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NEW QUESTION: 1
You are the product owner for a new application. You have the list of product backlog items (PBIs) with assigned business values for the first release of the application. You will be working with an established scrum master and development team. You know the team's capacity and the planned sprint duration.
You need to plan the release schedule based on your existing backlog.
Which three actions should you and the team perform? (Each correct answer presents part of the solution. Choose three.)
A. Ask the development team to provide high level estimates to complete each PBI.
B. Order the product backlog by business value.
C. Ask the development team to decompose the PBIs into individual tasks and estimate hours.
D. Schedule the release using the Iteration Planning workbook.
E. Use the TFS 2012 task board features.
F. Assign the PBIs to different sprints to define the release.
Answer: A,D,F
Explanation:
Not clear because according to Planning a release they say:
Note Release planning is no longer an official event in Scrum. It's assumed that every
organization will do some level of release planning. As far as Scrum is concerned, keeping
the Product Backlog healthy and estimated is the best input for accurate release planning.
Professional Scrum Development with Microsoft Visual Studio 2012 p.160
NEW QUESTION: 2
A. Option D
B. Option B
C. Option C
D. Option A
Answer: D
NEW QUESTION: 3
Note: This question is part of a series of questions that use the same or similar answer choices. An answer choice may be correct for more than one question in the series. Each question is independent of the other questions in this series. Information and details provided in a question apply only to that question.
You have a database that contains tables named Customer_CRMSystem and
Customer_HRSystem. Both tables use the following structure:
The tables include the following records:
Customer_CRMSystem
Customer_HRSystem
Records that contain null values for CustomerCode can be uniquely identified by
CustomerName.
You need to display customers who appear in both tables and have a proper
CustomerCode.
Which Transact-SQL statement should you run?
A. Option E
B. Option D
C. Option B
D. Option C
E. Option A
Answer: E
Explanation:
When there are null values in the columns of the tables being joined, the null values do not match each other. The presence of null values in a column from one of the tables being joined can be returned only by using an outer join (unless the WHERE clause excludes null values).
References: https://technet.microsoft.com/en-us/library/ms190409(v=sql.105).aspx
NEW QUESTION: 4
The project management office is worried about the quality of the company's various projects. They want to know which projects are having problems and which ones are doing well. If the PMO receives the following information, which project should they be the MOST concerned about?
A. Project A with a benefit cost ratio of 2.3
B. Project D with a benefit cost ratio of negative 1.3
C. Project C with a benefit cost ratio of negative 2.3
D. Project B with a benefit cost ratio of 1.3
Answer: C