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Analysis, Classification of Shares and Securities for the Benefit of Indian Middle Class Investors in Banking Sector

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Introduction:
The developing countries like India face the enormous task of finding sufficient capital in their development efforts. Most of these countries find it difficult to get out of the -vicious circle of poverty of low income, low saving, low investment, low employment etc. With high capital output ratio, India needs very high rates of investments to make a leap forward in her efforts of attaining high levels of growth. Since the beginning of planning, the emphasis was on investment as the primary instruments of economic growth and increase in national income. In order to have production as per target, investment was considered the crucial determinant and capital formation had to be supported by appropriate volume of saving.

The stock market has seen some major downturns in the past 10 years the decade when Gen Y began considering investment options for the first time. Its no surprise that, as a generation, this age group has been reluctant to start investing. In fact, according to the Investment Company Institute, investors born in the seventies and later are less likely to own any equities than their parents or grandparents did at the same age. There is a fundamental difference in how different generations see investing, and it may have long-lasting impacts.
Objectives of the Study:
1. To study the factors that influences the value of securities (shares & debentures) of banking companies.
2. To identify the different securities of the selected banking companies.
3. To study the impact of these factors on the price of the selected securities.
4. To analyse the perceptions of the selected investors regarding the above securities.( sample size of 50+50+50+50 from four different banks)
5. To suggest the best portfolio among these securities.

Number of Pages of Project Report: 87
Package Includes: Project Report
Project Format: Document (.doc)

Table of Contents of Project Report:
EXECUTIVE SUMMARY
CHAPTER 1: INTRODUCTION
CHAPTER 2: THEORETICAL BACKGROUND
CHAPTER 3: PORTFOLIO MANAGEMENT
CHAPTER 4: LITERATURE REVIEW
CHAPTER 5: BANKING INVESTORS DETAILS
CHAPTER 6: RESEARCH METHODOLOGY
DATA COLLECTION
SAMPLING
SAMPLE SIZE
100 Investors
SAMPLING TECHNIQUE
TYPE OF RESEARCH DESIGN
OBJECTIVE OF THE STUDY
HYPOTHESES
CHAPTER 7: DATA ANALYSIS
FINDINGS
RECOMMENDATIONS
CONCLUSION
REFERNCES


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