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NEW QUESTION: 1
You administer a Microsoft SQL Server 2014 failover cluster that contains two nodes named Node A and Node B.
A single instance of SQL Server is installed on the cluster.
An additional node named Node C has been added to the existing cluster.
You need to ensure that the SQL Server instance can use all nodes of the cluster.
What should you do?
A. Use Node B to install SQL Server on Node C.
B. Run the Add Node to SQL Server Failover Cluster Wizard on Node C.
C. Run the New SQL Server stand-alone installation Wizard on Node C.
D. Use Node A to install SQL Server on Node C.
Answer: B
Explanation:
To add a node to an existing SQL Server failover cluster, you must run SQL Server Setup on the node that is to be added to the SQL Server failover cluster instance. Do not run Setup on the active node.
The Installation Wizard will launch the SQL Server Installation Center. To add a node to an existing failover cluster instance, click Installation in the left-hand pane. Then, select Add node to a SQL Server failover cluster.
References:
http://technet.microsoft.com/en-us/library/ms191545.aspx
NEW QUESTION: 2
Factor Analytics Capital Management makes portfolio recommendations using various factor models.
Mauricio Rodriguez, a Factor Analytics research analyst, is examining the prospects of two portfolios, the FACM Century Fund (CF) and the FACM Esquire Fund (EF).
The variance of returns are identical for the two funds. The estimates in Exhibit 1 were derived for CF and EF using monthly data for the past five years.

Supervisor Barbara Woodson asks Rodriguez to use the Capita! Asset Pricing Model (CAPM) and a multifactor model (APT) to make a decision to continue or discontinue the EF fund. The two factors in the multifactor model are not identified. To help with the decision, Woodson provides Rodriguez with the capital market forecasts in Exhibit 2.

After examining the prospects for the EF portfolio, Rodriguez derives the forecasts in Exhibit 3.

Rodriguez also develops a 2-factor macroeconomic factor model for the EF portfolio. The two factors used in the model are the surprise in GDP growth and the surprise in Investor Sentiment. The equation for the macro factor model is:

During an investment committee meeting, Woodson makes the following statements related to the 2-factor macroeconomic factor model.
Statement 1: An investment combination in CF and EF that provides a GDP growth factor beta equal to one and an Investor Sentiment factor beta equal to zero will have lower active factor risk than a tracking portfolio consisting of CF and EF.
Statement 2: When markets are in equilibrium, no combination of CF and EF will produce an arbitrage opportunity In their final meeting, Rodriguez informs Woodson that the CF portfolio consistently outperformed its benchmark over the past five years. Rodriguez makes the following comments to Woodson: "The consistency with which CF outperformed its benchmark is amazing. The difference between the CF monthly return and its benchmark return was nearly always positive and varied little over time." Are Woodson's Statements 1 and 2 regarding the macro factor model correct?
A. Only Statement 2 is correct.
B. Only Statement 1 is correct.
C. Both statements are correct.
Answer: A
Explanation:
Explanation/Reference:
Explanation:
A portfolio that has a factor beta equal to one for one factor and factor betas equal to zero for all other factors is called a "factor portfolio." In contrast, a portfolio that has factor betas equal to the benchmark factor betas is called a "tracking portfolio." Unlike the tracking portfolio, the factor portfolio betas are not identical to the benchmark betas. As a result, factor portfolios have higher active factor risk (which refers to the deviations of a portfolio's factor betas from those of the benchmark). Therefore, Woodson's first statement is not correct.
Her second statement is correct. When markets are in equilibrium, all expected (i.e., forecast) asset returns equal their required returns. An arbitrage opportunity refers to an investment that requires no cost and no risk yet still provides a profit. If markets are in equilibrium, no profits can be earned from a costless, riskless investment. (Study Session 18, LOS 64.j,m)
NEW QUESTION: 3
プラッガブルデータベース(PDB)の販売を含むマルチテナントコンテナデータベース(CDB)cdb1を複製する予定です。

どちらのステートメントが正しいのですか? (2つを選択してください)
A. RMANは、コマンドの実行のためにリカバリ・カタログに接続する必要があります。
B. 補助インスタンスは、初期化パラメータENABLE_PLUGGABLE_DATABASEをTRUEに設定して起動している必要があります。
C. SALES PDBのみが非CDB CDBDUPとして複製されます。
D. コマンドの実行前にSALES PDBのバックアップが存在していなければなりません。
E. ルートデータベースとシードデータベースは複製に含まれています。
Answer: B,E
Explanation:
Explanation
D: When duplicating a whole CDB or one more PDBs:
You must create the auxiliary instance as a CDB. To do so, start the instance with the following declaration in the initialization parameter file:
enable_pluggable_database=TRUE
A: To duplicate PDBs, you must create the auxiliary instance as a CDB. To do so, start the instance with the declaration enable_pluggable_database=TRUE in the initialization parameter file. When you duplicate one or more PDBs, RMAN also duplicates the root (CDB$ROOT) and the seed database (PDB$SEED). The resulting duplicate database is a fully functional CDB that contains the root, the seed database, and the duplicated PDBs.
References: https://docs.oracle.com/database/121/BRADV/rcmdupdb.htm
NEW QUESTION: 4

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