The study covers all the information related to the Equity fund and the Portfolio management it also covers the investor risk in the investment in various securities.
• Identification of the investor’s objectives, constraints and preferences.
• Strategies are to be developed and implemented in tune with investment policy formulated.
• To reduce the future risk in advance.
• To earn maximum profit in the securities.
• Review and monitoring of the performance of the portfolio.
• Finally the evaluation of the portfolio.
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