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ITIL 4 Practitioner: Release Management Exam

  • Exam Number/Code : ITIL-4-Practitioner-Release-Management
  • Exam Name : ITIL 4 Practitioner: Release Management Exam
  • Questions and Answers : 213 Q&As
  • Update Time: 2019-01-10
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NEW QUESTION: 1
Ein produzierendes Unternehmen evaluiert Al Builder.
Sie müssen Al Builder-Modelle auswählen, um die angegebenen Anforderungen zu erfüllen.
Welche Modelltypen sollten Sie verwenden? Ziehen Sie zur Beantwortung die entsprechenden Modelltypen auf die richtigen Anforderungen.
Jeder Modelltyp 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.
HINWEIS: Jede richtige Auswahl ist einen Punkt wert.

Answer:
Explanation:

Explanation

Reference:
https://docs.microsoft.com/en-us/ai-builder/object-detection-model-in-flow
https://docs.microsoft.com/en-us/ai-builder/prediction-overview

NEW QUESTION: 2
When a Streams instance is stopped, what happens to the PE log files?
A. They are deleted from the log directory.
B. They are moved to the Streams install directory.
C. They are transferred to user's home directory.
D. They are automatically backed up.
Answer: A

NEW QUESTION: 3
The buyer has negotiated a cost-plus-incentive fee contract with the seller. The contract has a target cost of $300,000, a target fee of $40,000, a share ratio of 80/20, a maximum fee of $60,000, and a minimum fee of $10,000. If the seller has actual costs of $380,000, how much fee will the buyer pay?
A. $30,000
B. $24,000
C. $56,000
D. $104,000
Answer: B
Explanation:
Comparing actual costs with the target cost shows an $80,000 overrun. The overrun is shared 80/20 (with the buyer's share always listed first). In this case 20% of $80,000 is $16,000, the seller's share, which is deducted from the $40,000 target fee. The remaining $24,000 is the fee paid to the seller. [Planning and Closing] Garrett 2007, 123 PMBOK@ Guide, 2013, 364