共同基金风险、收益与分散投资的比较分析

R. Ahmad, Abuzar Nomani
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引用次数: 0

摘要

共同基金已经成为投资者以简单、低成本的方式参与金融市场的一种广泛流行和有效的方式,同时通过将投资分散到不同类型的证券来降低风险特征,也被称为分散投资。它可以在个人的投资策略中发挥核心作用。由于印度市场上有太多的投资计划,投资者在做出投资决定之前需要评估和考虑各种因素。本研究旨在检验投资者眼中证券市场上最安全的投资工具的表现。为此选择了五个共同基金大市值计划。该考试是通过评估各种财务测试,如夏普比率、标准差、Alpha和Beta来实现的。此外,还通过考虑过去五年在各种基础上的回报,费用比率,语料库规模等进行了深入分析。这些数据来自不同的共同基金计划网站和www.valueresearch.com。该研究将有助于研究人员和金融分析师分析各种证券或基金,并从众多投资选择中选择最佳投资选择。
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Comparative Analysis of Risk, Return and Diversification of Mutual Fund
Mutual Funds have become a widely popular and effective way for investors to participate in financial markets in an easy, low-cost fashion, while muting risk characteristics by spreading the investment across different types of securities, also known as diversification. It can play a central role in an individual's investment strategy. With the plethora of schemes available in the Indian markets, an investors needs to evaluate and consider various factors before making an investment decision. The present investigation is aimed to examine the performance of safest investment instrument in the security market in the eyes of investors. Five mutual fund large cap scheme have been selected for this purpose. The examination is achieved by assessing various financial tests like Sharpe Ratio, Standard Deviation, Alpha, and Beta. Furthermore, in-depth analysis also has been done by considering return over the period of last five years on various basis, expenses ratio, corpus-size etc. The data has been taken from various websites of mutual fund schemes and from www.valueresearch.com. The study will be helpful for the researchers and financial analysts to analyze various securities or funds while selecting the best investment alternative out of the galaxy of investment alternatives.
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