STOCK PRICE ANALYSIS IN INDIAN BANKING SECTOR AT AXIS CAPITAL

Authors

  • Dr B SANKAR NAIK Author
  • DANDU RAJESWARI Author

Keywords:

Stock Market Trends, Banking Sector Performance, Price Volatility, Fundamental Analysis, Technical Analysis, Market Capitalization

Abstract

The objective of this study is to evaluate the patterns, volatility, and determinants that influence the stock's performance during the designated period in the Indian banking industry by analyzing the stock price of Axis Capital. Historical market capitalization, trading volumes, and stock prices are predominantly examined using quantitative methods, including financial ratios and statistical tools. In order to ascertain the stock's reaction to market fluctuations and industry performance, analysts evaluate critical performance indicators, including the Price-to-Earnings (P/E) ratio, beta, and moving averages. The study investigates the influence of new regulations, the financial sector, and the general economy on the valuation of Axis Capital's stock. The findings are designed to aid investors, analysts, and stakeholders in the evaluation of risk, decision-making, and investment in the Indian financial sector. The research improves our understanding of the fluctuations in stock values within a financial environment that is swiftly changing.

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Author Biographies

  • Dr B SANKAR NAIK

     Professor,Department of MBA, VISWAM ENGINEERING COLLEGE (Autonomous), ANGALLU, MADANAPALLE, AP.

  • DANDU RAJESWARI

    MBA Student, Department of MBA, VISWAM ENGINEERING COLLEGE (Autonomous), ANGALLU, MADANAPALLE, AP.

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Published

2026-04-07