Volume : V, Issue : I, January - 2015

A Study on Risk and Return Analysis of Stock Future and Option Derivatives Trading in India

L. Backiya

Abstract :

Future & option is the most important segment in derivatives market. Financial derivatives have emerged as one of the biggest market of the world during the past two decades. The derivatives contract is standardized contract. The derivatives contracts are available on many stock indices. In India, the BSE Sensex and S&P Nifty are the popular indices on future trading. The everyday price changes will occur on stock index futures. Some natural calamities such as weather, war, Debt, refugee displacement and land reclamation will affect the index prices. So, this study attempt to test the volatility of stock index prices in Indian Derivatives market with special reference to NSE and also this study should focus on oil manufacturing industry BPCL & ONGC in the period of April – June 2014.

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Article: Download PDF   DOI : 10.36106/ijar  

Cite This Article:

L.Backiya A Study on Risk and Return Analysis of Stock Future and Option Derivatives Trading in India Indian Journal of Applied Research, Vol.5, Issue : 1 January 2015


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