NO.PZ2022120702000004
问题如下:
A Sovereign Wealth Fund selecting an investment manager with an ESG strategy is likely to focus more on the manager’s approach to:
选项:
A.ESG engagement and stewardship.
B.Integrating MSCI data while ESG scoring the portfolio.
C.Liquidity of the portfolio and short-term performance.
D.Quantitative analysis of portfolio attribution vs. the benchmark.
解释:
主权财富基金在选择具有ESG策略的投资经理时,更关注该基金经理ESG参与和管理的方法。这个题目出自教材哪一页