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NEW QUESTION: 1
DRAG DROP
Your company manages several Azure Web Sites that are running in an existing web-hosting plan named plan1.
You need to move one of the websites, named contoso, to a new web-hosting plan named plan2.
Which Azure PowerShell cmdlet should you use with each PowerShell command line? To answer, drag the appropriate Azure PowerShell cmdlet to the correct location in the PowerShell code. Each PowerShell cmdlet may be used once, more than once, or not at all. You may need to drag the split bar between panes or scroll to view content.
Answer:
Explanation:
Explanation
Example:
The following command is actually a series of commands (delimited by semi-colons) that change the values of the properties in the $p variable.
Windows PowerShell
PS C:\> $p.siteMode = "Basic"; $p.sku = "Basic"; $p.computeMode = "Dedicated"; $p.serverFarm
"Default2"
The next command uses the Set-AzureResource cmdlet to change the change the properties of the ContosoLabWeb2 web site. The value of the PropertyObject parameter is the $p variable that contains the Properties object and the new values. The command saves the output (the updated resource) in the $r2 variable.
Windows PowerShell
PS C:\> $r2 = Set-AzureResource -Name ContosoLabWeb2 -ResourceGroupName ContosoLabsRG
-ResourceType "Microsoft.Web/sites" -ApiVersion 2004-04-01 -PropertyObject $p References:
NEW QUESTION: 2
Robert Keith, CFA, has begun a new job at CMT Investments as Head of Compliance. Keith has just completed a review of all of CMT's operations, and has interviewed all the firm's portfolio managers. Many are CFA charterholders, but some are not. Keith intends to use the CFA Institute Code and Standards, as well as the Asset Manager Code of Professional Conduct, as ethical guidelines for CMT to follow.
In the course of Keith's review of the firm's overall practices, he has noted a few situations which potentially need to be addressed.
Situation 1:
CMT Investments' policy regarding acceptance of gifts and entertainment is not entirely clear. There is general confusion within the firm regarding what is and is not acceptable practice regarding gifts, entertainment and additional compensation.
Situation 2:
Keith sees inconsistency regarding fee disclosures to clients. In some cases, information related to fees paid to investment managers for investment services provided are properly disclosed. However, a few of the periodic costs, which will affect investment return, are not disclosed to the clients. Most managers are providing clients with investment returns net of fees, but a few are just providing the gross returns. One of the managers stated "providing gross returns is acceptable, as long as I show the fees such that the client can make their own simple calculation of the returns net of fees." Situation 3:
Keith has noticed a few gaps in CMT's procedure regarding use of soft dollars. There have been cases where "directed brokerage" has resulted in less than prompt execution of trades. He also found a few cases where a manager paid a higher commission than normal, in order to obtain goods or services. Keith is considering adding two statements to CMT's policy and procedures manual specifically addressing the primary issues he noted.
Statement 1:
"Commissions paid, and any corresponding benefits received, are the property of the client. The benefit(s) must directly benefit the client. If a manager's client directs the manager to purchase goods or services that do not provide research services that benefit the client, this violates the duty of loyalty to the client." Statement 2:
"In cases of "directed brokerage," if there is concern that the client is not receiving the best execution, it is acceptable to utilize a less than ideal broker, but it must be disclosed to the client that they may not be obtaining the best execution." Situation 4:
Keith is still evaluating his data, but it appears that there may be situations where proxies were not voted.
After completing his analysis of proxy voting procedures at CMT, Keith wants to insert the proper language into the procedures manual to address proxy voting.
Situation 5:
Keith is putting into place a "disaster recovery- plan," in order to ensure business continuity in the event of a localized disaster, and also to protect against any type of disruption in the financial markets. This plan includes the following provisions:
* Procedures for communicating with clients, especially in the event of extended disruption of services provided.
* Alternate arrangement for monitoring and analyzing investments in the event that primary systems become unavailable.
* Plans for internal communication and coverage of crucial business functions in the event of disruption at the primary place of business, or a communications breakdown.
Keith is considering adding the following provisions to the disaster recovery plan in order to properly comply with the CFA Institute Asset Manager Code of Professional Conduct:
Provision 1: "A provision needs to be added incorporating off-site backup for all pertinent account information." Provision 2: "A provision mandating testing of the plan on a company-wide basis, at periodical intervals, should be added." Situation 6:
Keith is spending an incredible amount of time on detailed procedures and company policies that are in compliance with the CFA Institute Code and Standards, and also in compliance with the CFA Institute Asset Manager Code of Professional Conduct. As part of this process, he has had several meetings with CMT senior management, and is second-guessing the process. One of the senior managers is indicating that it might be a better idea to just formally adopt both the Code and Standards and the Asset Manager Code of Conduct, which would make a detailed policy and procedure manual redundant.
Are Keith's suggested additional provisions to the disaster recovery plan correct or incorrect, according to the CFA Institute Asset Manager Code of Professional Conduct?
A. Both Provisions are correct.
B. Only Provision 1 is correct.
C. Only Provision 2 is correct.
Answer: A
Explanation:
Explanation/Reference:
Explanation:
Both provisions are correct. Off-sire back-up would be a minimum provision. Also, the periodic testing is needed in order to identify gaps in the plan, and to educate employees. This is in accordance with the CFA Institute Asset Manager Code of Professional Conduct, under Section D-Appendix 6A- Recommendations and Guidance-Compliance and Support. (Study Session 2, LOS 6.b)
NEW QUESTION: 3
クリックして各目標を展開します。 Azureポータルに接続するには、ブラウザーのアドレスバーに「https://portal.azure.com」と入力します。
すべてのタスクの実行が完了したら、[次へ]ボタンをクリックします。
[次へ]ボタンをクリックすると、ラボに戻ることはできません。残りの試験を完了する間、採点はバックグラウンドで行われます。
概観
試験の次のセクションはラボです。このセクションでは、ライブ環境で一連のタスクを実行します。ほとんどの機能はライブ環境と同じように使用できますが、一部の機能(コピーと貼り付け、外部のWebサイトに移動する機能など)は、設計上可能ではありません。
スコアリングは、ラボで述べられたタスクの実行結果に基づいています。つまり、タスクをどのように達成するかは関係ありません。タスクを正常に実行すると、そのタスクのクレジットを獲得できます。
ラボは個別に時間を計られておらず、この試験には、完了する必要のある複数のラボがある場合があります。各ラボを完了するのに必要なだけ時間を使用できます。ただし、時間を適切に管理して、指定された時間内にラボおよび試験の他のすべてのセクションを完了することができるようにする必要があります。
ラボ内の[次へ]ボタンをクリックして作品を送信すると、ラボに戻ることができなくなりますのでご注意ください。
ラボを開始するには
[次へ]ボタンをクリックしてラボを開始できます。
Azure ExpressRouteとサイト間VPN接続の両方を使用して、VNET1017という名前の仮想ネットワークをオンプレミスネットワークに接続する予定です。
計画されたデプロイメントのためにAzure環境を準備する必要があります。ソリューションでは、Azure仮想マシンで使用できるIPアドレス空間を最大化する必要があります。
ExpressRouteとVPNゲートウェイを作成する前に、Azureポータルから何を行う必要がありますか?
Answer:
Explanation:
See explanation below.
Explanation
We need to create a Gateway subnet
Step 1:
Go to More Services > Virtual Networks
Step 2:
Then click on the VNET1017, and click on subnets. Then click on gateway subnet.
Step 3:
In the next window define the subnet for the gateway and click OK
It is recommended to use /28 or /27 for gateway subnet.
As we want to maximize the IP address space we should use /27.
References:
https://blogs.technet.microsoft.com/canitpro/2017/06/28/step-by-step-configuring-a-site-to-site-vpn-gateway-bet
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