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Zunniyaki · 2023年05月14日

关于asset size和risk tolerance的关系

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NO.PZ201910090100002104

问题如下:

The risk tolerance of Maglav’s pension plan can be best characterized as being:

选项:

A.

below average.

B.

average.

C.

above average.

解释:

C is correct.

The risk tolerance for Maglav’s defined benefit plan is high and thus above average. Several factors influence the plan sponsor’s ability to assume risk. For Maglav, the overfunded status of the pension fund allows the plan to withstand more volatility, and its small size relative to the company size implies greater risk tolerance. The low correlation of Maglav’s operating results with pension asset returns also results in greater risk tolerance. Finally, the workforce characteristics imply greater risk tolerance. The younger workforce increases the duration of the plan liabilities and enables the sponsor to take on more liquidity risk. The high turnover of the workforce means fewer employees may be vested, reducing the number of employees entitled to receive defined benefit payments. All these factors contribute to an above average risk tolerance for Maglav’s defined benefit plan.

答案中说:its small size relative to the company size implies greater risk tolerance,asset size越小不是风险容忍度越低么?

1 个答案

lynn_品职助教 · 2023年05月15日

嗨,从没放弃的小努力你好:


答案中说:its small size relative to the company size implies greater risk tolerance,asset size越小不是风险容忍度越低么?


因为是pension plan,而且是relative size。


老师上课也提到过美国很多公司都背负着沉重的养老负担,如果不是只显示净值,而是把DB plan的资产负债全部并表,公司会看上去更像一家基金公司,


因此这个基金越小它对整家公司运营的影响就会越小,


我们可以想象一下,假如遇到股灾,DB plan今年需要的contribution可能会比公司一年的盈利还要多。


我们可以这样理解养老金对于公司来说其实是负担。

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