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NEW QUESTION: 1

A. Option D
B. Option A
C. Option C
D. Option B
Answer: A
Explanation:
Reference:
http://www.ibm.com/developerworks/library/os-php-7oohabits/

NEW QUESTION: 2
An iSCSI virtual disk named VirtualiSCSIl.vhd exists on LON-DC1 as shown in the exhibit. (Click the Exhibit button.)

You create a new iSCSI virtual disk named VirtualiSCSI2.vhd by using the existing itgt iSCSI target.
VirtualiSCSIl.vhd is removed from LON-DC1.
You need to assign VirtualiSCSI2.vhd a logical unit value of 0.
What should you do?
A. Modify the properties of the VirtualiSCSI2.vhd iSCSI virtual disk.
B. Run the iscsicpl command and specify the virtualdisklun parameter.
C. Run the Add-IscsiVirtualDiskTargetMapping cmdlet and specify the -Lun parameter.
D. Run the iscsicli command and specify the reportluns parameter.
Answer: C
Explanation:
Explanation/Reference: http://technet.microsoft.com/en-us/library/jj612800(v=wps.620).aspx


NEW QUESTION: 3
프로젝트 관리자는 동시에 실행되는 두 개의 프로젝트를 가지고 있습니다. 중요한 프로젝트의 기간을 줄여야하지만 프로젝트 관리자는 이 목표를 달성하기에 충분한 자원이 없습니다. 또한 일정에 중복 될 수 있는 활동이 없습니다. 프로젝트 관리자는 무엇을 해야 합니까?
A. 빠른 추적 기술을 적용하여 중요한 프로젝트의 일정을 단축합니다.
B. 두 프로젝트를 모두 분석하여 공통 리소스의 가장 효과적인 사용을 결정합니다.
C. 프로젝트 팀의 기술 향상을 위해 일정 최적화 교육을 제공합니다.
D. 리소스 최적화를 사용하여 중요한 프로젝트에 더 많은 리소스를 요청하는 것을 정당화합니다.
Answer: B

NEW QUESTION: 4
The settlement date refers to
A. the date the order to purchase or sell the security is sent to the market.
B. the date the order to purchase or sell a security is actually executed. This may differ from the date that the order is sent to the market in the cases of limit or stop orders.
C. the latest date on which broker-dealers can file their quarterly financial statements with the Administrator of the state.
D. the date the buyer must pay for the securities purchased.
Answer: D
Explanation:
Explanation/Reference:
Explanation: The settlement date is the date that the buyer must pay for the securities purchased. For stocks and bonds other than U.S. Treasury securities, this date is the third business day after the trade.
For U.S. Treasuries and options that sell on exchanges, the settlement date is the next business day.