2017年3月31日星期五

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NO.1 While logged in as a tenant administrator you begin creating the user accounts for that tenant.
You want to assign a specific role to an account. However, the role does not appear to be among the
available roles. What is the likely reason for this?
A. The role has not been created.
B. You do not have permission to see the role.
C. Only CA Technologies Services can perform this action.
D. The role was assigned to another tenant.
Answer: A

NO.2 Which statement is FALSE?
A. In the Groups tree,Service Provider Global Groups contain items not explicitly associated with a
tenant IP domain.
B. A best practice is to create groups to meet strategicIT objectives rather than business objectives.
C. Users can use the section of the Groups tree below their permission groups to change the data
context for summary or group dashboards.
D. The groups assigned to your user account determine the data you can view on dashboards.
Answer: B

CAT-440 Correct   CAT-440 Answers   

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Exam Code: CFA-Level-I

Exam Name: CFA Institute CFA Level I Chartered Financial Analyst

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CFA Program Level I Exam Details

For Registered Candidates

Prerequisite Economics Material: Demand and Supply Analysis (PDF)
Log in to access your candidate resources, including your personal study planner and practice tests.
Some of the items you'll review when preparing for the Level I exam:

Exam questions format
Examples of Level I exam questions
Exam topics and study session outlines: 2017
Tips for taking the Level I exam
Exam Structure and Timing
Structure: The Level I exam consists of 240 multiple choice questions, split among two 3-hour sessions. Candidates must attend both sessions.

Morning session (3 hours): 120 multiple choice questions, covering all topics
Afternoon session (3 hours): 120 multiple choice questions, covering all topics
Timing: On average you should allow approximately 90 seconds for each multiple choice question. You may need more or less time, depending on the question and how well you understand the topic.

Exam Question Format
Multiple Choice Questions

Each item on the Level I multiple choice exam consists of a question, a statement, and/or table and three answer choices: A, B, and C.

Two basic formats are used:

Sentence completion with three unique choices
Questions with three unique choices
Example 1 (Sentence completion)
An analyst suspects that a particular company’s U.S. GAAP financial statements may require adjustment because the company uses take-or-pay contracts. The most likely effect of the appropriate adjustments would be to increase that company’s

A. return on assets.
B. debt-to-equity ratio.
C. interest coverage ratio.

Example 2 (Question)
An analyst suspects that a particular company’s U.S. GAAP financial statements may require adjustment because the company uses take-or-pay contracts. Which of the following is most likely to increase as a result of the appropriate adjustments being made to that company’s financial statements?

A. Return on assets.
B. Debt-to-equity ratio.
C. Interest coverage ratio.

All questions are equally weighted and there is no penalty for an incorrect answer.

More details referencing item stem and item construction (PDF).

Back to top
Examples of Level I Exam Questions
Below are some examples of Level I questions, but remember: the exam is based on the current curriculum. You can expect to see similar questions in terms of structure, format and level of difficulty, but don't expect to see the same questions repeated on future exams.

Examples of Level I exam multiple choice questions (PDF)

Already registered for the next Level I exam? Login to access your practice topic tests and mock exam.

Back to top

Back to top
2017 Exam Topics and Study Session Outlines
2017 Level I Study Sessions index | 2017 Level I Study Sessions combined

Ethical and Professional Standards
Exam Weight: 15% Study Session 1 | Readings 1-5
Quantitative Methods
Exam Weight: 12% Study Session 2
Study Session 3
Economics
Exam Weight: 10% Study Session 4
Study Session 5
Financial Reporting and Analysis
Exam Weight: 20% Study Session 6
Study Session 7
Study Session 8
Study Session 9
Corporate Finance
Exam Weight: 7% Study Session 10
Study Session 11
Portfolio Management
Exam Weight: 7% Study Session 12
Equity
Exam Weight: 10% Study Session 13
Study Session 14
Fixed Income
Exam Weight: 10% Study Session 15
Study Session 16
Derivatives
Exam Weight: 5% Study Session 17
Alternative Investments
Exam Weight: 4% Study Session 18
Back to top

Examples of Tips for Taking the Level I Exam
Be comfortable with your calculator. Make sure you know how to use the calculator features needed to address the learning outcome statements (LOS).
Exam questions referring to Financial Reporting and Analysis (FRA) are based on International Financial Reporting Standards (IFRS) unless otherwise specified. When a question is based on U.S. GAAP, it will be stated in the question.
Answer all questions: There is no penalty for incorrect answers.
Log in to view more tips for taking the Level I exam and access the rest of your candidate resources, including your personal study planner, topic tests, and mock exams.

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Exam Code: CFA-Level-I

Exam Name: CFA Institute CFA Level I Chartered Financial Analyst

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Last Update: 2017-03-31

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CFA Program Level I Exam Details

For Registered Candidates

Prerequisite Economics Material: Demand and Supply Analysis (PDF)
Log in to access your candidate resources, including your personal study planner and practice tests.
Some of the items you'll review when preparing for the Level I exam:

Exam questions format
Examples of Level I exam questions
Exam topics and study session outlines: 2017
Tips for taking the Level I exam
Exam Structure and Timing
Structure: The Level I exam consists of 240 multiple choice questions, split among two 3-hour sessions. Candidates must attend both sessions.

Morning session (3 hours): 120 multiple choice questions, covering all topics
Afternoon session (3 hours): 120 multiple choice questions, covering all topics
Timing: On average you should allow approximately 90 seconds for each multiple choice question. You may need more or less time, depending on the question and how well you understand the topic.

Exam Question Format
Multiple Choice Questions

Each item on the Level I multiple choice exam consists of a question, a statement, and/or table and three answer choices: A, B, and C.

Two basic formats are used:

Sentence completion with three unique choices
Questions with three unique choices
Example 1 (Sentence completion)
An analyst suspects that a particular company’s U.S. GAAP financial statements may require adjustment because the company uses take-or-pay contracts. The most likely effect of the appropriate adjustments would be to increase that company’s

A. return on assets.
B. debt-to-equity ratio.
C. interest coverage ratio.

Example 2 (Question)
An analyst suspects that a particular company’s U.S. GAAP financial statements may require adjustment because the company uses take-or-pay contracts. Which of the following is most likely to increase as a result of the appropriate adjustments being made to that company’s financial statements?

A. Return on assets.
B. Debt-to-equity ratio.
C. Interest coverage ratio.

All questions are equally weighted and there is no penalty for an incorrect answer.

More details referencing item stem and item construction (PDF).

Back to top
Examples of Level I Exam Questions
Below are some examples of Level I questions, but remember: the exam is based on the current curriculum. You can expect to see similar questions in terms of structure, format and level of difficulty, but don't expect to see the same questions repeated on future exams.

Examples of Level I exam multiple choice questions (PDF)

Already registered for the next Level I exam? Login to access your practice topic tests and mock exam.

Back to top

Back to top
2017 Exam Topics and Study Session Outlines
2017 Level I Study Sessions index | 2017 Level I Study Sessions combined

Ethical and Professional Standards
Exam Weight: 15% Study Session 1 | Readings 1-5
Quantitative Methods
Exam Weight: 12% Study Session 2
Study Session 3
Economics
Exam Weight: 10% Study Session 4
Study Session 5
Financial Reporting and Analysis
Exam Weight: 20% Study Session 6
Study Session 7
Study Session 8
Study Session 9
Corporate Finance
Exam Weight: 7% Study Session 10
Study Session 11
Portfolio Management
Exam Weight: 7% Study Session 12
Equity
Exam Weight: 10% Study Session 13
Study Session 14
Fixed Income
Exam Weight: 10% Study Session 15
Study Session 16
Derivatives
Exam Weight: 5% Study Session 17
Alternative Investments
Exam Weight: 4% Study Session 18
Back to top

Examples of Tips for Taking the Level I Exam
Be comfortable with your calculator. Make sure you know how to use the calculator features needed to address the learning outcome statements (LOS).
Exam questions referring to Financial Reporting and Analysis (FRA) are based on International Financial Reporting Standards (IFRS) unless otherwise specified. When a question is based on U.S. GAAP, it will be stated in the question.
Answer all questions: There is no penalty for incorrect answers.
Log in to view more tips for taking the Level I exam and access the rest of your candidate resources, including your personal study planner, topic tests, and mock exams.

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NO.1 Quality improvement approaches are derivatives and models of the ideas and theories
developed by thought leaders
and include all of the following EXCEPT:
A. ISO 2001
B. Baldrige criteria
C. PDCA/PDSA
D. Associate for process improvements
Answer: A

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NO.2 The percentage of patients with congestive heart failure who are receiving an ACE inhibitor is
an example of
retrospective measure. The use of ACE inhibitors in the population is indicated for all patients with an
ejection
fraction of less than 40 percent. The ejection fraction is not part of the typical administrative
database. Sometimes the
information is contained:
A. In a stand-alone database in cardiology department and is generated in accessible
B. In an ERP system
C. In a separate computer record
D. In a worksheet
Answer: A

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NO.1 Which virtual filesystem is NOT enabled by default?
A. FTP
B. CIFS
C. NFS
D. WebDAV
Answer: C

ACE001 Exams   

NO.2 What are the mandatory components of a non-Java-backed data web script?
A. A JavaScript controller and an output template
B. An XML descriptor, JavaScript controller, and an output template
C. An XML descriptor only
D. An XML descriptor and an output template
Answer: D

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The AWS Certified Developer – Associate exam validates technical expertise in developing and maintaining applications on the AWS platform. Exam concepts you should understand for this exam include:
Picking the right AWS services for the application
Leveraging AWS SDKs to interact with AWS services from your application
Writing code that optimizes performance of AWS services used by your application
Code-level application security (IAM roles, credentials, encryption, etc.)
Candidate Overview
Eligible candidates for this exam have:
One or more years of hands-on experience designing and maintaining an AWS-based application
In-depth knowledge of at least one high-level programming language
Understanding of core AWS services, uses, and basic architecture best practices
Proficiency in designing, developing, and deploying cloud-based solutions using AWS
Experience with developing and maintaining applications written for Amazon Simple Storage Service, Amazon DynamoDB, Amazon Simple Queue Service, Amazon Simple Notification Service, Amazon Simple Workflow Service, AWS Elastic Beanstalk, and AWS CloudFormation.

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VMware Certified Professional 7 - Cloud Management and Automation Exam (VCP7-CMA)

Exam Number: 2V0-731 Duration (minutes): 110
Associated Certification: VCP7-CMA Number of Questions: 85
Exam Product: VCP7-CMA Passing Score: 300
Recommended Training: VMware vRealize Automation: Install, Configure, Manage [7.0] Validated Against: VMware vRealize Automation 7
Exam Price: $225 USD, More on Pricing
Exam prices change on 1 April 2017. Learn More Exam Languages: English
First Available Appointment: 01 December 2016 Format: Single and Multiple Choice, Proctored
Exam Information Last Updated: 01 December 2016
 
This exam tests your skills and abilities installing, configuring and administering a VMware vRealize® environment. Review exam topics and objectives below or download the exam guide now.

Exam Topics How to Prepare Additional Resources
+ Section 1: Create and Modify vRealize Automation Blueprints
+ Objective 1.1: Create, Modify and Publish Blueprints Based on a Given Design
Knowledge
Select the provisioning workflow, virtual machine template, and customization specification
Configure expiration and archive durations
Configure machine prefixes
Configure and manage networking components
Specify compute, memory, and storage resources
Configure custom properties and property groups
Create nested blueprints
Create and add software components
Publish blueprints
Tools
VMware vRealize Suite Getting Started Guide
Foundations and Concepts
vRealize Suite Solution Brochure
VMware vRealize Suite Datasheet
+ Objective 1.2: Create and Manage XaaS Blueprints with Custom Resource Mappings
Knowledge
Create and manage XaaS resources in vRealize Automation based on the design
Configure Active Directory plugin
Configure REST plugin
Configure PowerShell plugin
Configure SOAP plugin
Configure vCenter Server plugin
Create and manage custom resources
Create and manage XaaS Service Blueprints
Create a service blueprint form
Configure output parameters
Publish the blueprint
Create and manage XaaS resource actions
Create a service blueprint form
Configure output parameters
Publish the blueprint
Create and manage resource mappings with specific conditions
Tools
Foundations and Concepts
Configuring vRealize Automation
Managing vRealize Automation

+ Section 2: Configure and Manage Tenants and Business Groups
+ Objective 2.1: Create and Manage Tenants
Knowledge
Create a new tenant for a given design
Create, add, and manage local users
Configure administrative access and describe privilege level differences between roles
Determine the unique URL used to access the tenant
Tools
Foundations and Concepts
Installing vRealize Automation 7.0
Configuring vRealize Automation
Managing vRealize Automation
+ Objective 2.2: Create and Manage Directories
Knowledge
Create and manage LDAP directory for Active Directory in vRealize Automation
Create and manage Windows Integrated Authentication Directory in vRealize Automation
Determine and configure appropriate user and directory binding details
Evaluate directory synchronization health and troubleshoot issues
Tools
Installing vRealize Automation 7.0
Configuring vRealize Automation
Reference Architecture
Installing and Configuring vRealize Automation for the Rainpole Scenario
+ Objective 2.3: Create and Manage Business Groups
Knowledge
Configure business groups for a given design
Add users and groups to appropriate support roles for a given design
Determine and select the appropriate the machine prefix for the business group
Tools
Foundations and Concepts
Configuring vRealize Automation
Managing vRealize Automation
+ Objective 2.4: Manage User and Group Role Assignments
Knowledge
Explain the roles available to vRealize Automation and vRealize Business
Assign roles to individual users for a given design
Assign roles to directory groups for a given design
Create vRealize Automation custom groups and assign roles
Tools
Foundations and Concepts
Installing vRealize Automation 7.0
Configuring vRealize Automation
Managing vRealize Automation
Installing and Configuring vRealize Automation for the Rainpole Scenario

+ Section 3: Install and Configure vRealize Automation and Related Components
+ Objective 3.1:Install a Minimal Deployment
Knowledge
Identify IaaS minimal deployment prerequisites
Validate environment readiness for a given design based on install type
Deploy and configure vRealize Automation Appliance OVF
Install using the installation wizard
Install manually, remediating IaaS prerequisites and installing all IaaS components
Install Management Agent(s) at the appropriate time
Implement and manage CA signed certificates
Tools
Installing vRealize Automation 7.0
Installing and Configuring vRealize Automation for the Rainpole Scenario
+ Objective 3.2: Install an Enterprise Deployment
Knowledge
Identify IaaS enterprise deployment prerequisites
Validate environment readiness for given design based on install type and size
Confirm DNS configuration for servers and load balancers based on deployment type and size
Deploy and configure vRealize Automation Appliance OVF
Install using the installation wizard
Determine and select appropriate deployment based on size
Determine and select the appropriate servers for component installation
Prepare the environment for installation based on deployment size
Install IaaS Web components and model manager data
Install IaaS manager server and DEM Orchestrator components
Install DEM Workers
Install Management Agents
Implement and manage CA signed certificates
Tools
Installing vRealize Automation 7.0
+ Objective 3.3: Install and Configure vRealize Business Standard for use with vRealize Automation
Knowledge
Create and configure a vRealize Business tenant
Create a user based on defined credentials for vRealize Business in vRealize Automation
Select the credentials for the vRealize Business user
Configure vRealize Business to connect to vRealize Automation
Tools
Reference Architecture
Upgrading from vRealize Automation 6.2 to 7.0.1
vRealize Business for Cloud Installation and Administration Guide
vRealize Business for Cloud User Guide
+ Objective 3.4: Troubleshoot Common vRealize Automation Installation and Configuration Errors
Knowledge
Perform a rollback installation on a minimal or enterprise deployment
Revert to pre-installation snapshots if available
Generate a vRealize Automation support bundle
Validate DNS configuration settings
Confirm time synchronization
Confirm matching certificates
Validate credentials used to configure endpoints
Tools
Installing vRealize Automation 7.0
Configuring vRealize Automation
Managing vRealize Automation

+ Section 4: Configure and Manage the vRealize Automation Catalog
+ Objective 4.1: Manage the vRealize Automation Catalog
Knowledge
Create and configure the catalog service
Activate the catalog service
Add catalog items to the service
Create and configure entitlements
Specify users and groups for entitlements
Add and manage entitlement services
Add and manage catalog items
Add and manage actions
Activate entitlements
Tools
Foundations and Concepts
Installing vRealize Automation 7.0
Configuring vRealize Automation
Managing vRealize Automation
Life Cycle Extensibility
+ Objective 4.2: Create and Manage Approval Policies
Knowledge
Create approval policies
Specify approval policy information
Determine when approvals should be executed
Add pre-approval and post-approval levels
Configure approval forms with defined approvers
Manage approval policies
Modify, deactivate, and delete approval policies
Tools
Configuring vRealize Automation
Life Cycle Extensibility
+ Objective 4.3: Provision Resources from a vRealize Automation Catalog
Knowledge
Request a catalog resource
Complete any applicable forms
Monitor and validate a successful provisioning process
Request catalog items on behalf of another user
Tools
Installing vRealize Automation 7.0
Configuring vRealize Automation
Managing vRealize Automation
+ Objective 4.4: Locate and Reclaim Resources Based on Provided Criteria
Knowledge
Locate resources for reclamation based on provided criteria
Initiate a system reclamation
Eliminate known used systems
Tools
Foundations and Concepts
Configuring vRealize Automation
Managing vRealize Automation
+ Objective 4.5: Manage Provisioned Resources
Knowledge
Identify and locate owned items by assigned role
Define resource quotas for managed resources based on design requirements
Add resource portlets to the vRealize Automation home page
Tools
Configuring vRealize Automation
Managing vRealize Automation

+ Section 5: Configure and Administer Fabric Groups and Endpoints
+ Objective 5.1: Create and Manage VMware Endpoints
Knowledge
Integrate vRealize Automation with NSX
Add a vRealize Orchestrator endpoint to vRealize Automation
Configure the NSX plugin in vRealize Orchestrator
Perform data collection in vRealize Automation
Create and configure a vSphere Endpoint
Configure NSX Network and Security for the vSphere endpoint
Create and configure a vCloud Air Endpoint
Tools
Configuring vRealize Automation
Managing vRealize Automation
+ Objective 5.2: Create and Manage Fabric Groups, Reservations and Network Profiles
Knowledge
Create and configure a fabric group
Select compute resources to include in the fabric group
Configure compute resource Data Collection
Create a vSphere reservation
Assign a business group to the vSphere reservation
Create a vCloud Air Reservation
Assign a business group to the vSphere reservation
Create and configure network profile types
For static IP address assignment
External network profiles
NAT network profiles
Routed network profile
Create and configure machine prefixes
Tools
Foundations and Concepts
Configuring vRealize Automation
Managing vRealize Automation

+ Section 6: Extend a vRealize Automation Implementation
+ Objective 6.1: Configure vRealize Orchestrator for use with vRealize Automation
Knowledge
Configure vRealize Automation to use an external vRealize Orchestrator server
Configure default vRealize Orchestrator settings in vRealize Automation
Set tenant specific vRealize Orchestrator settings in vRealize Automation
Tools
Configuring vRealize Automation
Life Cycle Extensibility
Using the vRealize Orchestrator Plug-In for vRealize Automation 7.0
+ Objective 6.2: Create and Manage Event Broker Subscriptions
Knowledge
Determine appropriate subscription option based on design (blockable, replyable, schema)
Configure subscription conditions based on the design (data, core event message values)
Configure subscription workflow including input and output parameters based on the design
Configure subscription details based on the design (priority, timeout, blocking)
Tools
Configuring vRealize Automation
Life Cycle Extensibility
+ Objective 6.3: Configure Virtual Machine Lifecycle Automation
Knowledge
Configure automatic post-provisioning actions based on design criteria
Configure automatic deactivation of a virtual machine based on condition criteria
Configure automated event brokering for different status or event criteria based on design requirements
Tools
Foundations and Concepts
Configuring vRealize Automation
Life Cycle Extensibility
+ Objective 6.4: Install and Configure Plugins in vRealize Orchestrator
Knowledge
Install and configure plug-in in vRealize Orchestrator
Install and configure vRealize Automation plugin
Install and configure VMware NSX plugin
Run configuration workflows in vRealize Orchestrator client
Run configuration workflows for vRealize Automation plugin
Run configuration workflows for NSX plugin
Run configuration workflows for vSphere plugin
Determine if a plugin is enabled
Tools
Configuring vRealize Automation
Life Cycle Extensibility
Using the vRealize Orchestrator Plug-In for vRealize Automation 7.0
+ Objective 6.5: Modify and Run Basic vRealize Orchestrator Workflows
Knowledge
Execute vRealize Orchestrator workflows with defined parameters
Troubleshoot vRealize Orchestrator workflow errors
Modify vRealize Orchestrator workflows
Tools
Configuring vRealize Automation

Life Cycle Extensibility
+ Exam Contributors
David Evans
Jerry Ozbun
Jon Loux
Mandy Botsko-Wilson
Matt Vandenbeld
Kristina Hollowell
Gregg Parsons
Trey Lanier
Kumudu Herath
Selvakumar Jaganathan

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world agents?
A. NSX Controller
B. NSX Edge Virtual Appliance
C. NSX Manager
D. vRealize Automation
Answer: C

NO.2 An administrator wishes to upgrade to NSX from the following infrastructurE.
vCenter Server 4.1
vShield 5.0
ESXi hosts 4.1
What is a valid, minimum set of steps to properly upgrade this environment to NSX?
A. 1. Upgrade vCenter Server 4.1 to vCenter Server 5.1
2.Upgrade vCenter Server 5.1 to vCenter Server 5.5
3.Upgrade ESXi hosts to ESXi 5.1 or greater
4.Install the NSX upgrade bundle
B. 1. Upgrade vCenter Server 4.1 to vCenter Server 5.5
2.Upgrade ESXi hosts to ESXi 5.1 or greater
3.Install the NSX upgrade bundle
C. 1. Upgrade vCenter Server 4.1 to vCenter Server 5.5
2.Upgrade vShield 5.0 to vShield 5.5
3.Upgrade ESXi hosts to ESXi 5.1 or greater
4.Install the NSX upgrade bundle
D. 1. Upgrade vCenter Server 4.1 to vCenter Server 5.5
2.Upgrade vShield 5.0 to vShield 5.5
3.Install the NSX upgrade bundle
Answer: C

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SAS Certified Base Programmer for SAS 9 Credential
The ideal certification for those relatively new to SAS programming or new to SAS certification

Successful candidates should have experience in programming and data management using SAS 9 and should be able to
import and export raw data files
manipulate and transform data
combine SAS data sets
create basic detail and summary reports using SAS procedures
identify and correct data, syntax and programming logic errors.
Exam RequirementsExam Study AidExam PreparationExam RegistrationExam DayAfter the Exam
Required Exam
Candidates who earn this credential will have earned a passing score on the SAS Base Programming for SAS 9 exam. This exam is administered by SAS and Pearson VUE.
60-65 multiple-choice and short-answer questions (must achieve score of 70% correct to pass)
110 minutes to complete exam
Use exam ID A00-211; required when registering with Pearson VUE.
This exam is based on SAS 9.4

Exam topics include:

Accessing Data
Use FORMATTED and LIST input to read raw data files.
Distinguish between character and numeric data, between standard and nonstandard numeric data.
Use the INPUT statement with formatted input to read character, standard and nonstandard fixed-field data: INPUT variable informat;
Use the INPUT statement with list input to read character, standard and nonstandard free-format data: INPUT variable <$>;
Use INFILE statement options to control processing when reading raw data files.
Use the INFILE statement DLM= option to specify field delimiters.
Use the INFILE statement PAD= option to reading variable-length records.
Use the INFILE statement DSD= option to read data when missing values occur.
Use the INFILE statement options, FLOWOVER, MISSOVER, TRUNCOVER and STOPOVER, as appropriate to control reading records.
Use various components of an INPUT statement to process raw data files including column and line pointer controls, and trailing @ controls.
Use pointer controls.
Use line controls.
Use trailing @ and double trailing @.
Combine SAS data sets.
Concatenate and interleave data sets.
Merge data sets one-to-one.
Merge data sets one-to-many.
Access an Excel workbook.
Use the SAS/ACCESS EXCEL or PCFILES engine to read an .xlsx file OR use the SAS/ACCESS XLSX engine to read an .xlsx file.

Creating Data Structures
Create temporary and permanent SAS data sets.
Use a DATA step to create a SAS data set from a text file. Example:
 Data NewData;
    Infile "path.rawdata";
   Input <pointer-control> variable informat;
 Run;
Use a DATA step to create a SAS data set from an existing SAS data set. Example:
 Data Mylib.NewData;
       Set Mylib.OldData;
       <other SAS statements>
   Run;
Create and manipulate SAS date values.
Explain how SAS stores date and time values.
Use SAS informats to read common date and time expressions.
Explain the YearCutOff system option as used to interpret two digit year values.
Use SAS date and time formats to specify how the values are displayed.
Export data to create standard and comma-delimited raw data files.
Create a simple text file by using the DATA step with the file and put statements.
Create a simple raw data file by using the EXPORT procedure as an alternative to the DATA step.
Use the DSD option to create a comma-delimited file that writes out values separated by a delimiter.
Control which observations and variables in a SAS data set are processed and output.
Use the WHERE statement in the DATA step to select observations to be processed.
Subset variables to be output by using the DROP and KEEP statements.
Use the DROP= and KEEP= data set options to specify columns to be processed and/or output.

Managing Data
Investigate SAS data libraries using base SAS utility procedures.
Use a LIBNAME statement to assign a library reference name to a SAS library.
Investigate a library programmatically using the CONTENTS and DATASET procedures.
Sort observations in a SAS data set.
Use the SORT Procedure to re-order observations in place or output to a new dataset.
Conditionally execute SAS statements.
Use IF-THEN/ELSE statements to process data conditionally.
Use DO and END statements to execute multiple statements conditionally.
Use SELECT/WHEN statements to process data conditionally.
Use assignment statements in the DATA step.
Create new variables and assign a value.
Assign a new value to an existing variable.
Assign the value of an expression to a variable.
Assign a constant date value to a variable.
Modify variable attributes using options and statements in the DATA step.
Change the names of variables by using the RENAME= data set option.
Use LABEL and FORMAT statements to modify attributes in a DATA step.
Define the length of a variable using the LENGTH statement.
Accumulate sub-totals and totals using DATA step statements.
Use the BY statement to aggregate by subgroups.
Use SAS functions to manipulate character data, numeric data, and SAS date values.
Use SAS functions such as SCAN, SUBSTR, TRIM, UPPERCASE, and LOWCASE to perform tasks such as the tasks shown below.
Replace the contents of a character value.
Trim trailing blanks from a character value.
Search a character value and extract a portion of the value.
Convert a character value to upper or lowercase.
Use SAS arithmetic, financial, and probability functions to create or modify numeric values by using the INT and ROUND functions.
Create SAS date values by using the functions MDY, TODAY,DATE, and TIME.
Extract the month, year, and interval from a SAS date value by using the functions YEAR, QTR, MONTH, and DAY.
Perform calculations with date and datetime values and time intervals by using the functions INTCK, INTNX, DATDIF and YRDIF.
Use SAS functions to convert character data to numeric and vice versa.
Explain the automatic conversion that SAS uses to convert values between data types.
Use the INPUT function to explicitly convert character data values to numeric values.
Process data using DO LOOPS.
Explain how iterative DO loops function.
Use DO loops to eliminate redundant code and to perform repetitive calculations.
Use conditional DO loops.
Use nested DO loops.
Process data using one-dimensional SAS arrays.
Explain the concepts of SAS arrays.
Use SAS arrays to perform repetitive calculations.
Define the elements in an array using the ARRAY statement
Use a DO loop to process an array.
Validate and clean data.
Use PROC FREQ to list unique values, with the nlevel option to show the number of distinct values, with the order=freq to check for duplicate or missing values.
Use PROC PRINT with the WHERE statement to display observations with invalid values.
Use PROC MEAN to validate the range of numeric variables.
Use PROC UNIVARIATE to display extreme observations and missing values and with the ID statement to display the value of identifying variable(s).

Generating Reports
Generate list reports using the PRINT procedure.
Modify the default behavior of PROC PRINT by adding statements and options such as
use the VAR statement to select and order variables.
calculate totals with a SUM statement.
select observations with a WHERE statement.
use the ID statement to identify observations.
use the BY statement to process groups.
Generate summary reports and frequency tables using base SAS procedures.
Produce one-way and two-way frequency tables with the FREQ procedure.
Enhance frequency tables with options.
Use PROC FREQ to validate data in a SAS data set.
Calculate summary statistics and multilevel summaries using the MEANS procedure
Enhance summary tables with options.
Identify extreme and missing values with the UNIVARIATE procedure.
Enhance reports through the use of user-defined formats, titles, footnotes and SAS System reporting.
Use the LABEL statement to define descriptive column headings.
Control the use of column headings with the LABEL and SPLIT=options in Proc Print output.
Generate reports using ODS statements.
Identify the Output Delivery System destinations.
Create HTML, PDF, RTF, and LISTING files with ODS statements.
Use the STYLE=option to specify a style template.
Create files that can be viewed in Microsoft Excel.

Handling Errors
Identify and resolve programming logic errors.
Use the PUTLOG Statement in the Data Step to help identify logic errors.
Use PUTLOG to write the value of a variable, formatted values, or to write values of all variables.
Use PUTLOG with Conditional logic.
Use temporary variables N and ERROR to debug a DATA step.
Recognize and correct syntax errors.
Identify the characteristics of SAS statements.
Define SAS syntax rules including the typical types of syntax errors such as misspelled keywords, unmatched quotation marks, missing semicolons, and invalid options.
Use the log to help diagnose syntax errors in a given program.
Examine and resolve data errors.
Use the SAS system option, ERRORS=n, to specify the maximum number of observations for which SAS issues complete error messages written to the log.
Given a SAS program, use the log to determine the reason for a data error.

Registration Options:

Visit Pearson VUE to register online. Candidates may not register directly at a Pearson VUE testing facility. A minimum of 24 hours is required for registration for returning candidates. First-time candidates require additional time.

Visit www.pearsonvue.com/sas. Follow these easy steps once on the site:
Attention first-time users:
You must "create" a new Web account within Pearson VUE before you can schedule a SAS exam. This can take up to two business days based on information provided to produce your username and password needed for exam registration. You will not have a SAS Candidate ID until after you have scheduled a SAS exam. It will be automatically assigned to you and sent via email.
Returning users:
If you have previously taken a SAS exam with Pearson VUE and created a Web account, you can use the "Sign In" to register for an exam. If you do not remember your sign-in information, there are links within Pearson VUE to help obtain this information.
If you need assistance with registration, look for "Need Help? Contact customer service" located within the Pearson VUE registration page that will provide a listing of local numbers where support is available.
Testing Locations

Locations for testing can be found at www.pearsonvue.com/sas under "Find a test location." During registration, you will chose a location to take your exam.

SAS offers monthly exam sessions in Cary, NC and at some US conferences. For a SAS-sponsored US exam session, visit SAS-sponsored Testing Events in the US. For SAS-sponsored testing outside the US, please contact your local SAS office.
Exam Pricing

Within North America and India, the fees associated with an exam offered through Pearson VUE is $180 USD.

Certification exam prices are subject to change. In some countries, different pricing and additional taxes may apply. Please visit www.pearsonvue.com/sas for exam pricing in your country.
Cancellation Policy

To cancel or reschedule your test appointment, visit www.pearsonvue.com/sas and select 'Cancel a Test' or 'Reschedule a Test.' Tests must be canceled more than 24 hours before the scheduled exam appointment time. Canceling with less than 24 hours' notice will forfeit your exam fee.
Customers who do not appear for a scheduled exam forfeit the full exam fee. If the exam fee was paid with a voucher, the voucher number will be invalidated and unavailable for future use.
Retake Policy

Candidates may attempt each certification exam up to five times in a 12-month period, waiting a minimum of 14 days between attempts. Exam charges are incurred for each exam attempt. Exams that do not comply with this retake policy will be considered invalid and will not be eligible for refund and/or a certification credential. Once a passing score is achieved on a specific exam, no further attempts are allowed on that exam.
Candidate Agreement

Candidates are encouraged to review the SAS Institute Inc. Global Certification Program Candidate Agreement prior to their exam day.

What to bring: Certification candidates are required to provide two forms of identification to the testing center, including one photo identification such as a driver's license or a valid passport. Both forms must display the candidate's signature. If you have questions regarding acceptable forms of id, please contact www.pearsonvue.com/contact.

Arriving at the test center: Candidates should plan to arrive 15 minutes before their scheduled exam time. Candidates arriving more than 15 minutes late are not guaranteed exam availability or a refund.

Reference materials: To maintain the security of the test environment, candidates are not permitted to bring reference materials of any kind into the testing center.

Personal items: The only items allowed in the testing area are your identification. Please leave any backpacks, laptops, briefcases and other personal items at home. If you have personal items that cannot be left behind (such as purses), the testing center may have lockers available for use. No cameras, cell phones, audio players, or other electronic devices are allowed during exam sessions. Please refer to Pearson VUE Candidate Rules Agreement for more information.

All notes will be collected at the end of testing and no material may be removed from the testing event.

Score Report

You will receive an immediate pass/fail score upon completion of your exam attempt at your testing facility. The score report will display the percentage of items in each section that you answered correctly for your exam. Please note: These section scores are calculated on a per section basis and cannot be used in determining your total score. They are provided to you for descriptive purposes only.
Welcome E-mail and Certificate

If you pass your exam and meet all requirements for this credential, you will receive an e-mail from SAS with instructions providing access to your certificate and logo through the Certification Records Management System. This e-mail will be sent to the e-mail address you provided to Pearson VUE at exam registration. Some individual firewalls may send this e-mail to your junk folder. Please allow at least one week from your exam date to receive your e-mail.

Within Certification Records Management system, your certificate can be accessed on the left navigation bar under "Printable Documents." To print your certificate, your pop-up blocker should be disabled before clicking the "Print Now" button. Click on "Print Now" and your certificate will open in a new window where you can download and/or print.

Certain credentials require more than one exam to earn the credential. We encourage you to visit credentials and exams for more information.
Public Registry of Certified Professionals

A Public Registry of SAS Certified Professionals is maintained within the SAS Certification Records Management system. If you do not wish for your name to appear in the Public Registry of SAS Certified Professionals, you can choose to be excluded by updating your personal information in the SAS Certification Records Management system.
Once you earn your credential, you'll enjoy these perks:

digital badge to share your success
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NetApp Certification Candidate Agreement (PDF)
Exam Retake Policy
Expiration Period Policy
English as a Second Language (ESL) Accommodation
NetApp Exam Security Policy
Examples of Exam Fraud
Digital Badges Policy
Information Disclosure Policy
Linking Your IDs
NetApp Certification Program Voucher Policy

Exam Retake Policy
For Passed Exams

A candidate who passes an exam must wait 18 months before retaking the exam.
A candidate whose passing score has been revoked must wait 30 days before retaking the exam.
For Failed Exams

First failure: A candidate can immediately retake the exam.
Multiple failures: A candidate must wait 14 days before retaking the exam.
Expiration Period Policy
Once earned, certifications are active for 27 months. In certain situations, active Professional-level certifications are renewed when a candidate earns a Specialist-level certification. This will extend the expiration date of the active Professional-level certification to the same date as the Specialist-level certification expiration date. If the Professional-level certification has expired, earning a Specialist-level certification will not renew the expired Professional-level certification; a new Professional-level certification will need to be earned for the Specialist-level certification to be activated.

Example: if a candidate earns the Professional-level NCDA cDOT certification on June 1, 2015, the expiration date for this certification is September 1, 2017 (27 months later). The candidate then earns the Specialist-level NCIE SAN cDOT certification on February 1, 2017 (which has an expiration date of May 1, 2019). The earning of the Specialist-level certification (NCIE SAN cDOT) extends the expiration date of the Professional-level certification (NCDA cDOT) to May 1, 2019.

English as a Second Language (ESL) Accommodation
In countries where English is not the native language, candidates for whom English is not their first language will be granted a 30-minute extension to the allotted examination completion time.

NetApp Exam Security Policy
NetApp is committed to maintaining the credibility and value of the NetApp Certification Program (NCP) and the NCP brand. Individuals and organizations that commit exam fraud as described below undermine the value of the NCP for all participants. NetApp reserves the right to take action it deems appropriate against violators of the NCP Exam Security Policy. This benefits the credential holder in many ways:

Achieving certification is not easy. Individuals work very hard to prepare for and attain NCP certification. When others commit exam fraud, they undermine the hard work that the majority of candidates put into achieving certification.
NetApp works to identify and take action when individuals are suspected of exam fraud. NetApp strives to ensure that those who earn the right to use the NCP brand have demonstrated their proficiency with NetApp products and technologies and have the actual knowledge and skills to confidently and successfully work with NetApp products and technologies.
Examples of Exam Fraud
Exam fraud comes in many forms. The following are examples of actions that NetApp considers to be exam fraud; in any form, whether done with intent or knowledge:

Using live (currently active) exam questions and/or exam answers to prepare for the exam
Disclosing and/or distributing NetApp confidential exam material; this includes sharing exam questions and/or answers with other exam takers, members of your training class, colleagues, etc.
Requesting access to exam questions, answers, screen captures, or other protected exam material in forums or other social networking sites
Enlisting others to take an exam on your behalf
Giving or receiving unauthorized assistance when taking an exam
Possessing or using unauthorized materials when taking an exam (e.g., notes, recording devices, photographic devices, or any other means)
Taking an exam in violation of the NCP Certification Candidate Agreement
Taking an exam in violation of the NCP exam retake policy
Altering exam scores and/or score reports
Reproducing exam materials by any means, including reconstruction through memorization
Purchasing or using exam materials that were gained by the above methods to prepare for the exam
This list is not intended to be exhaustive. NetApp may take action in other circumstances where it deems that exam fraud has occurred, compromising exam security in any way. Actions may include revocation of your certification or barring you from future participation in the program. This policy may be updated from time to time without specific notice to you. NetApp asks that you review it regularly.

Digital Badges Policy
Our goal with the NetApp digital badge program is to help you communicate your certification status with NetApp. This program establishes a consistent and clear way for you to identify yourself to customers as a NetApp Certified user. You should use the NetApp digital badge when you are communicating your own brand in conjunction with your NetApp certification.

Once you have earned a NetApp certification, you will be able to access the digital badge associated with the certification by going through CertCenter and selecting BADGES. The digital badge for your earned certification(s) will be visible. Please follow the instructions on how to correctly use your digital badges by visiting the FAQ posted here.

The digital badge can be used in the following approved methods:

Within your email signature
Posted on your social media account (LinkedIn, Facebook, Twitter, Google+, etc.)
Within your contact information in a digital presentation or document (PowerPoint, PDF, etc.)
You may NOT do any of the following to your NetApp digital badge:
 
Modify the text on the digital badge
Modify the code embedded in the digital badge
Cause the badge to link to another web address
Continue to post the digital badge after your certification status has expired
Continue to post the digital badge after the certification has expired
Include the digital badge on business cards (use the official NetApp Certification Program logo on any printed, non-digital materials)
If you have any questions on how to correctly use the digital badges, please contact us.

NetApp Certification Program Information Disclosure Policy
Internal and external organizations that pursue the NetApp Certification Program (NCP) designations require status reports regarding individual and organizational progress. The following guidelines outline the policies and procedures for processing requests for information, including individual and organizational status. Specific requests outside these guidelines are reviewed and approved on a case-by-case basis by the NCP office. All out-of-scope requests will be reviewed on a case-by-case basis by the NCP program manager.

Individual Progress Reports/Transcripts. Individual certification status is confidential. Individuals’ requests for their own personal progress reports are directed to CertCenter. This tool provides information such as exams attempted, progress toward certification, certification status, and access to printing their certificate. Program participants may publish their credentials to a third party by using the tools available in CertCenter (e.g., Add to LinkedIn, Publish Digital Badges, Publish Transcripts).

NetApp Internal Organizational Requests. The NCP reports on certification status to internal NetApp management as required to support partner programs and customer requests. NetApp considers the following information as public information to NetApp management:

Number certified by certification
Number certified by certification and/or organization
Number certified by certification and/or audience
Partner status by certification
Partner and employee individual certification status
NetApp External Organizational Requests. Customers and partners make significant investments in training and testing related to the NetApp Certification Program. Status reports directly related to their investment are requested to assess corporate status and partner qualifications. To request external status information on customers and partners, the requestor must submit in writing a brief description of what information is required and the business justification. All submissions should be sent to ncp@netapp.com for approval and follow-up.

NetApp will, under situations described above, share certified status. We will not share individual exam-level information such as pass/fail information, individual score, exams attempted, or number of exam attempts.

Any questions or requests related to this policy should be sent to ncp@netapp.com.

Linking Your IDs Policy
To ensure that your certification data is connected to your Learning Center account, it is critical that you link your Certification ID to your Learning Center account. Doing so will ensure that your profile correctly reflects your certification status for partner compliance and transcript reporting purposes.

Certification information can take two to three business days from the date of the exam completion to be fed into the Learning Center.

To ensure that your certification data is connected to your Learning Center account, it is critical that you click here to enter your Certification ID.

You will be prompted to log in to your Learning Center account, with your username and password, in order to view the page where you can enter your Candidate ID and click the Validate button.

This process needs to be completed only once. You will be able to confirm the connection between the two systems by reviewing your Learning Center Transcript for the certification by:

Logging into your Learning Center profile
Selecting the My Learning tab
Selecting My Transcript on the left border (you may need to adjust the date filters as the default view shows only the previous three months of activity)
Note that you may need to wait two to three business days to ensure that the information has been fed into Learning Center.

If you have a question about how to find your Certification ID, please click here.

NetApp Certification Program Voucher Policy
NetApp and the NetApp Certification Program (NCP) may sell or distribute NetApp exam vouchers. NetApp, NetApp Authorized Learning Partners and Pearson VUE (NetApp’s test delivery partner), do not guarantee the authenticity of certification vouchers that are obtained from any individuals or entities other than NetApp, NetApp Authorized Learning Partners and Pearson VUE. Individuals who acquire and use counterfeit certification vouchers and/or certification vouchers obtained from an unauthorized source may be subject to sanctions at the discretion of NetApp, up to and including a lifetime ban on taking all future exams and the nullification of all previous exam results and certifications. NetApp will not compensate candidates for counterfeit vouchers or vouchers obtained from an unauthorized source.

NCP exam vouchers are provided in advance as future payment for registration for NCP exams. At the time of exam registration, the exam voucher value is applied to the exam fee.

NetApp exam voucher terms of use:

Can be used by one person, one time, for one exam discount/fee.
Are not valid after the expiration date.
Cannot be extended past the expiration date.
Become void if altered or revised in any way.
May not be canceled or redeemed for cash, credit or refund.
Cannot be resold.
Neither NetApp Authorized Learning Partners nor NetApp and its partners are responsible for vouchers that are lost or stolen.

NetApp vouchers are non-refundable, non-transferable, non-exchangeable and cannot have their expiration date extended. NetApp reserves the right to take appropriate actions against individuals who do not abiding NetApp Certification Program policies.

Exam Voucher with Course Promotion
NetApp periodically offers exam vouchers included with courses. These vouchers are available through courses offered directly by NetApp and by Authorized Learning Partners (ALP). Information about these programs can be obtained by contacting the ALP or the course instructor.

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Test C9020-560: IBM Midrange Storage Sales V3
Overview
Objectives
Test preparation
Sample / Assessment Test
Test information:
Number of questions: 63
Time allowed in minutes: 90
Required passing score: 59%
Languages: English, Japanese

Related certifications:
IBM Certified Specialist - Midrange Storage Sales V3

Gather Customer Requirements (32%)

Identify a customer's storage qualifications.

Identify a customer's expectations of a new solution.

Given a scenario, demonstrate a conceptual level understanding of existing systems environment.

Identify customers key applications, performance requirements, and pain points and information to propose a solution.

Given a scenario, determine financial justification for system acquisition.

Given a scenario, determine a customer's growth requirements, upgrade path, and product lifecycle.

Value Proposition (28%)

Given a scenario, identify how an IBM storage solution aligns with customer requirements.

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Compare IBM storage products to customer-installed storage devices and competitive offerings, and identify advantages.

Given a scenario, identify how IBM storage products solve client data management issues.

Identify the value proposition of IBM maintenance, IBM websites, IBM sales tools, and IBM processes.

Determine IBM Solutions / Create Comprehensive Solutions (32%)

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Identify appropriate resources within IBM or through the business partner channel to develop and close business.

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Hybrid Cloud and Analytics Concepts (8%)

Identify ways the IBM storage porfolio enables cloud offerings (hybrid, private, public).

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Identify ways the IBM storage porfolio enables security.

All IBM certification tests presume a certain amount of "on-the-job" experience which is not present in any classroom or Web presentation. The recommended courses and links will help you gain the skill and product knowledge represented in the test objectives. They do not teach the answers to the test questions, and are not intended to do so. This information may not cover all subject areas in the certification test, or may contain more recent information than is present in the certification test. Taking these or any classes will not guarantee that you will achieve certification
IBM Midrange Storage Sales Certification preparation education can be found at the sites below.
IBM employees:  IBM Systems Academy
Business Partners: IBM PartnerWorld University

Assessment Test
To assess your current skill level and readiness for Test C9020-560 - IBM Midrange Storage Sales V3, you can take a Web-based assessment test.
Passing this assessment test does not result in achieving a credential. It is designed to provide diagnostic feedback on the Examination Score Report, correlating back to the test objectives, showing how you scored on each section of the test.
Number of questions: 63
Time allowed in minutes: 90
Passing score: 59%
Language: English, Japanese
Test Fee: 30
Where: Pearson VUE on-line testing system (link resides outside of ibm.com)
Unit Area: Assessment: IBM Systems - Storage Systems
Test Title: A9020-560 Assessment: IBM Midrange Storage Sales V3
A test fee applies worldwide to each time a test is taken, even if the same test is retaken. VISA, Master Card and American Express credit cards are accepted.
To access the assessment test, you will need to create a Pearson VUE account associated with IBM, and then follow the instructions below.
Test Selection
Sign into your account at Pearson VUE(link resides outside of ibm.com)
Click on the blue "View Online Exams" button
Under Section Assessment: IBM Systems - Storage Systems
Select Assessment: IBM Midrange Storage Sales V3 from the list
Verify you selected the correct assessment test, click on the blue "Register for this Exam" button
If the test is offered in multiple languages, select your language and click the "Next" button
From this "My Order" page, verify the test information and fee due - click on the blue "Proceed to Checkout" button
Follow the steps indicated which include payment - you will be able to use vouchers or promotion codes during payment
Click on the blue "Begin Exam" button to launch the exam
You will have one day (24 hours) to begin the test from the time of payment.
You may cancel the test for a full refund at any time during the one day (24 hours) that the test is available to you. Please review Testing Policy For IBM online Test at Pearson Vue.
You will be able to find and print your score report and receipts from the Pearson VUE Home page when you are signed into your Pearson VUE account.

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