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NEW QUESTION: 1
Which of the following is the BEST description of a service-based service level agreement (31 A)
A. An agreement that covers service specific issues in a multi-level SLA structure
B. An agreement with an individual customer group, covering all the services that they use
C. An agreement that covers one service for all customers of that service
D. An agreement that covers one service for a single customer
Answer: C
NEW QUESTION: 2
Which of the following portfolios best represents a suitable asset allocation for a risk-averse investor?
I. Cash/money market fund: 20%; government bonds: 10%; investment-grade bonds: 15%; foreign stocks:
1 0%; blue-chip stocks: 25%; high-yield bonds: 10%; small cap stocks: 10%
II. Cash/money market fund: 30%; government bonds: 20%; investment-grade bonds: 15%; foreign stocks:
3 %; blue-chip stocks: 25%; high-yield bonds: 0%; small cap stocks: 7%
III. Cash/money market fund: 10%; government bonds: 5%; investment- grade bonds: 10%; foreign stocks:
1 5%; blue-chip stocks: 25%; high-yield bonds: 10%; small cap stocks: 25%
A. I
B. II
C. III
D. None of the above; a risk-averse investor should be entirely invested in government securities and/or
money market funds.
Answer: B
Explanation:
The asset allocation described in Selection II best represents a suitable asset allocation for a
risk-averse investor. A risk-averse investor will have the greatest percentage of his funds invested in
cash/money market fund. The bulk of his remaining funds will be invested in high-quality bonds, e.g., U.S.
government bonds and investment-grade corporate bonds, and blue-chip stocks. He may choose to
invest a little in foreign stocks and in small caps for additional diversification and a bit more growth
potential. The portfolio presented in Selection II has 30% invested in the money market fund, 35% in
high-quality bonds, 25% in blue-chip stocks and only 3% in foreign stocks and 7% in small caps. In
contrast, Selection I has a riskier allocation with 20% invested in the money market fund and only 50%
invested in high-quality bonds and blue chip stocks; the remaining 30% is invested in riskier
assets-high-yield (junk) bonds, foreign stocks, and small cap stocks. Selection III is riskier still with only
1 0% in a money market fund, 40% in high-quality bonds and blue-chips, and 50% in the riskier three asset
categories. Even a risk-averse investor should not be entirely invested in government securities and/or
money-market funds; his purchasing power risk would be extremely high, and he would have no
opportunity for capital appreciation.
NEW QUESTION: 3
Answer:
Explanation:
Explanation
Enable specifically at the network edge >STP
Manually prune unused VLANs >Trunks
Use specifically on fiber-optic interconnections that link switches >UDLD Ensure that an individual link failure will not result in an STP failure >Etherchannel Always use a number of links that is a power of 2 (2, 4, 8) to optimize the load balancing of traffic> VSS
NEW QUESTION: 4
In a centrally managed environment, if thededicated Central Manager is down, which statement is true?
A. Collector stop logging data from its S-TAPs.
B. Users would not be able to login to the Managed Units.
C. All Managed Units will revert to pre-registeredconfiguration.
D. Interactive reports would not run.
Answer: D