This is a good MBA Finance project report on Analysis of Investment in Stock Market & Portfolio Management Using Instrument Derivatives. The report is divided into many chapters and start with the company profile and objective. The report is basically is made between the horizon of two months and the situation of market is very dynamic so the conclusion or the return might not reflect the true picture.
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Objective of the report are to provide basic idea of different stock market investment instruments to investor, to provide knowledge to investor about various type of risk associated with various investment instruments, to provide investor knowledge about P\E, P\BV and Beta that would help them in selection of script and creation of portfolio. Use this report only for your reference and study work.
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