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Zunniyaki · 2023年05月31日

Xdelp bond和emerging market debt、international market bonds是什么关系?

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NO.PZ202105270100000408

问题如下:

Based only on Exhibits 3 and 4 and the information provided by the portfolio managers, the action most likely to enhance returns is to:

选项:

A.decrease existing investments in real estate by 2.00%. B.initiate a commitment to emerging market debt of 1.00%. C.increase the investments in international market bonds by 1.00%.

解释:

C is correct.

An investment in the bonds of the international energy exploration and production company (Xdelp) looks attractive. The international market benefits from positive macroeconomic fundamentals: point in the business cycle, monetary and fiscal discipline, rising current account surplus, and an appreciating currency. The anticipated credit rating improvement will add to the potential for this to become a profitable investment and enhance returns. An increase in the investments within the international fixed-income segment by 1.00% (existing weight is 6.17%) would take advantage of this opportunity and remain in compliance with the foundation’s 5.00%–10.00% strategic asset allocation limits.

A is incorrect because a decrease in the existing weight of real estate by 2.00% would put the portfolio weight below the minimum threshold of 2.00% (i.e., 3.34% ̶ 2.00% = 1.34%) of the foundation’s strategic asset allocation.

B is incorrect because the information presented in Exhibit 3 would lead the chief investment officer to avoid the two opportunities in emerging market debt (Emerging Republic A and Emerging Republic B) and not initiate a commitment to emerging market debt of 1.00% (i.e., increase the existing weight above 0.00%).

对国际能源勘探和生产公司(Xdelp)债券的投资看起来很有吸引力。国际市场受益于积极的宏观经济基本面:商业周期、货币和财政纪律、不断增长的经常账户盈余,以及货币升值。预期的信用评级改善将增加这一投资的盈利潜力,并提高回报。国际固定收益部门的投资增加1.00%(现有权重为6.17%)将利用这个机会,并保持符合基金会5.00%-10.00%的战略资产配置限制。

A是不正确的,因为房地产现有权重下降2.00%,投资组合权重就会低于基金会战略资产配置的最小阈值2.00%(3.34%-2.00% = 1.34%)。

B是错误的,因为在表3中显示的信息将导致首席投资官避免新兴市场债务的两个机会(新兴共和国A和新兴共和国B),并没有启动对新兴市场债务1.00%的承诺(即增加现有权重超过0.00%)。


如题,没太看懂原文,是指Xdelp公司在emerging market和international market都有发债么?

2 个答案
已采纳答案

笛子_品职助教 · 2023年06月01日

嗨,从没放弃的小努力你好:


如题,没太看懂原文,是指Xdelp公司在emerging market和international market都有发债么?


Hello,亲爱的同学~

我们看原文,画红线这段的信息。



意思是:固定收益投资组合经理还提供有关国际发达市场新投资机会的信息。该团队正在考虑建立大型能源勘探和生产公司Xdelp的债券。


因此:Xdelp公司债券是国际发达市场,并不涉及到emerging market。


我们往后看:Both the domestic and international markets are experiencing synchronized growth in GDP midway between the trough and the peak of the business cycle. The foreign country’s government has displayed a disciplined approach to maintaining stable monetary and fiscal policies and has experienced a rising current account surplus and an appreciating currency. It is expected that with the improvements in free cash flow and earnings, the credit rating of the Xdelp bonds will be upgraded.


意思是:

在商业周期的低谷和高峰之间,国内和国际市场的国内生产总值都在同步增长。外国政府在维持稳定的货币和财政政策方面表现出了严格的做法,经常账户盈余不断增加,货币不断升值。预计随着自由现金流和收益的改善,Xdelp债券的信用评级将升级。


也就是说,国际发达市场表现预期更好,我们需要提高国际发达市场的投资份额。


根据表格:


国家发达市场,也就是Fixed income - International,最高可以投到10%,现在是6.17%,提高1%是可以的。因此选C。


当然,如果表格中,fixed income —— international 改为 fixed income —— international develped,会更好,更没歧义。


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Zunniyaki · 2023年06月01日

谢谢笛子老师这么详尽的解答!!!

笛子_品职助教 · 2023年06月02日

嗨,从没放弃的小努力你好:


谢谢笛子老师这么详尽的解答!!!

很开心得到同学的认可。

如果同学还有其他问题,欢迎随时提问,祝学习顺利!


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努力的时光都是限量版,加油!

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