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Why is the Particular topic chosen? Different investment avenues are available for investors.
Stock market also offers good investment opportunities to the investor alike all investments,
they also carry certain risks. The investor should compare the risk and expected yields after
adjustment off tax on various instruments while talking investment decision the investor
may seek advice from consultancy include stock brokers and analysts while making
investment decisions. The objective here is to make the investor aware of the functioning of
the derivatives.
Derivatives act as a risk hedging tool for the investors: The objective is to help the investor in
selecting the appropriate derivates instrument to attain maximum risk and to construct the
portfolio in such a manner to meet the investor should decide how best to reach the goals
Objective: The study includes different strategies of derivatives used in present scenario.
2. To examine the different strategy which are used by the investors for the purpose of
Scope: The scope of study is limited to “Derivatives” with special reference to futures, options,
swaps and forwards in the Indian context; the study is not based on the international perspective of
derivative markets.
The study is limited to the analysis made for types of instruments of derivates each strategy is
analyzed according to its risk and return characteristics and derivatives performance against the
For the purpose of study, secondary data will be collected. The observational method is used
to collect the primary data. The necessary data is also been collected from official records and other
published sources. The collected data is classified, tabulated, analyzed and interpreted. Finally
conclusion is draw based on the study and suggestions are offered to the company for increasing its
customer base.
1. Primary data
2. Secondary data
Primary Data
Primary data is personally developed data and it gives latest information and offers much
greater accuracy and reliability.
There are various sources for obtaining primary data i.e., Mail survey, personal interview,
The study is dependent on primary data to a maximum extent, which is collected by way of
structures personal interview with customers.
Secondary Data
Secondary data is the published data. It is already available for using and its saves time. The
mail source of secondary data are published market surveys, government publications advertising
research report and internal source such as sales, sales records orders, customers complaints and
other business record etc. the study has also depended on secondary data to little extent, which is
collected through internal source.
Sources of Secondary Data:
These source were use to obtain information on, Banks and other institutions history,
current issues, policies, procedures etc, wherever required.
Internet
Magazines
Newspapers
Journals
Adding some of the wide variety of derivative instruments available to a traditional portfolio
of investments can provide global diversification in financial instruments and currencies, help
hedge against inflation and deflation, and generate returns that are not correlated with more
traditional investments. The two most widely recognized benefits attributed to derivative
instruments are price discovery and risk management.
How you plan to proceed for your project ?(Date wise targets to be mentioned):
4. How they are useful and how efficiency can be achieved in Market through Efficient
Market Hypothesis.
5. Values calculated through the model and equations introduced have met or not.
Signature :
Mobile No : 7014273117
E-mail : sahilmittal80@yahoo.com
Date : 7 Dec 2017