CFA Institute Sustainable Investing Certificate(CFA-SIC) Exam Sustainable-Investing Question # 168 Topic 17 Discussion

CFA Institute Sustainable Investing Certificate(CFA-SIC) Exam Sustainable-Investing Question # 168 Topic 17 Discussion

Sustainable-Investing Exam Topic 17 Question 168 Discussion:
Question #: 168
Topic #: 17

With respect to ESG integration, adjusting financial model inputs based on an evaluation of a company’s ESG risk factors is an example of a:


A.

hybrid approach


B.

qualitative approach.


C.

quantitative approach


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