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NEW QUESTION: 1
What does the 'Infrastructure as Code' DevOps practice mean?
A. To leverage code to automate the configuration of the infrastructure for creating environments and managing deployments.
B. The automated scripts that support automated build and deployment while satisfying the restriction criteria.
C. The task of tracking and controlling changes in the code. This practice includes revision control and the establishmentof baselines.
D. Consists of having two production instances in a dedicated infrastructure but only one is live at any point in time.
Answer: A
NEW QUESTION: 2
Background
Corporate Information
Fabrikam, Inc. is a retailer that sells electronics products on the Internet. The company has a headquarters site and one satellite sales office. You have been hired as the database administrator, and the company wants you to change the architecture of the Fabrikam ecommerce site to optimize performance and reduce downtime while keeping capital expenditures to a minimum. To help with the solution, Fabrikam has decided to use cloud resources as well as on-premise servers.
Physical Locations
All of the corporate executives, product managers, and support staff are stationed at the headquarters office. Half of the sales force works at this location. There is also a satellite sales office. The other half of the sales force works at the satellite office in order to have sales people closer to clients in that area. Only sales people work at the satellite location.
Problem Statement
To be successful, Fabrikam needs a website that is fast and has a high degree of system uptime. The current system operates on a single server and the company is not happy with the single point of failure this presents. The current nightly backups have been failing due to insufficient space on the available drives and manual drive cleanup often needing to happen to get past the errors. Additional space will not be made available for backups on the HQ or satellite servers. During your investigation, you discover that the sales force reports are causing significant contention.
Configuration
Windows Logins
The network administrators have set up Windows groups to make it easier to manage security. Users may belong to more than one group depending on their role. The groups have been set up as shown in the following table:
Server Configuration The IT department has configured two physical servers with Microsoft Windows Server 2012 R2 and SQL Server 2014 Enterprise Edition and one Windows Azure Server. There are two tiers of storage available for use by database files only a fast tier and a slower tier. Currently the data and log files are stored on the fast tier of storage only. If a possible use case exists, management would like to utilize the slower tier storage for data files. The servers are configured as shown in the following table:
Database
Currently all information is stored in a single database called ProdDB, created with the following script:
The Product table is in the Production schema owned by the ProductionStaff Windows group. It is the main table in the system so access to information in the Product table should be as fast as possible. The columns in the Product table are defined as shown in the following table:
The SalesOrderDetail table holds the details about each sale. It is in the Sales schema owned by the SalesStaff Windows group. This table is constantly being updated, inserted into, and read. The columns in the SalesOrderDetail table are defined as shown in the following table:
Database Issues
The current database does not perform well. Additionally, a recent disk problem caused the system to go down, resulting in lost sales revenue. In reviewing the current system, you found that there are no automated maintenance procedures. The database is severely fragmented, and everyone has read and write access.
Requirements
Database
The database should be configured to maximize uptime and to ensure that very little data is lost in the event of a server failure. To help with performance, the database needs to be modified so that it can support in-memory data, specifically for the Product table, which the CIO has indicated should be a memoryoptimized table. The auto-update statistics option is set off on this database. Only product managers are allowed to add products or to make changes to the name, description, price, cost, and supplier. The changes are made in an internal database and pushed to the Product table in ProdDB during system maintenance time. Product managers and others working at the headquarters location also should be able to generate reports that include supplier and cost information.
Customer data access
Customers access the company's website to order products, so they must be able to read product information such asname, description, and price from the Product table. When customers place orders, stored procedures calledby the website update product quantityon-hand values. This means the product table is constantly updated at randomtimes.
Customer support data access
Customer support representatives need to be able to view and not update or change product information.
Management does not want the customer support representatives to be able to see the product cost or any supplier information.
Sales force data access
Sales people at both the headquarters office and the satellite office must generate reports that read from the Product and SalesOrderDetail tables. No updates or inserts are ever made by sales people. These reports are run at random times and there can be no reporting downtime to refresh the data set except during the monthly maintenance window. The reports that run from the satellite office are process intensive queries with large data sets. Regardless of which office runs a sales force report, the SalesOrderDetail table should only return valid, committed order data; any orders not yet committed should be ignored.
Historical Data
The system should keep historical information about customers who access the site so that sales people can see how frequently customers log in and how long they stay on the site.
The information should be stored in a table called Customer Access. Supporting this requirement should have minimal impact on production website performance.
Backups
The recovery strategy for Fabrikam needs to include the ability to do point in time restores and minimize the risk of data loss by performing transaction log backups every 15 minutes.
Database Maintenance
The company has defined a maintenance window every month when the server can be unavailable. Any maintenance functions that require exclusive access should be accomplished during that window.
Project milestones completed
Revoked all existing read and write access to the database, leaving the schema ownership in place.
Configured an Azure storage container secured with the storage account name MyStorageAccount with the primary access key StorageAccountKey on the cloud file server.
SQL Server 2014 has been configured on the satellite server and is ready for use.
On each database server, the fast storage has been assigned to drive letter F:, and the slow storage has been assigned to drive letter D:.
You need to implement changes to the system to reduce contention and improve performance of the SalesOrderDetail table.
Which three actions should you perform? Each correct answer presents part of the solution. (Choose three.)
A. SET TRANSACTION ISOLATION LEVEL SNAPSHOT
B. ALTER DATABASE [ProdDB] SET READ_COMMITTED_SNAPSHOT ON
C. ALTER DATABASE [ProdDB] SET READ_COMMITTED_SNAPSHOT OFF
D. ALTER DATABASE [ProdDB] SET ALLOW.SNAPSHOT ISOLATION ON H Use (SNAPSHOT] hints in the update statements
E. Use (TABLOCK) hints in the report queries
F. Use (SNAPSHOT] hints in the report queries
G. SET TRANSACTION ISOLATION LEVEL SERIALIZABLE
Answer: B,F,G
Explanation:
Explanation/Reference:
Explanation:
- Scenario: The SalesOrderDetail table holds the details about each sale. It is in the Sales schema owned by the SalesStaff Windows group. This table is constantly being updated, inserted into, and read.
- Regardless of which office runs a sales force report, the SalesOrderDetail table should only return valid, committed order data; any orders not yet committed should be ignored.
- READ_COMMITTED_SNAPSHOT { ON | OFF } ON Enables Read-Committed Snapshot option at the database level. When it is enabled, DML statements start generating row versions even when no transaction uses Snapshot Isolation. Once this option is enabled, the transactions specifying the read committed isolation level use row versioning instead of locking.
When a transaction runs at the read committed isolation level, all statements see a snapshot of data as it exists at the start of the statement. OFF Turns off Read-Committed Snapshot option at the database level.
Transactions specifying the READ COMMITTED isolation level use locking. ALTER DATABASE SET Options (Transact-SQL) SET Statements (Transact-SQL)
NEW QUESTION: 3
Which one of the following statements about key fields in RSA Archer is true?
A. Key fields must be unique
B. Key fields are displayed as a hyperlink to the record within search results
C. Applications can have an unlimited number of key fields
D. Any field can be configured to be a key field
Answer: C
NEW QUESTION: 4
A client requires a project definition that allows for charging expenditures to the project at a higher Work Breakdown Structure level than where the manually entered percentage complete progress is captured. Which three Shared Structure relationships will support this requirement?
A. Mapped
B. Shared
C. Not shared
D. Vertical
E. Partially shared
Answer: B,C,E
Explanation:
Structure Integration Setup
If you enable both a workplan structure and a financial structure for your project or project template, you can decide whether or not they are integrated, and if so, to what degree. You do this by choosing one of the following options on the Structures setup page:
*Shared Structures: Enables you to generate a financial structure with a task hierarchy that is fully shared by the workplan structure task hierarchy. Workplan and financial structures are fully shared by default.
*Partially Shared Structures: Enables you to generate a financial structure that is partially shared by the workplan structure hierarchy.
*Non-Shared: Task-Based Mapping: Enables you to map individual workplan structure tasks to individual financial structure tasks.
*Non-Shared: No Mapping: Choose this if you do not want to integrate your project workplan and financial structures in any way.
Reference:Oracle Projects Fundamentals
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