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NEW QUESTION: 1
Note: This question is part of a series of questions that present the same scenario. Each question in the series contains a unique solution that might meet the stated goals.
Some question sets might have more than on correct solution, while others might not have a correct solution.
After you answer a question in this section, you will NOT be able to return to it. As a result these questions will not appear in the review screen.
You have an Azure Active Directory (Azure AD) tenant named Adatum and an Azure Subscription named Subscription. Adatum contains a group named Developers. Subscription 1 contains a resource group named Dev.
You need to provide the Developers group with the ability to create Azure logic apps in the Dev resource group.
Solution; On Dev. you assign the Logic App Contributor role to the Developers group.
Does this meet the goal?
A. No
B. Yes
Answer: A
Explanation:
Explanation
The Logic App Contributor role lets you read, enable and disable logic app.
References:
https://docs.microsoft.com/en-us/azure/role-based-access-control/built-in-roles#logic-app-contributor
NEW QUESTION: 2
Which actions are initiated when a snapshot is created on an XtremIO array?
A. Parent object becomes read only and one auxiliary volume is created
B. Parent object remains writeable and one auxiliary volume is created
C. Parent object remains writeable and two auxiliary volumes are created
D. Parent object becomes read only and two auxiliary volumes are created
Answer: D
Explanation:
When a copy is created, the volume's existing metadata becomes an "ancestor" entity
(parent object) that is shared between the production volume and the copy. New empty containers are created for subsequent changes to both the production volume and the virtual copy volume. Therefore, the act of creating a copy is instantaneous and involves no data or metadata copies.

References: https://www.emc.com/collateral/white-paper/h13035-wp-introduction-to- xtremio-snapshots.pdf, pages 18
NEW QUESTION: 3
Which two statements are true regarding how Intercompany Balancing Rule, are defined? (Choose two.)
A. You can only define balancing rules for different journals' sources. You cannot define balancing rules for different journal categories.
B. All ledgers engaged in an intercompany transaction must share the same chart: of accounts in order to define balancing rules
C. You can define different balancing rules for different combinations of journal sources, journal categories, and transaction types
D. You can define different rules for different charts of accounts, ledgers, legal entities, and primary balancing segment value.
Answer: B,D