The aim of this project is to construct effective portfolio for the large cap companies. This study enables to know the performance of some Nifty Fifty companies having larger market capitalization. The analysis given on this project is on the basis of risk & return and on Sharpe index model. This project suggests best investment decision in selected large cap industries. By closely watching the daily price changes the trend and time of entry and exit in the market can be predicted. In short the decisions as which script has to make sell decisions and the composition of funds of asset allocation for each script can be analyzed by the way of modern approach using Single Index Model (Sharpe mo
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