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NEW QUESTION: 1
You are installing a new EMC NetWorker server and would like alerts to be sent automatically to EMC Support. What additional component needs to be included as part of this installation?
A. EMC HomeBase Agent
B. ConnectEMC
C. EMC NetWorker License Manager
D. SNMP Alert
Answer: B

NEW QUESTION: 2
You want to search the Apache Web server having version 2.0 using google hacking. Which of the following search queries will you use?
A. intitle:Sample.page.for.Apache Apache.Hook.Function
B. intitle:test.page "Hey, it worked !" "SSl/TLS aware"
C. intitle:"Test Page for Apache Installation" "It worked!"
D. intitle:"Test Page for Apache Installation" "You are free"
Answer: A

NEW QUESTION: 3
Click the Exhibit button.

user@host> monitor traffic interface ge-0/0/3
verbose output suppressed, use <detail> or <extensive> for full protocol decode Address resolution is ON. Use <no-resolve> to avoid any reverse lookup delay.
Address resolution timeout is 4s.
Listening on ge-0/0/3, capture size 96 bytes
Reverse lookup for 172.168.3.254 failed (check DNS reachability). Other reverse lookup failures will not be reported.
Use <no-resolve> to avoid reverse lockups on IP addresses.
19:24:16.320907 In arp who-has 172.168.3.254 tell 172.168.3.1
19.24:17.322751 In arp who has 172.168.3.254 tell 172.168.3.1
19.24:18.328895 In arp who-has 172.168.3.254 tell 172.168.3.1
19.24:18.332956 In arn who has 172.168.3.254 tell 172.168.3.1
A new server has been set up in your environment. The administrator suspects that the firewall is blocking the traffic from the new server. Previously existing servers in the VLAN are working correctly. After reviewing the logs, you do not see any traffic for the new server.
Referring to the exhibit, what is the cause of the problem?
A. The firewall has a filter enabled to block traffic from the server.
B. The server is in the wrong VLAN.
C. The firewall has been misconfigured with the incorrect routing-instance.
D. The server has been misconfigured with the wrong IP address.
Answer: C

NEW QUESTION: 4
Cindy Hatcher, CFA, has spent the last ten years as a portfolio manager with Bernhardt Capital. While working for Bernhardt, Hatcher was responsible for maintaining and improving the company's code of ethics and guidelines for ethical money management. As a result of Hatcher's efforts, Bernhardt saw a dramatic decline in the number of complaints received from their individual and institutional customers.
One of Bernhardt's direct competitors, Smith Investments, is keenly aware of Hatcher's reputation for ethical business practices and has offered her a job as their compliance officer. Hatcher has been apprised of several potential ethical problems at Smith that she will be directly responsible for fixing through implementation of policies and procedures that will prevent ethical dilemmas. The management at Smith is willing to grant Hatcher the authority to construct and implement policies to eliminate the ethical problems at the company.
Hatcher agrees to accept the position with Smith and resigns from employment with Bernhardt. As her first initiative with the company, Hatcher distributes to all employees at Smith a survey intended to acquaint her with the company's common business practices. Her goal is to identify those factors that are most likely to interfere with Smith's compliance with the CFA Institute's Code of Ethics and Standards of Practice. After collecting and analyzing the anonymous responses to the survey, Hatcher has identified the following four issues as the most frequently cited questionable business practices:
1. Many Smith employees have relatives who are clients of the firm. For relatives* accounts where the Smith employee does not have beneficial ownership, trades are generally executed in conjunction with trades for other discretionary accounts held at the firm. Only in accounts where the Smith employee has beneficial ownership are trades delayed until all discretionary account trading is completed.
2. Many of Smith's employees either personally own or maintain, through a family member, beneficial ownership of stocks that are also held in accounts for many of the firm's clients. While the company maintains a strict disclosure policy to the firm of such beneficial ownership and an "at will" disclosure policy to its clients, employees are not barred from trading these securities for their personal benefit even if their clients also own or have a direct or indirect financial interest in the same securities.
3. Account managers meet weekly to discuss the issues and concerns of the client portfolios managed at the firm. During the meetings it is not unusual for individual clients to be identified and discussed.
Information regarding the client's holdings and investment strategy is discussed as well as persona! needs related to the client's portfolio. The meetings are held in order to provide guidance and continuing education to all of the firm's account managers.
4. At the suggestion of fixed-income analysts at the firm, most of the portfolio managers working for Smith have been adding B-rated corporate fixed-income securities to their portfolios. Analysts originally made (and continue to make) the suggestion due to the attractive yield potential offered by this class of investments. Smith's portfolio managers were thrilled with the idea since the returns on many of the portfolios' equity positions have been stifled by high profile accounting scandals.
Management at Smith Investments has been pleased with Hatcher's efforts so far but is concerned about the firm's ability to maintain compliance with the CFA Institute's Global Investment Performance Standards (GIPS®). The managing director of the firm, Erich Prince, has made the following comments to Hatcher:
"I am concerned that we will not be able to claim compliance with GIPS at the end of the year since our new information system has inhibited our ability to include terminated portfolios in the historical record up to the last full measurement period before they were terminated. Also, we are unable to regroup portfolios that utilize hedging into separate composites from those that do not utilize hedging. These portfolios are currently grouped according to traditional value and growth strategies based on the capitalization of portfolio holdings (i.e., large vs. small)." Hatcher eases Prince's mind by telling him she will "ensure full compliance with GIPS by the end of the quarter." Which of the following procedures should Hatcher enact to ensure that Smith Investments is in compliance with Standard IV(B.5) Preservation of Confidentiality? Prohibit:
A. discussion of clients' individual needs at the weekly meetings of account managers.
B. identification of clients being discussed at the weekly meetings of account managers.
C. discussion of clients' holdings and investment strategy at the weekly meetings of account managers.
Answer: B
Explanation:
Explanation/Reference:
Explanation:
Standard 111(E) requires members to preserve client confidentiality unless the client is engaged in illegal activities or an investigation by the CFA Institute requires disclosure of confidential client information. The managers are allowed to discuss strategies and other issues to better serve their clients as long as they maintain the confidentiality of each client. (Study Session 1, LOS 2.a)


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