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NEW QUESTION: 1
DynamoDB 용 AWS 콘솔을 사용하면 다음 작업을 제외한 모든 작업을 수행 할 수 있습니다.
A. CloudWatch의 실시간 그래프에서 테이블의 최상위 모니터링 측정 항목을 봅니다.
B. 다른 데이터베이스 또는 파일에서 데이터 가져 오기.
C. 테이블의 용량 사용량을 모니터링하는 알람을 설정합니다.
D. 테이블 만들기, 업데이트 및 삭제.
Answer: B
Explanation:
설명:
DynamoDB 용 AWS 콘솔을 사용하면 위의 모든 작업을 수행 할 수 있지만 다른 데이터베이스 또는 파일에서 데이터 가져 오기 작업을 수행 할 수는 없으므로 수행 할 수 없습니다.
http://docs.aws.amazon.com/amazondynamodb/latest/developerguide/ConsoleDynamoDB.html

NEW QUESTION: 2
A company currently uses Microsoft Active Directory as its identity provider. The company recently
purchased Oracle Cloud Infrastructure (OCI) to leverage the cloud platform for its test and development
operations. As the administrator, you are now tasked with giving access only to developers so that they
can start creating resources in their OCI accounts.
Which step will you perform to achieve this requirement?
A. Create a group for developers on OCI and map the group to a similar group in Microsoft Active
Directory during the federation process.
B. Create a new user account for each user, and then create policies to provide access to developers.
C. Federate all Microsoft Active Directory groups with OCI to allow users to use their existing credentials.
D. Create a group for developers on OCI, export all the developers from Microsoft Active Directory, and
then import them into the Identity and Access Management (IAM) group.
Answer: C

NEW QUESTION: 3
A customer wants the ability to track the call types for Automatic Call Distribution (ACD) calls answered by agents. These call types will be defined by the customer.
Which call center feature can the customer use to track their defined call types?
A. Redirection on No Answer (RONA)
B. Call Work Codes (CWC)
C. Multiple Call Handling (MCH)
D. Least Occupied Agent (LOA)
E. Feature Access Codes (FAC)
Answer: B
Explanation:
Explanation
References:

NEW QUESTION: 4
Your customer uses Financials Cloud, Projects, Inventory and Procurement.
Which two statements are true regarding intercompany accounting for these products? (Choose two.)
A. They need to license a separate stand-alone Intercompany product that acts as the Intercompany Accounting Hub
B. Intercompany Balancing Rules are defined centrally and applied across Financials and Project Portfolio Management
C. Within Financials Cloud, Intercompany Balancing Rules are used to balance both cross-ledger intercompany transactions and single-ledger Intercompany journals
D. Each product has its own Intercompany Accounting feature that needs to be set up separately
Answer: B,C