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NEW QUESTION: 1
Which of the following statements best describe the features of a primary key?
Each correct answer represents a complete solution. Choose three.
A. It should be simple and contain as few attributes as possible.
B. Its value should be changed time by time.
C. It should exist when the record is created.
D. It uniquely identifies each record.
Answer: A,C,D
Explanation:
The features of a primary key are as follows:
It uniquely identifies each record.
It cannot be null.
It should exist when the record is created.
Its value should remain stable once it is established.
It should be simple and contain as few attributes as possible.
NEW QUESTION: 2
Click the exhibit button.
Many end users are complaining that logging in their systems takes a long time. When the login to the desktop finishes, everything is fine. The home directories are on NetApp storage. You do not see any significant disk or CPU contention on the controller, so you gather output statistics from the controller and focus on SMB.
Referring to the exhibit, which two actions would help diagnose the problem? (Choose two.)
A. Engage your desktop team to collect network traces from the clients.
B. Collect more statistics to determine whether the controller itself is causing latency.
C. Engage your Windows team to make sure that the domain controllers are not overloaded.
D. Engage your network team to make sure that there are no issues between the storage controller and the domain controller.
Answer: B,D
NEW QUESTION: 3
Which of the following is not a limitation of the univariate Gaussian model to capture the codependence structure between risk factros used for VaR calculations?
A. A single covariance matrix is insufficient to describe the fine codependence structure among risk factors as non-linear dependencies or tail correlations are not captured.
B. It cannot capture linear relationships between risk factors.
C. Determining the covariance matrix becomes an extremely difficult task as the number of risk factors increases.
D. The univariate Gaussian model fails to fit to the empirical distributions of risk factors, notably their fat tails and skewness.
Answer: B
Explanation:
Explanation
In the univariate Gaussian model, each risk factor is modeled separately independent of the others, and the dependence between the risk factors is captured by the covariance matrix (or its equivalent combination of the correlation matrix and the variance matrix). Risk factors could include interest rates of different tenors, different equity market levels etc.
While this is a simple enough model, it has a number of limitations.
First, it fails to fit to the empirical distributions of risk factors, notably their fat tails and skewness. Second, a single covariance matrix is insufficient to describe the fine codependence structure among risk factors as non-linear dependencies or tail correlations are not captured. Third, determining the covariance matrix becomes an extremely difficult task as the number of risk factors increases. The number of covariances increases by the square of the number of variables.
But an inability to capture linear relationships between the factors is not one of the limitations of the univariate Gaussian approach - in fact it is able to do that quite nicely with covariances.
A way to address these limitations is to consider joint distributions of the risk factors that capture the dynamic relationships between the risk factors, and that correlation is not a static number across an entire range of outcomes, but the risk factors can behave differently with each other at different intersection points.
NEW QUESTION: 4
For each of the following statements, select Yes if the statement is true. Otherwise, select No.
NOTE: Each correct selection is worth one point.
Answer:
Explanation: