A Study On Fundamental Analysis Of Insurance Sector At Axis Max Life Insurance
Abstract
This study conducts a comprehensive fundamental analysis of Axis Max Life Insurance over the period from 2020 to 2024. The research evaluates the company’s financial performance, stability, and growth prospects within the dynamic insurance sector. Using secondary data from annual reports, financial statements, and industry reports, key financial ratios such as profitability, solvency, liquidity, and operational efficiency are analyzed to assess the company’s health and sustainability. The study also considers the impact of external factors like regulatory changes, market competition, and economic fluctuations during these five years. The findings highlight the strengths and challenges faced by Axis Max Life Insurance, providing valuable insights for investors, management, and policy makers. This longitudinal analysis aims to assist stakeholders in making informed decisions by understanding the fundamental drivers behind the company’s performance in the evolving insurance landscape.