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NEW QUESTION: 1
What characterizes the Intelligent Enterprise? Note: There are 2 correct answers to this question.
A. Users execute multiple reports to understand performance against their KPIs.
B. Embedded real-time monitoring delivers full visibility of all core sales processes.
C. The transactional and analytical components of the enterprise system have been separated.
D. The enterprise system enables users to work with live data and embedded analytics.
Answer: B,D

NEW QUESTION: 2
注:この質問は、同じシナリオを使用する一連の質問の一部です。あなたの便宜のために、シナリオは各質問で繰り返されます。各質問は異なる目標と答えの選択を提示しますが、シナリオのテキストはこのシリーズの各質問でまったく同じです。
Customer、CustomerToAccountBridge、およびCustomerDetailsの各テーブルを含むDB1という名前のデータベースがあります。 3つのテーブルはSalesスキーマの一部です。データベースには、Websiteという名前のスキーマも含まれています。次のTransact-SQLステートメントを実行して、Customerテーブルを作成します。

CustomerStatus列の値は、アクティブな顧客の場合と同じです。 Account1Status列とAccount2Status列の値は、アクティブなアカウントの場合と同じです。次の表は、Customerテーブルから選択された列と行を示しています。

Website.Customerという名前のビューと、という名前のビューを作成する予定です。
営業。女性のお客様。
Website.Customerは、次の要件を満たす必要があります。
* アクティブな顧客のCustomerName列とCustomerNumber列へのユーザーアクセスを許可します。
* ビューが参照する列への変更を許可します。変更されたデータはビューを通して見える必要があります。
* ビューがMicrosoft SQL Serverの複製の一部として公開されないようにする。
Sales.F Female.Customersは次の要件を満たす必要があります。
* ユーザーにCustomerName、Address、City、State、PostalCodeの各列へのアクセスを許可します。
* ビューが参照する列への変更を禁止します。
*ビューフィルタに準拠しているビューによる更新のみを許可します。
次のストアドプロシージャがあります。spDeleteCustAcctRelationshipおよびspUpdateCustomerSummary。 spUpdateCustomerSummaryストアドプロシージャは、次のTransacr-SQLステートメントを実行して作成しました。

顧客アカウントの概要を変更するには、spUpdateCustomerSummaryストアドプロシージャを実行します。他のストアドプロシージャは、CustomerToAccountBridgeテーブルからレコードを削除するために、spDeleteCustAcctRelationshipを呼び出します。
次の要件を満たすために、Customerテーブルのデザインを更新する必要があります。
* 各顧客につき最大50のアカウントを保存できなければなりません。
* ユーザーはアカウント番号を入力して顧客情報を取得できる必要があります。
* ユーザーは顧客情報を入力してアカウント番号を取得できる必要があります。
データの冗長性を最小限に抑えながら設計変更を実装する必要があります。
あなたは何をするべきか?
A. テーブルを3つのテーブルに分割します。最初のテーブルにAccountNumberとCustomerID列を含めます。 2番目のテーブルにCustomerName列とGender列を含めます。 3番目のテーブルにAccountStatus列を含めます。
B. テーブルを2つの別々のテーブルに分割し、最初のテーブルにCustomerID列とAccountNumber列を含めます。 2番目のテーブルにAccountNumber、AccountStatus、CustomerName、およびGenderの各列を含めます。
C. テーブルを2つの別々のテーブルに分割します。最初のテーブルにCustomerID、CustomerName、およびGenderの各列を含めます。 2番目のテーブルのIncludeAccountNumber、AccountStatus、およびCustomerID列。
D. テーブルを2つのテーブルに分割します。最初のテーブルにAccountNumber、CustomerID、CustomerName、およびGenderの列を含めます。 2番目のテーブルにAccountNumber列とAccountStatus列を含めます。
Answer: C
Explanation:
Explanation
Two tables are enough. CustomerID must be in both tables.

NEW QUESTION: 3
You need to protect the backend web service to meet the technical requirements.
Which four actions should you perform in sequence? To answer, move the actions from the list of actions to the answer area and arrange them in the correct order.

Answer:
Explanation:

Explanation

Here is a quick overview of the steps:
Step 1: Register an application in Azure AD for the backend web service Register an application (backend-app) in Azure AD to represent the API.
Step 2: Set the App ID URI for the backend service application registration When the application is created (step 1) select Expose an API and click on Save and continue to create an Application ID URI.
Step 3: Defend the scopes in the backend web service application registration In the Add a scope page, create a new scope supported by the API. (e.g., Read) then click on Add scope to create the scope. Repeat this step to add all scopes supported by your API.
Step 4: Register an application in Azure AD for E-invoicing.
Step 4.1 Register another application in Azure AD to represent a client application Step 4.2 Now that you have registered two applications to represent the API and the Developer Console, you need to grant permissions to allow the client-app to call the backend-app.
Scenario:
Secure access to the backend web service by using Azure AD
E-invoicing will have internal logic that will dynamically identify whether the user should be allowed to call the backend API.
Reference:
https://docs.microsoft.com/en-us/azure/api-management/api-management-howto-protect-backend-with-aad

NEW QUESTION: 4
When auditing a disaster recovery plan for a critical business area, an IS auditor finds that it does not cover all the systems. Which of the following is the MOST appropriate action for the IS auditor?
A. Alert management and evaluate the impact of not covering all systems.
B. Cancel the audit.
C. Postpone the audit until the systems are added to the disaster recovery plan.
D. Complete the audit of the systems covered by the existing disaster recovery plan.
Answer: A
Explanation:
Explanation/Reference:
Explanation:
An IS auditor should make management aware that some systems are omitted from the disaster recovery plan. An IS auditor should continue the audit and include an evaluation of the impact of not including all systems in the disaster recovery plan. Cancelling the audit, ignoring the fact that some systems are not covered or postponing the audit are inappropriate actions to take.


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