Need help on new calculated item column

Hi Guys,
Could you please help me with the formula on a new calculated item on the attached report?
Details on the screen shot of the link
http://img339.imageshack.us/img339/5606/70548266.jpg
Thanks and Regards
G.

Nikkolas wrote:
i found dv5-1251nr with 512 megs dedicated nvidia graphics ( NVIDIA GeForce 9200M GS)  Intel Core 2 Duo Processor T6400 4 gigs ram  320 hd for 849 now i tested this system with battery in
6 cell on balanced mode internet surfing, looping a 3 min video clip, 3 other windows open including chess and the 3d game fate and battery that was 100% dropped to 75% after 30 mins, so if i figured it out right means battery lasts for about 2 hours
this any good and whats deal with all the chips intel centrino, intel centrino 2 etc and i know amd  athlon is old and turion is better but is it that much better?
Intel Core 2 Duo's are the most efficent, so if you are looking for good battery life, that is what you want.  Avoid AMD as they eat the battery life quite quickly.
The battery life depends on what the computer is doing, so if you are stressing it with a lot of applications, yes the battery is going to die quicker than normal.
My opinions are mine, and mine alone.

Similar Messages

  • Conditional Formating in New Calculated Item??

    Hi there,
    In pivot table I've created a new calculated item in column that is % calculation of measure value A and B.
    I need to apply conditional formatting on new calculated value only. I also want to add % sign on the calculated value.
    Previously I modified the data format of measure values to percentage and manage to bring % sign in calculated item. Now I need to show both measure and calculated item in report with measure without % sign and calculated item with % sign
    Thanks

    No, I don’t think you can do that in New Calculated Item in Pivot Table.
    What you can try is pulling another column in your report and try using this formula (case when stmt) in column fx and insert it in pivot table.

  • New calculated item positioning

    Hi guys!
    Suppose I have a pivot table in whichI have only one column consisting of a multiple CASE function and then I build a New Calculated Item on this column.
    Graphically it looks like this, more or less:
    | CASE_CONDITION1 | CASE_CONDITION2 | CASE_CONDITION3 | CASE_CONDITION4 | NEW_CALCULATED_ITEM |
    Row1 | x | y | w | z | x+y |
    Row2 | ... | | | | |
    Is there a way ( I even tried to modify the XML in the advanced session but with no success..) to display the pivot table as following?
    | CASE_CONDITION1 | CASE_CONDITION2 | NEW_CALCULATED_ITEM | CASE_CONDITION3 | CASE_CONDITION4 |
    Row1 | x | y | x+y | w | z |
    Row2 | ... | | | | |
    Thanks a lot!!

    Graphically that looks bad!! Look at this please:
    http://s15.postimage.org/4nco7ox17/Imm.jpg
    Thanks!

  • How to show New calculated item in graph.

    I created a new calculated item in column in pivot table. That new calculated item is not showing in line graph.
    How to show that new column in graph.
    Thanks

    Guys Please provide any pointers to achieve this. its very urgent for  me.
    Regards
    Kris

  • I need help getting new authorization codes for digital copies

    I need help getting new authorization codes for digital copies of movies. Can someone help me out?

    There's a lot of results in Google when you search for this but unfortunately refreshing the page doesn't seem to generate a different code anymore. Mine also says already redeemed

  • Need help opening new software application Adobe Elements 12 on my new MAC. HELP?

    Need help opening new software application Adobe Elements 12 on my new MAC. HELP?

    Is it installed? If so, go to Applications and choose either Adobe Elements 12 Organizer, or Adobe Photoshop Elements 12>Support Files>Photoshop Elements Editor.

  • Need help getting new printer hp deskjet 3520 setup for eprint and wireless

    need help getting new printer hp deskjet 23520 stup for eprint and wireless

    Hi Pastorlee7,
    I see that you're having problems setting up your printer.  I would take a look at the document below.
    Hp deskjet 3520
    Let me know how it goes.  

  • Need help with Pivoting rows to columns

    Hi,
    I need help with pivoting rows to columns. I know there are other posts regarding this, but my requirement is more complex and harder. So, please give me a solution for this.
    There are two tables say Table 1 and Table 2.
    Table1
    name address email identifier
    x e g 1
    f s d 2
    h e n 3
    k l b 4
    Table2
    identifier TRno zno bzid
    1 T11 z11 b11
    1 T12 z12 b12
    1 T13 z13 b13
    2 T21 z21 b21
    2 T22 z22 b22
    As you can see the identifier is the column that we use to map the two tables. The output should be like below
    output
    name address email identifier TRno1 zno1 bzid1 TRno2 zno2 bzid2 TRno3 zno3 bzid3
    x e g 1 T11 z11 b11 T12 z12 b12 T13 z13 b13
    f s d 2 T21 z21 b21 t22 z22 b22
    Also we do not know exactly how many TRno's, zno's, etc each value in the identifier will have. There may be only 1 TRNO, zno and bzid, or there may be four.
    All the values must be in separate columns, and not be just comma delimitted. There are also other conditions that i have to add to restrict the data.
    So, can you please tell me what is should use to get the data in the required format? We are using Oracle 10g. Please let me know if u need any more information

    Something like this ?
    SCOTT@orcl> ed
    Wrote file afiedt.buf
      1  select a.name,
      2  a.address,
      3  a.email,
      4  b.* from (
      5  select distinct identifier
      6  ,max(trno1) trno1
      7  ,max(zno1) zno1
      8  ,max(bzid1) bzid1
      9  ,max(trno2) trno2
    10  ,max(zno2) zno2
    11  ,max(bzid2) bzid2
    12  ,max(trno3) trno3
    13  ,max(zno3) zno3
    14  ,max(bzid3) bzid3
    15  ,max(trno4) trno4
    16  ,max(zno4) zno4
    17  ,max(bzid4) bzid4
    18  from (select identifier
    19  ,decode(rn,1,trno,null) trno1
    20  ,decode(rn,1,zno,null) zno1
    21  ,decode(rn,1,bzid,null) bzid1
    22  ,decode(rn,2,trno,null) trno2
    23  ,decode(rn,2,zno,null) zno2
    24  ,decode(rn,2,bzid,null) bzid2
    25  ,decode(rn,3,trno,null) trno3
    26  ,decode(rn,3,zno,null) zno3
    27  ,decode(rn,3,bzid,null) bzid3
    28  ,decode(rn,4,trno,null) trno4
    29  ,decode(rn,4,zno,null) zno4
    30  ,decode(rn,4,bzid,null) bzid4
    31  from (select identifier,
    32  trno,bzid,zno,
    33  dense_rank() over(partition by identifier order by trno,rownum) rn
    34  from table2)
    35  order by identifier)
    36  group by identifier) b,table1 a
    37* where a.identifier=b.identifier
    SCOTT@orcl> /
    NAME       ADDRESS    EMAIL      IDENTIFIER TRNO1      ZNO1       BZID1      TRNO2      ZNO2       BZID2      TRNO3      ZNO3       BZID3      TRNO4      ZNO4       BZID4
    x          e          g          1          T11        z11        b11        T12        z12        b12        T13        z13        b13
    f          s          d          2          T21        z21        b21        T22        z22        b22
    SCOTT@orcl> select * from table1;
    NAME       ADDRESS    EMAIL      IDENTIFIER
    x          e          g          1
    f          s          d          2
    h          e          n          3
    k          l          b          4
    SCOTT@orcl> select * from table2;
    IDENTIFIER TRNO       ZNO        BZID
    1          T11        z11        b11
    1          T12        z12        b12
    1          T13        z13        b13
    2          T21        z21        b21
    2          T22        z22        b22
    SCOTT@orcl>Regards
    Girish Sharma

  • Need help in getting Calculation columns to work

    Hi,
    I have a crosstab metrics report, with Report Month as page item. Almost all the datapoints on the report are calculations. When the report is run for a range of months, eg. 'JUN-06' to 'MAY-07', for each month (page item), the calculations show up correctly. The problem occurs when user chooses <All> from the Report Month page item - that's when all the calculation items show either null value (mostly) or some arbitrary value, instead of showing totals or averages for the whole range of months. Am I missing any steps or doing something wrong here?
    Appreciate your time and help.
    Regards,
    Alka.

    Alka.
    As a starting point, I'd sure look at the values independently for the different Report Months.
    1. It sounds like you may have some months in there you don't want (ie: are you going against an Oracle Apps calendar and not specifying the exact calendar type (as there can be many)).
    2. You may have additional periods in the same calendar table that are from the exact same calendar (ie: JAN-07, JAN-2007, etc.) which may have problems, NULLs, etc.
    3. you may have NULLs in the data returned (so for calculations are you putting in NVL(item))?
    4. Maybe you should check to see what happens when you introduce just 2 months (as you've only see one month on the page item level OR <All> months). I'd just copy the worksheet to another one (using the copy option in Desktop / Plus), move the page -> item month to the left of the worksheet and put in a condition to return 2 months.
    Then does it make sense for just two months?
    Just a start.
    Russ

  • How to change layout of new calculated item values?

    Hi,
    Is there a way on how to change colours or add a percentage symbol on the values of a calculated items?
    I do not want to change the source measures in the criteria area I used to get the calculated items results.
    Any idea?
    Regards
    Giuliano

    I solved this by using an other approach.
    Created a report and filtered the first resolts by certain value. Added a label.
    Used combine with similar request and filtered again.
    Created so many combines for the number of results I need to filters
    In result columns renamed the label with a description which is a common denominator for all the labels
    In pivot table, moved the main label to Rows and appled the sum
    the reults is below
    https://docs.google.com/file/d/0B0nRf4E3yBfpWS1WVjJjbWZyTG8/edit?usp=sharing
    Regards
    G

  • DAX - Need help with TotalYTD calculation with Rolling 12 Months (Fiscal Months)

    These are the tables I currently have in my solution:
    DimDate - date dimension - our fiscal periods don't match with calendar periods
    Fact Claims - ID, Date, Doc#, Amount,  ProductKey
    DimDateR12 - fiscal periods with max and min calendar dates - using DatesAdd gave me error because of contiguous dates error, so ended up using this.
    Here are the calculations -
    Issue Count = Distinct count of Products where (Sum of amount >= 1000 and count of claims >= 5) in last 12 fiscal periods - I am using summarize function here.
    I need to add another calculation where I need to count issues resolved.
    Issues resolved = Distinct count of products, where Rolling 12 Claims Amount >= 1000 and claim count >= 5 in the previous fiscal period) and Current fiscal period, NOT(Rolling 12 Claims Amount >= 1000 AND claim count >= 5) - this needs
    to be a cumulative calculation.
    I got Issues Resolved Calculation to work with summarize function, but using TotalYTD (using Fiscal Date key) to get cumulative number, is not working. Here is my calculation - TotalYTD([Count of Issues Resolved],DimDateR12[FiscalDate])
    I tried using All(DimDateR12) filter, but didn't work.
    Any help is really appreciated.
    Thanks,
    Sonal

    These are the calculations I am currently using -
    Rolling12ClaimCount:=CALCULATE(FactClaim[ClaimCount],FILTER(DimDate,AND(DimDate[Calendar Date] >= Min(DimDateR12[StartDate]),DimDate[Calendar Date] <= Max(DimDateR12[EndDate]))))
    Rolling12ClaimAmount:=CALCULATE(FactClaim[ClaimAmount],FILTER(DimDate,AND(DimDate[Calendar Date] >= Min(DimDateR12[StartDate]),DimDate[Calendar Date] <= Max(DimDateR12[EndDate]))))
    IsCurrentIssue:=IF(([Rolling12ClaimAmount] >= 1000) && ([Rolling12ClaimCount] >= 5),TRUE(),FALSE())(([Rolling12ClaimAmount] >= 1000) && ([Rolling12ClaimCount] >= 5),TRUE(),FALSE())
    WasWarrantyIssue:=IF(([PrevFiscalPeriodRolling12ClaimAmount] >= 1000) && ([PrevFiscalPeriodRolling12ClaimCount] >= 5),TRUE(),FALSE())
    Resolvedissues:=IF(AND([IsWarrantyIssue]=FALSE(),[WasWarrantyIssue]=TRUE()),1,0)
    Rolling12IssuesResolved:=SUMX(SUMMARIZE(FactClaim,FactClaim[ProductKey],"ResolvedIssueCount",[Resolvedissues]),[ResolvedIssueCount])
    YTDResolvedIssues:=TotalYTD([Rolling12IssuesResolved],DimDateR12[FiscalDate])
    -- Fiscal Date is <Fiscal Period>/1/<Fiscal year>
    Thanks,
    Sonal

  • Need help with new itouch

    Please bare with me, while I 'try' to explain.
    I have my itunes account linked to my iphone and macbook. I have bought my daughter an itouch for Xmas. Now I have set up a seperate itunes account for her on my other Windows laptop. So she is able to purchase apps without them going and clogging up my itunes... NOW this is the bit i need help with...
    How can i transfer any music i have on my itunes to her itunes? and vice versa?
    Thanks in advance

    Right, I have now gone down the line of setting up a new user on my macbook, her own ID and then with the help of Mr google, I followed the steps of sharing my music, by moving my itunes media folder to a shared folder.
    Now i got my music on her itunes libary but when i did a test download of an app, it wont show in the library. I have even done the 'transfer purchases'. and its still not showing. I am slowing loosing the will to live with it! I really need help.

  • NEED Help Importing new Activities.

    Hi All,
    I am working on a project where I have been asked to add two new activities to all the 841 WBS codes belonging to the project. That means I have to add around 1600 new activities. So instead of going through the tedious task of adding those manually, I was wondering if there was an easier way like importing from Excel or anything else to do this. I need to finish this within this week, so I need help urgently.
    Please Help

    You can absolutely add new activities in via Excel import however how much easier this ultimately is depends on the structure of your project (ActIds, Codes, Relationships, etc) and the underlying data to be added.
    In a large project I have some exposure to Excel is used frequently to make activity level additions/changes, but the schedulers spent a decent amount of time early in the project re-naming activity ID's for grouping purposes (I believe specifically to help with excel imports).
    If your additions to each WBS follow any sort of consistent pattern then it may be quicker to use Excel. Even if it ends up not saving much time initially, at the very least you will have a process down for the next time you need to make major changes to your schedule.

  • Need help with new url address

    i'm very new to iweb and .mac - i've worked with websites before but never actually registered for a domain and need help setting up my iweb or .mac website with a new address.
    Can someone please help me with this...prices? where do i go? i just don't want to create a site for our student ministry at church without having a web/myname.com address.
    Thanks in advance!
    Chris

    You'll find there are a lot of good ones. Godaddy is one that I used to use. I am very happy with bluehost.com great prices and excellent service
    Produce | Shoot | Edit
    Take Two Visual Media
    http://www.take2vm.com

  • Need help buying new hard drive

    I have a macbook that needs a new hard drive and need help knowing what hard drives to buy that will be compatible with it. It is a macbook pro 17inch model no: A1297.
    Any help would be appreciated, Thanks

    Any 2.5" diameter, 9.5mm thick SATA drive will be compatible.  Currently they come up to 1.5 TB in capacity.  I have a 1 TB Seagate SSHD (hybrid) drive installed in my primary MBP.  The cost is a modest premium over a conventional HDD of the same capacity.  Boot and shutdown times are significantly faster when compared to a conventional HDD,  I can recommend this as an option.
    If the bank account permits, an SSD will produce the overall maximum performance gains.  Boot, shutdown and resource hungry applications will be noticeably faster.  Casualyll use such as e-mails and text editing will produce no meaningful performance differences compared to a conventional HDD.
    I am of the opinion that the cost premium is still too high for the benefits that they afford.  Other have different views.
    Ciao.

Maybe you are looking for