( ISSN 2277 - 9809 (online) ISSN 2348 - 9359 (Print) ) New DOI : 10.32804/IRJMSH

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AN EMPIRICAL RESEARCH ON RISK-RETURN RELATIONSHIP AMONG SELECTED TELECOMMUNICATION COMPANIES

    1 Author(s):  DR HEM SHWETA RATHORE

Vol -  11, Issue- 9 ,         Page(s) : 59 - 65  (2020 ) DOI : https://doi.org/10.32804/IRJMSH

Abstract

Risk in investment is associated with return. It cannot be measured without reference to return. Risk-return analysis play a significant role in the process of decision-making. The present paper studies the relationship amid risk and return of certain telecommunication sector companies listed on BSE, with the help of various statistical tools and portfolio performance evaluation Model. Three companies are selected from telecommunication service sector for this study. These are: Bharti Airtel Ltd, Idea Cellular Ltd, Reliance Communications Ltd. This paper is an attempt to find whether the telecom service sector is suitable for investment from an investor’s perspective. It was found that stock return was positively corelated with index return for all selected companies. When portfolio performance evaluation ratios were calculated for these companies, it was found that Vodaphone Idea Ltd underperformed in comparison to other two companies.

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