How to handle Multile Table Group in InDesign

my XML file having multiple table group tables content but InDesign not supporting while importing xml files?.. could please help and suggest any buddy how to handle multiple table group in InDesign.... because i received many jobs xml workflow with multiple table group.

its urgent

Similar Messages

  • How to handle multiple tables data in Entity Beans?

    How to handle multiple tables data in Entity Beans?
    i mean, my bean (non trivial) is responsible for frequent
    insertion in one table and some deletion on another table.
    Can anyone of you...please..?

    Is your data model right? If you are adding in one and deleting in another it sounds to me more like a process that an entity, in which case you may revisit your data model and simplify it, add in a session bean with the process method to co-ordinate between the two.
    However, if you want to map multiple different tables within a single entity bean it is possible and just part of the mapping. How you actualyl specify it depends on which implementation you are working with.
    Cheers,
    Peter.

  • How to handle the table control in bapi?

    how to handle the table control in bapi? example va01.
    i pass multiple line item what is the procedure?
    header detail same .
    eample ship to party
           sale to party.
    line item mulptiple
    10 mat1
    2o mat2
    30 mat3.
    in bapi we can pass sinle line item.
    any way to handle multiple line item pass through the bapi.
    Message was edited by:
            Karthikeyan Pandurangan

    BAPI is not going through the screen flow logic so you need not to worry about the table control. Just check in the BAPi there must be one table parameter for line items just pass one int table with your data to that table parameter it will automatically update the tables.
    Regards
    shiba dutta

  • How to handle the table control While working with LSMW?

    How to handle the table control While working with LSMW?

    its possible in lsmw,
    Hi,
    LSMW will have a Indicator for headr and itam, i do not remember the correct field, but it will have an indicator, check the fields, there will be a single charecter lenght field, that should be the indicator, and using that we can write the logic.
    check that single charecter field, it that is X that means the header record is processed, and do the items.
    and, this is another way, try this out also
    YOu can do this in "Define Source Structures" step,
    the HEADER is defined first,
    then the DETAIL below the HEADER.
    add the fields to the structures.
    Both should have some common key field
    Please take care that the name of the common field is the same.
    Once you do this it is linked. The you have a header and item corresponding to that header. then run the LSMW as you would.
    Thanks

  • How To Handle The Multiple Groups in OBIEE

    Hello,
    How To handle in OBIEE if the user is mapped to 2 groups. We are using External Table Authtication for authenticating

    What do you mean how to handle two groups? Are you assigning user to group relation through external table also? If yes, then you will need to set up row - wise initialization to capture multiple groups for one record.
    Hope your question is answered.
    Regards,
    -Amith.

  • How to handle lsmw table control

    i have to update line items for tcode : v-45. through LSMW.
    please let me know how to handle multiple line items.

    Hi Bala Krishna,
    1. TCode : LSMW.
    2. Enter Project name, sub project name and object name.
    Execute.
    3. Maintain object attributes.
    Execute
    select Batch Input recording
    goto->Recording overview
    create
    recording name.
    enter transaction code.
    start recording
    do recording as per ur choice.
    save + back.
    enter recording name in lsmw screen.
    save + back
    Now there will be 14 steps.
    2. MAINTAIN SOURCE STRUCTURES.
    Here you have to enter the name of internal table.
    display change
    create
    save + back
    3. MAINTAIN SOURCE FIELDS.
    display change
    select structure
    source_fields->copy fields.
    a dialogue window will come .
    select -> from data file
    apply source fields
    enter No. of fields
    length of fields
    attach file
    save + back
    4. MAINTAIN STRUCTURE RELATIONS
    display change
    save + back
    5. MAINTAN FIELD MAPPING & CONVERSION RULE
    display change
    click on source field, select exact field from structue and enter
    repeat these steps for all fields.
    save+back
    6. MAINTAIN FIXED VALUES, TRANSACTION, USER DEFINED
    execute
    save + back
    7. SPECIFY FILES.
    display change
    click on legacy data
    attah flat file
    give description
    select tabulatore
    enter
    save + back
    8. ASSIGN FILE
    execute
    display change
    save + back
    9. IMPORT DATA.
    execute
    display change
    save + back
    10. DISPLAY IMPORTED DATA
    enter ok, it willl show records only.
    back
    11. CONVERT DATA
    execute
    display change
    save + back
    12. DISPLAY CONVERTED DATA
    execute
    display change
    save + back
    13. CREATE BATCH INPUT SESSION
    tick keep batch input folder
    F8
    back
    14. RUN BATCH INPUT SESSION.
    sm35 will come
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    select object & process
    Reward if useful.
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    Aneesh
    ~from forum.

  • How to handle TeX/LaTeX equations in InDesign?

    Hi All,
    I've recd. a request to handle one of the title already done in LaTeX software in InDesign, for this I need to do the below tasks:
    (1) Need to convert the LaTeX data to load in InDesign
    (2) Need to convert the equations done with LaTeX coding as equation objects in InDesign
    (3) Need to retain the LaTeX links to work in InDesign, so that while generating the PDF, these links should be worked
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    Thanks,
    Praveen

    Hi Peter,
    Thanks for the response.
    For points 1 and 3, I decided to convert the LaTeX contents to XML to fix the linking using automation thro' JS. For point 2, I'm still studying to find a solution and since this is the first time we've recd. this request, we're not ready to invest for one title.
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  • How to handle many tables in ERD

    Hi:
    I have a schema with about 400 tables in it. They tend to be grouped into 5-10 groups of related tables. In a perfect world, I'd be able to arrange them in an ERD diagram and zoom into the appropriate area when I want to work on that section but I wouldn't have to recreate the arrangement of the tables in the diagram. I'm not aware that OWB can do this. I don't even think it can save the diagram as anything but SVG, which means every time I want to work an ERD I have to recreate it? I have to select all the tables, maximize them, arrange them each time?
    How do people normally handle hundreds of tables in OWB? Do you break the large schema up into numerous smaller source schemas and only end up with the large schema after deployment?
    Thanks

    I meant both, actually. I'm trying to create an ERD or set of ERDs to help me figure out what I need to do in a large (to me!) ETL project. I'm using OWB to create a new target schema based on a source schema. I'll be converting VARCHAR2(2000) and LONGs to CLOBS and consolidating tables and doing other stuff. An ERD would help me visualize the current schema and work on isolated pieces of it. Does that make sense?

  • How to handle multiple radiobutton groups in a selection screen?

    Hi All,
    I have tabbed selection screen.
    * SELECTION SCREEN                                    *
    SELECTION-SCREEN BEGIN OF TABBED BLOCK TABB1 FOR 20 LINES.
    SELECTION-SCREEN TAB (20) TAB1 USER-COMMAND TAB1
                         DEFAULT SCREEN 1010.
    SELECTION-SCREEN TAB (20) TAB2 USER-COMMAND TAB2
                         DEFAULT SCREEN 1020.
    SELECTION-SCREEN END OF BLOCK TABB1.
    I have a radiobutton group in each of my tabs in the selection screen.
    SELECTION-SCREEN BEGIN OF SCREEN 1010 AS SUBSCREEN.
    SELECTION-SCREEN BEGIN OF BLOCK GUI WITH FRAME." TITLE TEXT-GUI.
    PARAMETERS: P_GUI1 RADIOBUTTON GROUP GUI,
                P_GUI2 RADIOBUTTON GROUP GUI,
                P_GUI3 RADIOBUTTON GROUP GUI,
                P_GUI4 RADIOBUTTON GROUP GUI,
                P_GUI5 RADIOBUTTON GROUP GUI,
    SELECTION-SCREEN END OF BLOCK GUI.
    SELECTION-SCREEN END OF SCREEN 1010.
    SELECTION-SCREEN BEGIN OF SCREEN 1020 AS SUBSCREEN.
    SELECTION-SCREEN BEGIN OF BLOCK REP WITH FRAME." TITLE TEXT-REP.
    PARAMETERS: P_REP1 RADIOBUTTON GROUP REP,
                P_REP2 RADIOBUTTON GROUP REP,
                P_REP3 RADIOBUTTON GROUP REP.
    SELECTION-SCREEN END OF BLOCK REP.
    SELECTION-SCREEN END OF SCREEN 1020.
    The issue is I want to be able to process only one of the tabs based on the checked radiobutton, but by default both the groups will have one of the radiobuttons checked. My piece of code is something like this.
    data : c_selected(1) value 'X'.
    case c_selected.
    when P_GUI1.
    * Process GUI 1
    when P_GUI2.
    * Process GUI 2
    when P_GUI3.
    * Process GUI 3
    when P_GUI4.
    * Process GUI 4
    when P_GUI5.
    * Process GUI 5
    when P_REP1.
    * Process Report 1
    when P_REP2.
    * Process Report 2
    when P_REP3.
    * Process Report 3
    endcase.
    How do I acheive this?
    Karthik
    Edited by: Karthik Boyapalli on Jun 16, 2008 9:10 PM

    The issue is I want to be able to process only one of the tabs based on the checked radiobutton, but by default both the groups will have one of the radiobuttons checked. My piece of code is something like this.
    You will be able to process the Radiobutton based on the tab. Use the sy-ucomm to determine the TAB that is selected on the selection screen. Then you can do further processing based on the radio button selected.
    Only one TAB will be available for User Interaction so there will be no issue with processing based on the radio button

  • DBMS_FGA.add_policy .. How to handle multiple tables and multiple users

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    object_name     =>     'SAL',
    policy_name     =>     'SALARY_CHK_AUDIT',
    audit_condition     =>     NULL,
    handler_schema     =>     'imran',
    statement_types     =>     'SELECT,INSERT,UPDATE,DELETE',
    audit_column     =>     NULL);
    END;
    what is i have to pass multiple tables in object_schema and multiple users in handler_schema.
    I hope i am able to clear my question, any doubts please let me know.
    Regards, Imran

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    in case if you like to audit for multiple users - then try to test by holding a null value and test access the important tables -where the relevant auditing records are generated as per your requirement or not. i have not tested.. try it
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  • How to handle Fact tables with different granularity in OBIEE 11g RPD

    Hello Everyone,
    I have got stuck here and need your help.
    I have two fact tables (Say F1 and F2... F1 is containing data at month-level and F2 is containing data at day level) and one Date DIMENSION TABLE. Date_Code is the PK of Date dimension table.I need to use time-series functions also.
    Can anyone tell me how to model this requirement in the RPD.
    Can we use a single dimension table(Here Date dimension table) with two fact table of different grainularity? What would be the best way to implement this requirement?
    Thanks in advance :)

    Hi Veeravalli,
    Thanks for your reply :)
    Let me explain the problem in more detail. I have one Date dimension(Date_Code,Month_Code,Quarter_Code,Half_Year_Code,Year_Code). Here Date_Code is the PK.
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    F1 has level set to Month and F2 has level set to Day.
    Now if i am using ago() function on measure of F2 (having day level data) then it's working fine but if i am using ago() function on measure of F1...I am getting an error at Presentation service: Date_code must be projected for time-series functions.
    So the whole issue is with time-series functions. As per my research...I think for time series the tables in the physical model containing the time dimension cannot join to other data sources, except at the most detailed level but here i am joining with F1(using Month_Code which is not the most detailed level).
    So kindly let me know how to achieve this in rpd?

  • How to handle journal table using JPA+TopLink

    Hi,
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    Jim

    Depends what's in your journal table? TopLink does have support for historization (see HistoryPolicy or docs).
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  • How to handle comments in group financial statement

    We have a situation in project where we need to manage comments about organizations financial statement item.
    We are going to use the SAP BCS 6.0 version as a product.
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    We already identified couple of options but we still want to explore and welcome new ideas & experience.
    By now some people might have understood, what I am looking for but below example is for those who never got chance to work in finance but similar kind of situation     
    In the above example comment explain more about the report which may change time to time or in some places it may give explanation about the figures or assessment of a group
    So we are looking for following u2013
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    5.     Submit and Lock comments from lower level to the next level
    6.     Roll up Comments to Assessment
    7.     Lock & Unlock Commentary
    8.     Commentary Review Report.
    9.     It should be stored by time meaning history of the comment should be maintained.
    Kindly please let me know if you have any question or call me if you need more explanation.
    Please note we are open to consider all kind of experience and ideas. So please write if something pop up in your mind.
    Thanks in advance
    Edited by: SMP on Jun 18, 2010 11:03 AM
    Edited by: SMP on Jun 18, 2010 11:05 AM

    Hi SMP,
    I had quite the same need in my last SEM-BCS project.
    Our conclusion was that SEM-BCS was not enough flexible to deal with comments. Indeed, the system performs "integrity checks" when posting transactions.
    Hope it helps
    Regards,
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  • How do we handle BDC table control

    hi sap technical guru,
    PLS suggest me how to handle BDC table control while uploading data to sap R/3
    regards,

    Hi,
    First take BDC recording for required transaction from SHDB then you will find screen field names, screen numbers sequence, According to that pass values to below BDC_DYNPRO and BDC_FIELD forms and append data to BDC table. In my requirement I have done this for VB03 transaction passed values to VB03 transaction from my selection screen.
    *& Report  ZS_VB03_TRANSACTION
    REPORT  ZS_VB03_TRANSACTION.
    TABLES: KOMGG,                        "Dialogkommunikationstab
    T685T,                         "Text zum Konditionsart
    T185F,                         "Folgebildsteurung
    T681,                          "Konditionstabelle
    TMC1T, G000, TPARA.                         "Kurztext zur Konditionstabell
    * Sales Organization                                                   *
    SELECT-OPTIONS S_F001 FOR KOMGG-VKORG.
    *MEMORY ID VKO.
    * Distribution Channel                                                 *
    SELECT-OPTIONS S_F002 FOR KOMGG-VTWEG
    MEMORY ID VTW.
    * Division                                                             *
    SELECT-OPTIONS S_F003 FOR KOMGG-SPART
    MEMORY ID SPA.
    * CustomerHierarchy 01                                                 *
    SELECT-OPTIONS S_F004 FOR KOMGG-HIENR01.
    * Material                                                             *
    SELECT-OPTIONS S_F005 FOR KOMGG-MATNR
    MEMORY ID MAT
    MATCHCODE OBJECT MAT1.
    * Customer                                                             *
    SELECT-OPTIONS S_F006 FOR KOMGG-KUNNR
    MEMORY ID KUN
    MATCHCODE OBJECT DEBI.
    *                       "Selektionsdatum                               *
    SELECTION-SCREEN SKIP 1.
    PARAMETERS SEL_DATE LIKE RV130-DATAM
    DEFAULT SY-DATLO.
    PARAMETERS: r_vb03 TYPE c RADIOBUTTON GROUP rb1 DEFAULT 'X',
    r2 type c RADIOBUTTON GROUP rb1.
    *    *       Batchinputdata of single transaction
    DATA:   BDCDATA LIKE BDCDATA    OCCURS 0 WITH HEADER LINE.
    *       messages of call transaction
    DATA:   MESSTAB LIKE BDCMSGCOLL OCCURS 0 WITH HEADER LINE.
    data: lv TYPE i.
    data: s1 type KOMGG-VKORG,
    s2 type KOMGG-VKORG.
    START-OF-SELECTION.
    if r_vb03 = 'X'.
    data: num(2) TYPE n VALUE '01',
    lv_string(40) type c,
    lv_s_f001 like s_f001.
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    If S_f001-high is INITIAL.
    perform bdc_field       using 'BDC_CURSOR'
    'F001-LOW'.
    perform bdc_field       using 'BDC_OKCODE'
    '=%003'.
    perform bdc_dynpro      using 'SAPLALDB' '3000'.
    perform bdc_field       using 'BDC_OKCODE'
    '=ACPT'.
    perform bdc_field       using 'BDC_CURSOR'
    'RSCSEL-SLOW_I(01)'.
    loop at S_f001 into lv_s_f001.
    CONCATENATE 'RSCSEL-SLOW_I(' num ')' INTO lv_string.
    perform bdc_field       using 'BDC_CURSOR'
    lv_string.
    perform bdc_field       using lv_string
    lv_s_f001-low.
    clear: lv_s_f001, lv_string.
    num = num + 1.
    ENDLOOP.
    clear num.
    perform bdc_dynpro      using 'RV13GAAB' '1000'.
    perform bdc_field       using 'BDC_CURSOR'
    'F002-LOW'.
    ELSE.
    perform bdc_dynpro      using 'RV13GAAB' '1000'.
    perform bdc_field       using 'BDC_CURSOR'
    'F001-LOW'.
    perform bdc_field       using 'F001-LOW' S_f001-low.
    perform bdc_field       using 'F001-HIGH' S_f001-high.
    endif.
    perform bdc_field       using 'F002-LOW' S_F002-low.
    perform bdc_field       using 'F002-HIGH' S_F002-High.
    perform bdc_field       using 'F004-high' S_F004-high.
    perform bdc_field       using 'F005-LOW' S_F005-low.
    perform bdc_field       using 'F003-LOW' S_F003-low.
    perform bdc_field       using 'F003-High' S_F003-high.
    perform bdc_field       using 'F004-LOW' S_F004-low.
    perform bdc_field       using 'F005-high' S_F005-high.
    perform bdc_field       using 'F006-LOW' S_F006-low.
    perform bdc_field       using 'F006-high' S_F006-high.
    call TRANSACTION 'VB03' USING BDCDATA MODE 'E' MESSAGES INTO MESSTAB.
    ENDIF.
    *        Start new screen                                              *
    FORM BDC_DYNPRO USING PROGRAM DYNPRO.
    CLEAR BDCDATA.
    BDCDATA-PROGRAM  = PROGRAM.
    BDCDATA-DYNPRO   = DYNPRO.
    BDCDATA-DYNBEGIN = 'X'.
    APPEND BDCDATA.
    ENDFORM.
    *        Insert field                                                  *
    FORM BDC_FIELD USING FNAM FVAL.
    CLEAR BDCDATA.
    BDCDATA-FNAM = FNAM.
    BDCDATA-FVAL = FVAL.
    APPEND BDCDATA.
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  • How to handle table type record in OAF

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    There is a requirement to fetch records from cursor into a collection .Following is the code snippet that I have used.
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    ARROW_UNIQUE_NO NUMBER,
    FIELD_NAME VARCHAR2(2000),
    OLD_VALUE VARCHAR2(2000),
    NEW_VALUE VARCHAR2(2000),
    USER_ID NUMBER,
    USER_NAME VARCHAR2(100),
    AUDIT_DATE DATE,
    AUDIT_TYPE VARCHAR2(1),
    SUPP_SYS_LAST_UPDATE_ON DATE,
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    RETURN SELF AS RESULT
    /** initializing the object **/
    CREATE OR REPLACE TYPE BODY XXCRM_GBL_DSW_AUDIT_RSTLS_O_TP IS
    CONSTRUCTOR FUNCTION XXCRM_GBL_DSW_AUDIT_RSTLS_O_TP
    RETURN SELF AS RESULT IS
    BEGIN
    self.customer_name := fnd_api.g_miss_char;
    self.project_name := fnd_api.g_miss_char;
    self.board_name := fnd_api.g_miss_char;
    self.arrow_unique_no := fnd_api.g_miss_num;
    self.field_name := fnd_api.g_miss_char;
    self.old_value := fnd_api.g_miss_char;
    self.new_value := fnd_api.g_miss_char;
    self.user_id := fnd_api.g_miss_num;
    self.user_name := fnd_api.g_miss_char;
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    END;
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    (SELECT board_name
    FROM xxcrm_gbl_dsw_boards_all
    WHERE board_id = xgda.board_id)) BOARD_NAME,
    DECODE(xgda.internal_dwr_id,
    NULL,NULL,
    (SELECT internal_dwr_id
    FROM xxcrm_gbl_dsw_regstrations_all
    WHERE internal_dwr_id = xgda.internal_dwr_id)) ARROW_UNIQUE_NO,
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    xgda.new_value NEW_VALUE,
    xgda.created_by USER_ID,
    'kuldeep' USER_NAME,
    xgda.Creation_Date AUDIT_DATE,
    xgda.audit_Level AUDIT_TYPE,
    SYSDATE SUPP_SYS_LAST_UPDATE_ON,
    't001' SUPP_TRACKING_NUM
    FROM XXCRM_GBL_DSW_AUDIT_ALL xgda ,
    FND_LOOKUP_VALUES_VL fielslu
    WHERE xgda.project_id =174
    AND fielslu.lookup_type = 'XXCRM_DSW_REV_FIELD_NAMES'
    AND fielslu.lookup_code = xgda.FIELD_NAME
    AND enabled_flag = 'Y'
    AND TRUNC(SYSDATE) BETWEEN TRUNC(NVL(fielslu.start_date_active,sysdate))
    AND TRUNC(NVL(fielslu.end_date_active,sysdate))
    ORDER BY xgda.creation_date;
    Tab XXCRM_GBL_DSW_AUDIT_RSTLS_C_TP ;
    BEGIN
    OPEN c_proj_cur;
    LOOP
    FETCH c_proj_cur BULK COLLECT INTO tab; --ERROR type mismatch found at 'TAB' between FETCH cursor and INTO variables
    END LOOP;
    END;
    /**Error */
    When the above script is executed it gives an error “type mismatch found at 'TAB' between FETCH cursor and INTO variables” (at line highlighted above).
    I have validated the data type of cursor and object too. But still the error is not resolved .
    Did anyone of you come across a similar requirement, fetching the values from cursor into a collection? Please help.

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