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NEW QUESTION: 1
Powerful Performance Presenters (PPP) is a performance attribution and evaluation firm for pension consulting firms and has recently been hired by Stober and Robertson to conduct a performance attribution analysis for TopTech. Tom Harrison and Wendy Powell are the principals for PPP. Although performance attribution has come under fire lately because of its shortcomings, Stober believes PPP provides a needed service to its clients. Robertson shares Stober's view of performance attribution analysis.
Stober and Robertson request that Harrison and Powell provide a discussion of performance measures.
During a conversation on complements to attribution analysis, Harrison notes the uses of the Treynor ratio.
He states that the Treynor ratio is appropriate only when the investor's portfolio is well diversified. Powell states that the Sharpe ratio and the Treynor ratio will typically yield the same performance rankings for a set of portfolios.
Stober requests that PPP do some performance attribution calculations on TopTech's managers. In order to facilitate the analysis, Stober provides the information in the following table:

Harrison states one of PPP's services is that it will determine if TopTech has chosen a valid benchmark.
Stoher volunteers that indeed his firm's benchmark possesses the properties of a valid benchmark and describes its composition. The benchmark has the following characteristics:
* It uses the top 10% of U.S. portfolio managers each year in each asset class as the benchmark for TopTech managers;
* TopTech is very careful to make sure that its managers are familiar with the securities in each benchmark asset class;
* The identities and weights of various securities in the TopTech benchmark are clearly defined.
During a presentation to Stober, Robertson, and other TopTech executives, Harrison and Powell describe how macro attribution analysis can decompose an entire fund's excess returns into various levels. In his introduction, Robertson delineates the six levels as net contributions, risk-free return, asset categories, benchmarks, investment managers, and allocations effects.
Robertson states that TopTech has performed impressively at the investment managers level tor three years in a row. Harrison and Powell then describe the levels in greater detail. Harrison describes the benchmark level as the difference between active managers' returns and their benchmark returns. Powell states that the investment managers' level reflects the returns to active management on the part of the fund's managers, weighted by the amount actually allocated to each manager.
At the request of Stober, Harrison and Powell explore alternatives to the benchmark TopTech is currently using for its small-cap value manager. After some investigation of the small-cap value manager's emphasis, Harrison and Powell derive four potential custom benchmarks and calculate two measures to evaluate the benchmarks: (1) the return to the manager's active management or A = portfolio return - benchmark return; and (2) the return to the manager's style or S = benchmark return - broad market return.
The following characteristics are presented below for each benchmark: (1) the beta between the benchmark and the small-cap value portfolio; (2) the tracking error (i.e., the standard deviation of A); (3) the turnover of the benchmark; and (4) the correlation between A and S.

Harrison and Powell evaluate the benchmarks based on the four measures.
Regarding their statements concerning the Sharpe and the Treynor ratios, are Harrison and Powell correct or incorrect?
A. Both are incorrect.
B. Only Powell is correct.
C. Only Harrison is correct.
Answer: C
Explanation:
Explanation/Reference:
Explanation:
Harrison is correct. Since the Treynor ratio uses beta, which measures only systematic risk, it is appropriate only for an investor with a well-diversified portfolio. Recall that unsystematic risk is diversified away in a well-diversified portfolio.
Powell is incorrect. The Sharpe ratio uses the standard deviation as the measure of risk. Since the Treynor ratio uses systematic risk as the relevant measure of risk, it may rank portfolios differently than the Sharpe ratio. Consider a portfolio with low systematic risk but high unsystematic and total risk. This portfolio may rank highly using the Trcynor ratio but quite low using the Sharpe ratio. (Study Session 17, LOS 47.p)

NEW QUESTION: 2
Where are license keys entered in TMS?
A. General Settings
B. Administrative Settings
C. Diagnostics
D. Maintenance
Answer: A

NEW QUESTION: 3
Your network contains an Active Directory domain. Active Directory is synced with Microsoft Azure Active Directory (Azure AD).
There are 500 domain-joined computers that run Windows 10. The computers are joined to Azure AD and enrolled in Microsoft Intune.
You plan to implement Windows Defender Exploit Guard.
You need to create a custom Windows Defender Exploit Guard policy, and then distribute the policy to all the computers.
What should you do? To answer, select the appropriate options in the answer area.
NOTE: Each correct selection is worth one point.

Answer:
Explanation:

Explanation

References:
https://docs.microsoft.com/en-us/intune/endpoint-protection-windows-10
https://docs.microsoft.com/en-us/windows/security/threat-protection/windows-defender-exploit-guard/enable-exp

NEW QUESTION: 4
Which of the following processes are performed during the design phase of the systems development life cycle (SDLC) model?
A. Develop test plans.
B. Program and test the new system. The tests verify and validate what has been developed.
C. Baseline procedures to prevent scope creep.
D. Define the need that requires resolution, and map to the major requirements of the solution.
Answer: C
Explanation:
Explanation/Reference:
Explanation:
Procedures to prevent scope creep are baselined in the design phase of the systems- development life cycle (SDLC) model.