A Study on Measures the Return and Volatility of Selected Securities in India
P. Kalyan. INTERNATIONAL JOURNAL OF TREND IN SCIENTIFIC RESEARCH AND DEVELOPMENT, 6 (1):
1136-1141(Dezember 2021)
Zusammenfassung
The study aims to understand the Return and Risk associated with FMCG stock during the period of FY 2020 2021. Here 3 FMCG stocks are chosen from NSE stock exchange and collected the data. To analyze the risk and return, standard deviation tools applied. The research finds that the Dabur India Ltd and Colgate Palmolive was generated the good returns with smaller amount deviations. So, this stock was safest players in the market. At a same time Hindustan Unilever was not generated the less amount of returns with high deviations. So this stock was not safest player in the market. P Viswanatha Reddy | Dr. Nalla Bala Kalyan Ä Study on Measures the Return and Volatility of Selected Securities in India" Published in International Journal of Trend in Scientific Research and Development (ijtsrd), ISSN: 2456-6470, Volume-6 | Issue-1 , December 2021, URL: https://www.ijtsrd.com/papers/ijtsrd47966.pdf Paper URL: https://www.ijtsrd.com/management/risk-management/47966/a-study-on-measures-the-return-and-volatility-of-selected-securities-in-india/p-viswanatha-reddy
%0 Journal Article
%1 noauthororeditor
%A Kalyan, P Viswanatha Reddy | Dr. Nalla Bala
%D 2021
%J INTERNATIONAL JOURNAL OF TREND IN SCIENTIFIC RESEARCH AND DEVELOPMENT
%K & Risk analysis deviation markets return standard stock technical
%N 1
%P 1136-1141
%T A Study on Measures the Return and Volatility of Selected Securities in India
%U https://www.ijtsrd.com/management/risk-management/47966/a-study-on-measures-the-return-and-volatility-of-selected-securities-in-india/p-viswanatha-reddy
%V 6
%X The study aims to understand the Return and Risk associated with FMCG stock during the period of FY 2020 2021. Here 3 FMCG stocks are chosen from NSE stock exchange and collected the data. To analyze the risk and return, standard deviation tools applied. The research finds that the Dabur India Ltd and Colgate Palmolive was generated the good returns with smaller amount deviations. So, this stock was safest players in the market. At a same time Hindustan Unilever was not generated the less amount of returns with high deviations. So this stock was not safest player in the market. P Viswanatha Reddy | Dr. Nalla Bala Kalyan Ä Study on Measures the Return and Volatility of Selected Securities in India" Published in International Journal of Trend in Scientific Research and Development (ijtsrd), ISSN: 2456-6470, Volume-6 | Issue-1 , December 2021, URL: https://www.ijtsrd.com/papers/ijtsrd47966.pdf Paper URL: https://www.ijtsrd.com/management/risk-management/47966/a-study-on-measures-the-return-and-volatility-of-selected-securities-in-india/p-viswanatha-reddy
@article{noauthororeditor,
abstract = {The study aims to understand the Return and Risk associated with FMCG stock during the period of FY 2020 2021. Here 3 FMCG stocks are chosen from NSE stock exchange and collected the data. To analyze the risk and return, standard deviation tools applied. The research finds that the Dabur India Ltd and Colgate Palmolive was generated the good returns with smaller amount deviations. So, this stock was safest players in the market. At a same time Hindustan Unilever was not generated the less amount of returns with high deviations. So this stock was not safest player in the market. P Viswanatha Reddy | Dr. Nalla Bala Kalyan "A Study on Measures the Return and Volatility of Selected Securities in India" Published in International Journal of Trend in Scientific Research and Development (ijtsrd), ISSN: 2456-6470, Volume-6 | Issue-1 , December 2021, URL: https://www.ijtsrd.com/papers/ijtsrd47966.pdf Paper URL: https://www.ijtsrd.com/management/risk-management/47966/a-study-on-measures-the-return-and-volatility-of-selected-securities-in-india/p-viswanatha-reddy
},
added-at = {2022-07-18T08:36:32.000+0200},
author = {Kalyan, P Viswanatha Reddy | Dr. Nalla Bala},
biburl = {https://www.bibsonomy.org/bibtex/2418b3b88a52cb2613488a510dd1e1322/ijtsrd},
interhash = {512cc65ddbea392c3a9728b4eb2aabf0},
intrahash = {418b3b88a52cb2613488a510dd1e1322},
issn = {2456-6470},
journal = {INTERNATIONAL JOURNAL OF TREND IN SCIENTIFIC RESEARCH AND DEVELOPMENT},
keywords = {& Risk analysis deviation markets return standard stock technical},
language = {English},
month = {December },
number = 1,
pages = {1136-1141},
timestamp = {2022-07-18T08:36:32.000+0200},
title = {A Study on Measures the Return and Volatility of Selected Securities in India
},
url = {https://www.ijtsrd.com/management/risk-management/47966/a-study-on-measures-the-return-and-volatility-of-selected-securities-in-india/p-viswanatha-reddy},
volume = 6,
year = 2021
}