A Study on Portfolio Management at Angel Broking Ltd
Journal: International Journal of Trend in Scientific Research and Development (Vol.5, No. 5)Publication Date: 2021-08-01
Authors : A. Sreenidhi P. Basaiah;
Page : 1562-1564
Keywords : Techiques to calculate risk; vareince; standard deviation; corelation co-efficient; return on portfolio; risk of portfolio;
Abstract
Portfolio management is the process of managing money. portfolio managers rely to varying degrees on portfolio analytics for identifying investment opportunities, keeping portfolios alligned with investment objectives and monitoring portfolio risk and performance. A. Sreenidhi | Dr. P. Basaiah "A Study on Portfolio Management at Angel Broking Ltd" Published in International Journal of Trend in Scientific Research and Development (ijtsrd), ISSN: 2456-6470, Volume-5 | Issue-5 , August 2021, URL: https://www.ijtsrd.com/papers/ijtsrd45115.pdf Paper URL: https://www.ijtsrd.com/management/accounting-and-finance/45115/a-study-on-portfolio-management-at-angel-broking-ltd/a-sreenidhi
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Last modified: 2021-09-14 20:01:26