Ross, “Economic Forces and the Stock Market”, The Journal of Business, Vol. 59, No. 3,383-403, Jul.1986.

• Johannes A., August 2004, A study of Individual, Institutional and Corporate Trading Decisions.


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ISSN : 2251-1547