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NEW QUESTION: 1
Contosoのストレージ要件を特定する必要があります。
次の各ステートメントについて、ステートメントがtrueの場合は[はい]を選択します。それ以外の場合は、[いいえ]を選択します。
注:それぞれの正しい選択は1ポイントの価値があります。

Answer:
Explanation:

Explanation

Box 1: Yes
Contoso is moving the existing product blueprint files to Azure Blob storage.
Use unmanaged standard storage for the hard disks of the virtual machines. We use Page Blobs for these.
Box 2: No
Box 3: No

NEW QUESTION: 2
A stock sells for $100, and a call on the same stock for one year hence at a strike price of $100 goes for $35.
What is the price of the put on the stock with the same exercise and strike as the call? Assume the stock pays dividends at 1% per year at the end of the year and interest rates are 5% annually.
A. $41.50
B. $35
C. $31.95
D. $31.20
Answer: D
Explanation:
Explanation
We know from the put-call parity that:
Call - Put = Stock - Deposit
In the given situation,
Stock price = 100
call = 35
Put = ?
Exercise price = 100
However, we cannot use the stock price as-is, we need to adjust it for dividends that will be received during the period for which the option is valid. Dividends are $1, which need to be discounted to the present. In financial theory, dividends are often assumed to be continuously paid, though in reality they are single discrete payments at points in time. In this situation, for simplicity we assume that the dividend is paid at the end of the year, and needs to be discounted to the present and deducted from the spot price.
Therefore:
Stock price adjusted for dividends = $100 - ($1/1.05) = $100 - $0.95 = $99.05 Similarly, the bank deposit amount, which is the PV of the exercise price, can be calculated as $100/1.05 =
$95.24
We can now calculate the price of the put by plugging the numbers above in the put-call parity:
35 - Put = $99.05 - $95.24
Therefore the value of the put = 31.19, which is closest to 31.20 which therefore is the correct answer.

NEW QUESTION: 3
When your client runs the Tax Summary Report (R0018P) for the first time and no data appears. You immediately check the Tax Table (F0018) and find it empty. Which of the following has not been set up?
A. The Tax Rules by Company program.
B. The Tax Authority in the Address Book program.
C. The processing option In the Auto Payments Update program
D. The processing option In the post program, to update the tax table
E. The Supplier Master program, to update the tax table
Answer: D
Explanation:
Explanation/Reference:
Explanation:
download.oracle.com/docs/cd/B31039_02/jded/.../e1_812are-b_0406.pdf

NEW QUESTION: 4
HOTSPOT
Note: This question is part of a series of questions that use the same scenario. For your convenience, the scenario is repeated in each question. Each question presents a different goal and answer choices, but the text of the scenario is exactly the same in each question in this series.
You maintain a Microsoft SQL Server instance that contains the following databases SalesDb1, SalesDb2, and SalesDb3. Each database has tabled named Products and Sales. The following table shows the configuration of each database.

The backup strategies for each database are described in the following table.

Each full or differential backup operation writes into a new file and uses a different sequence number.
You observe the following database corruption issues.

SalesDb3 reports a number of database corruption issues related to error 823 and 824 when reading data pages. You must display the following information about the corrupted pages:
database name
impacted file id
impacted file physical name
impacted page id
event type that identifies the error type
error count
Users report performance issues when they run queries against SalesDb2. You plan to monitor query statistics and execution plans for SalesDb2 by using Query Store. The monitoring strategy must meet the following requirements:
Perform automatic data cleanup when query store disk usage reaches 500 megabyte (MB).
Capture queries based on resource consumption.
Use a stale query threshold value of 60 days.
The query optimizer generates suboptimal execution plans for a number of queries on the Sales table in SalesDb2. You will create a maintenance plan that updates statistics for the table. The plan should only update statistics that were automatically created and have not been updated for 30 days. The update should be based on all data in the table.
You need to recover SalesDb2 and SalesDb3 while minimizing the data loss.
In the table below, identify the recovery strategy you should use for each database.
NOTE: Make only one selection in each column. Each correct selection is worth one point.

Answer:
Explanation:

SalesDB2:
Row data are torn (error 824)
How to Fix Torn Pages
Run DBCC checkdb see for inconsistencies
Check your error logs first and then restore your last backups and transaction logs.
All backups are lost.
SalesDB3:
Checksum issues for data pages.
FEPAIR_REBUILD
Performs repairs that have no possibility of data loss. This can include quick repairs, such as repairing missing rows in non-clustered indexes, and more time-consuming repairs, such as rebuilding an index.
References: https://docs.microsoft.com/en-us/sql/relational-databases/backup-restore/manage-the- suspect-pages-table-sql-server


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