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NEW QUESTION: 1
IT-Best Practices für die Verfügbarkeit und Kontinuität von IT-Services sollten:
A. Erstellen Sie zeitnahe Berichte zu Leistungsmetriken.
B. Minimieren Sie die mit ausfallsicheren Komponenten verbundenen Kosten.
C. Gewährleisten Sie mit angemessener Sicherheit, dass vereinbarte Verpflichtungen gegenüber Kunden erfüllt werden können.
D. Sorgen Sie für ausreichende Kapazität, um die vereinbarten Anforderungen des Unternehmens zu erfüllen.
Answer: C
Explanation:
Erläuterung:
Es ist wichtig, dass ausgehandelte und vereinbarte Verpflichtungen (d. H. Service Level Agreements [SLAs]) jederzeit erfüllt werden können. Wenn dies nicht möglich wäre, hätte die IT diesen Anforderungen nicht zustimmen dürfen, da ein Eingehen einer solchen Verpflichtung für das Unternehmen irreführend wäre. "Jederzeit" bezieht sich in diesem Zusammenhang direkt auf die "vereinbarten Verpflichtungen" und impliziert nicht, dass eine Dienstleistung zu 100 Prozent jederzeit verfügbar sein muss. Die Kosten sind ein Ergebnis des Verfügbarkeits- und Servicekontinuitätsmanagements und können möglicherweise nur teilweise kontrolliert werden. Diese Kosten spiegeln direkt die vereinbarten Verpflichtungen wider. Kapazitätsmanagement ist eine notwendige, aber nicht ausreichende Verfügbarkeitsbedingung. Trotz der Möglichkeit, dass ein Mangel an Kapazität zu einem Verfügbarkeitsproblem führen kann, erfolgt die Bereitstellung der für einen reibungslosen Betrieb der Dienste erforderlichen Kapazität im Rahmen des Kapazitätsmanagements und nicht im Rahmen des Verfügbarkeitsmanagements. Das Generieren von Berichten kann eine Aufgabe des Verfügbarkeits- und Dienstkontinuitätsmanagements sein, dies gilt jedoch auch für viele andere Bereiche von Interesse (z. B. Incident-, Problem-, Kapazitäts- und Änderungsmanagement).
NEW QUESTION: 2
Refer to the exhibit.
What is the result if Gig1/11 receives an STP BPDU?
A. The port transitions to STP blocking
B. The port immediately transitions to STP forwarding.
C. The port goes into error-disable state
D. The port transitions to the root port
Answer: C
NEW QUESTION: 3
You need to set up preprinted checks in the Cash and bank management module.
Which two settings should you define? Each correct answer presents part of the solution.
A. ABC codes
B. Bank number
C. Check number method set to Fixed
D. Check format
Answer: C,D
Explanation:
To make a payment by check, you must first set up the layout of checks in the Check layout form.
1. Click Cash and bank management > Common > Bank accounts.
2. To set up the layout of checks for the selected bank account (if this needs to be done), click the Setup tab
>Check layout.
3. If you select Fixed in the Check number method field, you must create a series of pre-printed checks that you
can use to make payments:
a. Click Cash and bank management > Common > Bank accounts.
b. Click Functions > Create checks.
c. Enter the first check number in the check series and the number of checks to create, and click OK.
Reference: Make a payment by check [AX 2012]
NEW QUESTION: 4
Your policy model includes this rule:
the user is a minor if
the user's age < 18
Which two statements are true?
A. "the user's age" should be a date attribute.
B. If you use "the user's age" in a Word document without first defining it in Policy Automation, you will encounter a compilation error.
C. If you use "the user's age" in a Word document without first defining it in Policy Modeling, then the tool will automatically create an attribute and assign a data type.
D. "the user's age" could be compared to another attribute, "the age of majority", rather than a predefined age.
E. "the user is a minor" is a number attribute.
Answer: A,B