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  • 'Situations gone wrong' for web apps...

    - by AvgJoe007
    Hi all I know there's some decent material floating around relating to more specific areas, but wanted to get some opinions from people who have had bad experiences in the past. I have a project where I can have a say on the design of a B2C web app, which has some external API interfaces. UX is crucial as is speed. Not sure what technology will be used at this stage. In designing this application, I want to make sure obvious features are not left out (i.e. ones that make maintenance/development easier). So can you guys tell me about 'situations gone wrong' that could have been avoided had more consideration taken place? Am looking to gather feedback in general, so don't worry if your example is industry/technology specific - so long as it pertains to web. Thanks for reading, I look forward to your responses!

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  • High Traffic Web Host Solution? [duplicate]

    - by Calsy
    Possible Duplicate: How to find web hosting that meets my requirements? Im currently shopping around for a web host for our website we are hoping to release in the near future. This is my first real step into this area. Just wondering what I should be looking for. It is an ASP.net MVC website with an MS SQL Server backend. I need to know that the server will not buckle if the traffic booms. Currently im looking at a managed dedicated server from singlehop. Does anyone know any better or have any advice.

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  • Testing web applications written in java

    - by Vinoth Kumar
    How do you test the web applications (both server side and client side code)? The testing method has to work irrespective of the framework used (struts, spring web mvc) etc. I am using Java for the server side code, Javascript and HTML for the client side code. This is the sample test case of what I am talking about: 1. When you click on a link, the pop up opens. 2. Change some value in the pop up (say a drop down value) and it gets saved in the DB. 3. Click the popup again, you get the changed values. Can we simulate this kind of thing using unit test cases? Is JUnit enough for this?

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  • What books/references are recommended on the subject of planning and developing efficient web sites [closed]

    - by Shakil
    Once I visited a site containing videos; a well-known web developer creating a site from scratch via planning(paper, software), management, designing then development. I bookmarked the site but unable to find it now. My question is : How to do web-development effectively? What books or videos are recommended ???(I tried google but unable to find useful books or videos). I want to learn how people does it. Can you share resources(books, videos, links) about this... Thanks in advance.. Note: I created a job site for my university project. It gave me huge pain. Thats why I want to learn efficient way. I know html, css, javascript, jquery, php[learning(mvc and framework not yet completed)], phpmyadmin.

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  • Need to setup and access web disk for a hosting account

    - by mtk
    I am on linux(ubuntu 12.04) and have purchased a hosting space. In the cpanel, I selected nautilus for accessing web-disk and I was given a note: Note: In order for the Web Disk to work, you will need to allow port 2078 (SSL) or 2077 (non-SSL) on your computer's firewall. As, I am unable to connect to this, i.e. on entering the given url in Nautilus address bar, it says 'Connection closed'. So, I believe the above this quoted is not correctly configured. Please let me know, how to configure this? How to allow the given port access?

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  • personality problem while learning web development [closed]

    - by Lazeera
    I work a lecturer and when I go home I find a lot of free time. The problem is that I spend most of my time in learning about web development. I don't go outside and don't meet people, I'm only in front of the screen drinking 4 cups of coffee (per day) and trying to learn many technologies related to web development. In the last, I don't learn things very well because I'm in a hurry. I know this place is for asking about programming but I want to learn from your experience regarding learning. How do you learn? How many hours do you spend in leaning a day? How can I organize my time so I can learn well and easily?

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  • "Testing Plan Lite" for web project

    - by Emmmmm
    How do you draft a quick & easy "Testing Plan Lite" for a medium-sized web project (70k lines, 2 developers)? I've seen many tutorials/articles on methods of testing, but all seem cumbersome. For us, the goal is to be able to be able to divide up and delegate testing instructions to our friends for different project segments, browsers, etc. What's the quick & easy way to write test plans for web apps? (the 20 of the 20/80 rule) Thanks!

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  • Timeline chart in Excel

    - by Axarydax
    Hi, I'd like to see a timeline of events from a database in a "timeline chart", that should look like this: http://i46.tinypic.com/sw3dj5.png - I've made me a small c# program that paints this onto a Bitmap, but that isn't the way to go. I have input data that has 3 fields: StartX EndX Y 2596 15008 1 5438 6783 2 5450 5453 4 5456 5459 4 5462 5466 4 5470 5474 4 5477 5657 5 5662 5665 4 5668 5671 4 As the picture shows, for each line I'd like to have a line from StartX to EndX with a Y value of Y. Stacked bar chart almost solves my problem, but I don't want to have a new line on the chart for every row, I have thousands of rows and I'd like to have X axis as the time axis, and view which events (Y is the type of the event) happened simultaneously. The image ( http://i46.tinypic.com/sw3dj5.png) I've generated with a simple C# program shows that the event SYSTEM was active all the time, and the events TECH and BREAK were almost exclusive, but had some overlaps. I'd like to at least know the correct direction which I should take; I'm lost in the multitude of Excel chart types. Thanks.

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  • How to export SSIS to Microsoft Excel without additional software?

    - by Dr. Zim
    This question is long winded because I have been updating the question over a very long time trying to get SSIS to properly export Excel data. I managed to solve this issue, although not correctly. Aside from someone providing a correct answer, the solution listed in this question is not terrible. The only answer I found was to create a single row named range wide enough for my columns. In the named range put sample data and hide it. SSIS appends the data and reads metadata from the single row (that is close enough for it to drop stuff in it). The data takes the format of the hidden single row. This allows headers, etc. WOW what a pain in the butt. It will take over 450 days of exports to recover the time lost. However, I still love SSIS and will continue to use it because it is still way better than Filemaker LOL. My next attempt will be doing the same thing in the report server. Original question notes: If you are in Sql Server Integrations Services designer and want to export data to an Excel file starting on something other than the first line, lets say the forth line, how do you specify this? I tried going in to the Excel Destination of the Data Flow, changed the AccessMode to OpenRowSet from Variable, then set the variable to "YPlatters$A4:I20000" This fails saying it cannot find the sheet. The sheet is called YPlatters. I thought you could specify (Sheet$)(Starting Cell):(Ending Cell)? Update Apparently in Excel you can select a set of cells and name them with the name box. This allows you to select the name instead of the sheet without the $ dollar sign. Oddly enough, whatever the range you specify, it appends the data to the next row after the range. Oddly, as you add data, it increases the named selection's row count. Another odd thing is the data takes the format of the last line of the range specified. My header rows are bold. If I specify a range that ends with the header row, the data appends to the row below, and makes all the entries bold. if you specify one row lower, it puts a blank line between the header row and the data, but the data is not bold. Another update No matter what I try, SSIS samples the "first row" of the file and sets the metadata according to what it finds. However, if you have sample data that has a value of zero but is formatted as the first row, it treats that column as text and inserts numeric values with a single quote in front ('123.34). I also tried headers that do not reflect the data types of the columns. I tried changing the metadata of the Excel destination, but it always changes it back when I run the project, then fails saying it will truncate data. If I tell it to ignore errors, it imports everything except that column. Several days of several hours a piece later... Another update I tried every combination. A mostly working example is to create the named range starting with the column headers. Format your column headers as you want the data to look as the data takes on this format. In my example, these exist from A4 to E4, which is my defined range. SSIS appends to the row after the defined range, so defining A4 to E68 appends the rows starting at A69. You define the Connection as having the first row contains the field names. It takes on the metadata of the header row, oddly, not the second row, and it guesses at the data type, not the formatted data type of the column, i.e., headers are text, so all my metadata is text. If your headers are bold, so is all of your data. I even tried making a sample data row without success... I don't think anyone actually uses Excel with the default MS SSIS export. If you could define the "insert range" (A5 to E5) with no header row and format those columns (currency, not bold, etc.) without it skipping a row in Excel, this would be very helpful. From what I gather, noone uses SSIS to export Excel without a third party connection manager. Any ideas on how to set this up properly so that data is formatted correctly, i.e., the metadata read from Excel is proper to the real data, and formatting inherits from the first row of data, not the headers in Excel? One last update (July 17, 2009) I got this to work very well. One thing I added to Excel was the IMEX=1 in the Excel connection string: "Excel 8.0;HDR=Yes;IMEX=1". This forces Excel (I think) to look at all rows to see what kind of data is in it. Generally, this does not drop information, say for instance if you have a zip code then about 9 rows down you have a zip+4, Excel without this blanks that field entirely without error. With IMEX=1, it recognizes that Zip is actually a character field instead of numeric. And of course, one more update (August 27, 2009) The IMEX=1 will succeed importing data with missing contents in the first 8 rows, but it will fail exporting data where no data exists. So, have it on your import connection string, but not your export Excel connection string. I have to say, after so much fiddling, it works pretty well.

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  • Useful Excel keyboard shortcuts

    - by Ben Lings
    What keyboard shortcuts do you use in Excel? Things I've discovered recently and found very useful are: Shift + Space - select the current row Ctrl + Space - select the current column Ctrl + Shift + Space - select the block of contiguous cell Ctrl + + - Insert (as in the context menu). If the current row is selected, will insert a new row. Ctrl + - - Delete (as in the context menu). If the current row is selected, will delete entire row. What (apart from the normal cut, copy, paste, etc) do you use? Ctrl + 1 to open the Format dialog. Shift + F2 to add/edit a cell comment. Shift + F2, followed by Esc to select the current cell comment, which can then be moved around with the arrow keys (????) or deleted by pressing Del. Ctrl + ???? to move to the last non-blank cell in a series. This is usually the edge of a table, but not if you have blank cells in the path. Pressing End followed by an arrow key does the same thing. Alt + F11 to open the VBA editor. Alt + = to start a SUM() formula and go straight to selecting cells to be summed. Ctrl + G or F5 to jump to a cell by typing its coordinates (e.g. C3) Ctrl + Home to jump to the top left, usually A1 unless you you are in a frozen split view, in which case it will jump to the top left of the "data" area. Ctrl + ; and Ctrl + Shift + ; to insert the current date and time, respectively. I know Ben Lings already posted this one, but I find it indispensable.

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  • Split Excel worksheet into multiple worksheets based on a column with VBA (Redux)

    - by Ceeder
    I'm rather new to VBA and I've been working with the code generously displayed and explained by Nixda: Split Excel Worksheet... My only challenge is I've been trying desperately to find a way to include the top 3 rows as a title bu it seems to only allow for one. Here's the code have: Dim Titlesheet As Worksheet iCol = 23 '### Define your criteria column strOutputFolder = (Sheets("Operations").Range("D4")) '### <--Define your path of output folder Set ws = ThisWorkbook.ActiveSheet Set rngLast = Columns(iCol).Find("*", Cells(3, iCol), , , xlByColumns, xlPrevious) Set Titlesheet = Sheets("Input") ws.Columns(iCol).AdvancedFilter Action:=xlFilterInPlace, Unique:=True Set rngUnique = Range(Cells(4, iCol), rngLast).SpecialCells(xlCellTypeVisible) If Dir(strOutputFolder, vbDirectory) = vbNullString Then MkDir strOutputFolder For Each strItem In rngUnique If strItem < "" Then Sheets("Input").Select Range("A1:V3").Select Selection.Copy ws.UsedRange.AutoFilter Field:=iCol, Criteria1:=strItem.Value Workbooks.Add Sheets("Sheet1").Select ActiveSheet.PasteSpecial ws.UsedRange.SpecialCells(xlCellTypeVisible).Copy Destination:=[A4] strFilename = strOutputFolder & "\" & strItem ActiveWorkbook.SaveAs Filename:=strFilename, FileFormat:=xlWorkbookNormal ActiveWorkbook.Close savechanges:=False End If Next ws.ShowAllData Is there something I can change to include these lines? Thanks so much, this code provided by Nixda has taught me a great deal!

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  • Query Months help

    - by StealthRT
    Hey all i am in need of some helpful tips/advice on how to go about my problem. I have a database that houses a "signup" table. The date for this table is formated as such: 2010-04-03 00:00:00 Now suppose i have 10 records in this database: 2010-04-03 00:00:00 2010-01-01 00:00:00 2010-06-22 00:00:00 2010-02-08 00:00:00 2010-02-05 00:00:00 2010-03-08 00:00:00 2010-09-29 00:00:00 2010-11-16 00:00:00 2010-04-09 00:00:00 2010-05-21 00:00:00 And i wanted to get each months total registers... so following the example above: Jan = 1 Feb = 2 Mar = 1 Apr = 2 May = 1 Jun = 1 Jul = 0 Aug = 0 Sep = 1 Oct = 0 Nov = 1 Dec = 0 Now how can i use a query to do that but not have to use a query like: WHERE left(date, 7) = '2010-01' and keep doing that 12 times? I would like it to be a single query call and just have it place the months visits into a array like so: do until EOF theMonthArray[0] = "total for jan" theMonthArray[1] = "total for feb" theMonthArray[2] = "total for mar" theMonthArray[3] = "total for apr" ...etc loop I just can not think of a way to do that other than the example i posted with the 12 query called-one for each month. This is my query as of right now. Again, this only populates for one month where i am trying to populate all 12 months all at once. SELECT count(idNumber) as numVisits, theAccount, signUpDate, theActive from userinfo WHERE theActive = 'YES' AND idNumber = '0203' AND theAccount = 'SUB' AND left(signUpDate, 7) = '2010-04' GROUP BY idNumber ORDER BY numVisits; The example query above outputs this: numVisits | theAccount | signUpDate | theActive 2 SUB 2010-04-16 00:00:00 YES Which is correct because i have 2 records within the month of April. But again, i am trying to do all 12 months at one time (in a single query) so i do not tax the database server as much when compared to doing 12 different query's... UPDATE I'm looking to do something like along these lines: if NOT rst.EOF if left(rst("signUpDate"), 7) = "2010-01" then theMonthArray[0] = rst("numVisits") end if if left(rst("signUpDate"), 7) = "2010-02" then theMonthArray[1] = rst("numVisits") end if etc etc.... end if Any help would be great! :) David

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  • Pasting formatted Excel range into Outlook message

    - by Steph
    Hi everyone, I am using Office 2007 and I would like to use VBA to paste a range of formatted Excel cells into an Outlook message and then mail the message. In the following code (that I lifted from various sources), it runs without error and then sends an empty message... the paste does not work. Can anyone see the problem and better yet, help with a solution? Thanks, -Steph Sub SendMessage(SubjectText As String, Importance As OlImportance) Dim objOutlook As Outlook.Application Dim objOutlookMsg As Outlook.MailItem Dim objOutlookRecip As Outlook.Recipient Dim objOutlookAttach As Outlook.Attachment Dim iAddr As Integer, Col As Integer, SendLink As Boolean 'Dim Doc As Word.Document, wdRn As Word.Range Dim Doc As Object, wdRn As Object ' Create the Outlook session. Set objOutlook = CreateObject("Outlook.Application") ' Create the message. Set objOutlookMsg = objOutlook.CreateItem(olMailItem) Set Doc = objOutlookMsg.GetInspector.WordEditor 'Set Doc = objOutlookMsg.ActiveInspector.WordEditor Set wdRn = Doc.Range wdRn.Paste Set objOutlookRecip = objOutlookMsg.Recipients.Add("[email protected]") objOutlookRecip.Type = 1 objOutlookMsg.Subject = SubjectText objOutlookMsg.Importance = Importance With objOutlookMsg For Each objOutlookRecip In .Recipients objOutlookRecip.Resolve ' Set the Subject, Body, and Importance of the message. '.Subject = "Coverage Requests" 'objDrafts.GetFromClipboard Next .Send End With Set objOutlookMsg = Nothing Set objOutlook = Nothing End Sub

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  • ASP C# Web Developer default login, getting user ID session value

    - by m3n
    I've used the built-in wizard in Visual Web Developer 2008 to create a simple login system. I'd like to get hold of the logged in user's ID, but I'm not sure how. Peeking in the ASPNETDB.MDF in the table aspnet_Users, the column appears to be called "UserId". I gave it a go: Response.Write("ID: " + Session["UserId"]); but it's coming up blank. How do I do this? (This is not for a live project, no need to point out the sillyness in using the wizard.) Thanks

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  • Neophyte question about using Subtotal and CountIf in Excel

    - by Andrew
    Hi, I'm using Excel and having some problems with Countif and I don't understand how it works differently from SubTotal. I used the GUI to subtotal stuff and all the subtotals are right. Then I attempted to use the Countif to see how many requirements passed. That worked for the first subtotal only. It's easy to see why. When I look at the box for the subtotal, it says: =SUBTOTAL(3,C286:C292) When I look at my formula for passed requirements, I have: =IF(ISTEXT(A285),COUNTIF(C286:C338,"=Passed"),"") Notice that the last column is wrong. How did the Subtotal manage to keep this correct? I typed in the formula for passed requirements and dragged it down the page. Everything behaved as expected (even the bit about ISTEXT dutifully figured out which row was which), but it got the last row wrong. Any ideas? SRS Maintenance Count 7 44 SRS Maintenance Passed SRS Maintenance Passed SRS Maintenance Passed SRS Maintenance Passed SRS Maintenance Passed SRS Maintenance Passed SRS Maintenance Passed SRS Reports Count 12 43 SRS Reports Passed SRS Reports Passed SRS Reports Passed SRS Reports Passed SRS Reports Failed SRS Reports Passed SRS Reports Passed SRS Reports Failed SRS Reports Passed SRS Reports Passed SRS Reports Failed

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  • Use a web service with https and client certificate on WindowsForm

    - by Xstahef
    Hi, I need to connect to a provider's web service. He give me a certificate to access it but I have a security problem. I have done these following steps : Add certificate to personal store (on IE & Firefox) Generate a proxy with the remote wsdl (no problem) Use this code to call a method : `using (service1.MessagesService m = new service1.MessagesService()) { X509Certificate crt = new X509Certificate(@"C:\OpenSSL\bin\thecert.p12",string.Empty); m.ClientCertificates.Add(crt); var result = m.AuthoriseTransaction(aut); this.textBox1.AppendText(result.id.ToString()); }` I have the following error : The underlying connection was closed: Could not establish trust relationship for the channel SSL / TLS. Thanks for your help

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  • connect to web API from ..NET

    - by Saif Khan
    How can I access and consume a web API from .NET? The API is not a .NET API. Here is sample code I have in Ruby require 'uri' require 'net/http' url = URI.parse("http://account.codebasehq.com/widgets/tickets") req = Net::HTTP::Post.new(url.path) req.basic_auth('dave', '6b2579a03c2e8825a5fd0a9b4390d15571f3674d') req.add_field('Content-type', 'application/xml') req.add_field('Accept', 'application/xml') xml = "<ticket><summary>My Example Ticket</summary><status-id>1234</status-id><priority-id>1234</priority-id><ticket-type>bug</ticket-type></ticket>" res = Net::HTTP.new(url.host, url.port).start {|http| http.request(req, xml)} case res when Net::HTTPCreated puts "Record was created successfully." else puts "An error occurred while adding this record" end Where can I find information on consuming API like this from .NET? I am aware how to use .NET webservices.

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  • Communicating with web service on SSL

    - by Krt_Malta
    Hi, I have a web service which previously was deployed on http. I used to generate stub classes using wsimport using wsimport http://localhost:8080/MiniForumService/MiniForumService?wsdl. Now I deployed it on SSL. But when I try to generate the stub classes from it using wsimport https://localhost:8443/MiniForumService/MiniForumService?wsdl but I'm getting the following error: unable to find valid certification path to requested target I'm using a self-signed certificate on the server. How can I solve this please? I've googled about but haven't found a solution till now Thanks and regards, Krt_Malta

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  • How to read an Excel file, get and set the information using POI

    - by user1399713
    I'm using Java to read a form that is in an Excel spreadsheet that the user fills in with information about geometric shape. Ex: Shape :_________ Color :_________ Area: _________ Perimeter:________ So far the code I have can I can read what I want in the form and print out the values of Shape, Color, Area, Perimeter. public class RangeSetter { /** * @param args * @throws IOException */ public static void main(String[] args) throws IOException { FileInputStream file = new FileInputStream(new File("test2.xls")); //C:\Users\Yo\Documents // Setup code String cname = "Shape"; HSSFWorkbook wb = new HSSFWorkbook(file); // retrieve workbook // Retrieve the named range // Will be something like "$C$10,$D$12:$D$14"; int namedCellIdx = wb.getNameIndex(cname); Name aNamedCell = wb.getNameAt(namedCellIdx); // Retrieve the cell at the named range and test its contents // Will get back one AreaReference for C10, and // another for D12 to D14 AreaReference[] arefs = AreaReference.generateContiguous(aNamedCell.getRefersToFormula()); for (int i=0; i<arefs.length; i++) { // Only get the corners of the Area // (use arefs[i].getAllReferencedCells() to get all cells) CellReference[] crefs = arefs[i].getAllReferencedCells(); for (int j=0; j<crefs.length; j++) { // Check it turns into real stuff Sheet s = wb.getSheet(crefs[j].getSheetName()); Row r = s.getRow(crefs[j].getRow()); Cell c = r.getCell(crefs[j].getCol()); if (c!= null ){ switch(c.getCellType()){ case Cell.CELL_TYPE_STRING: System.out.println(c.getStringCellValue()); } } } } What I want to do is to create a method that gets the that information and another that sets it. So far I can only print to the console

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  • Transpose matrix-style table to 3 columns in Excel

    - by polarbear2k
    I have a matrix-style table in excel where B1:Z1 are column headings and A2:A99 are row headings. I would like to convert this table to a 3 column table (column heading, row heading, cell value). It does not matter in what order the new table is. A B C D A B C A B C 1 H1 H2 H3 1 H1 R1 V1 1 H1 R1 V1 2 R1 V1 V2 V3 => 2 H1 R2 V4 or 2 H2 R1 V2 3 R2 V4 V5 V6 3 H1 R3 V7 3 H3 R1 V3 4 R3 V7 V8 V9 4 H2 R1 V2 4 H1 R2 V4 5 H2 R2 V5 5 H2 R2 V5 6 H2 R3 V8 6 H3 R2 V6 7 H3 R1 V3 7 H1 R3 V7 8 H3 R2 V6 8 H2 R3 V8 9 H3 R3 V9 9 H3 R3 V8 I've been playing around with the OFFSET function to create the whole table but I feel like a combination of TRANSPOSE and V/HLOOKUP is required. Thanks EDIT I have managed to come up with the correct formulas. If the data is in Sheet1 like in my example above, the formulas go in Sheet2: [A1] =IF(ROW() <= COUNTA(Sheet1!$B$1:$Z$1)*COUNTA(Sheet1!$A$2:$A$99), OFFSET(Sheet1!$A$1,0,IF(MOD(ROW(),COUNTA(Sheet1!$B$1:$Z$1))=0,COUNTA(Sheet1!$B$1:$Z$1),MOD(ROW(),COUNTA(Sheet1!$B$1:$Z$1)))),"") [B1] =IF(ROW() <= COUNTA(Sheet1!$B$1:$Z$1)*COUNTA(Sheet1!$A$2:$A$99),OFFSET(Sheet1!$A$1,IF(MOD(ROW(),COUNTA(Sheet1!$A$2:$A$99))=0,COUNTA(Sheet1!$A$2:$A$99),MOD(ROW(),COUNTA(Sheet1!$A$2:$A$99))),0),"") [C1] =IF(ROW() <= COUNTA(Sheet1!$B$1:$Z$1)*COUNTA(Sheet1!$A$2:$A$99),OFFSET(Sheet1!$A$1,IF(MOD(ROW(),COUNTA(Sheet1!$A$2:$A$99))=0,COUNTA(Sheet1!$A$2:$A$99),MOD(ROW(),COUNTA(Sheet1!$A$2:$A$99))),IF(MOD(ROW(),COUNTA(Sheet1!$B$1:$Z$1))=0,COUNTA(Sheet1!$B$1:$Z$1),MOD(ROW(),COUNTA(Sheet1!$B$1:$Z$1)))),"") The formulas are limited to B1:Z1 for the headings and A2:A99 for the rows (these can be increased to their maximums if required). The COUNTA() formula returns the number of cells that actually have values, which limits the number of rows returned to headings*rows. Otherwise the formulas would could go on for infinity because of the MOD function.

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  • Recommendation for web-based database visualization tool

    - by prometheus
    Tableau is extremely flexible when it comes to visualizing and playing around with datasets, but it is extremely slow when you go into "production mode" and publish a particular view that you've created onto your server. Does anyone know of any tools that can be used to connect to a database, present interactive (or somewhat interactive) dashboards, and perform reasonably well when published to a server? To be clearer, I am looking for something like this -- http://www.corda.com/executive-dashboard-graph-styles.php. I realize that such a product might not exist. If so, is there a particular framework or library that I could use to create killer interactive visualizations of data for the web?

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  • Is there a way to optimize this mysql query...?

    - by SpikETidE
    Hi Everyone... Say, I got these two tables.... Table 1 : Hotels hotel_id hotel_name 1 abc 2 xyz 3 efg Table 2 : Payments payment_id payment_date hotel_id total_amt comission p1 23-03-2010 1 100 10 p2 23-03-2010 2 50 5 p3 23-03-2010 2 200 25 p4 23-03-2010 1 40 2 Now, I need to get the following details from the two tables Given a particular date (say, 23-03-2010), the sum of the total_amt for each of the hotel for which a payment has been made on that particular date. All the rows that has the date 23-03-2010 ordered according to the hotel name A sample output is as follows... +------------+------------+------------+---------------+ | hotel_name | date | total_amt | commission | +------------+------------+------------+---------------+ | * abc | 23-03-2010 | 140 | 12 | +------------+------------+------------+---------------+ |+-----------+------------+------------+--------------+| || paymt_id | date | total_amt | commission || |+-----------+------------+------------+--------------+| || p1 | 23-03-2010 | 100 | 10 || |+-----------+------------+------------+--------------+| || p4 | 23-03-2010 | 40 | 2 || |+-----------+------------+------------+--------------+| +------------+------------+------------+---------------+ | * xyz | 23-03-2010 | 250 | 30 | +------------+------------+------------+---------------+ |+-----------+------------+------------+--------------+| || paymt_id | date | total_amt | commission || |+-----------+------------+------------+--------------+| || p2 | 23-03-2010 | 50 | 5 || |+-----------+------------+------------+--------------+| || p3 | 23-03-2010 | 200 | 25 || |+-----------+------------+------------+--------------+| +------------------------------------------------------+ Above the sample of the table that has to be printed... The idea is first to show the consolidated detail of each hotel, and when the '*' next to the hotel name is clicked the breakdown of the payment details will become visible... But that can be done by some jquery..!!! The table itself can be generated with php... Right now i am using two separate queries : One to get the sum of the amount and commission grouped by the hotel name. The next is to get the individual row for each entry having that date in the table. This is, of course, because grouping the records for calculating sum() returns only one row for each of the hotel with the sum of the amounts... Is there a way to combine these two queries into a single one and do the operation in a more optimized way...?? Hope i am being clear.. Thanks for your time and replies...

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  • Excel 2007 - "The macro may not be available in this workbook" Error

    - by Psycho Bob
    We use an Excel sheet that has been protected to prevent modification of it from end users. All in all they are only able to edit certain tabs to add information that will then be used to generate information on other tabs using equations and such. On the tab with the equations, a button is present called "Prep for Internal Hard Copy Print." This button runs a macro that selects the information on the tab, unprotects it, then sends a print job to the user's default printer that contains the unprotected content. Normally this works like a champ. This time around, however, the macro is throwing the following error: Cannot run the macro "FILENAME.xlsx'!MacroName'. The macro may not be available in this workbook or all macros may be disabled. As far as I can tell, the macros are still present within the workbook. This sheet is normally a .xlsm though the user saved it with a different filename as a .xlsx. Also, the macros appear only as MacroName in the .xlsm file and not "FILENAME.xlsx'!MacroName' as it does in the .xlsx. Finally, when I open the .xlsm it asks if I want to enable the macro content while the .xlsx does not prompt for this. Can anyone tell me what's going on with this sheet or know of a way that I can get the macros working in the .xlsx without having to start over with a different sheet?

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  • How to Programmatically Split and Manipulate Rows of Data From Excel

    - by Charlene
    I am hoping one of you will be able to help get me started on this issue. I need to create some sort of macro or VBA code to split and manipulate rows of data in Excel. For this example, we have 5 rows of data. The first 3 rows are item information for Order # 0000000000-00 and the last 2 rows are item information for order # 0000000000-01. I need one row ("HDR") for each order number, and one row ("ITM") for each product per order. I have included an example below showing the data I will receive and the desired outcome. Raw Data: order-id product-num date buyer-name product-name quantity-purchased 0000000000-00 10000000000000 5/29/2014 John Doe Product 0 1 0000000000-00 10000000000001 5/29/2014 John Doe Product 1 2 0000000000-00 10000000000002 5/29/2014 John Doe Product 2 1 0000000000-01 10000000000002 5/30/2014 Jane Doe Product 2 1 0000000000-01 10000000000003 5/30/2014 Jane Doe Product 3 1 Desired Outcome: HDR 0000000000-00 John Doe 5/29/2014 ITM 10000000000000 Product 0 1 ITM 10000000000001 Product 1 2 ITM 10000000000002 Product 2 1 HDR 0000000000-01 Jane Doe 5/30/2014 ITM 10000000000002 Product 2 1 ITM 10000000000003 Product 3 1 Any and all help would be much appreciated!!! Thank you.

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  • Excel 2007 pivot table does not aggregate properly

    - by Patrick
    I am using a an excel pivot table to summarize some data and just found a problem. The problem deals with how aggregate values are calculated. Let's say I have a table of data with three columns: Name, Date, Value. If I create a table where Name and then Date are used as Row Labels and Value is the aggregate value, ie Average. The pivot table will look something like this: +John .3450 5/14/2010 1.234 5/15/2010 3.450 5/16/2010 -3.25 What I think should be happening here is that the values for each date are averaged and then those values are averaged to come up with the value in the same row as the Name, John. But that is not what it does. It takes the average for each date, which it shows across from the date, but then instead of taking the average of those numbers, it actually uses the raw data and computes the average for all of John's values. It should show the average of the daily averages to correspond with the tree hierarchy, but instead just shows me the average for all of John's values. It essential will only aggregate at one level, but visually creates sub levels that it is not using. Does anyone know how to change this or understand by what logic this makes sense? Why would I create any sub groupings if I cannot compute aggregates on them?

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