Figure 2.1(b) shows the relationship of correlation to Euclidean distance for 100,000 randomly generated points that have been standardized to have a mean of 0 and a standard deviation of 1. What general observation can you make about the relationship between Euclidean distance and correlation when the vectors have been standardized to have a mean of 0 and a standard deviation of 1?

Here, we further explore the cosine and correlation measures.


Same as previous answer, but with correlation substituted for cosine.Same as previous answer, but with correlation substituted for cosine.

Computer Science & Information Technology

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Computer Science & Information Technology

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Computer Science & Information Technology

Your company is going to launch a new version of a banking application. To ensure an appropriate security posture, the team performed penetration tests using accounts with varying levels of access. Which of the following would be the best additional step to take?

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Computer Science & Information Technology

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Computer Science & Information Technology