2025 ITIL-4-Practitioner-Release-Management Musterprüfungsfragen, ITIL-4-Practitioner-Release-Management Praxisprüfung & ITIL 4 Practitioner: Release Management Exam Vorbereitung - Ce-Isareti 
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Exam Code: ITIL-4-Practitioner-Release-Management
Exam Name: ITIL 4 Practitioner: Release Management Exam
Vendor: Peoplecert

60 Questions & Answers
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NEW QUESTION: 1
Sie haben ein Azure-Abonnement mit dem Namen Subscription1, das die virtuellen Netzwerke in der folgenden Tabelle enthält.

Subscripton1 enthält die virtuellen Maschinen in der folgenden Tabelle.

In Subscription1 erstellen Sie einen Load Balancer mit den folgenden Konfigurationen:
* Name: LB1
* SKU: Basic
* Typ: Intern
* Subnetz: Subnetz12
* Virtuelles Netzwerk: VNET1
Wählen Sie für jede der folgenden Aussagen Ja aus, wenn die Aussage wahr ist. Andernfalls wählen Sie Nein.
HINWEIS: Jede richtige Auswahl ist einen Punkt wert.

Answer:
Explanation:

Explanation

Statement 1 : Basic load balancer supports Virtual machine in a single Availability set or virtual machine scale set (VMSS) only . Hence this statement is correct.
Statement 2 : Basic load balancer supports Virtual machine in a single Availability set or virtual scale set only or one standalone VM. VM3 and VM4 are not part of any availability set or VMSS .Hence this statement is incorrect.
Statement 3 : Basic load balancer supports Virtual machine in a single Availability set or virtual scale set only or one standalone VM. VM5 and VM6 are not part of any availability set or VMSS .Hence this statement is incorrect.

References:
https://docs.microsoft.com/en-us/azure/load-balancer/load-balancer-overview

NEW QUESTION: 2
The slope of the SML in an economy is 8.9%. The risk-free rate prevailing in the economy is 4.9%. A security has a correlation coefficient of 0.23 with the market. The market's standard deviation is 15% while that of the security is 19%. The expected return on the portfolio equals ________.
A. 14.19%
B. 13.66%
C. 7.49%
Answer: C
Explanation:
The Security Market Line (SML) is a plot of the expected returns on securities against their betas. CAPM implies that the slope of the SML equals the market risk premium and the intercept equals the risk-free rate. Hence, the data given in the problem imply that the market premium is 8.9%.
To calculate the expected return on the security using CAPM, we must first find its beta. The beta of the security equals the covariance between the security and the market divided by the market variance. Also, the covariance equals the product of the correlation coefficient and the individual standard deviations.
Hence, the covariance between the security and the market equals 0.23 * 0.15 * 0.19 = 0.0066. Therefore, the beta of the security equals 0.0066/(0.152) = 0.29. Therefore, the CAPM expected return on the security equals 4.9% + 0.29 * 8.9% = 7.49%.

NEW QUESTION: 3
Refer to the exhibit.

The exhibit shows a SAF Forwarder configuration attached to a Cisco Unified Communications Manager.
Which minimum configuration for a Cisco Unified Communications Manager Express SAF Forwarder is needed to establish a SAF neighbor relationship with this SAF Forwarder?
A. None of above configurations contain sufficient information.
B. router eigrp
SAF i
service-family ipv4 autonomous-system 1
!
topology base exit-
sf-topology exit-
service-family
voice service saf
profile trunkroute 1
session protocol sip interface Loopback1 transport tcp port 5060 !
C. router eigrp SAF
!
service-family ipv4 autonomous-system 1
!
topology base exit-
sf-topology exit-
service-family
!
voice service saf
profile trunk-route 1
session protocol sip interface Loopback1 transport tcp port
5060 ! profile dn-block 1 alias-prefix 1972555
pattern 1 type extension 4xxx
!
profile
callcontrol 1 dn-
service trunk-
route 1 dn-block
1 dn-block 2
!
channel 1 vrouter SAF asystem 1
subscribe callcontrol wildcarded
publish callcontrol 1
!
D. router eigrp SAF
!
service-family ipv4 autonomous-system 1
!
topology base
exit-sf-topology
exit-service-family
!
Answer: D


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