
To analyze the relationship between stock market performance and retail banking activities.
To assess the implications of stock market fluctuations on the profitability and risk management of retail banks.
To investigate the strategies adopted by retail banks to mitigate the impact of stock market volatility.
Conduct a literature review on the relationship between stock market and retail banking.
Collect and analyze financial data of selected retail banks to understand the impact of stock market on their performance.
Interview industry experts and senior executives of retail banks to gather insights on strategies to manage stock market risks.
Prepare a research report outlining the findings and recommendations for retail banks to effectively navigate the impact of stock market movements.