Fetch the MS-Word?
Hello
Some contract templates(MS Word-2010) are storing in DOCUMENTAM
For some reason, i need to fetch them into my_abap_prog, is there any standard FM / BAPIs / Classess?
Pls. let me know how can achieve it?
Actually, i need not fetch it as a 'document'....... just i need the content / text / matter wrote on that MS-Word-2010 document
So that, i will may put that content / text into a new (preferably PDF or MS-Word2010 again) document and i will email it
Thank you
Please see [ABAP/4 OLE Automation|http://help.sap.com/printdocu/core/Print46c/en/data/pdf/BCFESDE6/BCFESDE6.pdf]. Also search the forums for OLE.
Rob
Similar Messages
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How to fetch the data from a pl/sql table and varray, with some example
I want to fetch the data using a cursor from Pl/sql table and varry and I want to update the data.
Please provide me some example.PL/SQL Table - please note that, right term is Associative Array.
Presumably you are referring to the 'often heated' back-and-forth that sometimes goes on in the forums when people refer to ANY PL/SQL type using a term with the word 'table' in it?
Curious that you then show an example of a nested table!
type emp_tab is table of employees%rowtype;
The 'right term' for that is 'nested table'. The following would be an 'associative array' or 'index-by table'
type emp_tab is table of employees%rowtype INDEX BY PLS_INTEGER;
Those used to be called 'PL/SQL tables' or 'index-by tables' but 'associative array' is the current term used.
Associative Arrays
An associative array (formerly called PL/SQL table or index-by table) is a set of key-value pairs. Each key is a unique index, used to locate the associated value with the syntax variable_name(index).
The data type of index can be either a string type or PLS_INTEGER.
Since the Oracle docs often use 'PL/SQL table' or 'index-by table' it isn't unusual for someone asking a question to use those terms also. Technically the types may not be 'tables' but it's clear what they mean when they use the term.
In PL/SQL the term 'nested table' is still used even though the PL/SQL collection is not really a table. SQL does have nested tables where the data is actually stored in a table. The PL/SQL 'nested table' type can be used as the source/destination of the SQL data from a nested table so that may be why Oracle uses that term for the PL/SQL type.
The doc that SKP referenced refers to this use:
Nested Tables
In the database, a nested table is a column type that stores an unspecified number of rows in no particular order. When you retrieve a nested table value from the database into a PL/SQL nested table variable, PL/SQL gives the rows consecutive indexes, starting at 1. -
Need to fetch the last record/row from a table
Hi,
I have a requirement like fetching the closing balance of the last record of the table and inserting the same into the opening balance of the immediatetly created next record.
In simple words, I need to fetch a value from the last row of the record.
For example, I use the below query,
select rownum, empno, ename from emp
where rownum = (select count(rownum) from emp);
But, the above query does not return any of the record.
Hence, need help on this.
Regards,
Shivakumar A
Edited by: shiva on Mar 27, 2011 10:14 PMRows in a table are inherently unordered. In order to introduce the concept of "first" and "last", you would need to specify how to order the rows which would require that there was one or more columns in the table that you could order by in order to determine the "last" record.
In your closing balance example, if we assume that there is something like a BALANCE_DATE column,
SELECT account_number, balance_amount, balance_date
FROM (
SELECT account_number,
balance_amount,
balance_date,
rank() over (partition by account_number order by balance_date desc) rnk
FROM table_of_balances )
WHERE rnk = 1Justin -
Customer Exit Variable to fetch the data from the cube..
Hello Gurus,
I am having a requirement to select the latest changed record from the cube while executing the query. where we are having the Calday as the date with a variable .
I suggested my client we can filter it at the DSO leve or Data loading level but my client dont want to distrurb the existing design so he want to perfrom the changes at the Query level only.
For Example we are having below records in the cube.
PO Material Calday Qty Price
101 ABC 1/12 100 10
101 ABC 2/12 100 10
101 ABC 3/12 100 11
I am having Calday in the selection screen as the variable.
Now from the above example i need to show the record which has been changed on 3/12.
For this i am planning to write the customer exit variable on the calday , when the user enter the range of Calday then i will fetch the whole records which fall in between the range and i will sort each PO with respect to the date and i will pick those which are the latest records.
My Concerns:
!. Kindly let me know if it is possible and what are the other things that i need to consider.
2. Did it will impact the performance.
Waiting for your quick replies
Thanks & Regards
KKHi Mate,
Sorry for late reply.
By d way in your word.
initially when the user enter the date range as the vairable input. suppose 1/12 to 31/12 then i will pick all those records which fall in this range.
suppose the records are
PO Date
P1 01/12
P1 02/12
P2 02/12
P2 03/12
P3 03/12
P3 04/12
In the customer exit variable Now for each PO i will sort the date in ascending order and i will pick the last record to display it in the Report.
The ouput will be
PO Date
P1 02/12
P2 03/12
P3 04/12
Now hope you are aware about exit variable concept.
so what value will pass in the calday filter.
here after sorting on each PO , you will get 3 different dates, 02/12 for P1
03/12 for P2
and 04/12 for P3
Now if you are aware about exit variable concept, then you will pass this three date to CALDAY(I_t_VAR_Range-low = ...)
but how query will understand that for P1 calday filter value is 02/12, for P2 calday filter value is 03/12.... and so on...
actually i have also experienced this kind of issue 1-2 years before, i have tried same thing at that time without thinking and stuck with this problem..
By d way you can also learn from your mistake.. so just try ur logic and then you will understand what is the problem?
By d way this will not work, parallel you can work on other solution. -
Autosuggest - beyond the 1st word match
I've searched for this and come to the conclusion that the answer is either so obvious that it's staring me right in the face, or else it's just something that the built-in autosuggest widget won't handle.
I have a simple <cfinput> field that looks up a user account based on text input. The query it calls searches for a user's first name, last name, or email address based on the input. Using the AJAX debugging screen, I can see that the appropriate results are, in fact, being fetched by the query.
The problem is, quoting from the livedocs for <cfinput>:
"You do not have to limit the returned data to values that match the cfautosuggestvalue contents, because the client-side code displays only the values that match the user input. In fact, the called function or page does not even have to use the value of the cfautosuggestvalue
parameter that you pass to it. You should, however, use the parameter if the returned data would otherwise be long."
It's deciding that 'matching the user input' means 'matching the first word of the query results.' In other words, if I have two users, one named Joe Smith and one named Smith Joe, and I search for Smith, it will display Smith Joe but not Joe Smith, because it doesn't 'match.'
Is there some way I can say that, if it matches ANY of the words in the query results, rather than just the first one, to include it in the list of autosuggestions?
Thanks,
AqAnswering my own question:
Found the solution here:
http://betterautosuggest.riaforge.org/ -
In oracle rac, If user query a select query and in processing data is fetched but in the duration of fetching the particular node is evicted then how failover to another node internally?
The query is re-issued as a flashback query and the client process can continue to fetch from the cursor. This is described in the Net Services Administrators Guide, the section on Transparent Application Failover.
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Not able to fetch the data by Virtual Cube
Hi Experts,
My requirement is I need to fetch the data from Source System (From Data base table) by using Virtual Cube.
What I have done is I have created Virtual Cube and created corresponding Function Module in Source System.
That Function MOdule is working fine, if Data base table is small in Source System.But If data base table contains huge amount of data (millions of record), I am not able to fetch the data.
Below is the code I have incorporated in my function module.
c_th_mapping TYPE CL_RSDRV_EXTERNAL_IPROV_SRV=>TN_TH_IOBJ_FLD_MAPPING.
DATA:
l_s_map TYPE CL_RSDRV_EXTERNAL_IPROV_SRV=>TN_S_IOBJ_FLD_MAPPING.
l_s_map-iobjnm = '0PARTNER'.
l_s_map-fldnm = 'PARTNER'.
insert l_s_map into table l_th_mapping.
create object l_r_srv
exporting
i_tablnm = '/SAPSLL/V_BLBP'
i_th_iobj_fld_mapping = l_th_mapping.
l_r_srv->open_cursor(
i_t_characteristics = characteristics[]
i_t_keyfigures = keyfigures[]
i_t_selection = selection[] ).
l_r_srv->fetch_pack_data(
importing
e_t_data = data[] ).
return-type = 'S'.
In the above function Module,Internal table L_TH_MAPPING contains Info Objects from Virtual Cube and corresponding field from Underlying data base table.
The problem where I am facing is, in the method FETCH_PACK_DATA, initially program is trying to fetch all the recordsfrom data base table to internal table.If Data base table so lagre, this logic is not working.
So would you please help me how to handle these kind of issues.Hi Experts,
My requirement is I need to fetch the data from Source System (From Data base table) by using Virtual Cube.
What I have done is I have created Virtual Cube and created corresponding Function Module in Source System.
That Function MOdule is working fine, if Data base table is small in Source System.But If data base table contains huge amount of data (millions of record), I am not able to fetch the data.
Below is the code I have incorporated in my function module.
c_th_mapping TYPE CL_RSDRV_EXTERNAL_IPROV_SRV=>TN_TH_IOBJ_FLD_MAPPING.
DATA:
l_s_map TYPE CL_RSDRV_EXTERNAL_IPROV_SRV=>TN_S_IOBJ_FLD_MAPPING.
l_s_map-iobjnm = '0PARTNER'.
l_s_map-fldnm = 'PARTNER'.
insert l_s_map into table l_th_mapping.
create object l_r_srv
exporting
i_tablnm = '/SAPSLL/V_BLBP'
i_th_iobj_fld_mapping = l_th_mapping.
l_r_srv->open_cursor(
i_t_characteristics = characteristics[]
i_t_keyfigures = keyfigures[]
i_t_selection = selection[] ).
l_r_srv->fetch_pack_data(
importing
e_t_data = data[] ).
return-type = 'S'.
In the above function Module,Internal table L_TH_MAPPING contains Info Objects from Virtual Cube and corresponding field from Underlying data base table.
The problem where I am facing is, in the method FETCH_PACK_DATA, initially program is trying to fetch all the recordsfrom data base table to internal table.If Data base table so lagre, this logic is not working.
So would you please help me how to handle these kind of issues. -
Hi Experts,
We have a requirement to fetch the value of 'No of days' between Invoice date and due date (Two variable date fields on the template) in an Analysis.
Please let me know the procedure of how to achieve the same.
Regards,
Revit's good for ideas but implementation a bit different
Oracle Business Intelligence Publisher Report Designer's Guide
This function provides a method to get the difference between two dates in the given locale. The dates need to be in "yyyy-MM-dd" format. This function supports only the Gregorian calendar. The syntax is as follows:
<?xdoxslt:date_diff(‘format’, ‘YYYY-MM-DD’, ‘YYYY-MM-DD’, $_XDOLOCALE, $_XDOTIMEZONE)?>
where
format is the time value for which the difference is to be calculated
Example:
<?xdoxslt:date_diff(‘d’, ‘2006-04-08’, ‘2006-04-01’, $_XDOLOCALE, ‘America/Los_Angeles’)?>
returns
-7 -
From two given tables, how do you fetch the values from two columns using values from one column(get values from col.A if col.A is not null and get values from col.B if col.A is null)?
Hi,
Use NVL or COALESCE:
NVL (col_a, col_b)
Returns col_a if col_a is not NULL; otherwise, it returns col_b.
Col_a and col_b must have similar (if not identical) datatypes; for example, if col_a is a DATE, then col_b can be another DATE or it can be a TIMESTAMP, but it can't be a VARCHAR2.
For more about NVL and COALESCE, see the SQL Language manual: http://docs.oracle.com/cd/E11882_01/server.112/e26088/functions119.htm#sthref1310
I hope this answers your question.
If not, post a little sample data (CREATE TABLE and INSERT statements, relevant columns only) for all tables involved, and also post the results you want from that data.
Explain, using specific examples, how you get those results from that data.
Always say which version of Oracle you're using (e.g., 11.2.0.2.0).
See the forum FAQ: https://forums.oracle.com/message/9362002 -
Reg: fetch the data by using item_id which is retuned by In line View Query
Hi all,
create table xxc_transactions(type_id number,trx_line_id number ,item_id number,org_id number);
insert into xxc_transactions values(null,null,null,null);
create table xxc_items1(item_id number,org_id number,item_no varchar2(10));
insert into xxc_items1 values(123,12,'book');
create table xxc_headers(header_id number,order_id number);
insert into xxc_headers values(null,null);
create table xxc_lines(header_id number,item_id number,line_id number);
insert into xxc_lines values(null,null,null);
create table xxc_types_tl(transaction_id number,NAME varchar2(10));
insert into xxc_types_tl values(106,'abc');
create table xxc_quantity(item_id number);
insert into xxc_quantity values (123);
create table xxc_quantity_1(item_id number);
insert into xxc_quantity_1 values (123);
SELECT union_id.item_id,
b.org_id,
e.name,
fun1(union_id.item_id) item_no
FROM xxc_transactions a,
xxc_items1 b,
xxc_headers c,
xxc_lines d,
xxc_types_tl e,
(SELECT item_id
FROM xxc_quantity
WHERE item_id = 123
UNION
SELECT item_id
FROM xxc_quantity_1
WHERE item_id = 123
UNION
SELECT item_id
FROM xxc_transactions
WHERE item_id = 123) union_id
WHERE a.type_id = 6
AND a.item_id = b.item_id
AND union_id.item_id = b.item_id
AND a.org_id = b.org_id
AND c.header_id = d.header_id
AND d.line_id = a.trx_line_id
AND d.item_id = b.item_id
AND c.order_id = e.transaction_id
AND b.org_id = 12
GROUP BY union_id.item_id,
b.org_id,
e.name
ORDER BY union_id.item_id;
create or replace function fun1(v_item in number)
return varchar2
is
v_item_no
Begin
select item_no from xxc_items1
where item_id=v_item;
return v_item_no ;
Exception
When Others Then
v_item_no := null;
return v_item_no;
END fun1;
I need fetch the data by using item_id which is retuned by In line View Query(UNION)
item_id org_id name item_no
123 12 abc book
Version: 11.1.0.7.0 and 11.2.0.1.0
Message was edited by: Rajesh123 Added test cases script
Message was edited by: Rajesh123 changed Question as fetch the data by using item_id which is retuned by In line View Query(UNION)Hi Master , sorry for the late reply and can you please help on this?
create table xxc_transactions(type_id number,trx_line_id number ,item_id number,org_id number);
insert into xxc_transactions values(null,null,null,null);
create table xxc_items(item_id number,org_id number,item_no varchar2(10));
insert into xxc_items values(123,12,'book');
create table xxc_headers(header_id number,order_id number);
insert into xxc_headers values(null,null);
create table xxc_lines(header_id number,item_id number,line_id number);
insert into xxc_lines values(null,null,null);
create table xxc_types_tl(transaction_id number,NAME varchar2(10));
insert into xxc_types_tl values(106,'abc');
create table xxc_uinon_table(item_id number);
insert into xxc_types_tl values(123);
SELECT union_id.item_id,
b.org_id ,
e.name ,
fun1(union_id.item_id) item_no --> to get item_no
FORM xxc_transactions a,
xxc_items b,
xxc_headers c,
xxc_lines d,
xxc_types_tl e,
( SELECT item_id
FROM xxc_uinon_table ) union_id
WHERE a.type_id= 6
AND a.item_id = b.item_id
AND union_id.item_id = b.item_id
AND a.org_id = b.org_id
AND c.header_id = d.header_id
AND d.line_id= a.trx_line_id
AND d.item_id= b.item_id
AND c.order_id= e.transaction_id ---106
AND b.org_id = 12
GROUP BY union_id.item_id,
b.org_id ,
e.name
ORDER BY union_id.item_id;
Note: xxc_uinon_table is a combination of UNION's
select 1 from dual
union
select 1 from dual
union
select no rows returned from dual;
I will get 1 from the above Query
Thank you in advanced -
Fetch the values from internal table inside an internal table (urgent!!)
data : BEGIN OF PITB2_ZLINFO occurs 0,
BEGDA LIKE SY-DATUM,
ENDDA LIKE SY-DATUM,
PABRJ(4) TYPE N, "Payroll Year
PABRP(2) TYPE N, "Pay. Period
ZL LIKE PC2BF OCCURS 0,
END OF PITB2_ZLINFO.
I have a internal table like this,
How to Fetch the values from internal table inside an internal table.
Kindly Help me on this..
Regards,
Ram.Hi,
Try this....
Loop at PITB2_ZLINF0.
Loop at PITB2_ZLINF0-ZL.
endloop.
Endloop.
Thanks...
Preetham S -
In any other browser I've used (or word processor, for that matter) when I select text using my mouse cursor, if I start and/or end in the middle of a word, it automatically selects the whole word when I'm selecting more than one word. But for some reason this is not happening in Firefox. If I try to select say 3 words, and I start in the middle of the first word and end in the middle of the last word, it will only select those parts, not all 3 words entirely.
Firefox allows to select part of a word. You can select a word with a double click and use Shift + left click to set the end of the selection, so you need to click at the end of the last word instead of in it.
-
Report to fetch the text information from customer master sales data
Dear Experts,
We have come up with a requirement where the business want a report/list of the customers for whom a particular text is not maintained in customer master -sales data.
There are many Z text id are configured and are maintained in Sales data- extras- text. In addition, business also need some key fields from the customer master such as name, city, delv plant, payment terms, sales off, sales grp etc.
I could not get any standard table where the text is maintained with the customer numbers. Table STXH can give the customer numbers for a particular text id type but what is maintained against the given text id is not fetched from the table.
So we need the valuable inputs to realize the requirement.
As an proposal, we are aiming to develop custom Z report with the FM READ_TEXT to get the text information with the customer no ( object type KNVV and text id ). But for the additional information, what should be the actual logic for fetching the data. say if this FM is used, what should be the sequence of the logic and ideal selection parameters.
In addition, we aim to use BAPI BAPI_CUSTOMER_GETDETAIL2 to fetch some of the customer ifnormation but many fields are not found in this . can we use some other bapi which can provide the complete general/sales data of customer ( delv plant, sales off, sales grp, custo grp, incoterms, payment terms etc)
Kindly suggest accordingly.
Many thanks in advance.Hi Dharmendra Kumar,
I guess the best would be to check in ABAP General forum on the READ_TEXT sequence/ logic etc..
For customer details, the available BAPIs are:
BAPI_CUSTOMER_GETDETAIL
BAPI_CUSTOMER_GETDETAIL1
BAPI_CUSTOMER_GETDETAIL2
However, you might have to check classes in SE24 to find any existing classes and its method yo give you all the information of a customer. Also check this thread: [BAPI for customer details like in IDoc DEBMAS;
Regards,
Raghu. -
I can't update apps on my iphone 5. theirs an old apple ID. That I don't have the pass word. I've created a new apple ID. but the old one keeps popping up. I have it on the Itunes on the phone but the old one keeps comming up and asking for a pass word.
Apps are permanently tied to the Apple ID used to purchase them. You will have to delete the apps from the phone and re-purchase them using your Apple ID.
-
Hi all
I want to fetch just twenty thousands records from table. My query take more time to fetch twenty thousands records. I post my working query, Could you correct the query for me. thanks in advance.
Query
select
b.Concatenated_account Account,
b.Account_description description,
SUM(case when(Bl.ACTUAL_FLAG='B') then
((NVL(Bl.PERIOD_NET_DR, 0)- NVL(Bl.PERIOD_NET_CR, 0)) + (NVL(Bl.PROJECT_TO_DATE_DR, 0)- NVL(Bl.PROJECT_TO_DATE_CR, 0)))end) "Budget_2011"
from
gl_balances Bl,
gl_code_combinations GCC,
psb_ws_line_balances_i b ,
gl_budget_versions bv,
gl_budgets_v gv
where
b.CODE_COMBINATION_ID=gcc.CODE_COMBINATION_ID and bl.CODE_COMBINATION_ID=gcc.CODE_COMBINATION_ID and
bl.budget_version_id =bv.BUDGET_VERSION_ID and gv.budget_version_id= bv.budget_version_id
and gv.latest_opened_year in (select latest_opened_year-3 from gl_budgets_v where latest_opened_year=:BUDGET_YEAR )
group by b.Concatenated_account ,b.Account_descriptionHi,
If this question is related to SQL then please post in SQL forum.
Otherwise provide more information how this sql is being used and do you want to tune the SQL or the way it fetches the information from DB and display in OAF.
Regards,
Sandeep M.
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