Search Results

Search found 21656 results on 867 pages for 'oracle templates excel'.

Page 170/867 | < Previous Page | 166 167 168 169 170 171 172 173 174 175 176 177  | Next Page >

  • Cross-match a number of worksheets to one master worksheet

    - by Carter
    Hopefully the title is not too confusing. Basically, I have a master list of addresses and those addresses are listed in multiple columns (Column A - street number, Column B - street name, Column C - street type etc) and I get a another set of addresses on a daily basis with the same address formatting. What I need to do is cross-match the daily changing list of addresses to the first list to remove any matching entries. So, for example, if the first list has 123 Main St on it, I have to ensure that there are no entries of 123 Main St on any subsequent daily lists. I'm using one address as an example but the lists contain upwards of 10000 addresses that have to be cross matched. I don't need them flagged or highlighted, just deleted from the daily lists (though if they have to be flagged or highlighted, I could work with that) Any help here would be much appreciated.

    Read the article

  • Search for the Content You Don't Want to Miss

    - by Oracle OpenWorld Blog Team
    by Meg Ehman The Oracle OpenWorld 2013 content catalog is now live—more accessible than ever with all you need to know about sessions, speakers, demos, labs, user groups, exhibitors, and more. This year, for the first time, you’ll find all Oracle conference content in a single catalog. You can browse the entire catalog at one time, or filter your search by conference, product, session, speaker, or other keywords.  If you find a session you think friends or colleagues would like to attend, share it with them through Facebook or Twitter. Start checking out Oracle OpenWorld content now to make sure you know how to plan your week at the conference. Then when Schedule Builder goes live in early August you’ll be ready to sign up quickly to have the best chance for getting into all of the great sessions you want to.   Search Content Catalog NowLearn More about Oracle OpenWorldRegister for Oracle OpenWorld

    Read the article

  • Ismét a blog-fedélzeten

    - by user645740
    A szokásos dolgos hétköznapokat élénkítve ismét gyakrabban frissítem a blogomat. Rengeteg izgalmas újdonságról fogok beszámolni az Oracle Exadata Database Machine, az Oracle adattárházak témakörökben és az Oracle BI területekrol Oracle OpenWorld, a budapesti Oracle Day kapcsán is. Új termékbejelentések: az Oracle Engineered Systems területen: Exalytics In-Memory Machine, SPARC SuperCluster További ügyfélsikerek, tapasztalatok az Exadata Database Machine és az Exalogic Elastic Cloud megoldásokkal stb.

    Read the article

  • How can I stop Excel from eating my delicious CSV files and excreting useless data?

    - by atroon
    I have a database which tracks sales of widgets by serial number. Users enter purchaser data and quantity, and scan each widget into a custom client program. They then finalize the order. This all works flawlessly. Some customers want an Excel-compatible spreadsheet of the widgets they have purchased. We generate this with a PHP script which queries the database and outputs the result as a CSV with the store name and associated data. This works perfectly well too. When opened in a text editor such as Notepad or vi, the file looks like this: "Account Number","Store Name","S1","S2","S3","Widget Type","Date" "4173","SpeedyCorp","268435459705526269","","268435459705526269","848 Model Widget","2011-01-17" As you can see, the serial numbers are present (in this case twice, not all secondary serials are the same) and are long strings of numbers. When this file is opened in Excel, the result becomes: Account Number Store Name S1 S2 S3 Widget Type Date 4173 SpeedyCorp 2.68435E+17 2.68435E+17 848 Model Widget 2011-01-17 As you may have observed, the serial numbers are enclosed by double quotes. Excel does not seem to respect text qualifiers in .csv files. When importing these files into Access, we have zero difficulty. When opening them as text, no trouble at all. But Excel, without fail, converts these files into useless garbage. Trying to instruct end users in the art of opening a CSV file with a non-default application is becoming, shall we say, tiresome. Is there hope? Is there a setting I've been unable to find? This seems to be the case with Excel 2003, 2007, and 2010.

    Read the article

  • How do I copy hyperlink only (and not text) to another cell?

    - by OfficeLackey
    I have a spreadsheet where column A displays names. There are a few hundred names and each has a different hyperlink (which links to that person's web page). I want to transfer those hyperlinks across to a different column which has different text in and no hyperlinks. Not every cell in column A has a hyperlink. There are groups of cells merged together, so A2:A7 has one link, A8:A13 the next, A9:10 the next (i.e. number of cells merged is not uniform). e.g. where A2:A7 reads "Bob" and links to www.bob.com, I want I2:I7, which reads, "Smith," and does not link to anything, to link to www.bob.com. I want to do this repeatedly, copying links from A2:A579 into I2:I579. The information is copied from a table within a web page, and that is where the hyperlinks come from.

    Read the article

  • How to link data in different worksheets

    - by user2961726
    I tried consolidation but I can not get the following to work as it keeps saying no data consolidated. Can somebody try this dummy application and if they figure out how to do the following below can give me a step by step guide so I can attempt myself to learn. I'm not sure if I need to use any coding for this: In the dummy application I have 2 worksheets. One known as "1st", the other "Cases". In the "1st" worksheet you can insert and delete records for the "Case" table at the bottom, what I want to do is insert a row into the Case Table in worksheet "1st" and enter in the data for that row. What should happen is that data should be automatically be updated in the table in the "Cases" worksheet. But I can't seem to get this to work. Also if I delete a row from the table in Worksheet "1st" it should automatically remove that record from the "Cases" worksheet table. Please help. Below is the spreadsheet: http://ge.tt/8sjdkVx/v/0

    Read the article

  • Silverlight 4 Tools for Visual Studio 2010, l'extension fournit des templates et des librairies pour

    Mise à jour du 18/05/10 Silverlight 4 Tools for Visual Studio 2010 L'extension fournit des templates et des librairies pour Visual Studio et WPF Silverlight 4, la nouvelle mouture de l'alternative de Microsoft au Flash d'Adobe, avait été dévoilé le mois dernier (lire ci-avant). C'est aujourd'hui au tour de l'extension pour Visual Studio de faire son apparition. « Silverlight 4 Tools for Visual Studio 2010 » permet par exemple d'exploiter les fonctionnalités de création d'applications « out of the browser ». Il propose également des templates et de nouvelles librairies pour faciliter l'accès aux données. L'équipe...

    Read the article

  • Showing the right form of total I want in a pivot table

    - by Maria
    I have a pivot table that shows how many condoms have been handed out and on how many distinct occasions. So the value in the pivot table is a number between 1 and 30 (no. of condoms handed out at one specific occasion) and then I can see – for each month – how many times that happened. For example, three times, two condoms were given out, four times, one condom was given out, et cetera. The total is set on Count and it shows the total of how many times condoms have been given out. However, in the total I want it to show the sum of all the condoms that been given out each month – is it possible to change this somehow?

    Read the article

  • Register to the Solaris 11.1 and Solaris Cluster webcast!

    - by Karoly Vegh
    On the 7. November there will be a live webcast about Oracle Solaris 11.1 and Oracle Solaris Cluster that you do not want to miss: the Online Launch Event: Oracle Solaris 11 - Innovations for your Data Center.  This live webcast will have three sessions: Executive Keynote: Oracle Solaris 11 - Innovations for your data center  Oracle Technical Session: Oracle Solaris 11.1  Oracle Technical Session: Oracle Solaris Cluster  There will be a live Q&A session, but feel free to tweet as well with #solaris.  see you there! -- charlie  

    Read the article

  • Cannot find the Cocos2d templates

    - by PeterK
    I am about to upgrade to the last version of Cocos2d and would like to uninstall my current Cocos2d templates before installing the new one but cannot find the templates to delete. I have looked at a number of web comments on this such as Uninstall Cocos2D ans another uninstall example but to no avail. However, I still see Cocos2d in my Xcode (4.5) framework. I have been searching my directories but cannot find it. Is there anyone out there who can give me a hint where to find it so i can delete in?

    Read the article

  • How to sort time column by value instead of alphabetically

    - by Turch
    I'm creating a pivot table by connecting to an SSAS tabular model (Data - From Other Sources - From Analysis Services) . The model has a "time" column that I want to sort by. The default (database) sorting is earliest to latest: When I click the triangle next to 'Row Labels' and select "Sort A to Z", I get alphabetically sorted times: How can I get the times to sort by time? Changing the number format from "General" to "Time" does nothing. The times aren't stored as text either - the data type of the column in the SSAS model is Auto (Date)

    Read the article

  • Using pivot tables to group transactions

    - by andreas
    I have my bank account statement and what I would like to do is group the descriptions of the transactions together with their debit or credit and sum their total. I could then see that, e.g., for ebay.com my total debit was $2000, etc. Description Debit Credit A 1 B 1 A 1 B 1 C 1 D 1 A 1 What I want to do is use a pivot table Description Debit Credit A 3 B 2 C 1 D 1 I am no able to do that, as I can't group the description and have additional debit and credit columns -- I get them all in rows with blanks.

    Read the article

  • can I make Excel always open a delimited text file with "text" translation?

    - by khedron
    Hi there, Opening a tab-delimited data file in Excel to view & manipulate the data is a very common operation around here. However, by default Excel (2003/4 or 2007/8) will read the columns in a "General" format, which occasionally does terrible things like turning "1/2" into "2-Jan". Is there a way to tell Excel never to do this, but always process the values as Text, without going through the format wizard, selecting all of the columns, and doing it manually? Extra points if this works in both Mac and Windows versions of Excel.

    Read the article

  • How to Get from Here to There

    - by Tom Caldecott-Oracle
    Six Oracle OpenWorld Sessions to Help Transform Your Business You’re a bit cloudy on how to implement an enterprise resource planning (ERP), human capital management (HCM), or customer experience (CX) cloud environment. You want to make a move to improve the productivity of your employees with mobility.   Let Oracle Consulting be your guide at Oracle OpenWorld. You can choose from six conference sessions that focus on business transformation—for ERP, HCM, CX, analytics, mobility, and private cloud. Oracle Consulting experts and your industry peers will share insights, best-in-class methodologies, and critical lessons learned in transforming businesses with new solutions built on Oracle technology.  Learn more. And enjoy the journey.

    Read the article

  • Lookups targeting merged cells - only returning value for first row

    - by Ian
    I have a master worksheet which contains data that I wish to link to another 'summary' sheet using a lookup. However, some of the cells whose data I wish to include in the summary sheet are merged across two or more adjacent rows. To be clear, the 'primary' column A that I am using in my formula in order to identify the target row does not contain merged cells, but the column from which I wish to return a value does. I have tried VLOOKUP and INDEX+MATCH. The problem is that the data is only returned for the first row's key, and the others return zero (as though the cell in the target column were blank, where actually it is merged). I have tried inelegant ways around this, e.g. using IF statements to try to find the top row of the merged cell. However, these don't work well if the order of values in the summary sheet is different from that in the master sheet, as well as being messy. Can this be done?

    Read the article

  • Windows 7 Enterprise, Service Pack 1. Software MS Office Excel 2010

    - by user327560
    In Excel I understand there is no mechanism to customise & re-label the Rows & Columns (i.e. Renaming Col. A to some text like "Item Number" and so on. My question is regarding if it's possible to start Row Numbering at zero, or to determine a pre-allocated number of rows which contain my Headers, and then the first Row with the detail is infact seen as Row 1? Reason for question is I work multiple INternational Projects and we use Excel to trsack alot of activities & issues. Oddly, many people will refer to, for example "Point 7"... Some people mean the ID 7 (which I have the first Column dedicated to ID Number), some mean Excel Row 7, which infact could be really ID 3, or 4 from Col. A.... Any easy way or workaround to just use the Excel Row Numbers but select from when Row 1 is counted?

    Read the article

  • Creating a list based on a column

    - by MikkoP
    I need to create a dropdown list in sheet A based on the values in sheet B in column A. I clicked on the A column in B sheet and named it as Models. Then I clicked on the cell in sheet A where I wanted the list to be and selected Data -> Data validation -> Data validation. In the Settings page I selected List in the Allow section, checked Ignore blank and In-cell dropdown. In the Source section I inserted =Models. This way I get all the right values plus a lot of blank values. How do I prevent the blank lines from appearing in the list?

    Read the article

  • Hide/Unhide rows based on more than one cell value

    - by Mike
    Please help me I am using the following code to hide rows if cell values are 0: Private Sub Worksheet_Calculate() Dim LastRow As Long, c As Range Application.EnableEvents = False LastRow = Cells(Cells.Rows.Count, "I").End(xlUp).Row On Error Resume Next For Each c In Range("I9:I48") If c.Value = 0 Then c.EntireRow.Hidden = True ElseIf c.Value > 0 Then c.EntireRow.Hidden = False End If Next On Error GoTo 0 Application.EnableEvents = True End Sub It works perfectly, but I would like for the code to also check column K (the same range K9:K48) if both cells in a row are 0 then the row must be hidden. How can I change the code to do this?

    Read the article

  • Sum if ONLY all the cells have a value?

    - by Mike
    Hi I need to sum 9 cells of data, each one on a separate sheet, but always in the same location. I only want a figure returned when all the cells have data, even if it's a 0. But, if one of the cells is blank I want a blank return. I'm trying to get my head around, making it up actually, where the IFs and ISBLANK and SUMS would go. Any pointers would be greatly appreciated. SUM(IF(ISBLANK(RANGEA,OR(RANGEB),0,ALLRANGES))) Many thanks Michael

    Read the article

  • How to lookup a value in a table with multiple criteria

    - by php-b-grader
    I have a data sheet with multiple values in multiple columns. I have a qty and a current price which when multiplied out gives me the current revenue (CurRev). I want to use this lookup table to give me the new revenue (NewRev) from the new price but can't figure out how to do multiple ifs in a lookup. What I want is to build a new column that checks the "Product", "Tier" and "Location/State" and gives me the new price from the lookup table (above) and then multiply that by the qty. e.g. Data > Product, Tier, Location, Qty, CurRev, NewRev > Product1, Tier1, VIC, 2, $1000.00, $6000 (2 x $3000) > Product2, Tier3, NSW, 1, $100.00, $200 (1 x $200) > Product1, Tier3, SA, 5, $250.00, $750 (5 x $150) > Product3, Tier1, ACT, 5, $100.00, $500(5 x $100) > Product2, Tier3, QLD, 2, $150.00, $240 (2 x $240) Worst case, if I just get the new rate I can create another column

    Read the article

  • Insert blank row on two conditions

    - by lost_my_wallet_in_el_segundo
    I have a spreadsheet with a large number of rows. There are two rows grouped together (for each customer). In column A, the first row has an account number. The second row should be blank. The spreadsheet has lots of customers listed where there is no second row. I need to insert a blank line to create a second row for each customer that doesn't have one. Here is the VBA script I cobbled together, but it gets a syntax error. Sub Macro1() ' ' Macro1 Macro ' For myrow = 1 To Cells.Find("*", SearchOrder:=xlByRows, SearchDirection:=xlPrevious).Row If Cells(myrow, 1) <> "" and Cells(myrow+1, 1) <> "" Then Selection.Insert Shift:=xlDown, CopyOrigin:=xlFormatFromLeftOrAbove End Sub

    Read the article

  • 2014?6???OTN?????????????&????

    - by OTN-J Master
    ??????????????????????????????????????????????????????????????????????????????OTN????????Oracle Database????????????????!????????????????????????????????????????????????????????????????????????????????????·Oracle Database ???????????·??????~?????????????·Oracle Database 12c ?????????·Oracle Real Application Testing?????????????????????????DB?????????????????????????????????????????????????????????????(?!)?????????????!?????????Oracle Database ?????????????2014?6???OTN?????????????&???? [5/28??]???????? ?????? ????? 2014 6?10?(?)13:30~17:30 @ ??????????????IT??????????????????????????????????????????????????????????? ??????????????? ?????????????????????:??????????Internet of Things ??? Java ????:NTT???????M2M?????IoT?????????:?????????????/NEC?/????????????????????? ~???????????! -???????/?????????? ~6?18?(?)15:30 ~17:00 @ ?????????????????(???)6?18?(?)18:30~20:00 @ ?????????????????(???)Oracle10g???SQL????????????????????????????????Oracle???????·????????????????SQL?????????????????????SQL??????????????????????????????????????????????????????????????????????????~!!?????????????????????????~OracleDatabase12c??????????~? 6?18?(?)18:30 ~20:00 @ ?????????? ???? ???????Oracle Database 12c??????????????????????????????????????????????? ????·????·????????????????·???? Oracle Audit Vault and Database Firewall ?????????????????????????????????????????????????????????????????????????????ORACLE MASTER Bronze Oracle Database 12c ?????????????? 6?26?(?)14:30 ~ 16:30 @ ?????????? (??) ???24????????????? ORACLE MASTER??????????!ORACLEMASTER Bronze Oracle Database 12c????????????Bronze ???????????????ORACLE MASTER??????????????????ORACLE MASTER????????12c?????????????????????????

    Read the article

  • SQL*Plus??? - ??????????????(????? ???Tips-2)

    - by Yuichi.Hayashi
    script??????????????????????????SQL*Plus???????????????????SQL*Plus????????????????????????? ????????????????SQL*Plus???????????????????? SQL*Plus?-s????????????????????????????? ??????????????????????????????????? <-s??????????> $ sqlplus scott/tiger SQL*Plus: Release 11.2.0.1.0 Production on ? 12? 22 17:14:14 2010 Copyright (c) 1982, 2009, Oracle. All rights reserved. Oracle Database 11g Enterprise Edition Release 11.2.0.1.0 - Production With the Partitioning, Real Application Clusters, Automatic Storage Management, OLAP, Data Mining and Real Application Testing options ????????? SQL <-s???????????> $ sqlplus -s scott/tiger select sysdate from dual; SYSDATE -------- 10-12-22 exit $ (Written by Hiroyuki Nakaie)

    Read the article

< Previous Page | 166 167 168 169 170 171 172 173 174 175 176 177  | Next Page >