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NEW QUESTION: 1
Your network contains a server named Server1 that runs Windows Server 2012 R2. Server1 has the Hyper-V server role installed.
Server1 hosts four virtual machines named VM1, VM2, VM3, and VM4.
Server1 is configured as shown in the following table.

You install Windows Server 2012 R2 on VM2 by using Windows Deployment Services (WDS).
You need to ensure that the next time VM2 restarts, you can connect to the WDS server by using PXE.
Which virtual machine setting should you configure for VM2?
A. Automatic Start Action
B. NUMA topology
C. virtual Machine Chimney
D. Integration Services
E. Single-root I/O virtualization
F. Port mirroring
G. Resource control
H. resource metering
I. The VLAN ID
J. Processor Compatibility
K. The startup order
Answer: K
Explanation:
Explanation
Configure the BIOS of the computer to enable PXE boot, and set the boot order so that it is booting from the network is first.
References: http://technet.microsoft.com/en-us/library/cc766320(v=ws.10).aspx Exam Ref 70-410, Installing and Configuring Windows Server 2012 R2, Chapter 3: Configure Hyper-V, Objective 3.1: Create and Configure virtual machine settings, p.144 Training Guide: Installing and Configuring Windows Server 2012 R2: Chapter 7: Hyper-V Virtualization, Lesson 2: Deploying and configuring virtual machines, p.335

NEW QUESTION: 2
展示を参照してください。

この構成について、どの2つの結論を下す必要がありますか? (2つ選択してください)
A. 指定ポートはFastEthernet 2/1です
B. ルートポートはFastEthernet 2/1です
C. スパニングツリーモードはRapid PVST +です。
D. これはルートブリッジです
E. スパニングツリーモードはPVST +です。
Answer: B,C

NEW QUESTION: 3
The management of Clay Industries have adhered to the following capital structure: 50% debt, 35% common equity, and 15% preferred equity. The following information applies to the firm:
Before-tax cost of debt = 9.5%
Combined state/federal tax rate = 35%
Expected return on the market = 14.5%
Annual risk-free rate of return = 6.25%
Historical Beta coefficient of Clay Industries Common Stock = 1.24
Annual preferred dividend = $1.55
Preferred stock net offering price = $24.50
Expected annual common dividend = $0.80
Common stock price = $30.90
Expected growth rate = 9.75%
Subjective risk premium = 3.3%
Given this information, and using the Bond-Yield-plus-Risk-Premium approach to calculate the component cost of common equity, what is the Weighted Average Cost of Capital for Clay Industries?
A. The WACC for Clay Industries cannot be calculated from the information.
B. 9.82%
C. 6.93%
D. 9.79%
E. 8.36%
F. 8.52%
Answer: F
Explanation:
Explanation/Reference:
Explanation:
The calculation of the Weighted Average Cost of Capital is as follows: {fraction of debt * [yield to maturity of outstanding long-term debt][1-combined state/federal income tax rate]} + {fraction of preferred stock *
[annual dividend/net offering price]} + {fraction of common stock * cost of equity}. The cost of common equity can be calculated using three methods, the Capital Asset Pricing Model (CAPM), the Dividend- Yield-plus-Growth-Rate (or Discounted Cash Flow) approach, and the Bond- Yield-plus-Risk-Premium approach. In this example, you are asked to calculate the cost of common equity using the Bond-Yield- plus-Risk-Premium approach. To calculate the cost of equity using this approach, take the yield to maturity on the firm's outstanding debt (9.5%) and add a subjective risk premium (3.3%), which gives a cost of common equity of 12.8%. The after-tax cost of debt can be found by multiplying the yield to maturity on the firm's outstanding long-term debt (9.5%) by (1-tax rate). Using this method, the after-tax cost of debt is found as 6.175%. The calculation of the cost of perpetual preferred stock is relatively straightforward, simply divide the annual preferred dividend by the net offering price. Using this method, the cost of preferred stock is found as 6.327%. Incorporating these figures into the WACC equation gives the answer of 8.516%.