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Vendor: EXIN

Exam Code: CDCS Dumps

Questions and Answers: 104

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NEW QUESTION: 1
Scenario Please read this scenario prior to answering the Question
The daily mutual fund trading cycle consists of four key processes: Transaction capture, pricing, trading and reconciliation. Transaction capture consists of two sub-processes: manual exchange and loans and distributions (LSD). For transaction capture, retirement plan participants use an online account management application to enter manual fund exchange transactions. For LSD, plan participants use a separate application to enter requests. The L&D application determines whether the request can be fulfilled based on the mutual fund balances held in each plan balances and a set of business rules. Each day's captured manual exchange transactions accumulate in a transaction database.
ArchiSurance contracts with a third-party information service to receive a file of mutual fund prices at the close of each trading day.
The pricing application uses this file to convert captured transaction into trades, and then validates each trade against the mutual fund balances held in each plan. The pricing generates a trade file with the minimum number of trades necessary. The trading application sends this file to an external trading service. When the trading application receives a confirmation file back from the trading service, it passes it to the reconciliation application, which updates the plan recordkeeping database.
The account management and LSD applications are hosted on separate application server clusters. Each cluster is a physically separate host that runs application server software on a set of virtualized hosts. All of these applications use a database server infrastructure that is hosted on another separate cluster of virtualized servers also on a dedicated physical host. The pricing, consolidation, trading and reconciliation applications, however, are batch applications that run on the ArchiSurance mainframe computer. All application hosts are connected via a converged data center network (DCN), which also connects them to a storage area network (SAN) as well as a wide area network (WAN) that is used to communicate with the external trading service. The SANincludes two physically separate storage arrays, ere of which holds data for all databases, and another that holds data for all files.
Refer to the Scenario
You have been asked by a team of IT auditors to show the applications used for daily trading and the infrastructure that underlies them, including all ArchiSurance servers, storage arrays and networks. It is not necessary to model the WAN or other external infrastructure.
Which answer best describes the applications and infrastructure?

A. Option B
B. Option C
C. Option A
D. Option D
Answer: B

NEW QUESTION: 2
What are valid ways to create a guest account in an HP BYOD solution? (Select three.)
A. Guests register themselves and are automatically validated.
B. Corporate users create the guest accounts.
C. Guests use the default BYOD user to register automatically.
D. Guests use the BYOD self-registration page and are later validated by corporate IT staff.
E. Guest Managers create the guest accounts.
F. Guests use the BYOD self-registration page and are later validated by Guest Manager.
Answer: A,D,F

NEW QUESTION: 3
Your company uses Team Foundation Server 2013 (TFS 2013).
You plan to migrate to Azure DevOps.
You need to recommend a migration strategy that meets the following requirements:
* Preserves the dates of Team Foundation Version Control changesets
* Preserves the changes dates of work items revisions
* Minimizes migration effort
* Migrates all TFS artifacts
What should you recommend? To answer, select the appropriate options in the answer area.
NOTE: Each correct selection is worth one point.

Answer:
Explanation:

Box 1: Upgrade TFS to the most recent RTM release.
One of the major prerequisites for migrating your Team Foundation Server database is to get your database schema version as close as possible to what is currently deployed in Azure Devops Services.
Box 2: Use the TFS Database Import Service
In Phase 3 of your migration project, you will work on upgrading your Team Foundation Server to one of the supported versions for the Database Import Service in Azure Devops Services.
References: Team Foundation Server to Azure Devops Services Migration Guide


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