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Volume : VI, Issue : VI, July - 2016

RISK-RETURN ANALYSIS OF SELECTED BSE SENSEX STOCKS

K. 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 :

    1. V.K.Bhalla (1982), Investment Management Security Analysis and Portfolio Management, S.Chand and Company, New Delhi. 16th Edition.
    2. V.K.Bhalla (1982), Investment Management Security Analysis and Portfolio Management, S.Chand and Company, New Delhi. 16th Edition.
    3. S. Kevin (2006), Security Analysis and Portfolio Management, PH learning PVT limited, New Delhi.
    4. Prasanna Chandra (2002), Investment Analysis and Portfolio Management, Tata Graw-Hill publishing company ltd, New Delhi.
    5. Punithavathy Pandian (2001), Security Analysis and Portfolio Management, Vikas Publishers Pvt Ltd, New Delhi.
    6. Prasanna Chandra (2002), Investment Analysis and Portfolio Management, Tata Graw-Hill publishing company ltd, New Delhi.
    7. Punithavathy Pandian (2001), Security Analysis and Portfolio Management, Vikas Publishers Pvt Ltd, New Delhi.
    8. V.K.Bhalla (1982), Investment Management Security Analysis and Portfolio Management, S.Chand and Company, New Delhi. 16th Edition.
    9. S. Kevin (2006), Security Analysis and Portfolio Management, PH learning PVT limited, New Delhi.
    10. V.K.Bhalla (1982), Investment Management Security Analysis and Portfolio Management, S.Chand and Company, New Delhi. 16th Edition.
    11. S. Kevin (2006), Security Analysis and Portfolio Management, PH learning PVT limited, New Delhi.
    12. Prasanna Chandra (2002), Investment Analysis and Portfolio Management, Tata Graw-Hill publishing company ltd, New Delhi.
    13. Punithavathy Pandian (2001), Security Analysis and Portfolio Management, Vikas Publishers Pvt Ltd, New Delhi.
    14. V.K.Bhalla (1982), Investment Management Security Analysis and Portfolio Management, S.Chand and Company, New Delhi. 16th Edition.
    15. V.K.Bhalla (1982), Investment Management Security Analysis and Portfolio Management, S.Chand and Company, New Delhi. 16th Edition.
    16. S. Kevin (2006), Security Analysis and Portfolio Management, PH learning PVT limited, New Delhi.
    17. Prasanna Chandra (2002), Investment Analysis and Portfolio Management, Tata Graw-Hill publishing company ltd, New Delhi.
    18. Punithavathy Pandian (2001), Security Analysis and Portfolio Management, Vikas Publishers Pvt Ltd, New Delhi.
    19. V.K.Bhalla (1982), Investment Management Security Analysis and Portfolio Management, S.Chand and Company, New Delhi. 16th Edition.
    20. V.K.Bhalla (1982), Investment Management Security Analysis and Portfolio Management, S.Chand and Company, New Delhi. 16th Edition.
    21. S. Kevin (2006), Security Analysis and Portfolio Management, PH learning PVT limited, New Delhi.
    22. V.K.Bhalla (1982), Investment Management Security Analysis and Portfolio Management, S.Chand and Company, New Delhi. 16th Edition.
    23. Prasanna Chandra (2002), Investment Analysis and Portfolio Management, Tata Graw-Hill publishing company ltd, New Delhi.
    24. Punithavathy Pandian (2001), Security Analysis and Portfolio Management, Vikas Publishers Pvt Ltd, New Delhi.

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