INVESTMENT STRATEGIES IN VOLATILE FINANCIAL MARKETS

Authors

  • Venu Vanka

DOI:

#10.25215/9358096381.40

Abstract

The paper provides a comprehensive analysis of investment strategies tailored for volatile financial markets. With market volatility becoming a norm rather than an exception, investors face challenges in securing returns while managing risks. This paper examines various investment strategies, including diversification, hedging, active management, and alternative investments, in the context of volatile markets. The study also explores the role of technology, such as algorithmic trading and big data analytics, in enhancing investment decision-making and risk management in volatile markets. Additionally, the paper discusses the importance of investor behavior and psychology in volatile markets and how these factors can influence investment strategies. Through a thorough review of existing literature and case studies, this paper aims to provide insights and recommendations for investors and financial professionals navigating volatile financial markets.

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Published

2024-05-15

How to Cite

Venu Vanka. (2024). INVESTMENT STRATEGIES IN VOLATILE FINANCIAL MARKETS. Redshine Archive, 14(2). https://doi.org/10.25215/9358096381.40