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NEW QUESTION: 1
Martha Garret, CFA, manages fixed income portfolios for Jones Brothers, Inc. (JBI). JBI has been in the portfolio management business for over 23 years and provides investors with access to actively managed equity and fixed-income portfolios. All of JBI's fixed-income portfolios are constructed using U.S. debt instruments. Garret's primary portfolio responsibilities are the Quasar Fund and the Nova Fund, both of which are long fixed-income portfolios consisting of Treasury securities in all maturity ranges. The Quasar Fund holdings as of March 15 are provided in Exhibit 1. A comparison of key rate durations for the Quasar Fund and Nova Fund is provided in Exhibit 2.
Of particular importance to Garret and her colleagues is the degree of interest rate risk exposure unique to each portfolio under JBI's management. Driving the increased awareness of the portfolios' interest rate exposure is the double digit growth in assets under management that JBI's fixed-income portfolios have experienced in the last five years. Interest in the company's fixed-income portfolios continues to grow and as a result, all portfolio managers are required to attend weekly meetings to discuss key portfolio risk factors. At the last meeting, Miranda Walsh, a principal at JBI, made the following comments:
"The variance of daily interest rate changes has been trending higher over the last three months leading us to believe that a period of high volatility is approaching in the next twelve to eighteen months. However, the reliability is questionable since the volatility estimates were derived using an option pricing model, which assumes constant interest rates."
"Also, the Treasury spot rate curve currently has a similar shape to the yield curve on Treasury coupon securities, which, according to the market segmentation theory of interest rate term structure, indicates a relatively high level of demand from investors for intermediate term securities. Overzealous trading by investors unwilling to move into other maturity ranges may create mispricing and opportunities for arbitrage." After the meeting, Walsh and JBI's other principals met to discuss a new international portfolio opportunity.
At Walsh's suggestion, the principals selected Garret as the lead portfolio manager for the new fund, which will be titled the Atlantic Fund. One of the other portfolio managers, Greg Terry, CFA, suggested to Garret that she utilize the LIBOR swap curve as a benchmark for the Atlantic fund rather than using local government yield curves. Terry justifies his suggestion by claiming that "the lack of government regulation in the swap market makes swap rates and curves directly comparable between different countries despite fewer maturity points with which to construct the curve as compared to a government yield curve.
Furthermore, credit risk in the swap curves of various countries is similar, thus avoiding the complications associated with different levels of sovereign risk embedded in government yield curves." Intrigued by the idea of using the swap curve, Garret has her assistant begin gathering a range of current and forward LIBOR rates.
Which of the following factors would have the most explanatory power for the historical returns of the Quasar Fund? Changes in the:
A. curvature of the yield curve.
B. level of interest rates.
C. slope of the yield curve.
Answer: B
Explanation:
Explanation/Reference:
Explanation:
Research conducted by Litterman and Scheinkman indicated that changes in the level of interest rates had the most explanatory power for returns on Treasury securities. Since the Quasar fund is composed of Treasuries of various maturities, Litterman and Scheinkmans research would be applicable. (Study Session 14, LOS 53-b)
NEW QUESTION: 2
(multiple) The MA5600T supports multiple traffic classification technologies. What are the currently supported traffic classification technologies?
A. Based on the user side VLAN
B. Based on the user side service encapsulation type
C. Based on VLAN + user side packet priority
D. Based on VLAN + user side service encapsulation type
Answer: A,B,C,D
NEW QUESTION: 3
The EtherChannel between your LAN switch and the Internet router is not load-balancing efficiently. On the switch, there are several workstations with valid IP ranges. Which load-balance algorithms can you use in the switch in order to optimize this load balancing? (Choose four.)
A. destination MAC address
B. source IP address
C. destination IP address
D. per-packet load balance
E. source MAC address
Answer: A,B,C,E
Explanation:
EtherChannel load balancing can use MAC addresses, IP addresses, or Layer 4 port
numbers with a Policy Feature Card 2 (PFC2) and either source mode, destination mode,
or both. The mode you select applies to all EtherChannels that you configure on the switch.
Use the option that provides the greatest variety in your configuration. For example, if the
traffic on a channel only goes to a single MAC address, use of the destination MAC
address results in the choice of the same link in the channel each time. Use of source
addresses or IP addresses can result in a better load balance. Issue the port-channel load-
balance {src-mac | dst-mac | srcdst-mac | src-ip | dst-ip | src-dst-ip | src-port | dst-port | src-
dst-port | mpls} global configuration command in order to configure the load balancing.
Issue the show etherchannel load-balance command in order to check the frame
distribution policy. You can determine which interface in the EtherChannel forwards traffic,
with the frame distribution policy as a basis.
Issue the remote login switch command to log in remotely to the Switch Processor (SP)
console in order to make this determination. Then, issue the test etherchannel load-
balance interface port-channel number {ip |
l4port | mac} [source_ip_add | source_mac_add | source_l4_port] [dest_ip_add |
dest_mac_add | dest_l4_port] command.
Topic 11, Evaluate proposed changes to a Network
NEW QUESTION: 4
As a project manager, you must formalize acceptance of the project scope and keep the project focused on the business need that it was undertaken to address. This should be done:
A. At the beginning of the project
B. When required by the Business Sponsor
C. After each phase of the project
D. At the end of the project
Answer: C
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