MUTUAL FUND PORTFOLIO ANALYSIS
Gaurav Khobragade
School of Science,
G H Raisoni University, Amravati, India
gauravkhobragade69@gmail.com
Ritik Panjwani
School of Science,
G H Raisoni University, Amravati, India
hritikpanjwani3@gmail.com
Prof. Anshika Gupta
School of Science,
G H Raisoni University, Amravati, India
anshika.gupta@ghru.edu.in
Received on: 14 May ,2024 Revised on: 04 June ,2024 Published on: 27 June ,2024
Abstract — Mutual funds serve as popular investment vehicles due to their potential for diversification and professional management. However, choosing the right funds and optimizing one’s portfolio allocation can be complex. This project presents a comprehensive Mutual Fund Portfolio Analysis system designed to assist investors in making informed decisions.
The system allows users to input their mutual fund holdings, tracking them over time to assess performance. It offers a range of analytical tools, including portfolio diversification analysis, risk assessment, and comparison against relevant benchmark indices. These features provide investors with a holistic view of their portfolio’s performance and risk profile.
Moreover, the system employs advanced algorithms to generate personalized recommendations for optimizing the portfolio based on the user’s investment goals and risk tolerance. These recommendations aim to enhance returns while managing risk effectively.
By utilizing this system, investors can gain deeper insights into their mutual fund investments, enabling them to make well-informed decisions. Ultimately, this project aims to empower investors to achieve their financial goals through strategic mutual fund portfolio management.
Keywords – Mutual funds, Portfolio analysis, Investment decisions, Diversification, Risk assessment, Benchmark comparison, Portfolio optimization, Investment goals, Risk tolerance.
DOI Link – https://doi.org/10.69758/RBLY3533
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