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Exam Code: ITIL-4-Transition

Vendor Name: ITIL

Total Practice Questions : 60

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NEW QUESTION: 1
You need to create an Azure key vault. The solution must ensure that any object deleted from the key vault be retained for 90 days.
How should you complete the command? To answer, select the appropriate options in the answer area.
NOTE: Each correct selection is worth one point.

Answer:
Explanation:

Explanation

Box 1: -EnablePurgeProtection
If specified, protection against immediate deletion is enabled for this vault; requires soft delete to be enabled as well.
Box 2: -EnableSoftDelete
Specifies that the soft-delete functionality is enabled for this key vault. When soft-delete is enabled, for a grace period, you can recover this key vault and its contents after it is deleted.
References:
https://docs.microsoft.com/en-us/powershell/module/azurerm.keyvault/new-azurermkeyvault

NEW QUESTION: 2
Which process is being utilized when IPS events are removed to improve data integrity?
A. data signature
B. data protection
C. data normalization
D. data availability
Answer: A
Explanation:
Explanation/Reference:
Explanation:

NEW QUESTION: 3
ユーザーがパブリックサブネットを持つVPCを作成しました。ユーザーはサブネットの一部であるすべてのインスタンスを終了しました。このシナリオに関して、以下の記述のどれが正しいですか?
A. 終了したインスタンスに接続されているセカンダリネットワークインタフェースが持続する可能性があります。
B. インスタンスが起動されたサブネットが削除されます
C. ユーザーが新しいインスタンスを起動すると、同じサブネットを使用できません
D. サブネットが削除されていないため、ユーザーはVPCを削除できません
Answer: A
Explanation:
Explanation
A Virtual Private Cloud (VPC) is a virtual network dedicated to the user's AWS account. A user can create a subnet with VPC and launch instances inside that subnet. When an instance is launched it will have a network interface attached with it. The user cannot delete the subnet until he terminates the instance and deletes the network interface. By default, network interfaces that are automatically created and attached to instances using the console are set to terminate when the instance terminates. However, network interfaces created using the command line interface aren't set to terminate when the instance terminates.
http://docs.aws.amazon.com/AWSEC2/latest/UserGuide/using-eni.html

NEW QUESTION: 4
Hinweis: Diese Frage ist Teil einer Reihe von Fragen, die dasselbe Szenario verwenden. Zur Vereinfachung wird das Szenario in jeder Frage wiederholt. Jede Frage stellt ein anderes Ziel und eine andere Antwortauswahl dar, aber der Text des Szenarios ist in jeder Frage dieser Reihe genau gleich.
Beginn des wiederholten Szenarios
Sie haben eine Datenbank, die die in der Ausstellung gezeigten Tabellen enthält. (Klicken Sie auf die Schaltfläche "Ausstellen".)

Sie überprüfen die Employee-Tabelle und machen die folgenden Beobachtungen:
- Jeder Datensatz hat einen Wert in der ManagerID mit Ausnahme des Chief Executive Officers (CEO).
- Die Spalten FirstName und MiddleName enthalten für einige Datensätze Nullwerte.
- Die gültigen Werte für die Spalte "Titel" sind "Verkaufsrepräsentantenmanager" und "Geschäftsführer".
Sie überprüfen die SalesSummary-Tabelle und machen die folgenden Beobachtungen:
- Die Spalte ProductCode enthält zwei Teile: Die ersten fünf Ziffern stehen für einen Produktcode und die letzten sieben Ziffern für den Stückpreis. Der Stückpreis verwendet das folgende Muster: ####. ##.
- Sie stellen fest, dass für viele Datensätze der Anteil der Einheitspreise in der Spalte ProductCode Werte enthält.
- Die RegionCode-Spalte enthält für einige Datensätze NULL.
- Verkaufsdaten werden nur für Handelsvertreter erfasst.
Sie entwickeln eine Reihe von Berichten und Verfahren, um das Geschäft zu unterstützen. Details zu jedem Bericht oder Verfahren folgen.
Verkaufszusammenfassungsbericht: In diesem Bericht werden Daten nach Jahr und Quartal zusammengefasst. Der Bericht muss der folgenden Tabelle entsprechen.

Verkaufsmanagerbericht: In diesem Bericht werden alle Verkaufsmanager und der Gesamtumsatz aller Mitarbeiter aufgelistet, die dem Verkaufsmanager Bericht erstatten.
Bericht "Umsatz nach Regionen": In diesem Bericht wird der Gesamtumsatz nach Mitarbeitern und Regionen aufgeführt. Der Bericht muss die folgenden Spalten enthalten: EmployeeCode, MiddleName, LastName, RegionCode und SalesAmount. Wenn MiddleName NULL ist, muss FirstName angezeigt werden. Wenn sowohl FirstName als auch MiddleName Nullwerte haben, muss die Welt Unknown angezeigt werden. Wenn RegionCode NULL ist, muss das Wort Unknown angezeigt werden.
Bericht1: Dieser Bericht verknüpft Daten aus SalesSummary mit der Employee-Tabelle und anderen Tabellen. Sie planen, ein Objekt zur Unterstützung von Report1 zu erstellen. Das Objekt hat folgende Anforderungen:
- mit der SELECT-Anweisung verknüpft werden können, die Daten für den Bericht liefert
- kann mit der SELECT-Anweisung für den Bericht mehrfach verwendet werden
- nur mit der SELECT-Anweisung für den Bericht verwendbar sein
- nicht als permanentes Objekt gespeichert werden
Bericht2: Dieser Bericht verknüpft Daten aus SalesSummary mit der Employee-Tabelle und anderen Tabellen.
Sie planen, ein Objekt zur Unterstützung von Report1 zu erstellen. Das Objekt hat folgende Anforderungen:
Bericht zur Verkaufshierarchie. In diesem Bericht werden Zeilen aggregiert, Zwischensummenzeilen erstellt und Zeilen über die SalesAmount-Spalte in einer einzigen Ergebnismenge zusammengefasst. Der Bericht verwendet SaleYear, SaleQuarter und SaleMonth als Hierarchie. Die Ergebnismenge darf keine Gesamtsummen- oder Kreuztabellen-Aggregatzeilen enthalten.
Gespeicherte Prozedur für aktuellen Preis: Diese gespeicherte Prozedur muss den Einheitspreis für ein Produkt zurückgeben, wenn ein Produktcode angegeben wird. Der Stückpreis muss am Anfang ein Dollarzeichen enthalten. Darüber hinaus muss der Einzelpreis alle drei Stellen links vom Dezimalpunkt ein Komma enthalten und zwei Stellen links vom Dezimalpunkt anzeigen. Die gespeicherte Prozedur darf keine Fehler auslösen, auch wenn der Produktcode ungültige Daten enthält.
Ende des wiederholten Szenarios
Sie erstellen die Abfragen für Report1 und Report2.
Sie müssen die Objekte erstellen, die zur Unterstützung der Abfragen erforderlich sind.
Welches Objekt sollten Sie verwenden, um die SalesSummary-Tabelle mit den anderen Tabellen zu verknüpfen, die jeder Bericht verwendet? Ziehen Sie zum Beantworten die entsprechenden Objekte in die richtigen Berichte. Jedes Objekt kann einmal, mehrmals oder gar nicht verwendet werden. Möglicherweise müssen Sie die geteilte Leiste zwischen den Fenstern ziehen oder einen Bildlauf durchführen, um den Inhalt anzuzeigen.

Answer:
Explanation:

Explanation

Box 1: common table expression (CTE)
A common table expression (CTE) can be thought of as a temporary result set that is defined within the execution scope of a single SELECT, INSERT, UPDATE, DELETE, or CREATE VIEW statement. A CTE is similar to a derived table in that it is not stored as an object and lasts only for the duration of the query. Unlike a derived table, a CTE can be self-referencing and can be referenced multiple times in the same query.
A CTE can be used to:
From Scenario: Report1: This report joins data from SalesSummary with the Employee table and other tables.
You plan to create an object to support Report1. The object has the following requirements:
Box 2: view
From scenario: Report2: This report joins data from SalesSummary with the Employee table and other tables.
You plan to create an object to support Report1. The object has the following requirements:
References: https://technet.microsoft.com/en-us/library/ms190766(v=sql.105).aspx


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