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NEW QUESTION: 1
What Arista feature helps with the diagnosis of microbursting events?
A. PANZ
B. FANZ
C. LANZ
D. DANZ
Answer: C

NEW QUESTION: 2
You have an instance of Azure Time Series Insights and an Azure IoT hub that receives streaming telemetry from IoT devices.
You need to configure Time Series Insights to receive telemetry from the devices.
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:
Step 1: Create a dedicated consumer group..
Add a consumer group to your IoT hub.
Applications use consumer groups to pull data from Azure IoT Hub. To reliably read data from your IoT hub, provide a dedicated consumer group that's used only by this Time Series Insights environment.
Step 2: Add a new Time Series Insights event source.
Add a new event source
Sign in to the Azure portal.
In the left menu, select All resources. Select your Time Series Insights environment.
Under Settings, select Event Sources, and then select Add.
In the New event source pane, for Event source name, enter a name that's unique to this Time Series Insights environment. For example, enter event-stream.
Step 3: Configure the Time Series event source to connect to an existing IOT hub Step 4: For Source, select IoT Hub.
Step 5: Select a value for Import option:
If you already have an IoT hub in one of your subscriptions, select Use IoT Hub from available subscriptions. This option is the easiest approach.
Reference:
https://docs.microsoft.com/en-us/azure/time-series-insights/time-series-insights-how-to-add-an-event-source-iothub

NEW QUESTION: 3
Identify the two items that the intercompany Reconciliation reports display.
A. clearing company balance lines
B. ledger balancing lines generated when the primary balancing segment value is in balance, but either the second balancing segment or the third balancing segment is out of balance
C. intercompany receivables and intercompany payables lines generated for the provider and receiver of each intercompany transaction
D. intercompany receivables and intercompany payables lines generated by the intercompany balancing feature
Answer: C,D
Explanation:
Intercompany Reconciliation: Explained The main goal of the reports is to make it easy for you to identify either the receiver side or provider side of a transaction that has not been posted to the intercompany receivables or intercompany payables account.
The reports show the following intercompany lines:
*(B)Intercompany receivables and intercompany payables lines generated by the intercompany balancing feature
*(C)Intercompany receivables and intercompany payables lines generated for the provider and receiver of each intercompany transaction
*(not A)Ledger balancing lines generated when the primary balancing segment value is in balance
but either the second balancing segment or the third balancing segment is out of balance
*(not D)Clearing company balancing lines
The following are not included on the intercompany reconciliation reports: Reference: All > Financial Control and Reporting > Close Accounting Period > Reconcile Accounts, Intercompany Reconciliation: Explained