RISK RETURN ANALYSIS AT HDFC SECURITIES
DOI:
https://doi.org/10.62643/Abstract
Abstract on A STUDY ON RISK RETURN ANALYSIS IN BANKING STOCKS at HDFC Securities Ltd. Every individual always wishes to get a decent return on his/her investments because investor makes the investment from the hard earned savings. Among the various schemes of investment, the equity market is considered to be one of the most rewarding avenues even though it involves more risk. Since the risk is very high in equity investment, the investors need to make equity analysis that helps them to know about the risk-return characteristics ofthose equity shares and those industries in which he/she wishes to park the savings. In this outlook, a study has been undertaken to analyse the equity shares of companies in the automobile industry of Indian stock market. Indian Banking industry is one of the largest in the world and considered to be one of the fastest growing sectors. In order to maintain the growing demand, many automakers have started to invest in this industry. So the study on equity analysis of this industry will help the potential investors in taking informed and rational investment decision
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