based portfolio co nstructed by excluding meaningful sectors or industries in an index will most likely have a lower: A. fee structure. B. tracking error. C. level of diversification. - CORRECT level of diversification. Which of these does not describe an approach to ESG integration in a portfolio?
CFA ESG Exam Exam Elaboration 2024/2025 {GRADED A} QUESTIONS AND ANSWERS {100% CORRECT} LATEST UPDATE
CFA ESG Exam Exam Elaboration 2024/2025 {GRADED A} QUESTIONS AND ANSWERS {100% CORRECT} LATEST UPDATE What is the typical role of the portfolio manager in ESG integration in the portfolio management process? A. Perform credit and ESG analysis of the individual security. B. Estimate the security's intrinsic value based on the security's earnings growth and ESG cash flow profile. C. Widen the focus of research for security analysis and understand how ESG factors contribute to risk-adjusted returns in asset allocation. - CORRECT Widen the focus of research for security analysis and understand how ESG factors contribute to risk-adjusted returns in asset allocation. Which of the following is one of the popular approaches institutional investors apply to appraise portfolio performance
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based portfolio co nstructed by excluding meaningful sectors or industries in an index will most likely have a lower: A. fee structure. B. tracking error. C. level of diversification. - CORRECT level of diversification. Which of these does not describe an approach to ESG integration in a portfolio?