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宇宙球求 · 2024年04月21日

Norway model是否可以有另类投资持仓?

NO.PZ2019100901000008

问题如下:

Bern Zang is the recently hired chief investment officer of the Janson University Endowment Investment Office. The Janson University Endowment Fund (the Fund) is based in the United States and has current assets under management of $12 billion. It has a long-term investment horizon and relatively low liquidity needs. The Fund is overseen by an Investment Committee consisting of board members for the Fund. The Investment Office is responsible for implementing the investment policy set by the Fund’s Investment Committee.

The Fund’s current investment approach includes an internally managed fund that holds mostly equities and fixed-income securities. It is largely passively managed with tight tracking error limits. The target asset allocation is 55% equities, 40% fixed income, and 5% alternatives. The Fund currently holds private real estate investments to meet its alternative investment allocation.

Identify the investment approach currently being used by the Investment Committee for managing the Fund. Justify your response.

Justify your response.

选项:

解释:

Norway Model is currently used by the Investment Committee

The investment approach currently used to manage the Fund’s assets is the Norway model. This approach is characterized by a heavy allocation to public equities and fixed-income securities with little allocation to alternatives and largely passively managed assets with tight tracking error limits.

按照内容不是说挪威模式就是死板的六债四权益的模式么、

1 个答案
已采纳答案

Lucky_品职助教 · 2024年04月21日

嗨,爱思考的PZer你好:


同学你好。


Norway Model的特点就是,几乎完全依赖于股票和固定收益,主要是被动管理的资产,很少或根本没有配置另类投资(并不是严格一点都没有),主要是通过被动管理来最小化跟踪误差,所以和题干中的叙述是符合的。

传统的60/40股权/债券的模式,属于Norway Model的典型模式,但并不是所有的Norway Model都是死板的六债四权益的模式。

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虽然现在很辛苦,但努力过的感觉真的很好,加油!