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Article Name : | | RISK AND RETURN ANALYSIS OF PRE AND POST CRISIS OF INDIAN STOCK MARKET | Author Name : | | T. Muthukumaran , S. Natarajan and M. Rangasamy | Publisher : | | Ashok Yakkaldevi | Article Series No. : | | ISRJ-153 | Article URL : | | | Author Profile | Abstract : | | In this paper, an attempt has been made to measure the recovery of Global
Financial Crises on Indian economy in general and on the Indian Stock Market in
particular. Additionally, this study intends to discuss the role of RBI in the present
context. This paper employs the data from April 2001 to March 2013 to investigate the
impact on Indian stock market. The result suggests that the Indian Stock market was
affected by the Global financial crunches and also shows that the recovery from the
slowdown during the global financial crisis is well underway. | Keywords : | | - indian economy
- indian stock market
- financial crisis
- rbi and sharpe ratio
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