How to calculate a boolean based on data from a table fed by a BI Query

Hi Gurus,
I am currently struggling with the following issue:
- I have a query in my VC model wich returns 4 ratios
- I put the result of the query in a table in the VC model
- then, I added a column in the table. this column is a boolean which should be true if the value of one of my 4 ratios is not 0, otherwise, it is false
- I want that boolean to be "updatable" by the users.
I tried to define the default value of the boolean based on the value from the signficant ratio... no luck
I tried to change the value from the configuration tab of the column, but then I can not update afterwards....
Has anyone ever seen that issue and found a solution ?
Thansk for your help
PY

Hi Deep!
Thanks for your feedback! I felt a bit alone in my world before you answered
Your idea is great and it would work if I hadn't to display the data with a hierarchy.
Actually, the only thing I did not mention is that we are posting data against fiscal period, and we are budgeting for the next 10 years (no comment on that, and the precision we could reach ). So, to display the information we are using a cusomized hierarchy on 0FISCPER using 0FISCYEAR.
So when I used your option, the hierarchy has been deactivated on the table. But to be sure I correctly implemented your proposition, here are the steps we used :
1) connect the query output port "data" to the share
2) add the boolean in the share
3) map the boolean with the rule based on the data coming from the query
4) connect the share to the table.
Note that we the current version we use of VC I am not able to edit the field mapping between the share and the table...
Did I miss something ?
If yes, could you drive me to the correct procedure ?
If no, would you have any idea ? I already tried to change the default value of the field in the "define Data" maintenance popup of the table. I also tried to assign a value to the boolean based on the Action option of the column used in my condition...
Thanks for your help
PY

Similar Messages

  • How to calculate a value, based on value from popup menu?

    I'm creating an estimate worksheet. In one cell, I have a popup menu containing service codes such as "DIS", "SP", "AD" and so on. Based on the selected service code from the popup menu, I would like for the next cell to display the correct rate for that service. For example, if "DIS" was selected, I would like the Rate to apeear as $110. If "AD" was selected, I would like the Rate to show up as $150.
    Thanks in advance,
    Tony

    You can create another reference table with your service code and cost. Then in the main table use the VLOOKUP formula to refer to the reference table and return the costs.
    Example:
    Table 2 (Reference Table)
    _ A ______B
    1 Code ___Cost
    2 DIS _____$ 100
    3 SP _____$ 125
    4 AD _____$ 150
    Main Table
    _A ________ B
    1 DIS _______=VLOOKUP(A1,Table 2 :: $A$1:$B$3,2,FALSE)
    etc,
    etc,
    Regards,

  • How to insert decimal point while selecting data from a table

    Hi All ,
    My select requirement says , If the value received with no decimal then insert decimal before last 2 bytes. I need to retrieve data with this condition.
    May you people help how i can achieve this?
    Thanks in advance,
    Sachetan

    Is the data a number in string format?
    with q as (select '12345' myNum from dual
    union all select '45.78' from dual)
    select case when instr(myNum, '.') > 0 then to_number(myNum) else
           to_number(substr(myNum, 1, length(myNum) - 2) || '.' ||
                    substr(myNum, length(myNum) - 1)) end newNum from q
    NEWNUM
    123.45
    45.78If not just use
    with q as (select 12345 myNum from dual
    union all select 45.78 from dual)
    select case
    when instr(myNum,'.')>0 then myNum
    else myNum/100
    end myNum
    from q
    MYNUM
    123.45
    45.78

  • How to retrieve data from edcauditentity table?

    Hello!
    I am interested how to connect to edcauditentity table and retrieve data from this table.
    I have sql query but i don't have idea how to start. For now i can connect to LiveCycle and retrieve policy name.
    Thank in advance!

    Hello Mohan,
    if u already have data and u want to populate it in F4 help then use below code -
    u Have to make use of FM - 'F4IF_INT_TABLE_VALUE_REQUEST'
    REPORT  ZGILL_VALUE_REQUEST                     .
    data: begin of lt_all occurs 0.
            include structure DYNPREAD.
    data  end of lt_all.
    data: begin of lt_selected occurs 0.
           include structure DDSHRETVAL.
    data: end of lt_selected.
    DATA: BEGIN OF lt_code OCCURS 0,
                code LIKE zgill_main-PERNR,
          END OF lt_code.
    data no_dyn like sy-dynnr.
    Parameters : ECODE like zgill_main-PERNR.
    *parameters: pernr like pa0001-pernr .
    no_dyn =  sy-dynnr.   "give the scren no directly or sy-dynnr in case of report.
    At selection-screen on value-request for ECODE.
    select PERNR into table lt_code from zgill_main.
      CALL FUNCTION 'F4IF_INT_TABLE_VALUE_REQUEST'
          EXPORTING
            retfield               = 'ECODE'
            dynpprog               = sy-repid
           dynpnr                  = no_dyn
          dynprofield              =       'ECODE'
          window_title           = 'Employee Details'
           value_org              = 'S'
          DISPLAY                = 'F'
       TABLES
            value_tab             = lt_code
           RETURN_TAB             = lt_selected.
    EXCEPTIONS
      PARAMETER_ERROR        = 1
      NO_VALUES_FOUND        = 2
      OTHERS                 = 3
    *if sy-subrc eq '0' .
      write: 'success'.
    *endif.
    read   table lt_selected index sy-tabix.
    move lt_selected-fieldval to ECODE.

  • How to calculate a number of calendar days from a start date (e.g. 60 days from 3/10/2012)

    How to calculate a number of calendar days from a start date (e.g. 60 days from 3/10/2012)

    DT,
    If the starting date is in Column A, and you want to calculate what the date would be 60 days later, in Column B, write in Column B:
    =A+60
    Couldn't be much easier.
    Jerry

  • How to display data from a recordset based on data from another recordset

    How to display data from a recordset based on data from
    another recordset.
    What I would like to do is as follows:
    I have a fantasy hockey league website. For each team I have
    a team page (clubhouse) which is generated using PHP/MySQL. The one
    area I would like to clean up is the displaying of the divisional
    standings on the right side. As of right now, I use a URL variable
    (division = id2) to grab the needed data, which works ok. What I
    want to do is clean up the url abit.
    So far the url is
    clubhouse.php?team=Wings&id=DET&id2=Pacific, in the end all
    I want is clubhouse.php?team=Wings.
    I have a separate table, that has the teams entire
    information (full team name, short team, abbreviation, conference,
    division, etc. so I was thinking if I could somehow do this:
    Recordset Team Info is filtered using URL variable team
    (short team). Based on what team equals, it would then insert this
    variable into the Divisional Standings recordset.
    So example: If I type in clubhouse.php?team=Wings, the Team
    Info recordset would bring up the Pacific division. Then 'Pacific'
    would be inserted into the Divisional Standings recordset to
    display the Pacific Division Standings.
    Basically I want this
    SELECT *
    FROM standings
    WHERE division = <teaminfo.division>
    ORDER BY pts DESC
    Could someone help me, thank you.

    Assuming two tables- teamtable and standings:
    teamtable - which has entire info about the team and has a
    field called
    "div" which has the division name say "pacific" and you want
    to use this
    name to get corresponding details from the other table.
    standings - which has a field called "division" which you
    want to use to
    give the standings
    SELECT * FROM standings AS st, teamtable AS t
    WHERE st.division = t.div
    ORDER BY pts DESC
    Instead of * you could be specific on what fields you want to
    select ..
    something like
    SELECT st.id AS id, st.position AS position, st.teamname AS
    team
    You cannot lose until you give up !!!
    "Leburn98" <[email protected]> wrote in
    message
    news:[email protected]...
    > How to display data from a recordset based on data from
    another recordset.
    >
    > What I would like to do is as follows:
    >
    > I have a fantasy hockey league website. For each team I
    have a team page
    > (clubhouse) which is generated using PHP/MySQL. The one
    area I would like
    > to
    > clean up is the displaying of the divisional standings
    on the right side.
    > As of
    > right now, I use a URL variable (division = id2) to grab
    the needed data,
    > which
    > works ok. What I want to do is clean up the url abit.
    >
    > So far the url is
    clubhouse.php?team=Wings&id=DET&id2=Pacific, in the end
    > all
    > I want is clubhouse.php?team=Wings.
    >
    > I have a separate table, that has the teams entire
    information (full team
    > name, short team, abbreviation, conference, division,
    etc. so I was
    > thinking if
    > I could somehow do this:
    >
    > Recordset Team Info is filtered using URL variable team
    (short team).
    > Based on
    > what team equals, it would then insert this variable
    into the Divisional
    > Standings recordset.
    >
    > So example: If I type in clubhouse.php?team=Wings, the
    Team Info recordset
    > would bring up the Pacific division. Then 'Pacific'
    would be inserted into
    > the
    > Divisional Standings recordset to display the Pacific
    Division Standings.
    >
    > Basically I want this
    >
    > SELECT *
    > FROM standings
    > WHERE division = <teaminfo.division>
    > ORDER BY pts DESC
    >
    > Could someone help me, thank you.
    >

  • How do you set up a default Date To based on Date From for report parameter

    I'm working on a report. I have been asked to set up a default Date To based on Date From for the report parameters. I mean when running a report, if an end user selects a value for parameter Date From, system will automatically populate the Date To parameter based on the Date From + 6 days.
    I guess there's gotta be something to do with Value Set. Do any of you guys know how to go about this?
    Any suggestion is greatly appreciated.
    Dennis

    You should be able to retrieve the value of other valueset using :$FLEX$.<valuesetname> I'm not sure about the exact syntax, it's been a while since i worked with applications.

  • How to get fiscal period based on date and Fiscal year?

    Hi Guys,
               Can anybody tell me how to get Fiscal period based on date and Fiscal Year or fiscal year variant?
    Thanks,
    Gopi.

    Hi,
    Please refer the code below:
    *: Report:  ZFISCALYR                                                  :
    *: Date  :  2004                                                       :
    *: Description: Demonstrates how to return the corresponding fiscal    :
    *:              year and posting period for a company code and posting :
    *:              date or posting date and fiscal year variant.          :
    REPORT  zfiscalyr NO STANDARD PAGE HEADING.
    TABLES: ekko.
    PARAMETERS:     p_bukrs TYPE ekko-bukrs,
                    p_bedat TYPE ekko-bedat.
    DATA: gd_fiscalyr  TYPE bapi0002_4-fiscal_year,
          gd_fiscalp   TYPE bapi0002_4-fiscal_period.
    DATA: gd_fiscalyr2 TYPE T009B-BDATJ,
          gd_fiscalp2  TYPE bapi0002_4-fiscal_period.
    DATA: gd_periv     TYPE t009-periv.
    *START-OF-SELECTION.
    START-OF-SELECTION.
    * get fiscal year and period - (requires date and company code)
      CALL FUNCTION 'BAPI_COMPANYCODE_GET_PERIOD'
        EXPORTING
          companycodeid = p_bukrs
          posting_date  = p_bedat
        IMPORTING
          fiscal_year   = gd_fiscalyr
          fiscal_period = gd_fiscalp.
    * Alternative fiscal year function module
    * - (requires date and fiscal year variant code from T009 table)
    * gets first entry in fiscal year variant table (will need to choose
    * correct one from table rather than just using first entry)
      SELECT SINGLE periv
        FROM t009
        INTO gd_periv.
    * get fiscal year and period
      CALL FUNCTION 'DETERMINE_PERIOD'
        EXPORTING
          date                      = p_bedat
    *    PERIOD_IN                 = '000'
          version                   = gd_periv
       IMPORTING
          period                    = gd_fiscalp2
          year                      = gd_fiscalyr2
       EXCEPTIONS
          period_in_not_valid       = 1
          period_not_assigned       = 2
          version_undefined         = 3
          OTHERS                    = 4.
    *END-OF-SELECTION.
    END-OF-SELECTION.
      WRITE:/ 'From function module: BAPI_COMPANYCODE_GET_PERIOD',
            / 'Fiscal year is:', gd_fiscalyr,
            / 'Fiscal period is:', gd_fiscalp.
      SKIP.
      WRITE:/ 'From function module: DETERMINE_PERIOD',
            / 'Fiscal year is:', gd_fiscalyr2,
            / 'Fiscal period is:', gd_fiscalp2.
    Thanks,
    Sriram Ponna.
    Edited by: Sriram Ponna on Apr 17, 2008 8:59 PM

  • How to copy data from one table to another (in other database)

    Hi. I would like to copy all rows from one table to another (and not use BC4J). Tables can be in various databases. I have already 2 connections and I am able to browse source table using
    ResultSet rset = stmt.executeQuery("select ...");
    But I would not like to create special insert statement for every row . There will be problems with date formats etc and it will be slow. Can I use retrieved ResultSet somehow ? Maybe with method insertRow, but how, if ResultSet is based on select statement and want to insert into target table? Please point me in the right direction. Thanks.

    No tools please, it must be common solution. We suceeded in converting our BC4J aplication to PostgreSQL, the MSSQL will be next. So we want to write simple aplication, which could transfer data from our tables between these 3 servers.

  • How to delete the data from partition table

    Hi all,
    Am very new to partition concepts in oracle..
    here my question is how to delete the data from partition table.
    is the below query will work ?
    delete from table1 partition (P_2008_1212)
    we have define range partition ...
    or help me how to delete the data from partition table.
    Thanks
    Sree

    874823 wrote:
    delete from table1 partition (P_2008_1212)This approach is wrong - as Andre pointed, this is not how partition tables should be used.
    Oracle supports different structures for data and indexes. A table can be a hash table or index organised table. It can have B+tree index. It can have bitmap indexes. It can be partitioned. Etc.
    How the table implements its structure is a physical design consideration.
    Application code should only deal with the logical data structure. How that data structure is physically implemented has no bearing on application. Does your application need to know what the indexes are and the names of the indexes,in order to use a table? Obviously not. So why then does your application need to know that the table is partitioned?
    When your application code starts referring directly to physical partitions, it needs to know HOW the table is partitioned. It needs to know WHAT partitions to use. It needs to know the names of the partitions. Etc.
    And why? All this means is increased complexity in application code as this code now needs to know and understand the physical data structure. This app code is now more complex, has more moving parts, will have more bugs, and will be more complex to maintain.
    Oracle can take an app SQL and it can determine (based on the predicates of the SQL), which partitions to use and not use for executing that SQL. All done totally transparently. The app does not need to know that the table is even partitioned.
    This is a crucial concept to understand and get right.

  • How to delete the duplicate data  from PSA Table

    Dear All,
    How to delete the duplicate data  from PSA Table, I have the purchase cube and I am getting the data from Item data source.
    In PSA table, I found the some cancellation records for that particular records quantity  would be negative for the same record value would be positive.
    Due to this reason the quantity is updated to target but the values would summarized and got  the summarized value  of all normal and cancellation .
    Please let me know the solution how to delete the data while updating to the target.
    Thanks
    Regards,
    Sai

    Hi,
    in deleting the records in PSA table difficult and how many you will the delete.
    you can achieve the different ways.
    1. creating the DSO maintain the some key fields it will overwrite the based on key fields.
    2. you can write the ABAP logic deleting the duplicate records at info package level check with the your ABAPer.
    3.you can restrict the cancellation records at query level.
    Thanks,
    Phani.

  • How can i convert the data from mutiple-table to the other database(MSSQL)?

    Dears,
    How can i convert the data from mutiple-table to the other database such as MS-SQL?
    I have a third party system based on MS-SQL 2000.
    Now we want to make a integration between SAP R/3(Oracle) and SQL server.
    When my user releases the purchase order in R/3, the application we coded will convert the releated data to the temp database on the SQL server.
    But i don't know which tools will help me reach the purpose.  BAPI, LSMW, IDoc... ???
    Would anybody tell me which way is better and how to do?
    Thanks a lot!
    Kevin Wang

    Hello Kevin,
    The question to use which method depend on your detail requirements. If you use BAPI, you need to find which Bapi can provide the data you want. Bapi normally use as a function called by external system. So you need to develop an external program like VB/Java to call this Bapi and move it to SQL. LSMW is use when you want to upload data from an external system to SAP. So it does not serve your requirement. Idoc can be use to export data to an external system. Again like Bapi, you need to find what Idoc can provide the data you want. However, it does not any programming from the external system. If I were you, based on your requirements, I think writing an Abap program that read the data you want and download it to NT/SQL server will be faster and easier.

  • How to get data from a table in a condition between twomonth

    hai friends
    I have a query that is i want to get data from a table based on a condition between two months in a format of char column
    Ex
    I have a column called from_month in the format of 'mon/yyyy'(already converted from date')
    then the second column is to_month in the same format 'mon/yyyy'
    now i wiil select from_month and to_month like
    from month jan/2009
    to month mar/2010
    how to use between of two months in the format of char.Please tell me how to get two different month between data.

    Hi,
    This may be of help.
    Remember Pointless has made a point ;) (worth millions)
    If possible , DO NOT store dates as strings or numbers.Let dates be dates.
    WITH dat AS
    (SELECT ' THIS IS JAN' x,to_char(to_date('01-JAN-2009','DD-MON-YYYY'),'mon/yyyy') y FROM dual UNION
    SELECT ' THIS IS FEB' x,to_char(to_date('01-FEB-2009','DD-MON-YYYY'),'mon/yyyy') y FROM dual UNION
    SELECT ' THIS IS MAR' x,to_char(to_date('01-MAR-2009','DD-MON-YYYY'),'mon/yyyy') y FROM dual UNION
    SELECT ' THIS IS APR' x,to_char(to_date('01-APR-2009','DD-MON-YYYY'),'mon/yyyy') y FROM dual UNION
    SELECT ' THIS IS MAY' x,to_char(to_date('01-MAY-2009','DD-MON-YYYY'),'mon/yyyy') y FROM dual UNION
    SELECT ' THIS IS JUN' x,to_char(to_date('01-JUN-2009','DD-MON-YYYY'),'mon/yyyy') y FROM dual UNION
    SELECT ' THIS IS JUL' x,to_char(to_date('01-JUL-2009','DD-MON-YYYY'),'mon/yyyy') y FROM dual UNION
    SELECT ' THIS IS AUG' x,to_char(to_date('01-AUG-2009','DD-MON-YYYY'),'mon/yyyy') y FROM dual UNION
    SELECT ' THIS IS SEP' x,to_char(to_date('01-SEP-2009','DD-MON-YYYY'),'mon/yyyy') y FROM dual UNION
    SELECT ' THIS IS OCT' x,to_char(to_date('01-OCT-2009','DD-MON-YYYY'),'mon/yyyy') y FROM dual UNION
    SELECT ' THIS IS NOV' x,to_char(to_date('01-NOV-2009','DD-MON-YYYY'),'mon/yyyy') y FROM dual)
    SELECT * FROM dat
    WHERE to_date(y,'mon/yyyy') BETWEEN to_date('01 jan 2009','dd mon yyyy') AND to_date('01 mar 2009','dd mon yyyy')Cheers!!!
    Bhushan

  • How to export some data from the tables of an owner with integrity?

    Hi to all,
    How to export some data from the tables of an owner with integrity?
    I want to bring some data from all tables in a single owner of the production database for development environment.
    My initial requirements are: seeking information on company code (emp), contract status (status) and / or effective date of contract settlement (dt_liq_efetiva) - a small amount of data to developers.
    These three fields are present in the main system table (the table of contracts). Then I thought about ...
    - create a temporary table from the query results table to contract;
    - and then use this temporary table as a reference to fetch the data in other tables of the owner while maintaining integrity. But how? I have not found the answer, because: what to do when not there is the possibility of a join between the contract and any other table?
    I am considering the possibility of consulting the names of tables, foreign keys and columns above, and create dynamic SQL. Conceptually, something like:
    select r.constraint_name "FK name",
    r.table_name "FK table",
    r.column_name "FK column",
    up.constraint_name "Referencing name",
    up.table_name "Referencing table",
    up.column_name "Referencing column"
    from all_cons_columns up
    join all_cons_columns r
    using (owner, position), (select r.owner,
    r.constraint_name fk,
    r.table_name table_fk,
    r.r_constraint_name r,
    up.table_name table_r
    from all_constraints up, all_constraints r
    where r.r_owner = up.owner
    and r.r_constraint_name = up.constraint_name
    and up.constraint_type in ('P', 'U')
    and r.constraint_type = 'R'
    and r.owner = 'OWNERNAME') aux
    where r.constraint_name = aux.fk
    and r.table_name = aux.table_fk
    and up.constraint_name = aux.r
    and up.table_name = aux.table_r;
    -- + Dynamic SQL
    If anyone has any suggestions and / or reuse code to me thank you very much!
    After resolving this standoff intend to mount the inserts in utl_file by a table and create another program to read and play in the development environment.
    Thinking...
    Let's Share!
    My thanks in advance,
    Philips

    Thanks, Peter.
    Well, I am working with release 9.2.0.8.0. But the planning is migrate to 10g this year. So my questions are:
    With Data Pump can export data just from tables owned for me (SCHEMAS = MYOWNER) parameterizing the volume of data (SAMPLE) and filters to table (QUERY), right? But parameterizing a contract table QUERY = "WHERE status NOT IN (2,6) ORDER BY contract ":
    1º- the Data Pump automatically searches for related data in other tables in the owner? ex. parcel table has X records related (fk) with Y contracts not in (2,6): X * SAMPLE records will be randomly exported?
    2º- for the tables without relation (fk) and which are within the owner (MYOWNER) the data is exported only based on the parameter SAMPLE?
    Once again, thank you,
    Philips
    Reading Oracle Docs...

  • How to fetch the data from the table COEP for WBS element,cost center,,,,,?

    Hi,
    I would like to retrive the data from the table COEP ,based on KOKRS,BELNR fields.
    I need the output for Cost centre, cost element, wbs element,net work ,activity.
    These values are storing OBJNR ,OBJNAR_1,OBJNR_2,OBJNR_N3.
    But here always these field are not giving the correct values.
    for example : for one record COST CENTRE vlaue is storing in OBJNR_1 field,
                        for one record COST CENTRE vlaue is storing in OBJNR_2 field,
                       for one record  COST CENTRE vlaue is storing in OBJNR_3 field.
    Here SAP has used a generic approach for this.
    How can I dispaly the values in this case ?
    Thanks and Regards
    Srinivas.N

    Hi,
    I am asking, how can we say OBJNR_1 value alwyas belongs to cost center ?
    USPOB is not filling always.

Maybe you are looking for

  • How can I improve Wifi reception of MacBook Pro?

    I have just bought an external display to use with my MacBook Air and MacBook Pro (17") on the second floor of my house. My modem/router is on the first floor on the opposite end of the house, no more than 55 ft. away. My MacBook Air gets a strong fu

  • After pacman update I am unable to sync to repos [SOLVED]

    With the current pacman I cant sync or install gpg master keys. I recieve this error code:  " :: Synchronizing package databases... error: failed retrieving file 'core.db' from mirrors.kernel.org : Connection time-out error: failed retrieving file 'c

  • "Open containing folder" does not work

    After having hit the button "Open containing folder" in the download manager it seems that the computer is busy, but no window opens up. I am using Windows 64 bit (all updates) and Firefox 3.6.12. Same issue in uTorrent, so it's maybe Microsofts's fa

  • Invalid content type for SOAP: TEXT/HTML on Reciever SOAP

    HI All, I have a reciever SOAP channel setup to send a message and its attachments to a supplier. The recieving application is as follows: "It just receives the stream or contentStream and print out the content. It's just a test to see what you sent

  • Why only receiver cc need to create manually after transportation?

    Hi Friends, I heard that when objects are moved from one environment to other environment the receiver Communication channel need to be created manually again. My question is why only receiver cc, why not sender cc? Regards, Suresh.