Need a widget for stock information?

Aloha:
I am looking for a dashboard widget  that will give information relative to particular stocks
Information such as price and dividens for a chosen list of stocks.
I have googled the question to death with no  results
I am sure someone has written such an aap, but I can't find it.
Help!!!
Thanks
Dan Page
Hawaii

Deborah:
Your a wizard!  It was right in front of me all the time.
All I have to do is double click the search button located on the lower left side of my "stock icon".
Up pops a search engine with all sorts of information on the stocks I have placed there.
I then go to the "Fundmentals button" on that window, and whamo,  Up comes a page that contains all the yield info I am seeking.
Well done!  Thanks.
Aloha Dan

Similar Messages

  • I need a widget for iTunes library on my dashboard

    how do i get a widget for my itunes library (not store) on my dashboard

    iTunes
    Apple Forum
    MacBook Pro
    Snow Leopard
    Mac 101: Dashboard
    MacBook Pro Apple Support

  • Need Certificate Widget for Cap 5 with Auto Date

    Okay, folks--I've spent a half day on this and it's time to throw up my hands. I've wandered all over the internet, sure I would find the answer, but no.
    I'm not a Flash developer or a code afficianado. I'm just your average instructional designer trying to get along with Captivate 5. I don't want to create a bunch of new stuff. I want the functionality there for me. I did research and try to see what it would take for me to develop my own certificate widget, but it sort of defeats the whole rapid e-learning premise, if you know what I mean!
    I just want a certificate of completion widget that A) allows the user to enter his name B) autofills the date C) actually inserts my logo instead of asking for the file and then doing nothing with it C) prints out when you click the print button. Where can I put my hands on such a widget that will function in CAPTIVATE 5?
    (Why, OH WHY, doesn't the certificate of completion work the way it did in Captivate 4? In desperation, I tried loading the widget that was used for 4, but it's not happy in 5. And WHY would you have it available in the award certificate and not the completion certificate? I don't want to AWARD them. I want to acknowleded that they successfully completed a tutorial.)

    By the way the certificate widget doesn't work using the instructions in "Using Adobe Captivate 5" manual (which are actually 4s instructions), no blank slide with a variable of v_Name is required.
    The correct instructions for 5 are:
    Insert a blank slide after the quiz result and insert the certificate widget, choose the layout and add information:
    ·         Name of the course
    ·         Date on which the course was taken or leave default dates which fill in automatically upon completion
    ·         Signature of Authority
    Once published, before the certificate is displayed, there is an auto generated page by the widget requiring the user to input a name, and to use the Submit button. The name automatically is inserted on the Certificate. It can  also be tested by Previewing it.
    Note: This still didn't work for me after I had set up the certificate widget according to the manual and after much research I found that if you have already created a variable in Project/Variables named v_Name, in order to get the certificate to work in Captivate 5 the variable needs to be removed from Project/Variables.
    Captivate may tell you it can't remove the variable and that it is attached to a slide, however once you remove the slide that it was used on and delete it from the library you can remove the variable. As a precaution, I shut down Captivate and reopened it to clear any temp memory, then checked to see if the variable was gone and it was. At that point I inserted the certificate following the instructions above and it worked correctly.
    Good luck, Scharolet

  • Table for Stock Requirement List related information

    Dear Sir,
    We have make-to-order scenario , on receiving the Order from Customer  we first create a Sale-Order for the Ordered Item . Subsequently in MD04 , we find a requirement getting reflected  for the Customer Order .
    For example say the Sale-Order number is S-101 and the Line Item is 10 for the FERT material say FERT-101 having the Order quantity as 1 number .  In MD04 , we find a requirement getting reflected with the following information :
    MRP Element  --> CustOrd
    MRP element data --> S-101 / 00010 / 0001
    Recd/Reqd Qty  -->  1-
    Available Qty  --> 1-
    We need to write a Z program for getting the list of  the requirements against the Customer Order (as shown in MD04) .
    Kindly guide us as which Tables we need to refer for getting the above information pl .
    We assure to award full points for the suggested solution .
    Rgds
    B Mittal

    Hi,
    Pls use below function module, same as you will get Stock Requirement List related information
    MD_STOCK_REQUIREMENTS_LIST_API
    For test, goto SE37 and test it
    Regards,
    Sankaran

  • Need SharePoint Hosted App for Stock quotes.

    Hi All,
    I need a code for SharePoint hosted app wherein I want to show stock quotes of company. This App part should be configurable.
    Specifically Looking for code which developed in NAPA tool. But any help would be greatly appricieated.
    Thanks,
    Dhananjay.

    Hi Dhananjay,
    Please check if below article helps you :
    How to Display Stock Information in SharePoint 2013
    If my contribution helps you, please click Mark As Answer on that post and
    Vote as Helpful
    Thanks, ShankarSingh(MCP)

  • How to put bin information to table T_QMAT thru user exit for stock remove?

    Hi,
    I have already use stock removal strategy 'F' and checked the flag 'User exit active', but the value in table T_QMAT filled by the standard system not include all vendors. So I need to use stock removal strategy " " and set up the table T_QMAT by the user exit.
    Do you know what is the user exit and the ABAP coding to put bin information to table T_QMAT for stock removal?
    Best Regards,
    Chris.

    Hi Chris,
    You can use the exit: EXIT_SAPLL03A_005 to populate t_qmat table based on your requirements. As you have already mentioned, it is important to check the flag: User exit active in SPRO, but bear in mind the stock removal strategy has to be BLANK. If you use F, then standard SAP auto-populates the T_QMAT table.
    Regards,
    Narendra.

  • No stock information for your selection criteria 2lis_03_bx

    hi,
    In MCNB when trying initialize stock for 2lis_03_bx
    i am getting  an error message
    No stock information for your selection criteria
    Can you guys please help me out in this, Is there any configuration thats needs to be done because I have alreay configured all the stuff like Activation of 2LIS_03_BF datasource in LBWE and Industry sectore as SAP STANDARD CORE.
    I got stuck on this.
    regards

    HI,
    at T-code BF11, check the box " BC-BW Business Information Warehouse" and save it.
    Regards
    Sagar

  • Need suggestion for stock transfer

    Hello everyone
    I have a situation in our Business where I need some input from you guys.
    In our business there are 2 company codes which are 2 small sub units of the bigger brand.
    Company code         Sales Org           Distribution           Div                Plant            Storage Loc
    0001                            0001                    01                            00                ABCD           0010
    0002                            0002                    01                            01 & 02       WXYZ           0020 & 0030
    Stor. Location 0010 & 0020 are the Picking locations for the Orders placed for the respective plants..
    Now Business unit 0001 has decided to take over the Sales of all items in division 01 of unit 0002. These items henceforth will not be sold by the unit 0002 once 0001 starts selling it.
    The Orders for such items will still be fulfilled from plant WXYZ physically.  Now physically a small part of the current storage location 0020 is designated as a temporary storage place for the above decided items by unit 0001.
    ( Now does is sound apt to thus create another storage location 0040 which would hold the inventory of these items owned by unit 0001? )
    Now the procurement of these Items will however still be done by the Sub-unit 0002 & hence the ownership of these procured items will remain with 0002 initially. They will be kept in storage location 0030 at this point.
    Now 0001 will start accepting orders for these new items which will be fulfilled from say location 0040 of plant WXYZ. The location 0040 will not store any material stock .. its like a temporary halt for the materials which are stored in 0030.
    Only an apt quantity of the material stock for these items will be moved from location 0030 to 0040 on a daily basis.
    This apt quantity is nothing but the quantity required to fulfill all the order due to be Shipped from the Plant on that particular day.
    Once it is in 0040, these Orders can be fulfilled.
    Now when we move the stock of these materials from 0030 to 0040 should the ownership of the goods from unit 0002 to 0001.
    So finally my main question is what options do I have to carry out this stock transfer which also changes ownership ?
    Based on my initial assessment, sounds like Stock Transport Order seems might serve the purpose.
    Also as mentioned on the forums, Stock Transport Order is used only when transferring inventory between 2 plants belonging to two different Company Codes.
    In our case it is the same Plant with transfer happening between 2 different location.
    So from a system stand point I am concerned about how would the change in the ownership take place in our case of Stock Transport Order.
    Any help will be appreciated.
    Thanks
    Vin

    There is no need to transfer the stock in MM for this cross company scenario. Simply use the standard SD functionality to ship from one company to fu;fill an order for a customer of another. This uses the IV invoice to transfer the cost (+ any transfer price markup that is applicable. between the supplying and selling companies. The stock remains in the supplying company until sold.

  • None of the network adapters are bound to the Netmon driver.If you have just installed, you may need to log out and log back in order to obtain the proper rights to capture. Please refer to the product help for more information.

    Hi,
    To analyze Lync issues I have installed these applications in my windows 7 x64 laptop
    1) network monitor 3.4
    2)Lync network monitor parser
    3)nmdecrypt2.3
    4)network monitor parser3.4
    Installtion got completed successfully but when I try to start capture I get this error everytime.......
    "None of the network adapters are bound to the Netmon driver.If you have just installed, you may need to log out and log back in order to obtain the proper rights to capture. Please refer to the product help for more information"
    I read many technet articles and other blogs but that didn't solve this issue. I tried things like
    A) Run as administrator
    B) nmconfig /install in cmd
    So could you please help me how I can fix this issue?
    Regards,
    Ajit

    Seems our driver didn't get installed.  What you see when you type "sc query nm3" from a command prompt?
    Thanks,
    Paul

  • Can I save each form after I fill them out? I have the same form to fill out for 250 customers and need to save each ones information. Will it do that?

    I have the same form to fill out for 250 customers and need to save each ones information. Will it do that?

    Hi,
    Yes, you can save each form after filling the information, but each with a different name.
    Regards,
    Nakul

  • Return for Credit - Is there a need to Create Project Stock (MIGO) in this

    Return for Credit - Is there a need to Create Project Stock (MIGO) in this process? System allows you to use ME21n (Returns PO) and then go straight to Goods Issue to Supplier (MIGO)

    For the most part, though the code doesn't give much hint of this, layout managers can not be re-used across multiple containers, and I'm almost certain GridBayLayout must be used with this principle. Most layout managers implementing LayoutManager2 maintain an internal cache of the components they are responsible for laying out in order to map each component to a constraint, and will attempt to layout all components together without verifying that they have the appropriate parent, hence causing errors that are very difficult to find, in my experience causing the jvm to perform and illegal operation without so much as an exception being thrown.

  • I am getting an email from Apple (INC) wanting Thank you for using Online Service. Some information on your account appears to be missing.You need to verify your account information."  Is this legitimate?

    I am getting this email from Apple (INC) with the subject: Verify missing information.  The message is saying
    "Thank you for using Online Service.
    Some information on your account appears to be missing.You need to verify your account information."
    Is this a legitimate email from Apple?

    No. Forward it to [email protected] and then delete it.
    (122778)

  • I need an app for invoices and estimates.  I downloaded invoice professional and cannot type in the product information on the invoice.

    I need a recommendation for doing quotations and invoices.  I downloaded Invoice Professional and cannot generate a quotation or type the product description into the description box.

    Hello, Robert
    Have you tried online invoicing software? These services will work regardless on your operating system. If you want to try, I would advise to start with INV24.com

  • XL Report for stock status

    I am trying to create a stock status report that shows all items grouped by item group, their quantity on hand, item cost, and total value.  We need to have a subtotal by item group.  I thought that XL Reporter would do this easily, but I am having difficulty.
    In the Report Composer, I can create the listing of items with descriptions, quantities, and item costs, grouped by item group.  Of course, I cannot perform the calculation to get the value of each item (quantity * cost).  When I generate the report into the Report Designer, there are no errors and the design appears to be created OK.  But when I run the report, the spreadsheet comes up completely blank except for column headers.
    Can anyone tell me what the problem is?

    XL reporter is based on the concepts of Dimensions, Light Dimensions and Measures.
    >> partial extract from XL Reporter FAQ.
    28. When I create a query within the Report Composer that uses the dimension called GL Accounts and add the attribute Account Name then refresh the query it produces data as expected. However when the query is executed in Excel it does not produce any data. What am I doing wrong?
    The query only contains dimensions and not measures. It is not possible to generate data with a query that does not contain a measure field type within Excel. Excel and the composer pick up data in different ways, therefore it is possible you will see data in the composer, however in excel you will not. Until a measure is added no data is produced.
    Do check the URL for complete XL reporter FAQ: Check FAQ No.28
    https://websmp107.sap-ag.de/~form/sapnet?_FRAME=CONTAINER&_HIER_KEY=701100035871000371280&_OBJECT=011000358700001325372005E&_SCENARIO=01100035870000000183&
    For further information, check the following URL:
    https://websmp107.sap-ag.de/~sapidb/011000358700003984512006E.pdf
    You can check the following URL to understand : Creating a Profit & Loss Report Using XL Reporter
    https://websmp107.sap-ag.de/~sapidb/011000358700001160462006E.pdf
    Hope this information helps in providing solution to your actual requirement.
    Regards
    Satish

  • Delivery list for Stock transport orders

    Hello,
    I need to run a list of delivery documents (for stock transfers)  including the reference PO number also u2013 list of deliveries and to which PO document delivery belongs to.
    I tried to get that data from VL06O but there are no PO number mentioned, header with that name is found but info is missing/field is empty.
    Could you inform me with what transaction/report I could get  this information, similar as VL06O but with PO number?
    thanks
    Akkshaya

    Hi,
    is there no standard transaction for this?
    Users cant get the data from tables
    thansk
    Akkshaya

Maybe you are looking for

  • BI 7.0 : Error in loading text of a Master Data with a data source time dep

    I have a problem loading text from the data source(time dep) to the Master Data. For instance if the Data Source 0EVALGROUP1_TEXT is time dependent as there are the fields DATETO and DATEFROM, while i create the transformation these 2 fileds does not

  • How Do I Back Up Movies And Music I Download?

    I usually will download Movies and Music onto my Mac and then sync it up with my iPad and iPod. How do I make sure all my Movies and Music are backed-up from my Mac? Does Time Machine back this stuff up? Thanks!

  • Document with origin R4 cannot be reversed -error msg EB049

    We have an invoice with 2 posting relevant items, the energy charge and a renewable energy credit.  the latter was generated as zero (valid condition) and posted as a Cr transaction.  this is the only instance of this scenario as normally the zero am

  • Error in import table data using oracle datapump

    i am trying to import table data using oracle datapump CREATE TABLE emp_xt ( ID NUMBER, NAME VARCHAR2(30) ORGANIZATION EXTERNAL ( TYPE ORACLE_DATAPUMP DEFAULT DIRECTORY backup LOCATION ('a.dmp') it return the following error ORA-29913: error in execu

  • Multiple source columns from Oracle DB to Hyperion Essbase cube

    Hi Experts , We have a Source as oracle table to the target Hyperion Essbase Cube(Planning) 11.1.2 using ODI 11g. Right now my issue is We need to map multiple columns from Oracle DB to One Dimension in Essbase (Planning). For example -> * In Oracle