Prime Inf. 1.4 looking to generate custom reports for int utilization

I am polling my router interface and I am looking for a way to create a report that shows stats over a period of time on defined time intervals. I only see a report showing the top util in a time frame. Are there any ways to get reports? Tks! 

If you want integrate BI Publisher with Enterprise Manager, take a look at this doc for the integration steps: Integrating BI Publisher with Enterprise Manager
and this doc: Developing BI Publisher Reports on how to develop the reports.
This chapter on Using Management Repository Views can be used as a reference to the EM repository view in case you have a stand-alone OBIEE installation and want to create your own reports there instead.

Similar Messages

  • Custom reporting for UCCX 7

    Hello there,
    I am looking for easier ways to generate custom reports for UCCX 7, I am asking incase I go away an spend heaps of time programming stored procedures and crytal reports if there is a report pack out there or some documentation to make it a bit easier.
    Our call center team leader is asking for reports to be written for the system or modification of existing reports as the ones included are either too crowded with information or do not display what we actually want.
    /* Style Definitions */
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    mso-tstyle-rowband-size:0;
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    mso-style-noshow:yes;
    mso-style-priority:99;
    mso-style-qformat:yes;
    mso-style-parent:"";
    mso-padding-alt:0cm 5.4pt 0cm 5.4pt;
    mso-para-margin:0cm;
    mso-para-margin-bottom:.0001pt;
    mso-pagination:widow-orphan;
    font-size:11.0pt;
    font-family:"Calibri","sans-serif";
    mso-ascii-font-family:Calibri;
    mso-ascii-theme-font:minor-latin;
    mso-fareast-font-family:"Times New Roman";
    mso-fareast-theme-font:minor-fareast;
    mso-hansi-font-family:Calibri;
    mso-hansi-theme-font:minor-latin;
    mso-bidi-font-family:"Times New Roman";
    mso-bidi-theme-font:minor-bidi;}
    As an example, there is a report called ‘Agent Not Ready Reason Code Summary Report’, this report lists some not ready codes such as 32756 etc.. (i.e. Pre-defined system codes), however we want to list our own not ready codes as well as remove some of the system ones from the report as we don’t really want them there.
    Another example is the Agent state details report, one of the columns is 'Reason Code', this is fine, however it would be nice to have a summary at the end of the report for a total count of each not ready code (with the not ready code name not just the code).
    Is there anyone out there who has written/customised reports for UCCX or know where I can find some more documentation? I have searched around but not found anything, Cisco TAC have said that they only deal with the connection of Crystal Reports to UCCX, the coding itself and help with regards to that you are basically on your own with.
    Thanks

    Hi
    There are other ways of reporting, but you are still on your own with it unless you find someone who writes a package. I'm not aware of any...
    Re your specific queries though:
    ‘Agent Not Ready Reason Code Summary Report’ - when running the report, you can go to the 'detailed' tab, and on that tab you can select 'Reason Code' as a filter and pick the codes you are interested in.
    Also that same report shows the summary (i.e. totals) of the time in those reason codes doesn't it? So that's what you wanted to see on the other report?
    Final point (and this is a common one that comes up) is that for some reason the 'reason' codes only appear as numbers in the DB. There are no lookup tables where you can link them to names for reporting. This basically means the best you can do is to edit the Crystal templates so that the static table listing the codes at the top of the report has the codes you have configured. Obviously this isn't dynamic, but it is easy as far as Crystal goes...
    Hope this helps
    Aaron
    Please rate helpful posts...

  • Can we generate custom reports in oIM 10g

    hi,
    Is it possible to generate custom reports in OIM 10g? Is it a complex process?
    Thanks

    Thanks for the reply,
    I am able to generate the report, but the issue is with the filter condition, I am trying to filter the results with a udf field but filtering is not happening and in logs the error coming is
    Thor.API.Exceptions.tcColumnNotFoundException
    at Thor.API.tcMetaDataSet.getStringValue(Unknown Source)
    at com.thortech.xl.webclient.util.ReportUtilities.getLinkHref(Unknown Source)
    at com.thortech.xl.webclient.util.ReportUtilities.populateTableDataForTabularDisplay(Unknown Source)
    at com.thortech.xl.webclient.util.ReportUtilities.displayReportWithTabularLayout(Unknown Source)
    at com.thortech.xl.webclient.util.ReportUtilities.displayReportWithLayout(Unknown Source)
    at com.thortech.xl.webclient.actions.ReportAction.displayTabularReport(Unknown Source)
    at com.thortech.xl.webclient.actions.ReportAction.displayReport(Unknown Source)
    at sun.reflect.NativeMethodAccessorImpl.invoke0(Native Method)
    at sun.reflect.NativeMethodAccessorImpl.invoke(NativeMethodAccessorImpl.java:39)
    at sun.reflect.DelegatingMethodAccessorImpl.invoke(DelegatingMethodAccessorImpl.java:25)
    at java.lang.reflect.Method.invoke(Method.java:597)
    at org.apache.struts.actions.DispatchAction.dispatchMethod(DispatchAction.java:270)
    at com.thortech.xl.webclient.actions.tcLookupDispatchAction.execute(Unknown Source)
    at com.thortech.xl.webclient.actions.tcActionBase.execute(Unknown Source)
    at com.thortech.xl.webclient.actions.tcAction.execute(Unknown Source)
    at org.apache.struts.action.RequestProcessor.processActionPerform(RequestProcessor.java:431)
    at org.apache.struts.action.RequestProcessor.process(RequestProcessor.java:
    and one more thing , how to give two conditions in where clause in stored procedure , for e.g i have given like
    strWhereClause := 'usr_key IN(SELECT DISTINCT usr_key FROM usr) and UPPER(usr.usr_status) like '
    || UPPER(''''||strstatus_in||'''')
    || ' AND UPPER(usr.USR_UDF_CUSTOMATTR) LIKE '
    || UPPER(''''||strcustattr_in||'''')
    || ' ';
    and its not taking the two values.pls tell me where its going wrong

  • Generating a report for clients that are not registered

    Hi - Hopefully someone can assist. We are looking to generate a report in SCCM 2012 that will tell us if a client is properly registered, and most recent scan.
    I can't seem to find a generic report for this task, so does anyone know if one exists - or how to create a custom one?
    Thanks!

    what means "properly registered" in your eyes?  To me, if it was able to communicate at all--heartbeat; that means it had to have registered.  But maybe you have a different criterion.
    So I think what you want is simply something like...
    select s.Netbios_Name0, max(disc.AgentTime) as LastHeartbeat
    from v_r_system s
    left join v_agentDiscoveries disc on s.resourceid=disc.resourceid
    and disc.AgentName = 'Heartbeat Discovery'
    Group by s.Netbios_Name0
    order by LastHeartbeat desc
    where the most recent heartbeat at the top; and boxes with no heartbeat reported will be null at the bottom.  If you don't want to even "see" the boxes that have never reported a heartbeat successfully, then don't left join, use just Join
    You could also use v_r_system_valid, instead of v_r_system.  As you can tell by the name, _valid means that CM itself has determined those are valid clients; so that might be what you think of as "properly registered".
    It all boils down to what means "properly registered" to you, and what you mean by "recent scan".  is a recent scan a heartbeat?  a software update scan?  hardware inventory reported?  and what means "recent".  the sample above is
    reporting on anything and everything regardless of date. 
    As for default reports, you're saying that the default reports in "Client Status" don't fit your criteria? 
    Standardize. Simplify. Automate.

  • How to Created custom report for Ship not Billed (SD/FI)?

    Hi all,
    I am anticipating  to write some abap reports..Here is one of them..
    Anyone can help  me with writing a Report , how to do 'Custom Report for shipped not Billed(SD/FI)' ..But since I am new to Abap , if you wish to reply, please use a little more detail and simple explanation, step by step so I can understand what is the idea, how it can be acheived...what kind of report should be used , techniques, tables etc...:)
    Appreciate your help!
    Regards,
    Boby

    Hi Boby,
    You need to create custom transaction to achive these results.
    you will have selection-screen ,it would be :
    Date : Here date would be mandatory  - Ranges Option
    Customer  - Optional field - Ranges
    Order #  Sales Order (Optional) Ranges
    Invoice #  - Invoice # (Optional) Ranges
    You will get the data based on ur selection-screen criteria ...
    First you will have customer order details from diffrent table
    VBAK,
    VBAP,
    LIKP
    LIPS
    VBRK,
    VBRP
    KNA1,
    VBFA Tables ( See the my sample program )
    Output would be :
    Customer #   Custome Name    Order #   Delivery #   Invoice #   Netpr, Netquantity ,
    Check the condition  whether invoice table has VBRK-RFBSK  = ''.
    See the my sample program : This is sales report by monthly..
    REPORT ZFDSALES_REPORT no standard page heading
                           message-id zwave.
    Data Declaration Part
    TYPE-POOLS
    type-pools : slis.
    Tables
    tables : VBAK,
             VBAP.
    Internal table for VBAK Table
    data : begin of i_vbak occurs 0,
           vbeln like vbak-vbeln,
           bstnk like vbak-bstnk,
           vdatu like vbak-vdatu,
           end of i_vbak.
    Internal table for VBAP and MATNR
    data : begin of i_vbap occurs 0,
           vbeln like vbap-vbeln,
           matnr like vbap-matnr,
           kdmat like vbap-kdmat,
           kwmeng like vbap-kwmeng,
           netpr like vbap-netpr,
           maktx like makt-maktx,
           end of i_vbap.
    Internal tables
    data : begin of i_sales occurs 0,
           vdatu like vbak-vdatu,
           bstnk like vbak-bstnk,
           matnr like vbap-matnr,
           maktx like makt-maktx,
           kdmat like vbap-kdmat,
           kwmeng like vbap-kwmeng,
           netpr  like vbap-netpr,
           end of i_sales.
    Variable for ALV
    data : v_repid like sy-repid,
           gt_fieldcat    type slis_t_fieldcat_alv.
    Selection-screen
    selection-screen : begin of block blk with frame title text-001.
    select-options : s_vbeln for vbak-vbeln,
                     s_erdat for vbak-erdat,
                     s_ernam for vbak-ernam,
                     s_vdatu for vbak-vdatu obligatory,
                     s_BSTNK for vbak-BSTNK,
                     s_KUNNR for vbak-kunnr,
                     s_matnr for vbap-matnr,
                     s_KDMAT for vbap-KDMAT.
    selection-screen : end of block blk.
    Initilization
    initialization.
      v_repid = sy-repid.
    S T A R T  -  O F  -  S E L E C T I O N ****************
    start-of-selection.
    Get the data from VBAK and VBAP Tables
      perform get_vbak_vbap.
    E N D  -  O F  -  S E L E C T I O N *****************
    end-of-selection.
    Display the data
      perform dispolay_data.
    *&      Form  get_vbak_vbap
          Get the data from VBAK and VBAP Table
    FORM get_vbak_vbap.
    Get the data from VBAK Table
      select vbeln bstnk vdatu from vbak into table i_vbak
                         where vbeln in s_vbeln
                         and   bstnk in s_bstnk
                         and   vdatu in s_vdatu
                         and   kunnr in s_kunnr
                         and   erdat in s_erdat
                         and   ernam in s_ernam.
      if sy-subrc ne 0.
        message e000(zwave) with 'No data found for given selection'.
      endif.
    Get the data from VBAP Table
      select avbeln amatnr akdmat akwmeng a~netpr
             b~maktx into table i_vbap
             from vbap as a inner join makt as b on bmatnr = amatnr
             for all entries in i_vbak
             where a~vbeln in s_vbeln
             and   a~kdmat in s_kdmat
             and   a~abgru = space
             and   a~matnr in s_matnr
             and   a~matnr ne '000000000000009999'
             and   a~matnr ne '000000000000004444'
             and   a~matnr ne '000000000000008888'
             and   a~matnr ne '000000000000001111'
             and   a~werks = '1000'
             and   b~spras = 'E'
             and   a~vbeln = i_vbak-vbeln.
      if sy-subrc ne 0.
        message e000(zwave) with 'No data found for given selection'.
      endif.
      sort i_vbak by vbeln.
      sort i_vbap by vbeln matnr.
      loop at i_vbap.
        read table i_vbak with key vbeln = i_vbap-vbeln
                                binary search.
        if sy-subrc eq 0.
          i_sales-bstnk = i_vbak-bstnk.
          i_sales-vdatu = i_vbak-vdatu.
          i_sales-matnr = i_vbap-matnr.
          i_sales-kdmat = i_vbap-kdmat.
          i_sales-maktx = i_vbap-maktx.
          i_sales-netpr = i_vbap-netpr.
          i_sales-kwmeng = i_vbap-kwmeng.
          append i_sales.
        else.
          continue.
        endif.
        clear : i_sales,
                i_vbap,
                i_vbak.
      endloop.
      sort i_sales by vdatu bstnk matnr.
      refresh : i_vbap,
                i_vbak.
    ENDFORM.                    " get_vbak_vbap
    *&      Form  dispolay_data
          Display the data
    FORM dispolay_data.
    Fill the Fiedlcat
      PERFORM fieldcat_init  using gt_fieldcat[].
      CALL FUNCTION 'REUSE_ALV_GRID_DISPLAY'
       EXPORTING
      I_INTERFACE_CHECK                 = ' '
      I_BYPASSING_BUFFER                =
      I_BUFFER_ACTIVE                   = ' '
          I_CALLBACK_PROGRAM                = v_repid
      I_CALLBACK_PF_STATUS_SET          = ' '
      I_CALLBACK_USER_COMMAND           = ' '
      I_CALLBACK_TOP_OF_PAGE            = ' '
      I_CALLBACK_HTML_TOP_OF_PAGE       = ' '
      I_CALLBACK_HTML_END_OF_LIST       = ' '
      I_STRUCTURE_NAME                  =
      I_BACKGROUND_ID                   = ' '
      I_GRID_TITLE                      =
      I_GRID_SETTINGS                   =
      IS_LAYOUT                         =
          IT_FIELDCAT                       = gt_fieldcat[]
      IT_EXCLUDING                      =
      IT_SPECIAL_GROUPS                 =
      IT_SORT                           =
      IT_FILTER                         =
      IS_SEL_HIDE                       =
      I_DEFAULT                         = 'X'
      I_SAVE                            = ' '
      IS_VARIANT                        =
      IT_EVENTS                         =
      IT_EVENT_EXIT                     =
      IS_PRINT                          =
      IS_REPREP_ID                      =
      I_SCREEN_START_COLUMN             = 0
      I_SCREEN_START_LINE               = 0
      I_SCREEN_END_COLUMN               = 0
      I_SCREEN_END_LINE                 = 0
      IT_ALV_GRAPHICS                   =
      IT_ADD_FIELDCAT                   =
      IT_HYPERLINK                      =
      I_HTML_HEIGHT_TOP                 =
      I_HTML_HEIGHT_END                 =
      IT_EXCEPT_QINFO                   =
    IMPORTING
      E_EXIT_CAUSED_BY_CALLER           =
      ES_EXIT_CAUSED_BY_USER            =
        TABLES
          T_OUTTAB                          = i_sales
    EXCEPTIONS
      PROGRAM_ERROR                     = 1
      OTHERS                            = 2
    ENDFORM.                    " dispolay_data
    *&      Form  fieldcat_init
          text
         -->P_GT_FIELDCAT[]  text
    FORM fieldcat_init USING  e01_lt_fieldcat type slis_t_fieldcat_alv.
      DATA: LS_FIELDCAT TYPE SLIS_FIELDCAT_ALV.
    Delivery Date
      CLEAR LS_FIELDCAT.
      LS_FIELDCAT-FIELDNAME    = 'VDATU'.
      LS_FIELDCAT-OUTPUTLEN    = 12.
      LS_FIELDCAT-TABNAME    = 'I_SALES'.
      ls_fieldcat-seltext_L = 'Delivery Date'.
      APPEND LS_FIELDCAT TO E01_LT_FIELDCAT.
    Purchase Order #Material Description
      CLEAR LS_FIELDCAT.
      LS_FIELDCAT-FIELDNAME    = 'BSTNK'.
      LS_FIELDCAT-OUTPUTLEN    = 25.
      LS_FIELDCAT-TABNAME    = 'I_SALES'.
      ls_fieldcat-seltext_L = 'Purchase Order #'.
      APPEND LS_FIELDCAT TO E01_LT_FIELDCAT.
    Material
      CLEAR LS_FIELDCAT.
      LS_FIELDCAT-REF_FIELDNAME    = 'MATNR'.
      LS_FIELDCAT-REF_TABNAME    = 'MARA'.
      LS_FIELDCAT-FIELDNAME    = 'MATNR'.
      LS_FIELDCAT-TABNAME    = 'I_SALES'.
      ls_fieldcat-seltext_L = 'Material #'.
      ls_fieldcat-seltext_M = 'Material #'.
      ls_fieldcat-seltext_S = 'Material #'.
      APPEND LS_FIELDCAT TO E01_LT_FIELDCAT.
    Material Description
      CLEAR LS_FIELDCAT.
      LS_FIELDCAT-FIELDNAME    = 'MAKTX'.
      LS_FIELDCAT-OUTPUTLEN    = 40.
      LS_FIELDCAT-TABNAME    = 'I_SALES'.
      ls_fieldcat-seltext_L = 'Material Description'.
      APPEND LS_FIELDCAT TO E01_LT_FIELDCAT.
    Customer Material #
      CLEAR LS_FIELDCAT.
      LS_FIELDCAT-FIELDNAME    = 'KDMAT'.
      LS_FIELDCAT-OUTPUTLEN    = 35.
      LS_FIELDCAT-TABNAME    = 'I_SALES'.
      ls_fieldcat-seltext_L = 'Customer material no.'.
      APPEND LS_FIELDCAT TO E01_LT_FIELDCAT.
    Quantity
      CLEAR LS_FIELDCAT.
      LS_FIELDCAT-FIELDNAME    = 'KWMENG'.
      LS_FIELDCAT-OUTPUTLEN    = 15.
      LS_FIELDCAT-TABNAME    = 'I_SALES'.
      ls_fieldcat-seltext_L = 'Quantity'.
      APPEND LS_FIELDCAT TO E01_LT_FIELDCAT.
    Net Price
      CLEAR LS_FIELDCAT.
      LS_FIELDCAT-FIELDNAME    = 'NETPR'.
      LS_FIELDCAT-OUTPUTLEN    = 15.
      LS_FIELDCAT-TABNAME    = 'I_SALES'.
      ls_fieldcat-seltext_L = 'Net Price'.
      APPEND LS_FIELDCAT TO E01_LT_FIELDCAT.
    ENDFORM.                    " fieldcat_init
    Reward Points if it is helpful
    Thanks
    Seshu

  • Custom Report For Excise On Sales

    hi friends,
    i need custom report for excise on sale like below format, can you please guide me to prapare FS for below requirement.
    Material Code And Discriptiion
    Sales Order No     
    Delivery No     
    Billing No     
    Accounting No     
    Excise Invoice No     
    Sold to Party     
    Billed Qty     
    gross value     
    bed     
    ecess     
    cess     
    she     
    total excise duty     
    invoice value
    Regds
    Ashwini

    dear friend,
    you can try the standard t-code SDO1 and change the layout
    good luck!

  • Unable to generate Pdf report for crystal 9/10  in Windows 2012 (Standard) server with Times New Roman font. With same font, report getting generated in excel, text, csv format in Windows 2012.

    For Times New Roman font in Windows server 2012 R2 (Standard), crystal 9/10 report in pdf format is not getting generated. When we change the font for specific report like Arial, Calibri , Cambria then pdf report getting created.
    In Windows 2008 R2, same application worked fine to generate pdf report for TimesNewRoman font and there is no change done in the application which is being used in Windows 2012 R2 server.

    Ok, thanks for the reply. You need to contact support or a forum for the Crystal software. Third party products don't usually include Adobe technology, they have their own software. When you contact them, you may want to expand "unable to generate" to give any specific symptoms including any error messages.

  • Custom Report for Asset Intelligence including Collection selection

    Dear all,
    I'm struggling with an custom report for doing the following thing.
    I have labeled software with the custom label 3 in the Asset Intelligence.
    I like to create a Report where i can Choose my Collection and then the Label that should be displayed.
    Similar to the Report: Software 10A - Software titles with specific multiple custom labels defined.
    But i like to choose more than one Label 3.
    Does anybody have something like that? Its really complicated for me to edit that report.
    Thanks & Regards
    Flat

    Hi,
    You could post this question in SQL forum to see if someone there can edit the report.
    The following document could help you to custom the report.
    Getting Started with Report Builder
    https://msdn.microsoft.com/en-us/library/dd220460.aspx
    Best Regards,
    Joyce
    Please remember to mark the replies as answers if they help and unmark them if they provide no help. If you have feedback for TechNet Subscriber Support, contact [email protected]

  • Customized report for cost centers by different cost centers

    Hi All,
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    Cost element columns | Cost center 1 | cost center 2 | cost center 3, etc -> dynamic cost center columns
    CE 1 .............................. amount xxx  |  . amount xxx | ..  amount xxx
    CE 2 .............................. amount xxx  |  . amount xxx | ..  amount xxx
    CE 3 .............................. amount xxx  |  . amount xxx | ..  amount xxx
    CE 3 .............................. amount xxx  |  . amount xxx | ..  amount xxx
    User selection screen:
    Controlling are:
    Fiscal Year:
    From period to period:
    cost center group ... <range of CC group> or
    cost center value ... <range of CC value>
    Questions:
    From the above selection screens, I need to pull out all the data stored in the table: COEP
    But, the problem is that inside this table, there is no cost center or cost center group stored; and therefore the program should be smart enough to pull out all the documents from the table: COEP and then make sure that the document / list of documents that pull out should belongs to the cost center or cost center group, as well as date range.
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    What should be the tables to refer in order meet the requirement.
    Similar Standard SAP cost center report should be S_ALR_87013611 - Cost Centers: Actual/Plan/Variance, but this report read from many tables.

    Hi,
    Please find the logic below & try it at your system-
    Here cost center group is not possible (also i not checked it so do it on your own simultaneously i am trying the same).
    Use Table BSEG-> in bseg give the cost center-> with the help of cost center find the account number (field HKONT)-> take this GL account number & got to table COEP-> in this give the GL account number at field 'offsetting account' (field GKONT) & you will get the line item.
    Try it & let me know if you have any question.
    Thanks

  • Custom reports for servers managed by administrators

    Hi,
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    Here are few links that should get you started with reporting:
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    https://sccmgeekdiary.wordpress.com/2012/10/29/sccm-2012-reporting-for-dummies-creating-your-own-ssrs-reports/
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    Can anyone offer their opinion?  Thank you!!!!

    Hi Subash,
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    Try to think , how do you balance EP6.0 with 6.40 J2EE engine <-> ECC6.0 with 7.0 J2ee engine? will get the answer!
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    Surya

  • Query to generate a report for incoming pending payments as per Item Group!

    Dear All,
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    Please provide me the same.
    Thanks in advance..........................
    Edited by: Param Deshwal on Nov 22, 2011 7:11 AM

    Hi
         try this
    SELECT T0.[DocNum] as 'Invoice Number', T0.[DocDate] as 'Invoice Date', T0.[CardName], T0.[DocTotal] as 'Invoice Amount', T0.[PaidToDate] as 'Paid Amount',(T0.[DocTotal]-T0.[PaidToDate]) as 'Pending Amount',T3.[ItmsGrpnam] FROM OINV T0 Inner join inv1 t1 on t0.docentry=t1.docentry inner join oitm t2 on t2.itemcode=t1.itemcode inner join oitb t3 on t3.[ItmsGrpcod]=t2.[ItmsGrpcod] where T3.[ItmsGrpnam]=[%0] 
    Regards,
    sudhir B.
    Edited by: B.sudhir on Nov 22, 2011 7:28 AM

  • To build some Custom reports for Sales and Distribution

    I want to build some Custom reports for Sales and Distribution.
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