| Year | 2011 50 Downloads |
| Volume/Issue/Review Month | Vol. - IV | Issue I | Jan |
| Title | Risk-return Perception of Investors Towards UTI Mutual Funds 11.06.2010 |
| Authors | L. Shankari |
| Broad area | Risk-return Perception of Investors Towards UTI Mutual Funds |
| Abstract | For the purpose of the study, 100 investors of UTI mutual funds in Salem district have been selected at random and using structured questionnaire, primary data have been collected. Factor analysis, inter-correlation, Paired Sample T-Test, ANOVA and Chi square have been used for analysis of data. This research study makes an attempt to identify the factors influencing the risk return perception of the investors towards mutual funds. It can be inferred that there exists a significant difference between the risk and return perception of investors for few funds. It is found that there exists a fairly positive correlation among the factors time horizon, investment knowledge, toleration level, fall in the stock portfolio and fall in the bond portfolio. Also, it can be inferred that there is significant association between investment knowledge and the toleration level of the investors. |
| DOI | The study of risk and return continues to be an area of vital importance for researchers; however, the theorizing and empirical findings in this area continue to present a series of problems. The risk-return relationship has been presented in the literatu |
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