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白石 · 2024年09月17日

如题

NO.PZ2024010509000021

问题如下:

What is the least likely reason a fund manager will use an ESG research firm, like MSCI, to evaluate the portfolios it manages?

选项:

A.To test its own approach to ESG against a database

B.To prepare for clients’ questions about their ESG integration

C.To have access to the high quality of data from the research firm

解释:

C is correct. The least likely reason to use an ESG research firm is to have access to high quality datThe data in a research firm’s database are subject to issues arising from the quality and consistency of the datFund managers may not believe the outside data are a fair representation of the firm’s portfolios and ESG integration. A fund manager might choose to use a service like MSCI to test its own approach to ESG integration and to prepare for client questioning.

看了一下已经的回答,如果不信任别人的数据,如何用别人的数据测试?A还是不明白

1 个答案

王岑 · 2024年09月18日

嗨,爱思考的PZer你好:


在分析为什么基金经理可能会使用ESG研究公司(如MSCI)来评估其管理的投资组合时,选项A提到的“测试自身的ESG方法与数据库的对比”是合理的,尽管基金经理可能对外部数据的质量持怀疑态度。

基金经理可以通过使用外部数据来进行相对比较,即使他们对数据的准确性和代表性存有疑虑。具体来说,基金经理可能会:

1. 验证自身评估:使用外部数据来检验自己对ESG因素的评估是否与行业标准一致。这种对比可以帮助他们识别自身方法中的潜在偏差或不足。

2. 识别差距:通过与外部数据的对比,基金经理可以发现自身投资组合在ESG表现上的差距,从而制定改进策略。

3. 增强透明度:即使对外部数据有疑虑,使用这些数据可以增强与客户的沟通,表明他们在努力对标行业标准。

因此,尽管基金经理可能不完全信任外部数据,但使用这些数据进行测试和比较仍然是有意义的,尤其是在寻求提升自身ESG整合能力和满足客户需求的背景下。这使得选项A成为一个合理的选择,而选项C则是最不可能的原因,因为外部数据的质量和一致性常常受到质疑。

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虽然现在很辛苦,但努力过的感觉真的很好,加油!

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