Apr 23, 2011
Investors Attitude Towards Risk & Return Content in Equity & Derivatives
This is a good MBA project report on Investors attitude towards risk and return content in equity and derivatives and was done by faculty member of different colleges. The research design used in this project is descriptive research design. The sampling technique adopted is simple random sampling and the sample size of 100 investors was selected for the study. Objective of the study are to study the fondness of investors on equity and derivative instruments, to find the awareness and satisfaction of investors towards equity and derivative investments etc. You can also Subscribe to FINAL YEAR PROJECT'S by Email for more such Projects and Seminar.
The study was undertaken to know the investors attitude towards risk and return content in equity and derivative security and to predict which will be more profitable to them. The realization that will out out from this specific research will be how the a lot of the trader are usually alert to riskily involved in the mixture market.
Recommended MBA Project: Market Perception of Mutual Funds and ULIPS
To reduce raise the risk out there, the traders must firmly adhere to the halt damage technique. The analysis show that will a lot of the trader prefer funds market had been the set of scripts might be keep with regard to long-term and also the danger will be a smaller amount and it's also transferable to help others using minimal interval. Use this report for your reference and study only. Thanks to the author.
Author:-S. Saravanakumar, S. Gunasekaran, R. Aarthy
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