Impact Factor
Call For Paper
Volume 12 Issue 07
July 2026
Author(s)
Abstract
This Study Focuses On The Comparative Analysis Of Share Price Movements Between Selected Public And Private Sector Banks In India During The Period From January 1, 2025, To June 30, 2025. The Research Examines The Market Behavior And Risk Patterns Of Four Major Banks: State Bank Of India (SBI) And Bank Of Baroda (BOB) Representing The Public Sector, And HDFC Bank And ICICI Bank Representing The Private Sector. Investors Often Face Difficulty In Deciding Which Category Of Banks Provides Better Returns With Acceptable Risk Levels. To Address This, The Study Is Based Entirely On Secondary Data And Applies A Set Of Technical Analysis Tools That Are Widely Recognized For Evaluating Stock Price Behavior. These Tools Include A 5-day Moving Average, Relative Strength Index (RSI), Rate Of Change (ROC), Beta (\beta), And Standard Deviation (\sigma). The Findings Are Intended To Guide Investors And Analysts In Making Informed Decisions By Revealing Patterns And Differences In Price Movements And Risk Profiles.
Keywords
Paper ID
IJSARTV11I11104379
Publication Date
November 28, 2025
Research Area
FINANCE