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NEW QUESTION: 1
Which of the following provides the ability to share the cost benefits of Reserved Instances across AWS accounts?
A. Amazon Elastic Compute Cloud (Amazon EC2) Reserved Instance Utilization Report
B. Amazon EC2 Instance Usage Report between AWS accounts
C. Linked accounts and consolidated billing
D. AWS Cost Explorer between AWS accounts
Answer: C
Explanation:
The way that Reserved Instance discounts apply to accounts in an organization's consolidated billing family depends on whether Reserved Instance sharing is turned on or off for the account. By default, Reserved Instance sharing for all accounts in an organization is turned on. You can change this setting by Turning Off Reserved Instance Sharing for an account.
The capacity reservation for a Reserved Instance applies only to the account the Reserved Instance was purchased on, regardless of whether Reserved Instance sharing is turned on or off.
Reference:
https://aws.amazon.com/premiumsupport/knowledge-center/ec2-ri-consolidated-billing/
NEW QUESTION: 2
In a tape environment after a SnapRestore reversion of a volume, incremental backup and restore operations on the file or volume cannot rely on the timestamps to determine what data needs to be backed up or restored. Which course of action ensures correct incremental backups?
A. Perform a base-level backup of the volume after you restore it.
B. Reboot the storage system to reset timestamps back to their original times before the reversion.
C. Take a new snapshot of the volume to create new base-level timestamps for the incremental backup, and then perform a base-level backup of the volume after you restore it.
D. Take a new snapshot of the volume to create new base-level timestamps for the incremental backup.
Answer: A
Explanation:
A baseline (aka "full") backup is always required before valid incremental backups can be made.
NEW QUESTION: 3
Your portfolio trading customer is using Oracle Entitlements Server (OES) to externalize authorization
decisions from their share dealing application.
The trading customer has stipulated the following policy need to be implemented:
Customers can purchase shares only if their credit limit is 20% higher than the value of the shares in their
basket at checkout.
The value of a basket and a customer's credit limit are both available in the application, and can be
passed to OES as part of an authorization request if required.
You are looking to implement the most efficient policy within OES. Which three steps would you
implement?
A. Return an obligation that contains the difference value so that the application can decide whether to
allow the transaction or not.
B. Configure an authorization policy to include a condition that executes a custom function.
C. Configure a Policy Information Point (PIP) to retrieve the basket value and credit limit from an internal
system.
D. Configure the application to include the basket value and credit limit in the authorization request.
E. Use a PIP to call a web service that returns the calculated difference between the basket value and the
credit limit.
F. Create a custom function to calculate the difference between the basket value and the credit.
Answer: D,E,F