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yan · 2024年09月25日

为什么说real estate 是outside of the pension fund,及

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NO.PZ202206210100000303

问题如下:

Which of Radell’s statements regarding asset allocation Option 1 is most appropriate?

选项:

A.Statement 1 B.Statement 2 C.Statement 3

解释:

C is correct. Statement 3 is most appropriate. The 20% allocation to emerging market equity is too high given the company’s goals and objectives and the sensitivity of revenues to the African economy. A weak emerging market economic environment is likely to stress the pension fund’s investment in emerging market equity and its revenue from its emerging market business simultaneously. Thus, the high volatility of emerging market equity, its limited diversification potential relative to global equity, and the sensitivity of the firm’s revenues to emerging market economies make a large, over-weighted allocation to the asset class inconsistent with the firm’s objective of minimizing fluctuations in year-to-year required contributions.

A is incorrect. The Sharpe ratios for the current allocation, Option 1, and Option 2 are 0.17, 0.19, and 0.175, respectively, with Option 1 having the highest Sharpe ratio. The Sharpe ratio, while providing a means to rank choices on the basis of return per unit of volatility, does not capture other characteristics that are important to Sabonete, such as funded ratio, time horizon, and predictability of contributions.

B is incorrect. Sabonete’s land holdings outside of the pension fund are not considered a part of the extended balance sheet for the SPP and should not affect its asset allocation decisions.

Sabonete’s recent acquisition of land in Africa are outside of the pension fund and, therefore, should not be considered a part of the extended balance sheet for the SPP and should not affect its asset allocation decisions.

1.为什么说real estate 是outside of the pension fund

2.为什么说not considered a part of the extended balance sheet

3.为什么说不影响资产配置决策

1 个答案
已采纳答案

Lucky_品职助教 · 2024年09月25日

嗨,努力学习的PZer你好:


同学你好:


你的这个问题,我在你上一个问题中有详细的回复。


这家公司是consumer products company,主营业务是销售货物,而不是投资房地产,所以收入的主要来源是销售货物收入而不是投资。在pension fund做资产配置的时候,我们要关心的是与主营业务的相关性不能太大,否则公司和养老金可能都会表现很差。跟这家公司做其它投资没有关系,所以尽管这家公司也有房地产投资,但不影响它的养老金也投资房地产。而且因为是Sabonetes公司而不是Pension plan(SPP),对非洲房地产进行了大量投资,所以这里的land holding不影响asset allocation。


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努力的时光都是限量版,加油!

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