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The document presents a study on the risk-return relationship in the Indian stock market, conducted by a group of students under the supervision of an assistant professor at the University of Delhi. It includes a detailed analysis of various stock market indices such as CNX Nifty, CNX Bank Index, and others, along with methodologies for empirical analysis and findings related to the Capital Asset Pricing Model and equity risk premium. The study aims to provide insights into the performance and behavior of d
- Author
- rgkiran96
- Language
- EN