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Code d'Examen: M2150-662
Nom d'Examen: IBM (IBM Security Systems Sales Mastery Test v2)
Questions et réponses: 65 Q&As
Code d'Examen: A2180-184
Nom d'Examen: IBM (Assessment: IBM WebSphere Message Broker V7.0, System Administration)
Questions et réponses: 104 Q&As
Code d'Examen: P2080-088
Nom d'Examen: IBM (IBM Unica Enterprise Marketing Operations Technical Mastery Test v1)
Questions et réponses: 55 Q&As
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A2180-184 Démo gratuit à télécharger: http://www.pass4test.fr/A2180-184.html
NO.1 An administrator needs to administer a broker on a Windows platform through the
Administration API
exerciser. How can the administrator start the exerciser?
A. Set the mqsiclasspath and then invoke ConfigManagerProxy.sh
B. Invoke the shell script
install_dir/sample/ConfigManagerProxy/StartConfigManagerProxyExerciser
C. Run the shell script
install_dir\sample\ConfigManagerProxy\StartConfigManagerProxyExerciser
from a WebSphere Message Broker Command Console.
D. Put a .bat script install_dir/sample/ConfigMangerProxy/StartConfigManagerProxyExerciser
which
can include the broker environment and start the Configuration Manager.
Answer: C
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NO.2 A broker administrator needs to verify the number of message flows that are running
or will start to run
within each execution group in a running broker. Which detail level should be specified for
mqsilist BRK1
-d?
A. 0
B. 1
C. 2
D. 3
Answer: C
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NO.3 An administrator is asked to set up administration security for an existing broker, so
that only
authorized users can perform administrative tasks against the broker and its resources. What
command
does the administrator need to run?
A. mqsisetsecurity
B. mqsichangebroker
C. mqsicreateaclentry
D. mqsichangeproperties
Answer: B
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NO.4 A company has a central server, which stores the catalogue price of everything that the
company sells.
This information is required by all Point of Sale (PoS) terminals in all the stores, and each
PoS terminal
must be notified of any price change. The PoS terminals connect to the central server
through TCP/IP and
wait for any price changes. The server sends any price changes to all connected client
applications. The
company has future plans to include other types of PoS clients which uses
WebSphere MQ protocol to interact with the central server. How should the system be
implemented?
A. Implement protocol conversion on the application code.
B. Implement protocol transformation engines at request entry point.
C. Implement WebSphere Message Broker with TCP/IP and WebSphere MQ Adapters.
D. Implement WebSphere Message Broker to support other request protocols like
WebSphere MQ.
Answer: D
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NO.5 An administrator needs to modify the JVM Heap Size property that is associated with
an execution
group. Which command should the administrator execute?
A. mqsichangebroker
B. mqsichangeproperties
C. mqsichangeexecutiongroup
D. mqsicreateexecutiongroup
Answer: B
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NO.6 An administrator needs to group several brokers into a Broker Set to make it easier to
manage them
from a single WebSphere Message Broker Explorer workspace. The administrator creates an
Automatic
Broker Set using the filter brokerEnvironment:Production. Which of the following steps does
the
administrator need to perform in WebSphere Message Broker Explorer to ensure the correct
brokers are
in this Broker Set?
A. Drag and drop the correct brokers onto the Broker Set.
B. Manually change the Properties of the correct brokers.
C. Manually change the Broker Tags of the correct brokers.
D. Define the properties of the filter to select brokers by the correct name.
Answer: C
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NO.7 An administrator has backed up a broker on AIX using the command
mqsibackupbroker. After the
broker is restored on a new machine, which one of the following tasks must be completed?
A. Restore JAR files that were deployed in BAR files.
B. Restore the configurable services that were defined.
C. Restore the necessary MQ queues for message flows.
D. Restore the /var/mqsi/components/<broker> file system.
Answer: C
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NO.8 An administrator has backed up the broker using the command mqsibackupbroker. The
command was
issued while the broker was running and processing deployments. What is the outcome?
A. The command completes successfully as normal.
B. The backup file contains incomplete information and is unusable.
C. The command does not complete until deployments are complete.
D. An error message was issued indicating the broker was in use.
Answer: B
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