Volume : VI, Issue : VI, July - 2016 RISK-RETURN ANALYSIS OF SELECTED BSE SENSEX STOCKSK. Swapna, None By : Laxmi Book Publication Abstract : Investment decisions are influenced by various motives. For earning returns, investors have to almost invariably bear some risk. While investors like returns they abhor risk. Investment decisions, therefore, involve a trade-off between risk and returns. Keywords : Article : Cite This Article : K. Swapna, None(2016). RISK-RETURN ANALYSIS OF SELECTED BSE SENSEX STOCKS. Indian Streams Research Journal, Vol. VI, Issue. VI, http://isrj.org/UploadedData/8546.pdf References : - V.K.Bhalla (1982), Investment Management Security Analysis and Portfolio Management, S.Chand and Company, New Delhi. 16th Edition.
- V.K.Bhalla (1982), Investment Management Security Analysis and Portfolio Management, S.Chand and Company, New Delhi. 16th Edition.
- S. Kevin (2006), Security Analysis and Portfolio Management, PH learning PVT limited, New Delhi.
- Prasanna Chandra (2002), Investment Analysis and Portfolio Management, Tata Graw-Hill publishing company ltd, New Delhi.
- Punithavathy Pandian (2001), Security Analysis and Portfolio Management, Vikas Publishers Pvt Ltd, New Delhi.
- Prasanna Chandra (2002), Investment Analysis and Portfolio Management, Tata Graw-Hill publishing company ltd, New Delhi.
- Punithavathy Pandian (2001), Security Analysis and Portfolio Management, Vikas Publishers Pvt Ltd, New Delhi.
- V.K.Bhalla (1982), Investment Management Security Analysis and Portfolio Management, S.Chand and Company, New Delhi. 16th Edition.
- S. Kevin (2006), Security Analysis and Portfolio Management, PH learning PVT limited, New Delhi.
- V.K.Bhalla (1982), Investment Management Security Analysis and Portfolio Management, S.Chand and Company, New Delhi. 16th Edition.
- S. Kevin (2006), Security Analysis and Portfolio Management, PH learning PVT limited, New Delhi.
- Prasanna Chandra (2002), Investment Analysis and Portfolio Management, Tata Graw-Hill publishing company ltd, New Delhi.
- Punithavathy Pandian (2001), Security Analysis and Portfolio Management, Vikas Publishers Pvt Ltd, New Delhi.
- V.K.Bhalla (1982), Investment Management Security Analysis and Portfolio Management, S.Chand and Company, New Delhi. 16th Edition.
- V.K.Bhalla (1982), Investment Management Security Analysis and Portfolio Management, S.Chand and Company, New Delhi. 16th Edition.
- S. Kevin (2006), Security Analysis and Portfolio Management, PH learning PVT limited, New Delhi.
- Prasanna Chandra (2002), Investment Analysis and Portfolio Management, Tata Graw-Hill publishing company ltd, New Delhi.
- Punithavathy Pandian (2001), Security Analysis and Portfolio Management, Vikas Publishers Pvt Ltd, New Delhi.
- V.K.Bhalla (1982), Investment Management Security Analysis and Portfolio Management, S.Chand and Company, New Delhi. 16th Edition.
- V.K.Bhalla (1982), Investment Management Security Analysis and Portfolio Management, S.Chand and Company, New Delhi. 16th Edition.
- S. Kevin (2006), Security Analysis and Portfolio Management, PH learning PVT limited, New Delhi.
- V.K.Bhalla (1982), Investment Management Security Analysis and Portfolio Management, S.Chand and Company, New Delhi. 16th Edition.
- Prasanna Chandra (2002), Investment Analysis and Portfolio Management, Tata Graw-Hill publishing company ltd, New Delhi.
- Punithavathy Pandian (2001), Security Analysis and Portfolio Management, Vikas Publishers Pvt Ltd, New Delhi.
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