Modification in the Analysis Table in WAD

Has anybody anytime used modification option for Analysis wad properties. it has entries single module, multiple modules and others.
I want to use this and write or configure for reading the entries in the data cell.
Thank you

Dear Sandeep,
If you do not want to use the default display and behavior of the Analysis Web item, you can use the Modification parameter to change them. You can modify the table structure and the table cells.
The Modification parameter provides modules whose use can be controlled using additional parameters.
This function enables you to use similar options to those available in earlier releases with the Web Design API for Tables. Unlike the Web Design API for Tables, modifications enable you to make targeted changes to the display and behavior without any programming.
Prerequisites
The modules are the main prerequisites for making modifications to the Analysis Web item. The modules are implemented in Java. The SAP Basis infrastructure in SAP NetWeaver 7.0 does not support any customer modifications or extensions to Java coding. Customers are therefore not able to develop their own modules for modifications to the Analysis Web item.
SAP delivers a number of sample modules. You can use parameters to modify the display and behavior of these modules.
Procedure
You use the modules as follows:
       1.      Select a module from the sample modules.
       2.      Specify the module in the Modification parameter of the Analysis Web item.
       3.      Control the display and behavior of the module by specifying the module-specific parameters.
Please see the below link for more understanding..
http://help.sap.com/saphelp_nw70/helpdata/EN/1a/456a3badc1b315e10000000a114084/frameset.htm
Hope this helps u..
Best Regards,
VVenkat..

Similar Messages

  • Issue occurring after modification in the existing table screen

    Hi All,
    I have a table maintenance generator in which I have developed a functionality.
    I am calling a SEARCH BUTTON on this and then it is displaying me the SEARCH screen and after entering a search criteria, I am getting another screen with the similar records as that of search criteria,
    After clicking back on search screen If I again click change buton of the first screen then it is going to third screen which I got after execution of serach button before.
    So it should come to change mode in existing screen but it is not happening.
    Amol

    Amol,
    Hi. The way SAP screen processing usually operates is to include a F4 search against a field, rather than a button on the generated table maintenance screen.
    In SE11 define a search help against a field on your table (SE16 will show that this works by including a drop down when 'clicking' on the specified field). If you have a search help defined then re-generating the table maintenance will automatically include the F4 search on your field. In the search help you can include search help exits for specific functionality.
    Regards
    Robin

  • Want to count the number of rows of analysis item in WAD Template

    HI all,
    Detail Description:
    In my WAD report, i have a Export to Excel Option. But I want when I click on this button, one pop up will come only if no of rows of the Analysis Item is Greater than 10,000 ask for Do you want to proceed or not.
    Means 1st i want to count the no of rows in the Analysis Item, after that it will check, if the no of rows is greater that 10,000. then the pop up will come.
    Question:
    Does anyone know, "how to count the no of rows of the analysis Item ?" . It will be better if you know you to implement this with the help of java script.
    Means there must be some varible, which counts the no of rows. If you know then please help me

    Hi,
    Please find the below link which helps you to get solution of your question.
    http://www.sdn.sap.com/irj/scn/go/portal/prtroot/docs/library/uuid/d0bbb20f-2d7e-2e10-258f-8655daa41fab?QuickLink=index&overridelayout=true
    It is mainly used to automate queries, web templates, and reports in different output formats like PDF, Excel,
    XML, XHTML, and HTML
    How to see WAD reports on browser:
    The BEx Web Application Designer is a desktop application for creating Web applications with BW-specific contents. Using the BEx Web Application Designer, you can create an HTML page that contains contents such as various tables, charts or maps. This HTML page (Web application) provides the basis for not only Web applications with complex interaction, but also for Web cockpits and iViews.
    http://help.sap.com/saphelp_nw04/helpdata/en/1a/456a3badc1b315e10000000a114084/content.htm
    Web Application Designer for Beginners
    https://www.sdn.sap.com/irj/sdn/go/portal/prtroot/docs/library/uuid/749a4622-0a01-0010-36bf-b6b30a2a3a22
    Web Application Solutions: A Designer's Guide
    http://www.lukew.com/resources/webapplicationsolutions.pdf
    http://sap.ittoolbox.com/groups/technical-functional/sap-solution-manager/bw-web-application-designer-1955944
    Feautures of WAD in 7.0
    http://help.sap.com/saphelp_nw70/helpdata/en/88/4d354277dcb26be10000000a155106/frameset.htm
    https://www.sdn.sap.com/irj/servlet/prt/portal/prtroot/docs/library/uuid/5c46376d-0601-0010-83bf-c4f5f140e3d6
    Regards
    Sudheer

  • Need Calendar Year  as a Variable in the Title of a Table using WAD 3.5

    I am using Web Application Designer 3.5 for the first time.
    I am modifying a template that has the following table object in it:
    </object><object>
             <param name="OWNER" value="SAP_BW"/>
             <param name="CMD" value="GET_ITEM"/>
             <param name="NAME" value="TABLE_4"/>
             <param name="ITEM_CLASS" value="CL_RSR_WWW_ITEM_GRID"/>
             <param name="DATA_PROVIDER" value="DATAPROVIDER_5"/>
             <param name="CAPTION" value="Employee Information"/>
             <param name="WIDTH" value="966"/>
             ITEM:            TABLE_4
    </object></P>
    The Caption of the table is currently set to "Employee Information".  I need the Caption of the table to say "2007 Employee Information" where the year is the previous year.  In other words, if the web application is executed in 2008, the title would say "2007 Employee Information".  If the web application is executed in 2009, the tilte would say "2008 Employee Information".
    I am very new to BW and WAD so a detailed explanation would be greatly appreciated.

    Goto the Query Description and click on the Text variable icon.
    Create a text variable of processing type as customer exit which populates the previous year value.
    Use this text variabkle along with the Query Description. So your description will look something like &TXT_VAR& EMPLOYEE INFORMATION
    Attach this query as dataprovider to the table item in WAD and you can see the table caption as the previous value followed by Employee Information.
    Hope this helps.

  • Detailed analysis about the dimension tables of a cube

    Hi Experts,
    how can I get a detailed analysis about the dimension tables of a cube? (E.g. how many records include the fact tables, dimension tables and how much percent are these records compared with the whole records of the cube?!)
    Thx in advance for your answers!

    Hi,
    You will get most of the information in LISTSCHEMA transaction code. If you want to see further you can see the records in SE11.
    Regards
    Githen

  • OBI 10g merge 2 time dimensions on the same table/graph in analysis

    Hi,
    My problem is: I have 2 different analyses (working fine) (using OBI 10g), they both use a different time dimension:
    time_dim_1 | fact1
    time_dim_2 | fact2
    I want to merge them to have something like the following:
    time_dim | fact1 | fact2
    What I managed to get so far is something like this:
    time_dim1 | time_dim2 | fact1 | fact2 (with, if we suppose there are 12 rows in time_dim1 and time_dim2, 12*12 = 144 rows instead of just 12)
    Here is some more explanations about how I set my repository:
    My fact table "issues" is made of the following columns:
    issue_id, issue_type, issue_create_date, issue_end_date
    I also have a table "calendar" with year, quarter, month and full_gregorian_date.
    In the physical layer I created 2 aliases for the "calendar" table to join with the fact table using "issue_create_date" and "issue_end_date".
    In the business model I created the 2 related time dimensions.
    Everything is working fine so far, I was able to get 2 different analyses :
    - time dimension (joined with "issue_CREATE_date") | count of issues (with aggregation rule "count" on issue_id)
    to see how many new issues are CREATED through time (are there more issues created or less)
    - time dimension (joined with "issue_END_date") | count of issues (with aggregation rule "count" on issue_id)
    to see how many new issues are ENDED through time (when are more issues ended)
    What I want is a third analysis like this:
    - time dimension | count of created issues | count for ended issues
    Thanks for your help.
    Florence

    did you set the content level as well?

  • Analyse big data in Excel? Why the dynamic tables doesn't take all the data from the source table.

    Hi,
    I'm doing a internship in a production line.
    My job is to recover production data (input data) and test data (output data) using various types of software (excel, BusinessObject sap, etc).
    To this day, I have recovered hundreds of production data, and have also organized in excel but I need to analyze and plot them.
    I would like to know who can give me an idea of ​​how I could plot as much data and analysis.
    Now i trying to use dynamic charts and plot some data but I did not get acceptable answers.
    How could I compare, analyze and graph for example:
    Five columns of production (input) with five (5) columns tested (data output).
    After graphing.
    Someone can give me a technique to analyze data? ie I compare column by column?
    or some other technique? as a conglomerate could analyze data?
    o give you an idea of ​​the contect, now I perform an internship in a manufacturing turbines.
    My job is to analyze the input data (production) and to estimate the possible behavior of the turbines in the tests.
    As I said, use dynamic tables in excel, but i have not idea why the dynamic tables doesn't  take all the data from the source table.
    I appreciate your advice
    Thanks

    You can declare as PT source whole Columns [$A:$E], without rows number.
    Then You'll have all actually data.
    Oskar Shon, Office System MVP - www.VBATools.pl
    if Helpful; Answer when a problem solved

  • Change the display of the multiple Table items using a single Drop-down

    I have created a Web Template in BEx WAD (BW 3.5) with 4 Tables assigned to 4 dfferent Queries. Now I want to change the display of the all the Four Tables based on the selection of display properties chosen in a single Dropdown item. The properties to be selected  in the dropdown are like changing the Alternate style display of Rows, Suppress Alternate Style, Display only 30 Rows or 60 Rows.
    Please help me in writing the script necessary to pass the command from the dropdown to all the Tables to get the desired output.
    Thanks,
    Krishna
    Edited by: Hari Krishna Velampalli on Oct 26, 2008 12:00 AM

    Dipika, Thanks for the response.
    I tried using that option but again since we cannot give custom options in a drop-down,
    I created a Form with a drop-down list of options like Suppress Result Rows, Suppress alternate style of rows, Display only 30 Rows, Display only 100 rows .. and so on.
    Now I am able to change the display of my first table by selecting the options in the drop-down list. But my intention is to apply that selection to Multiple Tables.
    How can I achieve that?
    HK

  • Two LOVs in same UIX page based on the same table

    Hi group,
    Recently I ran into a problem with a UIX page that has two LOVs based on the same database table. In Emp and Job terminology, here's what I tried to do.
    Suppose we have use the Employees and Jobs tables from the HR scheme with one small modification. Add a column called PREFERRED_JOB_ID of type VARCHAR2(10) which is exactly the same as JOB_ID. Hypothetically speaking, this column will be used to allow Employees to select their preferred job in case they want to change their jobs.
    Next, create business components in JDeveloper based on the Employees and Jobs table. In order to be able to generate the LOVs for Job and PreferredJob create two ViewObjects, one called JobsLookupView and one called PreferredJobsLookupView. These both need to be based upon the same Jobs EntityObject. Also include the Jobs EntityObject twice in the EmployeesView ViewObject and give one the alias PreferredJobs. Include the JobTitle attributes of Jobs and PreferredJobs in EmployeesView so they can contain the JobTitles selected in our future LOVs.
    Next create a ViewController project if it's not already there and enable JHeadstart on it. Create an Application Structure File and create the lookups for the two LOVs. When I run the application I see this happening:
    When I click the flashlight icon next to the PreferredJob LOV and select a job, the PreferredJob field is selected in the UIX page but no job title appears. When I next first select the Job LOV and select a new job and then select the PreferredJob LOV again and select a different job, the job that was selected in the Job LOV is now also entered in the PreferredJob field. When I make sure the PreferredJob field isn't required (remove the required="yes" property on the messageLovInput entry for PreferredJobTitle and remove the PreferredJobTitle field from the addRequiredRowItems list in the UIX page) I can save the changes I made in the Employees.uix page. The same JobId is stored in the database for Job and PreferredJob.
    This behaviour is probably due to cacheing issues because both LOVs and the EmployeesView ViewObject use one EntityObject for four values in three ViewObjects.
    So I then modified my model a bit. I created a new EntityObject called PreferredJobs based on the JOBS table. I modified the EmployeesView ViewObject to use this EntityObject for the PreferredJobTitle attribute and modified the PreferredJobsLookupView to use this EntityObject.
    I needed to modify a few things as well in the Application Structure File (which were prompts and whether or not the attribute should be visible in a table) and after regenerating I made sure the PreferredJob attribute isn't required in the UIX page. When I then run the application again, I never see the JobTitle I select in any LOV allthough the PreferredJob field is selected when I select a Job in the PreferredJob LOV. The correct JobId now is stored in the database though.
    Has anyone ever encoutered this behaviour? Would anyone know how to get two LOVs based on the same table in one UIX page?
    Thanks in advance,
    Wouter van Reeven
    AMIS

    OK I figured it out. When I added the second Lookup ViewObject (PreferredJobs) no additional Association was created. Therefore, ADF BC wasn't able to figure out which field to update. When I added the Association between the PreferredJobs Lookup ViewObject and the Employees ViewObject everything started working ok.
    I then recreated my inital situation: one EntityObject for Jobs and one for Employees, now with two Associations between them. After modifying the Employees ViewObject and making sure the Jobs EntityObject was referred twice and via the corresponding Association, everything started working ok.
    Greets, Wouter
    AMIS

  • Transaction data can be loaded into the Fact table without loading the

    Transaction data can be loaded into the Fact table without loading the corresponding master data (Example : Sales analysis transaction data can be loaded without populating any of its  dimension’s master data)
    a.     True
    b.     False

    Hi Kutti,
    True - You need to select the option in the infopackage - alwyas load even if no master data exists.
    Bye
    Dinesh

  • Sliding window sanario in PTF vs Availability of recently loaded data in the staging table for reporting purpose

    Hello everybody, I am a SQL server DBA and I am planning to implement table partitioning on some of our large tables in our data warehouse. I
    am thinking to design it using the sliding window scenario. I do have one concern though; I think the staging tables we use for new data loading and for switching out the old partition are going to be non-partitioned, right?? Well, I don't have an issue with
    the second staging table that is used for switching out the old partition. My concern is on the first staging table that we use it for switch in purpose, since this table is non-partitioned and holding the new data, HOW ARE WE GOING TO USE/access THIS DATA
    FOR REPORTING PURPOSE before we switch in to our target partitioned table????? say, this staging table is holding a one month worth of data and we will be switching it at the end of the month. Correct me if I am wrong okay, one way I can think of accessing
    this non-portioned staging table is by creating views, which we don’t want to change our codes.
    Do you guys share us your thoughts, experiences???
    We really appreciate your help.

    Hi BG516,
    According to your description, you need to implement table partitioning on some of our large tables in our data warehouse, the problem is that you need the partition table only hold a month data, please correct me if I have anything misunderstanding.
    In this case, you can create non-partitioned table, import the records which age is more than one month into the new created table. Leave the records which age is less than one month on the table in your data warehouse Then you need to create job to
    copy the data from partition table into non-partitioned table at the last day of each month. In this case, the partition table only contain the data for current month. Please refer to the link below to see the details.
    http://blog.sqlauthority.com/2007/08/15/sql-server-insert-data-from-one-table-to-another-table-insert-into-select-select-into-table/
    https://msdn.microsoft.com/en-us/library/ms190268.aspx?f=255&MSPPError=-2147217396
    If this is not what you want, please provide us more information, so that we can make further analysis.
    Regards,
    Charlie Liao
    TechNet Community Support

  • How to find out the query is accessing the DB tables or not

    Hi Gurus ,
    How to find out the query is accessing the DB tables or not.
    Where exactly we will find this information in SAP BW.
    I know that this information we can find in ST03. But where exactly we will find the query information along with DB information?

    Lakshmi
    Activate BI Technical Content for Query analysis and run query against that.
    Hope this helps
    Thanks
    sat

  • Trigger in mutation - Update another rows in the same table with a trigger

    Hi ,
    I try to do a before update trigger on a table , but the trigger is in mutation. I understand why it do that but my question is :
    How can I update other rows in the same table when a UPDATE is made on my table??????
    Here is my trigger :
    CREATE OR REPLACE TRIGGER GDE_COMPS_BRU_5 BEFORE
    UPDATE OF DEPARTEMENT--, DISCIPLINE, DEG_DEMANDE, CE_ETAB
    ON GDEM.COMPOSITION_SUBV
    FOR EACH ROW
    Organisme : FQRNT-FQRSC
    Date de création : 14-07-2011
    Date de modification :
    Modifié par :
    Auteur : Johanne Plamondon
    Description : Ce déclencheur s'executera lors de la modification
    du responsable dans la table COMPOSITION_SUBV
    DECLARE
    V_OSUSER V$SESSION.OSUSER%TYPE;
    V_PROGRAM V$SESSION.PROGRAM%TYPE;
    V_TERMINAL V$SESSION.TERMINAL%TYPE;
    V_MACHINE V$SESSION.MACHINE%TYPE;
    V_MODULE V$SESSION.MODULE%TYPE;
    V_LOGON_TIME V$SESSION.LOGON_TIME%TYPE;
    V_AUDIT_ID NUMBER;
    vSEQ NUMBER;
    i NUMBER;
    vID DEMANDE.ID%TYPE;
    BEGIN
    begin
    SELECT OSUSER, PROGRAM, TERMINAL,MACHINE,MODULE, LOGON_TIME
    INTO V_OSUSER,V_PROGRAM,V_TERMINAL,V_MACHINE,
    V_MODULE,V_LOGON_TIME
    FROM V$SESSION
    WHERE TYPE = 'USER'
    AND USERNAME = USER
    AND LAST_CALL_ET IN (0,1)
    AND ROWNUM < 2;
    exception when others then null; end;
    IF NVL(:NEW.SC_PART,' ') = 'CHC' THEN
    SELECT COUNT(*)
    INTO i
    FROM DEMANDE
    WHERE DEM_REF = :NEW.DEM_ID
    AND PER_NIP = :NEW.PER_NIP;
    IF i = 1 THEN
    SELECT ID
    INTO vID
    FROM DEMANDE
    WHERE DEM_REF = :NEW.DEM_ID
    AND PER_NIP = :NEW.PER_NIP;
    UPDATE COMPOSITION_SUBV
    SET --CE_ETAB     = :NEW.CE_ETAB,
    --DISCIPLINE  = :NEW.DISCIPLINE,
    DEPARTEMENT = :NEW.DEPARTEMENT,
    --DEG_DEMANDE = :NEW.DEG_DEMANDE,
    DATE_MODIF = SYSDATE,
    USER_MODIF = V_OSUSER
    WHERE DEM_ID = vID
    AND PER_NIP = :NEW.PER_NIP
    AND ANNEE = :NEW.ANNEE;
    END IF;
    END IF;
    /*EXCEPTION
    WHEN OTHERS THEN
    NULL;*/
    END;

    A standard disclaimer, the mutating trigger error is telling you that you really, really, really don't want to be doing this. It generally indicates a major data model problem when you find yourself in a situation where the data in one row of a table depends on the data in another row of that same table. In the vast majority of cases, you're far better off fixing the data model than in working around the problem.
    If you are absolutely sure that you cannot fix the data model and must work around the problem, you'll need
    - A package with a collection (or global temporary table) to store the keys that are modified
    - A before statement trigger that initializes the collection
    - A row-level trigger that adds the keys that were updated to the collection
    - An after statement trigger that iterates over the data in the collection and updates whatever rows need to be updated.
    If you're on 11g, this can be simplified somewhat by using a compound trigger with separate before statement, row-level, and after statement sections.
    Obviously, though, this is a substantial increase in complexity over the single trigger you have here. That's one of the reasons that it's generally a bad idea to work around mutating table exceptions.
    Justin

  • Best solution to automate/upload data to the GL_DAILY_RATES_INTERFACE table

    We are using Oracle Apps 11.5.10.2 and I would like to get some feedback on a proposed solution to upload Exchange rates to the GL_DAILY_RATES_INTERFACE and then populate the GL_DAILY_RATES table.
    From what I have read so far I understand that I need to do the following, to allow the GL_DAILY_RATES table to be populated:
    Use sql Loader as the tool to upload the data.
    Write a control file, with the load data command, in this example, called rates.ctl
         LOAD DATA
         APPEND
         INTO TABLE GL_DAILY_RATES_INTERFACE
         FIELDS TERMINATED BY ','
         (FROM_CURRENCY                CHAR
         ,TO_CURRENCY                CHAR
         ,FROM_CONVERSION_DATE           DATE
         ,TO_CONVERSION_DATE           DATE
         ,USER_CONVERSION_TYPE          CHAR
         ,CONVERSION_RATE                DECIMAL EXTERNAL
         ,MODE_FLAG                     CHAR)
    Provide a data file .txt or .csv for the control file to access, for this example called fxcsv.csv
         formated:
         PHP,USD,01-SEP-11,01-SEP-11,Corporate,0.01984,I
    Provide a command for sql loader that can be written into a Unix shell script. I don't have unix level access or the recent experience to perform this task.
         sqldr apps/pw contraol=rates.ctl log=rates log bad -rates.bad data-fxcsv.csv
    Create a batch file to request the fxcsv.csv file from the OANDA site for the days current rates.
    Create a Samba share for the .csv file for OANDA file to be copied from the windows environment.
    Run Program - Daily Rates Import + Calculation to populate GL_DAILY_RATES from the data in GL_DAILY_RATES_INTERFACE.
    Couple of items that I will need to address, if the above process is the correct way to make this upload work.
    The format of the OANDA file that is download from the OANDA site, will have to be modified before it can be upload by the control file.
    I am not sure the best approach to script a modification to the .csv file, but any suggestions are welcome.
    The date in the OANDA file is not formatted correctly.
    The OANDA file does not have to_conversion_date.
    The OANDA file does not have a user_conversion_type.
    The OANDA file does not have a Mode Flag for insert or delete.
    All of the above being said, is this a solid process for uploading into the GL_DAILY_RATES_INTERFACE?
    Any feedback is appreciated.

    Hi,
    Thanks for the solution. My company has assigned me similar kind of automation process. So if you could give me more input on this that would be great. You can send me further mails on the following id : [email protected] or a reply in the same forum is much appriciated. Waiting for your reply.
    Thanks,
    Nagaraj

  • How to insert record inside the internal table in below code

    Hi all,
    My requirement is to find the sub-total and need to insert in between the internal table.
    You can see the output ....where I want the sub-total F2 when 1 & 2 combindely , 3 , 4& 5 combindely .Please check it and let me know is it possible
    when i am using modification  it is not creating extra row inside the table instead it is modifying one row and putting the total there.
    For ex: the origianl output is
    F1   F2       F3
    A      1          1
    B      1          1
    F      2          1
    D      3          1
    E      4          1
    C      5          1
    We want to display all the total of f2 of 1-2 , 3 , 4-5
    so expcected output is
    F1   F2       F3
    A      1          1
    B      1          1
    F      2          1
         *              3  ->This is the sub-total of 1& 2 of f2
    D      3          1
            *           1 ->this is the sub-total of 3
    E      4          1
    C      5          1
          *             2 -> this is the sub-total of 4 & 5
    = space
    But coming output is
    A 1          1
    B 1          1
    *             3 -> it is modifying the F row and inserting the total .Total is comong correct but is shoule insert  instead of modifying the record!!
      *           1
    E  4          1
    *             2
    Please help how to insert the row total at the end of the chage of field
    Please find the below code ..Due to space problem i am attaching below
    Sas

    Here is the solution ....i Got the answer Thanks for your helping hands friends
    REPORT  YTEST_MODIFY.
    DATA: BEGIN OF ITAB OCCURS 1,
    TOT TYPE C,
    F1 TYPE C,
    F2 TYPE C,
    F3 TYPE I ,
    END OF ITAB.
    DATA: BEGIN OF JTAB OCCURS 1,
    F1 TYPE C,
    F2 TYPE C,
    F3 TYPE I ,
    END OF JTAB.
    START-OF-SELECTION.
      ITAB-F1 = 'A'.
      ITAB-F2 =  1.
      ITAB-F3 =  1.
      APPEND ITAB.
      ITAB-F1 = 'B'.
      ITAB-F2 =  1.
      ITAB-F3 =  1.
      APPEND ITAB.
      ITAB-F1 = 'C'.
      ITAB-F2 =  5.
      ITAB-F3 =  1.
      APPEND ITAB.
      ITAB-F1 = 'D'.
      ITAB-F2 =  3.
      ITAB-F3 =  1.
      APPEND ITAB.
      ITAB-F1 = 'E'.
      ITAB-F2 =  4.
      ITAB-F3 =  1.
      APPEND ITAB.
      ITAB-F1 = 'F'.
      ITAB-F2 =  2.
      ITAB-F3 =  1.
      APPEND ITAB.
      SORT ITAB BY F2.
      LOOP AT ITAB.
        WRITE:/1 ITAB-F1 ,
              8 ITAB-F2 ,
              10 ITAB-F3 .
      ENDLOOP.
      LOOP AT ITAB.
        IF ITAB-F2 = 1 OR ITAB-F2 = 2.
          ITAB-TOT = 1.
          MODIFY ITAB.
        ELSEIF ITAB-F2 = 3.
          ITAB-TOT = 3.
          MODIFY ITAB.
        ELSEIF ITAB-F2 = 4 OR ITAB-F2 = 5.
          ITAB-TOT = 4.
          MODIFY ITAB.
        ENDIF.
      ENDLOOP.
      SKIP 2.
      SORT ITAB BY TOT.
      DATA : L_SUM(2) TYPE C,
             L_ROW(2) TYPE C.
      LOOP AT ITAB.
        MOVE-CORRESPONDING ITAB TO JTAB.
        APPEND JTAB.
        L_SUM = L_SUM + ITAB-F3 .
        AT END OF TOT.
          CLEAR JTAB.
          JTAB-F3 = L_SUM .
          APPEND JTAB.
          CLEAR L_SUM.
        ENDAT.
      ENDLOOP.
      LOOP AT JTAB.
        WRITE:/1 JTAB-F1 ,
              8 JTAB-F2 ,
              10 JTAB-F3 .
      ENDLOOP.
    *  DATA: a TYPE i , b .
    *  LOOP AT itab.
    *    IF b = 0.
    *      a = a + itab-f3.
    *    ENDIF.
    *    AT END OF tot.
    *      MOVE space TO itab-f1.
    *      MOVE space TO itab-f2.
    *      MOVE a TO itab-f3.
    *      MODIFY itab .
    *      CLEAR a.
    *      b = 1.
    *    ENDAT.
    *    b = 0.
    *  ENDLOOP.
    *  LOOP AT itab.
    *    MOVE-CORRESPONDING itab TO jtab.
    *    APPEND jtab.
    *  ENDLOOP.
    *  ULINE.
    *  LOOP AT jtab.
    *    WRITE: / jtab-f1 , jtab-f2 , jtab-f3.
    *  ENDLOOP.

Maybe you are looking for

  • New Patch (Web)Forms  with Sun's Java Plugin 1.4 certified - when?

    Hello, We are waiting for the new patch version for Forms6i or Forms9i with Sun's java Plugin on client platforms like Linux,... certified. But when will it be available? Peter

  • Problem using instant client with Win 7

    Hi, I have a Powerbuilder application that runs very well with Win XP and Oracle client 8 to 10. With new computers (Win 7), we try to use instant client... but there are problems with accents ! In fact, all accents are replaced by a "¿" in the datab

  • Java CLDC Emulation (Java ME Dev Kit 3.0) installation problem

    Hi, I tried installing Java CLDC Emulation from Java ME Dev Kit 3.0 to two different devices and Windows Mobile 6 Professional Emulator with mixed results: - Installation on Sprint phone went fine and I can open 'Sun Java CLDC Emu' from Start->Progra

  • DS 5.2 backup

    Hi, I'm running 2 Directory servers versions 5.2 in a multi-master configuration and have a question about the nightly backups we run. The question is, how come on one server the backed up changelog directory contains multiple db files and the second

  • Torch 9860 - Stuck on Boot (even after BBSAK)

    First of all,  Hi ! Now to the issue,  I battery pulled my 3 weeks old Torch 9860.  And it got stuck at 75% of the boot sequence. Since this has happened I:  - Left it for a day.  - Battery pulled thousand times  - Reloaded the software, Both 7.0 and