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NEW QUESTION: 1
You need to integrate your widgets with Case Manager widgets, but the format of the payloads are different. Depending upon the complexity of the mismatch in payloads, what might you use to wire your widgets to the Case Manager widgets?
A. Case Manager Toolbar Widget
B. Mashup Center JavaScript Adapter Widget
C. Case Manager Command Widget
D. Mashup Center Data Editor Widget
Answer: B
NEW QUESTION: 2
Sharon Foster, 56, is an executive at a large Biotech firm. Foster plans to retire in five years, to travel and spend time with her grandchildren. Foster is in excellent health, although her husband died several years ago. Foster's only significant asset is her employer's 401(k) retirement plan. Her salary is more than adequate to cover her living expenses until she retires, but she does not anticipate that she will accumulate any additional savings beyond her retirement account. The balance in her account currently is $3.2 million, but Foster estimates that by the time she retires the account will have grown to $4.5 million. She expects that her pretax living expenses, including a liberal travel budget, will be $150,000 per year, beginning when she retires. She is willing to take risk to achieve her financial goals. Her retirement account is currently invested 80% in stocks and 20% in bonds. Foster estimates her post-retirement income tax rate to be 35%, which is about the same as her current tax rate.
As she is starting to plan her retirement, Foster has turned to her longtime friend, Don Welch, CFA, who is a portfolio manager at Scientific Investments, LLC. Welch is considering three different mutual funds for Foster's account. All three are well-diversified funds of large capitalization stocks. The expected returns and standard deviations of each fund are shown below in Exhibit 1. Welch assumes a risk-free rate of return of 3.0%.
Welch believes in stock market efficiency, but he also believes that individual securities are mispriced by the market from time to time. He has recently reviewed research related to the Treynor-Black (TB) model of security selection and portfolio optimization. Welch refers to a prospectus from Fund D, which uses the TB framework in developing its portfolios. In discussing their use of the TB model, the prospectus cites an example where an active portfolio of five stocks is combined with a passive, index portfolio. The portfolio weights of the stocks are in Exhibit 2.
Welch further notes that the beta of the active portfolio is 0.90, although the standard deviation of the portfolio's returns is high. Of the five stocks shown in the portfolio, three have positive alphas, and two have negative alphas. A footnote to the sample data states that the sample assumes that the analysts* alpha forecasts are perfect.
Welch is reviewing Foster's account, together with the mutual fund data, in an attempt to develop a long- term investment plan for Foster.
Welch is interested in how the Treynor-Black model combines active and passive portfolios in an attempt to earn incremental returns. Which of the following best describes the advantages of optimizing active and passive portfolios?
A. If securities with a positive alpha can be identified, the active portfolio comprised of these securities can be combined with the market portfolio to create a portfolio with superior risk-adjusted returns.
B. If securities with negative alphas can be identified, these securities will allow the investor to move further down the capital market line:
C. Active and passive portfolios are best optimized when the returns of the active portfolio are perfectly correlated with the returns of the passive portfolio.
Answer: A
Explanation:
Explanation/Reference:
Explanation:
The TB model calls for identifying positive (or negative) alpha securities, which arc bought (sold short) in an active portfolio. This active portfolio is combined with a passive portfolio, to achieve diversification while adding incremental return. The active portfolio docs not become the market portfolio, nor docs the addition of the active portfolio move the investor along the capital market line. The benefit occurs because the active portfolio is less than perfectly correlated with the passive market portfolio. (Study Session 18 (LOS67.b)
NEW QUESTION: 3
In a change-driven environment, what's more important than formal communications in regard to effective requirements management?
A. Message of communication
B. Type of communication
C. Correct communication
D. Frequency of communication
Answer: D
Explanation:
Explanation
Change-driven approaches focus more on frequency of communication than on formal documentation. Official documentation is often in writing, but informal communication takes precedence over more formal written communication.
Answer D is incorrect. The best answer is frequency of communication, not the type of communication.
Answer A is incorrect. The best answer is frequency of communication, not correct communication - which is
important, but it's not the best selection for the question.
Answer C is incorrect. The best answer is frequency of communication, not message of communication.
Having the correct message and correct communication channels are important, but these aren't the best selection for this question.
NEW QUESTION: 4
Refer to the exhibits.
Exhibit 1.
Exhibit 2.
The exhibits show the current operational state for routes on Switch-3 to send all traffic to 172.16.0.0/16 through Switch-2 during normal operation.
Which single configuration change creates the desired behavior?
A. Set a cost of 100 in the redistribute static command on Switch-2 to change the external LSA metric.
B. Set a cost of 100 in the redistribute static command on Switch-1 to change the external LSA metric.
C. Change the OSPF external metric type to 1 on Switch-1, and set a cost of 100 on Switch-3 VLAN 108.
D. Change the OSPF external metric type to 1 on Switch-1, and set a cost of 100 on Switch-3 VLAN 104.
Answer: B