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CompTIA SY0-701 - CompTIA Security+ Certification Exam Exam Braindumps

CompTIA SY0-701 - CompTIA Security+ Certification Exam Exam Braindumps

  • Certification Provider:CompTIA
  • Exam Code:SY0-701
  • Exam Name:CompTIA Security+ Certification Exam Exam Exam
  • Total Questions:276 Questions and Answers
  • Product Format: PDF & Test Engine Software Version
  • Support: 24x7 Customer Support on Live Chat and Email
  • Valid For: Worldwide - In All Countries
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  • Updates: 90 Days Free Updates Service
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NEW QUESTION: 1
Refer to the exhibit.

A customer submits this output, captured on a Cisco IOS router. Assuming that an MGCP gateway is configured with a ISDN BRI interface, which BRI changes resolve the issue?
A)

B)

C)

D)

A. Option B
B. Option C
C. Option A
D. Option D
Answer: B

NEW QUESTION: 2



A. Option B
B. Option C
C. Option D
D. Option A
E. Option E
Answer: C

NEW QUESTION: 3
Which of the following is not correct with regard to benzodiazepine?
A. This family of depressants is used to relieve anxiety and tension.
B. This depressant relieves muscle spasms and prevents convulsions.
C. When used to induce a "high," this depressant is taken in combination with other substances such as alcohol or marijuana.
D. This depressant is safer to use than that of other depressants.
E. Excessive use may result in physical and psychological dependence.
F. None of the above.
Answer: F

NEW QUESTION: 4
Which of the following persons is not subject to the fingerprinting requirements of the Securities Exchange
Act of 1934?
I. a registered transfer agent of a securities exchange
II. a firm that engages only in the sale of mutual fund shares
III. a receptionist at a brokerage firm who answers phones and directs calls to the agents employed by the
firm
IV. a market maker in the over-the-counter market
A. III only
B. I and III only
C. II and III only
D. II, III, and IV only
Answer: C
Explanation:
Only Selections II and III are not subject to the fingerprinting requirements of the Securities
Exchange Act of 1934. Firms that engage only in the sale of open-end investment company (mutual fund)
shares, as described in Selection II, are exempt; and employees who do not engage in the sale of
securities or activities involving any aspect of the securities or monies of a non-exempt firm are exempt,
which is the case for the receptionist at the brokerage firm described in Selection III.

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