INTRODUCTION TO THE MARKOWITZ MODEL IN THE INDIAN STOCK MARKET

Authors

  • Ms. Pooja Goel Assistant Professor, Department of Management Studies, Mangalmay Institute of Management & Technology, Greater Noida Author

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Abstract

The aim of this paper is to build a portfolio for large cap companies that are both effective and successful. This research allows for a better understanding of the results of some Nifty Fifty companies with a greater market capitalization. This paper's analysis is focused on risk and return, as well as the Markowitz modern portfolio model. This paper is a condensed version of Markowitz's contributions to Modern Portfolio Theory. The study concludes that applying these basic models, which were created many years ago, still provides better options for making decisions in the selection of optimal portfolios in the Indian stock market.

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Published

28-08-2021

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Copyright © 2026 by Ms. Pooja Goel

The copyright and license terms mentioned on this page take precedence over any other license terms mentioned on the article full text PDF or any other material associated with the article.

How to Cite

Goel, Pooja. “INTRODUCTION TO THE MARKOWITZ MODEL IN THE INDIAN STOCK MARKET”. Law & Political Review, vol. 6, Aug. 2021, pp. 51-60, https://journal.thelawbrigade.com/lpr/article/view/777.