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NEW QUESTION: 1
Which of the following is NOT one of the main intended goals of a DLP solution?
A. Regulatory compliance
B. Showing due diligence
C. Preventing malicious insiders
D. Managing and minimizing risk
Answer: C
Explanation:
Data loss prevention (DLP) extends the capabilities for data protection beyond the standard and traditional security controls that are offered by operating systems, application containers, and network devices. DLP is not specifically implemented to counter malicious insiders, and would not be particularly effective in doing so, because a malicious insider with legitimate access would have other ways to obtain data. DLP is a set of practices and controls to manage and minimize risk, comply with regulatory requirements, and show due diligence with the protection of data.

NEW QUESTION: 2
Which of the following statements is NOT true about a library server super administrator user in IBM Content Manager V8.5 for IBM DB2?
A. IBM Content Manager does not store the password for this user in the library server database.
B. The user must have database administrative privileges for the library server database.
C. The user relies on the shared connect ID to logon to the library server.
D. The user must be an operating system user.
Answer: C
Explanation:
Explanation/Reference:
Reference:
https://www-304.ibm.com/support/knowledgecenter/SSAHQR_8.4.3/com.ibm.installingcm.doc/ dcmcw128.htm

NEW QUESTION: 3
Refer to the exhibit.

Based on the exhibit, what is the problem?
A. Interface 25 on Switch-1 is incorrectly configured as an STP edge port and cause a loop to occur.
B. An issue causes the spanning tree to converge and re-converge again and again.
C. Interface 25 on Switch-1 does not support the correct VLANs and prevents the interface from receiving the correct STP role.
D. Switch-1 and another switch are configured with the same spanning tree priority and cause the root election to occur again and again.
Answer: B

NEW QUESTION: 4
A and B are two stocks with normally distributed returns. The returns for stock A have a mean of 5% and a standard deviation of 20%. Stock B has a mean of 3% and standard deviation of 5%. Their correlation is -0.6.
What is the mean and volatility of a portfolio which holds stocks A and B in the ratio 6:4?
A. 4.2% and 1.19%
B. 4.2% and 14%
C. 4.2% and 10.92%
D. 4% and 10.92%
Answer: C
Explanation:
Explanation
The mean can be calculated quite easily as a weighted average, and in this case it is 0.6*5% + 0.4*3% = 4.2%.
The variance can be calculated with the formula for portfolio variance as = (0.6

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