Portfolio Management and Investment Strategy of Institutional Investor: An Analysis in Indian Capital Market
Shivani Tyagi1, Manjula Shastri2

1Shivani Tyagi, Senior Research Fellow, Amity University Noida.

2Manjula Shastri, Senior Research Fellow, Amity University Noida.

Manuscript received on 09 July 2019 | Revised Manuscript received on 21 July 2019 | Manuscript Published on 23 August 2019 | PP: 1306-1314 | Volume-8 Issue-9S3 August 2019 | Retrieval Number: I32850789S319/19©BEIESP | DOI: 10.35940/ijitee.I3285.0789S319

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© The Authors. Blue Eyes Intelligence Engineering and Sciences Publication (BEIESP). This is an open-access article under the CC-BY-NC-ND license (http://creativecommons.org/licenses/by-nc-nd/4.0/)

Abstract: The purpose of current study is to examine the most preferred investment option among institutional investor in India and analysis the factors which impact their investment strategy in India. The study also attempts to better understand the impact of certain demographic factors such as age, area of operation, type of operation, asset under management, experience and qualification on the behaviour of institutional investor in India .A semi structured questionnaire was used to obtain a total of 30 valid responses was collected from January 2019 to March 2019. Cronbach alpha test and normality test was used to check reliability and consistency in the responses. Descriptive Analysis was done for various variables. Result was presented in the tabular form.

Keywords: Institutional Investors, Preference, Investment Strategy, India.
Scope of the Article: Information Ecology and Knowledge Management