‘An Empirical Study On Investment Decision In Volatile Market With Special Reference To Investment In It Sector”
نویسندگان
چکیده
Sensex has experienced significant volatility over the past decade, with several large swings in both directions driven by a variety of economic, political, and global factors. The European debt crisis (2011-2012), General Elections (2014), Demonetization (2016), COVID-19 pandemic (2020) witnessed wide range stock market.
 In this article, an attempt been made to showcase IT sector comprising four Top companies for 12 months (February 2022 February 2023). Volatility can be measured standard deviation daily returns index. Monthly changes prices monthly fluctuations returns, average return, beta is calculated show how companies’ stocks are volatile relation as whole.
 research paper discussion on investment decision taken based risk return statistics.
 major contributor India's GDP recent years, country becoming leading destination services outsourcing. It expected continue grow due increasing demand digital solutions India globally.
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ژورنال
عنوان ژورنال: Journal of Namibian Studies : History Politics Culture
سال: 2023
ISSN: ['1863-5954']
DOI: https://doi.org/10.59670/jns.v33i.4445