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The security sector is extensively large with global market capitalisation of all the companies listed in different exchanges standing up to more than $35 trillion. Security markets are subjected to a high level of volatility due to changes in interest rate, the level of inflation, investor sentiment, corporate earnings, business cycle within market sectors and political events. This reports thoroughly presents the candid picture of Primary as well as Secondary Market along with the factors affecting their performances. Volatility in Stock Market is investigated and performances of various trading instruments are cross-examined for the purpose of fixing the future market prospects. Micro and Macro factors affecting secondary market have been analysed keeping in mind the degree of its magnitude. Industry break-up, Investors’ Statistics and risk-return picture are analytically presented.
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