International Journal of Research in Finance and Marketing
  • Year: 2015
  • Volume: 5
  • Issue: 12

Comparative Study of Risk and Return in Manufacturing and Telecom Sector

  • Author:
  • D. Seethanaik
  • Total Page Count: 14
  • Page Number: 1 to 14

Assistant Prof., Dept of MBA, University of Mysore, Mysore

Online published on 20 May, 2016.

Abstract

This paper analyses the impact of risk and return on portfolio management and evaluated the relationship of individual average return and risks. The paper focuses on Markowitz model to find risk and return trade off. This paper describes the portfolio return and risk of various sectors.

Keywords

Risk and Return, Portfolio Management, Morkowitz model