“A STUDY ON RISK AND RETURNS CONSIDERATION IN PORTFOLIO MANAGEMENT AND INVESTMENTS” IN IIFL

Authors

  • DR.AARTHI, D.SWAPNA, R.MALLISHWARI Author

DOI:

https://doi.org/10.48047/

Keywords:

Portfolio Management, Return, Risk, Weights, Correlation

Abstract

Portfolio management is a process of encompassing many activities of investing in assets and securities. It is a dynamic and flexible concept and involves regular and systematic analysis, judgement and action. A combination of securities held together will give a beneficial result if they grouped in a manner to secure higher returns after taking into consideration the risk elements. 

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Published

2018-09-29