How to control lookup table's attributes using 'item details' iview???
Hi Friends,
Using 'Item Details' iview we have an option to edit, visible or non-visible. But there is no option to control visible, editable or non-editable at attribute level of the lookup table.
Does any one know any solution for this scenario apart from custom development using Java Api.
Thanks,
Raghavendra
Hi Raags,
I know that, at moment, is not possible in MDM standard iView to control visible, editable or non-editable at attribute level of the lookup table.
May be it will be possible in the future. More flexibility you can obtain using Java API.
Regards,
Vito
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List of SQL tables and attributes used in SSRS reports
Hi,
I have around 450-500 reports deployed in SSRS reporting server.
All these reports are built on SQL from multiple databases, and these databases are having unnecessary tables and attributes.
My requirement is to clean the unused tables and attributes from the databases. For this, I need the list of SQL tables and attributes used in these 450-500 SSRS reports.
Is there any way to get this data?
Regards,
RKHi RK,
According to your description, you want to get a list of the tables and attributes used in all reports.
In your scenario, you can query the ReportServer.dbo.Catalog table to get Report name, data source name, dataset name, and query used in the dataset with query below:
WITH XMLNAMESPACES ( DEFAULT 'http://schemas.microsoft.com/sqlserver/reporting/2010/01/reportdefinition', 'http://schemas.microsoft.com/SQLServer/reporting/reportdesigner' AS rd )
SELECT ReportName = name
,DataSetName = x.value('(@Name)[1]', 'VARCHAR(250)')
,DataSourceName = x.value('(Query/DataSourceName)[1]','VARCHAR(250)')
,CommandText = x.value('(Query/CommandText)[1]','VARCHAR(250)')
,Fields = df.value('(@Name)[1]','VARCHAR(250)')
,DataField = df.value('(DataField)[1]','VARCHAR(250)')
,DataType = df.value('(rd:TypeName)[1]','VARCHAR(250)')
--,ConnectionString = x.value('(ConnectionProperties/ConnectString)[1]','VARCHAR(250)')
FROM ( SELECT C.Name,CONVERT(XML,CONVERT(VARBINARY(MAX),C.Content)) AS reportXML
FROM ReportServer.dbo.Catalog C
WHERE C.Content is not null
AND C.Type = 2
) a
CROSS APPLY reportXML.nodes('/Report/DataSets/DataSet') r ( x )
CROSS APPLY x.nodes('Fields/Field') f(df)
ORDER BY name
For more information, please refer to this similar thread:
Extract metadata from report server database
If you have any question, please feel free to ask.
Best regards,
Qiuyun Yu
Qiuyun Yu
TechNet Community Support -
How to display multiple tables from database using netbeans swing gui
plz reply asap on how to display multiple tables from database using netbeans swing gui into the same project
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you can use the Range or the Cells objects to get a reference to your range values
in this sample the data is on A1 to B5
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I am using the Item Details iView and calling it with syntax like that:
externalRequestEvent=com.sap.pct.mdm.appl.masteriviews.events.externals.SetSelectedIdHandler&id=
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Hi friends,
I did this simple report in obiee 10g(i.e)
*"NATIONALITY COUNT IN DEPARTMENT WISE"*
For that i used the following tables:
per_all_assignments_f----->fact table
hr_all_organization_units----->dim table(containing departments)
per_all_people_f---------------->dim table(containing nationality)
I made all the mappings in the physical diagram, as also viewed my report in BI answers
It shows the following results like
NATIONALITY---------------------------------------------------------------------COUNT(NATIONALITY)
AUS------------------------------------------------------------------------------------------------24
AFR------------------------------------------------------------------------------------------------25
PHQ_VB-------------------------------------------------------------------------------------------40
SH_VT----------------------------------------------------------------------------------------------4
The problem is for me it is showing the above results, but the nationality column is of various codes of the country.
Since i doesnt want the code of the nationalitian to display in the results..i need the meaning of each and every nationality..
like,
AUS------------------------Australian
AFR-------------------------African
PHQ_VB----------------------Germanian(assigned)
Since i know that the meaning for the nationalitian is available in "FND_LOOKUP_VALUES"...okay..
I can import "FND_LOOKUP_VALUES" table to the physical layer...but how i can able to give the mapping to the fact table in my physical diagram...
In my report the fact table is "per_all_assignments_f"
As my fact table doesnt contains any matching column corresponding to the dimension table "FND_LOOKUP_VALUES".....
Then how i can give mappings to the fact column???? for viewing the full meaning of the nationalitian in my report.....
Help me friends...
All izz Well
GTA...Hi Kranthi,
Thanks for your reply....
For the meaning to appear for each and every nationalitian i imported the HR_LOOKUPS table and i have given join to the per_all_people_f which is an dimension table.....
This is the following query that i executed in toad for getting meaning for each and every nationality...
select distinct h15.meaning, h15.lookup_code from hr_lookups h15, per_all_people_f papf, per_all_assignments_f paaf
where h15.lookup_type(+) = 'NATIONALITY'
AND h15.lookup_code(+) = papf.nationality and h15.meaning is not null and papf.person_id = paaf.person_id The samething i implemented in obiee, that is in physical diagram i have given the join between hr_lookups and per_all_people_f..
like the lookup_code column in hr_lookups table and nationality column in the per_all_people_f table
i obtained the results in BI answers, but i didnt get accurate result........
Since for getting the accurate result i need to give one more join between the hr_lookups table and per_all_people_f table........
This is the join i need to give to obtain accurate result that i have already mentioned in the above query...
> h15.lookup_type(+) = 'NATIONALITY'
since OBIEE is not allowing me to given a second join from the lookup table to the people table...then how i can able to obtain accurate result in BI answers......
Is there anyother way to give second join between the same two tables in my case between hr_lookups and per_all_people_f..
Please Help me with this......
Thanks for your support.....
All izz Well
GTA...
Edited by: GTA on Feb 17, 2011 1:15 AM -
How to fill Lookup table run time with desired values in project server 2010.
HI,
is this possible to fill LookUp Table with some Desired Values at Runtime ??
Or How to bind a LookUp table with DataBase Table??Dear Rohan,
You need to do this via PSI script for lookup table.
Follow this blog Chris Boyd:
http://blogs.msdn.com/b/project_programmability/archive/2006/11/08/adding-a-project-to-a-category.aspx
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Rule 8:
"Keep within the Law
No material may be submitted that is intended to promote or commit an illegal act."
It general it's best not to be too chatty and offer too much information unrelated to the actual issue.
"How do I change channels on my Airport?" Is all you needed to ask.
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How to control Payment Block field at line item level
Hi Experts,
Could anyone please let me know how to control payment block and payment method fields at line item level.
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I need your expert guidance.
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Mohammed KalimHi Mohammed,
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From which table can I get the batch item details (what material it is for and etc).
Table LIPS only contains the Delivery Item details and does not contain the
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Johnhi check these tables..
VBFA Document flow (alg.)
VTFA Flow shipping documents
6.1 Sales order :
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VBKD Sales district data
VBEP Data related to line items, delivery lines
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VBRP Item data
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VTTK Shipment header
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VTTS Stage in transport
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VTPA Shipment partners
VEKP Handling Unit - Header Table
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LIKP Delivery header
LIPS Delivery item
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KONH Conditions header
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KOND
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How to read internal table data and use to retrive from other table.
Hi all,
I am trying to generate a report using ooabap.
In this scenario, I retrieved data from one standard table (zcust) and successfully displayed using structure 'i_zcust_final' ( i_zcust_final is similar structure of zcust).
Now I want to get some other data from other standard table (zpurch) using the data in i_zcust_final. How....???? I am unable to read data from i_zcust_final even i kept in loop.
I am attaching the code here.. even it too long, please look at the code and suggest me what to do.
code **************************
REPORT ZBAT_OOPS_REPORT1.
TABLES: ZCUST.
D E F I N I T I O N *****
CLASS BATLANKI_CLS DEFINITION.
PUBLIC SECTION.
DATA : ITAB_ZCUST TYPE STANDARD TABLE OF ZCUST,
I_ZCUST_FINAL LIKE LINE OF ITAB_ZCUST,
ITAB_ZCUST1 TYPE STANDARD TABLE OF ZCUST.
TYPES: BEGIN OF IT_ZPURCH,
CUSTNUM TYPE ZPURCH-CUSTNUM,
PURC_DOC TYPE ZPURCH-PURC_DOC,
VENDOR TYPE ZPURCH-VENDOR,
STATUS TYPE ZPURCH-STATUS,
PURC_ORG TYPE ZPURCH-PURC_ORG,
END OF IT_ZPURCH.
DATA : ITAB_ZPURCH TYPE TABLE OF IT_ZPURCH,
I_ZPURCH_FINAL LIKE LINE OF ITAB_ZPURCH.
METHODS: GET_ZCUST,
PRINT_ZCUST,
GET_ZPURCH.
ENDCLASS.
I N I T I A L I Z T I O N *****
SELECT-OPTIONS:S_CUSNUM FOR ZCUST-CUSTNUM.
INITIALIZATION.
S_CUSNUM-LOW = '0100'.
S_CUSNUM-HIGH = '9999'.
S_CUSNUM-OPTION = 'BT'.
S_CUSNUM-SIGN = 'I'.
APPEND S_CUSNUM.
CLEAR S_CUSNUM.
I M P L E M E N T A T I O N *****
CLASS BATLANKI_CLS IMPLEMENTATION.
METHOD GET_ZCUST.
SELECT * FROM ZCUST
INTO TABLE ITAB_ZCUST
WHERE CUSTNUM IN S_CUSNUM.
ENDMETHOD.
METHOD PRINT_ZCUST.
LOOP AT ITAB_ZCUST INTO I_ZCUST_FINAL.
WRITE:/ I_ZCUST_FINAL-CUSTNUM,
I_ZCUST_FINAL-CUSTNAME,
I_ZCUST_FINAL-CITY,
I_ZCUST_FINAL-EMAIL.
ENDLOOP.
ENDMETHOD.
METHOD GET_ZPURCH.
LOOP AT ITAB_ZCUST INTO ITAB_ZCUST1.
SELECT CUSTNUM
PURC_DOC
VENDOR
STATUS
PURC_ORG
FROM ZPURCH
INTO CORRESPONDING FIELDS OF TABLE ITAB_ZPURCH
WHERE CUSTNUM EQ I_ZCUST_FINAL-CUSTNUM.
ENDLOOP.
LOOP AT ITAB_ZPURCH INTO I_ZPURCH_FINAL.
WRITE:/ I_ZPURCH_FINAL-CUSTNUM,
I_ZPURCH_FINAL-PURC_DOC,
I_ZPURCH_FINAL-VENDOR,
I_ZPURCH_FINAL-STATUS,
I_ZPURCH_FINAL-PURC_ORG.
ENDLOOP.
ENDMETHOD.
ENDCLASS.
O B J E C T *****
DATA: BATLANKI_OBJ TYPE REF TO BATLANKI_CLS.
START-OF-SELECTION.
CREATE OBJECT BATLANKI_OBJ.
CALL METHOD:
BATLANKI_OBJ->GET_ZCUST,
BATLANKI_OBJ->PRINT_ZCUST,
BATLANKI_OBJ->GET_ZPURCH.
Can anyone suggest me..
Thanks in advance,
Surender.Hi Surendar..
There is mistake in the Work area specification in this method.
METHOD GET_ZPURCH.
LOOP AT ITAB_ZCUST INTO ITAB_ZCUST1.
SELECT CUSTNUM
PURC_DOC
VENDOR
STATUS
PURC_ORG
FROM ZPURCH
INTO CORRESPONDING FIELDS OF TABLE ITAB_ZPURCH
<b>WHERE CUSTNUM EQ ITAB_ZCUST1-CUSTNUM.</b>
"Instead of I_ZCUST_FINAL-CUSTNUM.
ENDLOOP.
LOOP AT ITAB_ZPURCH INTO I_ZPURCH_FINAL.
WRITE:/ I_ZPURCH_FINAL-CUSTNUM,
I_ZPURCH_FINAL-PURC_DOC,
I_ZPURCH_FINAL-VENDOR,
I_ZPURCH_FINAL-STATUS,
I_ZPURCH_FINAL-PURC_ORG.
ENDLOOP.
ENDMETHOD.
Now it should work..
One more thing : From performance point of view you have to Replace that loop using FOR ALL ENTRIES . And avoid CORRESPONDING FIELDS. it will be slow.
This is the code.
LOOP AT ITAB_ZCUST INTO ITAB_ZCUST1.
if ITAB_ZCUST[] IS NOT INITIAL.
SELECT CUSTNUM
PURC_DOC
VENDOR
STATUS
PURC_ORG
FROM ZPURCH
INTO TABLE ITAB_ZPURCH
<b>for all entries in ITAB_ZCUST1</b>
<b>WHERE CUSTNUM EQ ITAB_ZCUST1-CUSTNUM.</b>
"Instead of I_ZCUST_FINAL-CUSTNUM.
ENDIF.
ENDLOOP.
<b>Reward if Helpful.</b> -
How to see what Tables are being used in all reports
Post Author: tmashley
CA Forum: Crystal Reports
Hello,
How can I see what database tables are used in all my online reports? I have around 1000 reports posted to Enterprise over 6 different datasources. If possible I would like to see the fields within those tables that are being used to.
I am using Crystal Reports XI Release 2
Any help is appreciated
Thanks,
TomI don't think you can see the databases of the reports unless you download the report onto your pc as a Crystal Report format and then open it under Crystal Reports.
This way it will open the report within Crystal Reports and will show you the datasource it is coming from.
I doubt if you can see them online.
Kind Regards
Jehanzeb -
How can i create table which in use
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How can i create a index on table which have much dml any time?In 10g :
The CREATE ONLINE waits for existing transactions to commit before it can proceed. Once it starts, it uses a log table (MV Log) to track subsequent changes (i.e. it allows concurrent DML once it has started). At the end of the operation, it encounters another wait if there are existing transactions as it has to sync changes from the MV Log to the index.
Here's an explanation by Jonathan Lewis : Re: Alter Index Rebuild Online
In 11g :
There's an improvement in that only the transactions that were active at the instant when the CREATE .. ONLINE was issued are the ones it waits for. It does not have to wait on subsequent transactions.
Here's an explanation by Richard Foote : http://richardfoote.wordpress.com/2008/02/11/index-create-and-rebuild-locking-improvements-in-11g-ch-ch-ch-changes/
Hemant K Chitale
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