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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
You purchase a new Windows 10 Enterprise desktop computer. You have four external USB hard drives.
You want to create a single volume by using the four USB drives. You want the volume to be expandable, portable and resilient in the event of failure of an individual USB hard drive.
You need to create the required volume.
What should you do?
A. From Control Panel, create a new Storage Space across 4 USB hard drives. Set resiliency type to Three-way mirror.
B. From Disk Management, create a new spanned volume.
C. From Disk Management, create a new striped volume.
D. From Control Panel, create a new Storage Space across 4 USB hard drives. Set resiliency type to Parity.
Answer: D
Explanation:
Storage Spaces can combine multiple hard drives into a single virtual drive. To create a storage space, you'll have to connect two or more additional internal or external drives to your computer to create a storage pool. You can also specify an arbitrarily large logical size. When your existing drive begins to fill up and nears the physical limit, Windows will display a notification in the Action Center, prompting you to add additional physical storage space. Selecting the Parity resiliency type allows Windows to store parity information with the data, thereby protecting you from a single drive failure.
NEW QUESTION: 2
ISO / IEC 15504: Process Assessment is formerly known as:
A. ITIL
B. ISMS
C. PDCA
D. SPICE
Answer: D
NEW QUESTION: 3
プロジェクトとタスクがトランザクションコントロールで定義されているため、プロジェクトに特定の種類の料金を請求することはできません。あなたのビジネスは、このプロジェクトで毎期APで請求書を作成する必要があるため、配布セットを作成することでプロセスを簡単にしたいと考えています。配布セットを作成すると、これらの配布セット行がプロジェクトトランザクションコントロールに対して検証されておらず、検証エラーなしで保存できることがわかります。プロジェクトのトランザクション管理が適用されない理由を特定します。 (最良の答えを選択する。)
A. 配布セットラインで利用可能な支出組織情報はありません。
B. 配布セットラインで利用可能な支出タイプ情報はありません。
C. アカウントコードの組み合わせは、配布セット行では使用できません。
D. 配布セット行に利用可能な支出項目の日付情報がありません。
Answer: D
Explanation:
Explanation
Ref:
https://docs.oracle.com/en/cloud/saas/project-portfolio-management/18c/oapfm/project-costing-configuration-de How can I validate distribution sets for projects information?
Oracle Fusion Projects performs validations on Oracle Fusion Payables distribution sets for payables invoices at the time you create the actual distribution set lines. It validates the project and task number during the invoice validation.
Distribution sets are typically used on recurring transactions, and the associated project does not have transaction controls. When you create a distribution set in Oracle Fusion Payables, the distribution set line is not validated against the project transaction controls in Oracle Fusion Projects because you do not enter an expenditure item date, which is required for transaction control validation. The expenditure item date is not provided because you use the distribution sets for an indefinite period of time.