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Volatility and Institutional Investors: A Sectoral Analysis of Indian Companies
Abstract
There is a great deal of disarray with respect to different scholars about the relationship between the volatility and the institutional holdings pattern. The deciding variable is very vague and the precedence pattern is also not known. This relationship is consistent with two stories that either riskier asset attracts the institutional investors or the increment in the institutional holding result in the increase in the volatility. This research is directed towards finding the precedence and the sector wise impact of the institutional holding pattern.
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