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王昕彤 · 2023年10月26日

请解释一下c选项

* 问题详情,请 查看题干

NO.PZ202206210200000105

问题如下:

Which of the following would Browne least likely consider a source of risk for the Tucker pension plan?

选项:

A.Workforce characteristics

B.The sponsor’s financial health

C.Common risk exposures between the sponsor and the fund

解释:

Solution

B is correct. The plan sponsor holds an investment-grade credit rating, and there are no indications of declining financial health.

A is incorrect. There are a substantial number of retirees, and the active employees are older, with long service records, suggesting many are nearing retirement. The current asset allocation is both illiquid in nature (newly launched private equity funds and directly owned undeveloped real estate) and volatile in value (small-cap equities). Given the workforce characteristics, the fund should likely be moving to a more current income-producing allocation and one that would reduce surplus volatility.

C is incorrect because 18­%–19% of the fund’s assets are invested in the sponsor’s common stock. If the sponsor’s financial health declines, the value of fund assets will decline at precisely the same time the sponsor is required to make additional contributions. Because it is less likely to be able to do so when it is in poor financial health, this situation creates a greater risk of insolvency than if that allocation were in different assets.

老师,c选项请解释一下

1 个答案

lynn_品职助教 · 2023年10月27日

嗨,从没放弃的小努力你好:


这道题考DB Fund 的相关特征。


这道题问我们,选项中关于本题的 DB Fund,哪一项不是 Source of risk。


C 选项:common risk exposures between the sponsor and the fund,这点的确构成一个风险,因此这道题不选 C。


因为 DB fund 投资的股票里面,有一半都投资在自己的股票上,于是增加的 DB Fund 与公司之间的 Correlation,这会降低 DB Fund 的风险承受能力,加大了 DB Fund的风险,是一个 Source of risk。


当公司收益差时,公司可能无法缴纳足够的 Contribution,此时 DB Fund 就需要更加依赖 Asset产生足够多的收益来补充,但因为公司的表现差,那么公司的股票表现就会差,且由于 DB Fund 投资了很多在本公司股票上,所以 DB Asset 的收益也差。


因此,当 DB Fund 投资的资产与公司经营之间的相关性过高时,会构成一项风险,会使得 DB Fund 的风险承受能力降低。


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