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NEW QUESTION: 1
You have a server named Server1 that runs Windows Server 2016.
Server1 has two network cards. One network card connects to your internal network and the other network card connects to the Internet.
You plan to use Server1 to provide Internet connectivity for client computers on the internal network.
You need to configure Server1 as a network address translation (NAT) server.
Which server role or role service should you install on Server1 first?
A. DirectAccess and VPN (RAS)
B. Routing
C. Network Controller
D. Web Application Proxy
Answer: B

NEW QUESTION: 2
An instructor is preparing to teach a class that requires a component break down demonstration. After arriving, the instructor is told by the client that this class will be taught as lecture only. Who is responsible for preventing this type of conflict in the future?
A. The client's training manager because they should know how to properly deliver this training.
B. The instructor because a pre-course classroom setup assessment should have been conducted.
C. The client's training coordinator because they should setup that class according to delivery method normally used for the topic.
D. The instructor's contract manager because pre-course student assessments should have addressed this need.
Answer: B
Explanation:
Explanation/Reference:
Explanation:

NEW QUESTION: 3
Which of the following statements about Beta is TRUE?
A. In the characteristic line, the termEResidualsequals the portion of the asset's returns that are correlated to the market portfolio's returns.
B. Beta and standard deviation differ as risk measures in that beta measures only systematic risk, whereas standard deviation measures only unsystematic risk.
C. The calculation of Beta assumes that future variability will equal past variability.
D. Beta <1, ERstock>ERmarket.
Answer: C
Explanation:
Explanation/Reference:
Explanation:
Standard deviation measures total risk. When Beta < 1, ERstock< ERmarket. The characteristic line is the equation for Beta. The error term, EResiduals, equals the portion of the asset's returns that areuncorrelatedto the market portfolio's returns, or unsystematic risk. This error term has an expected value of 0 and the standard deviation is called the residual standard error.