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  • Excel Macro Help - Data Input

    - by B-Ballerl
    I'm want to develop a macro where in my excel worksheet I type a date in a specific cell, and the macro will go into a folder containing text files. A database you could say. I want it to find the corresponding file name which is written as a date, put the data through a delimeter, and paste into the cells directly below where I orginally put the date. I'm very new with Macro's so if you must answer try to be a little more simple than you might usually be. Thanks In Advance if anyone can Help!!

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  • Excel 2010 VBA on-start macro execution - Error

    - by Noob Doob
    I have been trying to create a macro to be executed every time I open the document. I tried to use the Open event, but it does not seem to be working. The code is below: Private Sub Workbook_Open() Cells(3, 1) = "WOWWW" End Sub (It might seem ridiculous but I am trying to make any chunk of code to work, to move further with the start-time macro). Each time I open the file, the cell (A3) does not seem to be changing. Any ideas on this? I don't know if it matters, but I don't open the file directly. I open it through opening the Excel program and then File Tab - Open - File. That is because I have a problem if I open the file directly, which is another matter.

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  • Create a dependent drop down list in a single cell in Excel

    - by Larry Anderson
    I am trying to create a dependent drop down list for a High School. The User will select cell A1, Click on Hallway 3(for example), then the user will click on cell A1 again and then select the Room #, 325 (for example). The final result should be that cell A1 shows 325. I can create the first drop down list, but the second part is where I am having great trouble. I am using Excel 2010. Any help would be appreciated. Thanks

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  • Comparing two strings in excel, add value for common variables

    - by overtime
    I'm comparing two large datasets containing strings in excel. Column A contains the numbers 1-1,000,000. Column B contains 1,000,000 strings, neatly organized in the desired order. Column C contains 100,000 randomly organized strings, that have identical values somewhere in column B. Example: A B C D 1 String1 String642 2 String2 String11 3 String3 String8000 4 String4 String78 What I'd like to do is find duplicate values in columns B and C then output the Column A value that corresponds with the string in Column C into Column D. Desired Output: A B C D 1 String1 String642 642 2 String2 String11 11 3 String3 String8000 8000 4 String4 String78 78

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  • Merge two Excel sheets

    - by PeeHaa
    I have two 'tabs' in my Excel file and I would like to merge the two tabs into one sheet (in the same file). The two files look somthing like: artnr language description price artnr language description price artnr language description price What I would like to do is merge those two files in the following manner: first row of first sheet first row of second sheet second row of first sheet second row of second sheet etc. I tried to use the following formula: =Sheet1!A1 =Sheet2!A1 =Sheet1!A2 =Sheet2!A2 This works, however when I try to expand the formula down (to the other rows) I get: =Sheet1!A1 =Sheet2!A1 =Sheet1!A2 =Sheet2!A2 =Sheet1!A5 =Sheet2!A5 In stead of: =Sheet1!A1 =Sheet2!A1 =Sheet1!A2 =Sheet2!A2 =Sheet1!A3 =Sheet2!A3 Any help is appreciated!

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  • Excel: How to Compare Column Values in a Row

    - by spazzie
    I have a bunch of comparison data and a lot of entries being compared. As an example, say my sheet looks like this, give or take a few columns: Item Price1 Quantity1 Price2 Quantity2 Price3 Quantity3 001 $123 12 $456 24 $789 48 002 $100 95 $200 5 $300 51 For each item (row), I want to be able to look at all of the Quantity columns and find which one has the highest quantity. Ideally I'd be able to run a condition of some sort on the entire excel sheet at once, and it would highlight in red the highest quantity. So the results would be a red "48" (qty3) for Item 001 and a red "95" (qty1) for Item 002. Only the color would change, not any data, and no new rows would need to be created. Let me know if you need more info

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  • Hide and Unhide Worksheets and Workbooks in Excel 2007 & 2010

    - by DigitalGeekery
    Hiding worksheets can be a simple way to protect data in Excel, or just a way reduce the clutter of a some tabs. Here are a couple very easy ways to hide and unhide worksheets and workbooks in Excel 2007 / 2010. Hiding a Worksheet Select the Worksheet you’d like to hide by clicking on the tab at the bottom. By holding down the Ctrl key while clicking you can select multiple tabs at one time. On the Home tab, click on Format, which can be found in the Cells group. Under Visibility,  select Hide & Unhide, then Hide Sheet.   You can also simply right-click on the tab, and select Hide.   Your worksheet will no longer be visible, however, the data contained in the worksheet can still be referenced on other worksheets.   Unhide a Worksheet To unhide a worksheet, you just do the opposite. On the Home tab, click on Format in the Cells group and then under Visibility,  select Hide & Unhide, then Unhide Sheet.   Or, you can right-click on any visible tab, and select Unhide.   In the Unhide pop up window, select the worksheet to unhide and click “OK.” Note: Although you can hide multiple sheets at once, you can only unhide one sheet at a time. Very Hidden Mode While hidden mode is nice, it’s not exactly ultra-secure. If you’d like to pump the security up a notch, there is also Very Hidden mode. To access Very Hidden setting, we’ll have to use the built-in Visual Basic Editor by hitting the Alt + F11 keys. Select the worksheet you wish to hide from the dropdown list under Properties or by single clicking the worksheet in the VBAProject window. Next, set the Visible property to  2 – xlSheetVeryHidden. Close out of the Visual Basic Editor when finished.   When the Very Hidden attribute is set on a worksheet, Unhide Sheet is still unavailable from within the Format setting on the Home tab.   To remove the Very Hidden attribute and display the worksheet again, go back into the Visual Basic Editor by hitting Alt + F11 again and setting the Visible property back to –1 – xlSheetVisible.  Close out of the Editor when finished. Hiding a Workbook To hide the entire Workbook, select the View tab, and then click the Hide button. You’ll see the Workbook has disappeared. Unhide a Workbook Select the View tab and click Unhide… … and your Workbook will be visible again.   Just a few simple ways to hide and unhide your Excel worksheets and workbooks. Similar Articles Productive Geek Tips How To Copy Worksheets in Excel 2007 & 2010Add Background Pictures To Excel 2007 WorksheetsMake Row Labels In Excel 2007 Freeze For Easier ReadingImport Microsoft Access Data Into ExcelMagnify Selected Cells In Excel 2007 TouchFreeze Alternative in AutoHotkey The Icy Undertow Desktop Windows Home Server – Backup to LAN The Clear & Clean Desktop Use This Bookmarklet to Easily Get Albums Use AutoHotkey to Assign a Hotkey to a Specific Window Latest Software Reviews Tinyhacker Random Tips DVDFab 6 Revo Uninstaller Pro Registry Mechanic 9 for Windows PC Tools Internet Security Suite 2010 Discover Latest Android Apps On AppBrain The Ultimate Guide For YouTube Lovers Will it Blend? iPad Edition Penolo Lets You Share Sketches On Twitter Visit Woolyss.com for Old School Games, Music and Videos Add a Custom Title in IE using Spybot or Spyware Blaster

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  • What does the Excel VBA range.Rows property really do?

    - by RBarryYoung
    OK, I am finishing up an add-on project for a legacy Excel-VBA application, and I have once again run up against the conundrum of the mysterious range.Rows(?) and worksheet.Rows properties. Does anyone know what these properties really do and what they are supposed to provide to me? (note: all of this probably applies to the corresponding *.Columns properties also). What I would really like to be able to use it for is to return a range of rows, like this: SET rng = wks.Rows(iStartRow, iEndRow) But I have never been able to get it to do that, even though the Intellisense shows two arguments for it. Instead I have to use one of the two or three other (very kludgy) techniques. The help is very unhelpful (typically so for Office VBA), and googling for "Rows" is not very useful, no matter how many other terms I add to it. The only things that I have been able to use it for are 1) return a single row as a range ( rng.Rows(i) ) and 2) return a count of the rows in a range ( rng.Rows.Count ). Is that it? Is there really nothing else that it's good for? Clarification: I know that it returns a range and that there are other ways to get a range of rows. What I am asking for is specifically what do we get from .Rows() that we do not already get from .Cells() and .Range()? The two things that I know are 1) an easier way to return a range of a single row and 2) a way to count the number of rows in a range. Is there anything else?

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  • MS Query returns data inside itself but does not export it to Excel

    - by kappa
    Hi, I'm having a strange problem with Excel and MS Query: I'm using MS Query to run a T-SQL query against a Microsoft SQL Server 2000 and return the results to Excel. To do this, I open Excel, go to Data - Import external data - New database query, select my data source, paste the SQL script in MS Query and click File - Return data to Microsoft Office Excel, leaving all the query options to their defaults. This works fine for many other Excel files, but this time although MS Query shows the correct data when I paste the SQL script, after returning to Excel all I get is the query name in the upper left cell, with no data returned. I fear the cause could be the SQL script, as it contains some advanced functions like union all, UDFs and variables. Here's the script: declare @date smalldatetime set @date = dateadd(day, datediff(day, 0, getdate()), 0) select [date], sum([hours]) as [hours] from ( select [date], [hours] from [server].[dbo].[udf] (84, '2010-01-01', @date) union all select [date], [hours] from [server].[dbo].[udf] (89, '2010-01-01', @date) union all select [date], [hours] from [server].[dbo].[udf] (93, '2010-01-01', @date) ) as [a] group by [date] order by [date] asc I can't get rid of the UDF as inside them are done advanced groupings involving cursors and temporary tables, nor I can remove the variable as the UDF won't accept dateadd(day, datediff(day, 0, getdate()), 0) as parameter. Any ideas? Thanks in advance, Andrea.

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  • Formating Columns in Excel created by af:exportCollectionActionListener

    - by Duncan Mills
    The af:exportCollectionActionListener behavior in ADF Faces Rich client provides a very simple way of quickly dumping out the contents or selected rows in a table or treeTable to Excel. However, that simplicity comes at a price as it pretty much left up to Excel how to format the data. A common use case where you have a problem is that of ID columns which are often long numerics. You probably want to represent this data as a string, Excel however will probably have other ideas and render it as an exponent  - not what you intended. In earlier releases of the framework you could sort of work around this by taking advantage of a bug which would allow you to surround the outputText in question with invisible outputText components which provided formatting hints to Excel. Something like this: <af:column headertext="Some wide label">  <af:panelgrouplayout layout="horizontal">     <af:outputtext value="=TEXT(" visible="false">     <af:outputtext value="#{row.bigNumberValue}" rendered="true"/>    <af:outputtext value=",0)" visible="false">   </af:panelgrouplayout> </af:column> However, this bug was fixed and so it can no longer be used as a trick, the export now ignores invisible columns. So, if you really need control over the formatting there are several alternatives: First the more powerful ADF Desktop Integration (ADFdi) package which allows you to build fully transactional spreadsheets that "pull" the data and can update it. This gives you all the control that might need on formatting but it does need specific Excel Add-ins on the client to work. For more information about ADFdi have a look at this tutorial on OTN. Or you can of course look at BI Publisher or Apache POI if you're happy with output only spreadsheets

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  • MySQL for Excel 1.3.0 Beta has been released

    - by Javier Treviño
    The MySQL Windows Experience Team is proud to announce the release of MySQL for Excel version 1.3.0.  This is a beta release for 1.3.x. MySQL for Excel is an application plug-in enabling data analysts to very easily access and manipulate MySQL data within Microsoft Excel. It enables you to directly work with a MySQL database from within Microsoft Excel so you can easily do tasks such as: Importing MySQL data into Excel Exporting Excel data directly into MySQL to a new or existing table Editing MySQL data directly within Excel As this is a beta version the MySQL for Excel product can be downloaded only by using the product standalone installer at this link http://dev.mysql.com/downloads/windows/excel/ Your feedback on this beta version is very well appreciated, you can raise bugs on the MySQL bugs page or give us your comments on the MySQL for Excel forum. Changes in MySQL for Excel 1.3.0 (2014-06-06, Beta) This section documents all changes and bug fixes applied to MySQL for Excel since the release of 1.2.1. Several new features were added, for more information see What Is New In MySQL for Excel (http://dev.mysql.com/doc/refman/5.6/en/mysql-for-excel-what-is-new.html). Known limitations: Upgrading from versions MySQL for Excel 1.2.0 and lower is not possible due to a bug fixed in MySQL for Excel 1.2.1. In that scenario, the old version (MySQL for Excel 1.2.0 or lower) must be uninstalled first. Upgrading from version 1.2.1 works correctly. <CTRL> + <A> cannot be used to select all database objects. Either <SHIFT> + <Arrow Key> or <CTRL> + click must be used instead. PivotTables are normally placed to the right (skipping one column) of the imported data, they will not be created if there is another existing Excel object at that position. Functionality Added or Changed Imported data can now be refreshed by using the native Refresh feature. Fields in the imported data sheet are then updated against the live MySQL database using the saved connection ID. Functionality was added to import data directly into PivotTables, which can be created from any Import operation. Multiple objects (tables and views) can now be imported into Excel, when before only one object could be selected. Relational information is also utilized when importing multiple objects. All options now have descriptive tooltips. Hovering over an option/preference displays helpful information about its use. A new Export Data, Advanced Options option was added that shows all available data types in the Data Type combo box, instead of only showing a subset of the most popular data types. The option dialogs now include a Refresh to Defaults button that resets the dialog's options to their defaults values. Each option dialog is set individually. A new Add Summary Fields for Numeric Columns option was added to the Import Data dialog that automatically adds summary fields for numeric data after the last row of the imported data. The specific summary function is selectable from many options, such as "Total" and "Average." A new collation option was added for the schema and table creation wizards. The default schema collation is "Server Default", and the default table collation is "Schema Default". Collation options may be selected from a drop-down list of all available collations. Quick links: MySQL for Excel documentation: http://dev.mysql.com/doc/en/mysql-for-excel.html. MySQL on Windows blog: http://blogs.oracle.com/MySQLOnWindows. MySQL for Excel forum: http://forums.mysql.com/list.php?172. MySQL YouTube channel: http://www.youtube.com/user/MySQLChannel. Enjoy and thanks for the support! 

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  • How to Add the Windows Calculator to the Quick Access Toolbar in Microsoft Excel 2013

    - by Lori Kaufman
    Do you use the Windows Calculator to perform quick calculations while building spreadsheets in Excel? You can save time by adding the Calculator to the Quick Access Toolbar in Excel so you don’t have to leave the program to access the Calculator. To do this, click the down arrow on the right side of the Quick Access Toolbar and select More Commands from the drop-down menu. On the Quick Access Toolbar screen on the Excel Options dialog box, select Commands Not in the Ribbon from the Choose commands from drop-down list. Scroll down in the long list and select Calculator. Click Add to add the Calculator to the Quick Access Toolbar. Click OK to accept the change and close the Excel Options dialog box. You’ll see a Calculator icon on the Quick Access Toolbar. When you move your mouse over the icon, a hint displays saying “Custom.” Despite the label, when you click the icon, the Windows Calculator opens. The same procedure works for adding the Windows Calculator to Excel 2010, as well.     

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  • Real Excel Templates 1.5

    - by Tim Dexter
    Not the next installment quite yet, just an update from what I knew yesterday. Right after I posted the Real Excel Templates I. Mike from the PM team got in touch to say he and Shirley had just had a meeting with a customer about the Excel Templates and all the fab features. He included BIPs extended functions, data pre-processing, sub templates and other functionality which was great new news. One caveat, much of the really new stuff, is not quite out in the wild yet. Will let you know as soon as I know more. Shirley and I shared a conversation around being able to re-group data in the templates. It's one of the most powerful features of the RTF template. Providing the ultimate flexibility in layouts. As I wrote yesterday, you need hierarchical data for Excel templates. I stand corrected, 'Of course you can do that in Excel, here's an example' said Shirley 'Very cunning Shirley, very cunning' says I. You can basically use the hidden sheet to re-group the data using native XSL. I'll cover the 'how' later. As you can see Excel templates are the new 'black' with lots of attention and more importantly development cycles to take them forward. Looks like we are going to have a great weekend weather wise here in Colorado. The yard work and pond are beckoning. Maybe the trout will be rising and I can give my rusty fly casting skills a run for their money. I need some stupid fish thou :0) See ya'll next week!

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  • Conditional formatting of duplicate values in Excel

    - by jamiet
    One of the infrequent pleasures of being a data geek like me is that one does occasionally stumble across little-known yet incredibly useful features in a tool that you use day-in, day-out. Today this happened to me and the feature is Excel’s ability to highlight dupicate rows in a worksheet. Check this out: Notice that I have got some data in my worksheet that contains duplicated values and simply by selecting Conditional Formatting->Highlight Cells Rules->Duplicate Values… Excel will highlight (shown here in red) which rows are duplicated. It seem such a simple thing but when you’re working on a data integration project and the data that is being sent is of, well, let’s say dubious quality features like this are worth their weight in gold. I tweeted about this and it happened to catch a few people’s attention so I figured it might be worth blogging too. Note that I am using Excel 2013 but I happen to know that the feature exists in Excel 2010 and possibly in earlier versions too. Have a great weekend! @Jamiet

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  • Best Practice - XML To Excel

    - by MemLeak
    I've to read a big XML file with a lot of information. Afterwards I extract the needed information (~20 Points(columns) / ~80 relevant Data (rows, some of them with subdatasets) and write them out in a Excel File. My Question is how to handle the extraction (of unused Data) part, should I copy the whole file and delete the unused parts, and then write it to excel or is it a good approach to create Objects for each column? should I write the whole xml to excel and start to delete rows in excel? What would be performant and a acceptable solution?

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  • Excel chart with year-to-year comparison

    - by Craig
    Given this data: Date Year Month Usage (Kw-h) Cost/Month 02/19/08 2008 2 501 59.13 03/18/08 2008 3 404 48.49 04/16/08 2008 4 387 45.67 05/22/08 2008 5 319 37.85 06/23/08 2008 6 363 43.81 07/23/08 2008 7 372 48.86 08/21/08 2008 8 435 59.74 09/23/08 2008 9 358 49.9 10/16/08 2008 10 313 42.01 11/20/08 2008 11 328 39.99 12/16/08 2008 12 374 44.7 01/20/09 2009 1 474 55.35 02/19/09 2009 2 444 52.85 03/19/09 2009 3 398 49.25 04/17/09 2009 4 403 51.05 05/19/09 2009 5 405 49.61 06/18/09 2009 6 373 45.18 07/20/09 2009 7 337 44.67 08/18/09 2009 8 369 50.73 09/17/09 2009 9 377 52.36 10/16/09 2009 10 309 43.4 11/17/09 2009 11 249 34.14 12/16/09 2009 12 327 41.79 01/20/10 2010 1 356 45.66 I would like to produce a report that displays a Usage (Kw-h) line for each year. Features: Y axis: Usage (Kw-h) X axis: Month Line 0..n: lines representing each year's monthly Usage (Kw-h) Bonus points: instead of a line for each year, each month would have a high-low-close (HLC) bar; 'close' would be replaced by the average second Y axis and HLC bar that represents cost/month Questions: Can this be done without a Pivot table? Do I need to have the Year and Month column or can Excel automatically determine this? Current chart:

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  • Excel table auto update

    - by Mike
    So I have a table in Excel with formulas. When I add a new row, the new row automatically fills in the formulas as well, which is great. My problem is that it also changes the formula in the row above the added row as well. Here's what happens specifically: My table's last row is row 24. A formula I have in that row is the following: =COUNTIF(C$11:C24,"y")/(COUNTIF(C$11:C24,"Y")+COUNTIF(C$11:C24,"N")) When I add in data in row 25 the formula is updated in row 25 as well, which is what I want, to the following: =COUNTIF(C$11:C25,"y")/(COUNTIF(C$11:C25,"Y")+COUNTIF(C$11:C25,"N")) My problem is that the row above also updates - my row 24 changes to the same as row 25 (the C24 goes to C25). Why is my row 24 formula changing when I add a row 25? Note, my formulas above row 24 stay the same when I add in row 25 - only row 24 changes when I add in 25. Is there a way to not update the row above the row being added? This problem continues when additional rows are added - If I add in a row 26, then the formula in rows 24-26 then all reference C26. Why are they all updating?

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  • Can I make Windows to open Excel XML files with Excel without opening Explorer?

    - by Sorin Sbarnea
    I want to be able to open Excel XML files in Excel but without assigning XML directly to Excel. There are lots of XML files that are not Excel files and I don't want to open all of them in Excel. The file has proper header for opening in Excel but currently it does open Internet Explorer that asks me if I want to open the file with Excel, save or cancel. I just want to open it without two another annoying windows.

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  • Problem saving excel file after inserting data

    - by Cmptrb
    Hi, I want to write data to an existing excel file ( I do it easily ) But I can not save the changes on the excel file ( actually I see the changes on the excel file, but it seems opened and after all it occurs some problems such as "the file is already opened with same name and so on ... ) Excel.Application app= new Microsoft.Office.Interop.Excel.Application(); Excel.Workbook appbook= app.Workbooks.Open(appxls, 0, true, 5, "", "", false, Excel.XlPlatform.xlWindows, "\t", true, false, 0, true, Missing.Value, Missing.Value); Excel.Sheets pages= appbook.Worksheets; Excel.Worksheet page= (Excel.Worksheet)pages.get_Item(1); //... i change some values on the excel file and want to save them : // appxls is a string holding the path appbook.SaveAs(appxls, Excel.XlFileFormat.xlWorkbookNormal, Type.Missing, Type.Missing,false, Type.Missing, Excel.XlSaveAsAccessMode.xlShared, Type.Missing, Type.Missing, Type.Missing, Type.Missing, Type.Missing); appbook.Close(true, Missing.Value, Missing.Value); app.Quit(); Where is the problem, how can I solve it using Microsoft.interop.

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  • EXCEL workbook, intermitently, takes 30 seconds to load

    - by Julio Nobre
    I am trying to figure out why a simple .XLS EXCEL workbook is taking, randomly, 30 seconds to open. Before answering: Please, bear mind the following: Problem symptoms Hanging is intermitent and it takes exactly 30 seconds; During hanging there is no cpu or disk activity; It only happens during workbook load. Every runs smooth after that; Windows Explorer.exe hangs on folder, but all other folders, system and applications are still responsive; There are no consecutive hangings. I have to wait for while to reproduce this behaviour; All workbooks where located on a local drive (C:\BPI); The workbook has no macros and no addins; Office 2003 is being used for several years; The computer is running Windows XP; Computer has several network mapped drives, all addressed to main file server; Recently, main fileserver was replaced by Windows 2011 SBS Standard Edition What I have done so far I have traced machine Explorer.exe, using Process Monitor, added Duration column, and filtered by Duration 1. That's is how I found that hanging was taking exactly 30 seconds. For further information, please refer to Oliver Salzburg tutorial. Using Process Monitor, I have also figured out than five operations were taking most of sample collecting duration. Looking at sample image below, column Operation below you will notice that one single operation was taking 29 seconds; I have tried different workbooks (all of them smaller than 30 KB); I have, temporarily, removed all shortcuts on User Document's folder that were pointing to network drives or shares; I have runned CCleaner to fix registry issues; I made sure that there were no external links on tested workbooks; I have reproduced this behaviour for hours; I have extensivelly researched for hours on the web; Process Monitor's collected and filtered data

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  • Set default expand/colapse state on pivot tables

    - by CLockeWork
    The Setup I have a pivot table in tabular form pulling data from an Analysis Services Cube. I want to calculate the number of days between two dates, but the setup will only allow me to pull in all date elements, not just the date. I’ve been able to deal with this easily enough by just grouping all the columns: The Problem The default state for the expand/collapse buttons in the image above is often collapsed, but that means the dates I need aren’t there and you have to open the group and manually expand them. This also happens in some random ways (as shown in the image) where only some rows expand. The Question I need a way to set these sections to always be expanded, so that the user never has to open the group to expand the rows. Ideally I’d like to avoid VBA because our end users often block it, but if that’s what’s needed then so be it. Is there a way to set my pivot table to never collapse it’s predefined groups? Note the end user is using Excel 2010

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  • Excel shows different files in same window

    - by pacoverflow
    In a browser, I downloaded an Excel spreadsheet and it displayed a dialog box asking what to do with it, so I selected "Open in Excel". Then I downloaded another Excel spreadsheet and opened that one in Excel as well. My taskbar shows 2 Excel icons, but there's only one Excel window. When I use the taskbar to switch between the spreadsheets, each one replaces the other in the Excel window. How can I get 2 Excel windows - one for each spreadsheet? I am running Windows 7 with Excel 2010.

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  • Move markers of line chart/ Format legend

    - by user68753
    Hi all, I have a combination chart with a bar chart and 2 line graphs on secondary axis. have to exactly match the formatting in the screenshot attached ( I do not have the actual excel file. just have a screenshot). If you have a look - you can see the markers on line graphs do not align. The red line markers are skewed slightly to the left. Also, in the legend at the bottom - secondary axis legends are separated out to the bottom. I don't know how to do that either. Any help is greatly appreciated

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  • Releasing Excel after using Interop

    - by figus
    Hi everyone I've read many post looking for my answer, but all are similar to this: http://stackoverflow.com/questions/1610743/reading-excel-files-in-vb-net-leaves-excel-process-hanging My problem is that I don't quit the app... The idea is this: If a User has Excel Open, if he has the file I'm interested in open... get that Excel instance and do whatever I want to do... But I don't to close his File after I'm done... I want him to keep working on it, the problem is that when he closes Excel... The process keeps running... and running... and running after the user closes Excel with the X button... this is how I try to do it This piece is used to know if he has Excel open, and in the For I check for the file name I'm interested in. Try oApp = GetObject(, "Excel.Application") libroAbierto = True For Each libro As Microsoft.Office.Interop.Excel.Workbook In oApp.Workbooks If libro.Name = EquipoASeccionIdSeccion.Text & ".xlsm" Then Exit Try End If Next libroAbierto = False Catch ex As Exception oApp = New Microsoft.Office.Interop.Excel.Application End Try here would be my code... if he hasn't Excel open, I create a new instance, open the file and everything else. My code ends with this: If Not libroAbierto Then libroSeccion.Close(SaveChanges:=True) oApp.Quit() Else oApp.UserControl = True libroSeccion.Save() End If System.Runtime.InteropServices.Marshal.FinalReleaseComObject(libroOriginal) System.Runtime.InteropServices.Marshal.FinalReleaseComObject(libroSeccion) System.Runtime.InteropServices.Marshal.FinalReleaseComObject(origen) System.Runtime.InteropServices.Marshal.FinalReleaseComObject(copiada) System.Runtime.InteropServices.Marshal.FinalReleaseComObject(oApp) libroOriginal = Nothing libroSeccion = Nothing oApp = Nothing origen = Nothing copiada = Nothing nuevosGuardados = True So you can see that, if I opened the file, I call oApp.Quit() and everything else and the Excel Process ends after a few seconds (maybe 5 aprox.) BUT if I mean the user to keep the file open (not calling Quit()), Excel process keeps running after the user closes Excel with the X button. Is there any way to do what I try to do?? Control a open instance of excel and releasing everything so when the user closes it with the X button, the Excel Process dies normally??? Thanks!!!

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