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  1. Home
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  3. Dissertations - Alliance School of Business
  4. A Study on Risk and Return Analysis of Selected Stocks of Fmcg
 
  • Details

A Study on Risk and Return Analysis of Selected Stocks of Fmcg

Date Issued
2025-01
Author(s)
Ruchitha, A
Maheshwari, Harsh  
Abstract
This study provides a detailed analysis of the risks and returns associated with a selection of stocks from the Fast-Moving Consumer Goods (FMCG) sector, which plays a vital role in the Indian economy. FMCG companies are recognized for their essential offerings, including food, beverages, personal care products, and household items, making them attractive to investors looking for stability and consistent returns. However, even within this generally defensive sector, individual stocks can show significant differences in risk and volatility, driven by factors such as raw material costs, consumer demand, and overall market conditions.
Subjects

Risk Management

Consumer Goods

Finance & Accounting

File(s)
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Name

2023MMBA01ASB102.pdf

Size

1.35 MB

Format

Adobe PDF

Checksum

(MD5):51e8105c8e1b72ec002846b397e53e9c

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