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A Study on Comparative Analysis of Risk and Return with Reference to Stocks of Bank Nifty

Journal: International Journal of Trend in Scientific Research and Development (Vol.4, No. 5)

Publication Date:

Authors : ;

Page : 1232-1235

Keywords : Finance; Bank nifty; risk; return; Benchmark; volatility; Beta;

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Abstract

India is developing country having significant developments in the stock markets. Investments in banking sector will have high risk which cannot be controlled. Such risks affect the overall market and the economy. The study analyzes the risk and return in the banking sector taking bank nifty index as a benchmark. This study compares the performance of 12 banks under the bank nifty index in the NSE. Indian Banking Industry plays a prominent role in economic growth of the country and prevents the economic disasters in the country. Risk is the concept that the probability of getting less returns from the expected returns from the investments. Banking Industry stocks are highly volatile in nature which some of them have high risk proposition. The study evaluates the performance of the banking sector stocks and returns of the stocks and the risk of a stocks prevailing in the market. Jayanth Konanki | Dr. P. Basaiah "A Study on Comparative Analysis of Risk and Return with Reference to Stocks of Bank Nifty" Published in International Journal of Trend in Scientific Research and Development (ijtsrd), ISSN: 2456-6470, Volume-4 | Issue-5 , August 2020, URL: https://www.ijtsrd.com/papers/ijtsrd31889.pdf Paper Url :https://www.ijtsrd.com/economics/finance/31889/a-study-on-comparative-analysis-of-risk-and-return-with-reference-to-stocks-of-bank-nifty/jayanth-konanki

Last modified: 2020-10-03 18:35:26