Risk analysis-Spiral model
How can I solve my Software Engineering problem? Please suggest me the accurate answer. In spiral model the risk analysis is functioned by: (i) In first loop (ii) In the first & second loop (iii) In every loop (iv) Before utilizing spiral model.
For the function of two variables, the boundary value analysis outcomes: (i) 4n + 3 test cases (ii) 4n + 1 test case. (iii) n + 4 (iv) None of above. Can someone explain/help me with most excellent solution regardi
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