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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. Configure the Application Load Balancer to send the request to both servers Return each document from the correct server
D. Copy the data so both EBS volumes contain all the documents
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
Which statement is true when a checkin operation is performed by the Content Server?
A. The Lock Owner property must match the user name performing the operation before the Lock Owner property is cleared out.
B. The Owner property is set with the user name performing the operation.
C. The Lock Owner property is set with the user name performing the operation.
D. The Last Access Date property is set to the current date and time.
Answer: A
NEW QUESTION: 3
Drag and Drop Question
You have two Azure virtual machines named VM1 and VM2. VM1 has a single data disk named Disk1.
You need to attach Disk1 to VM2. The solution must minimize downtime for both virtual machines.
Which four actions should you perform in sequence? To answer, move the appropriate actions from the list of actions to the answer area and arrange them in the correct order.
Answer:
Explanation:
Explanation:
Step 1: Stop VM1.
Step 2: Detach Disk1 from VM1.
Step 3: Start VM1.
Detach a data disk using the portal
In the left menu, select Virtual Machines.
Select the virtual machine that has the data disk you want to detach and click Stop to deallocate the VM.
In the virtual machine pane, select Disks.
At the top of the Disks pane, select Edit.
In the Disks pane, to the far right of the data disk that you would like to detach, click the Detach button image detach button.
After the disk has been removed, click Save on the top of the pane. In the virtual machine pane, click Overview and then click the Start button at the top of the pane to restart the VM.
The disk stays in storage but is no longer attached to a virtual machine.
Step 4: Attach Disk1 to VM2
Attach an existing disk
Follow these steps to reattach an existing available data disk to a running VM. Select a running VM for which you want to reattach a data disk.
From the menu on the left, select Disks.
Select Attach existing to attach an available data disk to the VM.
From the Attach existing disk pane, select OK.
References:
https://docs.microsoft.com/en-us/azure/virtual-machines/windows/detach-disk
https://docs.microsoft.com/en-us/azure/lab-services/devtest-lab-attach-detach-data-disk
NEW QUESTION: 4
In May Raymar will be required to:
A. Repay US $90,000 principal and pay US $100 interest
B. Borrow an additional US $20,000 and pay US $1,000 interest.
C. Pay US $900 interest
D. Repay US $20,000 principal and pay US $1,000 interest
Answer: B
Explanation:
The company will have to borrow US $100,000 in April. which means that interest will have to be paid in May at the rate of 1% per month 12% annual rate). Consequently, interest expense is US $1,000 $100,000 x1%) May sales x 50%) + $50,000 April sales x 50%)]. Disbursements in May $4rt,nrtr! [ 740,000 May payables x 75%) + $40,000 April payables 25%)]. In addition to the May accounts payable disbursements, payroll and other disbursements are US $60,000, bringing total disbursements to US $101,000 $60,000 + $40,000 + $1,000 Thus, disbursements exceed receipts by US $26,000 $101 ,06u $75,000). However, cash has a beginning surplus balance of US $7,500 $100,000 April loan - $92,500 negative cash flow for April). As a result, the company needs to borrow an additional US $18,500 to eliminate its cash deficit. Given the requirement that loans be in US $10,000 increments, the May loan must be for US $20,000. The Raymar Company is preparing its cash budget for the months of April and May. The firm has established a US Collections. 50% of the current month's sales budget and 50% of the previous month's sales budget. $200,000 line of credit with its bank at a 12% annual rate of Accounts Payable Disbursements. 75% of the current month's interest on which borrowings for cash deficits must be made in US$. increments. There is no outstanding balance on the accounts payable budget and 25% of the previous month's accounts payable budget. line of credit loan on April 1. Principal repayments are to be made in any month in which there is a surplus of cash. Interest is to be paid monthly. If there are no outstanding balances on the loans. Raymar will invest any cash in excess of its desired end-of-month cash balance in U.S. Treasury bills. Raymar intends to maintain a minimum balance of US All other disbursements occur in the month in which they are budgeted.