NO.PZ2024021802000083
问题如下:
When selecting an ESG investment strategy, the risk mindset of a general insurer is most likely characterized by:
选项:
A.loss aversion.
B.high tolerance for illiquidity.
C.high tolerance for short-term underperformance.
解释:
A is correct
because the risk mindset for a general insurer is loss aversion.
B is incorrect
because the risk mindset for a general insurer is loss aversion. The risk
mindset for a sovereign wealth fund is high tolerance for illiquidity and
short-term under-performance.
C is incorrect
because the risk mindset for a general insurer is loss aversion. The risk
mindset for a sovereign wealth fund is high tolerance for illiquidity and
short-term under-performance.
请详细解释一下本题!