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NEW QUESTION: 1

When does this design benefit a virtualized data center?
A. The access layer and core switches can connect on link aggregation groups. VLANs can extend across these aggregations, but they are more stable and highly-available than redundant Layer 2 links that use spanning tree.
B. The core switches can implement Virtual Ethernet Port Aggregator (VEPA) to extend tunnels for virtualized traffic across the data center backbone.
C. The access layer switches can integrate their Intelligent Resilient Framework (IRF) capabilities with those on the core switches to create a single CLOS fabric.
D. The access layer and core switches use several layers of redundancy protocols, including Multiple Spanning Tree Protocol (MSTP) at Layer 2, Virtual Router Redundancy Procotol (VRRP) at Layer 3, and Intelligent Resilient Framework (IRF) at Layer 4.
Answer: A

NEW QUESTION: 2
Albert Wulf, CFA, is a portfolio manager with Upsala Asset Management, a regional financial services firm that handles investments for small businesses in Northern Germany. For the most part, Wulf has been handling locally concentrated investments in European securities. Due to a lack of expertise in currency management he works closely with James Bauer, a foreign exchange expert who manages international exposure in some of Upsala's portfolios. Both individuals are committed to managing portfolio assets within the guidelines of client investment policy statements.
To achieve global diversification, Wulf's portfolio invests in securities from developed nations including the United States, Japan, and Great Britain. Due to recent currency market turmoil, translation risk has become a huge concern for Upsala's managers. The U.S. dollar has recently plummeted relative to the euro, while the Japanese yen and British pound have appreciated slightly relative to the euro. Wulf and Bauer meet to discuss hedging strategies that will hopefully mitigate some of the concerns regarding future currency fluctuations.
Wulf currently has a $1,000,000 investment in a U.S. oil and gas corporation. This position was taken with the expectation that demand for oil in the U.S. would increase sharply over the short-run. Wulf plans to exit this position 125 days from today. In order to hedge the currency exposure to the U.S. dollar, Bauer enters into a 90-day U.S. dollar futures contract, expiring in September. Bauer comments to Wulf that this futures contract guarantees that the portfolio will not take any unjustified risk in the volatile dollar.
Wulf recently started investing in securities from Japan. He has been particularly interested in the growth of technology firms in that country. Wulf decides to make an investment of ¥25,000,000 in a small technology enterprise that is in need of start-up capital. The spot exchange rate for the Japanese yen at the time of the investment is ¥135/€. The expected spot rate in 90 days is ¥132/€. Given the expected appreciation of the yen, Bauer purchases put options that provide insurance against any deprecation of the euro. While delta- hedging this position, Bauer discovers that current at-the-money yen put options sell for €1 with a delta of -
0.85. He mentions to Wulf that, in general, put options will provide a cheaper alternative to hedging than with futures since put options are only exercised if the local currency depreciates.
The exposure of Wulf's portfolio to the British pound results from a 180-day pound-denominated investment of £5,000,000. The spot exchange rate for the British pound is £0.78/€. The value of the investment is expected to increase to £5,100,000 at the end of the 180 day period. Bauer informs Wulf that due to the minimal expected exchange rate movement, it would be in the best interest of their clients, from a cost-benefit standpoint, to hedge only the principal of this investment.
Before entering into currency futures and options contracts, Wulf and Bauer discuss the possibility of also hedging market risk due to changes in the value of the assets. Bauer suggests that in order to hedge against a possible loss in the value of an asset Wulf should short a given foreign market index. Wulf is interested in executing index hedging strategies that are perfectly correlated with foreign investments.
Bauer, however, cautions Wulf regarding the increase in trading costs that would result from these additional hedging activities.
Of the following cash management approaches, the one that best reflects Wulf and Bauer's currency management strategy is:
A. Currency overlay.
B. Balanced mandate.
C. Separate asset allocation.
Answer: A
Explanation:
Explanation/Reference:
Explanation:
The currency overlay approach follows the IPS guidelines, but the portfolio manager is not responsible for currency exposure. Instead, a separate manager, who is considered an expert in foreign currency management, is hired to manage the currency exposure within the guidelines of the IPS. In a balanced mandate approach, the investment manager is given total responsibility for managing the portfolio, including managing the currency exposure. In a separate asset allocation approach, there are two separate managers much like the currency overlay approach, but the managers use separate guidelines.
(Study Session 14, LOS 41.i)

NEW QUESTION: 3
Which three external systems are required to complete the Avaya Aura@ Experience Portal (AAEP) speech solution? (Choose three.)
A. Automatic Speech Recognition (ASR) and Text-to-Speech (TTS) speech server
B. Avaya Communication Manager (ACM) server and/or SIP Gateway server
C. Avaya Media Server (AMS)
D. Application Server (AS)
E. Media Processing Server (MPS)
Answer: A,D,E

NEW QUESTION: 4
Which option is a benefit of DTLS as compared to TLS?
A. increases performance
B. increases reliability
C. controls packet loss
D. controls packet order
Answer: A