SHOBIGA, R and .SOWBARNIKA, S and .SOWBARNIKA, M (2019) RISK AND RETURN ANALYSIS OF SELECTED AUTOMOBILE COMPANIES. INTERNATIONAL JOURNAL OF RESEARCH AND ANALYTICAL REVIEWS, 6 (2). pp. 452-456. ISSN 2349-5138
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Abstract
The risk and return analysis linked with any industry reveals the intricacies involved with the particular industry. A close watch on these values throws light on a clear understanding and facilitates in decision making about investment in securities. The study focuses on the risk and return characteristics of the equity investment in automobile industry in Indian stock market. That is, the
researcher has described the characteristics of the risk and return of selected equity shares of Indian automobile industry. The objective of many investors is to maximize expected return from his investments, subject to various constraints. This study covers a period of 5years which gives a clear picture of current scenario of the performing equity shares of Indian automobile industry. It shows the trend and growth of share price of the selected automobile companies in the stock market. The analysis was made on daily, monthly and yearly basis. The study has resulted in positive relationship between the automobile companies. That is, Hero Moto Corp ltd, Mahindra & Mahindra ltd, Bajaj Auto Ltd.
Item Type: | Article |
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Depositing User: | Users 1 not found. |
Date Deposited: | 02 Dec 2021 07:19 |
Last Modified: | 02 Dec 2021 07:19 |
URI: | http://ir.psgcas.ac.in/id/eprint/49 |