PASS YOUR CFA INSTITUTE ESG-INVESTING EXAM WITH CONFIDENCE USING LEAD1PASS REAL ESG-INVESTING QUESTIONS

Pass Your CFA Institute ESG-Investing Exam with Confidence Using Lead1Pass Real ESG-Investing Questions

Pass Your CFA Institute ESG-Investing Exam with Confidence Using Lead1Pass Real ESG-Investing Questions

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CFA Institute ESG-Investing Exam Syllabus Topics:

TopicDetails
Topic 1
  • Environmental Factors: This section examines environmental elements, covering systemic links, material impacts, and major trends for ESG Consultants. This section also reviews techniques for evaluating environmental impacts at the national, sectoral, and organizational levels.
Topic 2
  • Understanding Governance Factors: This section includes governance elements for ESG Investment Consultants, including core characteristics, governance models, and material impacts. It discusses how governance factors influence investment choices.
Topic 3
  • ESG Analysis, Valuation, and Integration: Targetted for ESG Consultants, this domain covers methods for embedding ESG factors into the investment process, the obstacles that may arise, and the impact of ESG considerations on valuations across various asset classes.
Topic 4
  • Overview of ESG Investing and the ESG Market: This section tests ESG Investment Managers and delves into responsible investment strategies, examining how environmental, social, and governance (ESG) elements shape the investment ecosystem.

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CFA Institute Certificate in ESG Investing Sample Questions (Q221-Q226):

NEW QUESTION # 221
Information for use in ESG tools can be collected directly via:

  • A. company communications.
  • B. news articles.
  • C. third-party reports.

Answer: A

Explanation:
Information for use in ESG tools can be collected directly via company communications. This includes sustainability reports, financial disclosures, press releases, and other direct communications from the company. Such sources provide primary data that are essential for accurate ESG analysis and assessment.
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NEW QUESTION # 222
Avoiding long-term transition risk can most likely be achieved by:

  • A. reducing exposure to companies exposed to extreme weather events.
  • B. investing in companies with stranded assets.
  • C. divesting highly carbon-intensive investments in the energy sector.

Answer: C

Explanation:
Avoiding long-term transition risk involves aligning investment strategies with the anticipated changes in regulations, market dynamics, and environmental sustainability goals. Transition risk refers to the financial risks associated with the transition to a low-carbon economy, which can impact the value of investments, particularly those in carbon-intensive industries.
Understanding Transition Risk: Transition risks are associated with the shift towards a low-carbon economy. These include changes in policy, technology, and market conditions that can affect the valuation of carbon-intensive assets.
Divesting Carbon-Intensive Investments: Divesting from highly carbon-intensive investments, particularly in the energy sector, is a key strategy to mitigate long-term transition risks. Carbon-intensive investments are likely to be adversely affected by stricter environmental regulations, carbon pricing, and shifts in consumer preferences towards more sustainable energy sources.
Examples and Case Studies: The urgency to respond to the climate crisis is driving both national and corporate commitments towards Paris-aligned net-zero carbon emissions targets. Reducing portfolio concentration in highly carbon-intensive sectors will decrease exposure to long-term transition risks. However, this may reduce the portfolio's income yield as the energy sector often provides above-market cash flow profiles and dividend income streams.
Strategic Asset Allocation: Effective asset allocation strategies involve reallocating investments to sectors with lower carbon footprints and higher resilience to transition risks. This approach ensures the sustainability of investment returns and aligns with long-term climate goals.
Therefore, the correct approach to avoiding long-term transition risk is divesting highly carbon-intensive investments in the energy sector.


NEW QUESTION # 223
Considering the climate-related impacts on a company's financials and the impacts of a company on the climate best describes:

  • A. dynamic materiality.
  • B. double materiality.
  • C. financial materiality.

Answer: B

Explanation:
Double materiality refers to the concept where both the impact of climate change on a company's financials and the company's impact on the environment are considered important for decision-making. (ESGTextBook[PallasCatFin], Chapter 7, Page 325)


NEW QUESTION # 224
According to market reviews conducted by the Global Sustainable Investment Alliance at the start of 2020, sustainable investing assets in the five major markets stood at approximately:

  • A. USD 60 trillion.
  • B. USD 35 trillion.
  • C. USD 20 trillion.

Answer: B

Explanation:
As of early 2020, the Global Sustainable Investment Alliance reported that sustainable investing assets reached around USD 35 trillion, highlighting the growing adoption of ESG principles across global markets. (ESGTextBook[PallasCatFin], Chapter 2, Page 58)


NEW QUESTION # 225
Which of the following is most likely a result of monitoring rather than engagement?

  • A. Efficient capital allocation by investors
  • B. Changed company behaviors
  • C. Delivery of corporate purpose and culture

Answer: A

Explanation:
Monitoring allows investors to gather information on company performance and capital allocation. While engagement may lead to changes in company behavior or improvements in corporate governance, monitoring focuses on analyzing and optimizing capital efficiency.
ESG Reference: Chapter 6, Page 297 - Engagement and Stewardship in the ESG textbook.


NEW QUESTION # 226
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