FINANCIAL MARKETS AND INVESTMENT STRATEGIES
DOI:
#10.25215/9358099984.04Abstract
This review research paper aims to analyze the dynamics of financial markets and investment strategies, focusing on their impact on economic growth and stability. The study is grounded in the theories of financial economics, investment theory, and market analysis, providing a comprehensive framework for understanding the complexities of financial markets and investment decision-making. A systematic literature review methodology is employed to gather and synthesize relevant research findings and insights from scholarly articles, reports, and case studies. The analysis includes a comparative assessment of different investment strategies and their effectiveness in various market conditions. The findings reveal key trends, challenges, and opportunities in financial markets, highlighting the importance of diversification, risk management, and strategic asset allocation in investment portfolios. The paper also discusses emerging trends such as ESG (Environmental, Social, and Governance) investing and digital innovations in financial services. This research contributes to the understanding of optimal investment strategies for investors, financial institutions, and policymakers, providing insights into improving investment decision-making processes, enhancing financial stability, and promoting sustainable economic development. The paper offers a novel synthesis of current research and practical implications, addressing both theoretical perspectives and real-world applications in financial markets and investment strategies.Metrics
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Published
2024-03-17
How to Cite
Dr. E. Sumidha. (2024). FINANCIAL MARKETS AND INVESTMENT STRATEGIES. Redshine Archive, 11(4). https://doi.org/10.25215/9358099984.04
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Articles