Abstract
In each country the banking system plays a prominent role in the development of its economy, and Indian banking sector is not exceptional. Indian financial sector is the backbone of the country’s economy development, the banking sector plays a key role in empowerment of all areas. In the capital market, the equity market plays a huge role. And it’s volatile in nature too. Banking sector equity market has volatility and less returns on investment in some of the banks and some of the banks have more volatility in investment also. The investors identify the minimum risk and maximum return on investment decisions through portfolio analysis. Hence, understanding the risk involved in the investment helps to maximize returns. This study helps investors to understand from the Previous Behaviour Of Selected data., to make the best decision through market volatility, the primary objective of this study is to analyse the risk and return of selected banking securities.
Cite
CITATION STYLE
Et. al., M. V. J. (2021). A Study on Risk and Return Analysis of Selected Banking Securities. Turkish Journal of Computer and Mathematics Education (TURCOMAT), 12(11), 122–127. https://doi.org/10.17762/turcomat.v12i11.5849
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