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  • What are common anti-patterns when using VBA

    - by Ahmad
    I have being coding a lot in VBA lately (maintenance and new code), specifically with regards to Excel automation etc. = macros. Typically most of this has revolved around copy/paste, send some emails, import some files etc. but eventually just ends up as a Big ball of mud As a person who values clean code, I find it very difficult to produce 'decent' code when using VBA. I think that in most cases, this is a direct result of the macro-recorder. Very helpful to get you started, but most times, there are one too many lines of code that achieve the end result. Edit: The code from the macro-recorder is used as a base to get started, but is not used in its entirety in the end result I have already created a common addin that has my commonly used subroutines and some utility classes in an early attempt to enforce some DRYness - so this I think is a step in the right direction. But I feel as if it's a constant square peg, round hole situation. The wiki has an extensive list of common anti-patterns and what scared me the most was how many I have implemented in one way or another. The question Now considering, that my mindset is OO design, what some common anti-patterns and the possible solutions when designing a solution (think of this - how would designing a solution using Excel and VBA be different from say a .net/java/php/.../ etc solution) ; and when doing common tasks like copying data, emailing, data importing, file operations... etc An anti-pattern as defined by Wikipedia is: In software engineering, an anti-pattern (or antipattern) is a pattern that may be commonly used but is ineffective and/or counterproductive in practice

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  • Copy Selective Data from Database to Invoice, Based on Certain Criteria

    - by Scott
    For starters, here is an example of a microsoft excel database I am working with: Month/Address/Name/Description/Amount January/123 Street/Fred/Painting/100 January/456 Avenue/Scott/Flooring/400 January/789 Road/Scott/Plumbing/100 February/123 Street/Fred/Flooring/600 February/246 Lane/Fred/Electrical/300 March/789 Road/Scott/Drywall/150 What I want to be able to do is selectively copy info from this databse to invoices (also excel). The invoice has three columns: Address/Description/Amount. I want to be able to automatically fill the invoices in as the database is filled in (either automatically, or if I have to actually manually run the macro to do it, that might be fine). Each name (Scott, Fred, etc.) will have their own set of 12 invoices for the year. So, e.g., I want to be able to produce a January invoice for all work done for Scott in January, showing the address, the description and the amount, line by line. So every time work on Scott's address(es) is done, the database is filled in, and i want it to "send" that information to the invoice on the next available line, filling in only the Address/Description/Amount columns from the database. Fred's invoice should fill in as any work is done on Fred's addresses. And once the month changes, the next invoice should start filling in. So first I need to filter the data by the month and the name (and there is actually one more column to filter by, but let's keep this example simpler). Then I need to list the remaining data on the invoice, but only certain cells from the rows that are now left. Help anyone?

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  • Copy data from different worksheet to a master worksheet but no duplicates

    - by sam
    hi all, i want to clarify my initial question for a possible solutions from any savior out there. Say i have 3 excel sheets one for each user for data entry located in separate workbooks to avoid excel share workbook problems. I also have a master sheet in another workbook where i want individual data enter on those sheets precisely sheets 1 should copy to the next available row of sheet 1 in the master sheet as the users enter them. i need a vba code that can copy each record without copying a duplicate row in the master sheet but highlight the duplicate row and lookup the initial record in a master sheet and return the name of the Imputer looking up the row say column ( I) where each user sign there initials after every row of entry like below. All 4 worksheets are formatted as below: lastname account cardno. type tran amount date location comments initials JAME 65478923 1975 cash 500 4/10/2010 miles st. this acct is resolve MLK BEN 52436745 1880 CHECK 400 4/12/2010 CAREY ST Ongoing investigation MLK JAME 65478923 1975 cash 500 4/10/2010 miles st. this acct is resolve MLK I need the vba to recognize duplicates only if the account number and the card number matches the initial records. So if the duplicates exist a pop up message should be display that a duplicates exist and return the initial Imputer say MLK in COLUMN( I) to any user inputting in the individual worksheets other than warehouse sheets (master). So please any idea will be appreciated.

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  • Event based scheduling in excel

    - by andreas
    Hey fellas! Where i am working we have a number of contractor programmers. We handle the requirements and the project management of our products. I have been trying using various project timing and estimations techniques but cant get the hang of it yet. I have read Joel's evidence based scheduling and i was wondering if there's anything out there that can help me apply that theory? not looking for complex software but perhaps something in excel? Any help will be appreciated Andreas

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  • Internet Explorer shows error when downloading excel file in SSL site

    - by Billy
    I get the following error when downloading excel file in SSL site: Internet Explorer cannot download xxxx.aspx from mysite.com. Internet Explorer was not able to open this Internet site. The requested site is either unavailable or cannot be found. Please try again later. After googling, I suspect that it's the problem of the response header. I try the solution in this page and set the header: http://trac.edgewall.org/ticket/1020 HttpContext.Current.Response.AddHeader("Pragma", "no-cache"); HttpContext.Current.Response.CacheControl = "private"; But it doesn't work. Any suggestions?

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  • Why won't jqGrid won't populate initially in Chrome

    - by Maxm007
    Hi, I've got a web page with a jqGrid that uses am xmlreader to populate itself with data that is spat out by a RoR service. The page loads fine in firefox and safari. In Chrome however I get a blank grid. Only when I change the sort order by clicking on the columns does it populate. <html> <head> <title>LocalFx</title> <link href="/stylesheets/main.css?1271423251" media="screen" rel="stylesheet" type="text/css" /> <link href="/stylesheets/redmond/jquery-ui-1.8.custom.css?1271404544" media="screen" rel="stylesheet" type="text/css" /> <link href="/stylesheets/ui.jqgrid.css?1265561560" media="screen" rel="stylesheet" type="text/css" /> <script src="/javascripts/jquery-1.3.2.min.js?1259426008" type="text/javascript"></script> <script src="/javascripts/i18n/grid.locale-en.js?1266140090" type="text/javascript"></script> <script src="/javascripts/jquery.jqGrid.min.js?1271437772" type="text/javascript"></script> <script type="text/javascript"> jQuery().ready(function() { jQuery("#list").jqGrid({ xmlReader: { root:"contracts", row:"contract", repeatitems:false, id:"id" }, jsonReader: { repeatitems:false, root:"contracts" }, datatype: 'xml', url:'http://localhost:3000/contracts/index/all.xml', mtype: 'GET', colNames:['User','B/S', 'Currency', 'Amount', 'Rate'], colModel :[ {name:'user', index:'username', width:100 , xmlmap:'user>username'} , {name:'side', index:'side', width:100 , xmlmap:'side'} , {name:'currency', index:'ccy', width:100 , xmlmap:'currency>ccy'} , {name:'amount', index:'amount', width:100 , xmlmap:'amount'}, {name:'rate', index:'rate', width:100 , xmlmap:'exchange-rate>rate'} ], pager: jQuery('#pager'), caption: 'Contracts', sortname: 'side', sortorder: "asc", viewrecords:true, rowNum:10, rowList:[10,20,30] }); $("#list").trigger("reloadGrid") }); </script> </head> <body> <table id="list" align="center" class="scroll"></table> <div id="pager" class="scroll" style="text-align:center;"></div> </body> </html> This is the xml: <contracts type="array"> <contract> <amount type="float">1000.0</amount> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <currency-id type="integer">488525179</currency-id> <id type="integer">18277852</id> <side>BUY</side> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> <user-id type="integer">830138774</user-id> <exchange-rate> <contract-id type="integer">18277852</contract-id> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <denccy-id type="integer">890731696</denccy-id> <id type="integer">419011264</id> <numccy-id type="integer">488525179</numccy-id> <rate type="float">1.3</rate> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> </exchange-rate> <user> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <id type="integer">830138774</id> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> <username>John Doe</username> </user> <currency> <ccy>EUR</ccy> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <id type="integer">488525179</id> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> </currency> </contract> <contract> <amount type="float">500.0</amount> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <currency-id type="integer">890731696</currency-id> <id type="integer">716237132</id> <side>SELL</side> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> <user-id type="integer">830138774</user-id> <exchange-rate> <contract-id type="integer">716237132</contract-id> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <denccy-id type="integer">890731696</denccy-id> <id type="integer">861902380</id> <numccy-id type="integer">488525179</numccy-id> <rate type="float">1.3</rate> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> </exchange-rate> <user> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <id type="integer">830138774</id> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> <username>John Doe</username> </user> <currency> <ccy>GBP</ccy> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <id type="integer">890731696</id> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> </currency> </contract> </contracts>

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  • Exponential regression : p-value and F significance

    - by Saravanan K
    I am new to statistics. I have a set of independent data and dependent data (X,Y), where I would like to do an exponential regression to obtain its p-value and significant F (already obtained R2 and also the coefficients through mathematical calculation). What is the natural evolution from the (X,Y) data to mathematically calculate those variables. Spent a week on the internet to study this but unable to find the right answer. Often an exponential data, y=be^(mx) will be converted first to a linear data, ln y = mx + ln b . Then a linear regression will done on the converted data, obtaining its p-value etc. Assume we use a statistical tool such as Excel's Analysis ToolPak: Data Analysis : Regression, it will produce a result such as below, I believe the p-value and Significant F value is representing the converted linear data and not the original exponential data. Questions: What is the approach/steps used by Excel to get the p-value and Significant F value for the converted linear data as shown in the statistic output in the image above? It is not clear in their help page or website. Can the p-value and Significant F could be mathematically calculated for exponential regression without using a statistical tool? Can you assist to point me to the right link if this has been answered before.

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  • Getting "[Microsoft][ODBC SQL Server Driver][SQL Server]Incorrect syntax near 'Microsoft.'

    - by brohjoe
    Hi Experts, I'm getting an error, "[Microsoft][ODBC SQL Server Driver][SQL Server]Incorrect syntax near 'Microsoft.' Here is the code: Dim conn As ADODB.Connection Dim rst As ADODB.Recordset Dim stSQL As String Public Sub loadData() 'This was set up using Microsoft ActiveX Data Components version 6.0. 'Create ADODB connection object, open connection and construct the connection string object which is the DSN name. Set conn = New ADODB.Connection conn.ConnectionString = "sql_server" conn.Open 'conn.Execute (strSQL) On Error GoTo ErrorHandler 'Open Excel and run query to export data to SQL Server. strSQL = "SELECT * INTO SalesOrders FROM OPENDATASOURCE(Microsoft.ACE.OLEDB.12.0;" & _ "Data Source=C:\Workbook.xlsx;" & _ "Extended Properties=Excel 12.0; [Sales Orders])" conn.Execute (strSQL) 'Error handling. ErrorExit: 'Reclaim memory from the cntection objects Set rst = Nothing Set conn = Nothing Exit Sub ErrorHandler: MsgBox Err.Description, vbCritical Resume ErrorExit 'clean up and reclaim memory resources. conn.Close If CBool(cnt.State And adStateOpen) Then Set rst = Nothing Set conn = Nothing End If End Sub

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  • How to automatically read in calculated values with PHPExcel?

    - by Edward Tanguay
    I have the following Excel file: I read it in by looping over every cell and getting the value with getCell(...)->getValue(): $highestColumnAsLetters = $this->objPHPExcel->setActiveSheetIndex(0)->getHighestColumn(); //e.g. 'AK' $highestRowNumber = $this->objPHPExcel->setActiveSheetIndex(0)->getHighestRow(); $highestColumnAsLetters++; for ($row = 1; $row < $highestRowNumber + 1; $row++) { $dataset = array(); for ($columnAsLetters = 'A'; $columnAsLetters != $highestColumnAsLetters; $columnAsLetters++) { $dataset[] = $this->objPHPExcel->setActiveSheetIndex(0)->getCell($columnAsLetters.$row)->getValue(); if ($row == 1) { $this->column_names[] = $columnAsLetters; } } $this->datasets[] = $dataset; } However, although it reads in the data fine, it reads in the calculations literally: I understand from discussions like this one that I can use getCalculatedValue() for calculated cells. The problem is that in the Excel sheets I am importing, I do not know beforehand which cells are calculated and which are not. Is there a way for me to read in the value of a cell in a way that automatically gets the value if it has a simple value and gets the result of the calculation if it is a calculation? Answer: It turns out that getCalculatedValue() works for all cells, makes me wonder why this isn't the default for getValue() since I would think one would usually want the value of the calculations instead of the equations themselves, in any case this works: ...->getCell($columnAsLetters.$row)->getCalculatedValue();

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  • Why won't jqGrid populate initially in Chrome

    - by Maxm007
    Hi, I've got a web page with a jqGrid that uses am xmlreader to populate itself with data that is spat out by a RoR service. The page loads fine in firefox and safari. In Chrome however I get a blank grid. Only when I change the sort order by clicking on the columns does it populate. <html> <head> <title>LocalFx</title> <link href="/stylesheets/main.css?1271423251" media="screen" rel="stylesheet" type="text/css" /> <link href="/stylesheets/redmond/jquery-ui-1.8.custom.css?1271404544" media="screen" rel="stylesheet" type="text/css" /> <link href="/stylesheets/ui.jqgrid.css?1265561560" media="screen" rel="stylesheet" type="text/css" /> <script src="/javascripts/jquery-1.3.2.min.js?1259426008" type="text/javascript"></script> <script src="/javascripts/i18n/grid.locale-en.js?1266140090" type="text/javascript"></script> <script src="/javascripts/jquery.jqGrid.min.js?1271437772" type="text/javascript"></script> <script type="text/javascript"> jQuery().ready(function() { jQuery("#list").jqGrid({ xmlReader: { root:"contracts", row:"contract", repeatitems:false, id:"id" }, jsonReader: { repeatitems:false, root:"contracts" }, datatype: 'xml', url:'http://localhost:3000/contracts/index/all.xml', mtype: 'GET', colNames:['User','B/S', 'Currency', 'Amount', 'Rate'], colModel :[ {name:'user', index:'username', width:100 , xmlmap:'user>username'} , {name:'side', index:'side', width:100 , xmlmap:'side'} , {name:'currency', index:'ccy', width:100 , xmlmap:'currency>ccy'} , {name:'amount', index:'amount', width:100 , xmlmap:'amount'}, {name:'rate', index:'rate', width:100 , xmlmap:'exchange-rate>rate'} ], pager: jQuery('#pager'), caption: 'Contracts', sortname: 'side', sortorder: "asc", viewrecords:true, rowNum:10, rowList:[10,20,30] }); $("#list").trigger("reloadGrid") }); </script> </head> <body> <table id="list" align="center" class="scroll"></table> <div id="pager" class="scroll" style="text-align:center;"></div> </body> </html> This is the xml: <contracts type="array"> <contract> <amount type="float">1000.0</amount> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <currency-id type="integer">488525179</currency-id> <id type="integer">18277852</id> <side>BUY</side> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> <user-id type="integer">830138774</user-id> <exchange-rate> <contract-id type="integer">18277852</contract-id> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <denccy-id type="integer">890731696</denccy-id> <id type="integer">419011264</id> <numccy-id type="integer">488525179</numccy-id> <rate type="float">1.3</rate> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> </exchange-rate> <user> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <id type="integer">830138774</id> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> <username>John Doe</username> </user> <currency> <ccy>EUR</ccy> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <id type="integer">488525179</id> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> </currency> </contract> <contract> <amount type="float">500.0</amount> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <currency-id type="integer">890731696</currency-id> <id type="integer">716237132</id> <side>SELL</side> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> <user-id type="integer">830138774</user-id> <exchange-rate> <contract-id type="integer">716237132</contract-id> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <denccy-id type="integer">890731696</denccy-id> <id type="integer">861902380</id> <numccy-id type="integer">488525179</numccy-id> <rate type="float">1.3</rate> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> </exchange-rate> <user> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <id type="integer">830138774</id> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> <username>John Doe</username> </user> <currency> <ccy>GBP</ccy> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <id type="integer">890731696</id> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> </currency> </contract> </contracts>

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  • How to automatically read in calculated values with PHPExcel?

    - by Edward Tanguay
    I have the following Excel file: I read it in by looping over every cell and getting the value with getCell(...)->getValue(): $highestColumnAsLetters = $this->objPHPExcel->setActiveSheetIndex(0)->getHighestColumn(); //e.g. 'AK' $highestRowNumber = $this->objPHPExcel->setActiveSheetIndex(0)->getHighestRow(); $highestColumnAsLetters++; for ($row = 1; $row < $highestRowNumber + 1; $row++) { $dataset = array(); for ($columnAsLetters = 'A'; $columnAsLetters != $highestColumnAsLetters; $columnAsLetters++) { $dataset[] = $this->objPHPExcel->setActiveSheetIndex(0)->getCell($columnAsLetters.$row)->getValue(); if ($row == 1) { $this->column_names[] = $columnAsLetters; } } $this->datasets[] = $dataset; } However, although it reads in the data fine, it reads in the calculations literally: I understand from discussions like this one that I can use getCalculatedValue() for calculated cells. The problem is that in the Excel sheets I am importing, I do not know beforehand which cells are calculated and which are not. Is there a way for me to read in the value of a cell in a way that automatically gets the value if it has a simple value and gets the result of the calculation if it is a calculation?

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  • Determining Excel spreadsheet format before Data Flow Task

    - by Josh Larsen
    I'm working on an SSIS package which uses a for each loop to iterate through excel files in a directory and a data flow task to import them. The issue I'm having is that the project manager I'm working with doesn't think the users will always follow the structure. So if a file is in the folder and the package tries to import it but the spreadsheet is missing columns or has extra columns it generates and error of course. Even though I have the task set to not fail the package; the package does indeed fail and then the other files aren't imported. So, I'm wondering what is the easiest way to either determine the spreadsheet is incorrectly formatted, or stop the error from failing the package execution? After taking said step I would just use a file copy task to move the file to a "Failure" folder. Then continue on processing the spreadsheets.

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  • Excel-like vertical and horizontal headers for android

    - by heru
    Hi all, I need to have excel-like headers. It means, that it has vertical headers (fixed horizontally), which can be scrolled vertically, and horizontal headers (fixed vertically), which can be scrolled horizontally. The contents should be scrollable both vertically and horizontally. To make it clear, I tried to 'draw' here. hor_header1 | hor_header2 | hor_header3 | ....... ver_header1 | content1_1 | content1_2 | content1_3 | ........... ver_header2 | content2_1 | content2_2 | content2_3 | ........ ver_header3 | content3_1 | content3_2 | content3_3 | ........... ....... | ........... | .......... | ........... So ver_header1,2,3 should be sticky when I scroll horizontally, and hor_header1,2,3 should be sticky when I scroll vertically How could I achieve this? Is it possible in android??? Thanks before. Heru

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  • Excel file reading with 2007 office connection string.

    - by p-vasuu
    Actually in my system having 2007 office then i am reading the 2003 .xls file with using the 2007 connection string string ConnectionString = "Provider=Microsoft.ACE.OLEDB.12.0;Data Source=" + Filename + ";Extended Properties=\"Excel 8.0;HDR=YES;\""; data is not reading. But if the first row first column data length is lessthen 255 then the following first columns data is cutting up to 255 character. If the First row first column is morethan the 255 character then the following first columns data is reading fine. Is there any back word computability is there?

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  • How can solve "Cross-thread operation not valid"?

    - by Phsika
    i try to start multi Thread but i can not it returns to me error: Cross-thread operation not valid: 'listBox1' thread was created to control outside access from another thread was. MyCodes: public DataTable dTable; public DataTable dtRowsCount; Thread t1; ThreadStart ts1; void ExcelToSql() { // SelectDataFromExcel(); ts1 = new ThreadStart(SelectDataFromExcel); t1 = new Thread(ts1); t1.Start(); } void SelectDataFromExcel() { string connectionString = @"Provider=Microsoft.ACE.OLEDB.12.0;Data Source=C:\Source\Addresses.xlsx;Extended Properties=""Excel 12.0;HDR=YES;"""; OleDbConnection excelConnection = new OleDbConnection(connectionString); string[] Sheets = new string[] { "Sayfa1"}; excelConnection.Open(); // This code will open excel file. OleDbCommand dbCommand; OleDbDataAdapter dataAdapter; // progressBar1.Minimum = 1; foreach (var sheet in Sheets) { dbCommand = new OleDbCommand("select * From[" + sheet + "$]", excelConnection); //progressBar1.Maximum = CountRowsExcel(sheet).Rows.Count; // progressBar2.Value = i + 1; System.Threading.Thread.Sleep(1000); **listBox1.Items.Add("Tablo ismi: "+sheet.ToUpper()+"Satir Adeti: "+CountRowsExcel(sheet).Rows.Count.ToString()+" ");** dataAdapter = new OleDbDataAdapter(dbCommand); dTable = new DataTable(); dataAdapter.Fill(dTable); dTable.TableName = sheet.ToUpper(); dTable.Dispose(); dataAdapter.Dispose(); dbCommand.Dispose(); ArrangedDataList(dTable); FillSqlTable(dTable, dTable.TableName); } excelConnection.Close(); excelConnection.Dispose(); }

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  • iPhone UIWebView: loadData does not work with certain types (Excel, MSWord, PPT, RTF)

    - by Thomas Tempelmann
    My task is to display the supported document types on an iPhone with OS 3.x, such as .pdf, .rtf, .doc, .ppt, .png, .tiff etc. Now, I have stored these files only encrypted on disk. For security reasons, I want to avoid storing them unencrypted on disk. Hence, I prefer to use loadData:MIMEType:textEncodingName:baseURL: instead of loadRequest: to display the document because loadData allows me to pass the content in a NSData object, i.e. I can decrypt the file in memory and have no need to store it on disk, as it would be required when using loadRequest. The problem is that loadData does not appear to work with all file types: Testing shows that all picture types seem to work fine, as well as PDFs, while the more complex types don't. I get a errors such as: NSURLErrorDomain Code=100 NSURLErrorDomain Code=102 WebView appears to need a truly working URL for accessing the documents as a file, despite me offering all content via the NSData object already. Here's the code I use to display the content: [webView loadData:data MIMEType:type textEncodingName:@"utf-8" baseURL:nil]; The mime-type is properly set, e.g. to "application/msword" for .doc files. Does anyone know how I could get loadData to work with all types that loadRequest supports? Or, alternatively, is there some way I can tell which types do work for sure (i.e. officially sanctioned by Apple) with loadData? Then I can work twofold, creating a temp unencrypted file only for those cases that loadData won't like. Update Looks like I'm not the first one running into this. See here: http://osdir.com/ml/iPhoneSDKDevelopment/2010-03/msg00216.html So, I guess, that's the status quo, and nothing I can do about it. Someone suggested a work-around which might work, though: http://osdir.com/ml/iPhoneSDKDevelopment/2010-03/msg00219.html Basically, the idea is to provide a tiny http server that serves the file (from memory in my case), and then use loadRequest. This is probably a bit more memory-intensive, though, as both the server and the webview will probably both hold the entire contents in memory as two copies then, as opposed to using loadData, where both would rather share the same data object. (Mind you, I'll have to hold the decrypted data in memory, that's the whole point here).

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  • Install MS Office on Windows Server 2008 - in support of Quickbooks RemoteApp

    - by steampowered
    How can I install MS Office on Windows Server 2008? The purpose would be to enable Quickbooks to be able to export to Excel. Quickbooks is set up to run as a RemoteApp in a Terminal Server environment. The Quickbooks applicaiton senses whether or not Excel is installed and will not allow the user to create an Excel report unless Excel is actually installed on the client running Quickbooks. Since the client and the server are the same machine in a Terminal Server environment, Excel must be installed on Windows Server for the Quickbooks Excel exporting feature to work in this setup. There is no need to actually use Excel in a Terminal Services environment. We only need to generate the Excel files using the server, then we can use an installed version Excel on a regular Windows 7 machine to work with the Excel file. MS Office does not normally install on Windows Server. Is there any way to buy a special license? Could we somehow fool Quickbooks into thinking Excel is installed, if that would work?

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  • SQL : where vs. on in join

    - by Erwin
    Perhaps a dumb question, but consider these 2 tables : T1 Store Year 01 2009 02 2009 03 2009 01 2010 02 2010 03 2010 T2 Store 02 Why is this INNER JOIN giving me the results I want (filtering the [year] in the ON clause) : select t1.* from t1 inner join t2 on t1.store = t2.store and t1.[year] = '2009' Store Year 02 2009 And why the LEFT OUTER JOIN include records of year 2010 ? select t1.* from t1 left outer join t2 on t1.store = t2.store and t1.year = '2009' where t2.store is null 01 2009 03 2009 01 2010 02 2010 03 2010 And I have to write the [year] filter in the 'WHERE' clause : select t1.* from t1 left outer join t2 on t1.store = t2.store where t2.store is null and t1.year = '2009' 01 2009 03 2009 Like I said, perhaps a dumb question, but it's bugging me !

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  • Import and Export data from SQL Server 2005 to XL Sheet

    - by SAMIR BHOGAYTA
    For uploading the data from Excel Sheet to SQL Server and viceversa, we need to create a linked server in SQL Server. Expample linked server creation: Before you executing the below command the excel sheet should be created in the specified path and it should contain the name of the columns. EXEC sp_addlinkedserver 'ExcelSource2', 'Jet 4.0', 'Microsoft.Jet.OLEDB.4.0', 'C:\Srinivas\Vdirectory\Testing\Marks.xls', NULL, 'Excel 5.0' Once you executed above query it will crate linked server in SQL Server 2005. The following are the Query from sending the data from Excel sheet to SQL Server 2005. INSERT INTO emp SELECT * from OPENROWSET('Microsoft.Jet.OLEDB.4.0', 'Excel 8.0;Database=C:\text.xls','SELECT * FROM [sheet1$]') The following query is for sending the data from SQL Server 2005 to Excel Sheet. insert into OPENROWSET('Microsoft.Jet.OLEDB.4.0', 'Excel 8.0;Database=c:\text.xls;', 'SELECT * FROM [sheet1$]') select * from emp

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  • Troubling starting new silverlight 4.0 project (in f#) from VS2010

    - by akaphenom
    I am trying to protoype a silverlight 4.0 project using F#, and am having issues getting it to install... the silverlight 4 tools for Visual Studio 2010 is barking at me: Installation Requirements: Visual Studio 2010 or Visual Web Developer Express 2010 or Visual Phone Developer Express 2010 that matches the language version of Silverlight Tools 4 must be installed before installation of Silverlight Tools can continue. Silverlight Tools is available in other languages at http://go.microsoft.com/fwlink/?LinkId=177432. VS INfo Microsoft Visual Studio 2010 Version 10.0.30128.1 RC1Rel Microsoft .NET Framework Version 4.0.30128 RC1Rel Installed Version: Professional Microsoft Visual F# 2010 01018-315-4422943-70575 Microsoft Visual F# 2010 Thank you in advance

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  • How Do I Loop Through a Date Range in Reverse?

    - by Russ Bradberry
    I have a date range that I would like to be able to loop through in reverse. Give the following, how would I accomplish this, the standard Range operator doesn't seem t be working properly. >> sd = Date.parse('2010-03-01') => Mon, 01 Mar 2010 >> ed = Date.parse('2010-03-05') => Fri, 05 Mar 2010 >> (sd..ed).to_a => [Mon, 01 Mar 2010, Tue, 02 Mar 2010, Wed, 03 Mar 2010, Thu, 04 Mar 2010, Fri, 05 Mar 2010] >> (ed..sd).to_a => [] as you can see, the range operator works properly form start to end, but not from end to start.

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  • Display continuous dates in Pivot Chart

    - by Douglas
    I have a set of data in a pivot table with date times and events. I've made a pivot chart with this data, and grouped the data by day and year, then display a count of events for each day. So, my horizontal axis goes from 19 March 2007 to 11 May 2010, and my vertical axis is numeric, going from zero to 140. For some days, I have zero events. These days don't seem to be shown on the horizontal axis, so 2008 is narrower than 2009. How do I display a count of zero for days with no events? I'd like my horizontal axis to be continuous, so that it does not miss any days, and every month ends up taking up the same amount of horizontal space. (This question is similar to the unanswered question here, but I'd rather not generate a table of all the days in the last x number of years just to get a smooth plot!)

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  • Exel Question: I need a date and time formula to convert between time zones

    - by Harold Nottingham
    Hello, I am trying to find a way to calculate a duration in days between my, time zone (Central), and (Pacific; Mountain; Eastern). Just do not know where to start. My criteria would be as follows: Cell C5:C100 would be the timestamps in this format:3/18/2010 23:45 but for different dates and times. Cell D5:D100 would be the corresponding timezone in text form: Pacific; Mountain; Eastern; Central. Cell F5 would be where the duration in days would need to be. Just not sure how to write the formula to give me what I am looking for. I appreciate any assistance in advance. Thanks

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  • Informix - Fetching Records from a table

    - by Pradeep
    Consider the below table Col1 Col2 Col3 123 ABC 20/5/2010 123 CDS 21/5/2010 123 VDS 22/5/2010 123 ABC 23/5/2010 123 VDS 24/5/2010 123 CDS 25/5/2010 123 ABC 26/5/2010 I need to fetch the first occurrence of CDS and calculate the time diff between the next row. Similarly I need to find out the next occurrence of CDS and calculate the time diff with the next row. This has to go on until there are no occurrences of CDS left in the table. Will be grateful if someone can help on this!!

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  • Display continious dates in Pivot Chart

    - by Douglas
    I have a set of data in a pivot table with date times and events. I've made a pivot chart with this data, and grouped the data by day and year, then display a count of events for each day. So, my horizontal axis goes from 19 March 2007 to 11 May 2010, and my vertical axis is numeric, going from zero to 140. For some days, I have zero events. These days don't seem to be shown on the horizontal axis, so 2008 is narrower than 2009. How do I display a count of zero for days with no events? I'd like my horizontal axis to be continuous, so that it does not miss any days, and every month ends up taking up the same amount of horizontal space. (This question is similar to the unanswered question here, but I'd rather not generate a table of all the days in the last x number of years just to get a smooth plot!)

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