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C1000-183 Exam Simulator
  • Exam Code: C1000-183
  • Exam Name: IBM Maximo Manage v9.0 Functional Deployment - Professional
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NEW QUESTION: 1
Your company has two physical locations configured in a geo-clustered environment that includes:
Your company has recently signed up for Azure.
You plan to leverage your current network environment to provide a backup solution for your VMs.
You need to recommend a solution that ensures all VMs are redundant and deployable between locations. You also want the solution to minimize downtime in the event of an outage at either physical location.
Which solution should you recommend?
A. Configure a backup vault in Azure and use Data Protection Manager to back up The
Windows Servers.
B. Use Data Protection Manager and back up the VMs in each location.
C. Use Azure site recovery in an on-premises to on-premises protection configuration.
D. Use Azure site recovery in an on-premises to Azure protection configuration.
Answer: C
Explanation:
On-Premises to On-Premises (Hyper-V replication)
Replicated data is stored in location specified on target Hyper-V server.
References: http://azure.microsoft.com/en-us/documentation/articles/hyper-v-recovery- manager-configure-vault/

NEW QUESTION: 2
DRAG DROP
You have a table named Table1 that contains 1 million rows. Table1 contains a column named Column1 that stores sensitive information. Column1 uses the nvarchar (16) data type.
You have a certificate named Cert1.
You need to replace Column1 with a new encrypted column named Column2 that uses one-way hashing.
Which code segment should you execute before you remove Column1?
To answer, move the appropriate code segments from the list of code segments to the answer area and arrange them in the correct order.

Answer:
Explanation:

Explanation:
Box 1:

First create a hash key using the certificate.
Not AES: AES is not based on hashing.
Box 2:

Add a column with varbinary data type.
Box 3:

Box 4:

Box 5:

Note:
* There are a few different hashing algorithms available in SQL Server 2005: MD2, MD4,
MD5, SHA, SHA1, with each having pros and cons.
* In cryptography, SHA-1 is a cryptographic hash function designed by the United States
National Security Agencyand published by the United StatesNISTas a USFederal
Information Processing Standard.SHA stands for "secure hash algorithm".The four
SHAalgorithmsare structured differently and are distinguished asSHA-0,SHA-1,SHA-2, andSHA-3.SHA-1 is very similar to SHA-0, but corrects an error in the original SHA hash specification that led to significant weaknesses.The SHA-0 algorithm was not adopted by many applications.SHA-2 on the other hand significantly differs from the SHA-1 hash function.
SHA-1 is the most widely used of the existing SHA hash functions, and is employed in several widely used applications and protocols.
* To encrypt a column of data using a simple symmetric encryption
In Object Explorer, connect to an instance of Database Engine.
On the Standard bar, click New Query.
Copy and paste the following example into the query window and click Execute.
USE AdventureWorks2012;
--If there is no master key, create one now.
IF NOT EXISTS
(SELECT * FROM sys.symmetric_keys WHERE symmetric_key_id = 101)
CREATE MASTER KEY ENCRYPTION BY
PASSWORD = '23987hxJKL95QYV4369#ghf0%lekjg5k3fd117r$$#1946kcj$n44ncjhdlj'
GO
CREATE CERTIFICATE Sales09
WITH SUBJECT = 'Customer Credit Card Numbers';
GO
CREATE SYMMETRIC KEY CreditCards_Key11
WITH ALGORITHM = AES_256
ENCRYPTION BY CERTIFICATE Sales09;
GO
-- Create a column in which to store the encrypted data.
ALTER TABLE Sales.CreditCard
ADD CardNumber_Encryptedvarbinary(128);
GO
-- Open the symmetric key with which to encrypt the data.
OPEN SYMMETRIC KEY CreditCards_Key11
DECRYPTION BY CERTIFICATE Sales09;
-- Encrypt the value in column CardNumber using the
-- symmetric key CreditCards_Key11.
-- Save the result in column CardNumber_Encrypted.
UPDATE Sales.CreditCard
SET CardNumber_Encrypted = EncryptByKey(Key_GUID('CreditCards_Key11')
, CardNumber, 1, HashBytes('SHA1', CONVERT( varbinary
, CreditCardID)));
GO

NEW QUESTION: 3
Which two statements are true regarding Identity Virtualization Library? (Choose two.)
A. If the back-end LDAP server port is configured over SSL, then the Oracle Identity
Manager user must use keytool to import the trusted certificate from the LDAP server into the Identity Virtualization Library keystore.
B. Identity Virtualization Library and Oracle Access Manager are on the same container.
C. Identity Virtualization Library can be installed on aseparate server on which the directory server is installed.
D. Identity Virtualization Library and Oracle Identity Manager are deployed on the same container.
Answer: A,D

NEW QUESTION: 4
Shirley Riley, CFA, has just been promoted, from vice president of trading to chief investment officer (CIO) at Crane & Associates, LLC (CA), a large investment management firm. Riley has been with CA for eight years, but she has much to learn as she assumes her new duties as CIO. Riley has decided to hire Denny Simpson, CFA, as the new compliance officer for CA, Riley and Simpson have been reviewing procedures and policies throughout the firm and have discovered several potential issues.
Communications with Clients
Portfolio managers are encouraged to communicate with clients on a regular basis. At a minimum, managers are expected to contact clients on a quarterly basis to review portfolio performance. Each client must have an investment policy statement (IPS) created when their account is opened, specifying the objectives and constraints for their portfolio. IPSs are reviewed at client request at any time. Any time market conditions dictate a change in the investment style or strategy of a client portfolio, the client is notified immediately by phone or email.
Employee Incentive Program
CA offers several incentive programs to employees. One of the most popular of these programs is the CA IPO program. Whenever CA is involved in an initial public offering (IPO), portfolio managers are allowed to participate. The structure is simple-for every 100 shares purchased on behalf of a client, the manager is awarded five shares for his own account. The manager is thus rewarded for getting an IPO sold and at the same time is able to share in the results of the IPO. Any¬time shares are remaining 72 hours before the IPO goes public, other employees are allowed to participate on a first-come, first-serve basis. Employees seem to appreciate this opportunity, but CA does not have exact numbers on employee participation in the program.
Private Equity Fund
CA has a private equity fund that is internally managed. This fund is made available only to clients with more than $5 million in assets managed by CA, a policy that is fully disclosed in CA's marketing materials.
Roughly one-third of the fund's assets are invested in companies that are either very small capitalization or thinly traded (or both). The pricing of these securities for monthly account statements is often difficult. CA support staff get information from different sources-sometimes using third party services, sometimes using CA valuation models. In some instances, a manager of the private equity fund will enter an order during the last trading hour of the month to purchase 100 shares of one of these small securities at a modest premium to the last trade price. If the trade gets executed, that price can then be used on the account statements. The small size of these trades does not significantly affect the fund's overall position in any particular company holding, which is typically several thousand shares.
Soft Dollar Usage
Several different managers at CA use independent research in developing investment ideas. One of the more popular research services among CA managers is "Beneath the Numbers (BTN)," which focuses on potential accounting abuses at prominent companies. This service often provides early warnings of problems with a stock, allowing CA managers the opportunity to sell their clients' positions before a negative surprise lowers the price. Stocks covered by BTN are typically widely held in CA client accounts.
Managers at CA have been so happy with BTN that they have also subscribed to a new research product provided by the same authors-"Beneath the Radar (BTR)." BTR recommends small capitalization securities that are not large enough to attract much attention from large institutional investors. The results of BTR's recommendations are mixed thus far, but CA managers are willing to be patient.
As they discuss these issues, Riley informs Simpson that she is determined to bring CA into full compliance with the CFA Institute's "Asset Manager Code of Professional Conduct." The following questions should be answered with the Asset Manager Code as a guide.
Indicate whether CA's policies related to investment policy statement (IPS) reviews and notification of changes in investment style/strategy are consistent with the Asset Manager Code of Professional Conduct.
A. The IPS review policy is adequate, but the policy on communicating changes in style / strategy is inadequate.
B. Both policies are inadequate.
C. Both policies are consistent with the Asset Manager Code of Professional Conduct.
Answer: B
Explanation:
Explanation/Reference:
Explanation:
The IPS review policy is inadequate. It is good that IPS are reviewed at any lime upon client request, but it is also likely that clients may be unaware of when such a review might be appropriate. It is incumbent upon the manager 10 initiate a review of the client's IPS. The Asset Manager Code recommends such reviews on an annual basis, or whenever changes in client circumstances justify them. The notification of changes in style/strategy is also inadequate. Such notification should be made in advance, so that the client has time to consider the change and react accordingly. (Study Session 2, LOS 6.b)
Topic 6, Corporate Finance

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