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  • Technologie Roadmap: Portlet JSR286 vs Widget/Gadget

    - by Aerosteak
    Hello IBM got me confused (again). For many years IBM have been pushing for Portlet Containers with the JSR 168 and later the JSR 286 Specification. 2008-2009, IBM the Lotus division introduced the iWidget Specification. Based on my reading, it is a more dynamic and lightweight version of the Portlets, close to Google Gadget. It uses a different paradigm than Porlet while providing the same features. A major differentiator with this kind of client side technologies is that you don’t need a big and costly Portal infrastructure. To not fall in the ‘It depends on needs’ discussions, let consider the following: * New company, no legacy portlet, no portal in place. What are your thoughts on this?

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  • One page using querystring or many folders and pages?

    - by ClarkeyBoy
    I have an application where I have the 'core' code in one folder for which there is a virtual directory in the root, such that I can include any core files using /myApp/core/bla.asp. I then have two folders outside of this with a default.asp which currently use the querystring to define what page should be displayed. One page is for general users, the other will only be accessible to users who have permission to manage users / usergroups / permissions. The core code checks the querystring and then checks the permissions for that user. An example of this as it is now is default.asp?action=view&viewtype=list&objectid=server. I am not worried about SEO as this is an internal app and uses Windows Auth. My question is, is it better the way it is now or would it be better to have something like the following: /server/view/list/ /server/view/?id=123 /server/create/ /server/edit/?id=123 /server/remove/?id=123 In the above folders I would have a home page which defines all the variables which are currently determined by the querystring - in /server/create/ for example, I would define the action as 'create', object name as 'server' and so on. In terms of future development, I really have no idea which method would be best. I think the 2nd method would be best in terms of following what page does what but this is such a huge change to make at this stage that I would really like some opinions, preferably based on experience. PS Sorry if the tags are wrong - I am new to this forum and thought this was a bit too much of a discussion for StackOverflow as that is very much right / wrong answer based. I got the idea SE is more discussion based.

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  • Looking for Application Framework Features Lists, Comparisons and Guides [closed]

    - by Blah McBlah
    I am looking for lists of the things that application frameworks can do and for websites that have matrices, marketing content, blog articles and whatnot for comparing application frameworks to each other or just selling a framework. I'm talking generally, so regardless of coded language or operating system or client device. I want it all. I've found a few online, and would appreciate whatever sources I can glean from this site too.

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  • Can you be a web and desktop developer at the same time?

    - by Charmop
    In my environment, I found web programmers, desktop programmers and both web and desktop programmers. About myself I started my career with desktop development using C and then Java, did couple of simple level projects. Then at the final graduating year, my project was a web one, so I turned to web development until this moment. But, when I meet people having chosen to be web or software developers from the beginning, I figure out that they have more knowledge/experience than I have. So I get kind of regret why didn't I specialize my self from the first day? The question is: Is it a good habit to work at two, more or less, different fields: web and desktop? Or we must specialize ourselves?

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  • Power Pivot - Average time per item

    - by Username
    I'm trying to calculate on average, how long it takes to make each item. Here is the data table: Date Item Quantity Operator 01/01/2014 Item1 3 John 01/01/2014 Item2 5 John 02/01/2014 Item1 7 Bob 02/01/2014 Item2 4 John 03/01/2014 Item1 2 Bob 07/01/2014 Item2 3 John On 01/01/2014 John made 3 of Item 1 and 5 of Item 2. If we only had the first 2 rows we can guess that it takes 0.375 days to make Item 1 and 0.625 days to make Item 2. I want to be able to calculate this on average using all the data and taking in to account the operators obviously working on different items. Thank you

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  • What are the pre-requisites for writing .NET web services?

    - by wackytacky99
    I am very new to web development. I have been a C,C++ programmer for 5 years and I'm starting to get into the web development, writing web services, etc. I understand that basic concepts of web services. I know .Net web services can be written in VB or C#. Working with C,C++ will help getting used to writing code in C#. I do not have experience in .Net framework. I'd like to quickly get into writing .Net web services and learning on the go, without extensively spending a lot of time learning .Net framework (if possible) Any suggestions? Update - I know my way around databases and sql express in Visual Studio

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  • SEO for single-page content-less Web App

    - by brillout.com
    as written in the title the website on which I try to do Search Engine Optimization has following two properties: doesn't have any content in the SEO sense: it doesn't hold any information and only offers functionality consists of only one page/URL since most of the SEO tips/tricks I read are based on content how do I perform SEO optimization on such a website? for more info: the website is basically just a timer/alarm/stopwatch

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  • Can I run Excel 2010 on a server?

    - by Glen Little
    This question is not about a person using Excel on a computer that happens to have an Windows Server OS. And it is not about using any Sharepoint services features! The question is about automated processes that use code (Office Automation) to open Excel files, manipulate them, run calculations, read data, save copies of the file and close the files... all in code. In previous versions of Excel the licensing agreement prevented use on a public server, notes from Microsoft warned about the problems trying to use Office Automation in a server environment, and we were warned that Excel was single threaded and not designed for use on a server. Most of the articles about this were written before Office 2010. But now, Excel 2010 is designed to work on a High Performance Computing server using HPC Services for Excel. One HPC document mentions "Windows HPC Server 2008 R2 includes a comprehensive pop-up manager that can handle occasional dialog boxes and pop-up messages". So my question is... is it now "safe" to run code that automates Excel 2010 on a "normal" server without using the HPC services? If not, can the HPC Services for Excel work on a single server? I don't need the high performance, distributed computing, aspect of HPC Services for Excel... just the ability to run Excel on a server. Can that now be done? Thanks, Glen

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  • Excel fails to open Python-generated CSV files

    - by johnjdc
    I have many Python scripts that output CSV files. It is occasionally convenient to open these files in Excel. After installing OS X Mavericks, Excel no longer opens these files properly: Excel doesn't parse the files and it duplicates the rows of the file until it runs out of memory. Specifically, when Excel attempts to open the file, a prompt appears that reads: "File not loaded completely." Example of code I'm using to generate the CSV files: import csv with open('csv_test.csv', 'wb') as f: writer = csv.writer(f) writer.writerow([1,2,3]) writer.writerow([4,5,6]) Even the simple file generated by the above code fails to load properly in Excel. However, if I open the CSV file in a text editor and copy/paste the text into Excel, parse it with text to columns, and then save as CSV from Excel, then I can reopen the CSV file in Excel without issue. Do I need to pass an additional parameter in my scripts to make Excel parse the CSV files the same way it used to? Or is there some setting I can change in OS X Mavericks or Excel? Thanks.

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  • Email Mail Merge via linked Excel sheet

    - by Joe Perrin
    I have a MS Word 2007 document setup as a Mail Merge doc. I am using Excel as the data source. The MERGEFIELD ClientData contains an Excel file (test.xlsx). I want to merge the data from the Excel file listed in ClientData into the respective Mail Merge document. However, whenever I start the Mail Merge the {MERGEFIELD ClientData} field gets resolved only once and does not select the next row from ClientData. So this: {LINK Excel.Sheet.12 "C:\\path\\to\\file\\{MERGEFIELD ClientData}" \a \f 4 \h} Becomes this after starting the merge: {LINK Excel.Sheet.12 "C:\\path\\to\\file\\test.xlsx" \a \f 4 \h} So every Mail Merge doc uses the test.xlsx instead of the respective Excel document specific to the client (i.e test1.xlsx, test2.xlsx, test3.xlsx, etc.) As the merge runs through each Mail Merge doc I expect to see this: {LINK Excel.Sheet.12 "C:\\path\\to\\file\\test.xlsx" \a \f 4 \h} {LINK Excel.Sheet.12 "C:\\path\\to\\file\\test1.xlsx" \a \f 4 \h} {LINK Excel.Sheet.12 "C:\\path\\to\\file\\test2.xlsx" \a \f 4 \h} {LINK Excel.Sheet.12 "C:\\path\\to\\file\\test3.xlsx" \a \f 4 \h} But for some reason this isn't happening. Does anyone have any suggestions? Thanks!

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  • What changed between Excel 2007 and 2010 that is causing my copied worksheet save to fail?

    - by snorehorse
    When I do this in Excel 2010 this fails, but works in Excel 2007: Create a new workbook and insert an image onto a worksheet, or get a preexisting worksheet with an image. Copy the worksheet into a new workbook by clicking the worksheet tab and clicking Move Or Copy and then choosing (new workbook) as the destination. Close the source workbook. Attempt to save the new workbook. The message is: "Errors were detected while saving 'myfilepathhere.xlsx'. Microsoft Excel may be able to save the file b removing or repairing some features. To make the repairs in a new file, click Continue. To cancel saving the file, click Cancel". Clicking continue brings up another file dialog window followed by more repair errors. It seems behind the scenes it is looking to the source workbook when it tries to save the image in the new destination workbook. No useful error message, of course, thanks microsoft. But this problem never happened in Excel 2007. The reason why I am closing the source notebook before the save, is because I don't need the end user to see it after I programmatically pull a coversheet (with the image) from it, in an interop app. Thanks for any help. Update: I don't encounter this problem if I open the source workbook as "Read Only" (I do this programmatically using Excel Interop).

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  • Custom Validation - Dependent Drop Down Lists

    - by Holysmoke
    Hi, I've two columns in a sheet that are interdependent and I want to use validation, drop-down lists, on both as follows: Column A (TYPE) | Column B (Sub-TYPE) ------------------------------------------| TypeA, TypeB | If TypeA SubTypeA1, | ... TypeN | SubTypeA2 ... SubTypeAN | ------------------------------------------| Creating the column A drop down is trivial. How do I create the Column B drop down, that in turn depends on what was chosen in Column A? TIA

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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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  • Do a query only if there are no results on previous query

    - by yes123
    Hi guys: I do this query(1): (1)SELECT * FROM t1 WHERE title LIKE 'key%' LIMIT 1 I need to do a second(2) query only if this previous query has no results (2)SELECT * FROM t1 WHERE title LIKE '%key%' LIMIT 1 basically i need only 1 row who got the most close title to my key. Atm i am using an UNION query with a custom field to order it and a LIMIT 1. Problem is I don't want to do the others query if already the first made the result. Thanks

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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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  • Excel > Microsoft Query > SQL Server > Multiple Parameters

    - by pojomx
    Hi, Im relatively new to sql server and excel/microsoft query, I have a query like this Select ...[data]...B1.b,B2.b,B3.b From TABLEA Inner join ( SELECT ---[data]...sum(...) as b From TABLEB WHERE Date between [startdate] and [enddate] ) as B1 Inner join ( SELECT ---[data]...sum(...) as b From TABLEB WHERE Date between [startdate-1week] and [enddate] ) as B2 Inner join ( SELECT ---[data]...sum(...) as b From TABLEB WHERE Date between [startdate-2weeks] and [enddate] ) as B3 Where Date between [startdate] and [enddate] It works, when i introduce the dates manually, but i need them to be "Dynamic" (introduced from excel) but, when I put the "?" (for parameters) on all the dates, it throws an error. "Invalid Parameter Number" :D How can i make this work, within excel? Im using SQL Server and Microsoft Query Connection Data.

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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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  • Change dynamic web reference from web./app.config

    - by Snæbjørn
    I have a problem changing a dynamic web reference in the config file. Changing the url in the config file doesn't have any effect. I have to change the url in .settings and compile for it to change. I added the web reference using the wizard. Set the URL behavior to dynamic, which added the relevant XML tags in config file. In my solution I have the web API (web reference) in a separate project (class lib), so I referenced the project and copied the <applicationSettings> over. <applicationSettings> <StartupProject.Properties.Settings> <setting name="WebReference" serializeAs="String"> <value>http://someurl/somefile.asmx</value> </setting> </StartupProject.Properties.Settings> </applicationSettings> Note that it's <StartupProject.Properties.Settings> and not <WebRefProject.Properties.Settings>. Are there some limitations I'm not aware of or am I doing something wrong?

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  • WebApps tendency

    - by Narek
    There is a strong tendency of making web apps and even seems that very soon a lot of features will be available online so that for every day use people will have all necessary software free online and they will not need to install any software locally. Only specific (professional) tools that usually people don’t use at home will not be available as a web app. So my question, how do you imagine selling software that was necessary for everyday use and was not free (seems they can't make money any more by selling their product – no need of those products). And what disadvantages have web apps, that is to say, what is bad to use software online compared with having the same software locally (please list)? Please do not consider this question not connected with programming, as I would like to have a little statistics from professional programmers who are aware from nowday’s tendency of software and programming. Thanks.

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  • SQL SERVER – Monday Morning Puzzle – Query Returns Results Sometimes but Not Always

    - by pinaldave
    The amount of email I receive sometime it is impossible for me to answer every email. Nonetheless I try to answer pretty much every email I receive. However, quite often I receive such questions in email that I have no answer to them because either emails are not complete or they are out of my domain expertise. In recent times I received one email which had only one or two lines but indeed attracted my attention to it. The question was bit vague but it indeed made me think. The answer was not straightforward so I had to keep on writing the answer as I remember it. However, after writing the answer I do not feel satisfied. Let me put this question in front of you and see if we all can come up with a comprehensive answer. Question: I am beginner with SQL Server. I have one query, it sometime returns a result and sometime it does not return me the result. Where should I start looking for a solution and what kind of information I should send to you so you can help me with solving. I have no clue, please guide me. Well, if you read the question, it is indeed incomplete and it does not contain much of the information at all. I decided to help him and here is the answer, which I started to compose. Answer: As there are not much information in the original question, I am not confident what will solve your problem. However, here are the few things which you can try to look at and see if that solves your problem. Check parameter which is passed to the query. Is the parameter changing at various executions? Check connection string – is there some kind of logic around it? Do you have a non-deterministic component in your query logic? (In other words – does your result is based on current date time or any other time based function?) Are you facing time out while running your query? Is there any error in error log? What is the business logic in your query? Do you have all the valid permissions to all the objects used in the query? Are permissions changing or query accessing a different object in various executions? (Add your suggestions here) Meanwhile, have you ever faced this situation? If yes, do share your experience in the comment area. I will send a copy of my book SQL Server Interview Questions and Answers to one of the most interesting comment. The winner will be announced by next Monday.  Reference: Pinal Dave (http://blog.sqlauthority.com) Filed under: PostADay, SQL, SQL Authority, SQL Interview Questions and Answers, SQL Puzzle, SQL Query, SQL Server, SQL Tips and Tricks, T SQL, Technology

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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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