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NEW QUESTION: 1
You develop software solutions for a mobile delivery service. You are developing a mobile app that users can use to order from a restaurant in their area. The app uses the following workflow:
A driver selects the restaurants from which they will deliver orders.
Orders are sent to all available drivers in an area.
Only orders for the selected restaurants will appear for the driver.
The first driver to accept an order removes it from the list of available orders.
You need to implement an Azure Service Bus solution.
Which three actions should you perform in sequence? To answer, move the appropriate actions from the list of actions to the answer area and arrange them in the correct order.

Answer:
Explanation:

Explanation

Box 1: Create a single Service Bus Namespace
To begin using Service Bus messaging entities in Azure, you must first create a namespace with a name that is unique across Azure. A namespace provides a scoping container for addressing Service Bus resources within your application.
Box 2: Create a Service Bus Topic for each restaurant for which a driver can receive messages.
Create topics.
Box 3: Create a Service Bus subscription for each restaurant for which a driver can receive orders.
Topics can have multiple, independent subscriptions.
Reference:
https://docs.microsoft.com/en-us/azure/service-bus-messaging/service-bus-messaging-overview
NEW QUESTION: 2
회사에는 AWS에서 실행되는 여러 워크로드가 있습니다. 직원은 온 프레미스 ADFS 및 SSO를 사용하여 AWS Management Console에 액세스 하도록 인증해야 합니다. 개발자는 기존 레거시 웹 애플리케이션을 Amazon EC2 인스턴스로 마이그레이션 했습니다. 직원은 인터넷 어디에서나이 애플리케이션에 액세스해야 하지만 현재는 단순한 인증 시스템이 아니라 응용 프로그램에 있습니다.
보안 엔지니어는 애플리케이션을 변경하지 않고 이 시스템에 대한 직원 전용 액세스를 어떻게 구현해야 합니까?
A. Amazon Cognito 자격 증명 풀을 정의한 다음 Active Directory 서버에 커넥터 설치 애플리케이션 인스턴스에서 Amazon Cognito SDK를 사용하여 C를 사용하여 직원을 인증합니다.Active Directory 사용자 이름 및 암호
B. 애플리케이션로드 밸런서 (ALB) 뒤에 애플리케이션 배치 Amazon Cognito를 인증으로 사용 (또는 ALB가 SAML 기반 Amazon Cognito 사용자 풀을 정의하고 ADFS에 연결하여 마스터 계정에서 AWS SSO를 구현하고 ADFS에 연결) as an identity provide 'EC2 인스턴스를 관리 형 리소스로 정의한 다음 리소스에 IAM 정책을 적용합니다.
C. Amazon EC2에서 역방향 프록시에 대한 인증 자로 AWS Lambda 사용자 지정 권한 부여자를 생성합니다. Amazon EC2의 보안 그룹이 Lambda 함수의 액세스만 허용하는지 확인합니다.
Answer: B
NEW QUESTION: 3
Your company is developing batch order system that utilities JMS. Each order message that is created will be broadcasted to and consumed by several order processing and billing applications.
As part of configuring the domain that will support this system, which type of JMS destination resource should you create?
A. Client
B. Topic
C. Grid
D. Batch
E. Queue
Answer: B
Explanation:
A JMS destination identifies a queue (point-to-point) or topic (publish/subscribe)
resource within a JMS module.
A JMS topic identifies a publish/subscribe destination type for a JMS server. Topics are used for
asynchronous peer communications. A message delivered to a topic is distributed to all
consumers that are subscribed to that topic.
Reference: Configuring Basic JMS System Resources,Queue and Topic Destination Configuration
NEW QUESTION: 4
Smith and James were partners in S and J Partnership. The partnership agreement stated that all profits
and losses were allocated 60 percent to Smith and 40 percent to James. The partners decided to
terminate and wind up the partnership. The following was the balance sheet for S and J on the day of the
windup:

Of the total accounts receivable, $10,000 was collected and the remainder was written off as bad debt. All
liabilities of S and J were paid by the partnership. The property and equipment are sold for $32,000.
Under the Uniform Partnership Act, what amount of cash was distributed to Smith?
A. $25,200
B. $34,800
C. $26,000
D. $30,000
Answer: A
Explanation:
Choice "a" is correct. Upon termination of the partnership creditors are paid first. After payment of
creditors, each partner is deemed to have an account that is charged or credited an amount equal to the
partner's contribution plus or minus the partner's share of any profits or losses. The agreement between
Smith and James was that profits and losses would be allocated 60% to Smith and 40% to James. The
partnership had $82,000 in assets ($40,000 in cash, $10,000 from accounts receivable, and $32,000 from
property and equipment). The partnership had $90,000 in liabilities and capital. Of the $82,000 in assets,
$ 24,000 is paid first to creditors. This leaves a balance of $58,000.
Smith contributed $30,000 in capital and James contributed $36,000 in capital. With $66,000 owed in
capital and only $58,000 available, there is a deficit of $8,000. By agreement, Smith is responsible for
6 0% of the $8,000 deficit or $4,800.
Smith would be credited an amount equal to his capital ($30,000) minus his share of the loss ($4,800) or
$ 25,200. Only choice "a" reflects this amount.
Choices "b", "c", and "d" are incorrect, per the above calculation.
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