
To evaluate and compare the risk and return profiles of debt mutual funds and bank deposits.
To understand the factors influencing the risk and return of both investment options.
To analyze the performance of debt mutual funds and bank deposits in different market scenarios.
To provide recommendations for finance management students on optimizing their investment portfolio in debt instruments.
Conduct a literature review on the concepts of risk and return in the context of debt mutual funds and bank deposits.
Collect data on the historical performance of debt mutual funds and bank deposits.
Use statistical tools to analyze the risk and return metrics of both investment options.
Compare the performance of debt mutual funds and bank deposits in different market conditions.
Present findings and provide recommendations for finance management students based on the analysis conducted.