A Study on Risk and Return Analysis on Equity Shares Muthoot Finance Limited

dc.contributor.authorAnjana, S K
dc.date.accessioned2016-08-18T09:27:13Z
dc.date.available2016-08-18T09:27:13Z
dc.date.issued2016-08-18T09:27:13Z
dc.description.abstractThe report “risk & return analysis on equity shares of muthoot finance” is an analysis made to know the risk and returns involved in muthoot finance compared with the market and other non-banking companies. The main aim for the study is to help the investors to invest in the right place in order to earn maximum returns. The study is also made to compare the different companies with the market and how these different companies have been working for the past five years. The secondary data is collected in order to know how each company is being performed. To analyse the risk involved, the risk and return analysis is made. The tools which have been used in this study is Standard deviation for calculating risk (total risk), Beta (β) used in regression analysis for calculating systematic risk and Expected value for calculating returns. The investors can take high risk in order to get high returns. Therefore, this study helps and suggest the investors to invest in an high return giving company.en_US
dc.identifier.urihttp://hdl.handle.net/123456789/6481
dc.language.isoenen_US
dc.subjectA Study on Risk and Return Analysis on Equity Shares Muthoot Finance Limiteden_US
dc.subject1nh14mba05en_US
dc.subjectAnjana S Ken_US
dc.titleA Study on Risk and Return Analysis on Equity Shares Muthoot Finance Limiteden_US
dc.typeOtheren_US
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