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NEW QUESTION: 1
You administer an Azure solution that uses a virtual network named FabVNet. FabVNet has a single subnet named Subnet-1.
You discover a high volume of network traffic among four virtual machines (VMs) that are part of Subnet-1.
You need to isolate the network traffic among the four VMs. You want to achieve this goal with the least amount of downtime and impact on users.
What should you do?
A. Create an availability set and associate the four VMs with that availability set.
B. Create a new virtual network and move the VMs to the new network.
C. Create a site-to-site virtual network and move the four VMs to your datacenter.
D. Create a new subnet in the existing virtual network and move the four VMs to the new subnet.
Answer: B
Explanation:
To isolate the VMs, we could use Windows Firewall or Network Security Groups (NSG) but they're not options here.
If we move the VMs to a new subnet in the same virtual network, traffic can still flow to VMs on the other subnet. We would still need additional security such as an NSG; therefore, answer A is incorrect.
The answer is to create a new virtual network and move the VMs to the new network. This would provide the required isolation without the need for additional security such as an
NSG.

NEW QUESTION: 2
Duncan Manz believes that he has found an error in a sample CFA Study Program question. Prior to e- mailing the provider about the error, he discusses his logic with Julia Cook, a fellow finance student at the Hess School of Business. Manz does not believe that the following question provides enough information to completely answer the question. Cook disagrees. Who is correct ?Manz or Cook? And, if Cook is correct, what is the correct answer?
Question: An investor抯portfolio currently consists of 100% of stocks that have a mean return of 18 percent and an expected variance of 0.0625. The investor plans to diversify slightly by replacing 30 percent of her portfolio with U.S. Treasury bills that earn 4.25 percent. Assuming the investor diversifies, what are the expected return and expected standard deviation of the portfolio?
A. Cook is correct. The portfolio's expected return is 13.875% and the expected standard deviation is
17.500%.
B. Cook is correct. The portfolio's expected return is 18.000% and the expected standard deviation is
15.250%.
C. Cook is correct. The portfolio's expected return is 13.875%and the expected standard deviation is
4.375%.
D. Manz is correct. There is not enough information to completely answer the question.
Answer: A
Explanation:
Explanation/Reference:
Explanation:
Cook is correct. Since Treasury bills (T-bills) are consideredrisk-free, we know that the standard deviation of this asset and the correlation between T-bills and the other stocks is 0. Thus, we can calculate the portfolio expected return and standard deviation.
Step 1: Calculate the expected return:
Expected ReturnPortfolio= (wT-bills* ERT-bills) + (wStocks* ERStocks)= (0.30) * (0.0425) + (1.00 - 0.30) * (0.18) = 0.13875, or 13.875%.
Step 2: Calculate the expected standard deviation:
When combining a risk-free asset and a risky asset (or portfolio of risky assets), the equation for the standard deviation ofꢀ1,2= [(w12)(ꢀꢀ12) + (w22)(ꢀꢀ22) + 2w1w2ꢀ1ꢀ2r1,2]1/2reduces to:ꢀPortfolio= [(wStocks)(ꢀꢀStocks)] = 0.70 * 0.06251/2= 0.17500, or 17.500%. (Remember to convert variance to standard deviation.)

NEW QUESTION: 3
One difference between a function and a stored procedure is that a function:
A. Cannot accept parameters.
B. Must return a value.
C. Cannot contain a transaction.
D. Must be called from a trigger.
Answer: B

NEW QUESTION: 4
Which one of the following test design techniques fits accepting testing purposes BEST?
A. static code analysis
B. equivalence partitioning
C. defect-based test design
D. input validation
Answer: B

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