Volume : IX, Issue : III, March - 2019
A Report on Volatility Analysis of Telecom Sector
Prof. Sheetal Nafde
Abstract :
The investors should take an investment decision very carefully after doing thorough research. Stock market research is essential for making good financial and investment decisions.Every investor expects more return ratio with less risk ratio. According to the risk–return tradeoff, invested money will render higher profits only if the investor is ready to accept a higher possibility of losses.The investor can select a right securities or portfolio after calculating the risk return ratio.The Indian telecom sector underwent major changes or variations through noteworthy policy reforms.The mobile services are acting as a spine of the economy on which the important sectors of economy like banking, health and education are riding.The volatility of equity shares of telecommunication explains the relationship between risk and returns by using some statistical methods like standard deviation, beta, correlation and variance
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DOI : 10.36106/ijar
Cite This Article:
A REPORT ON VOLATILITY ANALYSIS OF TELECOM SECTOR, Prof. Sheetal Nafde INDIAN JOURNAL OF APPLIED RESEARCH : Volume-9 | Issue-3 | March-2019
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A REPORT ON VOLATILITY ANALYSIS OF TELECOM SECTOR, Prof. Sheetal Nafde INDIAN JOURNAL OF APPLIED RESEARCH : Volume-9 | Issue-3 | March-2019
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