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NEW QUESTION: 1
該当する単語のペアを選択して文を完成させます。 A / an _____はフェーズAで使用され、アーキテクチャが対処する必要があるビジネスを特定および理解するのに役立ちます。
A. ビジネスシナリオ、要件
B. 活動モデル、視点
C. ビジネス変革の準備の評価、制約
D. アーキテクチャビュー、懸念事項
E. ユースケース、相互接続
Answer: A

NEW QUESTION: 2
Which vPC connection creates the illusion of a single control plane?
A. vPC management link
B. vPC overlay link
C. vPC keepalive link
D. vPC control link
E. vPC peer link
Answer: E
Explanation:
Section: (none)
Explanation/Reference:
Explanation:
The vPC peer link is the most important connectivity element in the vPC system. This link is used to create the illusion of a single control plane by forwarding Bridge Protocol data units (BPDUs) or Link Aggregation Control Protocol (LACP) packets to the primary vPC switch from the secondary vPC switch.
Reference: http://www.cisco.com/c/en/us/products/collateral/switches/nexus-5000-series-switches/ design_guide_c07-625857.html

NEW QUESTION: 3
Which statement about Cisco FabricPath is true?
A. It is the best solution for interconnecting multiple data centers.
B. It optimizes STP throughout the Layer 2 network.
C. It is a simplified extension of Layer 3 networks across a single data center.
D. The Cisco FabricPath domain appears as a single STP bridge, where each edge port uses the same MAC address.
Answer: D
Explanation:
Explanation/Reference:
Explanation:

NEW QUESTION: 4
Samuel Edson, CFA, portfolio manager for Driver Associates, employs a multifactor model to evaluate individual stocks and portfolios. Edson examines several possible risk factors and finds two that are priced in the marketplace. These two factors are investor sentiment (IS) risk and business cycle (BC) risk. Edson manages three equity portfolios (A, Bt and Q and derives the following relationships for each portfolio, as well as for the S&P 500 stock market index:

Portfolios A and B are well-diversified, while C is a less than fully diversified, value-oriented portfolio. FJS is the surprise in investor sentiment, and FBC is the surprise in the business cycle. Surprises in the risk factors are defined as the difference between the actual value and the predicted value.
Exhibit 1 provides data for the actual and predicted values for the investor sentiment and business cycle risk factors.

Driver Associates uses a two-factor Arbitrage Pricing Model to develop equilibrium expected returns for individual stocks and portfolios:

Driver Associates uses Portfolios D, E, and F as part of their risk management strategies. Which of these portfolios are factor portfolios?
A. Portfolios D and E.
B. Portfolio F only.
C. Portfolios D and F.
Answer: A
Explanation:
Explanation/Reference:
Explanation:
A portfolio that has a sensitivity of 1.0 to one of the macroeconomic factors> and zero sensitivity to the remaining macroeconomic factors is called a factor portfolio. Portfolios D and E are factor portfolios. A portfolio that has factor sensitivities that equal the sensitivities of the benchmark is called a tracking portfolio. Portfolio F has factor sensitivities that exactly match those of the S&P 500. (Study Session 18, LOS 64-m)