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NEW QUESTION: 1
How does AWS Data Pipeline execute activities on on-premise resources or AWS resources that you manage?
A. By supplying a Task Runner package that can be installed on your on-premise hosts
B. By supplying a Task Runner file that the resources can access for execution
C. None of these
D. By supplying a Task Runner json script that can be installed on your on-premise hosts
Answer: A
Explanation:
Explanation
To enable running activities using on-premise resources, AWS Data Pipeline does the following: It supply a Task Runner package that can be installed on your on-premise hosts. This package continuously polls the AWS Data Pipeline service for work to perform. When it's time to run a particular activity on your on-premise resources, it will issue the appropriate command to the Task Runner.
https://aws.amazon.com/datapipeline/faqs/
NEW QUESTION: 2
Which of the following scenarios does not meet the definition of "custody" under NASAA Model Rules?
A. An investment adviser receives a check from a client that is written to a mutual fund and forwards the check to the mutual fund within three business days of receipt.
B. An investment adviser has general power of attorney for a client and is authorized to withdraw client funds or securities that are on deposit with a registered broker-dealer upon the investment adviser's request.
C. An investment adviser is mistakenly sent a client's securities, but returns them to the sender within three business days of receipt.
D. An investment adviser keeps a client's securities in its safety deposit box.
Answer: C
Explanation:
Explanation/Reference:
Explanation: If an investment adviser is mistakenly sent a client's securities, but returns them to the sender within three business days of receipt, he is not deemed to have taken custody of the securities under NASAA Model Rules. Custody is defined by the NASAA as "holding directly or indirectly, client funds or securities, or having any authority to obtain possession of them." Therefore, an investment adviser who has general power of attorney to withdraw a client's funds or securities from a broker-dealer is acting as a custodian, as is an investment adviser who keeps a client's securities in its safety deposit box. If an investment adviser receives a check from a client that is written to a third party, such as a mutual, that check must be forwarded within 24 hours of receipt, or the investment adviser is deemed to be a custodian.
NEW QUESTION: 3
What are three current business factors that are influencing customer decisions in making technology investments? (Choose three.)
A. return on investment
B. competitiveness
C. day one costs
D. regulation
E. number of product features
F. availability of budget
Answer: A,B,D
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