RISK, RETURN AND VOLATILITY MEASUREMENT ON STOCK SPLIT
Dr. P.Dolly Diana
Stock Split is considered one of major corporate action from the investor perception in the capital market. The present study through the light on the stock which got splited in the period of 1992-2017.The stock were selected based on the market capitalization and analyzed Risk, Return and Forward that post split period return are superior to be pre stock split period returns. The risk level of the investment in mid cap and small cap are increasing after the stock split period. The volatility analysis found that in large cap, mid cap and small cap post stock split period is higher than the pre stock split period. Secondary market benchmark nifty had influence the post split period price. This study is useful to the retail investor HNI and QIB
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Vol | : | 6 |
Issue | : | 3 |
Month | : | March |
Year | : | 2018 |