02-06-2012, 02:30 AM
My name is Faraz Anwar and I am a student of ICFAI business school, MBA(final year). I am doing internship from Angel Broking , which is a broking firm. My project is based on IPO 2011. This includes all the companies which has issued IPO in 2011 and its analysis from investment point of view. It also includes ratio analysis of all those companies and to find out the reasons for bad performance of those companies on three parameters i.e. mispricing, poor fundamentals and market conditions. I am unable to find out that on what grounds I can come to a conclusion that bad performance of those companies are based on these three parameters? secondly, what are are the ratio to be analysed for mispricing and poor fundamentals? third, how to draw a final conclusion about the topic? And finally there are 38 companies which has issued IPO in 2011, how to analyse all these 38 companies which is a big number.
Hoping for an affirmative response from yours side.
Thank You.