NO.PZ2022120702000056
问题如下:
A credit portfolio manager is considering buying a Turkish phone company which he believes has strong credit quality as reflected in single-A credit ratings assigned by two credit rating agencies. Simultaneously, the emerging markets team is closely monitoring election results in Turkey which has led to bond market volatility.Why would the portfolio manager decide not to buy the phone company bonds?选项:
A.High Governance Score for Turkey. B.Low Governance Score for the management of the phone company. C.Low Governance score for Turkey. D.High Governance Score for the management of the phone company.解释:
这个信贷投资组合经理对土耳其电话公司的分析中,认为其信用质量很好,但由于土耳其是新兴市场,该国的选举结果导致债券市场的波动,对这个电话公司会造成不利影响,不确定性增加。因此,该投资组合经理决定不买入该公司的债券,主要原因是土耳其这个国家的治理分数较低。老师好,为什么不选B呢?是因为2家评级公司都给了较高的评级就表明公司不存在治理问题了吗?