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NEW QUESTION: 1
What is a reason for 6PE to use two MPLS labels in the data plane instead of one?
A. It allows MPLS traffic engineering to work in a 6PE network.
B. 6PE does not allow penultimate hop popping.
C. 6PE allows penultimate hop popping and has a requirement that all P routers do not have to be IPv6 aware.
D. It allows 6PE to work in an MPLS network where 6VPE is also deployed.
Answer: C
Explanation:
Q. Why does 6PE use two MPLS labels in the data plane?
A. 6PE uses two labels:
When the 6PE was released, a main requirement was that none of the MPLS core routers (the P routers) had to be IPv6-aware. That requirement drove the need for two labels in the data plane. There are two reasons why the 6PE needs both labels.
PHP Functionality
If only the transport label were used, and if penultimate hop popping (PHP) were used, the penultimate hop router (the P router) would need to understand IPv6.
With PHP, this penultimate hop router would need to remove the MPLS label and forward the packet as an IPv6 packet. This P router would need to know that the packet is IPv6 because the P router would need to use the correct Layer 2 encapsulation type for IPv6. (The encapsulation type is different for IPv6 and IPv4; for example, for Ethernet, the encapsulation type is 0x86DD for IPv6, while it is 0x0800 for IPv4.) If the penultimate hop router is not IPv6-capable, it would likely put the Layer 2 encapsulation type for IPv4 for the IPv6 packet. The egress PE router would then believe that the packet was IPv4.
There is time-to-live (TTL) processing in both the IPv4 and IPv6 headers. In IPv6, the field is called Hop Limit. The IPv4 and IPv6 fields are at different locations in the headers. Also, the Header Checksum in the IPv4 header would also need to be changed; there is no Header Checksum field in IPv6. If the penultimate hop router is not IPv6-capable, it would cause the IPv6 packet to be malformed since the router expects to find the TTL field and Header Checksum field in the header.
Because of these differences, the penultimate hop router would need to know it is an IPv6 packet. How would this router know that the packet is an IPv6 packet, since it did not assign a label to the IPv6 Forwarding Equivalence Class (FEC), and there is no encapsulation field in the MPLS header? It could scan for the first nibble after the label stack and determine that the packet is IPv6 if the value is 6. However, that implies that the penultimate hop router needs to be IPv6-capable.
This scenario could work if the explicit null label is used (hence no PHP). However, the decision was to require PHP.
Load Balancing
Typical load balancing on a P router follows this process. The P router goes to the end of the label stack and determines if it is an IPv4 packet by looking at the first nibble after the label stack.
In the 6PE scenario, imagine there are two egress PE routers advertising one IPv6 prefix in BGP towards the ingress PE router. This IPv6 prefix would be advertised with two different labels in BGP. Hence, in the data plane, the bottom label would be either of the two labels. This would allow a P router to load balance on the bottom label on a per-flow basis.
If 6PE used only the transport label to transport the 6PE packets through the MPLS core, the P routers would not be able to load balance these packets on a per-flow basis unless the P routers were IPv6-capable. If the P routers were IPv6-capable, they could use the source and destination IPv6 addresses in order to make a load balancing decision.
Reference: http://www.cisco.com/c/en/us/support/docs/multiprotocol-label-switchingmpls/mpls/116061-qa-6pe-00.html
NEW QUESTION: 2
What is the impact of enabling duplication in IBM Spectrum Protect Plus V10.
A. It eliminates the need for vSnap servers.
B. It decreases the number of required VADP servers.
C. It consumes more storage space.
D. It requires more hypervisor compute resources.
Answer: A
NEW QUESTION: 3
When an order was submitted via the corporate website, an administrator noted special characters (e.g., ";--" and "or 1=1 --") were input instead of the expected letters and numbers.
Which of the following is the MOST likely reason for the unusual results?
A. The user is sending malicious SQL injection strings in order to extract sensitive company or customer data via the website.
B. The user has been compromised by a cross-site scripting attack (XSS) and is part of a botnet performing DDoS attacks.
C. The user is attempting to fuzz the web server by entering foreign language characters which are incompatible with the website.
D. The user is attempting to highjack the web server session using an open-source browser.
Answer: A
Explanation:
The code in the question is an example of a SQL Injection attack. The code '1=1' will always provide a value of true. This can be included in statement designed to return all rows in a SQL table.
SQL injection is a code injection technique, used to attack data-driven applications, in which malicious SQL statements are inserted into an entry field for execution (e.g. to dump the database contents to the attacker). SQL injection must exploit a security vulnerability in an application's software, for example, when user input is either incorrectly filtered for string literal escape characters embedded in SQL statements or user input is not strongly typed and unexpectedly executed. SQL injection is mostly known as an attack vector for websites but can be used to attack any type of SQL database.
NEW QUESTION: 4
You need to configure the system to support regional sales requirements.
Which group assignments should you use? To answer, select the appropriate options in the answer area.
NOTE. Each correct selection is worth one point.
Answer:
Explanation:
Reference:
https://www.dynamics-tips.com/sales-and-marketing/how-to-calculate-and-process-sales-commissions
Topic 2, Organics Company
Case Study
This is 3 cast study, Case studies are not timed separately. You can use as much exam time as you would like to complete each case. However, there may be additional case studies and sections on this exam. You must manage your time to ensure that you are able to complete all questions included on this exam in the time provided.
To answer the questions included in a case study, you will need to reference information that is provided in the case study. Case studies might contain exhibits and other resources that provide more information about the scenario that is described in the case study. Each question is independent of the other questions in this case study.
At the end of this case study, a review screen will appear. This screen allows you to review your answers and to make changes before you move to the next section of the exam. After you begin a new section, you cannot return to this section.
To start the case study
To display the firs: question in this case study, click the Next button. Use the buttons in the left pane to explore the content of the case study before you answer the questions. Clicking these buttons displays information such as business requirements, existing environment, and problem statements, if the case study has an All Information tab, note that the information displayed is identical to the information displayed on the subsequent tabs. When you are ready to answer a question, click the Question burton to return to the question.
Background
Best for You Organics Company started as a home-based business. The founders began making handmade soaps and bath products in their kitchen As sales increased, the business established a production facility and distribution center that supplies three retail stores.
Soaps and bath products are manufactured in the production facility and are stocked in the warehouse for distribution to the retail stores. Employees at retail stores use mobile point of sale (MPOS) tablet devices to sell the products to customers.
The company structure is a single legal entity with two sites as shown In the diagram below:
Current environment
Best for You Organics plans to introduce a new product line of face creams. Each product in the new line uses the same base ingredients but includes a different extract (for example, lime, avocado, kiwi). The marketing department is preparing to introduce the new product line. Minimal inventory will be held in the warehouse.
The company uses a cloud-based deployment of Dynamics 365 Supply Chain Management to manage finances for all company operations and locations. The company does not use Bill of Materials (BOM) versioning.
The production and warehouse facility is set up with the following organizational hierarchy:
External customers include:
* Customer A: a walk-in store customer (business-to-consumer)
* Customers: a customer with an existing account (business-to-business) External vendors include:
* VendorA a trucking company
* VendorB: a raw materials supplier
General
The new product line must be set up in the system and readily available for sale when the company introduces the product line to the public at an upcoming trade show.
Production
You must configure the system to produce the new products:
* Ensure that the warehouse stocks the minimum quantities of raw materials to produce the products,
* Use a single version per item.
* Implement FIFO inventory valuation methods.
* Track raw and finished goods using different General ledger accounts.
* Use a primary location to determine where to stock product in the warehouse.
* Configure alternate locations in the warehouse to hold overstock products and refill the primary location as-needed.
Shipments
You identify the following requirements related to shipping:
* Ship product to retail stores weekly.
* Stores require a packing slip to check in merchandise. Drivers require transport documentation and charge per mile to the stores.
* Shipments to Store1 must be scheduled for Monday. Wednesday, or Friday, Store1 will sometimes pick up their own deliveries when an order is small because they have their own van Shipments to Store2 and Store3 must be scheduled for Tuesday or Thursday.
* You must transmit Advance Shipping Notifications (ASNs) to the stores prior to deliveries.
* Set up the system configuration to allow for store transfers.
* Set up the system so that products may be shipped to the retail stores as bulk orders.
* Set up the transport providers to deliver products from the warehouse to the retails stores.
Reporting
Once the new products are available in stores, review 30 days of historical sales data from day-to-day transactions will determine the reorder quantities. Set up reporting to allow the product line to be costed and tracked independent of other items.
Pricing and inventory
You identify the following requirements related to pricing and inventory:
* Determine the Quantity of the new products that can be produced and ready for sale within the first 90 days. Ensure that specialty packaging is on hand for retail sales. The packaging must be shipped directly to the stores from the vendor.
* Stores must not inventory the packaging materials. Stores must maintain a 50-day supply of specialty packaging materials. Stores must reorder packaging materials as needed.
* Retail store customers must pay full retail price, Resellers must receive a 10 percent discount off the list price.
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