

老师,我想问一下类似这种要阐述理由的主观题,我可以用下面的方式来回答(针对关键点)吗?还是必须像答案那样使用完整的句子?谢谢~
一、Norway model.
1️⃣High allocation to public equities and fixed-income.
2️⃣Low allocation to alternatives.
3️⃣Largely passively managed assets with tight limited tracking error.
二、Norway model的优缺点
Advantage:
1️⃣Low investments costs/fees.
2️⃣More transparent
3️⃣Low manager risk
4️⃣Easy to understand.
Disadvantage:
1️⃣Limited potential added-value above market return.