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NEW QUESTION: 1
You must create two staging database tables. The tables have the following requirements:

You need to select the correct storage mechanism for each table.
Which storage mechanism should you use? To answer, drag the appropriate table types to the correct tables.
Each table type may be used once, more than once, or not at all. You may need to drag the split bar between panes or scroll to view content.

Answer:
Explanation:


NEW QUESTION: 2
A system administrator in a bank was asked by business users to determine the most accessed JSP page in a web application at normal work load for marketing purpose.
Which tool should the administrator use to find the most used JSP page?
A. Performance and Diagnostic Advisor
B. Tivoli Performance Viewer (TPV) summary reports
C. IBM Support Assistant Data Collector
D. High Performance Extensible Logging Log Viewer
Answer: B
Explanation:
Explanation/Reference:
Explanation:
Summary reports are available for each application server.
Tivoli Performance Viewer provides the following summary reports for each application server:
The servlet summary lists all servlets that are running in the current application server. Use the servlet summary view to quickly find the servlet that consumes the most time and the applications that use them, and to determine which servlets are invoked most often.
Etc.
References: https://www.ibm.com/support/knowledgecenter/SSEQTJ_8.5.5/com.ibm.websphere.base.doc/ ae/uprf_tpvserverview.html

NEW QUESTION: 3
Dan Draper, CFA is a portfolio manager at Madison Securities. Draper is analyzing several portfolios which have just been assigned to him. In each case, there is a clear statement of portfolio objectives and constraints, as welt as an initial strategic asset allocation. However, Draper has found that all of the portfolios have experienced changes in asset values. As a result, the current allocations have drifted away from the initial allocation. Draper is considering various rebalancing strategies that would keep the portfolios in line with their proposed asset allocation targets.
Draper spoke to Peter Sterling, a colleague at Madison, about calendar rebalancing. During their conversation, Sterling made the following comments:
Comment 1: Calendar rebalancing will be most efficient when the rebalancing frequency considers the volatility of the asset classes in the portfolio.
Comment 2: Calendar rebalancing on an annual basis will typically minimize market impact relative to more frequent rebalancing.
Draper believes that a percentage-of-portfolio rebalancing strategy will be preferable to calendar rebalancing, but he is uncertain as to how to set the corridor widths to trigger rebalancing for each asset class. As an example, Draper is evaluating the Rogers Corp. pension plan, whose portfolio is described in Figure 1.

Draper has been reviewing Madison files on four high net worth individuals, each of whom has a $1 million portfolio. He hopes to gain insight as to appropriate rebalancing strategies for these clients. His research so far shows:
Client A is 60 years old, and wants to be sure of having at least $800,000 upon his retirement. His risk tolerance drops dramatically whenever his portfolio declines in value. He agrees with the Madison stock market outlook, which is for a long-term bull market with few reversals.
Client B is 35 years old and wants to hold stocks regardless of the value of her portfolio. She also agrees with the Madison stock market outlook.
Client C is 40 years old, and her absolute risk tolerance varies proportionately with the value of her portfolio. She does not agree with the Madison stock market outlook, but expects a choppy stock market, marked by numerous reversals, over the coming months.
Which of the following statements is most accurate regarding rebalancing strategies? The constant:
A. proportion strategy has a convex payoff curve and a multiplier less than 1.
B. mix strategy has a concave payoff curve and a multiplier less than 1.
C. proportion strategy has a concave payoff curve and a multiplier greater than 1.
Answer: B
Explanation:
Explanation/Reference:
Explanation:
The constant mix strategy has a concave payoff curve and a multiplier between 0 and 1. The return on the portfolio using this strategy will increase at a declining rate when stocks go up, and decrease at an increasing rate when stocks go down. The constant proportion strategy has a convex payoff curve and a multiplier greater than 1. The return on a constant proportion portfolio will increase at an increasing rare when stocks go up, and decrease at a declining rate when stocks go down. (Study Session 16, LOS 46.i)

NEW QUESTION: 4
Drag the descriptions of device management from the left onto the types of device management on the right.

Answer:
Explanation:

Explanation

Cisco DNA Center Device Management
3. Monitor the cloud for software update
5. Uses CLI templates to apply a consistent configuration to multiple devices at an individual location
6. Uses NetFlow to analyse potential security threats throughout the network and take appropriate action on that traffic Traditional device management
2. Manages device configuration on a per-device basis
4. Security is managed near the perimeter of the network with firewalls, VPNs, and IPS
* Implements changes via an SSH terminal


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