Matrix layout in IC WebClient
We would like to use the newer and much easier matrix layout in our customised views of the ICWC but this requires DESIGN2003. The IC WebClient is built on DESIGN2002 and this dependency seems deeply imbedded inside the standard IC WebClient application. Simply changing the profile_depend.htm, default.htm, main0.htm and other files to use DESIGN2003 didn't work and results in BSP errors.
Is this feasible and what is involved?
Thanks
Yes, after looking into it more I came up with the same impression. The IC WebClient seems tightly dependent on the DESIGN2002 rendering engine and there doesn't seem to be an upgrade path short of a rewrite of the ICWC in WebDynpro.
Similar Messages
-
Matrix layout and spreadsheet output 10g r2 reports
I'm currently developing a couple reports in 10g r2 and using the spreadsheet desformat. It works rather nicely but when I try it on a matrix layout it moves the matrix column(s) over the first cell of the spreadsheet instead of over the matrix cell. Is there a way to correct this issue or a property that I have to set?
Hi,
I've recently installed 10gR2 and am interested in using the DESFORMAT=spreadsheet for some existing reports. I've generated the report successfully, however the output in Microsoft Excel look awful - a lot of empty cells. When generated as 'pdf', 'htm' it looks good in the browser.
Did you do anything speciaI to maintain the format? Were you reports generated from scratch? Is there any reference docs avail (the online-help is pretty vague)...
I'd appreciate any info that would help get this working (for existing reports). -
Matrix Layout Width Percentage
Dear Experts,
I have a requirement.
I need to create 4 Transparent Containers:-
- TCO_MAIN (Matrix Header)
- - TCO_RIGHT (Matrix Header)
- - TCO_MIDDLE (Matrix Data)
- - TCO_LEFT (Matrix Data)
TCO_RIGHT, TCO_MIDDLE, and TCO_LEFT are in the TCO_MAIN.
What propeties should i set in order to have these:-
- TCO_RIGHT to occupy 20% of the TCO_MAIN width,
- TCO_MIDDLE to occupy 20% of the TCO_MAIN width, and
- TCO_LEFT to occupy 60% of the TCO_MAIN width.
Thanks.
TeeHi Tee,
Try this config:
Layout of all the transparent containers should be Matrix Layout.
TCO_MAIN width 100% Strecthed Horizon
TCO_LEFT width 20%, Go to layout data property and give width as 20%
TCO_MIDDLE width 20%, Go to layout data property and give width as 20%
TCO_RIGHT width 60%. Go to layout data property and give width as 60%
I hope it works.
Regards
Arjun -
SSRS 2008 R2 matrix layout issue
Hi, I am working on a report where I have to report total number of tickets resolved per Resource in a week and I get the total number of tickets from a different table and issues resolved from another and most of the aggregation I do it in my dataset and
display it as a matrix report.
The problem I am running into is for instance my layout looks something like below. My data will be I will have 4 records for 2014 week-2 and for each resource will have a Total of 57 tickets and the same for week-3 and when I do the total for Atlanta the
total I get is 57 * 4 + 39 * 4 instead of staright 57 + 39. Please guide me fix this.
Region Year Week Total Resource1 Resource2 Resource3 Resource4
Atlanta 2014 2 57 16 7 8 12
3 39 8 9
13 1
Thanks in advance..............
IoneWhat is the formula in the total column?
The layout looks like a matrix, is it?
How did you add the total column to the matrix/table?
What fields are returned by the 2 datasets?
The *4 issue seems to indicate that the dataset that returns total has multiple rows (1 per resource) that includes the same total value for each region/year/week and that the formula in the total cell is summing the values of the dataset rows. If this is
the case then the issue may be cleared up by simply eliminating the multiple rows in that dataset. That may mean removing the resource field from that dataset's select list or adding the DISTINCT keyword to the select (assuming it is TSQL).
"You will find a fortune, though it will not be the one you seek." -
Blind Seer, O Brother Where Art Thou
Please Mark posts as answers or helpful so that others may find the fortune they seek. -
How keep only one element in first row and two element in second row.
can u send detail about this arrange ment of elements in web dynpro
Regards,
H.V.Swathi
Edited by: H.V Swathi on Oct 17, 2008 7:48 AMNamaste Swati,
To obtain fields as you mentioned, first of all, create a group with 'Layout' set to MatrixLayout.
I'm considering the fields to be text fields (just for example)
Create a field T1.1 and T1.2 with default layout Matrix. This will create 2 fields next to each other.
Now create field T2.1 with layout set to MatrixHeaderData. This will create a field in the next row. Whatever fields you create from now on will be in the second row, with default layout set to Matrix. Create as many fields, such as T2.2, T2.3 and so on.
For the third row, create a field T3.1 with layout MatrixHeaderData.
I hope you have got what you want!!
Krishna Murthy -
I want to represent the query results just as the report editor would in a matrix style.
How do I do it? I don't want to use the spread table facility.
tks
nullHey, sorry I posted the above message halfway-through by mistake.
My layout is like this (it appears as follows):
I want all the textviews (vertically) to be aligned.
RootUIElementContainer
Group1
Label1 Textview1
Label2 Textview2
Label3 Textview3
Label4 Image1
Group2
Label5 Textview4
Label6 Textview5
Label7 Textview6
Group3
Label8 Textview7
Label9 Textview8
Label10 Textview9
Group4
Label11 Textview10
Table with 2 columns
Button
Here Textviews 1,2,3 get aligned (Vertically) properly and so do 4,5,6 & 7,8,9
But Textview 1,2,3 are not aligned (Vertically) properly with 4,5,6 or with 7,8,9.
Thanks and regards,
Mayuresh
Edited by: Mayuresh Kanvinde on Jan 22, 2009 2:59 PM -
Hi,
I have a requirement where the records are based on two tables, viz. DEPT as X axis and GRADES as Y axis. Both these have fixed records.
Now, for each combination of DEPT and GRADE, I need to display the employee count, like a matrix.
Any inputs on acheiving this would be appreciated.
ThanksHi,
You have to get the query in such a way that you have all the details in the output of the query like matrix, then you can map into a table region.
Thanks,
With regards,
Kali.
OSSi. -
Matrix layout - line up problem
I have the following layout in my ESS (I've added several fields) - when I run the code in the portal the layout of the TransparentContainer (existing) lays out beautifully - label's line up - input fields line up with the longest label. The TransparentContainer_1 - is ugly - there is a good inch between the longest lable and the start of the input fields.
What is causing this inch gap?
RootUIElementContainer [TransparentContainer - RootUIElementContainer]
TextView [TextView - Child]
TransparentContainer [TransparentContainer - Child] - MATRIXLAYOUT
LastName_Label [Label - Child] - MATRIXHEADDATA
LastName [InputField - Child]- MATRIXDATA
FirstName_Label [Label - Child]- MATRIXHEADDATA
FirstName [InputField - Child]- MATRIXDATA
ContactHeader [TextView - Child]- MATRIXHEADDATA
TransparentContainer_1 [TransparentContainer - Child]- MATRIXHEADDATA - MATRIXLAYOUT
Areac_label [Label - Child]- MATRIXHEADDATA
TransparentContainer1 [TransparentContainer - Child]- MATRIXDATA - FLOWLAYOUT
Areac [InputField - Child]
Telnr [InputField - Child]
Zzecworkphone_label [Label - Child]- MATRIXHEADDATA
Zzecworkphone [InputField - Child]- MATRIXDATA
Stras_label [Label - Child]- MATRIXHEADDATA
Stras [InputField - Child]- MATRIXDATA
Locat_label [Label - Child]- MATRIXHEADDATA
Locat [InputField - Child]- MATRIXDATA
Ort01_label [Label - Child]- MATRIXHEADDATA
TransparentContainer2 [TransparentContainer - Child]- MATRIXDATA - FLOWLAYOUT
Ort01 [InputField - Child]
State [DropDownByKey - Child]
Pstlz_label [Label - Child]- MATRIXHEADDATA
TransparentContainer3 [TransparentContainer - Child] - MATRIXDATA - FLOWLAYOUT
Pstlz [InputField - Child]
Land [DropDownByKey - Child]
Regards,
DianeMake sure you set "stretchedHorizontally" to false. The default value "true" is somewhat unfortunate.
Armin -
Drag and Drop feature in Layout
Hi,
I am new to Webdynpro ABAP.
I placed the controls like button , text and label on the layout.
But the issue is, I need to arrange them in order but when i drag and drop on the layout, the controls do not move at all.
Whichever controls I choose and place on the layout, all of them are aligning in a Top horizontal fashion.
Pls help as it is hindering me from moving forward to create some apps.
Regards,
Vinayhi ,
place your UIs under a transparent container or a group
and place ur UIs inside it , right click on the ui and choose to move it up or down
u can use the Group UI element to group a series of UI elements under the same title.
Therefore, it acts as a container.
Always use the TransparentContainer UI element for nested groups.
if u r using matrix layout for ur transparent container or group , u can use matrix head data to place UIs in start of line
u can use the TransparentContainer element in two different ways:
i) As a layout container (property isLayoutContainer=true)
In this case, you use the element to design the layout of other UI elements.
ii) As a grouping container (property isLayoutContainer=false)
In this case, you use the element to group other UI elements.
regards,
amit -
Query help to get Matrix report
Hi All,
I have posted this query in Reports forum, didnt get replies, so im posting at Database general may be it could be the query problem.
Account Main Heads
Account_main_head_code, Main_head_description
01 ADMINSTRATIVE
02 OPERATIONAL
Ledger_codes account_code,account_description,accound_main_head_code
01 SALARIES 01
02 PHONES 01
03 FUEL 02
Terminal_master
Terminal_id,terminal_station_code
1 HYD
2 VJA
3 NY
4 WDC
Petty_cash_voucher voucher_date,terminal_id,currency_code,account_code,amount
30-jun-05 1 GBP 01 100
30-jun-05 2 GBP 01 200
30-jun-05 3 GBP 02 300
30-jun-05 4 GBP 03 250
Im looking for the MATRIX layout as follows :
GBP (first group)
ADMINISTRATIVE (secind group)
.................HYD.....VJA....NY ....WDC
Salaries.........100.....200.....0......0
Phones............0.......0.....300.....0
OPERATIONAL
.................HYD.....VJA....NY....WDC
Fuel..............0.......0.....0.....250
My query is like this
SELECT
P.currency_code,
T.terminal_town_code,
P.account_code,
L.account_description,
MH.account_main_head_description,
SUM(P.amount) total_amount
FROM
terminal_master T,
petty_cash_voucher_master P,
ledger_accounts L,
account_main_heads MH
WHERE
T.terminal_id = P.account_to_terminal (+)
AND
L.account_code (+) = P.account_code
AND
MH.account_main_head_code (+) = L.account_main_head_code
AND
P.voucher_date (+) > = '30-jun-05'
AND
P.voucher_date (+) < = '30-jun-05'
GROUP BY
P.currency_code,
T.terminal_town_code,
P.account_code,
L.account_description,
SH.account_main_head_description.
My current output is like this.
right now with the the existing query im getting like this
GBP (first group)
ADMINISTRATIVE (second group)
.................HYD.....VJA....NY ....WDC
Salaries.........100.....200.....0......0
Phones............0.......0.....300.....0
OPERATIONAL
.................WDC
Fuel.............250
While i need all the terminal at OPERATIONAL expenses also.you'll need an auxiliary calender table :
SQL> drop table T_ACM ;
SQL> drop table T_LC ;
SQL> drop table T_TM ;
SQL> drop table T_PCV ;
SQL> drop table T_CAL ;
SQL>
SQL> create table T_ACM (acm_code varchar2(2) not null, text varchar2(20) not null) ;
SQL> create unique index T_ACM_PK on T_ACM (acm_code) ;
SQL> insert into T_ACM values ('01','ADMINISTRATIVE') ;
SQL> insert into T_ACM values ('02','OPERATIONAL' ) ;
SQL>
SQL>
SQL> create table T_LC (lc_code varchar2(2) not null, text varchar2(20) not null, acm_code varchar2(2) ) ;
SQL> create unique index T_LC_PK on T_LC (lc_code) ;
SQL> insert into T_LC values ('01' , 'SALARIES' , '01') ;
SQL> insert into T_LC values ('02' , 'PHONES' , '01') ;
SQL> insert into T_LC values ('03' , 'FUEL' , '02') ;
SQL>
SQL>
SQL> create table T_TM (tm_id number not null, tm_code varchar2(3) ) ;
SQL> create unique index T_TM_PK on T_TM (tm_id) ;
SQL> insert into T_TM values (1, 'HYD' ) ;
SQL> insert into T_TM values (2, 'VJA' ) ;
SQL> insert into T_TM values (3, 'NY' ) ;
SQL> insert into T_TM values (4, 'WDC' ) ;
SQL>
SQL>
SQL> create table T_PCV (v_date date not null, tm_id varchar2(3) , cur_code varchar2(3), lc_code varchar2(2), amount number ) ;
SQL> insert into T_PCV values (sysdate , 1, 'GBP', '01' , 100) ;
SQL> insert into T_PCV values (sysdate , 2, 'GBP', '01' , 200) ;
SQL> insert into T_PCV values (sysdate , 3, 'GBP', '02' , 300) ;
SQL> insert into T_PCV values (sysdate , 4, 'GBP', '03' , 150) ;
SQL>
SQL> insert into T_PCV values (sysdate-1 , 1, 'GBP', '01' , 101) ;
SQL> insert into T_PCV values (sysdate-1 , 2, 'GBP', '01' , 201) ;
SQL> insert into T_PCV values (sysdate-1 , 3, 'GBP', '02' , 301) ;
SQL> insert into T_PCV values (sysdate-1 , 4, 'GBP', '03' , 151) ;
SQL>
SQL> insert into T_PCV values (sysdate-2 , 1, 'GBP', '01' , 102) ;
SQL> insert into T_PCV values (sysdate-2 , 2, 'GBP', '01' , 202) ;
SQL> insert into T_PCV values (sysdate-2 , 3, 'GBP', '02' , 302) ;
SQL> insert into T_PCV values (sysdate-2 , 4, 'GBP', '03' , 152) ;
SQL>
SQL> create table T_CAL (DAY date not null, WEEK number, MONTH number, YEAR number) ;
SQL> create unique index T_CAL_PK on T_CAL (DAY);
SQL>
SQL> DECLARE
2 l_year number ;
3 BEGIN
4
5 l_year := 2005 ;
6
7 FOR i in 1..365 LOOP
8 insert into T_CAL (DAY,YEAR)
9 select to_date(to_char(i) || ' ' || to_char(l_year) , 'DDD YYYY')
10 ,l_year
11 from dual
12 ;
13 END LOOP ;
14
15 commit ;
16
17 update T_CAL
18 set WEEK = to_number(to_char(T_CAL.DAY,'WW'))
19 ,MONTH = to_number(to_char(T_CAL.DAY,'MM'))
20 ;
21 commit ;
22 END ;
23 /
SQL>
SQL>
SQL>
SQL> commit ;
SQL>
SQL>
SQL>
SQL>
SQL> create or replace
2 view v_test_2 as
3 select
4 E.DAY
5 ,E.acm_text
6 ,E.lc_text
7 ,E.tm_code
8 ,nvl(sum(F.amount),0) amount
9 from
10 (select A.text acm_text, B.lc_code, B.text lc_text, C.tm_id, C.tm_code , D.DAY
11 from
12 T_ACM A
13 ,T_LC B
14 ,T_TM C
15 ,T_CAL D
16 where
17 A.acm_code = B.acm_code
18 ) E
19 ,(select trunc(v_date) DAY, tm_id, lc_code, sum(amount) amount
20 from t_pcv
21 group by trunc(v_date), tm_id, lc_code
22 ) F
23 where
24 E.lc_code = F.lc_code (+)
25 and E.tm_id = F.tm_id (+)
26 and E.DAY = F.DAY (+)
27 group by
28 E.DAY
29 ,E.acm_text
30 ,E.lc_text
31 ,E.tm_code
32 ;
SQL> select * from v_test_2
2 where DAY >= to_date('01.07.2005','dd.mm.yyyy')
3 and DAY <= to_date('02.07.2005','dd.mm.yyyy')
4 ;
DAY ACM_TEXT LC_TEXT TM_ AMOUNT
01.07.05 ADMINISTRATIVE PHONES HYD 0
01.07.05 ADMINISTRATIVE PHONES NY 301
01.07.05 ADMINISTRATIVE PHONES VJA 0
01.07.05 ADMINISTRATIVE PHONES WDC 0
01.07.05 ADMINISTRATIVE SALARIES HYD 101
01.07.05 ADMINISTRATIVE SALARIES NY 0
01.07.05 ADMINISTRATIVE SALARIES VJA 201
01.07.05 ADMINISTRATIVE SALARIES WDC 0
01.07.05 OPERATIONAL FUEL HYD 0
01.07.05 OPERATIONAL FUEL NY 0
01.07.05 OPERATIONAL FUEL VJA 0
01.07.05 OPERATIONAL FUEL WDC 151
02.07.05 ADMINISTRATIVE PHONES HYD 0
02.07.05 ADMINISTRATIVE PHONES NY 300
02.07.05 ADMINISTRATIVE PHONES VJA 0
02.07.05 ADMINISTRATIVE PHONES WDC 0
02.07.05 ADMINISTRATIVE SALARIES HYD 100
02.07.05 ADMINISTRATIVE SALARIES NY 0
02.07.05 ADMINISTRATIVE SALARIES VJA 200
02.07.05 ADMINISTRATIVE SALARIES WDC 0
02.07.05 OPERATIONAL FUEL HYD 0
02.07.05 OPERATIONAL FUEL NY 0
02.07.05 OPERATIONAL FUEL VJA 0
02.07.05 OPERATIONAL FUEL WDC 150
SQL>
SQL> select
2 B.MONTH
3 ,A.acm_text
4 ,A.lc_text
5 ,A.tm_code
6 ,sum(amount) amount
7 from
8 V_TEST_2 A
9 ,T_CAL B
10 where B.DAY = A.DAY (+)
11 and B.MONTH = 7
12 group by
13 B.MONTH
14 ,A.acm_text
15 ,A.lc_text
16 ,A.tm_code
17 ;
MONTH ACM_TEXT LC_TEXT TM_ AMOUNT
7 ADMINISTRATIVE PHONES HYD 0
7 ADMINISTRATIVE PHONES NY 601
7 ADMINISTRATIVE PHONES VJA 0
7 ADMINISTRATIVE PHONES WDC 0
7 ADMINISTRATIVE SALARIES HYD 201
7 ADMINISTRATIVE SALARIES NY 0
7 ADMINISTRATIVE SALARIES VJA 401
7 ADMINISTRATIVE SALARIES WDC 0
7 OPERATIONAL FUEL HYD 0
7 OPERATIONAL FUEL NY 0
7 OPERATIONAL FUEL VJA 0
7 OPERATIONAL FUEL WDC 301
SQL>
SQL>
SQL> select
2 B.MONTH
3 ,A.acm_text
4 ,A.lc_text
5 ,A.tm_code
6 ,sum(amount) amount
7 from
8 V_TEST_2 A
9 ,T_CAL B
10 where B.DAY = A.DAY (+)
11 and B.MONTH = 6
12 group by
13 B.MONTH
14 ,A.acm_text
15 ,A.lc_text
16 ,A.tm_code
17 ;
MONTH ACM_TEXT LC_TEXT TM_ AMOUNT
6 ADMINISTRATIVE PHONES HYD 0
6 ADMINISTRATIVE PHONES NY 302
6 ADMINISTRATIVE PHONES VJA 0
6 ADMINISTRATIVE PHONES WDC 0
6 ADMINISTRATIVE SALARIES HYD 102
6 ADMINISTRATIVE SALARIES NY 0
6 ADMINISTRATIVE SALARIES VJA 202
6 ADMINISTRATIVE SALARIES WDC 0
6 OPERATIONAL FUEL HYD 0
6 OPERATIONAL FUEL NY 0
6 OPERATIONAL FUEL VJA 0
6 OPERATIONAL FUEL WDC 152
SQL> -
I'm working web dynpro for ABAP trying to duplicate a legacy system screen.
I have 3 different types of addresses to display on the screen - Shipping, Billing, and Mailing. What I want to do is arrange these addresses in 3 columns. Each column would have the heading indicating the address type and would contain the fields for that address type.
I have tried the matrix layout and don't seem to be able to control the number of columns on the screen. Each time I add an element it gets tacked on horizontally just like typing. What I want to do is work vertically withing a column building the elements.
I'm fumbling around with the grid layout now but I'm still having trouble arranging the fields the way I want.
Is there an easier way to accomplish this?
Thanks,
BrentHi Sergei,
Thanks for the tip. That solved my vertical allignment problem but I'm still fighting with trying to get multiple elements within a cell in the Matrix.
If I set the layout property of field A to MatrixHeadData and then add field B and C it looks like this.
A B C
If I add field D and set the property to MatrixHeadData then that starts a new row with D and it looks like this;
A B C
D
I'm still having trouble putting multiple elements in the same cell like this
A D
B
C
It seems odd that you can't just move fields around on the screen with the mouse or create a matrix and then just drag and drop field into the various cells. Am I going about this the hard way?
Thanks
Brent -
Dear All,
Does standard class and method (Layou driver program ) support custom adobe form in SRM 7.0 (PO layout)?
Kindly let me know your experience.
Thanks.
Rrgards,
Preethi.Thanks Kris for your reply! Using Matrix layout yes its possible to make fine adjustment, but I would like to go by Form layout only as its a new tool for SAP in EhP2 as well much better in use as per as performance is concerned. Only thing is I am doing some mistake that the right alignment for labels are not coming rather its coming only as left alighned. Surely I am doing some mistake which I am not able to trace.
Please advice. Thanks Som. -
Add Project Name and description to the Projects Notification Layout in OTL
Hi,
I want to add the Project name and description to the OTL Projects Notification Layout. I have tried the following code to change the ldt file.
BEGIN HXC_LAYOUT_COMPONENTS "Projects Notification Layout - Project Name"
OWNER = "ORACLE"
COMPONENT_VALUE = "PROJECTNAME"
REGION_CODE = "CUS_PROJECT_PROMPT"
REGION_CODE_APP_SHORT_NAME = "HXC"
ATTRIBUTE_CODE = "HXC_CUI_PROJECT_NAME"
ATTRIBUTE_CODE_APP_SHORT_NAME = "HXC"
SEQUENCE = "181"
COMPONENT_DEFINITION = "LOV"
RENDER_TYPE = "WEB"
PARENT_COMPONENT =
"Projects Notification Layout - Day building blocks - matrix layout"
LAST_UPDATE_DATE = "2004/05/24"
BEGIN HXC_LAYOUT_COMP_QUALIFIERS "Projects Notification Layout - Project Name"
OWNER = "ORACLE"
QUALIFIER_ATTRIBUTE_CATEGORY = "LOV"
QUALIFIER_ATTRIBUTE1 = "ProjectBaseLOVVO"
QUALIFIER_ATTRIBUTE2 = "N"
QUALIFIER_ATTRIBUTE3 = "HXC_CUI_PROJECT_LOV"
QUALIFIER_ATTRIBUTE4 = "809"
QUALIFIER_ATTRIBUTE5 = "12"
QUALIFIER_ATTRIBUTE6 =
"HxcCuiProjectName|PROJECTNAME-DISPLAY|CRITERIA|N|HxcCuiProjectId|PROJECTNAME|RESULT|N|HxcCuiProjectName|PROJECTNAME-DISPLAY|RESULT|N"
QUALIFIER_ATTRIBUTE8 = "ProjectName"
QUALIFIER_ATTRIBUTE9 = "ProjectId#NUMBER"
QUALIFIER_ATTRIBUTE10 =
"oracle.apps.hxc.selfservice.timecard.server.ProjectBaseLOVVO"
QUALIFIER_ATTRIBUTE17 = "OraTableCellText"
QUALIFIER_ATTRIBUTE20 = "N"
QUALIFIER_ATTRIBUTE21 = "Y"
QUALIFIER_ATTRIBUTE22 = "L"
QUALIFIER_ATTRIBUTE25 = "FLEX"
QUALIFIER_ATTRIBUTE26 = "PROJECTS"
QUALIFIER_ATTRIBUTE27 = "Attribute8"
QUALIFIER_ATTRIBUTE28 = "PROJECT_NAME"
QUALIFIER_ATTRIBUTE30 = "Y"
LAST_UPDATE_DATE = "2004/05/24"
END HXC_LAYOUT_COMP_QUALIFIERS
END HXC_LAYOUT_COMPONENTS
I have created a segment PROJECT_NAME (attribute8) to the "PROJECTS" context of "OTL Information Types" DFF. Bouce the apache server.
I am able to get the prompt but unable to get the data in the column.
Please help.
Thanks & Regards,
MunishHi Also have tried with the following ldt code. In this code I have added the projectname field from the PROJECT LOV and tried to get the value of the projectname into the text field.
BEGIN HXC_LAYOUT_COMPONENTS "Projects Notification Layout - Project"
OWNER = "ORACLE"
COMPONENT_VALUE = "PROJECT"
REGION_CODE = "HXC_CUI_TIMECARD"
REGION_CODE_APP_SHORT_NAME = "HXC"
ATTRIBUTE_CODE = "HXC_TIMECARD_PROJECT"
ATTRIBUTE_CODE_APP_SHORT_NAME = "HXC"
SEQUENCE = "180"
COMPONENT_DEFINITION = "LOV"
RENDER_TYPE = "WEB"
PARENT_COMPONENT =
"Projects Notification Layout - Day building blocks - matrix layout"
LAST_UPDATE_DATE = "2004/05/24"
BEGIN HXC_LAYOUT_COMP_QUALIFIERS "Projects Notification Layout - Project"
OWNER = "ORACLE"
QUALIFIER_ATTRIBUTE_CATEGORY = "LOV"
QUALIFIER_ATTRIBUTE1 = "ProjectBaseLOVVO"
QUALIFIER_ATTRIBUTE2 = "N"
QUALIFIER_ATTRIBUTE3 = "HXC_CUI_PROJECT_LOV"
QUALIFIER_ATTRIBUTE4 = "809"
QUALIFIER_ATTRIBUTE5 = "12"
QUALIFIER_ATTRIBUTE6 =
"HxcCuiProjectNumber|PROJECT-DISPLAY|CRITERIA|N|HxcCuiProjectId|PROJECT|RESULT|N|HxcCuiProjectNumber|PROJECT-DISPLAY|RESULT|N|HxcCuiProjectName|PROJNAME|RESULT|N"
QUALIFIER_ATTRIBUTE8 = "ProjectNumber"
QUALIFIER_ATTRIBUTE9 = "ProjectId#NUMBER"
QUALIFIER_ATTRIBUTE10 =
"oracle.apps.hxc.selfservice.timecard.server.ProjectBaseLOVVO"
QUALIFIER_ATTRIBUTE17 = "OraTableCellText"
QUALIFIER_ATTRIBUTE20 = "N"
QUALIFIER_ATTRIBUTE21 = "Y"
QUALIFIER_ATTRIBUTE22 = "L"
QUALIFIER_ATTRIBUTE25 = "FLEX"
QUALIFIER_ATTRIBUTE26 = "PROJECTS"
QUALIFIER_ATTRIBUTE27 = "Attribute1"
QUALIFIER_ATTRIBUTE28 = "PROJECT"
QUALIFIER_ATTRIBUTE30 = "Y"
LAST_UPDATE_DATE = "2004/05/24"
END HXC_LAYOUT_COMP_QUALIFIERS
END HXC_LAYOUT_COMPONENTS
BEGIN HXC_LAYOUT_COMPONENTS "Projects Notification Layout - Project Name"
OWNER = "CUSTOM"
COMPONENT_VALUE = "PROJECTNAME"
SEQUENCE = "181"
COMPONENT_DEFINITION = "TEXT_FIELD"
RENDER_TYPE = "WEB"
PARENT_COMPONENT = "Projects Notification Layout - Day building blocks - matrix layout"
REGION_CODE = "CUS_PROJECT_PROMPT"
REGION_CODE_APP_SHORT_NAME = "HXC"
ATTRIBUTE_CODE = "HXC_CUI_PROJECT_NAME"
ATTRIBUTE_CODE_APP_SHORT_NAME = "HXC"
BEGIN HXC_LAYOUT_COMP_QUALIFIERS "Projects Notification Layout - Project Name"
OWNER = "CUSTOM"
QUALIFIER_ATTRIBUTE_CATEGORY = "TEXT_FIELD"
QUALIFIER_ATTRIBUTE1 = "N"
QUALIFIER_ATTRIBUTE2 = "NODISPLAYCACHE"
QUALIFIER_ATTRIBUTE3 = "10"
QUALIFIER_ATTRIBUTE4 = "1"
QUALIFIER_ATTRIBUTE20 = "N"
QUALIFIER_ATTRIBUTE21 = "Y"
QUALIFIER_ATTRIBUTE22 = "L"
QUALIFIER_ATTRIBUTE25 = "FLEX"
QUALIFIER_ATTRIBUTE26 = "PROJECTS"
QUALIFIER_ATTRIBUTE27 = "Attribute20"
QUALIFIER_ATTRIBUTE28 = "PROJNAME"
QUALIFIER_ATTRIBUTE30 = "Y"
END HXC_LAYOUT_COMP_QUALIFIERS
END HXC_LAYOUT_COMPONENTS
But no data is displayed.
I have also tried with the QUALIFIER_ATTRIBUTE27 = "Attribute8" as the attribute8 is being defined in the PROJECTS context of the "OTL Information Types" DFF.
Thanks & regards,
Munish -
How to design a better screen layout?
Hi all, we have one select-options and 5 input-fields on one view, these 6 elements are arranged from the top to the buttom, but the 5 input-fields seems very separeated from its corresponding label, can anyone give some advice to make the layout looks better? thanks very much.
select-options1
input-field1
input-field2
input-field3
input-field4
input-field5hi,
if u are using matrix layout uncheck the checkbox 'stretchedHorizontally' and 'stretchedVertically' prorerty of the container whrere your input fields resides.
for example if it is under ROOTUIELEMENTCONTAINER then uncheck the property of this container.
regards,
Subhasis.
Reward points for useful answer. -
Page level totals in a matrix report
hi all,
Is it possible to have any kind of page level totals in a matrix report??
i tried it manually, but it gave me an error as follows,
REP-1266: Column '<column name>': Page Level columns are not allowed in a Cross Product.
Thanks
MartinMartin,
Is one of your report Repeating frames set to break on pages? If so, then go to the data model and create the variables you need inside the group of the repeating frame. If you are doing a summary column, don't forget to set the repeat at: property correctly. Then just carefully add the fields to the layout. The matrix layout can be very difficult to work with so what I do is carefully expand out all the frames so they are not overlapping with the outermost frame being on the very outside. Use the Fill Color setting on the layout to paint the frames so you can see what is sitting on top of what. It may take a few shots to get it right.
Have you worked with Oracle analytic functions? They can really make your life easy by doing all of the summing at various levels. Also look into GROUPING SETS they are the bomb! Check out the URL below for more info:
http://orafaq.com/node/55
Good luck,
matt
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