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NEW QUESTION: 1
You have an Azure subscription named Sub1 that is associated to an Azure Active Directory (Azure AD) tenant named contoso.com.
You plan to implement an application that will consist of the resources shown in the following table.
Users will authenticate by using their Azure AD user account and access the Cosmos DB account by using resource tokens.
You need to identify which tasks will be implemented in CosmosDB1 and WebApp1.
Which task should you identify for each resource? To answer, select the appropriate options in the answer area.
NOTE: Each correct selection is worth one point.
Answer:
Explanation:
Explanation:
CosmosDB1: Create database users and generate resource tokens.
Azure Cosmos DB resource tokens provide a safe mechanism for allowing clients to read, write, and delete specific resources in an Azure Cosmos DB account according to the granted permissions.
WebApp1: Authenticate Azure AD users and relay resource tokens
A typical approach to requesting, generating, and delivering resource tokens to a mobile application is to use a resource token broker. The following diagram shows a high-level overview of how the sample application uses a resource token broker to manage access to the document database data:
References:
https://docs.microsoft.com/en-us/xamarin/xamarin-forms/data-cloud/cosmosdb/authentication
NEW QUESTION: 2
Which of the following persons falls under the definition of "broker-dealer," as defined by the Uniform Securities Act (USA)?
A. Michaela is employed by GetErDone broker-dealers and sells both exempt and non-exempt securities to GetErDone's clients.
B. MyTrades is a sole proprietorship owned by Nathan Newmoney, who has established the firm solely to make trades on his own account, thereby avoiding the commissions he would have to pay a middleman.
C. Marge is a loan officer at Treadwater Bank and Trust.
D. Juan is employed by TrustUs Corporation to sell shares of the firm's stock to the firm's employees and receives a commission on the shares he sells.
Answer: B
Explanation:
Explanation/Reference:
Explanation: MyTrades falls under the definition of "broker-dealer," as defined by the Uniform Securities Act since Nathan Newmoney is engaged in trading on his own account. The USA defines a broker-dealer as any person that conducts securities transactions on its own account or for others. Both Juan and Michaela are "agents" under the USA definition, and agents are specifically excluded from the definition of a broker-dealer. Marge is also excluded from the definition since she is a loan officer at a bank.
NEW QUESTION: 3
Two assets (belonging to the same company code) post depreciation to different G/L accounts. What
does this mean for the assets? (There are two correct answers.)
A. The assets are assigned to separate cost centers.
B. The assets post APC values to separate accounts.
C. The assets belong to different asset classes.
D. The assets are assigned to separate account determinations.
Answer: C,D
Explanation:
The definite obvious answer here is that the assets have different account determinations. This also
means the assets belong to different asset classes as an asset class is assigned to a single account
determination. The APC account (though unlikely) could be the same between separate account
determinations.
The cost center has no bearing on the selected accounts.