問題文
An asset and its contract show different quantities. Where should the consultant look to explain the divergence?
選択肢
- At the length of the contract name, because a contract whose name runs longer than the asset's own name ends up being compared against a different asset altogether.
- At whether the seller favorited the contract, which is assumed to align it with the asset, so a divergence persists until it is favorited, which is unrelated to how changes propagate.
- At whether the asset is in a dashboard, which is assumed to reconcile them, so a properly synced pair diverges until an unrelated chart is created that has nothing to do with propagating the change.
- At the order lifecycle that should keep them in sync, since a change fulfilled on one but not propagated to the other causes the divergence.