Sivakumar, B and Aishwarya, C and Padmaja and Sathya, R (2023) Risk - Return Analysis of Selected Mutual Fund Companies listed in NSE. Scandinavian Journal of Information Systems, 35 (2). pp. 211-216. ISSN 0905-0167
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Abstract
Since the liberalization process began in 1992, Mutual Funds, which are a component of the
Indian Financial Sector, have risen significantly in the economic hierarchy. The capital market reforms and
economic expansion that permitted the mutual fund industry's fast rise also provide a clear path for this
sector's future development. Only a small portion of savings are now making their way to the stock markets
via mutual funds. They are relatively simple, cost-effective, and don't require an investor to choose which
securities to buy. Because only 2 to 3 percent of all Indians invest in mutual funds for a variety of reasons,
familiarity with the companies that offer these plans is now required. This study will help identify the risk and
return of the mutual fund companies that are listed on the National Stock Exchange (NSE).
Item Type: | Article |
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Uncontrolled Keywords: | Mutual Funds, Capital Market, Risk and Return, National Stock Exchange (NSE) |
Divisions: | PSG College of Arts and Science > Department of Commerce |
Depositing User: | Mr Team Mosys |
Date Deposited: | 07 Aug 2023 04:54 |
Last Modified: | 07 Aug 2023 04:54 |
URI: | http://ir.psgcas.ac.in/id/eprint/2041 |