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三阳开泰 · 2023年11月28日

C选项不理解

NO.PZ2022083003000004

问题如下:

Which of the following is NOT a typical way in which asset managers integrate ESG?

选项:

A.

Using ESG as a threshold requirement before investment can be considered.

B.

Using ESG as a factor that informs the valuation.

C.

Using ESG as a risk assessment that offers a level of confidence in the valuation.

D.

Using ESG as a basis for explaining investment holdings to clients.

解释:

本题考查基金经理整合ESG的方式:

  • as a threshold requirement before investment can be considered;
  • as a factor that informs the valuation or provides a quant basis for adjusting (or tilting) exposures;
  • as a risk assessment that offers a level of confidence in the valuation;
  • as a basis for stewardship engagement; or
  • as a combination of two or more of these methods, which is very often the case.

C. Using ESG as a risk assessment that offers a level of confidence in the valuation. 这个我理解的意思是:ESG在风险评估时能提供的估值置信水平?esg能在置信水平中考虑吗?怎么考虑呢?我记得还有个题目就是选的 esg不能在VaR中使用

1 个答案

净净_品职助教 · 2023年11月29日

嗨,爱思考的PZer你好:


"Integrate ESG factors as a risk assessment that offers a level of confidence in the valuation"(将ESG因素作为风险评估以提供对估值的信心)的意思是,将ESG方面的因素纳入到投资决策的风险评估中。这样做的目的是通过考虑这些因素来提高对投资估值的信心和准确性。

例如,一家投资管理公司在考虑投资某家制造业公司时,会综合考虑该公司的环境影响(如碳排放水平、废物处理等)、社会责任(如劳工条件、社区关系)和公司治理(如董事会结构、股东权利等)。如果这家公司在环境保护方面表现出色,比如采用了高效的能源管理系统,减少了碳排放,这可能意味着该公司在未来面临的环境合规成本较低,有利于长期可持续发展。同样,如果公司在社会责任方面表现良好,比如提供了优质的员工条件,与当地社区保持良好关系,这可能降低了因劳工问题或社区冲突引发的风险

通过这种综合评估ESG因素的方法,投资管理公司能够得出一个更全面、更深入的对目标公司未来表现的估值。这种估值不仅基于传统的财务指标,还考虑了可能影响公司长期业绩和风险的非财务因素。这样的风险评估为投资决策提供了更高的信心水平,有助于实现更可持续、更负责任的投资。


同学所说的“esg不能在VaR中使用”应该是下面这道题,题目考察的是定性ESG数据和定量ESG数据,VaR是定量的,所以不选,并非同学所理解的意思

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