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NEW QUESTION: 1
The EMP table has some discrepancy in data entry with a particular employee ID. You execute the query as shown in the Exhibit to retrieve all versions of the row that exist between two SCNs.View the Exhibit.
Which two statements about the results of the query shown in the Exhibit are correct? (Choose two.)
Exhibit:
A. The LAST_SCN value in the second row in NULL, which means that the version of the row still exists at SCN 6636300.
B. The LAST_SCN value in the first row is NULL, which means that the versions of the row still exist at SCN 6636300.
C. The LAST_SCN value in the third row is 6636280, which means that the version of row exists above SCN 6636280.
D. The LAST_SCN value in the second row is NULL, which means that the version of the row no longer exists because it was deleted.
Answer: B,D
Explanation:
Using Oracle Flashback Transaction Query with Oracle Flashback Version Query (link) The query uses Oracle Flashback Version Query pseudocolumns:
SELECT versions_xid XID, versions_startscn START_SCN,
versions_endscn END_SCN, versions_operation OPERATION,
empname, salary
FROM emp
VERSIONS BETWEEN SCN MINVALUE AND MAXVALUE
WHERE empno = 111;
Results are similar to:
3 rows selected.
The results table rows are in descending chronological order.
NEW QUESTION: 2
Welche der folgenden Technologien könnte implementiert werden, um die Anrufklarheit bei Verwendung der VoIP-Technologie zu verbessern?
A. QoS
B. Caching-Engines
C. Statische IP-Adressierung
D. Portweiterleitung
Answer: A
NEW QUESTION: 3
Security A and B both have expected returns of 10%, but the standard deviation of Security A is 10% while that of security B is 20%. Borrowings are not permitted. A portfolio manager who wishes to maximize his probability of earning a 25% return during the year should invest in:
A. None of the above
B. Security B
C. Security A
D. 50% in Security A and 50% in Security B
Answer: B
Explanation:
Explanation
Security A 'dominates' security B, ie it offers the most return per unit of volatility. However, because it is less volatile, its returns are likely to be more concentrated around its mean compared to Security B which will have
'fatter tails' compared to Security A. Therefore Security B will offer a much better chance of making the desired 25% return. Of course, this also means that Security B is much more likely to lose a lot more money than Security A. However, if the portfolio manager is only interested in maximizing his chances of making a
25% or greater return, he should select Security B. The answer can be verified using Excel's Normdist formula, and probability of exceeding 25% will be given by [=1-NORMDIST(0.25,0.1,0.1,TRUE)] for Security A and =1-NORMDIST(0.25,0.1,0.2,TRUE)] for Security B. A combined portfolio of the two will have a return of 10% and variance less than that of Security B (or at the most equal to the weighted average of the two variances, even if their correlation is 1), which means a combined portfolio will also have a lower probability of exceeding a 25% return.
This question reflects how portfolio managers may be tempted to make sub-optimum decisions for their investors by swinging for the fences by taking large bets, for example, when they have had a big drawdown and have to make it up to the high water mark levels before they earn performance fees.
NEW QUESTION: 4
A. Option A
B. Option B
Answer: A
