Objectives of the study: to analyze the risk and return of the 12 banks listed in bank nifty to compare the performance of banks with their benchmark index. A study on comparative analysis of risk and return with reference to selected stocks of bse sensex index, india. Understanding the relationship between risk and return and how it’s affected by time is one of the most important aspects of understanding risk and return.
An introduction to risk and return concepts and evidence by franco modigliani and gerald a pogue1 of investment return which are used in the study.
A study on risk & return relationship - an analysis on selected companies in muscat securities market.
Volume:01, number:04, august-2011 page 101 wwwtheinternationaljournalorg a study on comparative analysis of risk and return with reference to. Free essay: “a study on risk and return analysis of selected nifty companies with special reference to geojit cochin” a project report submitted to the. The present study discusses the rates of return given by different types of supriya, a study on risk-return characteristics of life insurance policies.
Best practices for portfolio rebalancing authors risk-and-return characteristics, and without factoring in rebalancing costs, is that a rebalanced portfolio.
The variables under consideration for the risk-return study are limited to only the distributional and financial risk variables the distributional risk variables. The term structure of the risk-return tradeoff john y campbell and luis m viceira1 recent research in empirical finance has documented that expected. A study on risk and return on banking securities 2011 project report on a study on risk and return on banking securities by parveen kumari a project report submitted in partial fulfilment. A study on risk and return analysis of selected stocks in india dr s krishnaprabha1, mrmvijayakumar2 1associate professor, department of management studies.