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NEW QUESTION: 1
Ein Projektmanager erstellt ein Diagramm zur Programmevaluierung und Überprüfungstechnik (PERi). Eine primäre Aktivität bei kritischen Schmerzen hat eine optimistische Zeit von drei Wochen, eine pessimistische Zeit von sieben Wochen und eine wahrscheinlichste Zeit von fünf Wochen.
Was ist die erwartete Zeit der Aktivität?
A. 5 Wochen
B. 7 Wochen
C. 6 Wochen
D. 3 Wochen
Answer: A

NEW QUESTION: 2
Your PSTN carrier sends digits to your T1 PRI circuit in a digit-by-digit format. How must the T1 PRI circuit be configured to support this capability?
A. The T1 controller needs to include the isdn overlap-receiving command.
B. The serial interface that is associated with the T1/E1 controller needs to include the isdn overlap-receiving command.
C. The T1 PRI controller supports either en-bloc or digit-by-digit formats natively.
D. The serial interface that is associated with the T1 controller needs to include the isdn incoming-voice command.
Answer: B
Explanation:
Configuring Overlap-receiving on the D-channel changes the way routers behave when receiving ISDN calls. Overlap receiving allows the matching of dial peers as the digits are being received. The router responds to the setup message with a SETUP ACK. This informs the network that it is ready to receive further information messages containing additional call routing elements.
http://www.cisco.com/en/US/tech/tk801/tk133/technologies_tech_note09186a00800b48cb.shtml

NEW QUESTION: 3
Ihr Netzwerk enthält eine Active Directory-Gesamtstruktur mit dem Namen contoso.com. Sie stellen mithilfe von ldp.exe eine Verbindung zur Gesamtstruktur her und empfangen die Ausgabe wie in der folgenden Abbildung gezeigt.

Verwenden Sie die Dropdown-Menüs, um die Antwortauswahl auszuwählen, die jede Anweisung auf der Grundlage der in der Grafik dargestellten Informationen vervollständigt.
HINWEIS: Jede richtige Auswahl ist einen Punkt wert.

Answer:
Explanation:
Erläuterung


NEW QUESTION: 4
Amie Lear, CFA, is a quantitative analyst employed by a brokerage firm. She has been assigned by her supervisor to cover a number of different equity and debt investments. One of the investments is Taylor, Inc. (Taylor), a manufacturer of a wide range of children's toys. Based on her extensive analysis, she determines that her expected return on the stock, given Taylor's risks, is 10%. In applying the capital asset pricing model (CAPM), the result is a 12% rate of return.
For her analysis of the returns of Devon, Inc. (Devon), a manufacturer of high-end sports apparel, Lear intends to use the Fama-French model (FFM). Devon is a small-cap growth stock that has traded at a low market-to-book value in recent years. Lear's analysis has provided a wealth of quantitative information to consider. The return on a value-weighted market index minus the risk-free rate is 5.5%, the small-cap return premium is 3.1%, the value return premium is 2.2%, and the liquidity premium is 3.3%. The risk-free rate is 3.4%. The market, size, relative value, and liquidity betas for Devon are 0.7, -0.3, 1.4, and 1.2, respectively. In estimating the appropriate equity risk premium, Lear has chosen to use the Gordon growth model.
Lear's assistant, Doug Saunders, presents her with a report on macroeconomic multifactor models that includes the following two statements:
Statement 1: Business cycle risk represents the unexpected change in the difference between the return of risky corporate bonds and government bonds.
Statement 2: Confidence risk represents the unexpected change in the level of real business activity.
Lear is also attempting to determine the most appropriate method for determining the required return for Densmore, Inc. (Densmore), a closely held company that is considering a debt issue within the next year.
The company has not previously issued debt securities to the public, relying instead on bank financing.
She realizes that there are a number of models to consider, including the CAPM, multifactor models, and build-up models.
Which of the following approaches/methods is most appropriate for Lear to consider in determining the required return for Densmore?
A. Bond-yield plus risk premium method.
B. Risk premium approach.
C. Build-up method.
Answer: C
Explanation:
Explanation/Reference:
Explanation:
The build-up method is usually applied to closely held companies (such as Densmore) where betas are not readily obtainable.
The risk premium approach requires betas for its calculations; betas are generally not readily available for closely held companies.The bond-yield plus risk premium method is appropriate only if the company has publicly traded debt. The method simply adds a risk premium to the yield to maturity of the company's long- term debt. (Study Session 10, LOS 35-d)