Query for fa asset deprication

HI 2 ALL
Anybody have query which calculate asset reserve deprication in specific period.
regards,
zulqarnain

Hi zulqarnain,
from all of your recent queries, i understand that you are not aware of the table names in FA schema and also not sure as to which information is available at what table ....
You can generate an asset trace from asset module for a particular asset, the output contains all table names with column details that helps all report developers if they are designing an asset related report ...
Please perform the below steps and review the output ....
Switch Responsibility to System Administrator
Navigate to Security > Responsibility > Request
Select/Query the request group for your Fixed Asset Responsibility (Standard group name is "All Reports and Programs")
Insert new record/row in the Requests region and select the program name "Generate Asset Trace"
Save your changes ..
Switch responsibility to your Fixed Asset Responsibility
Run the concurrent program "Generate Asset Trace" with the parameter value for Asset book and Asset number
Check the output (it would generate two ..1st one will contain asset details 2nd one will have SLA/accounting details of the Asset)
Regards,
Ivruksha

Similar Messages

  • How to modify select query for retrieve assets from assets tab and assets in merchandising in 10.1.2?

    Hi All,
          I need to modify the SQL for retrieving assets from assets tab and assets in merchandising in 10.1.2. I found the class for SQLQuery builder, but I want to change the SQL.
          Could you anyone please how to solve this.
    Thanks & Regards,
    Bala

    Hi All,
          I need to modify the SQL for retrieving assets from assets tab and assets in merchandising in 10.1.2. I found the class for SQLQuery builder, but I want to change the SQL.
          Could you anyone please how to solve this.
    Thanks & Regards,
    Bala

  • Query for Report Asset By Location

    Dear All,
    I want to record asset using add on SAP. I want to make a query report that show asset per location. I'm using field U_User01 to record location of FA. The report will contain Code of FA, Name of FA, location, Acquisition value, Accum Depr and Net book value. This report will be made per period.
    Is there any one can help me to make the query ?
    Thanks a lot for your help

    Hai..is there anyone that can help me to solve this problem ? Thanks for the help

  • Can't save query for fixed asset

    I'm using sqvi query and logical database ADB, and fields comp code, asset number, subnumber, cost center, planned ord. depreciation, ordinary dep. posted in current year, i can't save, it says:
    global syntax check
    Error in parameter PA_PGSEL
    Statement concluding with "...TYPE" ended unexpectedly.
    Message no. AQ006
    how to resolve?

    Hi,
    try below query
    SELECT T0.[ItemName], T0.[AssetItem], T0.[validFor] FROM OITM T0 WHERE T0.[validFor] ='Y' and  T0.[AssetItem] ='Y'
    you can choose here depriciation type too same as above..
    Regards
    Deepak Tyagi

  • Query for Fixed Asset Addon

    HI All,
    Hope you are fine.
    I want to following fields in the query but I am not sure from which tables I will get these details.
    SELECT T0.[U_ItemCode], T0.[U_AsstNum], T0.[U_User01] as 'Axapta No.' ,  T0.[U_Desc], T0.[U_SerNum], T0.[U_User02] as 'Asset Location', T0.[U_VendCode] as 'Supplier Code', T0.[U_VendDesc] as 'Supplier Name' , T0.[U_InvNum] as 'TCC P/L No.', T0.[U_AcqDate], T0.[U_RetDate] as 'Disposal date' , T0.[U_CapDate] FROM [dbo].[@BA_OAMD]  T0 WHERE T0.[U_StatusID] =[%1] ORDER BY T0.[U_AsstNum], T0.[U_ItemCode]
    And I want additional these fields.
    add the invoice number, the accumulative depreciation amount and the net book value
    Please help me on this.

    Hi,
    try below query
    SELECT T0.[ItemName], T0.[AssetItem], T0.[validFor] FROM OITM T0 WHERE T0.[validFor] ='Y' and  T0.[AssetItem] ='Y'
    you can choose here depriciation type too same as above..
    Regards
    Deepak Tyagi

  • Purchase Order for Leased Asset

    Hello,
    I want to create an Purchase order for leased asset and want to make the payment for that.
    It will be helpfull for me if you can tell the config setting required for that and the sequence of Transactions for completing the cycle for the same.
    Cheers,
    Manish Jindal

    Hi,
    You first need to create Asset Number in transaction AS01. This is normally done by finance people. Once you get the asset number, create purchase order in transaction ME21N, by selection account assignment as A - Asset. Enter other data such as material number, quantity, requirement date, price, tax code. In the account assignment tab at item level, enter the asset number you got while creating the asser in transaction AS01. Save the purchase order.
    Once you receive the material against this purchase order, the accounting entries will be done against the asset number.
    Hope this fulfills your query.
    Regards,
    Prashant

  • Reg:How to check Vendor for particular Asset

    HI
    How to check Vendor for particular Asset?
    regards
    JK rao

    Hi,
    Good morning and greetings,
    It would be very difficult to go into each and every asset and display the asset...instead create a quick viewer query using SQVI and use the table ANLA and the field name is LIFNR for Vendor Code and for Asset Number it is ANLN1.
    Please reward points if found useful
    Thanking you
    With kindest regards
    Ramesh Padmanabhan

  • Hierarchical Query for Chart of Account

    Hellow all
    I have one Table which is for chart of account
    The Column in this Table is
    Acc_id and Acc_name
    I Insert data in This chart of account
    Insert into COA
    values
    *(01,'ASSETS');*
    values
    *(01001,'Current Assets');*
    values
    *(01002,'Fixed Assets');*
    values
    *(010010001,'Banks');*
    values
    *(010010002,'Cash');*
    values
    *(01001000100001,'Metrol Politan Bank');*
    values
    *(01001000100002,'Royal Bank');*
    values
    *(01001000100003,'Stander Charted Bank');*
    values
    *(01001000200001,'Cash in Hand');*
    values
    *(01001000200002,'Patty Cash');*
    That's all my record now i need to create a Hierarchical tree
    Which look like this
    *01- Assets*
    ------010001 Current Assets+
    ----------010010001 Bank+
    --------------01001000100001 Metrol Politan Bank+
    --------------01001000100002 Royal Bank+
    --------------01001000100003 Stander Charted Bank+
    ----------010010002 Cash+
    --------------01001000200001 Cash in Hand+
    --------------01001000200002 Patty Cash+
    ------010002 Fixed Assets+
    ----------010020001 Machinery Assets+
    --------------01002000100001 Needle Machine+
    --------------01002000100002 GGT Machine+
    ----------010020002 Computer Assets+
    --------------01002000200001 Computer Server+
    --------------01002000200002 Computer other+
    Hope you guys understand i need the Hierarchical query for making this kind of Tree
    Regards
    Shahzaib

    In above posts you have solution to your problem but maybe you can think about changeing the design slightly.
    I would suggest using parent_id to find parent account, instead of operations on strings which can be slower in larger tables.
    SQL> create table t14(id int, account_code varchar2(16), account_name varchar2(32), parent_id int)
      2  /
    Table created.
    SQL> insert into t14 values(1,'01','Assets',null);
    1 row created.
    SQL> insert into t14 values(2,'01001','Current Assets',1);
    1 row created.
    SQL> insert into t14 values(3,'01002','Current Assets',1);
    1 row created.
    SQL> commit;
    Commit complete.
    SQL> select * from t14;
            ID ACCOUNT_CODE     ACCOUNT_NAME                      PARENT_ID
             1 01               Assets
             2 01001            Current Assets                            1
             3 01002            Current Assets                            1
    SQL> select lpad(' ',2*(level-1)) || account_code as account_code, account_name
      2  from t14
      3  start with parent_id is null connect by prior id = parent_id
      4  /
    ACCOUNT_CODE                   ACCOUNT_NAME
    01                             Assets
      01001                        Current Assets
      01002                        Current AssetsWith kind regards
    Krystian Zieja

  • Query for Previous Period Accumulated Dep

    Can someone suggest me the best way to query the previous period accumulated depreciation for an asset.
    I am facing with every way I have tried.
    1st Way = Current Accumulated - Current Month Deprn (FA_DEPRN_SUMMARY). But in case of retired assets, the Current Accumulated becomes 0. So, this wudnt be a correct value to display.
    2nd Way = Going back one period and taking the Accumulated Depreciation value. This is very problematic in queries. I got error for some dumb scenario I didnt test in the query. Apparently if there are more than 2 rows in FA_DEPRN_DETAIL, then 2 records will return instead of one.
    Can someone help me out.
    Regards

    Hi,
    Check why the amounts in accum dep is calculating less amounts?
    If your dep key and dep rates are correct, then there is no problem with the dep calculations.
    Still if you feel that, a particular asset is to be depreciated more than the planned dep, you must perform a unplanned dep postings with Tcode ABAA
    Before doing this you must have been done the config for the unplanned dep via the below tcodes.
    OABU, and AO95.
    Then try to post run planned dep with ABAA now, since this will only create an internal asset accounting document for the date 31.03.2009.
    So if you run the dep run for the 12 period (if you follow apr-mar) with repeat option and by selecting list assets and execute it.
    Here you see an separate dep doc will be generated for unplanned dep for your asset.
    hope this might help you.
    Thanks,
    Srinu

  • How to use the same POWL query for multiple users

    Hello,
    I have defined a POWL query which executes properly. But if I map the same POWL query to 2 portal users and the 2 portal users try to access the same page simultaneously then it gives an error message to one of the users that
    "Query 'ABC' is already open in another session."
    where 'ABC' is the query name.
    Can you please tell me how to use the same POWL query for multiple users ?
    A fast reply would be highly appreciated.
    Thanks and Regards,
    Sandhya

    Batch processing usually involves using actions you have recorded.  In Action you can insert Path that can be used during processing documents.  Path have some size so you may want to only process document that have the same size.  Look in the Actions Palette fly-out menu for insert path.  It inserts|records the current document work path into the action being worked on and when the action is played it inserts the path into the document as the current work path..

  • Error while creating a query for my custom infotype

    Hi,
    I have created a custom infotype with fields currency amount and currency field .
    While I am creating a query for it its giving an error
    Message no. AQ_AD_HOC221 Error when generating the report(see long text )
    I tried to execute the standard program RPUMS40CCI but still I am facing same error .
    I have also maintained table T777i for my infotype but still problem exists.
    Please help.
    P

    Hi
    Check in PM01

  • Error while executing a sql query for select

    HI All,
    ORA-01652: unable to extend temp segment by 128 in tablespace PSTEMP i'm getting this error while i'm executing the sql query for selecting the data.

    I am having 44GB of temp space, while executing the below query my temp space is getting full, Expert please let us know how the issue can be resolved..
    1. I dont want to increase the temp space
    2. I need to tune the query, please provide your recomendations.
    insert /*+APPEND*/ into CST_DSA.HIERARCHY_MISMATCHES
    (REPORT_NUM,REPORT_TYPE,REPORT_DESC,GAP,CARRIED_ITEMS,CARRIED_ITEM_TYPE,NO_OF_ROUTE_OF_CARRIED_ITEM,CARRIED_ITEM_ROUTE_NO,CARRIER_ITEMS,CARRIER_ITEM_TYPE,CARRIED_ITEM_PROTECTION_TYPE,SOURCE_SYSTEM)
    select
    REPORTNUMBER,REPORTTYPE,REPORTDESCRIPTION ,NULL,
    carried_items,carried_item_type,no_of_route_of_carried_item,carried_item_route_no,carrier_items,
    carrier_item_type,carried_item_protection_type,'PACS'
    from
    (select distinct
    c.REPORTNUMBER,c.REPORTTYPE,c.REPORTDESCRIPTION ,NULL,
    a.carried_items,a.carried_item_type,a.no_of_route_of_carried_item,a.carried_item_route_no,a.carrier_items,
    a.carrier_item_type,a.carried_item_protection_type,'PACS'
    from CST_ASIR.HIERARCHY_asir a,CST_DSA.M_PB_CIRCUIT_ROUTING b ,CST_DSA.REPORT_METADATA c
    where a.carrier_item_type in('Connection') and a.carried_item_type in('Service')
    AND a.carrier_items=b.mux
    and c.REPORTNUMBER=(case
    when a.carrier_item_type in ('ServicePackage','Service','Connection') then 10
    else 20
    end)
    and a.carrier_items not in (select carried_items from CST_ASIR.HIERARCHY_asir where carried_item_type in('Connection') ))A
    where not exists
    (select *
    from CST_DSA.HIERARCHY_MISMATCHES B where
    A.REPORTNUMBER=B.REPORT_NUM and
    A.REPORTTYPE=B.REPORT_TYPE and
    A.REPORTDESCRIPTION=B.REPORT_DESC and
    A.CARRIED_ITEMS=B.CARRIED_ITEMS and
    A.CARRIED_ITEM_TYPE=B.CARRIED_ITEM_TYPE and
    A.NO_OF_ROUTE_OF_CARRIED_ITEM=B.NO_OF_ROUTE_OF_CARRIED_ITEM and
    A.CARRIED_ITEM_ROUTE_NO=B.CARRIED_ITEM_ROUTE_NO and
    A.CARRIER_ITEMS=B.CARRIER_ITEMS and
    A.CARRIER_ITEM_TYPE=B.CARRIER_ITEM_TYPE and
    A.CARRIED_ITEM_PROTECTION_TYPE=B.CARRIED_ITEM_PROTECTION_TYPE
    AND B.SOURCE_SYSTEM='PACS'
    Explain Plan
    ==========
    Plan
    INSERT STATEMENT ALL_ROWSCost: 129 Bytes: 1,103 Cardinality: 1                                                        
         20 LOAD AS SELECT CST_DSA.HIERARCHY_MISMATCHES                                                   
              19 PX COORDINATOR                                              
                   18 PX SEND QC (RANDOM) PARALLEL_TO_SERIAL SYS.:TQ10002 :Q1002Cost: 129 Bytes: 1,103 Cardinality: 1                                         
                        17 NESTED LOOPS PARALLEL_COMBINED_WITH_PARENT :Q1002Cost: 129 Bytes: 1,103 Cardinality: 1                                    
                             15 HASH JOIN RIGHT ANTI NA PARALLEL_COMBINED_WITH_PARENT :Q1002Cost: 129 Bytes: 1,098 Cardinality: 1                               
                                  4 PX RECEIVE PARALLEL_COMBINED_WITH_PARENT :Q1002Cost: 63 Bytes: 359,283 Cardinality: 15,621                          
                                       3 PX SEND BROADCAST PARALLEL_TO_PARALLEL SYS.:TQ10001 :Q1001Cost: 63 Bytes: 359,283 Cardinality: 15,621                     
                                            2 PX BLOCK ITERATOR PARALLEL_COMBINED_WITH_CHILD :Q1001Cost: 63 Bytes: 359,283 Cardinality: 15,621                
                                                 1 MAT_VIEW ACCESS FULL MAT_VIEW PARALLEL_COMBINED_WITH_PARENT CST_ASIR.HIERARCHY :Q1001Cost: 63 Bytes: 359,283 Cardinality: 15,621           
                                  14 NESTED LOOPS ANTI PARALLEL_COMBINED_WITH_PARENT :Q1002Cost: 65 Bytes: 40,256,600 Cardinality: 37,448                          
                                       11 HASH JOIN PARALLEL_COMBINED_WITH_PARENT :Q1002Cost: 65 Bytes: 6,366,160 Cardinality: 37,448                     
                                            8 BUFFER SORT PARALLEL_COMBINED_WITH_CHILD :Q1002               
                                                 7 PX RECEIVE PARALLEL_COMBINED_WITH_PARENT :Q1002Cost: 1 Bytes: 214 Cardinality: 2           
                                                      6 PX SEND BROADCAST PARALLEL_FROM_SERIAL SYS.:TQ10000 Cost: 1 Bytes: 214 Cardinality: 2      
                                                           5 INDEX FULL SCAN INDEX CST_DSA.IDX$$_06EF0005 Cost: 1 Bytes: 214 Cardinality: 2
                                            10 PX BLOCK ITERATOR PARALLEL_COMBINED_WITH_CHILD :Q1002Cost: 63 Bytes: 2,359,224 Cardinality: 37,448                
                                                 9 MAT_VIEW ACCESS FULL MAT_VIEW PARALLEL_COMBINED_WITH_PARENT CST_ASIR.HIERARCHY :Q1002Cost: 63 Bytes: 2,359,224 Cardinality: 37,448           
                                       13 TABLE ACCESS BY INDEX ROWID TABLE PARALLEL_COMBINED_WITH_PARENT CST_DSA.HIERARCHY_MISMATCHES :Q1002Cost: 0 Bytes: 905 Cardinality: 1                     
                                            12 INDEX RANGE SCAN INDEX PARALLEL_COMBINED_WITH_PARENT SYS.HIERARCHY_MISMATCHES_IDX3 :Q1002Cost: 0 Cardinality: 1                
                             16 INDEX RANGE SCAN INDEX PARALLEL_COMBINED_WITH_PARENT CST_DSA.IDX$$_06EF0001 :Q1002Cost: 1 Bytes: 5 Cardinality: 1

  • Return Code - Query for Multiple Rows as XML

    Hi,
    I'm executing an MSSQL stored procedure through the "Query for Multiple Rows as XML" activity in LiveCycle ES. I do this through a call statement such as this:
    { call MyStoredProc(?) }
    This works great, the stored procedure always returns a record set (with or without records). I use this activity rather than "Call Stored Procedure" because I can transform the record set into XML right away within this activity. Unfortunately any exception arising from invoking this stored procedure cannot be handled within the workflow as this activity does not have an exception handler (lightning bolt). In an attempt to handle at least some exceptions we have decided to use try/catches within the stored procedures and return different error codes. Now the problem I am faced with is that there is no way to retrieve the returned code within any of the SQL activities. We don't want to have to write an execute script for each of these SQL calls. Is there any way to do this? Seems like I'm 95% there.
    Thanks
    Nic

    Thanks for the offer, unfortunately we would need something certified by Adobe.
    Nic

  • Query for Sales Order Analysis

    Dear Experts
    I have written a Query for Sales Order Analysis and would like to have help on this.
    The query is used for generating daily report for Sales Order on number of documents (Sales Order), total amount of sales orders and total GP of Sales Order. The query is written as below:
    SELECT T0.[DocNum], SUM(T0.DocTotal) AS 'Total', SUM(T0.U_Total_GP) AS 'Total GP'
    FROM ORDR T0 WHERE T0.[DocDate] =[%0] GROUP BY T0.[DocNum] ORDER BY T0.[DocNum]
    where U_Total_GP is a UDF for storing the GP of each order.
    After executing the query, a selection criteria of date appears and after a date is selected, the report shown information required. However, the query does not calculate column total for total amount and total GP. Although I know the total for each column can be displayed by pressing "Ctrl" + Click on the column title, it would have to be done from time to time.
    Therefore, I would like to modify my query in order to calculate the column totals when executed. Are there any suggestions for this?
    Thank you
    Regards
    Elton

    Hi Elton,
    Try this:
    SELECT T0.[DocNum], SUM(T0.DocTotal) AS 'Total', SUM(T0.U_Total_GP) AS 'Total GP'
    FROM ORDR T0 WHERE T0.[DocDate] =[%0] GROUP BY T0.[DocNum]
    Union ALL
    SELECT '', SUM(T0.DocTotal) AS 'Total', SUM(T0.U_Total_GP) AS 'Total GP'
    FROM ORDR T0 WHERE T0.[DocDate] =[%0]
    ORDER BY T0.[DocNum]
    Thanks,
    Gordon

  • Problem with query for Oracle

    Hello Experts,
    I'm tryng to develop my first application for EP (v7 SP12) with NWDS (without NWDI).
    This application has to read and write data in the EP DB (oracle v10).
    I'm using:
    <u>a Dictionary Project</u> (define the DB Tables)
    <u>a Java Project</u> (define class as DAO, DBManager etc)
    <u>a Library Project</u>
    <u>an EJB Project</u>
    <u>an EAR Project</u>
    With these projects I can deploy a <u>webService</u> in my EP server.
    BUT I have some problem with a query that I'm tryng to sent to my DB through a DAO Class called by my WebService.
    The query is simple and correct but it does not work...
    This is the error message returned (the query id in bold)
    (column names: GIORNO, NOMEDITTA, NOMEAREA, NOMESETTORE)
    <i>HTTP/1.1 500 Internal Server Error
    Connection: close
    Server: SAP J2EE Engine/7.00
    Content-Type: text/xml; charset=UTF-8
    Date: Fri, 21 Sep 2007 14:29:57 GMT
    Set-Cookie: <value is hidden>
    <SOAP-ENV:Envelope xmlns:SOAP-ENV="http://schemas.xmlsoap.org/soap/envelope/" xmlns:xs="http://www.w3.org/2001/XMLSchema" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" ><SOAP-ENV:Body><SOAP-ENV:Fault><faultcode>SOAP-ENV:Client</faultcode><faultstring>java.sql.SQLException: com.sap.sql.log.OpenSQLException: The SQL statement <b>"SELECT NOMESETTORE, MIN(? - "GIORNO") AS GIORNI FROM SRS_DATEINFORTUNI WHERE NOMEDITTA = ? AND NOMEAREA= ? GROUP BY NOMESETTORE ORDER BY NOMESETTORE"</b> <u>contains the syntax error[s]: - 1:25 - the arithmetic expression >>? - "GIORNO"<< contains a host variable (parameter marker)</u></faultstring><detail><ns1:getGiorniSettori_com.akhela.giorniSenzaInfortuni.ejb.exception.GiorniSenzaInfortuniException xmlns:ns1='urn:GiorniSenzaInfortuniWSWsd/GiorniSenzaInfortuniWSVi'></ns1:getGiorniSettori_com.akhela.giorniSenzaInfortuni.ejb.exception.GiorniSenzaInfortuniException></detail></SOAP-ENV:Fault></SOAP-ENV:Body></SOAP-ENV:Envelope></i>
    The variable '?' is the today date, the difference <b>"(?-GIORNO)"</b> is an int..
    Moreover in my DAO class the query is <b>"SELECT NOMESETTORE, MIN(? - GIORNO) AS GIORNI FROM SRS_DATEINFORTUNI WHERE NOMEDITTA = ? AND NOMEAREA= ? GROUP BY NOMESETTORE ORDER BY NOMESETTORE</b>", instead in the error message is reported <b>MIN(? - "GIORNO")</b>...
    We have tryed also with alternative query, for example we used <b>"MIN(SYSDATA - GIORNO)"</b> but <b>SYSDATA</b> was interpreted as column name and  not found....
    Any help???
    Best Regards

    Hi, I found something about the Host Variable (http://help.sap.com/saphelp_nw70/helpdata/en/ed/dbf8b7823b084f80a6eb7ad43bdbb9/content.htm), there explain that if you want to use an host variable you have to put ':' as prefix..
    My problem is that <u>I need to extract the minimum of the subtraction between two dates:</u>
    Query <b>MIN(? - GIORNO)</b> --> <i>Error: the arithmetic expression >>? - "GIORNO"<< contains a host variable (parameter marker)</i>
    So I tried to use the ':' as indicated in the manual..
    <b>MIN:(? - GIORNO)</b> --> - <i>SQL syntax error: the token ":" was not expected here
                   - expecting LPAREN, found ':'</i>
    <b>MIN(:(? - GIORNO))</b> --> <i>- 1:25 - Open SQL syntax error: :PARAMETER not allowed
                   - 1:26 - SQL syntax error: the token "(" was not expected here
                   - 1:26 - expecting ID, found '('</i>
    Then I tried to avoid the MIN() function and I tried to do just the subtraction:
    <b>? - GIORNO</b> --><i> - 1:21 - the arithmetic expression >>? - "GIORNO"<< contains a host variable (parameter marker)</i>
    <b>:(? - GIORNO)</b> --> <i>- 1:21 - Open SQL syntax error: :PARAMETER not allowed
                - 1:22 - SQL syntax error: the token "(" was not expected here
                - 1:22 - expecting ID, found '('</i>
    <b>'2007-09-24' - GIORNO</b> --> <i>- 1:34 - SQL syntax error: first argument of operator "-" must be a number, date/time or interval
                     - 1:43 - SQL syntax error: arguments of operator "-" do not have correct types
                     - 1:43 - SQL syntax error: derived columns in SELECT list with AS must be values</i>
    <b>GIORNO - GIORNO</b> --> <i>- 1:21 - the group by list and the select list are inconsistent: the column >>"GIORNO"<< is neither grouped nor aggregated
                  - 1:30 - the group by list and the select list are inconsistent: the column >>"GIORNO"<< is neither grouped nor aggregated</i>
    Why these parts of query are not accepted???
    I don't understand why... I hope you can help me.
    Best Regards
    Alessandro

Maybe you are looking for

  • Ipod touch not recognized by Windows 7. screen cycles constantly

    I think this is different than the other posts. When i connect my ipod touch to my Win7 PC it 'cycles'. It displays the charging screen for about 0.5 seconds, then displays the 'start' screen for about 0.5 seconds. It then cycles between the 2 screen

  • How do I create a chat in my server?

    I am building an mmorpg game and one of my first tasks is to create a chat, now I have no idea about how it is working. The only thing that I do know is that there is two ways to do it, one of them will force me to update my chat page all the time an

  • Web Sharing Question

    Hi everyone! I activated Web Sharing in the Sharing preference pane and have added some files to the 'Sites' folder in my user directory. The content shows up when I enter the address in Safari. So does this mean anyone I provide the address to will

  • Read & Applied Other Threads Win Still Fatally Crashes When Running iTunes

    I updated all the drivers on the system to the latest from the manufacturer websites yesterday. I then installed and ran WinDbg it is telling me RtkHDAud.sys (R+k HDAud+179e98) is the culprit causing a double fault. When I disable Realtek High Defini

  • Opening my HDV project takes 45 min!!??

    I have a HDV (1080i) project, which has steadily grown in size. I have captured about 20 hours of material and have made a few sequences. One sequence is 5 minutes, one is 102 min and one is 90 min. Is this a gigantic project, because it takes FCP 5.