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  • Automatic sort for excel worksheet

    - by Joseph
    I want to create a to-do list in Excel that automatically sorts the to-do entries in a list, in order of ones to do first (closest deadlines). I would also like a section that shows the tasks for today and another for high-priority tasks coming up within a week. I have not programmed in Excel before. I know Python and JavaScript, but want an Excel solution that runs inside Excel (maybe using VBA, the Excel programming language). Is this sort of thing possible in Excel?

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  • VLOOKUP in Excel, part 2: Using VLOOKUP without a database

    - by Mark Virtue
    In a recent article, we introduced the Excel function called VLOOKUP and explained how it could be used to retrieve information from a database into a cell in a local worksheet.  In that article we mentioned that there were two uses for VLOOKUP, and only one of them dealt with querying databases.  In this article, the second and final in the VLOOKUP series, we examine this other, lesser known use for the VLOOKUP function. If you haven’t already done so, please read the first VLOOKUP article – this article will assume that many of the concepts explained in that article are already known to the reader. When working with databases, VLOOKUP is passed a “unique identifier” that serves to identify which data record we wish to find in the database (e.g. a product code or customer ID).  This unique identifier must exist in the database, otherwise VLOOKUP returns us an error.  In this article, we will examine a way of using VLOOKUP where the identifier doesn’t need to exist in the database at all.  It’s almost as if VLOOKUP can adopt a “near enough is good enough” approach to returning the data we’re looking for.  In certain circumstances, this is exactly what we need. We will illustrate this article with a real-world example – that of calculating the commissions that are generated on a set of sales figures.  We will start with a very simple scenario, and then progressively make it more complex, until the only rational solution to the problem is to use VLOOKUP.  The initial scenario in our fictitious company works like this:  If a salesperson creates more than $30,000 worth of sales in a given year, the commission they earn on those sales is 30%.  Otherwise their commission is only 20%.  So far this is a pretty simple worksheet: To use this worksheet, the salesperson enters their sales figures in cell B1, and the formula in cell B2 calculates the correct commission rate they are entitled to receive, which is used in cell B3 to calculate the total commission that the salesperson is owed (which is a simple multiplication of B1 and B2). The cell B2 contains the only interesting part of this worksheet – the formula for deciding which commission rate to use: the one below the threshold of $30,000, or the one above the threshold.  This formula makes use of the Excel function called IF.  For those readers that are not familiar with IF, it works like this: IF(condition,value if true,value if false) Where the condition is an expression that evaluates to either true or false.  In the example above, the condition is the expression B1<B5, which can be read as “Is B1 less than B5?”, or, put another way, “Are the total sales less than the threshold”.  If the answer to this question is “yes” (true), then we use the value if true parameter of the function, namely B6 in this case – the commission rate if the sales total was below the threshold.  If the answer to the question is “no” (false), then we use the value if false parameter of the function, namely B7 in this case – the commission rate if the sales total was above the threshold. As you can see, using a sales total of $20,000 gives us a commission rate of 20% in cell B2.  If we enter a value of $40,000, we get a different commission rate: So our spreadsheet is working. Let’s make it more complex.  Let’s introduce a second threshold:  If the salesperson earns more than $40,000, then their commission rate increases to 40%: Easy enough to understand in the real world, but in cell B2 our formula is getting more complex.  If you look closely at the formula, you’ll see that the third parameter of the original IF function (the value if false) is now an entire IF function in its own right.  This is called a nested function (a function within a function).  It’s perfectly valid in Excel (it even works!), but it’s harder to read and understand. We’re not going to go into the nuts and bolts of how and why this works, nor will we examine the nuances of nested functions.  This is a tutorial on VLOOKUP, not on Excel in general. Anyway, it gets worse!  What about when we decide that if they earn more than $50,000 then they’re entitled to 50% commission, and if they earn more than $60,000 then they’re entitled to 60% commission? Now the formula in cell B2, while correct, has become virtually unreadable.  No-one should have to write formulae where the functions are nested four levels deep!  Surely there must be a simpler way? There certainly is.  VLOOKUP to the rescue! Let’s redesign the worksheet a bit.  We’ll keep all the same figures, but organize it in a new way, a more tabular way: Take a moment and verify for yourself that the new Rate Table works exactly the same as the series of thresholds above. Conceptually, what we’re about to do is use VLOOKUP to look up the salesperson’s sales total (from B1) in the rate table and return to us the corresponding commission rate.  Note that the salesperson may have indeed created sales that are not one of the five values in the rate table ($0, $30,000, $40,000, $50,000 or $60,000).  They may have created sales of $34,988.  It’s important to note that $34,988 does not appear in the rate table.  Let’s see if VLOOKUP can solve our problem anyway… We select cell B2 (the location we want to put our formula), and then insert the VLOOKUP function from the Formulas tab: The Function Arguments box for VLOOKUP appears.  We fill in the arguments (parameters) one by one, starting with the Lookup_value, which is, in this case, the sales total from cell B1.  We place the cursor in the Lookup_value field and then click once on cell B1: Next we need to specify to VLOOKUP what table to lookup this data in.  In this example, it’s the rate table, of course.  We place the cursor in the Table_array field, and then highlight the entire rate table – excluding the headings: Next we must specify which column in the table contains the information we want our formula to return to us.  In this case we want the commission rate, which is found in the second column in the table, so we therefore enter a 2 into the Col_index_num field: Finally we enter a value in the Range_lookup field. Important:  It is the use of this field that differentiates the two ways of using VLOOKUP.  To use VLOOKUP with a database, this final parameter, Range_lookup, must always be set to FALSE, but with this other use of VLOOKUP, we must either leave it blank or enter a value of TRUE.  When using VLOOKUP, it is vital that you make the correct choice for this final parameter. To be explicit, we will enter a value of true in the Range_lookup field.  It would also be fine to leave it blank, as this is the default value: We have completed all the parameters.  We now click the OK button, and Excel builds our VLOOKUP formula for us: If we experiment with a few different sales total amounts, we can satisfy ourselves that the formula is working. Conclusion In the “database” version of VLOOKUP, where the Range_lookup parameter is FALSE, the value passed in the first parameter (Lookup_value) must be present in the database.  In other words, we’re looking for an exact match. But in this other use of VLOOKUP, we are not necessarily looking for an exact match.  In this case, “near enough is good enough”.  But what do we mean by “near enough”?  Let’s use an example:  When searching for a commission rate on a sales total of $34,988, our VLOOKUP formula will return us a value of 30%, which is the correct answer.  Why did it choose the row in the table containing 30% ?  What, in fact, does “near enough” mean in this case?  Let’s be precise: When Range_lookup is set to TRUE (or omitted), VLOOKUP will look in column 1 and match the highest value that is not greater than the Lookup_value parameter. It’s also important to note that for this system to work, the table must be sorted in ascending order on column 1! If you would like to practice with VLOOKUP, the sample file illustrated in this article can be downloaded from here. Similar Articles Productive Geek Tips Using VLOOKUP in ExcelImport Microsoft Access Data Into ExcelImport an Access Database into ExcelCopy a Group of Cells in Excel 2007 to the Clipboard as an ImageShare Access Data with Excel in Office 2010 TouchFreeze Alternative in AutoHotkey The Icy Undertow Desktop Windows Home Server – Backup to LAN The Clear & Clean Desktop Use This Bookmarklet to Easily Get Albums Use AutoHotkey to Assign a Hotkey to a Specific Window Latest Software Reviews Tinyhacker Random Tips DVDFab 6 Revo Uninstaller Pro Registry Mechanic 9 for Windows PC Tools Internet Security Suite 2010 Quickly Schedule Meetings With NeedtoMeet Share Flickr Photos On Facebook Automatically Are You Blocked On Gtalk? Find out Discover Latest Android Apps On AppBrain The Ultimate Guide For YouTube Lovers Will it Blend? iPad Edition

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  • Accessing a VSTO application-addin types from VBA (Excel)

    - by Kang Su
    We have a VSTO application-addin (not a document-addin) for Excel, and we want to expose an event to VBA code so that the VBA macro can do some action when this event fires in the addin. How can I get the VBA code to be able to subscribe to an event defined in the VSTO application-addin? I'd think that since the addin is loaded in the Excel process, this shouldn't be too tricky, but haven't found a way yet. BTW, using VS 2008 and Excel 2007. Thanks!

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  • Display page numbers in a excel sheet generated using C#.NET

    - by constant learner
    Hello Stackers Does anyone have an idea on how to include or input the page numbers in the excel sheet generated using C# code. I use the libraries available in Microsoft.Office.Interop.Excel to generate the file. However by default in the output i cannot see the page numbers. I know to enable this via excel options (View -- Header and Footer ...) but i want to automate this via C#. Is this possible, if yes kindly share the snippet for the same. Thanks Constant Learner

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  • Best language to use when exporting an excel file

    - by Aaron
    I want to write a macro program that takes in data from a text file and then arranges it in a specific manner in an excel file. I don't know which language has the best features for dealing with Excel. I prefer java, and I see someone made an api called JExcelApi, but I'm not sure about it's capabilities. I would like to be able to generate a graph automatically in excel based on the data in a certain column. Is this possible in any language? I would guess that Microsoft's VB or C# would have an advanced feature such as this, but I'm not sure. Thanks.

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  • Export with VB to Excel and update file

    - by Filipe Costa
    Hello. This is the code that i have to export data to Excel. Dim oExcel As Object Dim oBook As Object Dim oSheet As Object oExcel = CreateObject("Excel.Application") oBook = oExcel.Workbooks.Add oSheet = oBook.Worksheets(1) oSheet.Range("A1").Value = "ID" oSheet.Range("B1").Value = " Nome" oSheet.Range("A1:B1").Font.Bold = True oSheet.Range("A2").Value = CStr(Request("ID")) oSheet.Range("B2").Value = "John" oBook.SaveAs("C:\Book1.xlsx") oExcel.Quit() I can create and save the excel file, but i can't update the contents. How can i do it? Thanks.

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  • Parameterize Charts using Excel Slicers in PowerPivot

    - by Marco Russo (SQLBI)
    One new nice feature of Excel 2010 is the Slicer. Usually, slicers are used to filter data in a PivotTable. But they might be also useful to parameterize an algorithm or a chart! We discussed this technique in our book , but Alberto Ferrari wrote a post that shows how to use this technique to allow the user to select two stocks that should be compared in an Excel Chart – as you might imagine, this will work also when you will publish the workbook on SharePoint! This is the result: Nice to see that...(read more)

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  • Parameterize Charts using Excel Slicers in PowerPivot

    - by Marco Russo (SQLBI)
    One new nice feature of Excel 2010 is the Slicer. Usually, slicers are used to filter data in a PivotTable. But they might be also useful to parameterize an algorithm or a chart! We discussed this technique in our book , but Alberto Ferrari wrote a post that shows how to use this technique to allow the user to select two stocks that should be compared in an Excel Chart – as you might imagine, this will work also when you will publish the workbook on SharePoint! This is the result: Nice to see that...(read more)

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  • Using Excel to work with SQL data (read/write)

    - by Tyler Brock
    I have a ton of data in a sql database which I would like to be able to import and display in excel (I can already do this) and additionally modify or append to the dataset within excel and write the changes/additions back to the database. What is the best way to go about doing something like this? Please let me know, thanks!

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  • save a cfdocument as an excel file

    - by Winter
    is there a workaround to use the cfdocument tag to save a page/file as an excel sheet instead of a PDF file? I already have a process set up to make pdf files and email them out and would like to give my customers the option of getting an excel file instead. It would be nice if I could reuse the code I already have instead of having to rewrite it in POI or something like that.

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  • Weird Excel bar disgram behaviour

    - by Simon
    Hi I have a very simple question. I wanna have a diagram with the following table Apple 30 40 50 Pears 200 300 400 Bananas 10 20 30 The weird thing, when I try to draw a bar diagram the order of the bars change. So Excel draws me first the Bananas, the the pears and finally the apple bar... Is there anyway to tell Excel 2003 that it keeps the order? Thank you very much

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  • Microsoft Excel Programming

    - by hkf
    I have data in the form of four columns. The first three columns represent time, value1, value 2. The fourth column is binary, all 0's or 1's. Is there a way to tell excel to delete time, value1 and value 2, when the corresponding binary value in column four is 0? I know this is a lot easier in C++ or matlab, but for reasons beyond my control, I must do it in excel.

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  • Automatic Data sorting/ analysis in Excel

    - by hkf
    I have data in the form of four columns. The first three columns represent time, value1, value 2. The fourth column is binary, all 0's or 1's. Is there a way to tell excel to delete time, value1 and value 2, when the corresponding binary value in column four is 0? I know this is a lot easier in C++ or matlab, but for reasons beyond my control, I must do it in excel.

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  • Generate table schema inspecting Excel(CSV) and import data

    - by Frank Malina
    How would I go around creating a MYSQL table schema inspecting an Excel(or CSV) file. Are there any ready Python libraries for the task? Column headers would be sanitized to column names. Datatype would be estimated based on the contents of the spreadsheet column. When done, data would be loaded to the table. I have an Excel file of ~200 columns that I want to start normalizing.

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  • C# exporting e-mails to excel on widndows forms using microsoft.office.interop.excel

    - by shin
    I need to export some data to excel in my forms aplication, so i used microsoft.office.interop.excel and everything is ok except one thing. When exporting client's email I would like to make it an mailto: link. excellApp.Cells[row, 16] = "mailto:"+client.Email; doesn't work Whend I add hiperlink when exporting www field it looks like this: excelWorkSheet.Hyperlinks.Add(excellApp.Cells[row, 14], client.Www, Type.Missing, Type.Missing, Type.Missing); How can I export an email to have similar effect coz right now I have only simple fields withou any action...?

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  • Creating excel template 2003 in C# on a machine with both 2003 and 2007 installed.

    - by Ragha J
    I have both 2003 and 2007 Excel versions installed on my machine. The current source code uses Office11 (2003) interop assembly Microsoft.Office.Interop.Excel.dll to create the Excel template. When I create the template and open in Excel 2007, it opens perfectly. The same template when I open in 2003 I get the message "File format is not valid". _excel = new Excel.Application(); _workbooks = _excel.Workbooks; _excel.Visible = false; _excel.DisplayAlerts = false; // create and add a workbook with 1 worksheet named "Sheet1" _workbook = _workbooks.Add(Excel.XlWBATemplate.xlWBATWorksheet); _sheet = (Excel.Worksheet)_workbook.ActiveSheet;

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  • Auto-fill the current date if the previous row was empty

    - by replax
    I have a spreadsheet sorted by dates. Everyday, I enter new data into it. After each day, I leave one row empty before starting the next day. Example: 20.09.12 XXXXX XXXXX XXXXX XXXX XXXXX XXXX XXXXX XX XX XXXXX XX XXXX 21.09.12 XXX XXXXX XXX XXXX X XXXX XXXX XXX 22.09.12 XXXX XX XXXX XXXX So I want excel to always fill in the current date whenever I enter data after one blank row, but obviously the dates shall stay the same - not be updated to the current date whenever I open excel. I am using Excel 2007 and while non vba ideas are preferred, vba is not a problem either!

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  • Excel Automation From .NET - creating a new worksheet

    - by Andrew Shepherd
    I am attempting what seems like a simple task: using C# to create a new Excel document containing new worksheets. For some reason, I am getting a strange COM error (0x800A03EC) Has anyone managed to get this to work? Does anyone have suggestions as to how to troubleshoot this? I've isolated this into the minimum amount of code: using Microsoft.Office.Interop.Excel; using System.Diagnostics; namespace ExcelAutomation { public static class ExcelTests { public static void CreateWorksheet() { try { var app = new Microsoft.Office.Interop.Excel.Application(); app.Visible = true; var workBooks = app.Workbooks; var newWorkbook = app.Workbooks.Add(XlWBATemplate.xlWBATWorksheet); Worksheet existingWorksheet = (Worksheet)newWorkbook.Sheets[1]; Worksheet workSheet = (Worksheet)newWorkbook.Sheets.Add ( null, // before existingWorksheet, null, // 1, null //XlSheetType.xlWorksheet ); } catch (System.Runtime.InteropServices.COMException ex) { Trace.WriteLine(string.Format("Caught COMException. Message: \"{0}\"", ex.Message)); } } } } The output window now says: Caught COMException. Message: "Exception from HRESULT: 0x800A03EC"

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  • Excel Automation - creating a new worksheet

    - by Andrew Shepherd
    I am attempting what seems like a simple task: using C# to create a new Excel document containing new worksheets. For some reason, I am getting a strange COM error (0x800A03EC) Has anyone managed to get this to work? Does anyone have suggestions as to how to troubleshoot this? I've isolated this into the minimum amount of code: using Microsoft.Office.Interop.Excel; using System.Diagnostics; namespace ExcelAutomation { public static class ExcelTests { public static void CreateWorksheet() { try { var app = new Microsoft.Office.Interop.Excel.Application(); app.Visible = true; var workBooks = app.Workbooks; var newWorkbook = app.Workbooks.Add(XlWBATemplate.xlWBATWorksheet); Worksheet existingWorksheet = (Worksheet)newWorkbook.Sheets[1]; Worksheet workSheet = (Worksheet)newWorkbook.Sheets.Add ( null, // before existingWorksheet, null, // 1, null //XlSheetType.xlWorksheet ); } catch (System.Runtime.InteropServices.COMException ex) { Trace.WriteLine(string.Format("Caught COMException. Message: \"{0}\"", ex.Message)); } } } } The output window now says: Caught COMException. Message: "Exception from HRESULT: 0x800A03EC"

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  • When importing an Access table into Excel, a look-up column is showing all values as numbers

    - by user3651997
    I have a basic Access to Excel question that has me frustrated. I have two Access 2010 data tables. One is a list of managers. The primary key is a manager ID (which is an autonumber because managers can have the same name), and each row also has manager name, manager email, etc. The second data table is a list of departments. The primary key for each row is a unique department code, and the foreign key is a manager ID (autonumber). I used the Look-up Wizard to create this connection. However, Access does not show the manager ID in the foreign key location. It shows Manager Name like I requested when I used the Look-up Wizard. Now I am trying to import the second table (departments) into Excel 2010. I clicked import from Access, chose the Department table, and everything popped into Excel. BUT, the Manager Name column is showing Manager ID instead. So I have a list of numbers instead of names. How can I make Excel show what I see in Access? Thanks!

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  • Why is only one Excel spreadsheet crippled, but others are fine?

    - by Dallas
    I have an inherited spreadsheet that I really don't want to rebuild at the moment. It's a simple small workbook that is small (< 200 rows that don't even reach to AA) and does nothing more than calculate some totals within the same worksheets. No macros, no external data sources, nothing beyond basic formatting of dates, numbers and strings. I see importing data from CSV/text has created many many workbook connections over time, but even if I delete them all (there were hundreds) it makes no difference in performance. Even clicking to simply change focus from cell to cell takes 10+ seconds, adorned by the spinning cursor and (Not Responding) appending to the title bar and the application locking up. The program seems to "recover" every time, but efficiency of editing this file is obviously seriously handicapped. All other files seem fine in Excel, and other programs have no apparent performance issues. I see Excel is chewing up CPU but I'm not sure how to narrow down what process or service is "clashing" with Excel. I tried the same file on other computers and performance is fine. If I turn off all start-up services and run only Excel, performance is restored... until I start using other programs and then it bogs down again. At this point, I would entertain almost any idea, theory or suggestion that helps pinpoint, solve or work around the issue.

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  • QueryTables error

    - by ktm5124
    I have the following VBA code inside an Excel macro: With ActiveSheet.QueryTables.Add( _ Connection:=ConnStr, _ Destination:=ActiveSheet.Range("A1"), _ Sql:=SqlStr) .Refresh End With And yet I am getting the error: "Run-time error '1004': Application-defined or object-defined error." The debugger points to this code as the source of error. Assuming that my ConnStr and SqlStr are correct, why am I getting this error? I am using Excel 2007 and I am querying an Oracle database.

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  • Excel - Combine multiple columns into one column

    - by Akib
    Hey everyone. I'm new to excel and VBA and I'm stuck at this problem. I have multiple lists that are in separate columns in excel. What I need to do is combine these columns of data into one big column. I do not care if there are duplicate entries, however I want it to skip row 1 of each column. ROW1| 1 2 3 ROW2| A D G ROW3| B E H ROW4| C F I should combine into A B C D E F G H I The first row of each column needs to be skipped.

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  • Excel - Programming Cells

    - by Andrew
    I just started programming in Excel and I have a problem figuring some code out. I have created a work schedule in Excel with lists in order to add new people. I wanted to create a macro in which the user inputs a value in a cell (I chose B3) and depending on that 'start time' in cell B3, the headers for the lists all change to correspond with that starting time. For example: B3 says 5:00 am. All the headers will follow with: 5:00 am, 6:00 am, 7:00 am, etc. of course the headers will move at some point so I'm wondering how do you point to a cell that moves too?

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