Issue with Cumulative Value in BW Query

Hi
Here am trying to calculate a percentage over the two key figures which has the cumulative check in Calculation
but in result the percentage is appearing with non-cumulative values though am selecting the cumulative kf in formula.
find below the example :
C-OQTY --> Cumulative Ord Qty  -- This is based on OQTY wherein the properties under Calculation i haved the Cumulated
C-TOQTY-->Cumulative Total Ord Qty --This is based on TOQTY wherein the properties under Calculation i haved the Cumulated
OQTY--> Order Qty
TOQTY--> Total Order Qty
C-OQTY/C-TOQTY *100
Calendar Day     C-OQTY     C-TOQTY  OQTY      TOQTY       %
2008.02.01     115     115     115     115     100.00
2008.02.02     115     197          82     
2008.02.04     158     381     43     184     23.37
2008.02.05     287     596     129     215     60.00
As you all can see that the % is showing the value as OQTY/TOQTY*100  Instead of C-OQTY/C-TOQTY *100
Need help
Thanks in Advance
Cheers
Taher

Thanks for your quick replay,
well am using "Use standard Aggregation" could you pls give me little more details abt before Before aggregation concept..
which option  to choose in aggregaion..
Cheers
Taher

Similar Messages

  • POC with Cumulative values linked to Milestones

    Hi Everybody,
    Our structure is like
    Project Defection
    WBS
    Milestones & We manually confirm the milestones. basing on (percentage of completion and invoice percentage)
    The requirement is like; whatever the % we enter in the milestone screen u201Cpercentage of completionu201D it should be captured in WBS POC field (with cumulative values)
    Pl. advises do we have any std.process or we need to go for any development.
    Regards,

    logically these are different values and have different usage - if I have a milestone of 40% completed it does not mean that 40% of work is complete - hence I would have thought that SAP have rightly not provided any standard provision for this
    you could however achieve this by development if you still require to use this

  • Issue with indicator values in report display

    Hi All,
    I am getting an issue with valutype #.
    we have  account  restricted hirerarchy ,fiscal year period and Valuetype in rows .
    I need to show the actuals indicator of value type 10 data in one row for each fiscal year period.But some of the key figures we are getting # data .valuetype indiator is repeating 2 times for each period.but we need to post this # values to 10.Any one have any idea how to handle this.
    for example : my report is displaying like this
    Account code :   Fiscal Year period   Value type      Keyfig 1    keyfig2   Keyfig 3
    CA1100 :                  001.2006          
    10                                  100       22
                     200
                                     002.2006          
    10                                   200       44
                     300  
    But I need the report  like below
    Account code :   Fiscal Year period   Value type      Keyfig 1    keyfig2   Keyfig 3
    CA1100 :                  001.2006           10                  200          100       22
                                                                                    002.2006           10                  300          200       44

    Sirisha,
       in the Query, You can filter your query to actual value i.e. 10. display KF1 and KF2 as it is coming from source. create restricted KF with restriction on account, fiscal year period and value type (= #).
    you will get exact value. or while loading to cube or ods.. you can move that value to KF3 using start routine.
    Nagesh Ganisetti.

  • Issue with compounding characteristics in the query

    Hello guyz
    I have an issue with 2 chars one compounding the other in the query. The 2 chars are : Action Type and Action Reason in HR. Action type is the compounding char. for action reason.
    For example: we have
    Action Type    Action Reason
    01                        A1
    01                        A2
    02                        A1         
    02                        A2
    Now I want to restrict a key figure based on specific action reasons and types. But when I pick AT: 01, AR: A1, it selects AT: 02, AR: A1. The reason why it does this is because, there are 2 A1s under action reason and it picks the one at the end (ie last record with value A1 in the table)
    But my compounding works when i create variables for the same and have them as user entry variables.
    My question: How do i pick specific action reasons for specific action types (for restricting key figures) in the above example?
    Thanks.

    Well.. thank you Ashish for your help so far.
    Now, these Chars. are coming directly from a data source to the cube. From my previous example again, the thing that i dont understand is:
    When i try restrict the KF with AR, on the left hand side of the pop up window i see:
           AR
    [01, A1] --> Very good
    [01, A2] --> Good
    [02, A3[ --> OK
    [02, A4] --> Bad
    [02, A1] --> Very Bad
    But, when i drag 'A1' (Very Good)  to restrict on the KF on the right hand side of the window, I only get:
    A1 (Very good), what i want to drag is [01, A1] --> very good.. action type value should come along with action reason.. right??
    when i save the query, logout and log back in, I see:
    A1 (Very Bad)
    Question: Why dosen't Action type char come along with action reason on the right hand side.. its a compounding char right?? So it should determine what value action reason takes?
    Any idea??

  • Issue with Negative Value for Total valuated stock 0VALSTCKQTY.

    Hi Experts,
    we loaded the Cube with datasources 2LIS_03_BX, 2LIS_03_BF and 2LIS_03_UM.
    We mapped the quanity field from 2LIS_03_BF in transformation either into Key figures "Quantity issued from valuated stock" (0ISSVALSTCK) or "Quantity received into valuated stock" (0RECVALSTCK ) of the cube.
    For obtaining the Total Valuated stock, we used the Key figure 0VALSTCKQTY. This key figure is having the Inflow and Out flow values as 0RECVALSTCK and 0ISSVALSTCK. When i tried to check the content of 0VALSTCKQTY, the key figure  0VALSTCKQTY is not present in the infoCube content. I understood that the value for this key figure would be calculated at the time of query execution with the formula
    { Last obtained Valuated stock + (Received Valuated Stock u2013 Issued Valuated Stock ) }.
    The issue is the first records in the query is obtained with negative value for the total valuated stock 0VALSTCKQTY even though the values of Received Valuated Stock  and  Issued Valuated Stock are with Zero.  Could any one please help me on how the first record in the query is with a negative value eventhough the inflow and out flow fields of it are with Zero.
    Many Thanks in advance.
    Jeswanth

    Hi Srini,
    I observed an interresting reason for the stock being with negative in the first record.
    Issue : While executing the BEx report, we have the first record with a negative value.
    Let me explain with an example
    Material  : XYZ
    Plant      : A
    Date of Stock Initialization for data source 2LIS_03_BX -
    >  12th April 2009.
    So on 12 Th April 2009 consider that we have a stock in store with a value of 2640.
    Then we have loaded wih Data source 2LIS_03_BF for all Historic Movement types.
    At the time of query execution we will have the first record with a negative of available stock present on the day of initialization .
    So, as we have initilized the data source 2LIS_03_BX on 12 th April 2009, we have at that time a stock of 2640 in availability.
    Exactly with the same value of 2640, we are having a negative value i.e. -2640.
    and also one more point to be noted is ...as we have initialized the data source 2LIS_03_BX on 12 th APril 2009...it has created a
    opening balance of 2640 on the day of initiailization i.e on 12 th April 2009 in infocube....(which is an extra record...)...so if the previous record of 12,04,2009 is having some value in it..then it will get added to 2640 EA..which will give incorrect stock
    So in the query the records will appear in the below following manner
    Calendar Day     Total stock                                                                Received stock                                          Issued Stock         
    28.12.2005 --->  - 2640 EA
    29.12.2005 --->    2000 EA                                                                       640 EA                                                        0
    10.04.2009 --->      0                                                                                0                                                               2000 EA      
    11.04.2009 -
    >    0                                                                                0                                                                0          
                                 (For making
                                  the earlier record of  initilization to 0  a negative value -2640 EA is created in the first record )
    12.04.2009 (Initializtion day) --->  2640 EA                                                 0                                                                0
    13.04.2009 
    the day before initialization the total stock will be 0 due to the negative effect introduced by the first record and from the day of initialization the records will be the accurate values...  On 12 th april 2009 we can see that a stock of 2640 is brought into the total stock. In fact if there is no negative value i.e. -2640 in the first record then ...the value on 11.04.2009 will be 2640 Ea and this will get summed up with the Opening balance of 2640 EA created by 2LIS_03_BX on the day of intitialization. So on 12 .04. 2009 the total stock will be shown as 5280 EA...so in order to prevent the double value only we observed that the first record is created with the negative of available stock present on the initialization ...to make the record before the day of initialization i.e. 11.04.2009...to be 0...so that from 12 th April 2009 ..will start to see the actual total stock in the query result...
    This is happening only if we use  both the data sources 2LIS_03_BX and 2LIS_03_BF  for loading into BW.....
    If we load alone by 2LIS_03_BF ...then as 2LIS_03_BX is ruled out in the loading...then no negative of available stock will be created ...because there will be bno opening balance created on the day of initialization.....and the opeing balance available will be flowing into consecutive records due to the movement types and 12 th April 2009 will be shown with avaialable total stock of 2640 EA.
    Kindly let us know your opinions on this...
    Thanks.
    regards,
    Jeswanth

  • Variable with proposed value in BEX Query View

    Dear SAP-Gurus,
    I have a Web Application with some views on one query. In the inital screen i show the popup for entering the global variable values. Now my question; is it possible to give a global variable used filled by exit and used in these queries a proposed value, receeived by user exit?
    With normal query this works, but not with a query view.
    any suggestions?
    kind regards.
    Jürgen

    Hi,
    if anyone has the same problem - you just have to set the parameter variables_clear=x in webtemplate.
    same applies to bookmarks, if you want the variables to be filled by your exit.
    regards
    Jürgen

  • Issue with filtering values in Web Template

    I am facing a problem with filtering values in Web Template.
    I have two queries based on two different data providers. One query is getting data from an Info set and the other from a Remote Cube. I have a single navigational block to filter values for both these queries but the change gets reflected only on the variable of one query. The other reflects no change and shows all the values irrespective of the filter condition.
    I have tried the option of setting in the properties of the navigational block, ‘affected data providers’ as both your data providers.But no effect.
    Can a single navigational block be used to filter values on 2 queries which are built on different data providers? If yes, can someone please tell me how it is possible?
    Kindly let me know how can I make the changes appear in both the queries?I am using SAP BI 3.5.
    Thanks & Regards,
    Suchitra

    Hi Peng,
    Frank also published a fix for 11g R1: http://www.oracle.com/technology/products/jdev/tips/fnimphius/rc_expand_menu_on_mouse_over.html
    function showMenu(event){
       var adfRichMenu = event.getSource();
       adfRichMenu.getPeer().show(null,true);
    }This should work.
    Luc Bors

  • Issue with empty value of LOV of first row after clicking on add row button

    JDeveloper 11.1.14
    I have a page with table-form layout.
    In the form I have two detail tables on the same page (tabbed).
    I have an issue with using model-choicelist LOV's in the detail tables.
    I am able to add a new row in the detail table, select a value from the model-choiceList LOV (which is required) and save the new row.
    After adding another row in this table the value of the model-choiceList LOV in the previous row is suddenly empty on the screen. It is not empty in the database,
    I have checked it in the datbase. Only the value of the LOV of the first row on the page is being cleared after clicking on the add row button.
    After saving the new row I get the following error on the screen:
    Error: a selection is required. --> first row
    Does anyone have a suggestion how to solve this issue?

    After adding another row in this table the value of the model-choiceList LOV in the previous row is suddenly empty on the screen. It is not empty in the database, Is the complete LOV blank or only the selected value .. can you try putting autoSubmit=true in the LOV and try ? Also check if you have any partialTriggers on the LOV from the add button ?

  • Dropdown - issue with passing values to context

    Hi,
    After facing issue in:
    Webdynpro + alv + dynamic dropdown
    Now I've encountered another problem. Dropdown is created in alv, however once user select value from the list it shows selected value in the cell, however value in context remains unchanged.
    Here is the way I implemented dropdown:
    1) I added new field to the structure which is shown in the alv FIELD1 of WDR_CONTEXT_ATTR_VALUE_LIST type.
    2) I initialize the column, where dropdown is supposed to be:
    - first column
    l_col_name = 'COL1'.
    lr_column = lr_model->if_salv_wd_column_settings~get_column( l_col_name ).
    DATA: lr_drdn_by_idx_col1 TYPE REF TO cl_salv_wd_uie_dropdown_by_idx.
    CREATE OBJECT lr_drdn_by_idx_col1 EXPORTING selected_key_fieldname = l_col_name.
    lr_drdn_by_idx_col1->set_valueset_fieldname( value = 'FIELD1' ).
    lr_drdn_by_idx_col1->set_read_only( value = abap_false ).
    lr_drdn_by_idx_col1->set_type( if_salv_wd_c_uie_drdn_by_index=>type_key_value ).
    lr_column->set_cell_editor( lr_drdn_by_idx_col1 ).
    3) I load the data,
    Piece of code loading data into structure with dropdown:
    DATA:  ls_valueset     TYPE wdr_context_attr_value,
                lt_itab         LIKE TABLE OF ls_line.
          ls_valueset-value = 'KG'.
          ls_valueset-text = 'KG'.
          APPEND ls_valueset TO lt_itab[].
          ls_valueset-value = 'ST'.
          ls_valueset-text = 'ST'.
          APPEND ls_valueset TO lt_itab[].
    zstructure is type of the row show in the alv
    Data:
         ls_po_result TYPE zstructure.
         lt_po_result TYPE table of zstructure.
         ls_po_result-FIELD1[] = lt_itab[].
         APPEND ls_po_result TO lt_po_result[].
    Everything works so far good. The thing is that once I changed value from e.g. ST to KG, value in Attribute COL1 is still ST.
    I would appreciate your help,
    kind regards,
    Adam

    Hi Nithya,
    it could another issue with the SP, I will inform you if it's the case.
    Passing values comes up with function when I load data into alv.
    structure_name - alv columns structure
    DATA: l_name1        TYPE t001w-name1,
              ls_po_result   TYPE structure_name
              lt_po_result   TYPE table of structure_name,
    load data from DB into l_itab
      LOOP l_itab  AT ASSIGNING item.
    this method return value_set to field1
        CALL METHOD fill_single_dd
          EXPORTING
            i_id     = item-id
          IMPORTING
            rt_dd_table = ls_po_result-field1[].
        APPEND ls_po_result TO lt_po_result[].
      ENDLOOP.
    binding to node ....

  • UI Hints displayWidth conflict issue with precision value in 11.1.1.6

    Hi All,
    Env. 11.1.1.6
    Issue : "bindings.VoAttribute.hints.displayWidth" is taking value of precision (validation>> precision i.e. DB Table precision for VarChar ) in 11.1.1.6 which I am migrating from 11.1.1.3 that was working fine. I have checked apps running in both 1.6 showing precision value of displayWidth if not explicitly define UI Hints displayWidth in EO. Is this issue with 11.1.1.6 ? and of course, is there any configuration to disallow precision value as displayWidth for default hints ?
    Thanks .
    -Robin

    Hi Timo,
    The issue is like this :
    in 11.1.1.6 for inputText which is using column attribute as bindings.voAttribute.hints.displayWidth. But the displayWidth is not explicitly defined in EO attribute i.e. non value for UI Hints displayWidth. And EO attribute precision is being picked from database table precision for that field as validation for that attribute. While checking in UI Hints for that bindings attribute in UI is taking displayWidth from attribute precision value (255) which is stretching that component whole width of page as its database table column precision is defined as 255 varchar.
    Does UI Hints displayWidth checks precision value of attribute if it is not explicitly defined in EO newer version than 11.1.1.3? In my case displayWidth is taking value from EO attribute's precision value. If I define display width for UI Hints, then only it overrides its value in 11.1.1.6. But in jdev 11.1.1.3, it is coming up as 0 for displayWidth for same attribute with precision 255 Varchar.
    Thanks,
    Robin

  • Issues with simple cron job to query database

    Hi all,
    This is really a mix, of both a database issue and a Linux issue, so I thought I'd post it here to get the most visibility. I have been looking into this, and also had a couple other DBA's at my company help, and we are not able to figure it out, so I thought I'd post it here. Basically, I have a simple shell script that is just doing a sqlplus connection to the database and querying V$INSTANCE. When I run the script from the command line, it runs fine, but for the life of me, I can't get it to run from the crontab.
    I'm running Oracle 10.1.0.3.0 on a RedHat ES Linux release 3 (Red Hat Enterprise Linux AS release 3 (Taroon Update 5) server. This is all local on the server - the database is on this server, and this is also where I'm running the script.
    I've made the script as simple as possible, like this:
    #!/bin/sh
    sqlplus / as sysdba <<EOF
    Select * from v\$instance;
    EOF
    When I run this script from the command line, it is running fine. But then I put it in a crontab entry like this:
    00 * * * * /home/oracle/scripts/cron_test.sh > /home/oracle/scripts/cron_test.log 2>&1
    And I am seeing this in the logfile:
    Connected to an idle instance.
    SQL> SQL> Select * from v$instance
    ERROR at line 1:
    ORA-01034: ORACLE not available
    SQL> SQL> Disconnected
    At first glance, it seems like a simple issue with environment variables not being set properly, but I have tested this to exhaustion. I've put in all of the environment variables into the shell script to duplicate what I have on the command line, but it still won't work. I've checked on just about anything else I could think of - looked at the tnsnames and listener config, looked at the profile from the crontab in /etc/profile, nothing works...
    And on any other server that I test this on, it all works fine and as expected. So I'm trying to figure out why I'm only having this issue on this one particular server?? Some kind of server config or setting that could be causing it?
    I appreciate any comments or tips!!
    Thanks,
    Brad

    Done. Here is the output from the command line:
    AGENT_HOME=/u01/app/oracle/product/10.2.0/agent10g
    _=/bin/env
    G_BROKEN_FILENAMES=1
    HISTSIZE=1000
    HOME=/home/oracle
    HOSTNAME=rlldb.celgene.com
    INPUTRC=/etc/inputrc
    JAVA_HOME=/usr/java/j2re1.4.2_08/
    LANG=en_US.UTF-8
    LESSOPEN=|/usr/bin/lesspipe.sh %s
    LL_ALL=en_US
    LOGNAME=oracle
    LS_COLORS=no=00:fi=00:di=00;34:ln=00;36:pi=40;33:so=00;35:bd=40;33;01:cd=40;33;01:or=01;05;37;41:mi=01;05;37;41:ex=00;32:*.cmd=00;32:*.exe=00;32:*.com=00;32:*.btm=00;32:*.bat=00;32:*.sh=00;32:*.csh=00;32:*.tar=00;31:*.tgz=00;31:*.arj=00;31:*.taz=00;31:*.lzh=00;31:*.zip=00;31:*.z=00;31:*.Z=00;31:*.gz=00;31:*.bz2=00;31:*.bz=00;31:*.tz=00;31:*.rpm=00;31:*.cpio=00;31:*.jpg=00;35:*.gif=00;35:*.bmp=00;35:*.xbm=00;35:*.xpm=00;35:*.png=00;35:*.tif=00;35:
    MAIL=/var/spool/mail/oracle
    MANPATH=:/opt/IBM/director/man
    ORACLE_BASE=/u01/app/oracle
    ORACLE_HOME=/u01/app/oracle/product/10.1.0/Db_1
    ORACLE_SID=rlldb
    PATH=/u01/app/oracle/product/10.1.0/Db_1/bin:/usr/java/j2re1.4.2_08//bin:/usr/kerberos/bin:/usr/local/bin:/bin:/usr/bin:/usr/X11R6/bin:/opt/IBM/director/bin:/home/oracle/bin:/sbin://u01/app/oracle/product/10.1.0/Db_1/OPatch:/u01/app/oracle/dbvisit/dbvisit:/u01/app/oracle/product/10.1.0/Db_1/bin
    PWD=/home/oracle/scripts
    SHELL=/bin/bash
    SHLVL=2
    SSH_ASKPASS=/usr/libexec/openssh/gnome-ssh-askpass
    SSH_CLIENT=10.20.241.84 2988 22
    SSH_CONNECTION=10.20.241.84 2988 10.20.1.29 22
    SSH_TTY=/dev/pts/4
    TERM=xterm
    USER=oracle
    And the output from the cron run:
    HOME=/home/oracle
    LOGNAME=oracle
    ORACLE_HOME=/u01/app/oracle/product/10.1.0/Db_1
    ORACLE_SID=rlldb
    PATH=/usr/bin:/bin:/u01/app/oracle/product/10.1.0/Db_1/bin
    PWD=/home/oracle
    SHELL=/bin/sh
    SHLVL=2
    _=/usr/bin/env
    And the diff of the 2:
    1,4d0
    < AGENT_HOME=/u01/app/oracle/product/10.2.0/agent10g
    < _=/bin/env
    < G_BROKEN_FILENAMES=1
    < HISTSIZE=1000
    6,11d1
    < HOSTNAME=rlldb.celgene.com
    < INPUTRC=/etc/inputrc
    < JAVA_HOME=/usr/java/j2re1.4.2_08/
    < LANG=en_US.UTF-8
    < LESSOPEN=|/usr/bin/lesspipe.sh %s
    < LL_ALL=en_US
    13,16d2
    < LS_COLORS=no=00:fi=00:di=00;34:ln=00;36:pi=40;33:so=00;35:bd=40;33;01:cd=40;33;01:or=01;05;37;41:mi=01;05;37;41:ex=00;32:*.cmd=00;32:*.exe=00;32:*.com=00;32:*.btm=00;32:*.bat=00;32:*.sh=00;32:*.csh=00;32:*.tar=00;31:*.tgz=00;31:*.arj=00;31:*.taz=00;31:*.lzh=00;31:*.zip=00;31:*.z=00;31:*.Z=00;31:*.gz=00;31:*.bz2=00;31:*.bz=00;31:*.tz=00;31:*.rpm=00;31:*.cpio=00;31:*.jpg=00;35:*.gif=00;35:*.bmp=00;35:*.xbm=00;35:*.xpm=00;35:*.png=00;35:*.tif=00;35:
    < MAIL=/var/spool/mail/oracle
    < MANPATH=:/opt/IBM/director/man
    < ORACLE_BASE=/u01/app/oracle
    19,21c5,7
    < PATH=/u01/app/oracle/product/10.1.0/Db_1/bin:/usr/java/j2re1.4.2_08//bin:/usr/kerberos/bin:/usr/local/bin:/bin:/usr/bin:/usr/X11R6/bin:/opt/IBM/director/bin:/home/oracle/bin:/sbin://u01/app/oracle/product/10.1.0/Db_1/OPatch:/u01/app/oracle/dbvisit/dbvisit:/u01/app/oracle/product/10.1.0/Db_1/bin
    < PWD=/home/oracle/scripts
    < SHELL=/bin/bash
    PATH=/usr/bin:/bin:/u01/app/oracle/product/10.1.0/Db_1/bin
    PWD=/home/oracle
    SHELL=/bin/sh23,28c9
    < SSH_ASKPASS=/usr/libexec/openssh/gnome-ssh-askpass
    < SSH_CLIENT=10.20.241.84 2988 22
    < SSH_CONNECTION=10.20.241.84 2988 10.20.1.29 22
    < SSH_TTY=/dev/pts/4
    < TERM=xterm
    < USER=oracle
    _=/usr/bin/env-----
    I've even gone to the extreme, of taking every single environment variable from my command line environment, and putting all of them into the shell script. but still no luck... I've also contacted my Linux SysAdmins, to see if they have any thoughts/input on this.

  • Getting a percentage on cumulative values in Bex Query

    We have a Bex Query where we have 4 columns. For the actual and projected attendence, I'm displaying cumulative values and a percentage.  I want the percentage to be based on the cumulative values, but it's giving it to me based on the actual values (what's coming in, not what's being displayed).  How do I get it to do the calculation on the displayed values?
    This is the actual data coming through:
    Month/yr____actl att___________ proj att   
    01/2005_____10________________10                            
    02/2005_____10________________10                                   
    03/2005_____10 ________________20              
    What I'm getting now:
    Month/yr_____cumulative actl att_____cumulative proj att_____percentage
    01/2005_____10____________________20_________________50%
    02/2005_____ 20 ___________________30________________100%      
    03/2005 _____30 ___________________50_________________50%
    What I want is:
    Month/yr_____cumulative actl att_____cumulative proj att_____percentage
    01/2005_____ 10 _____________________20_______________50%
    02/2005______20_____________________30_______________66.67%      
    03/2005______30_____________________50_______________60%

    Julie,
    The OLAp processor in BI cannot take cumulated values - that is  - once you cumulate your values - the cumulated values cannot be used further in BeX formulae - even if you use them the actual values will be used.
    Month/yr____actl att___________ proj att
    01/2005_____10________________10
    02/2005_____10________________10
    03/2005_____10 ________________20
    What I'm getting now:
    Month/yr_____cumulative actl att_____cumulative proj att_____percentage
    01/2005_____10____________________20_________________50%
    02/2005_____ 20 ___________________30________________100%
    03/2005 _____30 ___________________50_________________50%
    What I want is:
    Month/yr_____cumulative actl att_____cumulative proj att_____percentage
    01/2005_____ 10 _____________________20_______________50%
    02/2005______20_____________________30_______________66.67%
    03/2005______30_____________________50_______________60%
    This would mean you will not get the desired output - the only way to do that is to use local macros / formulae in the workbook.
    Arun
    Hope it helps...

  • Parameter issue with multiple values

    Hi all,
    Goal of report : generate the sales amount per sales region (north/sud) based on the input payment amount. For example input parameter 400 --> I want all sales amount > 400. Same for other values
    I'm working on a report where I have 4 parameters in my report designer
    -Language
    -PAR_Regional_Office
    -PAR_Payment_Amount
    -PAR_Year_Week
    Below my querry
    SELECT { 
     [Measures].[Payment amount] 
    ON COLUMNS, NON EMPTY
     Filter(
      NonEmpty(
       [Wager].[Wager number].[Wager number],
       [Measures].[Payment amount]
      * [Date].[Date].[Date]
      [Measures].[Payment amount] > @PAR_Payment_Amount
     * [Point of sale].[POS default connection].[POS default connection]
     * [Wager].[Total odds for wager].[Total odds for wager]
     * [Stake amount].[Stake amount].[Stake amount]
                    * [Point of sale].[POS name].[POS name]
    ON ROWS
    FROM 
     [SBT Cube]
    WHERE
     {StrToMember(@PAR_Regional_Office)}
     * StrToSet(@PAR_Year_Week)
    In my querry designer I have the Regional Office, Year Week and Payment amount parameter defined (no dimension, no hierarchy, multiple values, default examples 100, 400).
    However, there is something not working, who can help me out please? When I use > 400 instead of @PAR_Payment_Amount it works ofcourse.
    Thanks in advance!

    I would open Profiler, connect to SSAS, the grab the Query Begin event. It should show you what values are being passed in as parameters (in some XML visible at the bottom of the query) then you can manually replace the parameters with hardcoded values
    and test the query.
    http://artisconsulting.com/Blogs/GregGalloway

  • Internet Explorer 11 issue with displaying value in confirm password text box

    I have one Website which has deployed on Windows 2008 R2 server.
    I have one issue with one Web Page... In my Web page have 3 Text boxes for Passwords like -
    Login          :
    Password     :
    Confirm Password :
    So in this case, when this page load all data fills properly excluding confirm password.
    "Confirm Password" text box always shows Blank. This text box already filled through code as per database value, but not shown value in this text box.
    But same value is showing in first "Password" text box properly.
    This problem occurred in IE 10 and 11 only. Same page is showing properly on other browsers and IE8 also.
    Can you please give me any solution on this issue ?

    Hi,
    For the issue,I would like to confirm if the issue is related to compatibility.
    Please try to use compatibility mode use F12 to check IE8 mode will work.
    For reference about compatibility mode:
    http://blogs.msdn.com/b/ie/archive/2010/10/19/testing-sites-with-browser-mode-vs-doc-mode.aspx
    Regards,
    Kelvin hsu
    TechNet Community Support

  • Problem with lookup value by CAML query.

    I just cannot figure out what is wrong with my code that the query does not filter any item. It returns all items in the list. The RowLimit does work so I know the query is used. I wish someone can point out what is wrong in the query. Many thanks.
    SPList tList = cWeb.Lists[listName];
    SPQuery LookupQuery =
    new
    SPQuery();
    //LookupQuery.RowLimit = 5;
    LookupQuery.Query =
    "<Query><Where><Eq><FieldRef Name='ItemStatus' /><Value Type='Text'>New</Value></Eq></Where></Query>";
    SPListItemCollection iColl = tList.GetItems(LookupQuery);
    int n = iColl.Count;

    Try removing the starting and ending <Query> tags. Your CAML query assignment should look like below
    LookupQuery.Query = "<Where><Eq><FieldRef Name='ItemStatus' /><Value Type='Text'>New</Value></Eq></Where>";
    Ram Prasad Meenavalli | MCITP | MCTS SharePoint | MCPD SharePoint | http://www.spdeveloper.co.in

Maybe you are looking for

  • RFC call from Lotus Notes

    Hi, I have create an RFC function,and have a successful test in R/3. And when I call this RFC function from Lotus Notes.The return message is AA 291 'No correction'. Anybody know the reason? Best regards, leric

  • Could you please tell me how to resolve the following import error? Thanks.

    Hi, When run the following command to import two tables:SPSSDMRESPONSE_LOG and SPSSSCORE_LOG, there are some error in the log. Could you please tell me how to resolve these error? Thanks. Command: imp S3SLORL10/Pass1234@SPSS file=/yhan/subTables.dmp

  • Irssi with fish support howto compile!

    I had problems myself so i thought i should share... i cant make a pkgbuild of it cause i don't know how to do different things, and some libs are weird so i had to do my workaround fixes. pacman -S current/glib (we need glib to compile) wget http://

  • How to convert HL7 file into an XML

    Hi All, I am new to HL7,can any one tell how to convert HL7 file into an XML.Give sample demo or related links. My sample HL7 file is as follows how can I convert. FHS|^~\&||Tax ID123^Lab Name123^L|||201110191435||HL7.txt||1234567|123|| PID|seqno|123

  • Managing LCDS FlexSession with ColdFusion8

    I am trying to figure out how to manage the session for a flex client which is connecting to lcds/coldfusion instance.  I have determined the "logic" behind the problem, but can't figure out how to implement using CF8. I'd like to be able to track lo