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NEW QUESTION: 1
A. Option D
B. Option B
C. Option C
D. Option A
Answer: A,D
Explanation:
A) With NFS, the default is alway thin provisioned. Provisioning there should not have much benefit from VAAI offloads, except when you are not creating a thin disk. In that case, you utilize the "space reservation" function of VAAI, which allows you to create an EZT disk, but that doesn't really mean I am creating the disk a lot faster. Actually, I'm not offloading the writing of zeroes at all via NFS, so performance is not the key part of this VAAI function.
B) The answer doesn't tell met what option is selected, regardless of the option I choose, I can either use features like for example ATS or Write-Same, depending on which type of disk I'm provisioning (obviously this applies to block storage).
C) VMware KB 1021976 clearly states "VAAI hardware offload cannot be used when: [..] Cloning a virtual machine that has snapshots (or doing a View replica or recompose), because this process involves consolidating the snapshots into the virtual disks of the target virtual machine". So this answer isn't correct in my opinion.
D) You should distinguish between the deletion of an entire disk, and the space reclaim function for thin provisioning (TP Unmap) which is covered by Cormac here:http://cormachogan.com/2012/11/08/vaai-comparison-block-versus-nas/. The Unmap primitive was actually introduced with vSphere 5.0, and did include the feature that, when a VM was vMotioned to a different disk, or a VM was deleted, Unmap would reclaim the space. Unfortunately, they noticed that this could cause a performance problem, and they disabled the primitive the vSphere 5.0 patch 2. They then re-enabled it, but as a manual process with vSphere 5.0U1. See:http://blogs.vmware.com/vsphere/2012/03/vaai-thin-provisioning-block-reclaimunmapis-back-in-50u1.html
NEW QUESTION: 2
Which function provided by lawyers can be useful to a potential money launderer as documented by FATF in its typology report 2000-2001? Choose 3 answers
A. Buying and selling property
B. Providing legal advice
C. Performing financial transactions on behalf of a client
D. Creating complex legal arrangements
Answer: A,C,D
NEW QUESTION: 3
Note: this question is part of a series of questions that use the same or similar answer choices. An answer choice may be correct for more than one question in the series. Each question is independent of the other questions in the series. Information and details provided in a question apply only to that question.
You are developing an application to track customer sales.
You need to create an object that meets to following requirements:
Run managed code packaged in an assembly that was created in the Microsoft.NET Framework and
uploaded in Microsoft SQL Server.
Run written a transaction and roll back if a failure occurs.
Run when a table is created or modified.
What should you create?
A. scalar-valued function
B. DML trigger
C. DDL trigger
D. user-defined procedure
E. CLR procedure
F. table-valued function
G. extended procedure
Answer: E
Explanation:
Explanation/Reference:
Explanation:
The common language runtime (CLR) is the heart of the Microsoft .NET Framework and provides the execution environment for all .NET Framework code. Code that runs within the CLR is referred to as managed code.
With the CLR hosted in Microsoft SQL Server (called CLR integration), you can author stored procedures, triggers, user-defined functions, user-defined types, and user-defined aggregates in managed code.
References: https://docs.microsoft.com/en-us/dotnet/framework/data/adonet/sql/introduction-to-sql-server- clr-integration
NEW QUESTION: 4
You have created two analytic views for actual and planned financial data. The data covers multiple years.
You want to display the actual data, planned data, and their difference in three separate columns in a report. The difference column is a calculated column.
How can you model this?
A. * Create a calculation view.
* Combine the analytic views in the calculation view using a UNION.
B. * Create restricted columns for each year for the actual and planned columns in each analytic view.
* Combine the analytic views in a new calculation view using a UNION.
C. * Create a calculation view.
* Combine the analytic views in the calculation view using a UNION WITH CONSTANT VALUES.
D. * Create an analytic view.
* Combine the analytic views in the new analytic view using a referential join.
Answer: C