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  • Integrating Oracle Hyperion Smart View Data Queries with MS Word and Power Point

    - by Andreea Vaduva
    Untitled Document table { border: thin solid; } Most Smart View users probably appreciate that they can use just one add-in to access data from the different sources they might work with, like Oracle Essbase, Oracle Hyperion Planning, Oracle Hyperion Financial Management and others. But not all of them are aware of the options to integrate data analyses not only in Excel, but also in MS Word or Power Point. While in the past, copying and pasting single numbers or tables from a recent analysis in Excel made the pasted content a static snapshot, copying so called Data Points now creates dynamic, updateable references to the data source. It also provides additional nice features, which can make life easier and less stressful for Smart View users. So, how does this option work: after building an ad-hoc analysis with Smart View as usual in an Excel worksheet, any area including data cells/numbers from the database can be highlighted in order to copy data points - even single data cells only.   TIP It is not necessary to highlight and copy the row or column descriptions   Next from the Smart View ribbon select Copy Data Point. Then transfer to the Word or Power Point document into which the selected content should be copied. Note that in these Office programs you will find a menu item Smart View;from it select the Paste Data Point icon. The copied details from the Excel report will be pasted, but showing #NEED_REFRESH in the data cells instead of the original numbers. =After clicking the Refresh icon on the Smart View menu the data will be retrieved and displayed. (Maybe at that moment a login window pops up and you need to provide your credentials.) It works in the same way if you just copy one single number without any row or column descriptions, for example in order to incorporate it into a continuous text: Before refresh: After refresh: From now on for any subsequent updates of the data shown in your documents you only need to refresh data by clicking the Refresh button on the Smart View menu, without copying and pasting the context or content again. As you might realize, trying out this feature on your own, there won’t be any Point of View shown in the Office document. Also you have seen in the example, where only a single data cell was copied, that there aren’t any member names or row/column descriptions copied, which are usually required in an ad-hoc report in order to exactly define where data comes from or how data is queried from the source. Well, these definitions are not visible, but they are transferred to the Word or Power Point document as well. They are stored in the background for each individual data cell copied and can be made visible by double-clicking the data cell as shown in the following screen shot (but which is taken from another context).   So for each cell/number the complete connection information is stored along with the exact member/cell intersection from the database. And that’s not all: you have the chance now to exchange the members originally selected in the Point of View (POV) in the Excel report. Remember, at that time we had the following selection:   By selecting the Manage POV option from the Smart View meny in Word or Power Point…   … the following POV Manager – Queries window opens:   You can now change your selection for each dimension from the original POV by either double-clicking the dimension member in the lower right box under POV: or by selecting the Member Selector icon on the top right hand side of the window. After confirming your changes you need to refresh your document again. Be aware, that this will update all (!) numbers taken from one and the same original Excel sheet, even if they appear in different locations in your Office document, reflecting your recent changes in the POV. TIP Build your original report already in a way that dimensions you might want to change from within Word or Power Point are placed in the POV. And there is another really nice feature I wouldn’t like to miss mentioning: Using Dynamic Data Points in the way described above, you will never miss or need to search again for your original Excel sheet from which values were taken and copied as data points into an Office document. Because from even only one single data cell Smart View is able to recreate the entire original report content with just a few clicks: Select one of the numbers from within your Word or Power Point document by double-clicking.   Then select the Visualize in Excel option from the Smart View menu. Excel will open and Smart View will rebuild the entire original report, including POV settings, and retrieve all data from the most recent actual state of the database. (It might be necessary to provide your credentials before data is displayed.) However, in order to make this work, an active online connection to your databases on the server is necessary and at least read access to the retrieved data. But apart from this, your newly built Excel report is fully functional for ad-hoc analysis and can be used in the common way for drilling, pivoting and all the other known functions and features. So far about embedding Dynamic Data Points into Office documents and linking them back into Excel worksheets. You can apply this in the described way with ad-hoc analyses directly on Essbase databases or using Hyperion Planning and Hyperion Financial Management ad-hoc web forms. If you are also interested in other new features and smart enhancements in Essbase or Hyperion Planning stay tuned for coming articles or check our training courses and web presentations. You can find general information about offerings for the Essbase and Planning curriculum or other Oracle-Hyperion products here (please make sure to select your country/region at the top of this page) or in the OU Learning paths section , where Planning, Essbase and other Hyperion products can be found under the Fusion Middleware heading (again, please select the right country/region). Or drop me a note directly: [email protected] . About the Author: Bernhard Kinkel started working for Hyperion Solutions as a Presales Consultant and Consultant in 1998 and moved to Hyperion Education Services in 1999. He joined Oracle University in 2007 where he is a Principal Education Consultant. Based on these many years of working with Hyperion products he has detailed product knowledge across several versions. He delivers both classroom and live virtual courses. His areas of expertise are Oracle/Hyperion Essbase, Oracle Hyperion Planning and Hyperion Web Analysis.  

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  • SQL Server Express : Reporting Services.. limitations on charts?

    - by Brett
    Hi, If you look the edition comparison... http://www.microsoft.com/sqlserver/2008/en/us/editions-compare.aspx It says for Express Edition that this option is not enabled for SQL Server Express.. Enhanced Gauges and Charting Anyone know what the limitations are on this item? I can't seem to find any more information.. Many thanks, Brett

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  • Why is Google Charts not showing the right data for me? Are the axis messed up?

    - by alex
    http://chart.apis.google.com/chart?cht=lc&chs=600x400&chd=t:171,811,629,507,460,390,434,379,329,312,368,329,329,329,352,330,299,323,340,325,329,1895,1047,736,617,684,620,515 If you go there on your browser, you'll notice that you see a graph. However, the axis are messed up! And it seems like I can't see the ups and downs of my line graph. WHy? I don't get what's wrong. I just want to plot the simple stuff on a line chart. Just those data points. Nothing more, nothing less!

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  • What effects drawing charts/diagrams from $_SESSION data under php5, which worked under php4?

    - by ste_php
    Hello, I have a script generating 3 diagrams from $_SESSION variables which work fine under php4 with register_globals = off, but when I parse the same script as php5 I get no diagram. The diagrams a drawn from GD libary and it works, if I set the data into an Array (manually filled) within the script file. But I need a way to get it work on php5, without much changes. Are there any SESSION settings or php-settings which might interfere with my script. I already checked a lot of the php-settings (changing php.ini over and over again), but found nothing what brings me the diagrams back. Hopefully someone of you could kick me into the right direction. Any Ideas? Thanks a lot.

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  • Charts don't show up when subreport is included in group header in pentaho reporting 3.9.1-GA

    - by user2909808
    There is an issue concerning in sub-reports. I created a bar chart in report header. The sub report(inline) is placed in the Details of main report. In the sub report, the bar chart is placed in the group header. I imported the required parameters to the sub reports from the main report and also i have a sub query for the sub report.The expected output is to show an updated bar chart within each (inner) group of main report. However, the chart is only displayed in the last group occurence, although the chart area itself is allotted in every expected case. Can any one say me, what mistake i did.

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  • Scrum in 5 Minutes

    - by Stephen.Walther
    The goal of this blog entry is to explain the basic concepts of Scrum in less than five minutes. You learn how Scrum can help a team of developers to successfully complete a complex software project. Product Backlog and the Product Owner Imagine that you are part of a team which needs to create a new website – for example, an e-commerce website. You have an overwhelming amount of work to do. You need to build (or possibly buy) a shopping cart, install an SSL certificate, create a product catalog, create a Facebook page, and at least a hundred other things that you have not thought of yet. According to Scrum, the first thing you should do is create a list. Place the highest priority items at the top of the list and the lower priority items lower in the list. For example, creating the shopping cart and buying the domain name might be high priority items and creating a Facebook page might be a lower priority item. In Scrum, this list is called the Product Backlog. How do you prioritize the items in the Product Backlog? Different stakeholders in the project might have different priorities. Gary, your division VP, thinks that it is crucial that the e-commerce site has a mobile app. Sally, your direct manager, thinks taking advantage of new HTML5 features is much more important. Multiple people are pulling you in different directions. According to Scrum, it is important that you always designate one person, and only one person, as the Product Owner. The Product Owner is the person who decides what items should be added to the Product Backlog and the priority of the items in the Product Backlog. The Product Owner could be the customer who is paying the bills, the project manager who is responsible for delivering the project, or a customer representative. The critical point is that the Product Owner must always be a single person and that single person has absolute authority over the Product Backlog. Sprints and the Sprint Backlog So now the developer team has a prioritized list of items and they can start work. The team starts implementing the first item in the Backlog — the shopping cart — and the team is making good progress. Unfortunately, however, half-way through the work of implementing the shopping cart, the Product Owner changes his mind. The Product Owner decides that it is much more important to create the product catalog before the shopping cart. With some frustration, the team switches their developmental efforts to focus on implementing the product catalog. However, part way through completing this work, once again the Product Owner changes his mind about the highest priority item. Getting work done when priorities are constantly shifting is frustrating for the developer team and it results in lower productivity. At the same time, however, the Product Owner needs to have absolute authority over the priority of the items which need to get done. Scrum solves this conflict with the concept of Sprints. In Scrum, a developer team works in Sprints. At the beginning of a Sprint the developers and the Product Owner agree on the items from the backlog which they will complete during the Sprint. This subset of items from the Product Backlog becomes the Sprint Backlog. During the Sprint, the Product Owner is not allowed to change the items in the Sprint Backlog. In other words, the Product Owner cannot shift priorities on the developer team during the Sprint. Different teams use Sprints of different lengths such as one month Sprints, two-week Sprints, and one week Sprints. For high-stress, time critical projects, teams typically choose shorter sprints such as one week sprints. For more mature projects, longer one month sprints might be more appropriate. A team can pick whatever Sprint length makes sense for them just as long as the team is consistent. You should pick a Sprint length and stick with it. Daily Scrum During a Sprint, the developer team needs to have meetings to coordinate their work on completing the items in the Sprint Backlog. For example, the team needs to discuss who is working on what and whether any blocking issues have been discovered. Developers hate meetings (well, sane developers hate meetings). Meetings take developers away from their work of actually implementing stuff as opposed to talking about implementing stuff. However, a developer team which never has meetings and never coordinates their work also has problems. For example, Fred might get stuck on a programming problem for days and never reach out for help even though Tom (who sits in the cubicle next to him) has already solved the very same problem. Or, both Ted and Fred might have started working on the same item from the Sprint Backlog at the same time. In Scrum, these conflicting needs – limiting meetings but enabling team coordination – are resolved with the idea of the Daily Scrum. The Daily Scrum is a meeting for coordinating the work of the developer team which happens once a day. To keep the meeting short, each developer answers only the following three questions: 1. What have you done since yesterday? 2. What do you plan to do today? 3. Any impediments in your way? During the Daily Scrum, developers are not allowed to talk about issues with their cat, do demos of their latest work, or tell heroic stories of programming problems overcome. The meeting must be kept short — typically about 15 minutes. Issues which come up during the Daily Scrum should be discussed in separate meetings which do not involve the whole developer team. Stories and Tasks Items in the Product or Sprint Backlog – such as building a shopping cart or creating a Facebook page – are often referred to as User Stories or Stories. The Stories are created by the Product Owner and should represent some business need. Unlike the Product Owner, the developer team needs to think about how a Story should be implemented. At the beginning of a Sprint, the developer team takes the Stories from the Sprint Backlog and breaks the stories into tasks. For example, the developer team might take the Create a Shopping Cart story and break it into the following tasks: · Enable users to add and remote items from shopping cart · Persist the shopping cart to database between visits · Redirect user to checkout page when Checkout button is clicked During the Daily Scrum, members of the developer team volunteer to complete the tasks required to implement the next Story in the Sprint Backlog. When a developer talks about what he did yesterday or plans to do tomorrow then the developer should be referring to a task. Stories are owned by the Product Owner and a story is all about business value. In contrast, the tasks are owned by the developer team and a task is all about implementation details. A story might take several days or weeks to complete. A task is something which a developer can complete in less than a day. Some teams get lazy about breaking stories into tasks. Neglecting to break stories into tasks can lead to “Never Ending Stories” If you don’t break a story into tasks, then you can’t know how much of a story has actually been completed because you don’t have a clear idea about the implementation steps required to complete the story. Scrumboard During the Daily Scrum, the developer team uses a Scrumboard to coordinate their work. A Scrumboard contains a list of the stories for the current Sprint, the tasks associated with each Story, and the state of each task. The developer team uses the Scrumboard so everyone on the team can see, at a glance, what everyone is working on. As a developer works on a task, the task moves from state to state and the state of the task is updated on the Scrumboard. Common task states are ToDo, In Progress, and Done. Some teams include additional task states such as Needs Review or Needs Testing. Some teams use a physical Scrumboard. In that case, you use index cards to represent the stories and the tasks and you tack the index cards onto a physical board. Using a physical Scrumboard has several disadvantages. A physical Scrumboard does not work well with a distributed team – for example, it is hard to share the same physical Scrumboard between Boston and Seattle. Also, generating reports from a physical Scrumboard is more difficult than generating reports from an online Scrumboard. Estimating Stories and Tasks Stakeholders in a project, the people investing in a project, need to have an idea of how a project is progressing and when the project will be completed. For example, if you are investing in creating an e-commerce site, you need to know when the site can be launched. It is not enough to just say that “the project will be done when it is done” because the stakeholders almost certainly have a limited budget to devote to the project. The people investing in the project cannot determine the business value of the project unless they can have an estimate of how long it will take to complete the project. Developers hate to give estimates. The reason that developers hate to give estimates is that the estimates are almost always completely made up. For example, you really don’t know how long it takes to build a shopping cart until you finish building a shopping cart, and at that point, the estimate is no longer useful. The problem is that writing code is much more like Finding a Cure for Cancer than Building a Brick Wall. Building a brick wall is very straightforward. After you learn how to add one brick to a wall, you understand everything that is involved in adding a brick to a wall. There is no additional research required and no surprises. If, on the other hand, I assembled a team of scientists and asked them to find a cure for cancer, and estimate exactly how long it will take, they would have no idea. The problem is that there are too many unknowns. I don’t know how to cure cancer, I need to do a lot of research here, so I cannot even begin to estimate how long it will take. So developers hate to provide estimates, but the Product Owner and other product stakeholders, have a legitimate need for estimates. Scrum resolves this conflict by using the idea of Story Points. Different teams use different units to represent Story Points. For example, some teams use shirt sizes such as Small, Medium, Large, and X-Large. Some teams prefer to use Coffee Cup sizes such as Tall, Short, and Grande. Finally, some teams like to use numbers from the Fibonacci series. These alternative units are converted into a Story Point value. Regardless of the type of unit which you use to represent Story Points, the goal is the same. Instead of attempting to estimate a Story in hours (which is doomed to failure), you use a much less fine-grained measure of work. A developer team is much more likely to be able to estimate that a Story is Small or X-Large than the exact number of hours required to complete the story. So you can think of Story Points as a compromise between the needs of the Product Owner and the developer team. When a Sprint starts, the developer team devotes more time to thinking about the Stories in a Sprint and the developer team breaks the Stories into Tasks. In Scrum, you estimate the work required to complete a Story by using Story Points and you estimate the work required to complete a task by using hours. The difference between Stories and Tasks is that you don’t create a task until you are just about ready to start working on a task. A task is something that you should be able to create within a day, so you have a much better chance of providing an accurate estimate of the work required to complete a task than a story. Burndown Charts In Scrum, you use Burndown charts to represent the remaining work on a project. You use Release Burndown charts to represent the overall remaining work for a project and you use Sprint Burndown charts to represent the overall remaining work for a particular Sprint. You create a Release Burndown chart by calculating the remaining number of uncompleted Story Points for the entire Product Backlog every day. The vertical axis represents Story Points and the horizontal axis represents time. A Sprint Burndown chart is similar to a Release Burndown chart, but it focuses on the remaining work for a particular Sprint. There are two different types of Sprint Burndown charts. You can either represent the remaining work in a Sprint with Story Points or with task hours (the following image, taken from Wikipedia, uses hours). When each Product Backlog Story is completed, the Release Burndown chart slopes down. When each Story or task is completed, the Sprint Burndown chart slopes down. Burndown charts typically do not always slope down over time. As new work is added to the Product Backlog, the Release Burndown chart slopes up. If new tasks are discovered during a Sprint, the Sprint Burndown chart will also slope up. The purpose of a Burndown chart is to give you a way to track team progress over time. If, halfway through a Sprint, the Sprint Burndown chart is still climbing a hill then you know that you are in trouble. Team Velocity Stakeholders in a project always want more work done faster. For example, the Product Owner for the e-commerce site wants the website to launch before tomorrow. Developers tend to be overly optimistic. Rarely do developers acknowledge the physical limitations of reality. So Project stakeholders and the developer team often collude to delude themselves about how much work can be done and how quickly. Too many software projects begin in a state of optimism and end in frustration as deadlines zoom by. In Scrum, this problem is overcome by calculating a number called the Team Velocity. The Team Velocity is a measure of the average number of Story Points which a team has completed in previous Sprints. Knowing the Team Velocity is important during the Sprint Planning meeting when the Product Owner and the developer team work together to determine the number of stories which can be completed in the next Sprint. If you know the Team Velocity then you can avoid committing to do more work than the team has been able to accomplish in the past, and your team is much more likely to complete all of the work required for the next Sprint. Scrum Master There are three roles in Scrum: the Product Owner, the developer team, and the Scrum Master. I’v e already discussed the Product Owner. The Product Owner is the one and only person who maintains the Product Backlog and prioritizes the stories. I’ve also described the role of the developer team. The members of the developer team do the work of implementing the stories by breaking the stories into tasks. The final role, which I have not discussed, is the role of the Scrum Master. The Scrum Master is responsible for ensuring that the team is following the Scrum process. For example, the Scrum Master is responsible for making sure that there is a Daily Scrum meeting and that everyone answers the standard three questions. The Scrum Master is also responsible for removing (non-technical) impediments which the team might encounter. For example, if the team cannot start work until everyone installs the latest version of Microsoft Visual Studio then the Scrum Master has the responsibility of working with management to get the latest version of Visual Studio as quickly as possible. The Scrum Master can be a member of the developer team. Furthermore, different people can take on the role of the Scrum Master over time. The Scrum Master, however, cannot be the same person as the Product Owner. Using SonicAgile SonicAgile (SonicAgile.com) is an online tool which you can use to manage your projects using Scrum. You can use the SonicAgile Product Backlog to create a prioritized list of stories. You can estimate the size of the Stories using different Story Point units such as Shirt Sizes and Coffee Cup sizes. You can use SonicAgile during the Sprint Planning meeting to select the Stories that you want to complete during a particular Sprint. You can configure Sprints to be any length of time. SonicAgile calculates Team Velocity automatically and displays a warning when you add too many stories to a Sprint. In other words, it warns you when it thinks you are overcommitting in a Sprint. SonicAgile also includes a Scrumboard which displays the list of Stories selected for a Sprint and the tasks associated with each story. You can drag tasks from one task state to another. Finally, SonicAgile enables you to generate Release Burndown and Sprint Burndown charts. You can use these charts to view the progress of your team. To learn more about SonicAgile, visit SonicAgile.com. Summary In this post, I described many of the basic concepts of Scrum. You learned how a Product Owner uses a Product Backlog to create a prioritized list of tasks. I explained why work is completed in Sprints so the developer team can be more productive. I also explained how a developer team uses the daily scrum to coordinate their work. You learned how the developer team uses a Scrumboard to see, at a glance, who is working on what and the state of each task. I also discussed Burndown charts. You learned how you can use both Release and Sprint Burndown charts to track team progress in completing a project. Finally, I described the crucial role of the Scrum Master – the person who is responsible for ensuring that the rules of Scrum are being followed. My goal was not to describe all of the concepts of Scrum. This post was intended to be an introductory overview. For a comprehensive explanation of Scrum, I recommend reading Ken Schwaber’s book Agile Project Management with Scrum: http://www.amazon.com/Agile-Project-Management-Microsoft-Professional/dp/073561993X/ref=la_B001H6ODMC_1_1?ie=UTF8&qid=1345224000&sr=1-1

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  • Using Excel VBA to send emails. Problem with attachments becoming embedded by accident.

    - by Alexei
    Hi, I am having an issue with an Excel macro I wrote that is used by several users within my company. It is used to send numerous emails daily with attachments that are also Excel workbooks. The issue is that sometimes, instead of the file simply being attached as it should be, it becomes an embedded object. This embedded object is openable by users on the email within the company (after clicking through the "YOu are about to activate an embedded object that may contain viruses or be otherwise harmful to your computer. It is important to be certain that it is from a trustworthy source. Do you want to continue?"), but those outside of the company do not see it at all. The email appears to have no attachment at all. Curiously, this appears to happen randomly, and only on some computers. So if the list has 15 email lists and attachments, it seems to happen randomly to anywhere between 0 and 15 of the emails. To be clear, my objective is to send emails with regular attachments. Running Excel 2003, Outlook 2003, and Windows XP. See code below. Please help! Sub Email() Dim P As String Dim N As String Dim M As String Dim Subject As String Dim Addresses As String Dim olApp As Outlook.Application Dim olNewMail As Outlook.MailItem Application.DisplayAlerts = False M = ActiveWorkbook.Name For c = 2 To 64000 If Range("B" & c) = "" Then Exit For If UCase(Range("E" & c)) = "Y" Then Workbooks(M).Sheets("Main").Activate Subject = Range("A" & c) Addresses = Range("B" & c) P = Range("C" & c) N = Range("D" & c) If Right(P, 1) <> "\" Then P = P & "\" If Right(N, 4) <> ".xls" Then N = N & ".xls" Set olApp = New Outlook.Application Set olNewMail = olApp.CreateItem(olMailItem) With olNewMail .Display .Recipients.Add Addresses Application.Wait (Now + TimeValue("0:00:01")) SendKeys ("{TAB}") .Subject = Subject .Attachments.Add P + N .Send End With Set olNewMail = Nothing Set olApp = Nothing End If Next c Range("E2:E65536").ClearContents Application.DisplayAlerts = True End Sub

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  • How to read in Excel file in Win7 64bit?

    - by Bill Campbell
    Hi, I have a c# application that I have moved to a 64bit machine. This application reads in an Excel file for some data input. I would like to build this project as 64bit. Is there any way to have my program read in this file? I find it hard to believe that there is no way to use and Excel file as input into a 64bit app. I have installed Office 2010 64 bit as well as the 2010 Office System Driver Beta: Data Connectivity Components with no luck. I'm sure that I'm just missing something really simple. thanks!! Bill

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  • What's currently the best way to extend Excel using C#?

    - by user169867
    I have the professional versions of VS2008 & VS2010. I wish to add a couple buttons to a toolbar in Excel. When they are clicked I'd like to be able to open a form (either WinForms or WPF is fine) collect a few values from the user in the form and then take that data + read cell values from the current worksheet to perform some database operations. What's currently the best way to do this using C#? I'd greatly appreciate a pointer to any examples / tutorials. My understanding is that VS2010 has improved the process alot but I may have to deal w/ Excel 2003 which I don't think it supports. I get confused between Visual Studio 2008s Extensibility-Shared Addin template and other Office Addin templates I've seen. I'm not sure when which type of solution is appropriate. I'm new to Office development so I'd really appreciate any help to get me going on the right track. Thanks much.

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  • how to extract data from excel (apache poi) to put it in mysql table using jsp? [ SOLVED]

    - by Nihad KH
    I want to extract data from excel sheet to insert it into a mysql table using jsp, so far i've done this and its printing data into the outpout(using apache poi),what should i add to this code ? Output : Name Age Adress Mark 35 New york,AA Elise 22 India,bb Charlotte 45 France,cc Readexcel.jsp : <%@page import="java.sql.Statement"%> <%@page import="java.util.ArrayList"%> <%@page import="java.sql.PreparedStatement"%> <%@page import="java.sql.Connection"%> <%@page import="java.util.Date"%> <%@page import="org.apache.poi.ss.usermodel.Cell"%> <%@page import="org.apache.poi.ss.usermodel.Row"%> <%@page import="org.apache.poi.xssf.usermodel.XSSFSheet"%> <%@page import="org.apache.poi.xssf.usermodel.XSSFWorkbook"%> <%@page import="java.io.File"%> <%@page import="org.apache.commons.io.FilenameUtils"%> <%@page import="org.apache.commons.fileupload.FileItem"%> <%@page import="java.util.Iterator"%> <%@page import="java.util.List"%> <%@page import="org.apache.commons.fileupload.servlet.ServletFileUpload"%> <%@page import="org.apache.commons.fileupload.disk.DiskFileItemFactory"%> <%@page import="org.apache.commons.fileupload.FileItemFactory"%> <%@page contentType="text/html" pageEncoding="UTF-8"%> <!DOCTYPE html> <html> <head> <meta http-equiv="Content-Type" content="text/html; charset=UTF-8"> <title>PRINT DATA FROM EXCEL FILE</title> </head> <body> <% try{ boolean ismultipart=ServletFileUpload.isMultipartContent(request); if(!ismultipart){ }else{ FileItemFactory factory = new DiskFileItemFactory(); ServletFileUpload upload = new ServletFileUpload(factory); List items = null; try{ items = upload.parseRequest(request); }catch(Exception e){ } Iterator itr = items.iterator(); while(itr.hasNext()){ FileItem item = (FileItem)itr.next(); if(item.isFormField()){ }else{ String itemname = item.getName(); if((itemname==null || itemname.equals(""))){ continue; } String filename = FilenameUtils.getName(itemname); File f = checkExist(filename); item.write(f); try{ XSSFWorkbook workbook = new XSSFWorkbook(item.getInputStream()); XSSFSheet sheet = workbook.getSheetAt(0); Iterator<Row> rowIterator = sheet.iterator(); while (rowIterator.hasNext()){ Row row = rowIterator.next(); Iterator<Cell> cellIterator = row.cellIterator(); while (cellIterator.hasNext()) { Cell cell = cellIterator.next(); switch (cell.getCellType()){ case Cell.CELL_TYPE_NUMERIC: out.print(cell.getNumericCellValue() + "t"); break; case Cell.CELL_TYPE_STRING: out.print(cell.getStringCellValue() + "t"); break;} } out.println(""); } }catch (Exception e){ e.printStackTrace(); } } } } }catch(Exception e){ } finally { out.close(); } %> <%! private File checkExist(String fileName){ String saveFile = "D:/upload/"; File f = new File(saveFile+"/"+fileName); if(f.exists()){ StringBuffer sb = new StringBuffer(fileName); sb.insert(sb.lastIndexOf("."),"-"+new Date().getTime()); f = new File(saveFile+"/"+sb.toString()); } return f; } %> </body> </html> I've created a table in my database named EXCELDATA with the header of the excel sheet : ExcelData (Name varchar(50),age int,adress varchar(50)); what should i add to this code to get the data from the excel sheet to the mysql table ??

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  • C# 4.0: COM Interop Improvements

    - by Paulo Morgado
    Dynamic resolution as well as named and optional arguments greatly improve the experience of interoperating with COM APIs such as Office Automation Primary Interop Assemblies (PIAs). But, in order to alleviate even more COM Interop development, a few COM-specific features were also added to C# 4.0. Ommiting ref Because of a different programming model, many COM APIs contain a lot of reference parameters. These parameters are typically not meant to mutate a passed-in argument, but are simply another way of passing value parameters. Specifically for COM methods, the compiler allows to declare the method call passing the arguments by value and will automatically generate the necessary temporary variables to hold the values in order to pass them by reference and will discard their values after the call returns. From the point of view of the programmer, the arguments are being passed by value. This method call: object fileName = "Test.docx"; object missing = Missing.Value; document.SaveAs(ref fileName, ref missing, ref missing, ref missing, ref missing, ref missing, ref missing, ref missing, ref missing, ref missing, ref missing, ref missing, ref missing, ref missing, ref missing, ref missing); can now be written like this: document.SaveAs("Test.docx", Missing.Value, Missing.Value, Missing.Value, Missing.Value, Missing.Value, Missing.Value, Missing.Value, Missing.Value, Missing.Value, Missing.Value, Missing.Value, Missing.Value, Missing.Value, Missing.Value, Missing.Value); And because all parameters that are receiving the Missing.Value value have that value as its default value, the declaration of the method call can even be reduced to this: document.SaveAs("Test.docx"); Dynamic Import Many COM methods accept and return variant types, which are represented in the PIAs as object. In the vast majority of cases, a programmer calling these methods already knows the static type of a returned object form the context of the call, but has to explicitly perform a cast on the returned values to make use of that knowledge. These casts are so common that they constitute a major nuisance. To make the developer’s life easier, it is now possible to import the COM APIs in such a way that variants are instead represented using the type dynamic which means that COM signatures have now occurrences of dynamic instead of object. This means that members of a returned object can now be easily accessed or assigned into a strongly typed variable without having to cast. Instead of this code: ((Excel.Range)(excel.Cells[1, 1])).Value2 = "Hello World!"; this code can now be used: excel.Cells[1, 1] = "Hello World!"; And instead of this: Excel.Range range = (Excel.Range)(excel.Cells[1, 1]); this can be used: Excel.Range range = excel.Cells[1, 1]; Indexed And Default Properties A few COM interface features are still not available in C#. On the top of the list are indexed properties and default properties. As mentioned above, these will be possible if the COM interface is accessed dynamically, but will not be recognized by statically typed C# code. No PIAs – Type Equivalence And Type Embedding For assemblies indentified with PrimaryInteropAssemblyAttribute, the compiler will create equivalent types (interfaces, structs, enumerations and delegates) and embed them in the generated assembly. To reduce the final size of the generated assembly, only the used types and their used members will be generated and embedded. Although this makes development and deployment of applications using the COM components easier because there’s no need to deploy the PIAs, COM component developers are still required to build the PIAs.

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  • What are the ways to start making actual/real-world programs using Java/C++ to excel my Programming Skills?

    - by Umer Hassan
    The programming that we learn at university is not that vast, like those are really small exercises to build our logic, but everyone knows that this will not be the scenario when I'll get out in the market as a professional programmer, I really want to make real life programs which would actual make some impacts and will be useful. Tell me in the light of your experience that how should I start making those programs and polish my self as a professional programmer, if there are any sources available for it then kindly also recommend me those.

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  • Le "In-Memory" débarque dans SQL Server, Microsoft muscle Excel pour la BI et annonce le SP1 de SQL Server 2012 au Pass Summit 2012

    Pass Summit 2012 : Microsoft dote SQL Server d'une base de données In-Memory et annonce la disponibilité du SP 1 de SQL Server 2012 et SQL Server 2012 PDW Microsoft a profité de son salon Pass Summit 2012 dédié à SQL Server pour dévoiler sa vision d'une plateforme de gestion de données moderne. L'éditeur à travers plusieurs annonces a renouvelé son engagement d'aider ses clients à mieux exploiter leurs données, qu'elles soient structurées ou non structurées, où qu'elles se trouvent et quelle que soit leur taille. L'annonce phare qui a marqué l'ouverture du Pass Summit 2012 a été la présentation d'une nouvelle technologie de base de données transactionnelles in-Memory

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  • Oracle SQL Developer v3.2.1 Now Available

    - by thatjeffsmith
    Oracle SQL Developer version 3.2.1 is now available. I recommend that everyone now upgrade to this release. It features more than 200 bug fixes, tweaks, and polish applied to the 3.2 edition. The high profile bug fixes submitted by customers and users on our forums are listed in all their glory for your review. I want to highlight a few of the changes though, as I recognize many of you lack the time and/or patience to ‘read the docs.’ That would include me, which is why I enjoy writing these kinds of blog posts. I’m lazy – just like you! No more artificial line breaks between CREATE OR REPLACE and your PL/SQL In versions 3.2 and older, when you pull up your stored procedural objects in our editor, you would see a line break inserted between the CREATE OR REPLACE and then the body of your code. In version 3.2.1, we have removed the line break. 3.1 3.2.1 Trivia Did You Know? The database doesn’t store the ‘CREATE’ or ‘CREATE OR REPLACE’ bit of your PL/SQL code in the database. If we look at the USER_SOURCE view, we can see that the code begins with the object name. So the CREATE OR REPLACE bit is ‘artificial’ The intent is to give you the code necessary to recreate your object – and have it ‘compile’ into the database. We pretty much HAVE to add the ‘CREATE OR REPLACE.’ From now on it will appear inline with the first line of your code. Exporting Tables & Views When exporting data from your tables or views, previous versions of SQL Developer presented a 3 step wizard. It allows you to choose your columns and apply data filters for what is exported. This was kind of redundant. The grids already allowed you to select your columns and apply filters. Wouldn’t it be more intuitive AND efficient to just make the grids behave in a What You See Is What You Get (WYSIWYG) fashion? In version 3.2.1, that is exactly what will happen. The wizard now only has two steps and the grid will export the data and columns as defined in the visible grid. Let the grid properties define what is actually exported! And here is what is pasted into my worksheet: "BREWERY"|"CITY" "3 Brewers Restaurant Micro-Brewery"|"Toronto" "Amsterdam Brewing Co."|"Toronto" "Ball Brewing Company Ltd."|"Toronto" "Big Ram Brewing Company"|"Toronto" "Black Creek Historic Brewery"|"Toronto" "Black Oak Brewing"|"Toronto" "C'est What?"|"Toronto" "Cool Beer Brewing Company"|"Toronto" "Denison's Brewing"|"Toronto" "Duggan's Brewery"|"Toronto" "Feathers"|"Toronto" "Fermentations! - Danforth"|"Toronto" "Fermentations! - Mount Pleasant"|"Toronto" "Granite Brewery & Restaurant"|"Toronto" "Labatt's Breweries of Canada"|"Toronto" "Mill Street Brew Pub"|"Toronto" "Mill Street Brewery"|"Toronto" "Molson Breweries of Canada"|"Toronto" "Molson Brewery at Air Canada Centre"|"Toronto" "Pioneer Brewery Ltd."|"Toronto" "Post-Production Bistro"|"Toronto" "Rotterdam Brewing"|"Toronto" "Steam Whistle Brewing"|"Toronto" "Strand Brasserie"|"Toronto" "Upper Canada Brewing"|"Toronto" JUST what I wanted And One Last Thing Speaking of export, sometimes I want to send data to Excel. And sometimes I want to send multiple objects to Excel – to a single Excel file that is. In version 3.2.1 you can now do that. Let’s export the bulk of the HR schema to Excel, with each table going to it’s own workbook in the same worksheet. Select many tables, put them in in a single Excel worksheet If you try this in previous versions of SQL Developer it will just write the first table to the Excel file. This is one of the bugs we addressed in v3.2.1. Here is what the output Excel file looks like now: Many tables - Many workbooks in an Excel Worksheet I have a sneaky suspicion that this will be a frequently used feature going forward. Excel seems to be the cornerstone of many of our popular features. Imagine that!

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  • Can you reference an entire column in OpenOffice Calc (like A:A in Excel)?

    - by Andy
    I'd like to refer to an entire column, like you can in Excel by using A:A. I found a discussion on the openoffice.org forums which is a few years old, and suggests there is/was no neat way to do it. The options presented are Use A1:A65536. Use OFFSET($A$1;0;0;65536;1) as the previous range may get altered if you insert or remove rows. Use Data - Define Range... to name the column range (but which for me still just equates to $A$1:$A$1048576). These approaches seem over-complicated and still don't achieve my goal perfectly. Does anyone know of a way? Thanks, Andy

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  • How do I use text in one cell to trigger row to be copied on another sheet in Excel?

    - by Brian Eby
    I provide all of the cut lists for our cabinet manufacturing in Excel. I tally all parts for the entire job on the first worksheet in an Excel file, and then filter the rows based on the "Material" column, and manually copy/paste each row in to its own material-specific worksheet (example: I filter "Materials" column for "Maple Ply", and then copy all "Maple Ply" rows to the "Maple Ply" worksheet). Then the material specific worksheets are sent to the shop floor for cutting. This is time consuming, and if I need to change any data in the first page, I have to go and manually update the copied row in its material-specific page. Is there any way to make each material page "look" for its material, and automatically populate itself with any row that has the appropriate material in the material column (example: any time I enter "Maple Ply" in the material column of sheet one, that row is automatically copied to the "Maple Ply" worksheet)? If so, could this link be dynamic, rather than just a copy, so that if I change a cell in a particular row on sheet one, that data is also updated on the material-specific worksheet copy? Thank you, Brian

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  • Automating Excel through the PIA makes VBA go squiffy.

    - by Jon Artus
    I have absolutely no idea how to start diagnosing this, and just wondered if anyone had any suggestions. I'm generating an Excel spreadsheet by calling some Macros from a C# application, and during the generation process it somehow breaks. I've got a VBA class containing all of my logging/error-handling logic, which I instantiate using a singleton-esque accessor, shown here: Private mcAppFramework As csys_ApplicationFramework Public Function AppFramework() As csys_ApplicationFramework If mcAppFramework Is Nothing Then Set mcAppFramework = New csys_ApplicationFramework Call mcAppFramework.bInitialise End If Set AppFramework = mcAppFramework End Function The above code works fine before I've generated the spreadsheet, but afterwards fails. The problem seems to be the following line; Set mcAppFramework = New csys_ApplicationFramework which I've never seen fail before. If I add a watch to the variable being assigned here, the type shows as csys_ApplicationFramework/wksFoo, where wksFoo is a random worksheet in the same workbook. What seems to be happening is that while the variable is of the right type, rather than filling that slot with a new instance of my framework class, it's making it point to an existing worksheet instead, the equivalent of Set mcAppFramework = wksFoo which is a compiler error, as one might expect. Even more bizarrely, if I put a breakpoint on the offending line, edit the line, and then resume execution, it works. For example, I delete the word 'New' move off the line, move back, re-type 'New' and resume execution. This somehow 'fixes' the workbook and it works happily ever after, with the type of the variable in my watch window showing as csys_ApplicationFramework/csys_ApplicationFramework as I'd expect. This implies that manipulating the workbook through the PIA is somehow breaking it temporarily. All I'm doing in the PIA is opening the workbook, calling several macros using Excel.Application.Run(), and saving it again. I can post a few more details if anyone thinks that it's relevant. I don't know how VBA creates objects behind the scenes or how to debug this. I also don't know how the way the code executes can change without the code itself changing. As previously mentioned, VBA has frankly gone a bit squiffy on me... Any thoughts?

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  • Working with FusionCharts using ASP.NET

    Nowadays, users are constantly looking for more intuitive user interfaces. Because of this, it is vital to develop ASP.NET applications with diagrams such as Charts. FusionCharts enables you to plug-in several charts from a wide range of sources easily with a small amount of code. In this article, Anand examines the usage of FusionCharts in a step-by-step manner using three different scenarios. He initially examines the plotting of charts using the data from an XML file and also demonstrates the same using the values entered by users. Finally, Anand delves deep into the database connectivity aspects using an Access 2010 database with the help of relevant source code examples and screenshots.

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  • April 18: Learn about Oracle Hyperion Data Relationship Management

    - by Theresa Hickman
    Do you have multiple charts of accounts on different application instances? Would you like an easy way to synchronize your charts of accounts across instances? If you answered yes, then please join us in an informal reference call with Johnson Controls who were able to synchronize their charts of accounts across 5 HFM (Hyperion Financial Management) instances using Hyperion Data Relationship Management (DRM). Johnson Controls is a global technology and industrial leader with 162,000 employees, serving customers in more than 150 countries. This call will include a brief overview of Johnson Controls and their solution followed by a candid discussion and an open question and answer session. When: April 18, 2012 Time: 8:00 am PST Duration: 1 Hour Speaker: Raymond Chontos, HFM Application Manager Global Financial Systems Click here to register.

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  • I need recommendations on free, open source, PHP-based business intelligence widget frameworks [on hold]

    - by Volomike
    I'm a PHP developer on Linux, and my manager wants a business intelligence dashboard. He wants to see in real-time our profit/loss stuff in fancy charts, based on our software sales. I could code it all from scratch and use Google Charts API or some other charts API to help me. However, I wanted to know if there was a free, open source, PHP-based business intelligence package out there, or some sort of widget framework that I could start with. That way, I can build the BI widgets inside that framework and not have to do everything from scratch. I apologize ahead of time if this is the wrong stackexchange where to place this query. I don't know where to place this query, and do want to follow the rules.

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  • PrintPreview Window in C#

    - by M.Thillai
    Hello Techies, In my windows application in .net, i need to have Print Preview option for an excel file. The followings are my codings. //Excel.Application excelApp = new Excel.Application(); Excel.Workbook wb = excelApp.Workbooks.Open(@"C:\\Documents and Settings \\Admin \\Desktop \\DoCoMo\\ news5.xls", Type.Missing, Type.Missing, Type.Missing, Type.Missing, Type.Missing, Type.Missing, Type.Missing, Type.Missing, Type.Missing, Type.Missing, Type.Missing, Type.Missing, Type.Missing, Type.Missing); Excel.Worksheet ws = (Excel.Worksheet)wb.Worksheets[1]; ws.PrintPreview(Type.Missing); The compilation is successful. but i didn't get the print preview window. Is there any requirement of additional parameters or any other. I don't know how to achieve it . Please Guide me.I will be so great full to Our "Techies" for this Timely help. From, M.Thillai

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