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NEW QUESTION: 1
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.
Are Taylor's second and third statements on the differences between risk governance and risk budgeting and ERM systems correct?
A. Only Taylor's third statement is correct.
B. Only Taylor's second statement is correct.
C. Taylor is correct regarding both statements.
Answer: B
Explanation:
Explanation/Reference:
Explanation:
The risk governance and risk budgeting statement (the second statement) is correct. Risk governance is part of the firm's overall corporate governance system and is the process of developing a risk management system and putting it into operation. A decentralized risk governance system puts risk management into the hands of those closest to the risk (e.g., individual managers). The primary drawback to a decentralized system is the inability for individual managers to gain a sense ol how their risk affects the firm's overall risk.
A centralized system is called an Enterprise Risk Management system (ERM). ERM systems are managed by top management who are better positioned to view and analyze the firm's overall risk.
Risk budgeting is the process of determining which risks are acceptable and how total risk is allocated across business units or portfolio managers. Through the ERM system upper management allocates capital across portfolio managers, each with an associated VAR.
The ERM statement (the third statement) is incorrect. Individual managers cannot determine the correlation of their portfolio risk to that of other managers, so only upper management is in a position to measure and monitor firm risk. In an ERM system upper management allocates capital to each manager based on the manager's risk and the desired overall firm risk. (Study Session 14, LOS 40.a)

NEW QUESTION: 2
You are designing a network topology for a customer. The customer is looking for a large-scale Layer 2 fabric, with redundant links and load balancing, while avoiding traditional STP, RSTP, and MSTP protocols.
Which switch will support these features with industry standard technology?
A. HPE FlexFabric 5710
B. HPE FlexFabric 5980
C. HPE FlexFabric 12902E
D. Aruba 8325
Answer: C
Explanation:
Explanation
https://h20195.www2.hpe.com/v2/getpdf.aspx/c04111378.pdf

NEW QUESTION: 3
날씨 서비스는 eu-west-1 리전의 AWS에서 호스팅되는 웹 애플리케이션에서 고해상도 날씨지도를 제공합니다. 날씨지도는 자주 업데이트되며 정적 HTML 콘텐츠와 함께 Amazon S3에 저장됩니다. 웹 애플리케이션은 Amazon CloudFront 앞에 있습니다.
이 회사는 최근에 미국 동부 지역의 사용자에게 서비스를 제공하기 위해 확장했으며 이러한 새로운 사용자는 각각의 날씨지도를 보는 것이 때때로 느리다고 보고 합니다. 어떤 슬롭 조합이 미국 동부 성능 문제를 해결할까요? (2 개 선택)
A. LambdaEdge를 사용하여 북미의 요청을 수정하고 us-east-1에서 S3 Transfer Acceleration 엔드 포인트를 사용합니다.
B. S3 버킷에 대한 AWS Global Accelerator 엔드 포인트 구성 m eu-west-1 us-east-1에서 TCP 포트 80 및 443에 대한 엔드 포인트 그룹 구성
C. Lambda @ Edge를 사용하여 S3 버킷 m us-east-1을 사용하도록 북미의 요청을 수정합니다.
D. us-east-1에 대한 AWS Global Accelerator 엔드 포인트를 CloudFront 배포의 오리진으로 구성 lambda @ Edge를 사용하여 북미에서 새 오리진을 사용하도록 요청을 수정합니다.
E. 새 S3 버킷 생성 m us-east-1 S3 버킷에서 동기화하도록 리전 간 S3 복제 구성 m eu-west-1
Answer: B,C


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