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  • Add inputs to more than one row in a cell array in matlab

    - by ZaZu
    Hi there, I would like to know how can I get certain inputs and put them in more than one row in the cell array ... I basically want an array that updates one input per row in ever loop. The loop is looped 30 times, so I want to have 30 rows and 2 columns ( x and y columns) I have this code : For N=1:30 . . . Binary = bwlabel(blacknwhite); s = regionprops(Binary,'centroid'); centroids = cat(1, s.Centroid); hold(imgca,'on') plot(imgca,centroids(1,1), centroids(1,2),'r*') . . . end I dont think this does what I want ... only the first row is updated in my loop .. So how can I create this cell array ? If you want more info please tell me and I will update it right away. Thanks !

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  • Limiting number of text lines in a table cell

    - by Kuzco
    I have a table cell where I need to limit the text to a max of two lines. I tried achieving this by placing an inner div with a limited height: div { border: 1px solid #EECCDD; width: 100px; height: 40px; overflow: hidden; } <div> <p>bla bla bla bla bla bla bla bla bla bla bla bla bla bla bla bla bla bla</p> </div> <div> <p>bla bla bla bla</p> </div> However, in this case the cells which have only one line of text are not vertically aligned to the middle. I know there are ways to vertically align a text within a div, but most of the ones I found seemed a bit complicated and/or hacky (like this one), and felt like a bit of an overkill. Is there a different way to effectively limit the number of lines inside the cell, or a simple way to align the text in the way I did it?

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  • Computer shutsdowns when trying to boot

    - by Zexanima
    I have an IBM ThinkCentre, and I was talking to someone on Skype when it suddenly just shutoff. When I rebooted it asked me to start windows normally or in safe mode, but as soon I choose an option (Any of them) it shuts back down. So I thought it was a problem with windows and tired booting from a Hirens disk, but same thing. I've been using this computer without problems for over a year know. Any idea's for me to try? Unfortunatly I don't have any powersupplies or extra RAM to switch out to try anything like that. EDIT I left it off for a while and it's booting to windows now. I would still like to know what might have been causing it to do that if you have any ideas.

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  • What is better to have more LUNs or more Storages

    - by skomak
    Hi, what is better to have - more LUNs or more Storages. Actually i have 1 storage ESXi per 1 LUN so there are about 15 LUNs and 15 storages. Now there is a kind of problem because the LUNs have different space allocated so if i remove 2 LUNs f.e. 1 2 3 4 [x] 6 [x] 8 9 (like that) i can't make 1 LUN from 5 and 7 pieces of free diskspace on IBM storage array. It's a first argument to not have a lot of LUNs. If i had to make only a few LUNs (about 3) and inside some Storage from ESXi would it be a better idea? For example for expanding storage capacity? i look for good solutions. Thanks in advance.

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  • Bound external Cisco CIGESM ports to a specific BladeServer

    - by Vinícius Ferrão
    We have an IBM BladeCenter with 14 blade servers and one external Cisco CIGESM for Ethernet connectivity. Since this hardware is a little old, we will use it for other services, and we want to run a pfSense instance on one of the blades. It's just an Firewall Appliance, but it needs two network interfaces: one for the WAN and the other one for LAN access. Our architecture works on top of static routes, we don't use NAT, so we got the WAN IP in one interface routing to the another one. The main problem is how to plug the WAN cable in one of the four external ports and make it exclusive to the blade server containing the firewall. And we also need an exit port that goes through a 3COM 4200G switch that makes the internal routing and VLAN separation. Thanks in advance

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  • Using VLOOKUP in Excel

    - by Mark Virtue
    VLOOKUP is one of Excel’s most useful functions, and it’s also one of the least understood.  In this article, we demystify VLOOKUP by way of a real-life example.  We’ll create a usable Invoice Template for a fictitious company. So what is VLOOKUP?  Well, of course it’s an Excel function.  This article will assume that the reader already has a passing understanding of Excel functions, and can use basic functions such as SUM, AVERAGE, and TODAY.  In its most common usage, VLOOKUP is a database function, meaning that it works with database tables – or more simply, lists of things in an Excel worksheet.  What sort of things?   Well, any sort of thing.  You may have a worksheet that contains a list of employees, or products, or customers, or CDs in your CD collection, or stars in the night sky.  It doesn’t really matter. Here’s an example of a list, or database.  In this case it’s a list of products that our fictitious company sells: Usually lists like this have some sort of unique identifier for each item in the list.  In this case, the unique identifier is in the “Item Code” column.  Note:  For the VLOOKUP function to work with a database/list, that list must have a column containing the unique identifier (or “key”, or “ID”), and that column must be the first column in the table.  Our sample database above satisfies this criterion. The hardest part of using VLOOKUP is understanding exactly what it’s for.  So let’s see if we can get that clear first: VLOOKUP retrieves information from a database/list based on a supplied instance of the unique identifier. Put another way, if you put the VLOOKUP function into a cell and pass it one of the unique identifiers from your database, it will return you one of the pieces of information associated with that unique identifier.  In the example above, you would pass VLOOKUP an item code, and it would return to you either the corresponding item’s description, its price, or its availability (its “In stock” quantity).  Which of these pieces of information will it pass you back?  Well, you get to decide this when you’re creating the formula. If all you need is one piece of information from the database, it would be a lot of trouble to go to to construct a formula with a VLOOKUP function in it.  Typically you would use this sort of functionality in a reusable spreadsheet, such as a template.  Each time someone enters a valid item code, the system would retrieve all the necessary information about the corresponding item. Let’s create an example of this:  An Invoice Template that we can reuse over and over in our fictitious company. First we start Excel… …and we create ourselves a blank invoice: This is how it’s going to work:  The person using the invoice template will fill in a series of item codes in column “A”, and the system will retrieve each item’s description and price, which will be used to calculate the line total for each item (assuming we enter a valid quantity). For the purposes of keeping this example simple, we will locate the product database on a separate sheet in the same workbook: In reality, it’s more likely that the product database would be located in a separate workbook.  It makes little difference to the VLOOKUP function, which doesn’t really care if the database is located on the same sheet, a different sheet, or a completely different workbook. In order to test the VLOOKUP formula we’re about to write, we first enter a valid item code into cell A11: Next, we move the active cell to the cell in which we want information retrieved from the database by VLOOKUP to be stored.  Interestingly, this is the step that most people get wrong.  To explain further:  We are about to create a VLOOKUP formula that will retrieve the description that corresponds to the item code in cell A11.  Where do we want this description put when we get it?  In cell B11, of course.  So that’s where we write the VLOOKUP formula – in cell B11. Select cell B11: We need to locate the list of all available functions that Excel has to offer, so that we can choose VLOOKUP and get some assistance in completing the formula.  This is found by first clicking the Formulas tab, and then clicking Insert Function:   A box appears that allows us to select any of the functions available in Excel.  To find the one we’re looking for, we could type a search term like “lookup” (because the function we’re interested in is a lookup function).  The system would return us a list of all lookup-related functions in Excel.  VLOOKUP is the second one in the list.  Select it an click OK… The Function Arguments box appears, prompting us for all the arguments (or parameters) needed in order to complete the VLOOKUP function.  You can think of this box as the function is asking us the following questions: What unique identifier are you looking up in the database? Where is the database? Which piece of information from the database, associated with the unique identifier, do you wish to have retrieved for you? The first three arguments are shown in bold, indicating that they are mandatory arguments (the VLOOKUP function is incomplete without them and will not return a valid value).  The fourth argument is not bold, meaning that it’s optional:   We will complete the arguments in order, top to bottom. The first argument we need to complete is the Lookup_value argument.  The function needs us to tell it where to find the unique identifier (the item code in this case) that it should be retuning the description of.  We must select the item code we entered earlier (in A11). Click on the selector icon to the right of the first argument: Then click once on the cell containing the item code (A11), and press Enter: The value of “A11” is inserted into the first argument. Now we need to enter a value for the Table_array argument.  In other words, we need to tell VLOOKUP where to find the database/list.  Click on the selector icon next to the second argument: Now locate the database/list and select the entire list – not including the header line.  The database is located on a separate worksheet, so we first click on that worksheet tab: Next we select the entire database, not including the header line: …and press Enter.  The range of cells that represents the database (in this case “’Product Database’!A2:D7”) is entered automatically for us into the second argument. Now we need to enter the third argument, Col_index_num.  We use this argument to specify to VLOOKUP which piece of information from the database, associate with our item code in A11, we wish to have returned to us.  In this particular example, we wish to have the item’s description returned to us.  If you look on the database worksheet, you’ll notice that the “Description” column is the second column in the database.  This means that we must enter a value of “2” into the Col_index_num box: It is important to note that that we are not entering a “2” here because the “Description” column is in the B column on that worksheet.  If the database happened to start in column K of the worksheet, we would still enter a “2” in this field. Finally, we need to decide whether to enter a value into the final VLOOKUP argument, Range_lookup.  This argument requires either a true or false value, or it should be left blank.  When using VLOOKUP with databases (as is true 90% of the time), then the way to decide what to put in this argument can be thought of as follows: If the first column of the database (the column that contains the unique identifiers) is sorted alphabetically/numerically in ascending order, then it’s possible to enter a value of true into this argument, or leave it blank. If the first column of the database is not sorted, or it’s sorted in descending order, then you must enter a value of false into this argument As the first column of our database is not sorted, we enter false into this argument: That’s it!  We’ve entered all the information required for VLOOKUP to return the value we need.  Click the OK button and notice that the description corresponding to item code “R99245” has been correctly entered into cell B11: The formula that was created for us looks like this: If we enter a different item code into cell A11, we will begin to see the power of the VLOOKUP function:  The description cell changes to match the new item code: We can perform a similar set of steps to get the item’s price returned into cell E11.  Note that the new formula must be created in cell E11.  The result will look like this: …and the formula will look like this: Note that the only difference between the two formulae is the third argument (Col_index_num) has changed from a “2” to a “3” (because we want data retrieved from the 3rd column in the database). If we decided to buy 2 of these items, we would enter a “2” into cell D11.  We would then enter a simple formula into cell F11 to get the line total: =D11*E11 …which looks like this… Completing the Invoice Template We’ve learned a lot about VLOOKUP so far.  In fact, we’ve learned all we’re going to learn in this article.  It’s important to note that VLOOKUP can be used in other circumstances besides databases.  This is less common, and may be covered in future How-To Geek articles. Our invoice template is not yet complete.  In order to complete it, we would do the following: We would remove the sample item code from cell A11 and the “2” from cell D11.  This will cause our newly created VLOOKUP formulae to display error messages: We can remedy this by judicious use of Excel’s IF() and ISBLANK() functions.  We change our formula from this…       =VLOOKUP(A11,’Product Database’!A2:D7,2,FALSE) …to this…       =IF(ISBLANK(A11),”",VLOOKUP(A11,’Product Database’!A2:D7,2,FALSE)) We would copy the formulas in cells B11, E11 and F11 down to the remainder of the item rows of the invoice.  Note that if we do this, the resulting formulas will no longer correctly refer to the database table.  We could fix this by changing the cell references for the database to absolute cell references.  Alternatively – and even better – we could create a range name for the entire product database (such as “Products”), and use this range name instead of the cell references.  The formula would change from this…       =IF(ISBLANK(A11),”",VLOOKUP(A11,’Product Database’!A2:D7,2,FALSE)) …to this…       =IF(ISBLANK(A11),”",VLOOKUP(A11,Products,2,FALSE)) …and then copy the formulas down to the rest of the invoice item rows. We would probably “lock” the cells that contain our formulae (or rather unlock the other cells), and then protect the worksheet, in order to ensure that our carefully constructed formulae are not accidentally overwritten when someone comes to fill in the invoice. We would save the file as a template, so that it could be reused by everyone in our company If we were feeling really clever, we would create a database of all our customers in another worksheet, and then use the customer ID entered in cell F5 to automatically fill in the customer’s name and address in cells B6, B7 and B8. If you would like to practice with VLOOKUP, or simply see our resulting Invoice Template, it can be downloaded from here. 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  • Using a cell phone as a PC remote control

    - by Mahmoud Hossam
    I have a sony ericsson phone that can control any PC using bluetooth, as long as it has permission to do so, of course. It doesn't require any server software of any kind, it just works out of the box with any PC (or mac) that is bluetooth enabled. Is there any program I could use that has the same functionality? I don't want to install anything on the PC, I just want to be able to use the program installed on the phone. I prefer Java ME/Android/Symbian apps, I don't have an iPhone.

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  • Excel 2007 - How can I write "use this cell" or IF BLANK "use this cell"?

    - by Mike
    I am trying to show the Days between NOW() and the dates (dd/mm/yy) in, either Column B or Column C - depending which one is NOT blank A B C 29/03/10 01/04/10 29/03/10 02/04/10 29/03/10 30/04/10 29/03/10 31/03/10 29/03/10 03/04/10 I currently have the formaul below and then drag it down, but it obviously means I need to go back and amend the 'errors'. =DAYS360(A1,B1) I always forget how to nest this type of NULL/BLANK thing so any help, or pointers to remember would be appreciated. Thanks Mike

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  • Automatically insert Cell References from one Sheet into other Sheet in OOO Calc

    - by user123456
    I have a spreadsheet in Open Office 3.0 Calc. The spreadsheets consist of the first sheet and an arbitrary number of additional sheets, each collecting data for a specific month. The Month sheets have an identical structure. The first sheet is supposed to provide an overview to the most important numbers in the month sheets. What I would like to do is this: Whenever I add a Month sheet, I want it to appear automatically in the Overview sheet with the structure given below. So, for each Month sheet, copy or reference some of the cells into the Overview sheet: {Referenced Sheet Name} | Fixed Header1 | Fixed Header2 | Fixed Header3 Fixed Label 1 | {CellRef 1} | {CellRef 2} | {CellRef 3} Fixed Label 2 | {CellRef 4} | {CellRef 5} | {CellRef 6} I know how do to this for just one sheet by hand, but I have no clue how to make OOO do this automatically for me. Is it possible at all? Any help appreciated. Thanks.

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  • Changing the cell range of conditional formatting in LibreOffice Calc

    - by Simon Lundberg
    Is there any way of changing the range of conditional formatting in LibreOffice Calc (version 3.6)? I have a set applied already to a range of cells, but there is no obvious way of changing which cells a given set of conditional formatting is applied to. I either have to copy and paste the formatting, which results in multiple entries in the conditional formatting (which makes it difficult to manage), or delete the entire thing and create a new one every single time I want to change the range of cells. Is there a better way? link to screenshot

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  • Automatically insert cell references from one sheet into other in Calc

    - by user123456
    I have spreadsheets in OpenOffice.org Calc that consist of the first sheet and an arbitrary number of additional sheets, each collecting data for a specific month. The Month sheets have an identical structure. The first sheet is supposed to provide an overview to the most important numbers in the month sheets. Whenever I add a Month sheet, I want it to appear automatically in the Overview sheet with the structure given below. So, for each Month sheet, copy or reference some of the cells into the Overview sheet: {Referenced Sheet Name} | Fixed Header1 | Fixed Header2 | Fixed Header3 Fixed Label 1 | {CellRef 1} | {CellRef 2} | {CellRef 3} Fixed Label 2 | {CellRef 4} | {CellRef 5} | {CellRef 6} I know how do to this for just one sheet by hand, but I have no clue how to make Calc do this automatically for me. Is it possible at all? Any help appreciated.

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  • Excel - Referring to a certain cell based off of data in another

    - by Ethan Brouwer
    I have a spreadsheet where there is one table with the headings: Coordinate, Lat, Long Another with headings Triangle, Coordinate 1, Coordinate 2, Coordinate 3, Area What this is for, is taking the triangles formed by the specified three coordinates' area based off of Girard's theorem, as they are all spherical triangles. I need to take the specific latitude and longitude values from the first table based on the coordinate numbers underneath the three coordinate headings in the second table. I hope this makes sense. Here are pictures detailing what the two tables look like: Table 1 Table 2 Thanks in advance. And I really do hope this makes sense.

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  • How to read cell data in excel and output to command prompt

    - by Max Ollerenshaw
    Hi All, I'm a sys admin and I am trying to learn how to use powershell... I have never done any type of scripting or coding before and I have been teaching myself online by learning from the technet script centre and online forums. What I am trying to accomplish is to open an excel spreadsheet get information from it (usernames and password) and then output it into the command prompt in powershell. When ever I try to do this I get an Exception calling "InvokeMember" anyway, here is the code I have so far: function Invoke([object]$m, [string]$method, $parameters) { $m.PSBase.GetType().InvokeMember( $method, [Reflection.BindingFlags]::InvokeMethod, $null, $m, $parameters,$ciUS ) } $ciUS = [System.Globalization.CultureInfo]'en-US' $objExcel = New-Object -comobject Excel.Application $objExcel.Visible = $False $objExcel.DisplayAlerts = $False $objWorkbook = Invoke $objExcel.Workbooks.Open "C:\PS\User Data.xls" Write-Host "Numer of worksheets: " $objWorkbook.Sheets.Count $objWorksheet = $objWorkbook.Worksheets.Item(1) Write-Host "Worksheet: " $objWorksheet.Name $Forename = $objWorksheet.Cells.Item(2,1).Text $Surname = $objWorksheet.Cells.Item(2,2).Text Write-Host "Forename: " $Forename Write-Host "Surname: " $Surname $objExcel.Quit() If (ps excel) { kill -name excel} I have read many different posts on forums and articles on how to try and get around the en-US problem but I cannot seem to get around it and hope that someone here can help! Here is the Exeption problem I mentioned: Exception calling "InvokeMember" with "6" argument(s): "Method 'System.Management.Automation.PSMethod.C:\PS\User Data.x ls' not found." At C:\PS\excel.ps1:3 char:33 + $m.PSBase.GetType().InvokeMember <<<< ( + CategoryInfo : NotSpecified: (:) [], MethodInvocationException + FullyQualifiedErrorId : DotNetMethodException Numer of worksheets: You cannot call a method on a null-valued expression. At C:\PS\excel.ps1:18 char:45 + $objWorksheet = $objWorkbook.Worksheets.Item <<<< (1) + CategoryInfo : InvalidOperation: (Item:String) [], RuntimeException + FullyQualifiedErrorId : InvokeMethodOnNull Worksheet: You cannot call a method on a null-valued expression. At C:\PS\excel.ps1:21 char:37 + $Forename = $objWorksheet.Cells.Item <<<< (2,1).Text + CategoryInfo : InvalidOperation: (Item:String) [], RuntimeException + FullyQualifiedErrorId : InvokeMethodOnNull You cannot call a method on a null-valued expression. At C:\PS\excel.ps1:22 char:36 + $Surname = $objWorksheet.Cells.Item <<<< (2,2).Text + CategoryInfo : InvalidOperation: (Item:String) [], RuntimeException + FullyQualifiedErrorId : InvokeMethodOnNull Forename: Surname: This is the first question I have ever asked, try to be nice! :)) Many Thanks Max

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  • Conditional formatting

    - by djerry
    I have a rather annoying format I need to implement. There are 2 cells, both containing a date (cell A and B). B contains a date (24-06-2011). Cell B should be colored if cell A is between a date range, based on cell B. So if cell A lies between cell B - 7 days and cell B - 11 days, then it should be triggered. So with numbers: If B is 24-06-2011 then the range (which is not in any cell in the spreadsheet) is 13-06-2011 until 17-06-2011. If the date in cell A (let's say 14-06-2011) is in that range, cell B should be colored. Any ideas?

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  • How to sum cells depending on the content of a neighbor cell

    - by dannymcc
    I have an Excel document with the following columns; Date | Reference | Amount 23/01/11 | 111111111 | £20.00 25/09/11 | 222222222 | £30.00 11/11/11 | 111111111 | £40.00 01/04/11 | 333333333 | £10.00 31/03/11 | 333333333 | £33.00 20/03/11 | 111111111 | £667.00 21/11/11 | 222222222 | £564.00 I am trying to find a way of summarising the content in the following way; Reference : 111111111 Total: £727 So far the only way I have been able to achieve this is to filter the list by each reference number (manually) and then add a simple SUM formula to the bottom of the list of amounts. Are there any tricks that anyone knows that may speed this up? What I am trying to achieve is a spreadsheet that highlights each reference number that collectively exceeds over £2,000.

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  • Find a Certain Cell based on other Cells in Excel/Calc

    - by user77325
    I have a spreadsheet: Beans B-kg Chips C-kg 1.4oz/12 0.47544 6.5oz/20 3.679 1.48oz/12 0.502608 7oz/12 2.3772 1.86oz/12 0.631656 8oz/20 4.528 and a second sheet: Category Name Case Kg Beans 1.4oz/12 ? Beans 1.48oz/12 ? Chips 6.5oz/20 ? I am trying to match the type of product with the correct weight. So I need a formula that will choose the correct column based on the Category and then choose the correct row based on the name and output the result next to it.

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  • How to reference a cell in a external excel file based on a variable?

    - by Totty
    Hy I have a Excel File (a) and a cell into it that is equal to another cell in another file (b); The of the (b) excel file is "2010 something"; Now The cell (c) is ='[2010 something.xls]test'!$K$224 What I want is to make a variable that mantains the year and will be stored into a cell Then the cell (c) will change its reference based on the year; So in 2011 instead of looking for the 2010 something.xls will be looking for the 2011 something.xls How to do it? thanks

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  • formatting a column based on another columns cell TEXT not value in excel

    - by lisa
    I have dates that are running off a formula in that column based on information it is collecting from other worksheets. I have another column that lists text answers based on a different formula that that column is running. It is a customer list that runs with names going down page and multiple columns of information for each client running across page What i want to do is: If column j says "paid" then turn column m - same row - a color or border or something I will repeat this formula for the various things that j can say, just cant figure out how to make conditional formatting read j to change m. To complicate things, in addition to the formula running to collect the date in m, there is also a conditional format set up for m that changes the color of the cells after a certain date. I want to be able to keep that formula, in addition to the one that you are assisting with...i will use highlighting, or something different to avoid any conflicts.

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  • Set an Excel cell's color based on multiple other cells' colors

    - by Lord Torgamus
    I have an Excel 2007 spreadsheet for a list of products and a bunch of factors to rate each one on, and I'm using Conditional Formatting to set the color of the cells in the individual attribute columns. It looks something like this: I want to fill in the rating column for each item with a color, based on the color ratings of its individual attributes. Examples of ways to determine this: the color of the category in which the item scored worst the statistical mode of the category colors the average of the category ratings, where each color is assigned a numerical value How can I implement any or all of the above rules? (I'm really just asking for a quick overview of the relevant Excel feature; I don't need step-by-step instructions for each rule.)

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  • Excel - create a list from each cell of a sheet range

    - by CharlesB
    I have a bunch of sheets in my workbook, in each one there is an email address at B6. What I want to do is to make a list with all the email addresses. I'm familiar with sheet range (all my sheets are between a sheet "first" and a sheet "last"), so I can do something like first:last!B6 to refer to the range. But what is the formula?

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  • Word 2007 cell formatting

    - by Michelle Grant
    I have created a form template in Word 2007 which include various fields. Some of the fields are to show time (i.e. 15:47:32). I've set the text field properties as "Date" HH:mm:ss. The trouble arises when the form is them completed. If I input 15.47.32 it correctly reverts to 15:47:32 but if I input 12.12.31 it reverts to 00:00:00. This also happens if I input 12:12:32. Please help as I've looked at this all afternoon now and it's driving me insane

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  • How to convert excel individual cell values to percentage change values over time

    - by cgalloway
    I have two years of excel data showing daily share prices of a particular stock. I want to change those values to show percentage change (on a daily basis) from the zero date (ie the first day of the two year period). I know that the formula for showing daily percentage change would be (second day/first day -1) and that I can click and drag on that formula to extend over the rest of the two-year time period. The formula I want would be, basically, (each day/first day-1). Is there an easy way to automate the script so I dont have to type it out 730 times?

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