“Comparative Study of Different Financial Instrument in Indian Market” Use by Retail Investor

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“Comparative study of different financial instrument in Indian market”

Submitted to: Prof. Jitendra Sharma
Prof. Daisy Kurien
Submitted By: Radhika Khant
Date of Submission: May 18, 2012
Xcellon Institute- School of Business
Project report on “HR Policy in HDFC Bank”

Submitted to: Prof. Jitendra Sharma
Prof. Daisy Kurien
Submitted By: Radhika Khant

A report submitted
In a partial fulfillment for the award
Of the Post Graduate Programme in General Business Management (2011’13) Ahmedabad
17 April 2012
Table of Content
Acknowledgement………………………………………………………………..4 Executive Summary………………………………………………………………5 1. Introduction………………………………………………………………6 2.1 Financial Industry: History…………………………………………..6 2.2 Financial Industry in India…………………………………………...7 2.3 Financial Services in India: Brief Overview…………………………7 2.4 Financial Services in India: Recent Development…………………...9 2.5 Financial Services: Government Initiatives………………………….10 2.6 Financial Services: Demand and Supply……………………………..10 2.7 List of top finance companies in India……………………………….10 2.8 Road Ahead…………………………………………………………..13 2. Types of Instruments…………………………………………………….14 3.9 Debt instruments……………………………………………………..14 3.10 Debenture…………………………………………………………….15 3.11 Bonds…………………………………………………………………16 3.12 Mutual fund…………………………………………………………..18 3.13 Equity…………………………………………………………………21 3.14 Insurance……………………………………………………………...23 3.15 Gold…………………………………………………………………...26 3.16 Real estate……………………………………………………………. 27 3.17 Forex…………………………………………………………………. 30 3.18 Fixed Deposit……………………………………………………. 31 3. Research Methodology…………………………………………………...33 3.1Scpoe of Research……………………………………………………..33 3.2Management Question………………………………………………...33 3.3Objectives of study……………………………………………………34 3.4Research Design……………………………………………………….35 3.5Sources of Data………………………………………………………..35 3.6Sampling Design Process……………………………………………..36 3.7Data Analysis Technique……………………………………………...36 3.8Limitation of the Study………………………………………………..36 4. Analysis of data…………………………………………………………….37 5. Finding/ Interpretation……………………………………………………..63 6. Conclusion…………………………………………………………………69 7. Reference…………………………………………………………………..70 8. Annexure…………………………………………………………………...73

Acknowledgement
Being fortune enough to be a part of Xcellon Institute-School of Business, Ahmedabad. First of all I would like to thank to Professor Jitendra Sharma for helping me to give relevant information for preparing my project. At last, my grateful thanks is also extended to Ms. Daisy Kurien (professor of Xcellon Institute-school of business) to give her guidance and for all supports throughout the project.

Radhika Khant

Executive Summary

The whole topic covers the perception regarding investor while investing in any financial instrument. What are the factors investor consider while investing. What are the criteria are very important for the investor. The whole study tells about the different financial instrument and the preference of people towards those instruments.

Chapter 1 gives the idea regarding the financial industry of India. It also throws the light about the current trends of financial industry and who are the major player in the financial service providers. It gives the idea regarding the recent change occurred in this sector. At last, it shows the future of that sector.

Chapter 2 includes the comparative study of different financial instruments like equity, debenture, fixed deposit, bonds, forex, real estate, insurance, gold, mutual fund. It covers the advantages and disadvantages of each instrument.

Chapter 3 basically deals with the research methodology used for preparing the report. It includes the sampling technique procedure, sample size, management question, research objective, data analysis technique and limitation of the study.

Chapter 4...
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