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大兵张嘎 · 2024年08月08日

ESG不是很难归因分析吗?

NO.PZ2024010508000013

问题如下:

What is the typical role of the portfolio manager in ESG integration in the portfolio management process?

选项:

A.Perform credit and ESG analysis of the individual security. B.Estimate the security’s intrinsic value based on the security’s earnings growth and ESG cash flow profile. C.Widen the focus of research for security analysis, and understand how ESG factors contribute to risk-adjusted returns in asset allocation.

解释:

C is correct. The role of portfolio managers is often much broader in scope than that of analysts. Using analysts’ recommendations as inputs, portfolio managers often form their own views for a given security and weigh security-specific factors against macro- and microeconomic data, portfolio financial and nonfinancial exposure, and sensitivities to potential shocks. The challenge that portfolio managers face is how to widen the focus of research and datasets largely optimized for security analysis into tools that can better inform portfolio and asset allocation analysis and decision making, particularly in understanding where and how ESG factors contribute to risk-adjusted returns.

ESG不是很难归因吗?为什么这道题C选项就可以归因分析呢?

1 个答案

Tina_品职助教 · 2024年09月02日

嗨,从没放弃的小努力你好:


嗨,爱思考的PZer你好:


这里主要是强调基金经理要融合ESG的分析,提升组合的风险调整后回报。

ESG因素的归因分析虽然具有挑战性,但通过适当的方法和工具,投资者可以有效地整合ESG信息,并可能获得优于传统投资方法的风险调整回报。

投资组合经理面临的挑战是如何将财务信息和非财务信息整合到决策中,更好地为投资组合和资产配置分析及决策提供信息的工具,特别是在理解环境、社会和治理(ESG)因素如何有助于风险调整后的回报方面。


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虽然现在很辛苦,但努力过的感觉真的很好,加油!