A Study on Portfolio Management with Reference to Angel Broking Ltd
Journal: International Journal of Trend in Scientific Research and Development (Vol.5, No. 5)Publication Date: 2021-08-01
Authors : Jyothi D. Jakir Hussian;
Page : 2060-2067
Keywords : PORTFOLIO; SECURITIES; RETURN; RISK; INVESTOR;
Abstract
Portfolio Management is a very generic term used to refer to the management of different assets. In the financial markets, there are many assets available, such as stocks, bonds, and Treasury bill, commodities, currencies. Etc., The main objective of portfolio is maximize the return and minimize the risk for that one should do the process of selection of portfolio, analysis of portfolio, revision of portfolio and evaluation of portfolio from time to time. India is developing country in which stock market is growing day by day. Indian stock markets have attracted huge Foreign Institutional Investors FII that is nearly 40 of investment. The study to analysis risk, return of selected to stocks, showing the best combination of portfolio using correlation, sharp index value. Jyothi | Dr. D. Jakir Hussian "A Study on Portfolio Management with Reference to 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/ijtsrd46284.pdf Paper URL: https://www.ijtsrd.com/management/accounting-and-finance/46284/a-study-on-portfolio-management-with-reference-to-angel-broking-ltd/jyothi
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