Assignment 1
Assignment 1
Assignment 1
INVESTMENT MANAGEMENT
DONE BY:
SIVA NANDINI S
19CMH30
INTRODUCTION
Its annual income statement is Britannia Industries Ltd reported revenue of 131.4B
for FY 2021, an increase of 13.25% compared to FY 2020. Net income grew 32.89%
to 18.6B.
Its annual balance sheet is Britannia Industries Ltd reported total assets of 80.1B for
FY 2021, an increase of 2.12% compared to FY 2020.
Its annual cash flow is Britannia Industries Ltd reported cash flow of 18.5B for FY
2021, an increase of 24.69% compared to FY 2020.
Its annual earnings is Britannia Industries Ltd reported Earnings Per Share (EPS) of
77.4 for FY 2021, an increase of 31.52% compared to FY 2020.
FOLLOWING ARE THE MARKET INDEX AND SHARE PRICES OF
BRITANNIA INDUSTRIES OF FEB AND MARCH 2022
NSE BRITANNIA
DATE INDEX (Y) INDUSTRIES Rm X Rm Y X- ͞X Y- ͞Y (X- ͞X)(Y-͞Y) (X- ͞X)^2 X^2 Y^2 XY
(X)
22 feb,2022 17092.2 3489.75
23 feb,2022 17063.25 3511.15 0.61 -0.17 0.91 -0.14 -0.13 0.83 0.38 0.03 -0.10
24 feb,2022 16247.95 3446 -1.86 -4.78 -1.56 -4.75 7.39 2.42 3.44 22.83 8.87
25 feb,2022 16658.4 3422.75 -0.67 2.53 -0.37 2.56 -0.96 0.14 0.46 6.38 -1.70
28 feb,2022 16793.9 3427.45 0.14 0.81 0.44 0.84 0.37 0.19 0.02 0.66 0.11
2 Mar,2022 16605.95 3391.75 -1.04 -1.12 -0.74 -1.09 0.81 0.55 1.08 1.25 1.17
3 Mar,2022 16498.05 3366.4 -0.75 -0.65 -0.45 -0.62 0.28 0.20 0.56 0.42 0.49
4 Mar,2022 16245.35 3371.35 0.15 -1.53 0.45 -1.50 -0.67 0.20 0.02 2.35 -0.23
7 Mar,2022 15863.15 3153.45 -6.46 -2.35 -6.16 -2.32 14.32 37.99 41.77 5.54 15.21
8 Mar,2022 16013.45 3113.75 -1.26 0.95 -0.96 0.98 -0.94 0.92 1.58 0.90 -1.19
9 Mar,2022 16345.35 3123.85 0.32 2.07 0.62 2.10 1.31 0.39 0.11 4.30 0.67
10 Mar,2022 16594.9 3222.95 3.17 1.53 3.47 1.56 5.41 12.06 10.06 2.33 4.84
11 Mar,2022 16630.45 3199.9 -0.72 0.21 -0.42 0.24 -0.10 0.17 0.51 0.05 -0.15
14 Mar,2022 16871.3 3185.85 -0.44 1.45 -0.14 1.48 -0.21 0.02 0.19 2.10 -0.64
15 Mar,2022 16663 3222.85 1.16 -1.23 1.46 -1.20 -1.76 2.14 1.35 1.52 -1.43
16 Mar,2022 16975.35 3313.65 2.82 1.87 3.12 1.90 5.94 9.72 7.94 3.51 5.28
-4.82 -0.41 31.05 67.93 69.48 54.16 31.18
✓ ͞͞͞X = 0.30
✓ ͞͞͞Y = 0.03
✓ rim = 0.51
✓ σm = 2.06
✓ σy = 1.84
✓ Cov(RM,RI) = 1.94
✓ σ2M = 4.25
CORRELATION METHOD
β= 0.45
REGRESSION METHOD
β = 0.45
CO-VARIANCE METHOD
β = 0.45
INTERPRETATION
THE ABOVE RESULTS (β) SHOW THAT THE COMPANY IS BELOW THE
AVERAGE RISK