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Systematic Investment Plan: Reliance Mutual Fund

Rs. 2,000.00

Systematic Investment Plan is an approach to investing within managed investments which involves investing a set of amount at regular intervals rather than investing a larger lump sum amount in one shot. By investing this way you are not attempting to capture the highs and lows of the market but rather the cost of your investment is averaged over a period of time. The essence of SIPs is that when the markets fall investors automatically acquire more units. Likewise they acquire lesser units when the market rises. This means that you buy less when the price is high whereas you buy more the price is low. Hence the average cost per unit drops down over a period of time.

Mutual funds that invest in stock market-related instruments cannot be termed risk-free or safe as investment in shares are inherently risky by nature, whereas funds that invest in fixed-income instruments are relatively safe and those that invest only in government securities are the safest. Systematic Investment Plan (SIP) is a smart financial planning tool that helps you to create wealth, by investing small sums of money every month, over a period of time. Systematic Investment Plan (SIP) is a planned approach to investments and an investment technique that allows you to provide for the future by investing small amounts of money in Mutual Fund schemes of your choice.

1. To understand the concept of SIP
2. To review the existing literature of SIP
3. To know about Reliance SIP
4. To understand investors view by conducting a survey

Number of Pages of Project Report: 73
Package Includes: Project Report
Project Format: Document (.doc)

Table of Contents of Project Report:
Executive Summary
Chapter 1: Introduction
Systematic Investment Plan
Objectives of The Study
Scope of The Study

Chapter 2: Theoretical Background
How An Sip Works
How An Sip Scores

Chapter 3: Literature Review
Chapter 4: The Organization: Reliance Mutual Fund
Chapter 5: Reliance Systematic Investment Plan
Chapter 6: Portfolio Rebalancing
Chapter 7: Research Methodology
Chapter 8: Data Analysis



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