A STUDY ON RISK RETURNS ANALYSISOF BLUE CHIP STOCKSID: 3721 Abstract :This Study Examines The Risk-return Profiles Of Five Prominent Companies In The Stock Market: Adani Ports And Special Economic Zone Ltd., Tata Consumer Products Ltd., Hero Motorcorp Ltd., Titan Company Ltd., And Larsen And Toubro Ltd. Through Analysis Of Their Average Returns, Variances, Risks, And Coefficients Of Variance, Each Companys Investment Potential Is Evaluated. Adani Ports And Special Economic Zone Ltd. Exhibits High Risk With Negative Returns, Suggesting A Turbulent Period For Investment. Tata Consumer Products Ltd. Shows Average Returns With A Slightly Negative Coefficient Of Correlation, Indicating A Need For Cautious Observation Of Its Market Patterns. Hero Motorcorp Ltd. Presents A Balanced Risk-return Ratio, Making It A Favorable Investment Choice. Titan Company Ltd. Demonstrates Negative Returns, Signaling Unfavorable Market Conditions For Investment. Conversely, Larsen And Toubro Ltd. Display Relatively Low Risk With Moderate Returns, Positioning It As A Promising Investment Opportunity. The Conclusion Highlights The Trade-off Between Risk And Return In Investment Decisions, Where Some Companies Offer Higher Potential Returns At The Expense Of Increased Risk, While Others Provide Lower Risk With Corresponding Lower Returns. Understanding This Relationship Is Crucial For Making Informed Investment Choices In The Stock Market. |
Published:04-8-2026 Issue:Vol. 26 No. 8 (2026) Page Nos:1 - 12 Section:Articles License:This work is licensed under a Creative Commons Attribution-NonCommercial-NoDerivatives 4.0 International License. How to CiteVOKARENI PRASANNA,DR. K MADHU BABU, A STUDY ON RISK RETURNS ANALYSISOF BLUE CHIP STOCKS , 2026, International Journal of Engineering Sciences and Advanced Technology, 26(8), Page 1 - 12, ISSN No: 2250-3676. |