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NEW QUESTION: 1
A company has decided to scale its e-commerce application from its corporate datacenter to a commercial cloud provider to meet an anticipated increase in demand during an upcoming holiday. The majority of the application load takes place on the application server under normal conditions. For this reason, the company decides to deploy additional application servers into a commercial cloud provider using the on-premises orchestration engine that installs and configures common software and network configurations. The remote computing environment is connected to the on-premises datacenter via a site-to-site IPSec tunnel. The external DNS provider has been configured to use weighted round-robin routing to load balance connections from the Internet.
During testing, the company discovers that only 20% of connections completed successfully.
Review the network architecture and supporting documents and fulfill these requirements:
Part1:
1. Analyze the configuration of the following components: DNS, Firewall1, Firewall2, Router1, Rouler2, VPN and Orchestrator Server.
2. Identify the problematic device(s).
Instructions:
If at any time you would like to bring back the initial state of the simulation, please select the Reset button. When you have completed the simulation, please select the Done button to submit. Once the simulation is submitted, please select the Next button to continue.
Simulation








Answer:
Explanation:
NEW QUESTION: 2
You must configure a SCREEN option that would protect your device from a session table flood. Which configuration meets this requirement?
A. [edit security screen]
user@host# show
ids-option protectFromFlood {
limit-session {
source-ip-based 1200;
destination-ip-based 1200;
} }
B. [edit security screen]
user@host# show
ids-option protectFromFlood {
tcp {
syn-flood {
attack-threshold 2000;
destination-threshold 2000;
}
}
}
C. [edit security screen]
user@host# show
ids-option protectFromFlood {
icmp {
ip-sweep threshold 5000;
flood threshold 2000;
}
}
D. [edit security screen]
user@host# show
ids-option protectFromFlood {
udp {
flood threshold 5000;
}
}
Answer: A
NEW QUESTION: 3
The information below was taken from the bank transfer schedule prepared during the audit of Fox Co.'s
financial statements for the year ended December 31, 20X1.
Assume all checks are dated and issued on December 30, 20X1. Which of the following checks illustrate
deposits/transfers in transit at December 31, 20X1?
A. #101 and #303.
B. #202 and #404.
C. #303 and #404.
D. #101 and #202.
Answer: A
Explanation:
Explanation/Reference:
Explanation:
Choice "B" is correct. A deposit in transit is a disbursement recorded in one accounting period with the
receipt occurring in the subsequent period. Assuming all checks were dated and issued on December 30
20X1, any deposits with a receipt date in 20X2 would indicate a deposit in transit at December 31, 20X1.
Checks #101 and #303 both meet this criterion and therefore illustrate deposits/transfers in transit at
December 31, 20X1.
Choices "A", "C", and "D" are incorrect, based on the above Explanation.
