Dynaminc display of date
Hi guys,
I got a problem displaying the data in the selection screen..I got a radiobutton i need to give some discription for the radiobutton such that it should display the previous days date dynamically...
eg: * activity for "15/05/2005"..
So the date should be dynamic it should show the previous days date.
Hope u understood my problem.....Pls help me out ASAP.......
Hi,
Try this:
SELECTION-SCREEN COMMENT /1(50) comm1 MODIF ID mg1.
SELECTION-SCREEN ULINE.
SELECTION-SCREEN SKIP.
SELECTION-SCREEN COMMENT /1(30) comm2.
SELECTION-SCREEN ULINE /1(50).
selection-screen begin of line.
SELECTION-SCREEN COMMENT 1(30) comm3.
PARAMETERS: r1 RADIOBUTTON GROUP rad1.
selection-screen end of line.
parameters: r2 RADIOBUTTON GROUP rad1,
r3 RADIOBUTTON GROUP rad1.
SELECTION-SCREEN ULINE /1(50).
AT SELECTION-SCREEN OUTPUT.
comm1 ='Selection Screen'.
comm2 ='Select one'.
comm3 = sy-datum.
LOOP AT SCREEN.
IF screen-group1 = 'MG1'.
screen-intensified = '1'.
MODIFY SCREEN.
ENDIF.
ENDLOOP.
I've found the example in the Online Help and added the line with the date.
HTH
Stefan
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Strange scenario,Oracle can not display the data in mysql correctly
I use Heterogeneous Service+ODBC to achieve "oracle access mysql"(any other method?),and now i find Oracle can not display the data in mysql correctly:
-------mysql------------
mysql> create table tst(id int,name varchar(10));
Query OK, 0 rows affected (0.00 sec)
mysql> insert into tst values(1,'a');
Query OK, 1 row affected (0.00 sec)
mysql> select * from tst;
------------+
| id | name |
------------+
| 1 | a |
------------+
1 row in set (0.00 sec)
mysql> show create table tst\G
*************************** 1. row ***************************
Table: tst
Create Table: CREATE TABLE `tst` (
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-------------oracle ------------------
SQL> select count(*) from "tst"@mysql;
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SQL> desc "tst"@mysql;
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"select * from the_table where movietitle = ? and cinema = ?"
then you set movietitle and cinema to those which the user selected. If the resultset contains more than 0 rows, that means the movie is available.
Below is the sample code, it assumes you have a connection to the database:
PreparedStatement stat = myConnection.prepareStatement("select * from the_table where movietitle = ? and cinema = ?");
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Hi All,
I can able to display the data through the FM REUSE_ALV_GRID_DISPLAY in the out put screen.When I click on the Microsoft Excel (CtrlShiftF7) at the ALV toolbar to view the same data in excel sheet it does open the excel sheet WITHOUT ANY DATA. Please help me how to make the data visible in the excel sheet.
Can anyone help in this regard.
Thanks & Regards,
Seshadri GHi,
Check whether the tool bar export is disabled in the alv.
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refer the code below.
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lv_fullpath TYPE string,
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v_fnam TYPE string,
lc_date(15) TYPE c.
TYPES: BEGIN OF ts_fieldnames,
field_name(1000),
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lc_c = 'C:\'.
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ls_fieldnames TYPE ts_fieldnames,
lt_fieldnames1 TYPE STANDARD TABLE OF ts_fieldnames,
ls_fieldnames1 TYPE ts_fieldnames,
lt_fieldnames2 TYPE STANDARD TABLE OF ts_fieldnames,
ls_fieldnames2 TYPE ts_fieldnames,
lt_fieldnames3 TYPE STANDARD TABLE OF ts_fieldnames,
ls_fieldnames3 TYPE ts_fieldnames,
lt_fieldnames5 TYPE STANDARD TABLE OF ts_fieldnames,
ls_fieldnames5 TYPE ts_fieldnames.
CONCATENATE 'ContractAccount'
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'ClearingDocumentNumber'
INTO ls_fieldnames-field_name SEPARATED BY
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CONCATENATE '' ''
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CONCATENATE 'ContractAccount'
'Reference/InvoiceDocumentNumber'
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path = lc_c
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sheron -
DataGrid does not display XML data
Hello, and thanks for reading this...
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The data is coming from a Tree control, which is receiving it
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If it would be helpful to see the actual XML, a sample is
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http://www.anaheimwib.com/_login/get_all_orders_test2.php
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Following is a summary of the relevant code.
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In debug mode, I can examine the datagrid's dataProvider
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Does anyone have any advice?
Thanks for your time.Hello again,
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So, I just had to manually go through the selected Tree node,
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It's not elegant, but it works and I don't have to use a Label
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Cannot display the data from a varaible in front end
hi,
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In OEO:
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the data acceptence from oeo is working fine and the backend or the database part(program, rolllups etc) are working fine. when values are passed thru express command box the program is working fine.
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i not able to display the data in the table from the variable.
steps how the module should work.
In OEO:
1. data to be accepted from user, values to be passed to the program in database according to the data accepted.
In Oracle Express:
2. values is accepted in database program as arguments. according to arguments the limits are applied and calculation is made for leaf level and then assigned to variable
3. rollup is called in database program.
In OEO:
4. the data is shown in tables here the user can limit his view of the data according to his needs.
my problem:
the data acceptence from oeo is working fine and the backend or the database part(program, rolllups etc) are working fine. when values are passed thru express command box the program is working fine.
i am not able to get the calculated data form the variable which stores it and display in the table. the database connectivity is fine.
note: the display of data in table is in other page not in the data acceptence page.
pls also let me know how to check in oracle administrator whether the values sent from oeo and accepted in backend properly.
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Product Revenue Bookings and Backlog Dashboard does not display any data
Product Revenue Bookings and Backlog Dashboard does not display any data even though the load completed successfully.
They are able to see just the parameters.
Not sure if the upgrade of the database from 9.2.0.6 to 10.2.0.3 is a factor.
What can I check?
Is there some table to verify that the data exists for display in the Product Revenue Bookings and Backlog Dashboard?
Screenshot is at:
https://gtcr.oracle.com/gtcr-dir/gtcr_5637/6415786.993/Product_Revenue_Bookings_Backlog_Dashboard.doc
Support suggested to create a new request set and run the initial load with load all summaries option; but there was no change in the Product Revenue Bookings and Backlog Dashboard.
Any ideas?hi
We have faced the similar problem after the upgrade to 10G
What we did was
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we were able to get the data once the clear and load is completed successfully
Regards
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Display of data in a single row
Hi
Here is my query:
SELECT
--Element Classification Details:
pec.CLASSIFICATION_ID,
pec.classification_name,
pec1.classification_id "Sub Classification Id",
DECODE(pec1.classification_name,'Other Deductions', 'Other Deductions',
'Others Voluntary Deductions', 'Other Deductions',
'Personal Deductions', 'Personal Deductions',
'Personal Voluntary Deductions', 'Personal Deductions',
'Car Loan Deductions') "Sub Classification",
pec1.parent_classification_id,
scr.sub_classification_rule_id,
--Element Details:
pet.element_name, pet.element_type_id, pet.reporting_name,
DECODE(pet.processing_type, 'R', 'Recurring', 'Nonrecurring') "Processing Type",
pet.EFFECTIVE_START_DATE, pet.EFFECTIVE_END_DATE,
--Run Result Details:
prr.run_result_id,
TO_NUMBER(NVL(prrv.RESULT_VALUE, 0)) "Amount",
piv.NAME "Input Value",
--Assignment Details:
paa.assignment_id,
--Time Period
ptp.START_DATE, ptp.end_date,
ptp.period_name "Payroll Period"
FROM hr.pay_element_classifications pec,
hr.pay_element_classifications pec1,
hr.pay_sub_classification_rules_f scr,
hr.pay_element_types_f pet,
hr.pay_run_results prr,
hr.pay_run_result_values prrv,
hr.pay_input_values_f piv,
hr.pay_assignment_actions assact,
hr.per_all_assignments_f paa,
hr.pay_payroll_actions payroll,
hr.per_time_periods ptp
WHERE
pec.classification_id = pec1.parent_classification_id (+)
AND scr.classification_id = pec1.classification_id
AND pet.classification_id = pec.classification_id
AND scr.element_type_id = pet.element_type_id
AND pet.ELEMENT_TYPE_ID = prr.ELEMENT_TYPE_ID
AND prr.run_result_id = prrv.run_result_id
AND piv.input_value_id = prrv.input_value_id
AND assact.ASSIGNMENT_ACTION_ID = prr.ASSIGNMENT_ACTION_ID
AND paa.ASSIGNMENT_ID = assact.ASSIGNMENT_ID
AND payroll.payroll_action_id = assact.PAYROLL_ACTION_ID
AND ptp.TIME_PERIOD_ID = payroll.time_period_id
AND ptp.end_date BETWEEN scr.EFFECTIVE_START_DATE AND scr.EFFECTIVE_END_DATE
AND ptp.end_date BETWEEN pet.effective_start_date AND pet.effective_end_date
AND ptp.end_date BETWEEN paa.EFFECTIVE_START_DATE AND paa.EFFECTIVE_END_DATE
AND pec.CLASSIFICATION_NAME IN ('Voluntary Deductions', 'Pre-Tax Deductions')
AND pec1.classification_name LIKE '%Deduction%'
AND piv.name = 'Pay Value'
AND paa.payroll_id != 0
AND paa.pay_basis_id != 0
AND paa.ASSIGNMENT_ID = '560'
I needed to display the amounts as separate columns pertaining to different elements or rather different sub classification of the elements
This is the final expected result for the report:
Employee Personal Deductions PD Amount Other Deductions OD Amt
XYZ Element1 00000.00 Element3 0000.00
Element 2
Car Loan Deductions CLD Amt Total Deductions (Total of all three)
Element4 00000.00 00000000.00
Here Personal Deductions, Other, Car Loan etc. are grouping of elements (sub classifications)
I have used MAX function to display the results as separate columns like this:
SELECT
--Run Result Details:
prr.run_result_id,
MAX(DECODE(pec1.classification_name, 'Personal Deductions', TO_NUMBER(NVL(prrv.RESULT_VALUE, 0)))) "Personal Deductions",
MAX(DECODE(pec1.classification_name, 'Personal Voluntary Deductions', TO_NUMBER(NVL(prrv.RESULT_VALUE, 0)))) "Personal V Deductions",
MAX(DECODE(pec1.classification_name, 'Other Deductions', TO_NUMBER(NVL(prrv.RESULT_VALUE, 0)))) "Other Deductions",
MAX(DECODE(pec1.classification_name, 'Others Voluntary Deductions', TO_NUMBER(NVL(prrv.RESULT_VALUE, 0)))) "Others V Deductions",
MAX(DECODE(pec1.classification_name, 'Car Loan Deductions', TO_NUMBER(NVL(prrv.RESULT_VALUE, 0)))) "Car Loan Deductions"
/*--Assignment Details:
paa.assignment_id,
--Time Period
ptp.START_DATE, ptp.end_date,
ptp.period_name "Payroll Period"*/
FROM hr.pay_element_classifications pec,
hr.pay_element_classifications pec1,
hr.pay_sub_classification_rules_f scr,
hr.pay_element_types_f pet,
hr.pay_run_results prr,
hr.pay_run_result_values prrv,
hr.pay_input_values_f piv
/*hr.pay_assignment_actions assact,
hr.per_all_assignments_f paa,
hr.pay_payroll_actions payroll,
hr.per_time_periods ptp*/
WHERE
pec.classification_id = pec1.parent_classification_id (+)
AND scr.classification_id = pec1.classification_id
AND pet.classification_id = pec.classification_id
AND scr.element_type_id = pet.element_type_id
AND pet.ELEMENT_TYPE_ID = prr.ELEMENT_TYPE_ID
AND prr.run_result_id = prrv.run_result_id
AND piv.input_value_id = prrv.input_value_id
/*AND assact.ASSIGNMENT_ACTION_ID = prr.ASSIGNMENT_ACTION_ID
AND paa.ASSIGNMENT_ID = assact.ASSIGNMENT_ID
AND payroll.payroll_action_id = assact.PAYROLL_ACTION_ID
AND ptp.TIME_PERIOD_ID = payroll.time_period_id
--and pet.element_NAME like 'IVTB%'
AND ptp.end_date BETWEEN scr.EFFECTIVE_START_DATE AND scr.EFFECTIVE_END_DATE
AND ptp.end_date BETWEEN pet.effective_start_date AND pet.effective_end_date
AND ptp.end_date BETWEEN paa.EFFECTIVE_START_DATE AND paa.EFFECTIVE_END_DATE*/
AND pec.CLASSIFICATION_NAME IN ('Voluntary Deductions', 'Pre-Tax Deductions')
AND pec1.classification_name LIKE '%Deduction%'
AND piv.name = 'Pay Value'
--and paa.PRIMARY_FLAG like 'Y%'
/*AND paa.payroll_id != 0
AND paa.pay_basis_id != 0*/
GROUP BY
prr.run_result_id
However, the fact is that my each element_type_id has each run_result_id, which means 1 element has 1 run result id. Thus, I cannot display the data in a single row.
Can someone guide me on this? How can I display the data for an employee as a single row?
Thanks and regards,
AparnaSELECT EMP_ID,
Sum(Decode(DECODE(pec1.classification_name,'Other Deductions', 'Other Deductions','Others Voluntary Deductions', 'Other Deductions'),'Other Deductions',TO_NUMBER(NVL(prrv.RESULT_VALUE, 0)))) 'Other deduction',
sum(Decode(DECODE(pec1.classification_name,'Personal Deductions', 'Personal Deductions', 'Personal Voluntary Deductions', 'Personal Deductions'),'Personal Deductions'),TO_NUMBER(NVL(prrv.RESULT_VALUE, 0)))) 'Personal deduction',
sum(DECODE(pec1.classification_name,'Car Loan Deductions',TO_NUMBER(NVL(prrv.RESULT_VALUE, 0)))) 'Car deduction'
FROM hr.pay_element_classifications pec,
hr.pay_element_classifications pec1,
hr.pay_sub_classification_rules_f scr,
hr.pay_element_types_f pet,
hr.pay_run_results prr,
hr.pay_run_result_values prrv,
hr.pay_input_values_f piv,
hr.pay_assignment_actions assact,
hr.per_all_assignments_f paa,
hr.pay_payroll_actions payroll,
hr.per_time_periods ptp
WHERE
pec.classification_id = pec1.parent_classification_id (+)
AND scr.classification_id = pec1.classification_id
AND pet.classification_id = pec.classification_id
AND scr.element_type_id = pet.element_type_id
AND pet.ELEMENT_TYPE_ID = prr.ELEMENT_TYPE_ID
AND prr.run_result_id = prrv.run_result_id
AND piv.input_value_id = prrv.input_value_id
AND assact.ASSIGNMENT_ACTION_ID = prr.ASSIGNMENT_ACTION_ID
AND paa.ASSIGNMENT_ID = assact.ASSIGNMENT_ID
AND payroll.payroll_action_id = assact.PAYROLL_ACTION_ID
AND ptp.TIME_PERIOD_ID = payroll.time_period_id
AND ptp.end_date BETWEEN scr.EFFECTIVE_START_DATE AND scr.EFFECTIVE_END_DATE
AND ptp.end_date BETWEEN pet.effective_start_date AND pet.effective_end_date
AND ptp.end_date BETWEEN paa.EFFECTIVE_START_DATE AND paa.EFFECTIVE_END_DATE
AND pec.CLASSIFICATION_NAME IN ('Voluntary Deductions', 'Pre-Tax Deductions')
AND pec1.classification_name LIKE '%Deduction%'
AND piv.name = 'Pay Value'
AND paa.payroll_id != 0
AND paa.pay_basis_id != 0
I hope this may help!
Brijesh -
Calculating the total in alv and displaying the date
Hi,
I am trying to calculate the totals of netwr and fkimg in a report but the following coding cannot giv me the right answer so if there is anyone with the solution for this problem may you please help me out and how can i display the date on my report......here is my coding:
REPORT Z_DAILY_STOCK_NEW.
TYPE-POOLS: SLIS.
TABLES
TABLES: vbrk, kna1,vbrp,vbap,vbak, sflight.
ALV FIELDS
DATA: it_fieldcat TYPE SLIS_T_FIELDCAT_ALV WITH HEADER LINE,
wa_fieldcat TYPE slis_fieldcat_alv.
DATA: w_cnt LIKE sy-tabix.
total ref to data.
t_alv LIKE TABLE OF s_error WITH HEADER LINE.
DATA: gr_layout TYPE slis_layout_alv,
gr_tab_group TYPE slis_t_sp_group_alv,
gr_repid LIKE sy-repid,
gr_events TYPE slis_t_event,
gr_print TYPE slis_print_alv,
gr_user TYPE slis_formname VALUE 'USER_COMMAND'.
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SELECT-OPTIONS:
s_werks FOR vbrp-werks,
s_auart FOR vbak-auart.
DEFINITION OF AN INTERNAL TABLE
DATA: begin of i_stocktab occurs 0,
kunag LIKE vbrk-kunag,
name1 LIKE kna1-name1,
ort01 LIKE kna1-ort01,
inco1 LIKE vbrk-inco1,
vkgrp LIKE vbrp-vkgrp,
fkimg LIKE vbrp-fkimg,
netwr LIKE vbrk-netwr,
end of i_stocktab.
START OF SELECTION
SELECT vbrkkunag kna1name1 kna1ort01 vbrkinco1 vbrp~vkgrp
vbrpfkimg vbrknetwr
FROM kna1 inner join vbrk on kna1kunnr EQ vbrkkunrg
inner join vbak on kna1kunnr EQ vbakkunnr
inner join vbrp on vbrkvbeln EQ vbrpvbeln
INTO i_stocktab
WHERE vbrp~werks IN s_werks
AND vbak~auart IN s_auart.
APPEND i_stocktab.
ENDSELECT.
*DATA tb_alv TYPE i_stocktab WITH HEADER LINE.
PERFORM build_fieldcatalog.
PERFORM build_layout.
PERFORM build_event.
PERFORM build_print.
PERFORM calc_total.
PERFORM display_alv_report.
FORM build_fieldcatalog.
w_cnt = 1.
it_fieldcat-fieldname = 'KUNAG'.
it_fieldcat-seltext_m = 'Soldtp'.
it_fieldcat-col_pos = w_cnt.
it_fieldcat-emphasize = 'X'.
it_fieldcat-key = 'X'.
APPEND it_fieldcat TO it_fieldcat.
CLEAR it_fieldcat.
w_cnt = w_cnt + 1.
it_fieldcat-fieldname = 'NAME1'.
it_fieldcat-seltext_m = 'Name'.
it_fieldcat-col_pos = w_cnt.
it_fieldcat-emphasize = 'X'.
APPEND it_fieldcat TO it_fieldcat.
CLEAR it_fieldcat.
w_cnt = w_cnt + 1.
it_fieldcat-fieldname = 'ORT01'.
it_fieldcat-seltext_m = 'City'.
it_fieldcat-col_pos = w_cnt.
it_fieldcat-emphasize = 'X'.
APPEND it_fieldcat TO it_fieldcat.
CLEAR it_fieldcat.
w_cnt = w_cnt + 1.
it_fieldcat-fieldname = 'INC01'.
it_fieldcat-seltext_m = 'Incoterms'.
it_fieldcat-col_pos = w_cnt.
it_fieldcat-emphasize = 'X'.
APPEND it_fieldcat TO it_fieldcat.
CLEAR it_fieldcat.
w_cnt = w_cnt + 1.
it_fieldcat-fieldname = 'VKGRP'.
it_fieldcat-seltext_m = 'Sales Group'.
it_fieldcat-col_pos = w_cnt.
it_fieldcat-emphasize = 'X'.
APPEND it_fieldcat TO it_fieldcat.
CLEAR it_fieldcat.
w_cnt = w_cnt + 1.
it_fieldcat-fieldname = 'FKIMG'.
it_fieldcat-seltext_m = 'Invoiced Qty'.
it_fieldcat-col_pos = w_cnt.
it_fieldcat-emphasize = 'X'.
*it_fieldcat-do_sum = 'x'.
APPEND it_fieldcat TO it_fieldcat.
CLEAR it_fieldcat.
w_cnt = w_cnt + 1.
it_fieldcat-fieldname = 'NETWR'.
it_fieldcat-seltext_m = 'Invoiced Value'.
it_fieldcat-col_pos = w_cnt.
it_fieldcat-emphasize = 'X'.
it_fieldcat-do_sum = 'x'.
APPEND it_fieldcat TO it_fieldcat.
CLEAR it_fieldcat.
ENDFORM.
FORM build_layout.
gr_layout-no_input = 'X'.
gr_layout-colwidth_optimize = 'X'.
gr_layout-totals_text = 'Totals: '(201).
gr_layout-detail_popup = 'X'.
ENDFORM.
FORM build_event.
DATA i_event TYPE slis_alv_event.
CALL FUNCTION 'REUSE_ALV_EVENTS_GET'
EXPORTING
i_list_type = 0
IMPORTING
et_events = gr_events[].
READ TABLE gr_events WITH KEY name = slis_ev_user_command
INTO i_event.
if sy-subrc = 0.
MOVE gr_user TO i_event-form.
APPEND i_event TO gr_events.
endif.
ENDFORM.
*FORM calc_total.
LOOP AT it_fieldcat into wa_fieldcat
WHERE fieldname EQ 'FKIMG' OR
fieldname EQ 'NETWR'.
wa_fieldcat-do_sum = 'X'.
wa_fieldcat-datatype = 'QUAT'.
modify it_fieldcat from wa_fieldcat.
ENDLOOP.
*ENDFORM.
FORM build_print.
gr_print-reserve_lines = '2'.
gr_print-no_coverpage = 'X'.
ENDFORM.
FORM calc_total.
DATA: total type ref to data,
subtotal1 type ref to data.
field-symbols <fkimg> like sflight.
field-symbols <netwr> like sflight.
call method grid1-> get_subtotals
importing
ep_collect00 = subtotal
ep_collect01 = total.
assign total to <fkimg>.
assign total to <netwr>.
ENDFORM.
*& FUNCTION ALV DISPLAY
FORM display_alv_report.
gr_repid = sy-repid.
CALL FUNCTION 'REUSE_ALV_GRID_DISPLAY'
EXPORTING
I_CALLBACK_PROGRAM = gr_repid
I_CALLBACK_USER_COMMAND = slis_ev_user_command
I_CALLBACK_TOP_OF_PAGE = 'TOP-OF-PAGE' " see FORM
IS_LAYOUT = gr_layout
IT_FIELDCAT = it_fieldcat[]
IT_SPECIAL_GROUPS = gr_tab_group
I_SAVE = 'X'
IT_EVENTS = gr_events
IS_PRINT = gr_print
TABLES
t_outtab = i_stocktab
EXCEPTIONS
PROGRAM_ERROR = 1
OTHERS = 2.
IF sy-subrc <> 0.
ENDIF.
ENDFORM.
FORM top-of-page.
*ALV Header deaclarations
DATA: t_header TYPE slis_t_listheader,
wa_header TYPE slis_listheader,
t_line LIKE wa_header-info,
ld_lines TYPE i,
ld_linesc TYPE c.
*Title
wa_header-typ = 'H'.
wa_header-info = 'Report for daily Stock Returns'.
APPEND wa_header TO t_header.
CLEAR wa_header.
*Total No. Records Selected
DESCRIBE TABLE i_stocktab LINES ld_lines.
ld_linesc = ld_lines.
CONCATENATE 'Total No. of Records Selected:' ld_linesc
INTO t_line SEPARATED BY space.
wa_header-typ = 'A'.
wa_header-info = t_line.
APPEND wa_header TO t_header.
CLEAR: wa_header, t_line.
CALL FUNCTION 'REUSE_ALV_COMMENTARY_WRITE'
EXPORTING
it_list_commentary = t_header.
ENDFORM.Try This
REPORT z_daily_stock_new.
TYPE-POOLS: slis.
* TABLES
TABLES: vbrk, kna1,vbrp,vbap,vbak, sflight.
* ALV FIELDS
DATA: it_fieldcat TYPE slis_t_fieldcat_alv WITH HEADER LINE,
wa_fieldcat TYPE slis_fieldcat_alv.
DATA: w_cnt LIKE sy-tabix.
* total ref to data.
* t_alv LIKE TABLE OF s_error WITH HEADER LINE.
DATA: gr_layout TYPE slis_layout_alv,
gr_tab_group TYPE slis_t_sp_group_alv,
gr_repid LIKE sy-repid,
gr_events TYPE slis_t_event,
gr_print TYPE slis_print_alv,
gr_user TYPE slis_formname VALUE 'USER_COMMAND'.
* SELECTION SCREEN
SELECT-OPTIONS:
s_werks FOR vbrp-werks,
s_auart FOR vbak-auart.
* DEFINITION OF AN INTERNAL TABLE
DATA: BEGIN OF i_stocktab OCCURS 0,
kunag LIKE vbrk-kunag,
name1 LIKE kna1-name1,
ort01 LIKE kna1-ort01,
inco1 LIKE vbrk-inco1,
vkgrp LIKE vbrp-vkgrp,
fkimg LIKE vbrp-fkimg,
netwr LIKE vbrk-netwr,
END OF i_stocktab.
* START OF SELECTION
SELECT vbrk~kunag kna1~name1 kna1~ort01 vbrk~inco1 vbrp~vkgrp
vbrp~fkimg vbrk~netwr
FROM kna1 INNER JOIN vbrk ON kna1~kunnr EQ vbrk~kunrg
INNER JOIN vbak ON kna1~kunnr EQ vbak~kunnr
INNER JOIN vbrp ON vbrk~vbeln EQ vbrp~vbeln
INTO i_stocktab
WHERE vbrp~werks IN s_werks
AND vbak~auart IN s_auart.
APPEND i_stocktab.
ENDSELECT.
*DATA tb_alv TYPE i_stocktab WITH HEADER LINE.
PERFORM build_fieldcatalog.
PERFORM build_layout.
PERFORM build_event.
PERFORM build_print.
PERFORM calc_total.
PERFORM display_alv_report.
* FORM build_fieldcatalog *
FORM build_fieldcatalog.
w_cnt = 1.
it_fieldcat-fieldname = 'KUNAG'.
it_fieldcat-seltext_m = 'Soldtp'.
it_fieldcat-emphasize = 'X'.
it_fieldcat-key = 'X'.
APPEND it_fieldcat TO it_fieldcat.
CLEAR it_fieldcat.
w_cnt = w_cnt + 1.
it_fieldcat-fieldname = 'NAME1'.
it_fieldcat-seltext_m = 'Name'.
it_fieldcat-emphasize = 'X'.
APPEND it_fieldcat TO it_fieldcat.
CLEAR it_fieldcat.
w_cnt = w_cnt + 1.
it_fieldcat-fieldname = 'ORT01'.
it_fieldcat-seltext_m = 'City'.
it_fieldcat-col_pos = w_cnt.
it_fieldcat-emphasize = 'X'.
APPEND it_fieldcat TO it_fieldcat.
CLEAR it_fieldcat.
* w_cnt = w_cnt + 1.
* it_fieldcat-fieldname = 'INC01'.
* it_fieldcat-seltext_m = 'Incoterms'.
* it_fieldcat-emphasize = 'X'.
* APPEND it_fieldcat TO it_fieldcat.
* CLEAR it_fieldcat.
w_cnt = w_cnt + 1.
it_fieldcat-fieldname = 'VKGRP'.
it_fieldcat-seltext_m = 'Sales Group'.
APPEND it_fieldcat TO it_fieldcat.
CLEAR it_fieldcat.
w_cnt = w_cnt + 1.
it_fieldcat-fieldname = 'FKIMG'.
it_fieldcat-seltext_m = 'Invoiced Qty'.
it_fieldcat-emphasize = 'X'.
it_fieldcat-ref_tabname = 'VBRP' .
it_fieldcat-ref_fieldname = 'FKIMG' .
it_fieldcat-do_sum = 'X' .
* *it_fieldcat-do_sum = 'x'.
APPEND it_fieldcat TO it_fieldcat.
CLEAR it_fieldcat.
w_cnt = w_cnt + 1.
clear it_fieldcat .
it_fieldcat-fieldname = 'NETWR'.
it_fieldcat-seltext_m = 'Invoiced Value'.
it_fieldcat-emphasize = 'X'.
it_fieldcat-ref_tabname = 'VBRP' .
it_fieldcat-ref_fieldname = 'NETWR' .
it_fieldcat-do_sum = 'X' .
* it_fieldcat-do_sum = 'x'.
APPEND it_fieldcat TO it_fieldcat.
CLEAR it_fieldcat.
ENDFORM.
* FORM build_layout *
FORM build_layout.
gr_layout-no_input = 'X'.
gr_layout-colwidth_optimize = 'X'.
gr_layout-totals_text = 'Totals: '(201).
gr_layout-detail_popup = 'X'.
ENDFORM.
* FORM build_event *
FORM build_event.
DATA i_event TYPE slis_alv_event.
CALL FUNCTION 'REUSE_ALV_EVENTS_GET'
EXPORTING
i_list_type = 0
IMPORTING
et_events = gr_events[].
READ TABLE gr_events WITH KEY name = slis_ev_user_command
INTO i_event.
IF sy-subrc = 0.
MOVE gr_user TO i_event-form.
APPEND i_event TO gr_events.
ENDIF.
ENDFORM.
*FORM calc_total.
* LOOP AT it_fieldcat into wa_fieldcat
* WHERE fieldname EQ 'FKIMG' OR
* fieldname EQ 'NETWR'.
* wa_fieldcat-do_sum = 'X'.
* wa_fieldcat-datatype = 'QUAT'.
* modify it_fieldcat from wa_fieldcat.
* ENDLOOP.
*ENDFORM.
FORM build_print.
gr_print-reserve_lines = '2'.
gr_print-no_coverpage = 'X'.
ENDFORM.
* FORM calc_total *
FORM calc_total.
DATA: total TYPE REF TO data,
subtotal1 TYPE REF TO data.
* FIELD-SYMBOLS <fkimg> LIKE sflight.
* FIELD-SYMBOLS <netwr> LIKE sflight.
* CALL METHOD grid1-> get_subtotals
* IMPORTING
* ep_collect00 = subtotal
* ep_collect01 = total.
* ASSIGN total TO <fkimg>.
* ASSIGN total TO <netwr>.
ENDFORM.
*& FUNCTION ALV DISPLAY
FORM display_alv_report.
gr_repid = sy-repid.
CALL FUNCTION 'REUSE_ALV_GRID_DISPLAY'
EXPORTING
i_callback_program = gr_repid
i_callback_user_command = slis_ev_user_command
i_callback_top_of_page = 'TOP-OF-PAGE' " see FORM
is_layout = gr_layout
it_fieldcat = it_fieldcat[]
it_special_groups = gr_tab_group
i_save = 'X'
it_events = gr_events
is_print = gr_print
TABLES
t_outtab = i_stocktab
EXCEPTIONS
program_error = 1
OTHERS = 2.
IF sy-subrc <> 0.
ENDIF.
ENDFORM.
* FORM top-of-page *
FORM top-of-page.
*ALV Header deaclarations
DATA: t_header TYPE slis_t_listheader,
wa_header TYPE slis_listheader,
t_line LIKE wa_header-info,
ld_lines TYPE i,
ld_linesc TYPE c.
*Title
wa_header-typ = 'H'.
wa_header-info = 'Report for daily Stock Returns'.
APPEND wa_header TO t_header.
CLEAR wa_header.
*Total No. Records Selected
DESCRIBE TABLE i_stocktab LINES ld_lines.
ld_linesc = ld_lines.
CONCATENATE 'Total No. of Records Selected:' ld_linesc
INTO t_line SEPARATED BY space.
wa_header-typ = 'A'.
wa_header-info = t_line.
APPEND wa_header TO t_header.
CLEAR: wa_header, t_line.
CALL FUNCTION 'REUSE_ALV_COMMENTARY_WRITE'
EXPORTING
it_list_commentary = t_header.
ENDFORM. -
DEFECT: (Serious!) Truncates display of data in multi-byte environment
I have an oracle 10g database set up with the following nls parameters:
NLS_CALENDAR GREGORIAN
NLS_CHARACTERSET AL32UTF8
NLS_COMP LINGUISTIC
NLS_CURRENCY $
NLS_DATE_FORMAT DD-MON-YYYY
NLS_DATE_LANGUAGE AMERICAN
NLS_DUAL_CURRENCY $
NLS_ISO_CURRENCY AMERICA
NLS_LANGUAGE AMERICAN
NLS_LENGTH_SEMANTICS CHAR
NLS_NCHAR_CHARACTERSET UTF8
NLS_NCHAR_CONV_EXCP TRUE
NLS_NUMERIC_CHARACTERS .,
NLS_RDBMS_VERSION 10.2.0.3.0
NLS_SORT BINARY
NLS_TERRITORY AMERICA
NLS_TIMESTAMP_FORMAT DD-MON-RR HH.MI.SSXFF AM
NLS_TIMESTAMP_TZ_FORMAT DD-MON-RR HH.MI.SSXFF AM TZR
NLS_TIME_FORMAT HH.MI.SSXFF AM
NLS_TIME_TZ_FORMAT HH.MI.SSXFF AM TZR
I am querying a view in sqlserver 2000 via an odbc database link.
When I query a 26 character wide column in the view in sql developer, it will only return up to 13 characters of the data.
When I query the exact same view in the exact same sql server database from the extact same oracle database using the exact same odbc database link using sql navigator, I get the full 26 characters worth of data.
It also works just fine from the sql command line tool from 10g express.
Apparently, sql developer is confused about how to handle multi-byte data. If you ask it the length of the data in the column, it will tell you 26, but it will only show you 13.
I have found a VERY PAINFUL work around, to do a cast(column_name as varchar2(26) when I query it. But I've got hundreds of views and queries...In all other respects, the settings I have appear to be working correctly.
I can enter multi-byte characters into the sql worksheet to create a package, save it, and re-open the package with the multi-byte characters still visible.
I'm using a fallback directory for my jdk with the correct font installed, so I can see and edit multi-byte data in the data grids.
In this case, I noticed the problem on a column that only contains the standard ascii letters and digits.
Environment->Encoding = UTF-16
All the fonts are set to a font that properly displays western and ge'ez characters. The font has been in use for years, and is working correctly in all other circumstances.
The Database->NLS Parameters tab under sql developer preferences shows:
language: American
territory : American
sort: binary
comp: binary
length: char (I've also tried byte)
If there are other settings that you think might be relevant, please let me know.
I've done some more testing. I created an oracle table with a single column and did an insert into ... select from statement across the database link. The correct, full-length data appeared in the oracle table.
So, it's not a matter of whether the data is being returned or not, it is. It is simply not being displayed correctly. It appears that sql developer is making some unwarranted decisions about the datatable across the database link when it decides to display the data, because sql plus and sql navigator have no such issues.
This is really a very serious problem, because if I cannot trust the data the tool shows me, I cannot trust the tool.
It is also an invitation to make an error based upon the erroneous data display. -
To display posting date in alv top of page area for transaction KOB1
I want to display posting date given on selection screen of transaction KOB1 to the alv top of page area on final alv output .
what are the possible solutions ?I want to display posting date given on selection screen of transaction KOB1 to the alv top of page area on final alv output .
what are the possible solutions ? -
How to display "No data for yesterday" in a scheduled report on Webi
Hi All,
In Webi, I am working on scheduling reports and was asked by a user if the scheduled report on Webi can display "No data for yesterday/no orders for yesterday" when the report returns no data due to No Orders submitted or a business holiday. This sounded a good idea to me as this report only looks for previous days orders/sales and there are many instances when the report will return blank page due to no activity the day before.
Can anyone please guide me on the possibility of achieving something like this on Webi using Bex query.
Any help will be appreciated .
Thanks
GauravHi,
You can format the blocks in the report as "Hide When Empty" or "Hide When [some formula]" and have a blank cell added behind these blocks with a text "No Data for Yesterday"
Need to set the relative position and ordering for this accordingly. -
How to display no data found in RTF template ? XML Publisher
Hi
I have xml file, how to display no data found in RTF template ? XML Publisher ?
This is the XML File
<?xml version="1.0" encoding="UTF-8"?>
<INVALIDSERIALPRODUCT>
<P_ORG_CODE></P_ORG_CODE><P_DATE_RANGE_FROM></P_DATE_RANGE_FROM><P_DATE_RANGE_TO></P_DATE_RANGE_TO><P_ITEM_NUMBER>VIR</P_ITEM_NUMBER><P_LOT_NUMBER></P_LOT_NUMBER><P_RMA_NUMBER_FROM></P_RMA_NUMBER_FROM><P_RMA_NUMBER_TO></P_RMA_NUMBER_TO><P_CUSTOMER_NAME></P_CUSTOMER_NAME><P_EMAIL></P_EMAIL>
<G_SNQ>
<USER_NAME>NSAWHNEY</USER_NAME>
<G_SN>
<ITEM_NUMBER>VIR823010</ITEM_NUMBER>
<DESCRIPTION/>
<LOT_NUMBER>Viread 245mg,Korea</LOT_NUMBER>
<SERIAL_NUMBER>000000000004</SERIAL_NUMBER>
<RMA_NUMBER>8200000106</RMA_NUMBER>
<CUSTOMER_NAME>Yuhan Corporation Korea</CUSTOMER_NAME>
<COUNTERFEIT_CHECK_DATE>2014-07-11T05:13:05.000-07:00</COUNTERFEIT_CHECK_DATE>
<REASON>Serial number and lot combination not valid in Axway Track-n-Trace.</REASON>
</G_SN>
<G_SN>
<ITEM_NUMBER>VIR823010</ITEM_NUMBER>
<DESCRIPTION/>
<LOT_NUMBER>Viread 245mg,Korea</LOT_NUMBER>
<SERIAL_NUMBER>000000000004</SERIAL_NUMBER>
<RMA_NUMBER>8200000106</RMA_NUMBER>
<CUSTOMER_NAME>Yuhan Corporation Korea</CUSTOMER_NAME>
<COUNTERFEIT_CHECK_DATE>2014-07-11T05:52:23.000-07:00</COUNTERFEIT_CHECK_DATE>
<REASON>Serial number and lot combination not valid in Axway Track-n-Trace.</REASON>
</G_SN>
<G_SN>
<ITEM_NUMBER>VIR823010</ITEM_NUMBER>
<DESCRIPTION/>
<LOT_NUMBER>Viread 245mg,Korea</LOT_NUMBER>
<SERIAL_NUMBER>000000000016</SERIAL_NUMBER>
<RMA_NUMBER>8200000106</RMA_NUMBER>
<CUSTOMER_NAME>Yuhan Corporation Korea</CUSTOMER_NAME>
<COUNTERFEIT_CHECK_DATE>2014-07-11T05:53:06.000-07:00</COUNTERFEIT_CHECK_DATE>
<REASON>Serial number and lot combination not valid in Axway Track-n-Trace.</REASON>
</G_SN>
<G_SN>
<ITEM_NUMBER>VIR823010</ITEM_NUMBER>
<DESCRIPTION/>
<LOT_NUMBER>Viread 245mg,Korea</LOT_NUMBER>
<SERIAL_NUMBER>011000000011</SERIAL_NUMBER>
<RMA_NUMBER>8200000106</RMA_NUMBER>
<CUSTOMER_NAME>Yuhan Corporation Korea</CUSTOMER_NAME>
<COUNTERFEIT_CHECK_DATE>2014-07-11T06:09:16.000-07:00</COUNTERFEIT_CHECK_DATE>
<REASON>Serial number does not exist in Axway Track-n-Trace</REASON>
</G_SN>
<G_SN>
<ITEM_NUMBER>VIR823010</ITEM_NUMBER>
<DESCRIPTION/>
<LOT_NUMBER>Viread 245mg,Korea</LOT_NUMBER>
<SERIAL_NUMBER>000000000021</SERIAL_NUMBER>
<RMA_NUMBER>8200000106</RMA_NUMBER>
<CUSTOMER_NAME>Yuhan Corporation Korea</CUSTOMER_NAME>
<COUNTERFEIT_CHECK_DATE>2014-07-11T06:11:09.000-07:00</COUNTERFEIT_CHECK_DATE>
<REASON>Serial number and lot combination not valid in Axway Track-n-Trace.</REASON>
</G_SN>
<G_SN>
<ITEM_NUMBER>VIR823010</ITEM_NUMBER>
<DESCRIPTION/>
<LOT_NUMBER>Viread 245mg,Korea</LOT_NUMBER>
<SERIAL_NUMBER>000000000001</SERIAL_NUMBER>
<RMA_NUMBER>8200000066</RMA_NUMBER>
<CUSTOMER_NAME>Yuhan Corporation Korea</CUSTOMER_NAME>
<COUNTERFEIT_CHECK_DATE>2014-07-11T06:46:04.000-07:00</COUNTERFEIT_CHECK_DATE>
<REASON>Serial number and lot combination not valid in Axway Track-n-Trace.</REASON>
</G_SN>
<G_SN>
<ITEM_NUMBER>VIR823010</ITEM_NUMBER>
<DESCRIPTION/>
<LOT_NUMBER>Viread 245mg,Korea</LOT_NUMBER>
<SERIAL_NUMBER>000000000001</SERIAL_NUMBER>
<RMA_NUMBER>8200000066</RMA_NUMBER>
<CUSTOMER_NAME>Yuhan Corporation Korea</CUSTOMER_NAME>
<COUNTERFEIT_CHECK_DATE>2014-07-11T07:08:21.000-07:00</COUNTERFEIT_CHECK_DATE>
<REASON>Serial number and lot combination not valid in Axway Track-n-Trace.</REASON>
</G_SN>
<G_SN>
<ITEM_NUMBER>VIR823010</ITEM_NUMBER>
<DESCRIPTION/>
<LOT_NUMBER>Viread 245mg,Korea</LOT_NUMBER>
<SERIAL_NUMBER>00000000004 </SERIAL_NUMBER>
<RMA_NUMBER>8200000066</RMA_NUMBER>
<CUSTOMER_NAME>Yuhan Corporation Korea</CUSTOMER_NAME>
<COUNTERFEIT_CHECK_DATE>2014-07-11T07:13:05.000-07:00</COUNTERFEIT_CHECK_DATE>
<REASON>Unknow Error </REASON>
</G_SN>
<G_SN>
<ITEM_NUMBER>VIR823010</ITEM_NUMBER>
<DESCRIPTION/>
<LOT_NUMBER>Viread 245mg,Korea</LOT_NUMBER>
<SERIAL_NUMBER>000000000011</SERIAL_NUMBER>
<RMA_NUMBER>8200000101</RMA_NUMBER>
<CUSTOMER_NAME>Yuhan Corporation Korea</CUSTOMER_NAME>
<COUNTERFEIT_CHECK_DATE>2014-07-11T19:32:00.000-07:00</COUNTERFEIT_CHECK_DATE>
<REASON>Serial number and lot combination not valid in Axway Track-n-Trace.</REASON>
</G_SN>
<G_SN>
<ITEM_NUMBER>VIR823010</ITEM_NUMBER>
<DESCRIPTION/>
<LOT_NUMBER>Viread 245mg,Korea</LOT_NUMBER>
<SERIAL_NUMBER>000000000004</SERIAL_NUMBER>
<RMA_NUMBER>8200000107</RMA_NUMBER>
<CUSTOMER_NAME>Yuhan Corporation Korea</CUSTOMER_NAME>
<COUNTERFEIT_CHECK_DATE>2014-07-14T02:49:40.000-07:00</COUNTERFEIT_CHECK_DATE>
<REASON>Serial number and lot combination not valid in Axway Track-n-Trace.</REASON>
</G_SN>
<G_SN>
<ITEM_NUMBER>VIR823010</ITEM_NUMBER>
<DESCRIPTION/>
<LOT_NUMBER>Viread 245mg,Korea</LOT_NUMBER>
<SERIAL_NUMBER>000000000092</SERIAL_NUMBER>
<RMA_NUMBER>8200000109</RMA_NUMBER>
<CUSTOMER_NAME>Yuhan Corporation Korea</CUSTOMER_NAME>
<COUNTERFEIT_CHECK_DATE>2014-07-14T07:52:22.000-07:00</COUNTERFEIT_CHECK_DATE>
<REASON>Serial number and lot combination not valid in Axway Track-n-Trace.</REASON>
</G_SN>
<G_SN>
<ITEM_NUMBER>VIR823010</ITEM_NUMBER>
<DESCRIPTION/>
<LOT_NUMBER>Viread 245mg,Korea</LOT_NUMBER>
<SERIAL_NUMBER>000000000031</SERIAL_NUMBER>
<RMA_NUMBER>8200000109</RMA_NUMBER>
<CUSTOMER_NAME>Yuhan Corporation Korea</CUSTOMER_NAME>
<COUNTERFEIT_CHECK_DATE>2014-07-15T02:24:27.000-07:00</COUNTERFEIT_CHECK_DATE>
<REASON>Serial number and lot combination not valid in Axway Track-n-Trace.</REASON>
</G_SN>
<G_SN>
<ITEM_NUMBER>VIR823010</ITEM_NUMBER>
<DESCRIPTION/>
<LOT_NUMBER>Viread 245mg,Korea</LOT_NUMBER>
<SERIAL_NUMBER>000000000034</SERIAL_NUMBER>
<RMA_NUMBER>8200000109</RMA_NUMBER>
<CUSTOMER_NAME>Yuhan Corporation Korea</CUSTOMER_NAME>
<COUNTERFEIT_CHECK_DATE>2014-07-15T02:30:28.000-07:00</COUNTERFEIT_CHECK_DATE>
<REASON>Catchall fault scope has been executed</REASON>
</G_SN>
<G_SN>
<ITEM_NUMBER>VIR823010</ITEM_NUMBER>
<DESCRIPTION/>
<LOT_NUMBER>Viread 245mg,Korea</LOT_NUMBER>
<SERIAL_NUMBER>000000000010</SERIAL_NUMBER>
<RMA_NUMBER>8200000114</RMA_NUMBER>
<CUSTOMER_NAME>Yuhan Corporation Korea</CUSTOMER_NAME>
<COUNTERFEIT_CHECK_DATE>2014-07-15T03:36:18.000-07:00</COUNTERFEIT_CHECK_DATE>
<REASON>Serial number and lot combination not valid in Axway Track-n-Trace.</REASON>
</G_SN>
<G_SN>
<ITEM_NUMBER>VIR823010</ITEM_NUMBER>
<DESCRIPTION/>
<LOT_NUMBER>Viread 245mg,Korea</LOT_NUMBER>
<SERIAL_NUMBER>000000000158</SERIAL_NUMBER>
<RMA_NUMBER>8200000114</RMA_NUMBER>
<CUSTOMER_NAME>Yuhan Corporation Korea</CUSTOMER_NAME>
<COUNTERFEIT_CHECK_DATE>2014-07-15T04:19:48.000-07:00</COUNTERFEIT_CHECK_DATE>
<REASON>Serial number and lot combination not valid in Axway Track-n-Trace.</REASON>
</G_SN>
</G_SNQ>
</INVALIDSERIALPRODUCT>
thanks
nksThis is the General XML forum.
The homepage description says :
Discussion of the general XML language, standards (XSLT, XQuery, XMLSchema, etc.) and application management issues, suggestions and tips.
The BI Publisher forum is here :BI Publisher
So please mark this post as answered and ask again over there. -
Is it possible to display a date as (DD-MON-YYYY) in excel output using excel template in xml publisher where date should be displayed as date only not string.
I've tried to use hierarchy node variables, but it seems like you can't specify a attribute of the hierarchy such as level. So with the WBS hierarchy, if you create a hierarchy node variable, you specify the WBS value to select (If I understand this correctly). I wish I could instead specify "give me all the WBS nodes that happen to have the value of the level attribute greater or equal to 3. If I understand Juergens post, he is saying make security access so that only certain WBS levels can be returned in the query. I suppose we can try that, but that would then preclude getting the level 1 and 2 in the future if the authorization is global.
-
Display HTML data on RTF Template - EBS R12
Hi,
I have a requirement where I would like to display the data from a Rich text format to a XML Publisher report Output.
The XML Tag is currently showing all the HTML tags in its data.
Please can anyone help as too how can I display the HTML data on the RTF output.
EBS Version - R12.1.3
XML Publisher report - Using Data Template as Report source
Thanks in advance
Regards,
BMPlease have a look at this
https://blogs.oracle.com/xmlpublisher/entry/html_in_xml_support
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