Drill down depreciation figure is showing different in S_ALR_87011990

I find a certain problem in the report S_ALR_87011990.  Our fiscal year is calendar year.  Now I executed this report for the month of January (only one month).  the figure which is displayed in the accumulated depreciation showing one value and when you drill down from a figure, the AW01N report is displayed for that asset but the depreciatiion figure seen is not matching with the figure we started the drilled down.  Why this is happeneing ?  We are feeling little embarrassed.

Dear:
            Please check the link given.
            Wrong values shown in AW01N, but correct calculation
            Asset Explorer- AW01N
            Regards

Similar Messages

  • Incorrect Values in Drill down

    Hi All,
    I have created a query on Incoming orders, Invoiced qty, Returns etc on Multiprovier.
    When I I drill dwon, with each drill down the report is showing different values. For example, in inital screen it is showning Returns 1 qty. But when I drill down there are no returns. I checked in R/3 side and for the specified documents there are no returns. So, how in initial screen is it showing 1 qty as returns.
    Please its very urgent.
    Regards
    Jay

    Hi
    Sales doc number is the only primary key based on which orders have been separated as open orders, return orders etc......which contains order qty, returend qty..delvered qty..billed qty etc......
    So ensure that Sales doc and other drilldown options are present in both the cube and ODS....then data will come correctly....
    The reason why now data coming incorrectly could be.....
    ODS and cube data are different and clubbing in infoprovider will result in aggregation....
    To ensure everything is properly mapped check in identification tab in multiprovider...
    Assign points if useful
    Cheers
    N Ganesh

  • OBIEE  Detail record with all the columns not showing up in drill down

    Hi
    When i drill down in the hierarchy it only shows me the key rather than the full detail record
    M heirarchy is
    Dim
    total
    reckey
    detail
    detailkey
    name
    type
    When i drill down on reckey, it shows only the detailkey and not oher columns. Is there something i am missing here. The physical and logical table has detailkey as the primamykey

    You have a beautiful example in the Oracle By Example Series here :
    http://www.oracle.com/technology/obe/obe_bi/bi_ee_1013/bi_admin/biadmin.html#t2s7
    If you follow the instruction on the Channels Detail_Key in this example, you will succeed
    Success
    Nico

  • Web Intelligate Summer Report drill down and drill up problem

    I use summary table and @aggreage_aware function to design a universy.  I want WI report shows highest level summary table data first, then drill down to next high summary table data.  But when I drill up back,  it still shows be next high summary table data.  I don't use the report to do any calculations.  I just want it shows different level data.
    Detail:
    I have three tables:
    1.  Month_Data table:  - Base fact data table.
    Year
    Quarter
    Month
    Department ID
    Supplier ID
    Score          -- Measure type
    2.  Quarter_Data table: - High level summary table.
    Year
    Quarter
    Department ID
    Supplier ID
    Score          -- Measure type
    3.  Year_Data table:  - Highest level summary table.
    Year
    Department ID
    Supplier ID
    Score          -- Measure type
    I like to create a web intelligence report that shows data from year_data table:
    Year          Score
    2008          105
    2007          99
    2006          90
    If I drill one level down, It will show data from quarter_data table:
    Year (example 2007)
    Quarter1     Score
    Quarter2     Score
    Quarter3     Score
    Quarter4     Score
    If two level drill down, it will show data from month_data table:
    Quarter1
         Month1          Score
         Month2          Score
         u2026
         Month12                     Score.
    No calculation needed on the report.
    I will use follow steps to create a universe:
    1.  Three tables will be three classes.  The classes order is:
         Year_Data class;  Quarter_Data class; Month_Data class.
    2.  When I create universe, I join:
    Year_Data  class to   Quarter_data class:
    Year to year                 1 to n               
    Department ID to Department ID          1 to n
    Supplier ID to Supplier ID          1 to n
    Quarter_Data class to Month_Data class:
    Year to Year               1 to n
    Quarter to quarter               1 to n
    Department ID to Department ID          1 to n
    Supplier ID to Supplier ID          1 to n
    3.  Create a filter class with object Department ID and supplier ID.
    4.  I create two aggregate aware classes:
    Agg_dimension class:
         Year:    aggregate_aware(year_data.year, quarter_data.year, month_data.year)
         quarter: aggregate_aware(quarter_data.quarter, month_data.quarter)
         Month:     aggregate_aware(month_data.month); 
    Agg_Measure class:
         Score: aggregate_aware(year_data.score, quarter_data.score, month_data.score)
    5.  I may re-define year, quarter, month and score as aggregate_aware function for objects in all classes:
         Year:     aggregate_aware(year_data.year, quarter_data.year, month_data.year)
         quarter: aggregate_aware(quarter_data.quarter, month_data.quarter)
         Month:     aggregate_aware(month_data.month); 
         Score:   aggregate_aware(year_data.score, quarter_data.score, month_data.score)
    6.  create user hierarchies: 
    agg_dimension.Year
    agg_dimension.quarter
    agg_dimension.month 
    7.  Figure out Aggregate Navigation  -- it is easy.
    Then create a report.  I put follow objects on report:
    Agg_dimension.year          agg_measure.score
    When I run report, it shows right data:
    Year_data.year          Year_data.score
    On the report. I drill down on year, it shows right data.
    Quarter_data.Year:
    Quarter_data.quarter1                quarter_data.score
    Quarter_data.quarter2                quarter_data.score
    Quarter_data.quarter3                quarter_data.score
    Quarter_data.quarter4                quarter_data.score
    But when drill it up back on quarter, it shows:
    Quarter_data.year     quarter_data.score1
    Quarter_data.year     quarter_data.score2
    Quarter_data.year     quarter_data.score3
    Quarter_data.year     quarter_data.score4
    Not
    Agg_data.year          agg_data.score.
    It has drill up back problem on my report.
    Please help.
    Thanks
    Frank Han

    and keyfigures are coming frm 2lis_03_bf..But when i drill down on purchase organization, purchase grou , vwndor account group and planning group then # is coming instead of value....i dont the reason for this..
    Did you chk if you have vendor, purchase org, all this coming from 2LIS_03_BF??
    Can you chk in listcube transaction what is the output by putting the same restrictions as in the query?
    Edited by: mansi dandavate on Jul 10, 2009 11:37 AM

  • Drill down on posting date and Document number

    Hello Gurus,
    In a Bex report, I am looking at account balance on a keydate for a G/L Account. When I drill down based on posting date I do not see any values for the keyfigure 'Account balance as on key-date'....But after I drill down on posting date --> document number I get to see values for thie key figure.
    What is this strange behaviour? Kindly explain.
    Regards,
    KP

    Hi KK,
    This may be due to the values/quantities having different UOM or currency for different documents/posting date.For example,  Usually when there are mixed values like this, the aggregated value is not displayed, instead a '*' is displayed in the report result. However there is a setting in BW where you can mention how to handle such mixed values.
    So I suggest you first check the currencies for the amount at the posting date/document level(when you drill down). If they are different then check the settings in the transaction SPRO --> SAP Business Information Warehouse --> Report-relevant settings --> General Reporting settings in the Business Explorer --> Presenting the numeric value in the Business Explorer.
    Here check the value maintained for 'Mixed Values'. If it is blank, then this is the reason that no value is displayed.
    Regards,
    Shilpa

  • Conditional display of headings based on drill-down page or section shown

    <div>Crystal Reports 10</div><div>I have a report (originally written by someone else) with 1 drill down page.</div><div>The drill down shows section group footer 2.</div><div>I am adding a new drill down from the 1st drill down. This will show the details section.</div><div>There are headings which are displayed in the page header section.</div><div>I would like to suppress or hide these headings when the 2nd drill down page (details section) is shown.</div><div>I figured I could do it based on whether a section, or a field within a section, is displayed on the page or not.</div><div>How to accomplish this?</div>

    Thanks for asking this question.Â
    There is a formatting function (under the Document Properties group of functions) called GroupLevel(). It returns what level of group you're on. You can use this along with the Suppress conditional format to show/hide a section based on where the user is located. Â
    This would be a great one to "show" as a sample. I'll add it to my task list for submissions up here.Â
    Again, thanks for asking the question and start the ball rolling!
    Â Â Â Â Â - Kathryn Webster (Report Design Specialist)

  • OBIEE 11g: Build a drill down detail on the count of records

    Hello:
    I have a summary report based on certain criteria shows the count of certain number of records for example, count(sales_id).
    Region (North), Product Category(ABC) -> 15 (Sales record count using count(sales_id))
    I want the ability to provide another detail report which will be the drill down of 15 that shows 15 sales records in detail.
    The detail report will be invoked using the Action Link which has the BI navigation from the Measure Column (that has 15) to pass the list of sales_id's as the prompted filter based on the analysis results from the summary report.
    Any idea on what I need to do in the summary report to pass the list of sales id's instead of the count 15? I do not want to display the sales_id's in the summary report.
    Thanks
    Sankar

    589151 wrote:
    Hello:
    I have a summary report based on certain criteria shows the count of certain number of records for example, count(sales_id).
    Region (North), Product Category(ABC) -> 15 (Sales record count using count(sales_id))
    I want the ability to provide another detail report which will be the drill down of 15 that shows 15 sales records in detail.
    The detail report will be invoked using the Action Link which has the BI navigation from the Measure Column (that has 15) to pass the list of sales_id's as the prompted filter based on the analysis results from the summary report.
    Any idea on what I need to do in the summary report to pass the list of sales id's instead of the count 15? I do not want to display the sales_id's in the summary report.
    Thanks
    SankarIn your example, each of the 15 sales IDs are in the same Product Category (ABC), yes? So put the action link on this column instead of the measure (so ABC in this example would be the link). In the detail report, you will need to include the Sales ID column in order to produce the 15 rows, but you can hide it so it doesn't show up on the report. (The reason you want to include the sales ID in the destination report is because the measure column would break out the rows only assuming there are no measures that are the same. If they are the same, they might roll up so having the sales ID in the report ensures that the rows remain distinct.)
    Edited by: David_T on Mar 15, 2012 2:34 PM

  • Drill Down are not giving correct values

    Hi
    We created sales Order values as a character and putting them in Rows and populating data by writing update rule. We created variables on calendar month in order to choose specific period of data in the query. For example if we need 02/2008 to 0/42008 which gives two months of data. When I drill down on Sales Order or billing document on the report it’s not giving variable interval data instead it’s pulling all the sales orders and billing documents in the Cube. With out drilling down the values are showing OK.  If I restrict with same period in the cube it's giving correct values
    Please let us know if you have any ideas.
    Thanks
    Naga

    Aah, I guessed it correctly!
    Remove the local var of the Stop button & place the terminal itself inside the inner while loop & directly wire it to the conditional terminal of the outer while loop.
    Please see the attached pic...
    Message Edited by parthabe on 07-30-2009 07:12 AM
    - Partha
    LabVIEW - Wires that catch bugs!
    Attachments:
    arrayreq_mod.jpg ‏97 KB
    arrayreq_mod.jpg ‏97 KB
    arrayreq_mod.jpg ‏99 KB

  • Capitalization column in drill down report

    Hi,
    I have a requirement to make a column in IM drill down report which will show values of capitalized investments (WBS and orders) assigned to the investment program.  Do you have an idea how to do it?
    Thanks in advance!
    DD

    Hello,
    You will have to go for new development /enhancement linking your capital proj /WBS to the new logic of the report.
    Regards,
    Sumanth

  • Drill Down count match up issue

    I want the total number of records of the table in the table view report to be displayed down, as we drill into the report. (the report is a drill down hierachial)
    I used narrative view and did the total number of records. I could get only the count from first row only. But I want the count as sum of all the rows of the count column and displayed as the count.
    when I drill down it's always showing the count as the count of the programs from the first row.
    Here is the requirement:
    region # pgms
    Ohio     100000
    Total Number of Pgms: 100000 (this is correct)
    one we click on Ohio, we get the countied in it with its count, which matches to state count 100000.
    region counties # pgms
    Ohio a 25000
    b     25000
    c 25000
    d 25000
    Total Number of pgms: 100000(this is what I want)
    but I get this
    Total Number of pgms: 25000
    When I click on A it will take me to zip codes under a with its counts matching to 25000
    but I get the count as it sees in the first zip code in the list, which I do not want. I want the count to match up with 25000.
    Can anyone please help?

    try sum(pgms by region) as the measure you should reference in your narrative , hide this from the table view. This should always return your grand total for the region (rather than the counties).

  • Drill down in Second grid of planning book

    Dear Team
    I have created a planning book with two grids.
    I want to enable drill down in second grid aswell.
    How can I get it done? Also if I want different chars to be used in drill down for first grid and different for second, will it be possible.
    I tried for following macro but it is not working -
    Macro -
    Where Z_PPL is a characateristic on which I want the drill down in Grid 2.
    Regards

    hello srinivas,
    I already tried deleting the chars in the pivot sorting, by selecting that red line icon, etc.. but it never saves and reappears again. So i observed that superordinate settings for the pl book. So i am confused what are these superordinate settings. Any idea pls.
    thx

  • Manager - Sales-rep drill down report

    [code]
    SELECT 
    FSU.parentsystemuseridname AS Manager
    , FSU.fullname AS 'Sales Rep'
    , FSU3.fullname AS 'Level 3'
    FROM FilteredSystemUser AS FSU
    LEFT JOIN FilteredSystemUser AS FSU3
    ON FSU.fullname = FSU3.parentsystemuseridname
    [\/code]
    There are multiple levels in the hierarchy but i am showing 3 levels only in the sample query above. I am trying to create a drill down SSRS report which shows the hierarchy. It works fine with a small problem.
    Problem:
    1.) Manager is a sales rep himself so in the "sales rep " column manager should be shown along with his associates with a null value for the "Level 3 " column.
    2.) In the same way Sales rep should also be present along with his associates in "Level 3 " column.
    Please help me with your ideas for the query. Thanks in advance.
    Oracle 11g database.

    Hi,
    If you can show what you need to do using commonly available tables, such as those in the scott schema, then you don't need to post any sample data; just the results you want from the given data, and an explanation of how you get those results from that data.
    For example, using the scott.emp table (where the relevant raw data, which you can get from this query:
    SELECT    empno, ename, mgr
    FROM   scott.emp
    ORDER BY  empno;
    is
         EMPNO ENAME             MGR
          7369 SMITH            7902
          7499 ALLEN            7698
          7521 WARD             7698
          7566 JONES            7839
          7654 MARTIN           7698
          7698 BLAKE            7839
          7782 CLARK            7839
          7788 SCOTT            7566
          7839 KING
          7844 TURNER           7698
          7876 ADAMS            7788
          7900 JAMES            7698
          7902 FORD             7566
          7934 MILLER           7782
    that is:
    KING is the parent of JONES, BLAKE and CLARK,
    JONES is the parent of SCOTT and FORD, and
    SCOTT is the parent of ADAMS, and
    you can get output like this:
    CHAIN_O_COMMAND
    KING
    KING      JONES
    KING      JONES     SCOTT
    KING      JONES     SCOTT     ADAMS
    KING      JONES     FORD
    KING      JONES     FORD      SMITH
    KING      BLAKE
    KING      BLAKE     ALLEN
    KING      BLAKE     WARD
    KING      BLAKE     MARTIN
    KING      BLAKE     TURNER
    KING      BLAKE     JAMES
    KING      CLARK
    KING      CLARK     MILLER
    using a query like this:
    SELECT  REPLACE ( SYS_CONNECT_BY_PATH ( RPAD (ename, 10)
                    )         AS chain_o_command
    FROM    scott.emp
    START WITH  mgr  IS NULL
    CONNECT BY  mgr  = PRIOR empno
    Notice that the result set only has 1 long column, but it's formatted to look like multiple short columns.  That's because the number of columns in the result set must be hard-coded in the query.  If you don't know how many columns you'll need (because you don't know how many levels will be in the tree) this is one way to avoid dynamic SQL.

  • Pivot Table Navigate (drill-down) to Detail

    I have a simple pivot table containing summary data (measures):
    ------2006------2007------2008------
    A-----$2---------$7-----------$4-------
    B-----$8---------$5-----------$1-------
    C-----$3---------$7-----------$5-------
    I would like to navigate to a new view (or Dashboard) if the user click on one of the measures - simulate the effect of drilling down to detail by showing the detail behind a measure. Is something like this possible in OBIEE?

    Obiee 1 Kenobi wrote:
    I have a simple pivot table containing summary data (measures):
    ------2006------2007------2008------
    A-----$2---------$7-----------$4-------
    B-----$8---------$5-----------$1-------
    C-----$3---------$7-----------$5-------
    I would like to navigate to a new view (or Dashboard) if the user click on one of the measures - simulate the effect of drilling down to detail by showing the detail behind a measure. Is something like this possible in OBIEE?
    Yes, "use the Force." :)In the Criteria tab of the source Request, click on Column Properties of the measure column and then on Column Format. Under Value Interaction, change the default to Navigation and then, via the Browse button, select the detail destination Request you created. In the destination Request, add the "Is Prompted" filter to the measure column, the column that represents the row (A, B, etc.) and the Year column.
    HTH,

  • Query with drill down and w/o drill down

    Hi experts,
    We created a query with a RKF. In the output we are getting the RKF value correctly. But when we dril
    downed a characteristic i.e Special GL Ind the output is not matching. It is showing incorrect value when
    compared with the value without drill down. But if we remove the drill down then it is showing the correct
    value. What is the reason for this ?
    Regards,
    smitha.

    Our RKF def is as follows:
    Keyfigure: 0deb_cre_lc
    Chars:
    Posting Keys: 01,02,11,12
    Year start date: Restricting it with a variable created on it. Variable is of type Customer exit.This variable
    gets value from key date which is entered by user dynamically.
    Specified the offsets of Yr start date as 0 to 365.
    Regards,
    smitha.

  • Drill down report on Report Server

    How to run a drill-down report on Oracle report Server?
    The drill-down report works fine in Client Server. When the same report is tried on Web (Run a reoprt on Web using Oracle Report Server - Oracle Report 6i) it do't work.
    The problem is:
    1)The drill-down button doe't appear as button. It appears as text.
    2)How to pass the parameter from the main report to the drill-down report.
    For Ex. When you click on SS_No on the main report the drill-down report runs to show the salary, 401K deterction etc., for that particular employee.
    Thanks

    I dont understand if you are working in Client server or web
    but...
    If you are running in C/S you can use the host command from
    reports.
    If you are running reports on the web then you should also run
    forms on the web and then you can use the Forms servlet or cgi
    implementation to have a URL that activates the form, or just
    call a static HTML form that activates the form on the web.
    If your report is on the web and your form is C/S then
    As far as I know HTML cannot activate program on the computer
    that views it.

Maybe you are looking for

  • OIM Issue after upgraded to 9.1.0.2 BP07

    Hi everyone, I upgraded OIM with the bundle patch 07 but when try to connect with the OIM Admin Console (xelsysadm), I received a log error : <Apr 15, 2010 8:35:28 AM CEST> <Notice> <WebLogicServer> <BEA-000360> <Server started in RUNNING mode> ERROR

  • Account assignment category F not showing in PR & PO for stock material.

    Dear All, I have created one breakdown maintenance order in that i have planned one stock (L) material, for this reservation is created. Then i have run mrp by using tcode md03 for that material.......pr is generated. Now when i am going to convert t

  • Just spent $799.00 on Mac Mini Core Duo at 1.66MHz.....

    I bought a Mac Mini 1.66 MHz-Core Duo about 2 weeks back for $799.00 and now for the same price Apple is offerring Mac Mini-1.83MHz Core Duo and mine at $599.00. Can I exchange or get refund?

  • ESS - Leave Administration - Work flow item

    Hi experts, My PM asked me to prepare a document on ESS i got some inputs from different threads. Now I need an input regarding workflow item In Leave Administration after approval of the leave employee can delete the information which was work flow

  • How do you Trim a CHAR field

    Hello, I have a field 'A' that is CHAR(8) How do I trim this field to compare with other records that are Varchar2() fields? Will the Trim function work? like trim(A). I know you can trim a Varchar2 field.