Pass the Microsoft Microsoft Certified: Power BI Data Analyst Associate PL-300 Questions and answers with CertsForce

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Viewing questions 11-20 out of questions
Questions # 11:

You need to minimize the size of the semantic model. The solution must meet the report requirements.

What should you do?

Options:

A.

Filter out discontinued products while importing the Products table.


B.

Group the Categories table by the CategorylD column.


C.

Change the OrderlD column in the Orders table to the Text data type.


D.

Remove the QuantityPerUnit column from the Products table.


Expert Solution
Questions # 12:

You need to create the dataset. Which dataset mode should you use?

Options:

A.

DirectQuery


B.

Import


C.

Live connection


D.

Composite


Expert Solution
Questions # 13:

You need to create a measure that will return the percentage of late orders.

How should you complete the DAX expression? To answer, select the appropriate options in the answer area.

NOTE: Each correct selection is worth one point.

Question # 13


Expert Solution
Questions # 14:

You need to design the data model and the relationships for the Customer Details worksheet and the Orders table by using Power BI. The solution must meet the report requirements.

For each of the following statement, select Yes if the statement is true, Otherwise, select No.

NOTE: Each correct selection is worth one point.

Question # 14


Expert Solution
Questions # 15:

You need to recommend a strategy to consistently define the business unit, department, and product category data and make the data usable across reports.

What should you recommend?

Options:

A.

Create a shared dataset for each standardized entity.


B.

Create dataflows for the standardized data and make the dataflows available for use in all imported datasets.


C.

For every report, create and use a single shared dataset that contains the standardized data.


D.

For the three entities, create exports of the data from the Power Bl model to Excel and store the data in Microsoft OneDrive for others to use as a source.


Expert Solution
Questions # 16:

How should you distribute the reports to the board? To answer, select the appropriate options in the answer area.

NOTE: Each correct selection is worth one point.

Question # 16


Expert Solution
Questions # 17:

You need to ensure that the data is updated to meet the report requirements. The solution must minimize configuration effort.

What should you do?

Options:

A.

From each report in powerbi.com. select Refresh visuals


B.

From Power Bl Desktop, download the PBIX file and refresh the data.


C.

Configure a scheduled refresh without using an on-premises data gateway.


D.

Configure a scheduled refresh by using an on-premises data gateway


Expert Solution
Questions # 18:

Which two types of visualizations can be used in the balance sheet reports to meet the reporting goals? Each correct answer presents part of the solution.

NOTE: Each correct selection is worth one point.

Options:

A.

a line chart that shows balances by quarter filtered to account categories that are long-term liabilities.


B.

a clustered column chart that shows balances by date (x-axis) and account category (legend) withoutfilters.


C.

a clustered column chart that shows balances by quarter filtered to account categories that are long-term liabilities.


D.

a pie chart that shows balances by account category without filters.


E.

a ribbon chart that shows balances by quarter and accounts in the legend.


Expert Solution
Questions # 19:

You need to create a DAX measure in the data model that only allows users to see projections at the appropriate levels of granularity.

How should you complete the measure? To answer, drag the appropriate values to the correct targets. Each value may be used once, more than once, or not at all. You may need to drag the split bar between panes or scroll to view content.

NOTE: Each correct selection is worth one point.

Question # 19


Expert Solution
Questions # 20:

Which DAX expression should you use to get the ending balances in the balance sheet reports?

Options:

A.

CALCULATE (SUM( BalanceSheet [BalanceAmount] ),DATESQTD( 'Date'[Date] ))


B.

CALCULATE (SUM( BalanceSheet [BalanceAmount] ),LASTDATE( 'Date'[Date] ))


C.

FIRSTNONBLANK ( 'Date' [Date]SUM( BalanceSheet[BalanceAmount] ))


D.

CALCULATE (MAX( BalanceSheet[BalanceAmount] ),LASTDATE( 'Date' [Date] ))


Expert Solution
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