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NEW QUESTION: 1
VTP Domain name : cisco
VLAN Ids 20 31
IP Addresses 172.16.71.1/24 172.16.132.1/24
These are your specific tasks:
1. Configure the VTP information with the distribution layer switch as the VTP server
2. Configure the VTP information with the access layer switch as a VTP client
3. Configure VLANs on the distribution layer switch
4. Configure inter-VLAN routing on the distribution layer switch
5. Specific VLAN port assignments will be made as users are added to the access layer switches in the future.
6. All VLANs and VTP configurations are to completed in the global configuration To configure the switch click on the host icon that is connected to the switch be way of a serial console cable.
Answer:
Explanation:
Please refer to explanation below:
Explanation
vtp server configuration:
switch#conf t
switch(config)#vtp mode server
switch(config)#vtp domain CISCO
switch(config)#vlan 20
switch(config)#vlan 31
switch(config)#int vlan 20
switch(if-config)#ip add 172.64.20.1 255.255.255.0
switch(if-config)#no shut
switch(if-config)#int vlan 31
switch(if-config)#ip add 192.162.31.1 255.255.255.0
switch(if-config)#no shut
switch(if-config)#exit
switch#ip routing
switch#copy run start
vtp client configuration:
switch#conf t
switch(config)#vtp mode client
switch(config)#vtp domain CISCO
switch#copy run start
Alternative #1
VTP DomainDistribution
VLAN Ids2031
IP Addresses172.16.16.1/24172.16.193.1/24
Alternative #12
VTP DomainDistribution
VLAN Ids3021
IP Addresses172.16.203.1/24172.16.93.1/24
NEW QUESTION: 2
You are using both Procurement and Financials. You want the system to automatically accrue uninvoiced receipts. Select two true statements.
A. For perpetual accruals, the invoice accounting debits the accrual account and credits the liability account.
B. For period end accruals, accounting is created at material receipt or at delivery to a final destination.
C. For period end accruals, the invoice accounting for inventory items debits receipt inventory and credits the uninvoiced receipts.
D. For period end accruals, the invoice accounting debits the expense account and credits the liability account.
Answer: A,D
Explanation:
Explanation
Reference
https://fusionhelp.oracle.com/helpPortal/topic/TopicId_P_A87306EB5A7752DFE040D30A68817FB2
NEW QUESTION: 3
データの発見において最大の課題となるデータの属性はどれですか?
A. ボリューム
B. 品質
C. ラベル
D. フォーマット
Answer: B
Explanation:
説明
データ検出に関する主な問題は、分析が実行されるデータの品質です。不正な形式のデータ、誤って保存またはラベル付けされたデータ、または不完全なデータは、分析ツールの使用を非常に困難にします。
NEW QUESTION: 4
Your organization is planning on using Oracle Cloud Infrastructure (OCI) File Storage Service (FSS). You will be deploying multiple compute instance in Oracle Cloud Infrastructure (OCI) and mounting the file system to these compute instances. The file system will hold payment data processed by a Database instance and utilized by compute instances to create a overall inventory report. You need to restrict access to this data for specific compute instances and must be allowed/blocked per compute instance's CIDR block.
Which option can you use to secure access?
A. Use 'Export option' feature of FSS to restrict access to the mounted file systems.
B. Use stateless Security List rule to restrict access from known IP addresses only.
C. Create and configure OCI Web Application Firewall service with built in DNS based intelligent routing.
D. Create a new VCN security list, choose SOURCE TYPE as Service and SOURCE SERVICE as FSS.
Add stateless ingress and egress rules for specific P address and CIDR blocks.
Answer: A
Explanation:
Explanation
NFS export options enable you to create more granular access control than is possible using just security list rules to limit VCN access. You can use NFS export options to specify access levels for IP addresses or CIDR blocks connecting to file systems through exports in a mount target. Access can be restricted so that each client's file system is inaccessible and invisible to the other, providing better security controls in multi-tenant environments.
Using NFS export option access controls, you can limit clients' ability to connect to the file system and view or write data. For example, if you want to allow clients to consume but not update resources in your file system, you can set access to Read Only. You can also reduce client root access to your file systems and map specified User IDs (UIDs) and Group IDs (GIDs) to an anonymous UID/GID of your choice. For more information about how NFS export options work with other security layers