
To analyze the various causes of stock market crashes in India, with a focus on the role of banking institutions.
To assess the effects of stock market crashes on the Indian economy, investors, and banking sector.
To examine the regulatory responses implemented by the Indian government and financial authorities to mitigate the impact of stock market crashes.
Conduct a literature review on the causes of stock market crashes, with a specific focus on the involvement of banking institutions in India.
Analyze the effects of past stock market crashes in India on the economy, investors, and banking sector.
Investigate the regulatory measures implemented by the Indian government and financial authorities in response to stock market crashes.
Identify any gaps in the current regulatory framework and propose recommendations for strengthening the banking sector's resilience to future market downturns.