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NEW QUESTION: 1
Your
network contains an Active Directory domain named contoso.com that syncs to Azure Active Directory (Azure AD).
The Active Directory domain contains 200 computers that run Windows 10. The computers are managed by using Microsoft System Center Configuration Manager (Current Branch).
You need to pilot co-management for only five of the computers.
What should you create first?
A. a dynamic device group in Azure AD
B. a domain local distribution group in Active Directory
C. a device collection in Configuration Manager
D. an Intune Connector for Active Directory
Answer: C
Explanation:
The Pilot Intune setting switches the associated workload only for the devices in the pilot collection.
Note: When you enable co-management, you'll assign a collection as a Pilot group. This is a group that contains a small number of clients to test your co-management configurations. We recommend you create a suitable collection before you start the procedure. Then you can select that collection without exiting the procedure to do so.
References:
https://docs.microsoft.com/en-us/configmgr/comanage/tutorial-co-manage-new-devices

NEW QUESTION: 2
What kind of coding script executes to make Google Analytics work? Choose one of the following:
A. Javascript
B. HTML script
C. Pearl script
D. VBA script
Answer: A

NEW QUESTION: 3
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 the Appendix to his research report, the extension to VAR that Jacobs describes is most likely:
A. correlation VAR.
B. portfolio VAR.
C. incremental VAR.
Answer: C
Explanation:
Explanation/Reference:
Explanation:
Incremental VAR (IVAR) is used to measure the impact of a single asset on the portfolio VAR. By measuring the VAR of the portfolio with and without the asset, IVAR captures the effects of the correlations of the individual assets on the overall portfolio VAR. (Study Session 14, LOS 40.g) Sample Scoring Key: 3 points for each correct response.

NEW QUESTION: 4
DRAG DROP
A company has computers running Windows 7 Enterprise.
One computer is not able to emit sound from the speakers. The computer has an onboard sound controller.
You check the computer* s Device Manager but the device is not listed there.
You need to ensure that the computer can emit sound correctly.
What should you do? (To answer, drag the appropriate options from the list of options to the work area.)

Answer:
Explanation:

Explanation: