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SYNOPSIS
ON
Study of relationship between FIIs and Stock Market Development
in India
Submitted in the partial fulfilment of the requirement
For the award of degree of
To
Authorised Signatory
Date:
TABLE OF CONTENTS
Page No.
Introduction 1
Significance of the study 4
Conceptualization 5
Focus of the problem 8
Objectives of the study 9
Review of existing literature 10
Research Methodology 13
Organization of the study 14
Limitations of the study 15
Bibliography
BIBLIOGRAPHY
Books
• Chakarbarti (2001), FII Flow to India: Nature and Causes, ICRA Bulletin: Money and
finance, vol.2, issue-7
• Khan Masood Ahmad, Ashraf Shahid and Ahmed Shahid, (2005), “An Empirical
Investigation of Causality and Dynamic Linkages: A Case of Indian and American
Equity Markets”, Prajnan, Vol.33, No. 3, pp.219–241.
• Kothari, CR, “Research Methodology Methods & Techniques, New Age International
Publisher”, Second Edition
• Kumar S (2002), “Foreign Institutional Investment: Stablizing or Destablizing”,
Abhigyan, vol.20
• Pandian Punithavathy, Jeyanthi Queensly (2009), “Stock Market Volatility in Indian
Stock Exchange”, www.indiastat/socio economic voices/may-june 2009.com
• Parthapratim Pal, “Recent Volatility in Stock Markets in India and Foreign Institutional
Investors”, www.networkideas.org/featart/nov2004/fa24 _volatility _stock_market.com
Websites
• www.hindubusiness.com
• www.rbidocs.rbi.org
• www.springerlink.com
• www.sebi.com
• www. wikipedia.com