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OBJECTIVES

THE OBJECTIVE IS TO:

 STUDY THE VOLATILITY IN MORGAN STANLEY GROWTH FUND FOR

THE PERIOD APR2006-MAR 2007.

 RETURN AND RISK OF INVESTIN IN MORGAN STANLEY GROWTH

FUND.

 CORRELATION WITH BSE SENSEX AND MORGAN STANLEY GROWTH

FUND AS BENCH MARK.

 TO IDENTITYFI THE INVESMENT PORTFOLIO OF MARGAN STALEY

GROWTH FUND.

 TO MESURE THE FUND PERFORMANCE FOR (APR2006-MAR 2007).

Data collection methods

For the purpose of the study was collected through secondary source of data
collection method. Major source of the data are published net asset value
(NAV) of Morgan Stanley mutual fund.

Time period

I collected daily Nav’s of Morgan Stanley mutual fund for the period of Apr
2006- Mar 2007.

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