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139****0989 · 2024年05月26日

这题怎么理解?

NO.PZ2024021801000091

问题如下:

At the portfolio management level, ESG integration is appropriate for which of the following investment strategies?

选项:

A.Systematic only

B.Discretionary only

C.Both systematic and discretionary

解释:

C. Correct because ESG integration should be considered in light of two different investment strategies: Discretionary ESG investment strategies most commonly take the form of a fundamental portfolio approach. A portfolio manager would work to complement bottom-up financial analysis alongside the consideration of ESG factors to reinforce the investment thesis of a particular holding. The portfolio manager would then work to understand the aggregate risk at the portfolio level across all factors to understand correlation and event risks, and potential shocks to the portfolio. Quantitative investment strategies are, broadly speaking, rules-based approaches employing the statistical application of financial and/or non-financial factors to drive securities selection. Quantitative strategies generally seek to minimise the higher costs associated with discretionary active management. Where discretionary strategies often focus on depth within a portfolio, manifested through a portfolio of few, more concentrated holdings, quantitative strategies focus on breadth, using a much larger portfolio of holdings to target risk and volatility-adjusted returns.

这题不是很理解,请解释说明下

1 个答案

Tina_品职助教 · 2024年05月27日

嗨,努力学习的PZer你好:


这题讨论在投资组合管理层面上,环境、社会和公司治理(ESG)整合对哪种投资策略是适用的。

选项包括:

A. 仅适用于系统性投资策略(Systematic only)

B. 仅适用于离散性投资策略(Discretionary only)

C. 既适用于系统性投资策略,也适用于离散性投资策略(Both systematic and discretionary)

正确答案是C,即既适用于系统性投资策略,也适用于离散性投资策略。

解释:

ESG整合应该根据两种不同的投资策略来考虑:

  1. 离散性ESG投资策略:这种策略是指投资经理通过基础投资组合方法来考虑环境、社会和公司治理(ESG)因素。他们会在分析特定持仓时,综合考虑ESG因素和财务分析,以强化他们的投资论点。然后,他们会努力了解整个投资组合的综合风险,包括相关性、事件风险和可能对投资组合造成的影响。
  2. 量化投资策略:这种策略是指采用基于规则的方法,利用金融和/或非金融因素的统计应用来选择证券。量化策略旨在通过降低离散式主动管理的成本来最小化风险。与离散策略侧重于深度不同,量化策略侧重于广度,即使用更大规模的持仓组合来调整风险和波动率后的回报。


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努力的时光都是限量版,加油!

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