Empirical Analysis of Relationship between FPI and Nifty Returns
Publication details: Mumbai Indian Institute of Finance 2020Description: Vol 34, Issue no 3, September 2020, Page 943 - 956Subject(s): In: Finance IndiaSummary: This Study is an attempt to evaluate and analyze relationship between Foreign Portfolio Investors and the Indian Stock market returns. With the stable economy, better growth prospects, liberal government policies and many more profitable opportunities, India has become a hot destination of Foreign Portfolio Investors investments. Thus, there is a need to study the impact of these investments. The results suggested that Foreign Portfolio Investors were influenced by the Nifty returns but the relationship was not vice versa. Foreign Portfolio Investors box their investing decision on the previous period returns.| Item type | Current library | Status | Barcode | |
|---|---|---|---|---|
| Article | St. Francis Institute of Management and Research | Available | AR0876 |
This Study is an attempt to evaluate and analyze relationship between Foreign Portfolio Investors and the Indian Stock market returns. With the stable economy, better growth prospects, liberal government policies and many more profitable opportunities, India has become a hot destination of Foreign Portfolio Investors investments. Thus, there is a need to study the impact of these investments. The results suggested that Foreign Portfolio Investors were influenced by the Nifty returns but the relationship was not vice versa. Foreign Portfolio Investors box their investing decision on the previous period returns.
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