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NEW QUESTION: 1
You have a Lync Server 2013 infrastructure. Your company has a sales department and a research
department. You deploy persistent chat.
You need to configure persistent chat to meet the following requirements:
Users in the sales department must be prevented from viewing the names of the rooms used by the research department.
Users in the research department must be able to discover all of the rooms used by their department.
What should you do?
A. Create a user-level Persistent Chat Policy named Sales.
Apply the Sales policy to the sales and research users.
Create persistent chat rooms for each department and set the privacy to Open.
B. Create a category named ResearchRooms.
Add the research users as Allowed members to the ResearchRooms category.
Add the sales users as Denied members to the ResearchRooms category.
Create persistent chat rooms for each department and set the privacy to Secret.
C. Create a category named ResearchRooms.
Add the research users as Allowed members to the ResearchRooms category.
Add the sales users as Denied members to the ResearchRooms category.
Create persistent chat rooms for each department and set the privacy to Closed.
D. Create a user-level Persistent Chat Policy named Sales.
Apply the Sales policy to the sales and research users.
Create persistent chat rooms for each department and set the privacy to Secret.
Answer: B
Explanation:
http://technet.microsoft.com/en-us/library/jj204859.aspx http://technet.microsoft.com/en-us/library/jj205166.aspx

NEW QUESTION: 2
Intelligent Semiconductor is considering the development of a new data storage medium, which will allow tremendous increases in the efficiency of its customer's high-end server lines. The development of the new system will take place in the firm's existing facilities, and the storage costs for the additional equipment are expected to be residual in nature. The following information applies to this project:
Rent expense for the firm's existing facilities ($10,500)
Initial cash outlay ($50,000)
t1: $15,000
t2: $11,000
t3: $11,000
t4: $15,000
t5 ($10,000)
t6 ($10,000)
t7 $25,000
Discount rate: 9%
Assuming no taxes or related charges, that the initial cash outlay does not include any sunk costs, and a
$0.00 salvage value at t7, what is the MIRR of this project?
A. 6.231%
B. This problem has more than one MIRR
C. 7.262%
D. 12.461%
E. None of these answers
F. 14.606%
Answer: C
Explanation:
Explanation/Reference:
Explanation:
In this example, you are asked to calculate the Modified Internal Rate of Return for a project. In calculating the MIRR for this project, the rent cost of $10,500 is ignored because this expense represents a sunk cost.
Remember that sunk costs are irrelevant in capital budgeting decisions, and should not beincorporated into the calculation. This is due to the fact that sunk costs are not incremental in nature, and are not directly related to the acceptance of the project in question, i.e. these costs have already been incurred or have been earmarked for payment. The following illustration details the calculation of the Terminal Value (TV) for the MIRR calculation in this case: {[$15,000 *1.6771] + [11,000 * 1.53862] + [11,000 * 1.41158] +
[$15,000 * 1.29503] + [$25,000 * 1]}= TV $102,034.15. The calculation of the present value of the cash outflows is found by discounting the cash outflows of periods 5 and 6 and adding them to the initial cash outlay as follows: {-$50,000 + [- $10,000/1.53862] + [-$10,000/1.6771]= PV of cash outflows ($62,462.00).
Incorporating these figures into your calculator's cash flow worksheet will yield the MIRR of 7.2623%. The calculation is found by the following: PV=($62,462.00), FV= $102,034.15, PMT=0, N=7, CPT I/Y ---
7.2623%. The modified IRR has a significant advantage over the regular IRR, in the fact that MIRR assumes cash flows from all projects are reinvested at some explicit rate, while the regular IRR assumes that all cash flows are reinvested at the project's IRR. This allows for much greater flexibility.

NEW QUESTION: 3
A business unit of a transnational manufacturer wants to implement a robust process for addressing integrity- critical equipment deterioration incidents. Timely and complete resolution of such incidents is vital for the business unit's continuous safe and profitable operation. Treating each incident involves many employees from different departments extensively collaborating and exchanging information. That information is spread across multiple systems having their access limited to particular user groups. With the current manual process, some incidents get forgotten and remain unresolved for years.
The project's Sponsor is an Equipment Integrity and Reliability Advisor, who moved into this position from another business unit. That business unit implemented a proprietary application to integrate the information and to assist in tracking and managing the incidents. Having a positive experience with the application, the Sponsor is suggesting to customize it and reuse in the new business unit.
The business unit's Enterprise Architect (EA), who is responsible for assessing solution options and presenting them to executive decision makers, has a few concerns with adopting the existing application. The application uses point-to-point interfaces with other data sources whereas the business unit's target architecture relies on a data warehouse-based integration. Moreover, the two business units use different legacy systems, as well as different front-end implementation technologies. Additionally, the existing application is monolingual, while the business unit needs user interfaces and some data to be presented in two languages. With all of this, it may be easier to build a new application from scratch than to customize the existing one. To understand which option is better, the EA asks a business analyst (BA) to define business requirements.
The EA wants to understand whether the integration capabilities of the existing solution match the business unit's IT landscape. The requirement definition that the EA needs should read as, "Each record of an incident shall."
A. contain the ID of the equipment to which it belongs."
B. be associated with the unit of equipment to which it belongs."
C. be related to a unit of equipment using the Equipment ID stored in the asset management system."
D. include the associated equipment's information from the asset management system."
Answer: D