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NEW QUESTION: 1
Which of the following factors should be evaluated in considering the need for security officers to have weapons?
A. The nature of the potential threat
B. All of the above
C. The type of encounter to be faced by the security officer
D. The operational objective of the security officer
E. None of the above
Answer: B
NEW QUESTION: 2
A customer writes an internal application that does not run properly and crashes.
Which component of the HP VAN SDN Controller framework offers protection so that other applications continue to function?
A. OSGi
B. Zookeeper
C. Keystone
D. Cassandra
Answer: A
Explanation:
Reference:http://h20628.www2.hp.com/km-ext/kmcsdirect/emr_na-c04003169-2.pdf(page 44)
NEW QUESTION: 3
Which of the following are characteristics of the down payment process in SAP S/4HANA? (Choose two.)
A. The down payment uses a special settlement type (0S11)
B. The down payment process uses a special billing type (FAZ)
C. The down payment value is a fixed amount or percentage
D. The down payment process uses periodic billing
Answer: B,C
NEW QUESTION: 4
For a given mean, which distribution would you prefer for frequency modeling where operational risk events are considered dependent, or in other words are seen as clustering together (as opposed to being independent)?
A. Gamma
B. Negative binomial
C. Binomial
D. Poisson
Answer: B
Explanation:
Explanation
An interesting property that distinguishes the three most used distributions for modeling event frequency is that for a given mean, their variances differ. The ratio of variance to mean (the variance-mean ratio, calculated as variance/mean) can then be used to decide the kind of distribution to use. Both the variance and the mean can be estimated from available data points from the internal or external loss databases, or the scenario exercise.
The variance-mean ratio reflects how dispersed a distribution is. (In the PRMIA handbook, the variance to mean ratio has been described as the "Q-Factor".) The Poisson distribution has its mean equal to its variance, and therefore the variance to mean ratio is 1. For the negative binomial distribution, this ratio is always greater than 1, which means there is greater dispersion compared to the mean - or more intervals with low counts as well as more intervals with high counts. For the binomial distribution, the variance to mean ratio is less than one, which means it is less dispersed than the Poisson distribution with values closer to the mean.
In a situation where operational risk events are seen as clustering together, or dependent, the variance will be higher and it would be more appropriate to use the negative binomial distribution.