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NEW QUESTION: 1
For each of the following statements, select Yes if the statement is true. Otherwise, select No.
NOTE: Each correct selection is worth one point.
Answer:
Explanation:
NEW QUESTION: 2
한 회사가 온 프레미스 시스템을 AWS로 마이그레이션 하고 있습니다. 사용자 환경은 다음 시스템으로 구성됩니다.
* VMware에서 실행되는 Windows 및 Linux 가상 머신.
* Red Hat Enterprise Linux를 실행하는 물리적 서버.
회사는 AWS로 마이그레이션 하기 전에 다음 단계를 수행 할 수 있기를 원합니다.
* 온 프레미스 시스템 간의 종속성을 식별합니다.
* 마이그레이션 계획을 수립하기 위해 시스템을 애플리케이션으로 그룹화합니다.
* Amazon Athena를 사용하여 성능 데이터를 검토하여 Amazon EC2 인스턴스가 적절한 크기인지 확인합니다.
이러한 요구 사항을 어떻게 충족 할 수 있습니까?
A. 각 온 프레미스 시스템과 VMware vCenter에 AWS Application Discovery Service Discovery Connector를 설치합니다. Discovery Connector가 일주일 동안 데이터를 수집하도록 허용합니다.
B. 각 온 프레미스 시스템에 AWS Application Discovery Service Discovery Agent를 설치합니다. Discovery Agent가 일정 기간 동안 데이터를 수집하도록 허용합니다.
C. 물리적 온-프리 맵 서버에 AWS Application Discovery Service Discovery Agent를 설치합니다. VMware vCenter에 AWS Application Discovery Service Discovery Connector를 설치합니다. Discovery Agent 허용
D. 온 프레미스 구성 관리 데이터베이스 (CMDB)의 정보로 AWS Application Discovery Service 가져 오기 템플릿을 채웁니다. 완성 된 가져 오기 템플릿을 Amazon S3에 업로드 한 다음 데이터를 Application Discovery Service로 가져옵니다.
Answer: C
Explanation:
to collect data for a period of time.
NEW QUESTION: 3
Millennium Investments (MI), an investment advisory firm, relies on mean-variance analysis to advise its clients. Mi's advisors make asset allocation recommendations by selecting the mix of assets along the capital allocation line that is most appropriate for each client.
One of MPs clients, Edward Alverson, 60 years of age, requests an analysis of four risky mutual funds (Fund W, Fund X, Fund Y, and Fund Z). After examining the four funds, MI finds that all four mutual funds are equally weighted portfolios, and that all of the funds, except Fund Z, are mean-variance efficient. MI also finds that the correlations between all pairs of the mutual funds are less than one.
MI calculates the average variance of returns across all assets within each mutual fund, the average covariance of returns across all pairs of assets within each mutual fund, and each mutual fund's total variance of returns. The results of Mi's calculations are reported in Exhibit 1.
During his meeting with the MT advisors, Alverson explains that he will retire soon, and, consequently, is highly risk-averse. Alverson agrees with Mi's reliance on mean-variance analysis and makes the following statements:
Statement 1: All portfolios lying on the minimum variance frontier are desirable portfolios.
Statement 2: Because I am highly risk-averse, I expect that my investment portfolio on the capital allocation line will have risk and return equal to that of the global minimum variance portfolio.
MI operates under the assumption that all investors agree on the forecasts of asset expected returns, variances, and correlations. Based on these assumptions, MI created the Millennium Investments 5000 Fund (MI-5000), which is a market value-weighted portfolio of all assets in the market. MI derives the forecasts for the MI-5000 Fund and for a fund comprising short-term government securities shown in Exhibit 2.
Given the data in Exhibit 2 and Mi's determination that Alverson's investment portfolio should have a standard deviation equal to 12%, what is the highest possible expected return for Alverson, and what percentage should Alverson invest in the MI-5000 fund?
Highest expected ;Percentage invested
Return in MI-5000
A. 9.2% ;60%
B. 7.2% ;60%
C. 7.2% ;40%
Answer: A
Explanation:
Explanation/Reference:
Explanation:
The highest returns for each level of risk are provided along the capital market line:
The appropriate weighring can be determined by recalling the formula for the standard deviation of an investment that combines a risky asset (i.e., the MI-5000) and a risk-free a