
To analyze the impact of major global events such as economic crises, geopolitical tensions, and policy changes on Indian banking stocks.
To examine the relationship between global events and fluctuations in Indian stock market indices.
To assess the strategies adopted by Indian banks to mitigate risks associated with global market volatility.
Conduct a literature review on existing research studies related to the impact of global events on stock markets.
Collect and analyze data on the performance of Indian banking stocks during major global events over the past decade.
Identify key trends and patterns in the data and draw inferences on the relationship between global events and stock market performance.
Interview industry experts and financial analysts to gain insights into the strategies adopted by Indian banks to manage risks associated with international events.
Prepare a detailed report highlighting the findings of the study and making recommendations for banking sector stakeholders.