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- Exam Code: PMP
- Exam Name: Project Management Professional (2024 Version)
- Version: V12.35
- Q & A: 70 Questions and Answers
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NEW QUESTION: 1
Millennium Investments (MI), an investment advisory firm, relies on mean-variance analysis to advise its clients. Mi's advisors make asset allocation recommendations by selecting the mix of assets along the capital allocation line that is most appropriate for each client.
One of MPs clients, Edward Alverson, 60 years of age, requests an analysis of four risky mutual funds (Fund W, Fund X, Fund Y, and Fund Z). After examining the four funds, MI finds that all four mutual funds are equally weighted portfolios, and that all of the funds, except Fund Z, are mean-variance efficient. MI also finds that the correlations between all pairs of the mutual funds are less than one.
MI calculates the average variance of returns across all assets within each mutual fund, the average covariance of returns across all pairs of assets within each mutual fund, and each mutual fund's total variance of returns. The results of Mi's calculations are reported in Exhibit 1.
During his meeting with the MT advisors, Alverson explains that he will retire soon, and, consequently, is highly risk-averse. Alverson agrees with Mi's reliance on mean-variance analysis and makes the following statements:
Statement 1: All portfolios lying on the minimum variance frontier are desirable portfolios.
Statement 2: Because I am highly risk-averse, I expect that my investment portfolio on the capital allocation line will have risk and return equal to that of the global minimum variance portfolio.
MI operates under the assumption that all investors agree on the forecasts of asset expected returns, variances, and correlations. Based on these assumptions, MI created the Millennium Investments 5000 Fund (MI-5000), which is a market value-weighted portfolio of all assets in the market. MI derives the forecasts for the MI-5000 Fund and for a fund comprising short-term government securities shown in Exhibit 2.
Are Statements 1 and 2 made by Alverson correct?
A. Statement 2 is incorrect.
B. Statement 1 is incorrect.
C. Both statements are incorrect.
Answer: C
Explanation:
Explanation/Reference:
Explanation:
Statement 1 is not correct. A minimum variance portfolio is one that has smallest variance among all portfolios with identical expected return. The minimum-variance frontier is a graph of the expected return, variance combinations for all minimum variance portfolios. The minimum variance frontier (in risk-return space) has a bullet shape. Along the upper section of the minimum variance frontier, all portfolios have expected returns that exceed that of the global minimum variance portfolio, and returns increase as risk increases. Along the lower section, however, all portfolio returns are less than the global minimum variance portfolio return, and expected returns worsen as risk increases. Clearly, portfolios lying on the lower section of the minimum variance frontier arc not desirable.
Statement 2 also is not correct, MI uses mean-variance analysis to select an appropriate investment combination of the risk-free asset and the optimal risky portfolio lying along the capital allocation line (CAL). The CAL dominates the minimum variance frontier (the efficient frontier comprising exclusively risky assets). Therefore, the expected return along the CAL will exceed that of the global minimum variance portfolio (which is on the minimum variance frontier) for the same level of risk. Also, the risk along the CAL will be less than that of the global minimum variance portfolio for the same level of expected return. (Study Session 18, LOS 64.b,d)
NEW QUESTION: 2
Which parameters determine if the network header or network activities are cost objects?
There are 2 correct answers to this question.
Response:
A. Tasks
B. Network type
C. Activity
D. Plant
Answer: C,D
NEW QUESTION: 3
次のベストのうち、組織全体に新しいITテクノロジーを実装するときに情報セキュリティが考慮されることを示しているのはどれですか?
A. 従業員は情報セキュリティ意識向上トレーニングを受けます。
B. 情報セキュリティ機能は最高情報責任者に報告します。
C. 情報セキュリティマネージャーはITアーキテクチャレビューボードにいます。
D. IT従業員の職務記述書には、情報セキュリティの役割と責任が含まれています。
Answer: C
NEW QUESTION: 4
You get complaints from users of several different applications that performance has degraded over time.
These applications run in this configuration:
1. There are three different databases and database instances.
2. Two of the poorly performing applications run in the same Pluggable Database (PDB) in an Oracle 12c multitenant Container Database (CDB) with four PDBs.
3. One of the poorly performing applications runs in a different PDB in the same CDB.
4. One of the poorly performing applications runs in an Oracle 12c non-CDB, which also hosts other applications.
5. You have the Oracle Resource Manager configured for the CDB, all PDBs, and the non-CDB.
6. Each application has a separate consumer group associated with the sessions that are running that application.
A check of wait events for the sessions belonging to these applications shows that the sessions are waiting longer and that there are more sessions from other applications in the same database instance.
You want to avoid scaling up your Database Deployment in Oracle Cloud.
Which three should you check and possibly reconfigure to avoid the need to scale up the Database Deployment?
A. Check the CDB plan only to configure the shares allocated to the PDB that contains the two poorly performing applications.
B. Check the CDB plan to configure the shares allocated to all PDBs, including the PDB that contains the two poorly performing applications.
C. Check the PDB plan for the PDB that is hosting the two poorly performing applications.
D. Check the shares allocated only to the consumer group in the non-CDB that is used by the poorly performing application.
E. Check the PDB plan for all the PDBs in the CDB, including the PDB that is hosting the two poorly performing applications.
F. Check the shares allocated to all consumer groups in the non-CDB.
Answer: B,E,F
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