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Exam Code: C1000-138

Exam Name: IBM API Connect v10.0.3 Solution Implementation

Certification Provider: IBM

Related Certification: IBM API Connect v10.0.3 Solution Implementation

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NEW QUESTION: 1
There are several differences between NetFlow and full-packet capture. Which of the following statements are true?
A. Full-packet capture is faster.
B. Full-packet capture provides the same information as NetFlow.
C. One of the major differences and disadvantages of full-packet capture is cost and the amount of data to be analyzed.
D. In many scenarios, full-packet captures are easier to collect and require pretty much the same analysis ecosystem as NetFlow.
Answer: C

NEW QUESTION: 2
When configuring OceanStor BCManager eReplication, which of the following thresholds can be set? (Multiple Choice)
A. Bandwidth
B. CPU Usage
C. Disk Usage
D. Memory Usage
Answer: B,C,D

NEW QUESTION: 3
Which of the following expressions represents the Sharpe ratio, where is the expected return, is the standard deviation of returns, rm is the return of the market portfolio and if is the risk free rate:
A. Option A
B. Option D
C. https://www.riskprep.com/images/stories/questions/102.10.d.png
D. Option B
E. Option C
F. https://www.riskprep.com/images/stories/questions/102.10.b.png
C)
https://www.riskprep.com/images/stories/questions/102.10.a.png
D)
https://www.riskprep.com/images/stories/questions/102.10.c.png
Answer: A
Explanation:
Explanation
The Sharpe ratio is the ratio of the excess returns of a portfolio to its volatility. It provides an intuitive measure of a portfolio's excess return over the risk free rate. The Sharpe ratio is calculated as [(Portfolio return - Risk free return)/Portfolio standard deviation]. Therefore Choice 'c' is the correct answer.
The Treynor ratio is similar to the Sharpe ratio, but instead of using volatility in the denominator, it uses the portfolio's beta. Therefore the Treynor Ratio is calculated as [(Portfolio return - Risk free return)/Portfolio's beta].
Jensen's alpha is another risk adjusted performance measure. It considers only the 'alpha', or the return attributable to a portfolio manager's skill. It is the difference between the return of the portfolio, and what the portfolio should theoretically have earned. Any portfolio can be expected to earn the risk free rate (rf), plus the market risk premium (which is given by [Beta x (Market portfolio's return - Risk free rate)]. Jensen's alpha is therefore the actual return earned less the risk free rate and the beta return.
Refer to the tutorial on risk adjusted performance measures for more details.


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