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NEW QUESTION: 1
You have an Azure subscription that contains an Azure file share.
You have an on-premises server named Server1 that runs Windows Server 2016.
You plan to set up Azure File Sync between Server1 and the Azure file share.
You need to prepare the subscription for the planned Azure File Sync.
Which two actions should you perform in the Azure subscription? To answer, drag the appropriate actions to the correct targets. Each action may be used once, more than once, or not at all. You may need to drag the split bar between panes or scroll to view content.

Answer:
Explanation:

Explanation:
First action: Create a Storage Sync Service
The deployment of Azure File Sync starts with placing a Storage Sync Service resource into a resource group of your selected subscription.
Second action: Run Server Registration
Registering your Windows Server with a Storage Sync Service establishes a trust relationship between your server (or cluster) and the Storage Sync Service. A server can only be registered to one Storage Sync Service and can sync with other servers and Azure file shares associated with the same Storage Sync Service.
The Server Registration UI should open automatically after installation of the Azure File Sync agent.

Incorrect Answers:
Not Install the Azure File Sync agent: The Azure File Sync agent is a downloadable package that enables Windows Server to be synced with an Azure file share.
NEW QUESTION: 2
You have two tables named UserLogin and Employee respectively.
You need to create a Transact-SQL script that meets the following requirements:
* The script must update the value of the IsDeleted column for the UserLogin table to 1 if the value of the Id column for the UserLogin table is equal to 1.
* The script must update the value of the IsDeleted column of the Employee table to 1 if the value of the Id column is equal to 1 for the Employee table when an update to the UserLogin table throws an error.
* The error message "No tables updated!" must be produced when an update to the Employee table throws an error.
Which five Transact-SQL segments should you use to develop the solution? To answer, move the appropriate Transact-SQL segments from the list of Transact-SQL segments to the answer area and arrange them in the correct order.

Answer:
Explanation:

Explanation

A TRY block must be immediately followed by an associated CATCH block. Including any other statements between the END TRY and BEGIN CATCH statements generates a syntax error.
References: https://msdn.microsoft.com/en-us/library/ms175976.aspx
NEW QUESTION: 3
Which of the following should be included when calculating the Gross Income indicator used to calculate operational risk capital under the basic indicator and standardized approaches under Basel II?
A. Fees paid to outsourcing service proviers
B. Net non-interest income
C. Operating expenses
D. Insurance income
Answer: B
Explanation:
Explanation
Gross income is defined by Basel II (see para 650 of the Basel standard) as net interest income plus net non-interest income. It is intended that this measure should: (i) be gross of any provisions (e.g. for unpaid interest); (ii) be gross of operating expenses, including fees paid to outsourcing service providers; (iii) exclude realised profits/losses from the sale of securities in the banking book; and (iv) exclude extraordinary or irregular items as well as income derived from insurance.
What this means is that gross income is calculated without deducting any provisions or operating expenses from net interest plus non-interest income; and does not include any realised profits or losses from the sale of securities in the banking book, and also does not include any extraordinary or irregular item or insurance income.
Therefore operating expenses are to be not to be deducted for the purposes of calculating gross income, and neither are any provisions. Profits and losses from the sale of banking book securities are not considered part of gross income, and so isn't any income from insurance or extraordinary items.
Of the listed choices, only net non-interest income needs to be included for gross income calculations, and the others are to be excluded. Therefore Choice 'd' is the correct answer. Try to remember the components of gross income from the definition above because in the exam the question may be phrased differently.
NEW QUESTION: 4
한 회사가 전자 상거래 웹 사이트를위한 다중 계층 애플리케이션을 만들었습니다. 이 웹 사이트는 퍼블릭 서브넷에있는 Application Load Balancer, 퍼블릭 서브넷의 웹 계층, 프라이빗 서브넷의 Amazon EC2 인스턴스에서 호스팅되는 MySQL 클러스터를 사용합니다. MySQL 데이터베이스는 타사 공급자가 인터넷에서 호스팅하는 제품 카탈로그 및 가격 정보를 검색해야 합니다. 솔루션 아키텍트는 운영 오버 헤드를 늘리지 않고 보안을 극대화하는 전략을 고안해야 합니다.
솔루션 아키텍트는 이러한 요구 사항을 충족하기 위해 무엇을 해야 합니까?
A. 인터넷 게이트웨이를 구성하고 VPC에 연결합니다. 인터넷 바운드 트래픽을 인터넷 게이트웨이로 보내도록 프라이빗 서브넷 라우팅 테이블을 수정합니다.
B. 가상 프라이빗 게이트웨이를 구성하고 VPC에 연결합니다. 인터넷 바운드 트래픽을 가상 프라이빗 게이트웨이로 보내도록 프라이빗 서브넷 라우팅 테이블을 수정합니다.
C. VPC에 NAT 인스턴스를 배포합니다. NAT 인스턴스를 통해 모든 인터넷 기반 트래픽을 라우팅합니다.
D. 퍼블릭 서브넷에 NAT 게이트웨이를 배포합니다. 모든 인터넷 바운드 트래픽을 NAT 게이트웨이로 보내도록 프라이빗 서브넷 라우팅 테이블을 수정합니다.
Answer: D