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Full Exam Name: EC-Council Disaster Recovery Professional (EDRP)
Vendor Name: EC-COUNCIL
Exam Code: 312-76
Questions with Answers (PDF) 65
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NEW QUESTION: 1
Virtual machine VM1 is unable to communicate with virtual machine VM2. Both virtual machines are connected to a portgroup named Production on vSwitch1 on host ESXi01. Which statement could explain why?
A. The only vmnic connected to vSwitch1 on ESXi01 is set to standby
B. Load balancing settings on Production do not match vSwitch1
C. The only vmnic connected to vSwitch1 on ESXi01 is set to unused
D. VM1 is configured for VGT, VM2 is configured for VST
Answer: D

NEW QUESTION: 2
Mike Diffle has been asked to evaluate the bonds of Hardin, Inc. The specific issue Diffle is considering has an 8% annual coupon and matures in two years. The bonds are currently callable at 101, and beginning in six months, they are callable at par. Bratton Corp, a competitor of Hardin's, also has bonds outstanding which are identical to Hardin's except that they are not callable. Diffle believes that the AA rating of both bonds is an accurate reflection of their credit risk. Diffle is wondering if the Bratton bonds might be a better investment than the Hardin bonds. Assume that the following 1-year interest rate tree is used to value bonds with a maturity of up to three years (this tree assumes interest rate volatility of 10%).
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Also, assume that the appropriate spot rates for securities maturing in one, two, and three years are 7.25%
,7.5%, and 7.80%, respectively.
Diffle believes he should begin his analysis with the option-free Bratton bonds. He decides to consider two different approaches to valuing the Bratton Bonds-one that uses the current spot rate curve and another that uses the interest rate tree given above.
For the next step in his analysis, Diffle has decided to calculate the value of the Hardin bonds using the interest rate tree. His assumption is that the bond will be called ai any node of the tree where the calculated value exceeds the call price. Diffle summarizes the results of his bond valuation analysis in a memo to his supervisor, Luke Puldo. In this memo, Diffle makes the following statements:
Statement 1: The value of the option embedded in the Hardin bonds can be derived by simply subtracting the interest rate tree value of the Hardin bonds from the interest rate tree value of the Bratton bonds.
Statement 2: I am concerned that the 10% volatility assumption used to develop the interest rate tree might be too low. A higher volatility assumption would result in a lower value for the Hardin bonds.
After reviewing Diffle's analysis, Puldo notes that Diffle has not included any information on the option adjusted spread (OAS) for the Hardin bonds. Puldo suggests that Diffle should evaluate the OAS in order to get an idea of the liquidity risk of the Hardin bonds. Diffle counters that the OAS may not be very informative in this case, since he is uncertain as to the reliability of the interest rate volatility assumption.
To finish his analysis, Diffle would like to use his binomial model to evaluate the interest rate risk of both the Hardin bonds and the Bratton bonds. Diffle has shocked interest rates by 25 basis points throughout the interest rate tree he has been using to value the two bond issues. Using the new rates, Diffle has calculated values for the bonds assuming a 25-basis-point increase or decrease in rates. He plans to use these values as inputs into the following formulas for duration and convexity:
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Puldo still believes that Difrle must include the OAS for the Hardin bonds in his report. Puldo points out that a proper benchmark is critical to any OAS analysis. Which of the following statements regarding benchmark interest rates and OAS is most accurate? Since liquidity risk is a critical issue, the OAS calculation for the Hardin bonds should:
A. use on-the-run interest rates for other callable Hardin bonds as a benchmark in order to isolate the liquidity risk of the 2-year bond issue.
B. be based on a benchmark that has no credit risk.
C. use on-the-run U.S. Treasury rates as a benchmark in order to isolate the credit risk of the Hardin bonds.
Answer: A
Explanation:
Explanation/Reference:
Explanation:
By using on-rhe-run races of the issuing company, there will be no difference in credit risk captured in the spread. The only risk left will be liquidity risk. Answer A is incorrect because using U.S. Treasury rates would not isolate the credit risk since liquidity risk would also be included. Answer C would not help differentiate the Hardin bonds from the Bratton bonds. (Study Session 14, LOS 54.g)

NEW QUESTION: 3
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A. Option B
B. Option D
C. Option A
D. Option C
Answer: B,C

NEW QUESTION: 4
ノーザントレイルアウトフィッターズは、メーリングリストに登録されている顧客に特別割引オファーを送信したいと考えています。
オーディエンスを生成する前に何を解決する必要がありますか?
A. エンゲージメントを決定する方法
B. メールを送信するタイミング
C. オファーはどうなりますか
D. オファーは誰から来たのか
Answer: C

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