A STUDY ON DERIVATIVES(FUTURES & OPTIONS) WITH REFERENCE TO KOTAK MAHINDRA GROUPID: 1352 Abstract :The Purpose Of Study Is To Managing Risk And Optimizing Returns. This Study Examines The Within The Kotak Mahindra Group. By Analysing Primary Data From 100 Investors Using Kotak’s Platforms, Along With Secondary Data From Regulatory And Financial Sources, The Research Reveals Trends In Derivative Usage, Awareness, Risk Perception, And Satisfaction Levels. The Findings Highlight Strong Engagement, High Awareness, And Areas For Enhancement In Customer Support And Education. The Study Concludes With Actionable Recommendations To Improve F&O Trading Effectiveness And Responsible Use Of Derivatives In The Indian Financial Market To Understand Their Experience Usages Pattern And Satisfaction Levels. KEYWORDS: Derivatives, Futures, Options, Risk Management, Kotak Mahindra, Financial Instruments, Investor Behaviour, F&O Trading, SEBI, Capital Markets |
Published:21-6-2025 Issue:Vol. 25 No. 6 (2025) Page Nos:716-724 Section:Articles License:This work is licensed under a Creative Commons Attribution-NonCommercial-NoDerivatives 4.0 International License. How to CiteAppikonda Ganesh,Dr. K. Pushpalatha, A STUDY ON DERIVATIVES(FUTURES & OPTIONS) WITH REFERENCE TO KOTAK MAHINDRA GROUP , 2025, International Journal of Engineering Sciences and Advanced Technology, 25(6), Page 716-724, ISSN No: 2250-3676. |