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NEW QUESTION: 1
企業は、フロントエンド層とeコマース層を備えたeコマースプラットフォームを実行しています。両方の層はLAMPスタックで実行され、フロントエンドインスタンスは、AWSに仮想オファリングを持つ負荷分散アプライアンスの背後で実行されます。現在、運用チームはSSHを使用してインスタンスにログインし、パッチを維持し、他の懸念に対処しています。プラットフォームは最近、以下を含む複数の攻撃の標的になりました。
* DDoS攻撃。
* SQLインジェクション攻撃。
* Webサーバー上のSSHアカウントに対するいくつかの辞書攻撃の成功。
同社は、AWSに移行することにより、eコマースプラットフォームのセキュリティを改善したいと考えています。
同社のソリューションアーキテクトは、次のアプローチを使用することを決定しました。
* 既存のアプリケーションをコードレビューし、SQLインジェクションの問題を修正します。
* ウェブアプリケーションをAWSに移行し、最新のAWS Linux AMIを活用して初期セキュリティパッチに対処します。
* AWS Systems Managerをインストールして、パッチを管理し、システム管理者が必要に応じてすべてのインスタンスでコマンドを実行できるようにします。
高可用性を提供し、リスクを最小限に抑えながら、他のすべての同一の攻撃タイプに対処する追加手順は何ですか?
A. Amazon EC2インスタンスへのSSHアクセスを無効にします。オンプレミスのMySQLをAmazon RDS Multi-AZに移行します。 Elastic Load Balancerを活用して負荷を分散し、AWS Shield Advancedを保護できるようにします。ウェブサイトの前にAmazon CloudFrontディストリビューションを追加します。ディストリビューションでAWS WAFを有効にして、ルールを管理します。
B. 特定のIPアドレスへのアクセスを制限することで保護された要塞ホストを介して、Amazon EC2インスタンスへのSSHアクセスを有効にします。オンプレミスのMySQLを自己管理EC2インスタンスに移行します。
AWS Elastic Load Balancerを活用して負荷を分散し、DDoS保護のためにAWS Shield Standardを有効にします。
ウェブサイトの前にAmazon CloudFrontディストリビューションを追加します。
C. EC2インスタンスへのSSHアクセスを無効にします。オンプレミスのMySQLをAmazon RDSシングルAZに移行します。
AWS Elastic Load Balancerを活用して負荷を分散します。ウェブサイトの前にAmazon CloudFrontディストリビューションを追加します。ディストリビューションでAWS WAFを有効にして、ルールを管理します。
D. 特定のIPへのアクセスを制限するセキュリティグループを使用して、Amazon EC2インスタンスへのSSHアクセスを有効にします。オンプレミスのMySQLをAmazon RDS Multi-AZに移行します。 AWS Marketplaceからサードパーティのロードバランサーをインストールし、既存のルールをロードバランサーのAWSインスタンスに移行します。 DDoS保護のためにAWS Shield Standardを有効にします。
Answer: A
NEW QUESTION: 2
What refers to legitimate users accessing networked services that would normally be restricted to them?
A. Spoofing
B. Eavesdropping
C. Piggybacking
D. Logon abuse
Answer: D
Explanation:
Unauthorized access of restricted network services by the circumvention of security access controls is known as logon abuse. This type of abuse refers to users who may be internal to the network but access resources they would not normally be allowed.
Source: KRUTZ, Ronald L. & VINES, Russel D., The CISSP Prep Guide: Mastering the
Ten Domains of Computer Security, John Wiley & Sons, 2001, Chapter 3:
Telecommunications and Network Security (page 74).
NEW QUESTION: 3
Donaghy Management Company (DMC) manages several funds only available to high net worth individuals. In preparation for an upcoming meeting, the firm has circulated among its managers the information in Figure 1 on objectives and market expectations relevant to each of three funds.
Figure 1: Fund Strategies and Market Expectations
The manager of Fund A has collected data on put and call options on the broad market index underlying his strategy. The option data are presented in Figure 2. All options presented have the same expiration date.
Figure 2: Option Data for the Broad Market Index
During the meeting, the manager of Fund B states that in order to enhance returns for the fund, he intends to implement a box-spread strategy. The manager explains the strategy by stating, "The ending price of the asset underlying the box-spread strategy has no impact on the payoff of the strategy.
Thus, if the market price of the strategy implies a rate of return greater than the risk-free rate, an arbitrage opportunity exists." Also during the meeting, DMC's president questioned the manager of Fund C about the mechanics of his hedging strategy. The manager explained the strategy with the following comments:
Comment 1: "The hedge position is established to reduce the exposure to certain equity positions by writing call options on those equity positions. The necessary number of short option positions per share of stock held is calculated as the inverse of the option delta." Comment 2: "The hedge position only requires adjusting in the event of a price or volatility change in the underlying and is effective for small changes in the price of the underlying security." Using the data in Figure 2, determine which of the following is closest to the maximum profit from a long butterfly spread strategy if the price of the broad market index is currently 1,502.
A. 13.0.
B. 17.9.
C. 7.1.
Answer: B
Explanation:
Explanation/Reference:
Explanation:
In a long butterfly strategy, the investor purchases a call with a low strike price (X1), purchases a call with a high strike price (X3), and sells two calls with a strike price between the high and low strike prices (X2).
The long butterfly strategy is actually a combination of a bull spread and a bear spread. The strategy is designed to have the highest payoff and profit when volatility is low and the price of the underlying at expiration is equal to X2.
The maximum profit of the strategy is calculated as follows:
X2- X1- C1 + 2C2- C3
where:X2 = Strike price of the option with the middle strike price X1 = Strike price of the option with the low strike price C1 = Premium of option with the lew strike priceC2 = Premium of the option with the middle strike priceC3 = Premium of the option with the high strike price Using the data in Figure 2, the maximum profit on the butterfly spread strategy is equal to:
1,500 - 1,475 - 35-40 + 2(18.10) - 7.90 = 17.90
(Study Session 15, LOS 43.a)
NEW QUESTION: 4
Welche der folgenden Vorgehensweisen ist eine bewährte Sicherheitsmethode?
A. Verwenden Sie nur kommerziell lizenzierte Software.
B. Verwenden Sie die VPN-Authentifizierung mit mehreren Faktoren.
C. Verwenden Sie anstelle der Ethernet-Verkabelung nur WLAN.
D. Verwenden Sie in Servern nur Solid-State-Festplatten.
Answer: B