Show simple item record

dc.contributor.authorArin, Esrat
dc.date.accessioned2021-01-20T06:57:20Z
dc.date.available2021-01-20T06:57:20Z
dc.date.issued2021-01-15
dc.identifier.urihttp://dspace.uiu.ac.bd/handle/52243/1997
dc.description.abstractAs a finance background student, I am curious about stock-market and its working process. I have chosen this topic for my report because I want to know about Bangladesh stock-market more and also want a well performing strong-efficient stock-market in Bangladesh. But due to some unwanted drawbacks we don’t have so. Bangladesh stock-market have gone through two critical periods in 1996s and 2010. After 2010th stock-market crash Bangladesh stock-market hasn’t fully recovered yet. So I wanted to find the drawbacks in case of stock-market development in Bangladesh. I have organized my report in three chapter. In first chapter I have given a small introduction about my study, why I choose this topic, the scope of my study, the limitations about this study, data sources and data collection method and how I have prepared this report. In second Chapter I have given an overview of recent condition of Bangladesh stock-market. I have compared Bangladesh stock-market with U.S. stock market to find out the differences between their policies. I have also compared Bangladesh stock-market with Japanese, Chinese and Malaysian stock-market because those countries also had suffered from stock-market crash. In chapter three I have expressed my own opinion about development of Bangladesh stock-market and conclusion. References are also attached in chapter three.en_US
dc.language.isoenen_US
dc.publisherUnited International Universityen_US
dc.subjectStock Market Crashen_US
dc.titleA Project Report on Why Bangladesh Stock Market has not Fully Recovered After 2010 Stock-Market Crashen_US
dc.typeProject Reporten_US


Files in this item

Thumbnail

This item appears in the following Collection(s)

Show simple item record