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TitleA Project Report on Study on Investor Behaviour Towards Stock Market (1)
TagsInvesting Market (Economics) Stocks
File Size1.7 MB
Total Pages54
Table of Contents
                            Trends in market participation
                        
Document Text Contents
Page 1

A SUMMER TRAINING PROJECT REPORT

ON

“A STUDY ON INVESTOR BEHAVIOUR
TOWARDS STOCK MARKET”

SUBMITTED IN THE PARTIAL FULFILLMENT FOR THE AWARD OF

DEGREE OF MASTER IN BUSINESS ADMINISTRATION 2015-17

UNDER THE GUIDANCE OF:

Dr. Anil goyal

Assistant Professor, RDIAS

SUBMITTED BY:

DEEPAK JINDAL

02280303915
. 2015-17

RUKMINI DEVI INSTITUTE OF ADVANCED STUDIES

An ISO 9001:2008 Certified Institute
NAAC Accrediated :A ,Category A+ Institute

(Approved by AICTE, HRD Ministry, Govt. of India)
Highest Category ‘A’ by Joint Assessment Committee, Member of AMDISA, AIMA,

CSI, CII, DELNET, NHRD
Affiliated to Guru Gobind Singh Indraprastha University, Delhi

2A & 2B, Madhuban Chowk, Outer Ring Road, Phase-1,
Delhi-11008

Page 2

Table of Contents

Student Declaration…………………………………………………………………… ………i

Certificate from Company.…………………...…………………………………....…..............ii

Certificate from Guide…….………………...…………………………………....…...............iii

Acknowledgement............................................................................................................iv

Executive Summary………………………………………………………………..……………..v

 A summary statement designed to provide a quick overview of the full length
report on which it is based.

List of Tables………………………………………………………………………………….vi

List of Graphs…………………………………………………………………………………vii

List of Charts………………………………………………………………………………viii

List of Abbreviations, if any………………………………………………ix

Page no.

CHAPTER- 1: INTRODUCTION
1.1 About the Industry
1.2 About Organization/ Company Profile………………………………

CHAPTER – 2: LITERATURE REVIEW
2.1 Literature Review and Research Gap…………………………….. ……………

2. 2 About The Topic………………………………………………… ……………

CHAPTER – 3: RESEARCH METHODOLOGY

3.1 Purpose of the study……………………………………… ..………...…

3.2 Research Objectives of the study…………………………… …………..

3.3 Research Methodology of the study………………………… …….

Page 28

Sikidar and Singh (1996) carried out a survey with an objective to understand the behavioral

aspects of the investors of the north eastern region towards mutual funds investment

portfolio.The survey revealed that the salaried and self-employed formed the major investors in

mutualfund primarily due to tax concessions.

Kumar Singh (2006)analyze the investment pattern of people in Bangalore city and

Bhubaneswar analysis of the study was undertaken with the help of survey conducted. It is

concluded that in Bangalore investors are more aware about various investment avenues and

therisk associated with that. And in Bhubaneswar, investors are more conservative in nature

andthey prefer to invest in those avenues where risk is less like bank deposits, small savings,

postoffice savings etc.

Chandra collected the data from survey to know the factors influencing Indian individual

investorbehavior in stock market. Using univariate and multivariate analysis and found five

major factors that affect the investment behavior of individual investor in stock market

namelyprudence, and precautions attitude, conservatism, under confidence, informational

asymmetryand financial addition . Finally he concluded that these are the major psychological

componentsseem to be influencing individual investor’s trading behavior in Indian stock market.

AjmiJy.A. (2008) used a questionnaire to know determinants of risk tolerance of individual

Investors and collected responses from 1500 respondents. He concluded that the men are less

riskaverse than women, less educated investors are less likely to take risk and age factor is

alsoimportant in risk tolerance and also investors are more risk tolerance than the less

wealthyinvestors.

Tamimi, H. A. H.indentified the factors influencing the UAE investor Behavior. Using

questionnaire found six factors were most influencing factors on the UAE investor behaviour

namely expected corporate earnings, get rich quick, stock marketability past performance of

thefirm’s stock , government holdings and the creation of the organized financial markets

Page 53

 OTHERS

2. AGE OF THE RESPONDANTS
 BELOW 25
 26-30
 31-36
 MORE THAN 36

3. GENDER
 MALE
 FEMALE

4. ANNUAL INCOME OF THE RESPONDANTS
 LESS THAN 1 LAKH
 1-3 LAKH
 3-5 LAKH
 MORE THAN 5 LAKH

5. DURATION OF INVESTMENT
 LESS THAN 1 YEAR
 1-2 YEAR
 2-5 YEAR
 MORE THAN 5 YEAR

6. SOURCE OF INFORMATION
 BROKERS
 NEWSPAPERS
 INTERNET ADS
 OTHERS

7. AWARENESS ABOUT INVESTMENT OPTIONS IN THE MARKET
 YES
 NO

8. FACTORS AFFECTING INVESTMENT DECISION.
 FAMILY MEMBERS

Page 54

 FRIENDS
 FINANCIAL CONSULTANT
 OTHERS

9. INVESTMENT OPTIONS PREFER THE MOST
 STOCK MARKET
 COMMODITY MARKET
 MONETARY MARKET
 OTHERS

10. TYPE OF TRADING PREFER IN MARKET
 ONLINE TRADING
 OFFLINE TRADING

11. BROKERAGE CHARGED BY DEALERS
 10-20 PAISE
 20-30 PAISE
 MORE THAN 30 PAISE

12. GOOD OPTIONS TO INVEST IN STOCK MARKET
 STRONGLY AGREE
 AGREE
 NEUTRAL
 DISAGREE
 STRONGLY DISAGREE

13. RECOMMEND ANYONE TO INVEST IN STOCK MARKET
 YES
 No

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