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NEW QUESTION: 1
Which command would disable a Cluster Member permanently?
A. cphaprob_admin down
B. clusterXL_admin down-p
C. set clusterXL down-p
D. clusterXL_admin down
Answer: B
NEW QUESTION: 2
Maurice Taylor, CFA, FRM, is responsible for managing risk in his firm's commodity portfolios. Taylor has extensive experience in the risk management field and as a result has been appointed the task of mentoring entry-level employees. Steven Jacobs is a newly hired Financial Analyst who has been assigned to research the company's risk management process. To verify the accuracy of his findings he consults Taylor. Taylor agrees to thoroughly review Jacobs* findings and volunteers to contribute his knowledge to enhance any part of the report that mentions Taylor's department.
A week later Jacobs, submits his report to his supervisor without reading Taylor's suggestions. Some excerpts from the report are as follows;
* "Many portfolio managers use a ratio that compares the average alpha to the standard deviation of alpha to measure risk-adjusted performance. This ratio can be used to rank their ability to generate excess returns on a consistent basis."
"The main difference between risk governance and risk budgeting is that risk governance is concerned with policies and standards, whereas risk budgeting is concerned with allocating risk."
* "In an ERM system individual portfolio managers are charged with measuring, managing, and monitoring their portfolio risk as well as determining their optimal amount of capital at risk. With this information upper management gains a better overall picture of the firm's risk."
* "The two general categories of risk are financial and non-financial risks. Financial risks include market risk and credit risk. Non-financial risks include settlement risk, regulatory risk, model risk, liquidity risk, operations risk, and political risk." Jacobs' supervisor thanks him for the report and assigns him the next task of researching the firm's VAR calculation methodologies. His supervisor is wondering if the firm should switch to the Monte Carlo Method from the Historical Method. Jacobs again decides to consult Taylor for his expertise. Taylor agrees that using the Monte Carlo Method would be useful since it incorporates returns distributions rather than single point estimates of risk and return- This may be appropriate for Taylor's portfolios since commodity returns can exhibit skewed distributions. Taylor, however, informs Jacobs that there are also advantages to using historical VAR including that it is based on modern portfolio theory (MPT).
Jacobs uses the firm's small cap value portfolio to illustrate the calculation of VAR. The value of the portfolio is $140 million and it has an annual expected return of 12.10%. The annual standard deviation of returns is 18.20%. Assuming a standard normal distribution, 5% of the potential portfolio values are more than 1.65 standard deviations below the expected return.
Jacobs completes his research report on VAR by adding an appendix section on extensions of VAR. He states that one extension that can be particularly valuable in risk management measures the impact of a single asset on the portfolio VAR. This measure captures the effects of the correlations of the individual assets on the overall portfolio VAR.
In Jacobs' list of non-financial risks in his fourth statement, all are non-financial except:
A. operations risk.
B. liquidity risk.
C. settlement risk.
Answer: B
Explanation:
Explanation/Reference:
Explanation:
Liquidity risk is the possibility of sustaining losses due to the inability to take or liquidate a position quickly at a fair price. It is considered a financial risk. (Study Session 14, LOS 40.d)
NEW QUESTION: 3
ZIEHEN UND LOSLASSEN
Ihr Netzwerk enthält eine Active Directory-Gesamtstruktur mit dem Namen contoso.com. Auf allen Domänencontrollern wird Windows Server 2008 R2 ausgeführt.
Das Schema wird auf Windows Server 2012 R2 aktualisiert.
Contoso.com enthält zwei Server. Die Server sind wie in der folgenden Tabelle gezeigt konfiguriert.
Server1 und Server2 hosten einen Anwendungspool mit Lastenausgleich namens AppPool1.
Sie müssen sicherstellen, dass AppPool1 ein Gruppen-Managed-Service-Konto als Identität verwendet.
Welche drei Aktionen sollten Sie ausführen?
Verschieben Sie zum Beantworten die drei entsprechenden Aktionen aus der Liste der Aktionen in den Antwortbereich und ordnen Sie sie in der richtigen Reihenfolge an.
Answer:
Explanation:
Kasten 1:
Kasten 2:
Box 3: Ändern Sie die Einstellungen von AppPool1.
Hinweis:
Kasten 1:
Anforderungen an verwaltete Dienstkonten für Gruppen:
Mindestens ein Windows Server 2012-Domänencontroller
Ein Windows Server 2012- oder Windows 8-Computer mit dem ActiveDirectory PowerShell-Modul zum Erstellen / Verwalten des gMSA.
Ein Windows Server 2012- oder Windows 8-Domänenmitglied zum Ausführen / Verwenden des gMSA.
Kasten 2:
So erstellen Sie ein neues verwaltetes Dienstkonto
Klicken Sie auf dem Domänencontroller auf Start und dann auf Ausführen. Geben Sie in dem Feld Öffnen ein ds a. Klicken Sie auf MSC und anschließend auf OK, um das Snap-In Active Directory-Benutzer und -Computer zu öffnen. Stellen Sie sicher, dass der Container für das verwaltete Dienstkonto vorhanden ist.
Klicken Sie auf Start, Alle Programme, Windows PowerShell 2.0 und anschließend auf das Windows PowerShell-Symbol.
Führen Sie den folgenden Befehl aus: New-ADServiceAccount [-SAMAccountName <String>] [-Path <String>].
Kasten 3:
Konfigurieren Sie ein Dienstkonto für Internetinformationsdienste
Organisationen, die die Isolierung von IIS-Anwendungen verbessern möchten, können IIS-Anwendungspools so konfigurieren, dass verwaltete Dienstkonten ausgeführt werden.
So konfigurieren Sie einen Dienst mithilfe des Internetinformationsdienste-Manager-Snap-Ins für die Verwendung eines verwalteten Dienstkontos Klicken Sie auf Start, zeigen Sie auf Verwaltung, und klicken Sie dann auf Internetinformationsdienste-Manager.
Doppelklicken Sie auf <Computername>, doppelklicken Sie auf Anwendungspools, klicken Sie mit der rechten Maustaste auf <Poolname> und klicken Sie auf Erweiterte Einstellungen.
Klicken Sie im Feld Identität auf ..., klicken Sie auf Benutzerdefiniertes Konto und klicken Sie dann auf Festlegen.
Geben Sie den Namen des verwalteten Dienstkontos im Format Domänenname \ Kontoname ein.
Referenz: Schrittweise Anleitung für Dienstkonten
NEW QUESTION: 4
Which three options are sub-subfields of the IPv4 Option Type subfield? (Choose three.)
A. GET
B. TTL
C. Option Class
D. Copied
E. PUSH
F. Option Number
Answer: C,D,F
Explanation:
Explanation/Reference:
Explanation:
Each IP option has its own subfield format, generally structured as shown below. For most options, all three subfields are useD. Option Type, Option Length and Option Data.
Reference: http://www.tcpipguide.com/free/t_IPDatagramOptionsandOptionFormat.htm
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