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Mutual fund
Industry.
METHODOLOGY
This report is based on primary as well as secondary data, however
SAMPLE SIZE
The sample size of my project is limited to 200 people only. Out of
which only 120 people had invested in Mutual Fund. Other 80 people
percentage analysis.
METHOD OF DATA COLLECTION
The sample was selected of them who are the
mathematical/Statistical tool.
SURVEY ANALYSIS AND INTERPRETATION
INTERPRETATION:
1. Investors invested in
From the above graph it
different kind of can be inferred that out
15%
Deposits, 60% in Mutual
Mutual Fund
19%
Fund, 37.5% in Post
19%
Post office-NSC,
etc office-NSC, 25% Shares
Shares/Debentures
or Debentures, 15% in
Gold/Silver
Gold/Silver and 32.5%
in Real Estate
2. Preference of INTERPRETATION:
factors while Out of 200 People, 32%
No. of Investors
4. Channel Preferred by the
Investors for Mutual Fund
INTERPRETATION:
Investment
Out of 120
Investors 60%
Financial preferred to
25% Advisor
15% 60% Bank invest through
Financial
AMC
Advisors, 25%
through AMC and
15% through
Bank.
5. Option for getting Return
Preferred by the Investors INTERPRETATION:
From the above
graph 71%
Sales preferred Growth
Option, 21%
preferred Dividend
Dividend
21% Payout Payout and 8%
Dividend preferred Dividend
8% Reinvestment Reinvestment
71% Growth Option.
FINDING
About all the Respondents bad a Saving A/c in Bank, 76% Invested
second most preferred Low Risk then liquidity and the least
preferred Trust.
Only 67% Respondents were aware about Mutual fund and its
65% preferred One Time Investment and 35% preferred SIP out of
both
CONCLUSION
Running a successful Mutual Funds requires complete
in mutual fund.
investors.