Please use this identifier to cite or link to this item:
https://repository.iimb.ac.in/handle/2074/20934
DC Field | Value | Language |
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dc.contributor.advisor | Basu, Sankarsan | |
dc.contributor.author | Dutta, Sujoy Kanti | |
dc.contributor.author | Sahoo, Tusarakanta | |
dc.date.accessioned | 2022-03-31T04:53:14Z | - |
dc.date.available | 2022-03-31T04:53:14Z | - |
dc.date.issued | 2010 | |
dc.identifier.uri | https://repository.iimb.ac.in/handle/2074/20934 | - |
dc.description.abstract | We have three main sections in this report. Section 1 deals with the comparative investment strategy between Stock Markets and major Mutual Funds of India. We have taken fifteen top mutual funds of India , five from Equity Oriented Funds , Five from Debt Oriented Funds and five from Balanced Funds. We have done extensive comparative analysis between Nifty and these fifteen funds. We have used Correlation Analysis of Daily , Weekly and Monthly Returns of these fifteen funds w.r.t Nifty. Our study also included Beta Book Analysis for Mutual Funds and Portfolio Comparison Ratios (Sharpe Ratio , Treynor Ratio, Jensen Ratio and Information Ratio). Section 2 deals with the comparison between Nifty and the major Indian Sub-Indices namely Bank Nifty , CNX IT , CNX Midcap and Defty. We found that CNX IT leads it average Daily / Weekly and Monthly Returns for the last one year. The last section of this report focuses on the Analysis of the Effects of Global Indices on Nifty . We have considered five global indices from Nikkei in Japan to Dow Jones in US. We have done an extensive study of the impact of the Asian , European and US Markets on Nifty. The common thread across all these three sections is the Nifty and we have done a comparative analysis w.r.t Mutual Funds , Indian Sub-Indices and also studied the correlation with Global Indices. | |
dc.publisher | Indian Institute of Management Bangalore | |
dc.relation.ispartofseries | PGP_CCS_P10_152 | |
dc.subject | Investments | |
dc.subject | Investment strategy | |
dc.subject | Stock markets | |
dc.subject | Mutual funds | |
dc.title | Comparative investment strategy between stock markets and major mutual funds | |
dc.type | CCS Project Report-PGP | |
dc.pages | 62p. | |
Appears in Collections: | 2010 |
Files in This Item:
File | Size | Format | |
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PGP_CCS_P10_152_FC.pdf | 2.05 MB | Adobe PDF | View/Open Request a copy |
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