A study on mutual funds and investors behavior

Economics & finance   |   Finance   |   Research papers   |   05/28/2009   |   .doc   |   33 pages
Document abstract : «A study on mutual funds and investors behavior Mutual fund is a pool of money collected from investors and is invested according to certain investment options. ...»

Synopsis abstract : «Introduction. The major advantages offered by mutual fund to all investors. Disadvantages of mutual funds. History of mutual funds. Major mutual fund companies in India. Association of mutual funds in India . The objectives of AMFI. The regulatory...»

Investor behavior towards mutual funds with special reference to Reliance Capital Assets Management Ltd

Economics & finance   |   Finance   |   Research papers   |   03/25/2009   |   .doc   |   48 pages
Document abstract : « To divide the investors and check their behavior towards Mutual Funds according to A research design is simply the framework or plan for a study, used as ...»

Synopsis abstract : «Executive summary. Introduction to mutual funds. Types of mutual fund schemes. Schemes according to function. Schemes according to portfolio. Advantages of Systematic Investment Plan (SIP). Advantages of mutual funds. Drawbacks of mutual...»

A study of behavioral finance in the Indian stock exchange

Economics & finance   |   Finance   |   Indian project   |   04/01/2009   |   .doc   |   32 pages
Document abstract : « of psychology and economics or the study of anthropology like equities, bonds and debt mutual funds and even Finally, investors should focus on big picture and ...»

Synopsis abstract : «Introduction. An overview of behavioral finance. Objectives of the study. Sources of information. Limitations of the study. Profile of Hyderabad Stock Exchange. Investing in Securities Market. Industry profile. Historical...»

How does a rational investor build the optimal portfolio? Should international securities be added to that?

Economics & finance   |   Finance   |   Term papers   |   05/07/2009   |   .doc   |   5 pages
Document abstract : « Investors are therefore supposed keep one of the optimal In a study that tracked results in a twenty-year 1997, the percentage of equity mutual funds that have ...»

Synopsis abstract : «Introduction. Rational investor thinking. The theory. Hedging demands . Conclusion. Bibliography....»

Portfolio management (risk and return) of inter-connected stock exchanges

Economics & finance   |   Finance   |   Indian project   |   06/17/2009   |   .doc   |   47 pages
Document abstract : « s investment situation requires a study of personal may want to evaluate the various mutual funds operating in the of a whole group of investors and compare it ...»

Synopsis abstract : «Introduction. Scope of the study. Objectives. Limitations. Description of the method. Company profile. Objectives. Features. Review of the literature. Definition. Participants. Types and functions. Trading. Annexures. Analysis . Conclusions and...»

The impact of FIIs on Indian National stock exchange and how effective the Government is in Liberalizing and controlling the National Stock exchange?

Economics & finance   |   Finance   |   Theses   |   04/03/2009   |   .doc   |   40 pages
Document abstract : « So, in course of the study of FII behavior, it is crucial to take note of the variables of At the outset, several funds like mutual funds, pension funds ...»

Synopsis abstract : «Introduction. Background information and rationale of the study. Aims and objectives of the study. Research methodology. Literature review of the study. Policies of the government regarding Foreign Institutional Investors (FII) . Nature and quantity...»

Analysis and features of Standard Chartered

Economics & finance   |   Finance   |   Term papers   |   05/07/2009   |   .doc   |   18 pages
Document abstract : « money ideally to/from its clients/investors and earns and what consumers prefer ie "Comparative study of services In Shares 28 Bonds 10 Mutual Funds 6 LIC ...»

Synopsis abstract : «Introduction. An overview of banking. The evolution of banking. Banking today: Live and kicking. Company profile. A brief history of Standard Chartered. The early years. Standard Chartered in the 1990's. Standard Chartered today. Marketing public...»

Comparative analysis of investment patterns, market segmentation, market feedback and the formulation of new strategies

Economics & finance   |   Finance   |   Indian project   |   05/27/2009   |   .doc   |   49 pages
Document abstract : « line staff not only in the area of insurance but also in the area of mutual funds. To study the issues and challenges that investors face while ...»

Synopsis abstract : «...»

Operational risk management: Implementing a Bayesian Network for foreign exchange and money market settlement

Economics & finance   |   Finance   |   Theses   |   03/23/2009   |   .doc   |   114 pages
Document abstract : « Part II is a case study titled "Application Private investors are those who find the market banks, governments, corporations, MM mutual funds, brokers, dealers ...»

Synopsis abstract : «Introduction. Motivation and Problem Description. Objectives of the research. Outline of the thesis. Operational risk, foreign exchange and money market. Basel II, operational risk. Review of operational risk methods. Models for quantification and...»

Managing customer relationship and their financial aspects: Standard Chartered India

Economics & finance   |   Finance   |   Indian project   |   05/07/2009   |   .doc   |   33 pages
Document abstract : « in the following sequence of steps: Theoretical study of the a fixed amount of money every month in specific mutual funds. it if you have surplus funds No need ...»

Synopsis abstract : «Executive summary. Project objective. Introduction . History. About the product. About services. Theoretical background. Research methodology. Rational. Research questions. Findings and analysis. Savings account &...»

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