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NEW QUESTION: 1
A company is hosting a web application on AWS using a single Amazon EC2 instance that stores user-uploaded documents in an Amazon EBS volume For better scalability and availability the company duplicated the architecture and created a second EC2 instance and EBS volume in another Availability Zone:
placing both behind an Application Load Balancer After completing this change users reported that each time they refreshed the website they could see one subset of their documents or the other but never all of the documents at the same time What should a solutions architect propose to ensure users see all of their documents at once?
A. Configure the Application Load Balancer to direct a user to the server with the documents
B. Copy the data from both EBS volumes to Amazon EFS Modify the application to save new documents to Amazon EFS
C. Copy the data so both EBS volumes contain all the documents
D. Configure the Application Load Balancer to send the request to both servers Return each document from the correct server
Answer: B
Explanation:
Explanation
https://docs.aws.amazon.com/efs/latest/ug/how-it-works.html#how-it-works-ec2 Amazon EFS provides file storage in the AWS Cloud. With Amazon EFS, you can create a file system, mount the file system on an Amazon EC2 instance, and then read and write data to and from your file system. You can mount an Amazon EFS file system in your VPC, through the Network File System versions 4.0 and 4.1 (NFSv4) protocol. We recommend using a current generation Linux NFSv4.1 client, such as those found in the latest Amazon Linux, Redhat, and Ubuntu AMIs, in conjunction with the Amazon EFS Mount Helper. For instructions, see Using the amazon-efs-utils Tools.
For a list of Amazon EC2 Linux Amazon Machine Images (AMIs) that support this protocol, see NFS Support. For some AMIs, you'll need to install an NFS client to mount your file system on your Amazon EC2 instance. For instructions, see Installing the NFS Client.
You can access your Amazon EFS file system concurrently from multiple NFS clients, so applications that scale beyond a single connection can access a file system. Amazon EC2 instances running in multiple Availability Zones within the same AWS Region can access the file system, so that many users can access and share a common data source.
How Amazon EFS Works with Amazon EC2

https://docs.aws.amazon.com/efs/latest/ug/how-it-works.html#how-it-works-ec2

NEW QUESTION: 2
Your network contains an Active Directory domain and a Microsoft Azure Active Directory (Azure AD) tenant.
You implement directory synchronization for all 10.000 users in the organization.
You automate the creation of 100 new user accounts.
You need to ensure that the new user accounts synchronize to Azure AD as quickly as possible Which command should you run? To answer, select the appropriate options in the answer area.
NOTE: Each correct select ion is worth one point.

Answer:
Explanation:

Explanation

Azure AD Connect synchronizes Active Directory to Azure Active Directory on a schedule. The minimum time between synchronizations is 30 minutes.
If you want to synchronize changes to Active Directory without waiting for the next sync cycle, you can initiate a sync by using the Start-AdSyncSyncCycle. The Delta option synchronizes changes to Active Directory made since the last sync. The Full option synchronizes all Active Directory objects including those that have not changed.
Reference:
https://blogs.technet.microsoft.com/rmilne/2014/10/01/how-to-run-manual-dirsync-azure-active-directory-sync-u

NEW QUESTION: 3
Company James, Inc sells a variety of products on its Web site to the highest bidder.
What type of business model are they using?
A. Supply Chain improver
B. Name your price
C. Affiliate Marketing
D. Online Auction
Answer: D

NEW QUESTION: 4
Your client occasionally charges sales tax erroneously to some customers. The client's current process involves manually issuing a credit memo to correct the customer's account. Customers routinely deduct the sales tax from the invoice before paying. Identify two steps that can help simplify the clients current process. (Choose two.)
A. Set up transaction type for tax adjustment.
B. Select the TAX: Allow Override of Tax Code profile option.
C. Set up AutoAccounting.
D. Define receivables activity of adjustment with tax accounting distribution.
E. Define receivables activity of miscellaneous cash with tax accounting distribution.
F. Set up adjustment approval limits.
Answer: D,F