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NEW QUESTION: 1
A. IAX
B. MGCP
C. CTIQBE
D. Skype
Answer: B,C
NEW QUESTION: 2
A user is unable to open up websites on the Internet from a browser. The administrator determines that the workstation can ping its local gateway, but not the remote web server. At which of the following layers of the OSI model does the problem MOST likely exist?
A. Network
B. Physical
C. Session
D. Data link
Answer: A
Explanation:
Explanation/Reference:
Explanation:
NEW QUESTION: 3
SLS is a private synonym for the SH.SALES table.
The user SH issues the following command:
DROP SYNONYM sls;
Which statement is true regarding the above SQL statement?
A. The synonym would be dropped and the corresponding table would become invalid.
B. The synonym would be dropped and any PUBLIC synonym with the same name becomes invalid.
C. The synonym would be dropped and the packages referring to the synonym would be dropped.
D. Only the synonym would be dropped.
Answer: D
Explanation:
Explanation/Reference:
Explanation:
A synonym is an alias for a table (or a view). Users can execute SQL statements against the synonym, and the database will map them into statements against the object to which the synonym points.
Private synonyms are schema objects. Either they must be in your own schema, or they must be qualified with the schema name. Public synonyms exist independently of a schema. A public synonym can be referred to by any user to whom permission has been granted to see it without the need to qualify it with a schema name.
Private synonyms must be a unique name within their schema. Public synonyms can have the same name as schema objects. When executing statements that address objects without a schema qualifier, Oracle will first look for the object in the local schema, and only if it cannot be found will it look for a public synonym.
NEW QUESTION: 4
An organization's account for office supplies on hand had a balance of S9,000 at the end of year one. During year two. the organization recorded an expense of $45,000 for purchasing office supplies. At the end of year two. a physical count determined that the organization has $11,500 in office supplies on hand. Based on this information, what would be recorded in the adjusting entry at the end of year two?
A. A debit to office supplies on hand for S42.500
B. A debit to office supplies on hand for $11,500
C. A debit to office supplies on hand for S2.500
D. A debit to office supplies on hand for S20.500
Answer: C