Please use this identifier to cite or link to this item: https://gnanaganga.inflibnet.ac.in:8443/jspui/handle/123456789/16220
Title: Risk and Return Analysis on the Automobiles Industry In the Indian Stock Market
Authors: Samal, Saswat
Singh, Satyendra Pratap
Keywords: Stock Market
Automobiles Industry
Analysis
Indian
Issue Date: 2024
Publisher: Alliance School of Business, Alliance University
Citation: 72p.
Series/Report no.: 2022MMBA07ASB264
Abstract: The reason of this brief is to supply a diagram of the chance and return examination of the car industry inside the Indian stock publicize. The reason of this examination is to overview the wander openings and related threats related with contributing in offers of companies working inside the Indian car industry. The Indian vehicle industry contributes basically to the country's budgetary advancement and is creating reliably due to factors such as rising disposable pay, urbanization and favourable government approaches. In any case, contributing inside the stock publicize consolidates both advantage openings and potential perils, which needs a cautious examination of risk and advantage components. To conduct this examination, bona fide stock grandstand data of major vehicle companies recorded on Indian stock exchanges was collected and analysed. Key money related markers such as stock costs, promote capitalization, benefit per share (EPS), price-to earnings extent (P/E extent) and benefit yield were taken beneath thought. In development, publicize designs, industry-specific factors and macroeconomic components were considered.
URI: https://gnanaganga.inflibnet.ac.in:8443/jspui/handle/123456789/16220
Appears in Collections:Dissertations - Alliance School of Business

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