问题如下:
Current macroeconomic environment could lead to a bear market within a few years. Which of the following could be the potential impact on liquidity
planning associated with the actions of the fund’s general partners in
the forecasted environment?
选项:
A.call capital at a slower pace.
B.make distributions at a faster pace.
C.exercise an option to extend the life of the fund.
解释:
C is correct.
The current macroeconomic environment could lead to a bear market within a few years. Liquidity planning should take into account that under a scenario in which public equities and fixed-income investments are expected to perform poorly, general partners may exercise an option to extend the life of the fund.
您好,这道题我认为A也是可以的。我的角度是:因为在经济下行情况下,好的项目相对少了,那么GP需要LP的钱投资的速度也会下降,这样的话,capitalcall的速度肯定会下降的。当然,C是对的,但是如果投资期一开始就约定的很长的话,也不一定非得要延长。另外,我想A唯一有可能不选的原因就是,GP已经把钱都投出去的情况下(也就是capitalcall已经全部完成),这样A答案不适合。不过问题说*could*be,所以我认为A完成是一个可能的原因。不知道我的理解哪里有问题,谢谢。