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NEW QUESTION: 1
展示を参照してください。このコマンドの出力で、ルーターIDが手動で設定されていない場合、OSPFはこのルーターにどのルーターIDを使用しますか?
A. 172.16.5.1
B. 192.168.5.3
C. 10.1.1.2
D. 10.154.154.1
Answer: A
Explanation:
CCNAチュートリアル:OSPFルーターID(RID)
http://www.thebryantadvantage.com/CCNACertificationExamTutorialOSPFRouterIDRID.htm OSPF対応ルーターのルーターID(RID)を決定する場合、OSPFは、ループバックがOSPFであるかどうかに関係なく、ルーターのループバックインターフェイスで数値が最も高いIPアドレスを常に使用します-有効。
ループバックがない場合はどうなりますか?
OSPFは、そのインターフェイスがOSPF対応かどうかに関係なく、物理インターフェイスの数値的に最も大きいIPアドレスを使用します。
NEW QUESTION: 2
The A/P entry screen is divided into which areas? (Choose all that apply)
A. Information types
B. GL Account items
C. Templates
D. Information areas
Answer: B,C,D
NEW QUESTION: 3
Which three operations can be performed as multipartition operations in Oracle?
A. Merge partitions of a reference partitioned index
B. Move partitions of a range-partitioned table
C. Drop partitions of a list partitioned table
D. Rename partitions of a range partitioned table
E. Coalesce partitions of a hash-partitioned global index.
F. Merge partitions of a list partitioned table
Answer: A,C,F
Explanation:
Multipartition maintenance enables adding, dropping, truncate, merge, split operations on multiple partitions.
A: Merge Multiple Partitions:
The new "ALTER TABLE ... MERGE PARTITIONS " help merge multiple partitions or subpartitions with a single
statement. When merging multiple partitions, local and global index operations and semantics for inheritance of
unspecified physical attributes are the same for merging two partitions.
B: Drop Multiple Partitions:
The new "ALTER TABLE ... DROP PARTITIONS " help drop multiple partitions or subpartitions with a single statement.
Example:
view plaincopy to clipboardprint?
SQL> ALTER TABLE Tab_tst1 DROP PARTITIONS
Tab_tst1_PART5, Tab_tst1_PART6, Tab_tst1_PART7;
Table altered
SQL>
Restrictions :
-You can't drop all partitions of the table.
-If the table has a single partition, you will get the error: ORA-14083: cannot drop the only partition of a partitioned.
NEW QUESTION: 4
Which type of transactions require a bank transaction type to be set up on the Cash and bank management parameters form?
A. Bank reconciliation transactions
B. Bank fee transactions
C. Non-sufficient fund transactions
D. Vendor payment transactions
Answer: B
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