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NEW QUESTION: 1
What is the minimum static charge able to cause disk drive data loss?
A. 2000 volts
B. 550 volts
C. 1000 volts
D. 1500 volts
Answer: D
Explanation:
A static charge of 1500 volts is able to cause disk drive data loss.
A charge of 1000 volts is likely to scramble monitor display and a charge of 2000 volts can cause
a system shutdown.
It should be noted that charges of up to 20,000 volts or more are possible under conditions of very
low humidity with non-static-free carpeting.
Source: KRUTZ, Ronald L. & VINES, Russel D., The CISSP Prep Guide: Mastering the Ten
Domains of Computer Security, John Wiley & Sons, 2001, Chapter 10: Physical Security (page
333).

NEW QUESTION: 2
A customer is having problems connecting to a wireless network in a shared office space. The customer can detect several other wireless network signals. All of the wireless networks have different SSIDs but several are using the same encryption type. Which of the following should be configured on the customer's wireless network to improve connectivity to the wireless network?
A. Change the SSID to match other wireless networks for increased throughput.
B. Change the WAP to a different manufacturer than the other wireless networks.
C. Change the channel to a different channel than the other wireless networks.
D. Change the encryption type to a different mechanism to avoid interference.
Answer: C
Explanation:
To reduce interference between wireless APs, ensure that wireless APs with overlapping signals use unique channel frequencies. The 802.11b standard reserves 14 frequency channels for use with wireless APs. You can use any other channel instead of the one that you are using.

NEW QUESTION: 3
A and B are two stocks with normally distributed returns. The returns for stock A have a mean of 5% and a standard deviation of 20%. Stock B has a mean of 3% and standard deviation of 5%. Their correlation is -0.6.
What is the mean and volatility of a portfolio which holds stocks A and B in the ratio 6:4?
A. 4% and 10.92%
B. 4.2% and 14%
C. 4.2% and 10.92%
D. 4.2% and 1.19%
Answer: C
Explanation:
Explanation
The mean can be calculated quite easily as a weighted average, and in this case it is 0.6*5% + 0.4*3% = 4.2%.
The variance can be calculated with the formula for portfolio variance as = (0.6

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