Standard view in ALV is not displaying

hai experts,
   While displaying the results in the ALV, the standard view is not displaying, although it contains entries.the "display" tab in the settings, all the displayed rows  are auto matically setting ')', can anyone help me out how to solve this problem?
Madhu

can u please tell me in a detailed way, because it is in web dynpro abap.
please tell the process in the detailed way.
what i did is:
  settings->display tab->
                                    Displayed Rows:  10
                                   Displayed Columns:    all.
and made all the columns which were hidden to visible and it is working for this time.
but next time when i execute the application, the standard view is not displayed again.
hope u understood my problem
Madhu

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      OPEN DATASET p_fileot FOR OUTPUT IN TEXT MODE ENCODING DEFAULT
        MESSAGE g_message.
      IF sy-subrc <> 0.
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    Summarize the detail records to allow for creation of the file and
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      PERFORM summarize_records_by_period.
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      PERFORM derive_add_fields_faglflexa.
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        WHERE mandt = sy-mandt.
      SORT i_t001 BY bukrs.
    ENDFORM.                    " get_t001_data
    *&      Form  get_t880_data
    Get T880 (Global Company Data (for KONS Ledger)) data from the
    database.
    FORM get_t880_data.
      SELECT rcomp name2
        INTO TABLE i_t880
        FROM t880
        CLIENT SPECIFIED
        WHERE mandt = sy-mandt.
      SORT i_t880 BY rcomp.
    ENDFORM.                    " get_t880_data
    *&      Form  derive_all_item_id
    Derive the all item ID from the company code currency key.
         -->WAERS       - Currency key.
         <--ALL_ITEM_ID - All item ID.
         <--ALL_ITEM_ID - All item ID.
    FORM derive_all_item_id USING waers        TYPE t_t001-waers
                         CHANGING all_item_id  TYPE t_faglflext-all_item_id
                                  all_products TYPE t_faglflext-all_products
      CLEAR:
        all_item_id.
    Populate all item ID.
      all_item_id = c_all_item_id.
      IF waers = c_us_dollars.
        REPLACE '*' WITH c_united_states INTO all_item_id.
      ELSE.
        REPLACE '*' WITH c_local         INTO all_item_id.
      ENDIF.
    Populate all products.
      all_products   = c_all_products.
      TRANSLATE all_products TO UPPER CASE.
    ENDFORM.                    " derive_all_item_id
    *&      Form  derive_all_customers_fields
    Derive the all customers and all customer channel fields from
    the strategic segment and strategic segment channel respectively.
         -->STRAT_SEG      - Strategic segment.
         -->STRAT_SEG_CHNL - Strategic segment channel.
         <--ALL_CUST       - All customers.
         <--ALL_CUST_CHNL  - All customers channel.
    FORM derive_all_customers_fields USING strat_seg      TYPE
    t_faglflext-strat_seg
                                           strat_seg_chnl TYPE
                                           t_faglflext-strat_seg_chnl
                                  CHANGING all_cust       TYPE
                                  t_faglflext-all_cust
                                           all_cust_chnl  TYPE
                                           t_faglflext-all_cust_chnl.
      CLEAR:
        all_cust,
        all_cust_chnl.
      all_cust        = strat_seg.
      all_cust+2(1)   = c_all_customers.
      TRANSLATE all_cust TO UPPER CASE.
      all_cust_chnl   = strat_seg_chnl.
      TRANSLATE all_cust_chnl TO UPPER CASE.
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    *&      Form  derive_hyperion_account
    Read G/L account long text to get the Hyperion account number.
         -->RACCT         - SAP G/L account number.
         <--HYPERION_ACCT - Hyperion account number.
    FORM derive_hyperion_account USING racct         TYPE t_faglflext-racct
                                       farea         TYPE t_faglflext-rfarea
                                       "KMK5/22/06 ITR 20592
                                       sub_account   TYPE
                                       t_faglflext-sub_acct
                                       rassc         TYPE t_faglflext-rassc
                                       prctr         TYPE t_faglflext-prctr
                          CHANGING hyperion_acct TYPE t_faglflext-hyperion_acct
                                   reverse_sign  TYPE t_faglflext-reverse_sign "NEM8/21/06 ITR: 24286
                                   balance_sheet TYPE t_faglflext-balance_sheet "NEM8/21/06 ITR: 24286
                                   zzsarea       TYPE t_faglflext-zzsarea
                                   zzsareaim     TYPE t_faglflext-zzsareaim
                                   strat_seg     TYPE t_faglflext-strat_seg.
      DATA:
        lv_text_name          TYPE thead-tdname,
        l_strl                TYPE i VALUE 0,
        l_hyperion_acct(10),                       "KMK5/20/06 ITR 20527
        l_farea(10)           VALUE '0000000000',  "KMK5/22/06 ITR 20592
        l_balance_sheet(1),                        "NEM8/17/06 ITR 25792
        l_string              TYPE tline-tdline.   "NEM8/17/06 ITR 25792
      DATA: l_hyp_account_1 TYPE tline-tdline,
            l_hyp_account_2 TYPE tline-tdline,
            l_hyp_account_3 TYPE tline-tdline.
      reverse_sign = '1'.
      SELECT SINGLE bilkt xbilk
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        INTO (l_hyperion_acct,l_balance_sheet)
        WHERE ktopl = c_global_tcoa
          AND   saknr = racct.
      balance_sheet = l_balance_sheet.
      l_string = w_zall_gl-hyper.
      SEARCH l_string FOR '-'.
      IF sy-subrc = '0'.
        reverse_sign = -1.
      ELSE.
        reverse_sign = 1.
      ENDIF.
      CHECK w_zall_gl-hyper IS NOT INITIAL.
      CLEAR: l_hyp_account_1, l_hyp_account_2, l_hyp_account_3.
      SPLIT w_zall_gl-hyper
        AT ';'
        INTO l_hyp_account_1 l_hyp_account_2 l_hyp_account_3.
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        hyperion_acct = l_hyp_account_1+0(7).
        l_strl = STRLEN( hyperion_acct ) - 1.
        IF hyperion_acct+l_strl(1) EQ '1'.
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          PERFORM repopulate_strategic_segment
            USING rassc prctr
            CHANGING strat_seg.
          zzsareaim = g_hold_sales_type.
          zzsarea = g_hold_sales_area.
        ENDIF.
      ELSE.                                " Two or more hyperion accounts
        IF sub_account > ''.
          hyperion_acct = l_hyp_account_2+0(7).
        ELSE.
          hyperion_acct = l_hyp_account_1+0(7).
        ENDIF.
      ENDIF.
      CLEAR: w_hyperion.
      w_hyperion-racct           = racct.
      w_hyperion-hyperion_acct   = hyperion_acct.
      w_hyperion-reverse_sign    = reverse_sign.
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    Determine the sub account based on the company ID of the trading
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         -->RASSC    - Company ID of trading partner.
         <--SUB_ACCT - Sub account.
    *FORM derive_sub_account USING rassc    TYPE t_faglflext-rassc
                        CHANGING sub_acct TYPE t_faglflext-sub_acct.
    IF rassc IS INITIAL.
       CLEAR: sub_acct.
    ELSE.
       sub_acct  = rassc.
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                    CHANGING sub_acct TYPE t_faglflext-sub_acct.
      IF rassc IS INITIAL.
        CLEAR: sub_acct.
      ELSE.
        READ TABLE i_t880 INTO w_t880
          WITH KEY rcomp = rassc
                   BINARY SEARCH.
        IF sy-subrc = 0.
          sub_acct  = w_t880-name2.
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        ELSE.
       MESSAGE e060
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        ENDIF.
      ENDIF.
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    Derive the strategic segment based on the company ID of the trading
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         -->RASSC     - Company ID of trading partner.
         -->PRCTR     - Profit center.
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                                        prctr     TYPE t_faglflext-prctr
                               CHANGING strat_seg TYPE t_faglflext-strat_seg
      DATA:
        lv_segment              TYPE cepc-segment.
      CLEAR:
        strat_seg.
    Find the valid profit center record.
      LOOP AT i_cepc INTO w_cepc
        WHERE prctr =  prctr    AND
              datab <= sy-datum AND
              datbi >= sy-datum.
    Pad segment with leading zeros if necessary.
        lv_segment      = w_cepc-segment.
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        TRANSLATE lv_segment USING ' 0'.
    Get the segment name from FAGL_SEGMT (Master Data for Segments).
        SELECT SINGLE *
          FROM fagl_segmt
          WHERE langu   = sy-langu AND
                segment = lv_segment.
        IF sy-subrc = 0.
          strat_seg      = fagl_segmt-name+0(3).
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        ENDIF.
      ENDLOOP.
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    Derive the strategic segment based on the company ID of the trading
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         -->PRCTR     - Profit center.
         <--STRAT_SEG - Strategic segment.
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                                        prctr     TYPE t_faglflext-prctr
                               CHANGING strat_seg TYPE t_faglflext-strat_seg
                                        sales_type TYPE t_faglflext-zzsareaim
                                        sales_area TYPE t_faglflext-zzsarea.
      DATA:
        lv_segment              TYPE cepc-segment.
      CLEAR:
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    In case need to use them later
      g_hold_sales_type = sales_type.
      g_hold_sales_area = sales_area.
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        sales_type  = c_sales_type.
        sales_area  = c_sales_area.
        TRANSLATE strat_seg TO UPPER CASE.
        TRANSLATE sales_type TO UPPER CASE.
        TRANSLATE sales_area TO UPPER CASE.
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      LOOP AT i_cepc INTO w_cepc
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              datbi >= sy-datum.
    Pad segment with leading zeros if necessary.
        lv_segment      = w_cepc-segment.
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        IF sy-subrc = 0.
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        ENDIF.
      ENDLOOP.
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    Derive the strategic segment channel based on the company ID of the
    trading partner or the profit center area.
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         -->PRCTR          - Profit center.
         <--STRAT_SEG_CHNL - Strategic segment channel.
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          ENDIF.
    If an appropriate SETNODE record still has not been found, then
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          IF g_subrc = c_wrong_record.
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              PERFORM get_setnode_data USING c_prctr_group
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              PERFORM find_setnode_record CHANGING g_subrc.
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            ENDDO.
          ENDIF.
    In the end, there was no SETNODE record to find.
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          SELECT SINGLE *
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    *&      Form  get_setleaf_data
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    *&      Form  find_setnode_record
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          g_subclass = w_setnode-subclass.
          g_setname  = w_setnode-setname.
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          EXIT.
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      ENDLOOP.
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        <SchemaBasedProperties>
          <LABEL
            ResId="model.view.link.ParentToChildViewLink_LABEL"/>
        </SchemaBasedProperties>
      </Properties>
      <ViewLinkDefEnd
        Name="ParentVO"
        Cardinality="1"
        Source="true"
        Owner="model.view.ParentVO">
        <DesignTime>
          <Attr Name="_accessor" Value="true"/>
          <Attr Name="_finderName" Value="ParentVO"/>
          <Attr Name="_isUpdateable" Value="true"/>
        </DesignTime>
        <AttrArray Name="Attributes">
          <Item Value="model.view.ParentVO.HireDt"/>
        </AttrArray>
      </ViewLinkDefEnd>
      <ViewLinkDefEnd
        Name="ChildVO"
        Cardinality="-1"
        Owner="model.view.ChildVO">
        <DesignTime>
          <Attr Name="_finderName" Value="ChildVO"/>
          <Attr Name="_isUpdateable" Value="true"/>
        </DesignTime>
        <AttrArray Name="Attributes">
          <Item Value="model.view.ChildVO.HireDt"/>
        </AttrArray>
      </ViewLinkDefEnd>
      <ResourceBundle>
        <PropertiesBundle
          PropertiesFile="model.ModelBundle"/>
      </ResourceBundle>
    </ViewLink>and here is the tree
        <af:tree value="#{bindings.ParentVO1.treeModel}" var="node"
                                 selectionListener="#{bindings.ParentVO1.treeModel.makeCurrent}" rowSelection="single"
                                 id="t1" binding="#{myBean.treeupdate}">
                            <f:facet name="nodeStamp">
                                <af:outputText value="#{node}" id="ot1"/>
                            </f:facet>
                        </af:tree>

    thanks I am working through that example unfortunately I ran into a problem
    previously (in my real application) I was using bind parameters and my query had the following where clause.
    ( I did this to turn a comma separated list into an in statement)
      WHERE    :Bind_Batch_NM_Comma_Sep_List IS NULL
             OR batch_nm IN
                   (    SELECT REGEXP_SUBSTR (:Bind_Batch_NM_Comma_Sep_List,
                                              '[^,]+',
                                              1,
                                              LEVEL)
                                  batch_nm
                          FROM DUAL
                    CONNECT BY LEVEL <=
                                    REGEXP_COUNT (:Bind_Batch_NM_Comma_Sep_List,
                                  + 1)however in the example presented you are to create view criteria and there is a panel on the right called view object where clause but I can not figure out how to type into it directly
    and I find it unlikely I can recreate this where clause using the add item button.
    is there a way to manually type the where clause in the view object where clause box?

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