Free ESG-Investing Exam Braindumps (page: 39)

Page 39 of 118

Corporate governance in the UK is notable for:

  1. its requirement for joint auditors.
  2. the existence of double voting rights for some shareholders.
  3. the prominence of board behavior guidelines in its Corporate Governance Code.

Answer(s): C

Explanation:

Corporate governance in the UK is notable for its comprehensive guidelines and principles that promote effective board behavior and accountability.

1. Board Behavior Guidelines: The UK Corporate Governance Code places a strong emphasis on board behavior, setting out clear guidelines for the roles and responsibilities of directors. These guidelines aim to ensure that boards act in the best interests of the company and its stakeholders, promoting transparency, accountability, and ethical behavior.

2. Joint Auditors and Double Voting Rights:

Joint Auditors: The requirement for joint auditors is more common in other jurisdictions, such as France, rather than in the UK.

Double Voting Rights: Double voting rights for some shareholders are not a feature of UK corporate governance but can be found in other markets, like France, where long-term shareholders may be granted additional voting rights as an incentive for loyalty.

Reference from CFA ESG Investing:

UK Corporate Governance Code: The CFA Institute highlights the importance of the UK Corporate Governance Code, which includes detailed guidelines on board behavior to ensure that directors fulfill their duties effectively and ethically.

Board Responsibilities: The UK Corporate Governance Code emphasizes the need for boards to maintain high standards of conduct, accountability, and governance practices, reflecting the prominence of board behavior guidelines.



Which of the following is an advantage of using ESG index-based strategies?

  1. Slightly lower fee structures compared to other index-based strategies
  2. Lower costs compared to discretionary, actively managed ESG strategies
  3. More focused stewardship activities with companies compared to actively managed ESG strategies

Answer(s): B

Explanation:

ESG Index-Based Strategies:

ESG index-based strategies offer various advantages, including lower costs compared to discretionary, actively managed ESG strategies.

1. Lower Costs: Index-based strategies typically have lower management fees compared to actively managed strategies. This is because index funds aim to replicate the performance of a specific ESG index, requiring less research and management effort than actively selecting and managing individual securities based on ESG criteria. This cost efficiency is a significant advantage for investors seeking exposure to ESG factors without incurring high fees.

2. Fee Structures and Stewardship Activities:

Fee Structures: While ESG index-based strategies may not necessarily have slightly lower fee structures compared to other index-based strategies (option A), they do offer cost advantages over actively managed ESG strategies.

Stewardship Activities: Although stewardship activities are important, ESG index-based strategies may not offer more focused stewardship activities compared to actively managed strategies (option C), as active managers often engage more directly with companies on ESG issues.

Reference from CFA ESG Investing:

Cost Efficiency: The CFA Institute explains that index-based strategies, including ESG-focused ones, generally incur lower costs than actively managed strategies due to their passive management approach.

Index-Based ESG Strategies: These strategies provide a cost-effective way to incorporate ESG considerations into a portfolio, making them attractive to investors who prioritize cost efficiency.

In conclusion, an advantage of using ESG index-based strategies is their lower costs compared to discretionary, actively managed ESG strategies, making option B the verified answer.



Which of the following engagement styles is most likely closely aligned with passive investments?

  1. Bottom-up engagement
  2. Issued-based engagement
  3. Company-focused engagement

Answer(s): B

Explanation:

Issue-based engagement is most closely aligned with passive investments. Passive investors, who typically hold broadly diversified portfolios, often focus on specific ESG issues that affect multiple companies across sectors. They may engage with companies on these issues through collaborative initiatives or voting on shareholder resolutions, rather than engaging deeply with individual companies, which is more characteristic of active investment strategies.



Applying ESG screens to quantitative strategies directs the portfolio on:

  1. an asset basis.
  2. a top-down basis.
  3. an individual issuer basis.

Answer(s): B

Explanation:

Applying ESG screens to quantitative strategies typically directs the portfolio on a top-down basis. This approach involves integrating ESG factors into the overall portfolio construction and management process, rather than evaluating individual issuers or assets in isolation. This method ensures that ESG considerations are systematically incorporated into the investment strategy, aligning with broader portfolio goals.



Page 39 of 118



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