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NEW QUESTION: 1
Betrachten Sie das folgende Codefragment
Wenn (a> b) und (b> c) dann
b = (a + c) / 2
endif
Angenommen, in den folgenden Optionen repräsentiert jede der drei Zahlen in Klammern die Eingaben für einen Testfall, wobei die erste Zahl die Variable "a" darstellt, die zweite Zahl die Variable "b" darstellt und die dritte Zahl die Variable "c" darstellt. .
Welche der folgenden Optionen enthält eine Reihe von Testfall-Eingaben, mit denen eine 100% ige Entscheidungsabdeckung für dieses Codefragment bei minimaler Anzahl von Testfällen erreicht wird? 2 Credits [K3]
Anzahl der richtigen Antworten: 1
A. (5, 4, 0); (4, 5, 0)
B. (5, 3, 2)
C. (5, 3, 2); (5, 4, 0)
D. (4, 5, 0); (5, 4, 5)
Answer: A

NEW QUESTION: 2
Sie erstellen ein Azure Migrate-Projekt mit dem Namen TestMig in einer Ressourcengruppe mit dem Namen test-migration.
Sie müssen ermitteln, welche lokalen virtuellen Maschinen für die Migration bewertet werden sollen.
Welche drei Aktionen sollten Sie nacheinander ausführen? Um zu antworten, wählen Sie die entsprechenden Aktionen aus der Liste der Aktionen im Antwortbereich aus und ordnen Sie sie in der richtigen Reihenfolge an.

Answer:
Explanation:

Explanation

Step 1: Download the OVA file for the collection appliance
Azure Migrate uses an on-premises VM called the collector appliance, to discover information about your on-premises machines. To create the appliance, you download a setup file in Open Virtualization Appliance (.ova) format, and import it as a VM on your on-premises vCenter Server.
Step 2: Create a migration group in the project
For the purposes of assessment, you gather the discovered VMs into groups. For example, you might group VMs that run the same application. For more precise grouping, you can use dependency visualization to view dependencies of a specific machine, or for all machines in a group and refine the group.
Step 3: Create an assessment in the project
After a group is defined, you create an assessment for it.
References:
https://docs.microsoft.com/en-us/azure/migrate/migrate-overview

NEW QUESTION: 3
Which two things must your customer check daily in order to ensure that all their purchase order transactions from that day have been accounted for in Receipt Accounting Distribution?
A. Review their journal entries, including their sub-ledger accounting events and class where the charges from the purchase orders are going to be charged to.
B. Review their Receipt Accounting processes that show whether any processes failed and why.
C. Review their accrual balances and clear them.
D. Review their distributions that show the debit and credit information specific to the Receipt Accounting transaction selected.
E. Review their audit receipt accrual clearing balances.
Answer: A,C