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  • Syncing two sheets, while being able to hide different data

    - by Joshua
    I'm pretty new to excel- so please bear with me. I have created a spreadsheet to organize gear by serial numbers and by who has it. This list is getting updated multiple times daily as gear shuffles regularly. I have gear that is assigned and unassigned. On the main sheet I have all the data, the way I want it to be organized. What I'm trying to do is duplicate this sheet, so that both sheets automatically keep the same data at all times, but on the first sheet I can hide all the unassigned gear, and view only the assigned gear, and then be able to narrow it down in groups using the hide function heavily. On the second sheet I want to be able to hide all of the assigned gear, and all the columns of gear that have no unassigned gear. End result will be that as gear is moved between individuals or is unassigned entirely, I make that adjustment on one sheet and the data stays the same on both, but the way I view that same sheet is different on both. If I'm making no sense just let me know and I'll try to explain again more clearly. Thanks

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  • Pull row of data from one place in spreadsheet to another

    - by bookcasey
    I have a list of names and their assorted properties. I am trying to find a way to quickly move an entire row's worth of data into a different sheet so I can manipulate it. Currently I can accomplish this by copy and pasting the entire row, but this is not elegant nor dynamic (the number in blue does not update with this method): My ideal solution: A name is typed into the "Name" column. The spreadsheet program pulls the associated row from the "main" sheet into the new sheet. I am currently using Numbers.app, but am curious if this is possible in Excel, OpenOffice Calc, Google Docs, or any other spreadsheet program. Thank you.

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  • Master Data Management

    - by Logicalj
    I am looking for a very flexible, easy to integrate and dynamic application with as many features as possible for Master Data Management. As Master Data Management is used to Manage Operational Data, Analytical Data and Master Data so, I want guidance about "What is exactly expected from Master Data Management and What are the Basic and Challenging Scenarios to be covered or resolved in Master Data Management". Please guide me with all the possible aspects of Master Data Management like Data Cleansing, Data Management and Start Data Analyzing, etc.

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  • What is the architectural name for the set of data that enables UI choices?

    - by Richard Collette
    I have separate service methods that fetch business object data and the data for UI selection input such as radio buttons, check-boxes, combo-boxes, etc. I want to name my service methods that fetch the selection data appropriately. I am assuming that Model and ViewModel would not be part of the name because the selection data is but a portion of the Model or ViewModel. What might this set of data be named such that I can name my service method?

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  • Extract and convert all Excel worksheets into CSV files using PowerShell

    Can PowerShell provide an easy way to export Excel as a CSV? Yes. Tim Smith demonstrates that whether you have multiple Excel files, or just multiple worksheets in Excel, PowerShell simplifies the process. Get to grips with SQL Server replicationIn this new eBook Sebastian Meine gives a hands-on introduction to SQL Server replication, including implementation and security. Download free ebook now.

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  • Weird Ubuntu Desktop Boot Partition On External Hard Drive

    - by Magnitus
    I have a Thinkpad with Windows 7. Last time I installed an Ubuntu/Windows dual boot, Windows was never same after and regularly got corrupted so this time, I installed Ubuntu on a separate external hard drive. I took a 500 GB external hard drive and used Windows to shrink the partition on it to 400 GB, freeing 100 GB to install Ubuntu. Then I modified the booting priority of my computer to boot from the external hard drive if present. Then, I installed Ubuntu desktop on the external hard drive using a DVD, picked the most simplistic partitioning scheme I could get away with (didn't go auto as it didn't include the external hard drive as a choice) and voilà. Fast forward some time and I'm trying to refresh my understanding of Linux partitions to install a bunch of servers, so I'm looking at the current partitioning scheme on my external hard drive and find the boot partition puzzling... sda is my integrated hard drive with Windows 7. sdb is my Ubuntu desktop external hard drive. Running parted on sdb, I get this: (parted) print Model: WD My Passport 0740 (scsi) Disk /dev/sdb: 500GB Sector size (logical/physical): 512B/512B Partition Table: msdos Number Start End Size Type File system Flags 1 1049kB 393GB 393GB primary ntfs boot 2 393GB 500GB 107GB extended 5 393GB 425GB 32.8GB logical linux-swap(v1) 6 425GB 500GB 74.6GB logical ext4 At this point, I'm wondering why the ntfs partition is flagged as "boot" and not my ext4 partition which is the partition that contains / (and by extension, /boot since it's not on its own separate partition). Looking at mtab only confirms what I already know: eric@eric-ThinkPad-W530:~$ sudo cat /etc/mtab /dev/sdb6 / ext4 rw,errors=remount-ro 0 0 proc /proc proc rw,noexec,nosuid,nodev 0 0 sysfs /sys sysfs rw,noexec,nosuid,nodev 0 0 none /sys/fs/cgroup tmpfs rw 0 0 none /sys/fs/fuse/connections fusectl rw 0 0 none /sys/kernel/debug debugfs rw 0 0 none /sys/kernel/security securityfs rw 0 0 udev /dev devtmpfs rw,mode=0755 0 0 devpts /dev/pts devpts rw,noexec,nosuid,gid=5,mode=0620 0 0 tmpfs /run tmpfs rw,noexec,nosuid,size=10%,mode=0755 0 0 none /run/lock tmpfs rw,noexec,nosuid,nodev,size=5242880 0 0 none /run/shm tmpfs rw,nosuid,nodev 0 0 none /run/user tmpfs rw,noexec,nosuid,nodev,size=104857600,mode=0755 0 0 none /sys/fs/pstore pstore rw 0 0 systemd /sys/fs/cgroup/systemd cgroup rw,noexec,nosuid,nodev,none,name=systemd 0 0 gvfsd-fuse /run/user/1000/gvfs fuse.gvfsd-fuse rw,nosuid,nodev,user=eric 0 0 /dev/sdb1 /media/eric/My\040Passport fuseblk rw,nosuid,nodev,allow_other,default_permissions,blksize=4096 0 0 My lack of understanding concerning this is not vital to anything (this is only my development desktop partition), but somehow annoys me. Any insight that could shed some light on this would be welcome.

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  • In Excel, how to group data by date, and then do operations on the data?

    - by Bicou
    Hi, I have Excel 2003. My data is like this: 01/10/2010 0.99 02/10/2010 1.49 02/10/2010 0.99 02/10/2010 0.99 02/10/2010 0.99 03/10/2010 1.49 03/10/2010 1.49 03/10/2010 0.99 etc. In fact it is a list of sales every day. I want to have something like this: 01/10/2010 0.99 02/10/2010 4.46 03/10/2010 3.97 I want to group by date, and sum the column B. I'd like to see the evolution of the sales over time, and display a nice graph about that. I have managed to create pivot tables that almost do the job: they list the number of 0.99 and 1.49 each day, but I can't find a way to simply sum everything and group by date. Thanks for reading.

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  • How to code Microsoft Excel "Shift Cells Up" feature in SQL

    - by user293249
    Take a simple table like below: Column Headings: || Agent's Name || Time Logged In || Center || Row 1: Andrew || 12:30 PM || Home Base Row 2: Jeff || 7:00 AM || Virtual Base Row 3: Ryan || 6:30 PM || Test Base Now lets say that a single cell is deleted so the table now looks like this: Column Headings: || Agent's Name || Time Logged In || Center || Row 1: Andrew || 12:30 PM || Row 2: Jeff || 7:00 AM || Virtual Base Row 3: Ryan || 6:30 PM || Test Base Notice that "Home Base" is missing. Now in excel you can delete the cell and shift the rest so the finished product looks like below: Column Headings: || Agent's Name || Time Logged In || Center || Row 1: Andrew || 12:30 PM || Virtual Base Row 2: Jeff || 7:00 AM || Test Base Row 3: Ryan || 6:30 PM || And you can see we are left with a blank cell last row. How do I code this procedure of shifting the cells up in SQL? I've been struggling on this problem for weeks! Thank you!

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  • Excel get_Range missing when interop assembly is embedded in .NET 4.0

    - by mikemay
    I build an assembly referencing a COM interop DLL. If I embed the COM interop types by setting Embed Interop Types to True in the Reference's properties (VS2010), at run-time an error occurs "object does not contain a definition for get_Range". If COM interop types are not embedded then no error occurs. Does anyone know why a particular method, Worksheet.get_Range should be ommitted or how to work around this or have any other relevant insights? I should be grateful for any help. The interop dll contains a reference to Worksheet.get_Range(object, [object]). Using reflector on my calling assembly there is no mention of get_Range under Worksheet. The interop assembly I am embedding is generated from Excel9.olb. I am not using PIAs as the application targets multiple Excel versions.

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  • Create a custom worksheet function in Excel VBA

    - by Tomalak
    I have a faint memory of being able to use VBA functions to calculate values in Excel, like this (as the cell formula): =MyCustomFunction(A3) Can this be done? EDIT: This is my VBA function signature: Public Function MyCustomFunction(str As String) As String The function sits in the ThisWorkbook module. If I try to use it in the worksheet as shown above, I get the #NAME? error. Solution (Thanks, codeape): The function is not accessible when it is defined ThisWorkbook module. It must be in a "proper" module, one that has been added manually to the workbook.

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  • Excel - Looping through data till it finds the right one

    - by DanoK
    I'm pulling data from one Excel table into another using an IF statement. I want it to check two fields and if it is a match I want it to print something and if it doesn't then I want it to continue searching. If there is no absolute match then leave the field blank. I believe I'm running into an syntax issue but after numerous iterations I can't get it to pull everything over. Here is my current syntax. =IF(BM5<>"External","",IF(AND(S5=VLOOKUP(A5,ExternalOnly,5,FALSE),A5=VLOOKUP(A5,ExternalOnly,1,FALSE)),S5,"")

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  • Data refresh and drill down problem with SSAS cube and excel services

    - by chaitanya
    I have a SSAS cube which I am using in an excel document, prepare a report which has drill-down etc and i am publishing it to a sharepoint site. It gets published alright but when I try to drill down it throws an error "Data Refresh failed" etc.The data source and the sharpoint site are on the same machine(running windows server 2008) and we have windows authentication running. From what I have been able to find on the internet there is a problem with passing the windows authentication credentials to the database etc.But I have not been able to find the exact way to sort out these problem. What is the solution for this????

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  • Excel VSTO ->Hide/Unhide Ribbon Button based on another Ribbon Button click

    - by Jignesh
    We are creating Excel 2007 AddIn using VSTO. Now we have a scenario where in there are 2 buttons. Button 'A' and Button 'B'. Button 'B'needs to be hidden based on the click on the button 'A'. But since the ribbon bar is not getting refreshed dynamically we are unable to see the change on the Ribbon Bar. I heard from some blods we need to use callback methods for the same. Could you please explain and put some code snippet on how to do that ? Will highly appreciate if anyone can help asap ...

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  • Open an Excel htm URL via iFrame in a separate browser

    - by Mark Robinson
    I have some URLs in an Excel file which I have saved as a .htm (webpage) file. I then view these in a browser via our wiki (MediaWiki). This is done using an iFrame embedded in the wiki page. So, just for clarity, the link is in a htm file viewed via an iFrame in a wiki page. When I click on that link, it opens inside the iFrame. What I want is for it to open in a new browser window. (This should be the user's default browser since some use Internet Explorer and some Firefox.) The final twist is that some users have Windows XP and some Solaris. Help greatly appreciated.

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  • Yii include PHP Excel

    - by Anton Sementsov
    Im trying include PHPExcel lib to Yii, put PHPExcel.php in root of extensions, near PHPExcel folder and added that code into config/main.php // application components 'components'=>array( 'excel'=>array( 'class'=>'application.extensions.PHPExcel', ), modify /protected/extensions/PHPExcel/Autoloader.php public static function Register() { $functions = spl_autoload_functions(); foreach($functions as $function) spl_autoload_unregister($function); $functions=array_merge(array(array('PHPExcel_Autoloader', 'Load')), $functions); foreach($functions as $function) $x = spl_autoload_register($function); return $x; }// function Register() Then, trying create PHPExcel object $objPHPExcel = new PHPExcel(); but have an error: include(PHPExcel.php) [<a href='function.include'>function.include</a>]: failed to open stream: No such file or directory in Z:\home\yii.local\www\framework\YiiBase.php(418)

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  • How to effectively use WorkbookBeforeClose event correctly?

    - by Ahmad
    On a daily basis, a person needs to check that specific workbooks have been correctly updated with Bloomberg and Reuters market data ie. all data has pulled through and that the 'numbers look correct'. In the past, people were not checking the 'numbers' which led to inaccurate uploads to other systems etc. The idea is that 'something' needs to be developed to prevent the use from closing/saving the workbook unless he/she has checked that the updates are correct/accurate. The numbers look correct action is purely an intuitive exercise, thus will not be coded in any way. The simple solution was to prompt users prior to closing the specific workbook to verify that the data has been checked. Using VSTO SE for Excel 2007, an Add-in was created which hooks into the WorkbookBeforeClose event which is initialised in the add-in ThisAddIn_Startup private void wb_BeforeClose(Xl.Workbook wb, ref bool cancel) { //.... snip ... if (list.Contains(wb.Name)) { DailogResult result = MessageBox.Show("some message", "sometitle", MessageBoxButtons.YesNo); if (result != DialogResult.Yes) { cancel = true; // i think this prevents the whole application from closing } } } I have found the following ThisApplication.WorkbookBeforeSave vs ThisWorkbook.Application.WorkbookBeforeSave which recommends that one should use the ThisApplication.WorkbookBeforeClose event which I think is what I am doing since will span all files opened. The issue I have with the approach is that assuming that I have several files open, some of which are in my list, the event prevents Excel from closing all files sequentially. It now requires each file to be closed individually. Am I using the event correctly and is this effective & efficient use of the event? Should I use the Application level event or document level event? Is there a way to prevent the above behaviour? Any other suggestions are welcomed VS 2005 with VSTO SE

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  • Looping through worksheets in an Excel (xls) file using classic ASP on a win 2008 server

    - by Roy
    Hi, I have just migrated an older ASP solution to a windows 2008 server and everything works out fine except for using ADOX.Catalog to list all the worksheets in an uploaded xls file. I use the following code: <% Set objExcelCon = Server.CreateObject("ADODB.Connection") With objExcelCon .Provider = "Microsoft.ACE.OLEDB.12.0" .ConnectionString = "Data Source=" & strFilePath & "\" & strFileName & ";Extended Properties=Excel 12.0;" .Open End With Set objAdo = Server.CreateObject("ADOX.Catalog") ' Set ADOX activeConnection objAdo.activeConnection = objExcelCon ' Loop through tables (worksheets) For i = 0 To objAdo.Tables.Count - 1 response.Write objAdo.Tables(i).Name Next Set objExcelCon = Nothing Set objAdo = Nothing % When I run this i get no error message or anything. Anyone got any idea whats causing this? Best regards, Roy

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  • How to prevent GetOleDbSchemaTable from returning duplicate sheet names from Excel workbook

    - by Richard Bysouth
    Hi I have a function to return a DataView containing info on sheets in an Excel Workbook, as follows: Public Function GetSchemaInfo() As DataView Using connection As New OleDbConnection(GetConnectionString()) connection.Open() Dim schemaTable As DataTable = connection.GetOleDbSchemaTable(OleDbSchemaGuid.Tables, Nothing) connection.Close() Return New DataView(schemaTable) End Using End Function This works fine except that if the workbook has linked data (i.e. pulls its data from another workbook), duplicate sheet names are returned. For example, Workbook1 has a single worksheet, Sheet1. I get 2 rows in the DataView, with the TABLE_NAME field being "Sheet1$" and "Sheet1$_". OK, I could use a RowFilter, but wondered whether there was a better way or why this extra row is returned? thanks Richard

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  • Simple variable assignment in Excel 2003 VBA

    - by Mike
    Hi, I am new to VBA in Excel. I'm setting up a simple macro Option Explicit Sub Macro1() Dim sheet sheet = Worksheets.Item(1) ' This line has the error End Sub On the line with the error, I get "Run-time error '438' Object doesn't support this property or method" I can use the Watch window to see that "Worksheets.Item(1)" is a valid object. I've tried changing it to "Dim sheet As Worksheet" but same result. Ok, so what am I missing? Why does this error occur? Thanks! -Mike

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  • Excel Macros - Too many line continuations

    - by pojomx
    Hi, I have a "large" sql query (like 200 lines)... dim query as string query = "..................................." & _ "..................................." & _ .... Like a lot lines later... "..................................." function query,"sheet 1" When i do this, excel says "Too many line continuations." What is the best way, to avoid this? Thanks for your help.

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  • Excel Matching problem with logic expression

    - by abelenky
    (I understand Excel is only borderline programming) I have a block of data that represents the steps in a process and the possible errors: ProcessStep Status FeesPaid OK FormRecvd OK RoleAssigned OK CheckedIn Not Checked In. ReadyToStart Not Ready for Start I want to find the first Status that is not "OK". I have attempted this: =Match("<>""OK""", StatusRange, 0) which is supposed to return the index of the first element in the range that is NOT-EQUAL (<) to "OK" But this doesn't work, instead returning #N/A. I expect it to return 4 (index #4, in a 1-based index, representing that CheckedIn is the first non-OK element) Any ideas how to do this?

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  • Excel macro send rich mail using LotusNotes

    - by CC
    Hi everybody. I'm working on a small macro to send mail from excel 2007 using my Lotus Notes session. The sending mail part is working fine. Now I need to send in the body part, a part of a stylesheet (for instance the area from A1:B20). This area has colors, bold font. To send my email here is the code: Set oSess = CreateObject("Notes.NotesSession") Set oDB = oSess.GETDATABASE("", "") Call oDB.OPENMAIL flag = True If Not (oDB.IsOpen) Then flag = oDB.Open("", "") If Not flag Then MsgBox "Can't open mail file: " & oDB.SERVER & " " & oDB.FILEPATH End If On Error GoTo err_handler 'Building Message Set oDoc = oDB.CREATEDOCUMENT Set oItem = oDoc.CREATERICHTEXTITEM("BODY") oDoc.Form = "Memo" 'mail subject oDoc.Subject = "subject" 'mail body oDoc.sendto = "[email protected]" oDoc.body = "my text" oDoc.postdate = Date oDoc.SaveMessageOnSend = True oDoc.visable = True 'Sending Message oDoc.SEND False Does anybody has an idea about how to send a stylesheet ? Thanks alot.

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  • Drawing graphs in MS Excel somehow got complicated

    - by Ivan
    I want to draw several graphs and combine them into one figure. I will explain the problem in an example. Let's say that I want to draw two graphs with these points: Graph #1 (X and Y are defining a coordinate). X - Y _____ 1 - 5 2 - 5 5 - 7 9 - 10 Graph #2 X - Y _____ 6 - 8 8 - 12 9 - 7 12 - 8 15 - 11 21 - 11 What I do is that I create a chart and click on "Select Data". There I create two series and choose X and Y values. However, this doesn't work since it doesn't allow me to choose different X values for different graphs. Although I choose different for these two series, the second one is chosen for both. This is how it looks like in the end: Do you know how to fix this? I'm using Excel 2008 for Mac.

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