INVESTORS AND THE NIGERIA FINANCIAL MARKET

115 PAGES (16140 WORDS) Accounting Project
ABSTRACT

This work studied an existing investors and Nigeria Financial Market.
In undertaking this research, three research objectives were pursued.  Primary and Secondary Sources of data were used, the data collected were then presented, analyzed and interpreted by the use of tabular method of data presentation.
The primary source contained direct account of event to phenomena such accounts are obtained from observation, interviews and questionnaire source at the various locations of the data.  The data are made up of information that was generated specifically for this study so as to gain our insight into the research topic and confer as much authenticity as possible to this task.
The secondary data were in existence before the need to conduct this research topic. The sources of data collected under this category include: Newspapers and magazine, Journals, textbooks.  This collection helped to reveal the transaction or relationship of the financial market and investors.
From the response gotten from the sampled frame in the questionnaires one will clearly see that both companies are a million miles away form the risk seeking class of investors.  Some of the investors prefer the risk aversion class while other prefer the risk neutralizing classing.  But from the Hypotheses test, it could be inferred that there is no significant relationship between the risk class, an investor belong and the profitability return on investment,
The study also revealed that the company has been able to turn up to the expectation of the people.

TABLE OF CONTENTS

Title page
Approval page
Dedication
Acknowledgement 
Proposal 
Abstract
Table of contents

CHAPTER ONE
1.1Introduction
1.2Statement of the Problem
1.3Objective of the Study
1.4Significant of the Study
1.5The Scope of the Study
1.6Research Methodology
1.7Limitations of the Study
1.8Definition of Terms

CHAPTER TWO
LITERATURE REVIEW
2.1The meaning of financial Market
2.2Types of Financial Market
2.3The Nigerian Stock Exchange
2.4Membership of the Stock Exchange
2.5Functions of the Stock Exchange
2.6Security Dealings and the Stock Exchange
2.7The Securities and Exchange Commissions
2.8The Nigerian Capital Market and Rights Issues
2.9Risks and Portfolio Management vis a vis The Financial Market
2.10Types and Classification of Risk
2.11Portfolio Theory

CHAPTER THREE
RESEARCH METHODOLOGY
3.1Method of Data Selection
3.2Sample Size Determination
3.3Method of Data Collection
3.4Method of Data Analysis
3.5Reliability of Data

CHAPTER FOUR
DATA PRESENTATION ANALYSIS AND FINDING
4.1Data Presentation 
4.2Hypothesis Testing
4.3Data Analyses
4.4Interpretation of Result

CHAPTER FIVE
SUMMARY
5.1Discussing Finding
5.2Conclusion
5.3Recommendation
BIBLIOGRAPHY