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  • Showing name of row instead of excel cell name

    - by Kare
    I am having extremely long formulas over an extremely big sheet. At the moment I am tracking the formulas with the Formula Auditing Tool. However, my idea would be to just replace for example in a formula like this: =IF(AND(ROUND($GX19-SUM(0)/$M$12;2)<=0;$AK$7=1);0;$M$12*$M$22/$K$62 My idea would be to replace the excel cell names with the table row names they are in. Like: =IF(AND(ROUND( "Income" -SUM(0)/ "Debt" ;2)<=0; "Percentage" =1);0; "Investment" * "Debt of house" / "Investment costs" Is there any way to achive sth. like that in excel? I appreciate your inputs!!!

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  • Create a linear trend line in Excel graphs with logarithmic scale

    - by Redsoft7
    I I have an Excel scatter chart with x and y values. I set the logarithmic scale in x-axis and y-axis. When I add a linear trend line to the graph, the line is not linear but appears like a curve. How can I make a linear trend line on a logarithmic-scaled chart? Sample data: x: 18449 22829 25395 36869 101419 125498 208144 2001508 14359478 17301785 y: 269,09 273,89 239,50 239,50 175,13 176,73 151,94 135,15 131,55 121,55

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  • Macro - maintain paste link if new row is added to master spreadsheet

    - by Ross McLaughlin
    I have a master spreadsheet that has a portion of data (say columns a to e) that paste links to a report. Each row paste links to its own report. If I add a new row to the master spreadsheet I now have the wrong data linking into my reports. I know if I have the reports open when a change is made to the master it will update the reports. However, with the number of reports I will soon have this will no longer be practical. Is there a macro or formula that can be added to maintain the correct data link. I have no real knowledge on such matters and as much information as possible would be greatly appreciated. Many thanks in advance.

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  • Cross-update Word Fields

    - by Brent Arias
    I want to change a date in a field within my word document, and have it update a couple other fields automatically within the same document. The behavior I'm seeking is basically the same as what a spreadsheet can do. Is this possible? More specifically, if the first page of the document has the date Jan 20 2012, I want to be able to change it, and then watch a couple other dates elsewhere automatically change to either the same date or the same date plus six days. I would also "settle" for having all three fields updated from a central document property (though I don't know how to create one of those properties). Regardless of which approach is used, I want one of the dates to be <value> plus six days such as Jan 26 2012 based on the earlier example I gave.

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  • How may I retrieve data from an Excel table based on a variable number of criteria?

    - by Eshwar
    I have the following salary data for example: Country State 2012 2013 -> 2027 ======= ===== ==== ==== China Other 1000 1100 China Shanghai 1310 1400 China Tianjin 1450 1500 India Orissa 1500 1600 So now in another Excel sheet I would want an answer to one of the following questions: What is the salary in Shanghai for 2013? (Answer would be 1400) What is the salary in Hubei province for 2012? (Since it is not listed, use "Other" - 1000) What is the average salary in China for 2013? (Answer would be 1450) What is the highest salary in China for 2012? (Answer is Tianjin) So as in the above order of priority, I would like those numbers in another Excel sheet using some form of query. I considered PivotTables but I was wondering if there is another much better more efficient way of doing this? I imagine SQL is suited for this but I am not clued up on that. Some Excel functionality is much rather preferred. Also suggestions on an appropriate format of data for such queries would be appreciated.

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  • Why is only one Excel spreadsheet crippled, but others are fine?

    - by Dallas
    I have an inherited spreadsheet that I really don't want to rebuild at the moment. It's a simple small workbook that is small (< 200 rows that don't even reach to AA) and does nothing more than calculate some totals within the same worksheets. No macros, no external data sources, nothing beyond basic formatting of dates, numbers and strings. I see importing data from CSV/text has created many many workbook connections over time, but even if I delete them all (there were hundreds) it makes no difference in performance. Even clicking to simply change focus from cell to cell takes 10+ seconds, adorned by the spinning cursor and (Not Responding) appending to the title bar and the application locking up. The program seems to "recover" every time, but efficiency of editing this file is obviously seriously handicapped. All other files seem fine in Excel, and other programs have no apparent performance issues. I see Excel is chewing up CPU but I'm not sure how to narrow down what process or service is "clashing" with Excel. I tried the same file on other computers and performance is fine. If I turn off all start-up services and run only Excel, performance is restored... until I start using other programs and then it bogs down again. At this point, I would entertain almost any idea, theory or suggestion that helps pinpoint, solve or work around the issue.

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  • Excel SUM From Different Sheets IF Date Found

    - by user329005
    I have a workbook with separate sheets for each product (about 20 sheets, adding more on a regular basis). Each product is only available for a certain time frame, and has daily sales data recorded on that product's sheet. I want an overall snapshot across all products from any given date to be consolidated on a new sheet. This would sum from a particular column on each of the other sheets if a corresponding date exists. I have a moderately passable function right now that has a separate VLOOKUP for each product sheet like SUM(IF(ISERROR(VLOOKUP(DATECELL,SHEETNAME!ARRAY,COLUMN... next VLOOKUP, next VLOOKUP etc., but it's incredibly cumbersome to update each function when a new product is added. I'm thinking there's a much easier way utilizing a named group (sheet names), SUMIF, VLOOKUP etc. Then when a new product sheet is added, I can simply add the sheet name to the named group rather than editing all the functions. Any help would be much appreciated!

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  • Navigate to a virtual member from an overriden member in the derived type

    - by axrwkr
    Using visual studio, in the editor window, I am able to navigate from the usage of a member to the line and file where it is declared by pressing F12 while the cursor is over that member by or right clicking on the member and selecting "Go To Definition". I would like to find a way to navigate from an override member to the base class member that it overrides. For example, if I have the following class with one method public class SomeClass { public virtual void TheMethod() { // do something } } An I override that method somewhere else in the project or solution similar to the following public OtherClass : SomeClass { public override void TheMethod() { // do something else } } I want to navigate from the declaration of TheMethod in OtherClass to the declaration of TheMethod in SomeClass Is there a way to do this? I've found that I can find the definition of the member in the base class by pressing Shift + F12 (Find all References) and then looking through the list occurances, this works fine most of the time, since the list isn't usually that long but it would be much better to have a way to go there directly.

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  • Is there a way to have "default" or "placeholder" values in Excel?

    - by Iszi
    I've got a spreadsheet with cells that I want to be user-editable, but that I also want to have "default" or "placeholder" values in, whenever there is no user-entered data. There's a couple good use cases for this: Prevent formula errors, while providing reasonable assumptions when a user has not entered (or has deleted) their own value. I could use conditional formatting to alert the user to default values, so as to prevent their ignorance of them - they can then make an informed choice as to whether that value is still appropriate or not for the intended calculations. Give a short description of what is intended to be entered in the cell, without having to have a separate "instructions" segment or document. This would also eliminate the need for a nearby "Label" cell, in some cases where it's really not appropriate. To accomplish what I want, I need some formula, script, or other advanced spreadsheet option that will do the following: Show the default value in the cell before user enters data. Allow the default value to be found by any formulas referencing the cell, when there is no user-entered data in that cell. Allow the user to freely (naturally, exactly as they would do with any "normal" cell) overwrite the displayed value with their own value or formula, and have the user-entered data found by any formulas referencing the cell. When cell is blanked by deletion of user input, revert to default value. Is there a way to do this in Excel, or am I asking too much of a spreadsheet program here?

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  • Excel table auto update

    - by Mike
    So I have a table in Excel with formulas. When I add a new row, the new row automatically fills in the formulas as well, which is great. My problem is that it also changes the formula in the row above the added row as well. Here's what happens specifically: My table's last row is row 24. A formula I have in that row is the following: =COUNTIF(C$11:C24,"y")/(COUNTIF(C$11:C24,"Y")+COUNTIF(C$11:C24,"N")) When I add in data in row 25 the formula is updated in row 25 as well, which is what I want, to the following: =COUNTIF(C$11:C25,"y")/(COUNTIF(C$11:C25,"Y")+COUNTIF(C$11:C25,"N")) My problem is that the row above also updates - my row 24 changes to the same as row 25 (the C24 goes to C25). Why is my row 24 formula changing when I add a row 25? Note, my formulas above row 24 stay the same when I add in row 25 - only row 24 changes when I add in 25. Is there a way to not update the row above the row being added? This problem continues when additional rows are added - If I add in a row 26, then the formula in rows 24-26 then all reference C26. Why are they all updating?

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  • Excel Macro Help - Data Input

    - by B-Ballerl
    I'm want to develop a macro where in my excel worksheet I type a date in a specific cell, and the macro will go into a folder containing text files. A database you could say. I want it to find the corresponding file name which is written as a date, put the data through a delimeter, and paste into the cells directly below where I orginally put the date. I'm very new with Macro's so if you must answer try to be a little more simple than you might usually be. Thanks In Advance if anyone can Help!!

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  • Strategy for Incremental Datasource fetchings in Excel

    - by user1352530
    I am in an scenario with a table that is refresh by a third app every week. I need to keep accumulating all data in Excel, using an ODBC connection to the database. I am wondering Approach 1: Is there a way to force Excel to append results for every update (this update would be triggered according to a parameter that indicates week)? I tried to define the table for which the connection loads using a dynamic reference but once is anchored first time, table position is never redefined Approach 2: Use an ETL to accumulate all weekly results into a staging table and then connect Excel to it in real time. But, I would need a mechanism for caching old data, as I cannot grow exponentially the time Excel opens. Imagine after 10 years, Excel would need to update at opening 10 years fo data before showing it. Is there a way to store already fetched data and increment it at real time (when book is opened) by selecting new data (with a query/filter of something) Thanks EDIT: Maybe it's better to ask it that way: What is the optimal strategy for a table that keeps growing and needs to be read in real time by Excel? I just don't want to fetch absolutely all data after some months...

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  • Activating Sharepoint Server Publishing Infrastructure returns "Column Limit Exceeded"

    - by Haydar
    I am getting the following error when attempting to activate the Sharepoint Server Publishing Infrastructure. There are only about 140 columns defined in the entire site collection. I had previously activated and subsequently deactivated this feature. I don't know whether this might be causing the problem. But I really have no idea. I am a developer and this is my first question on serverFault. Please be gentle. Error Message: Column Limit Exceeded. There are too many columns of the specified data type. Please delete some other columns first. Note that some column types like numbers and currency use the same data type. Troubleshoot issues with Microsoft SharePoint Foundation. Correlation ID: 2ec9ae3a-5464-4922-9760-874099f51420 Date and Time: 11/8/2010 3:43:44 PMDate and Time: 11/8/2010 3:43:44 PM

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  • Pasted image hides behind text even when set to be inline

    - by John
    I copied an image from MSPaint and pasted it into a Word document I'm working on. For some reason the image hides behind the text even with the default "in line with text" setting. Trying other settings don't work as expected either. It does the same when I insert a picture from a file. Can anyone shed any light what would be causing this and how to fix it - I am guessing some formatting issue in the existing document?

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  • Message to distribution list with removed recipient bouncing back when sent from external mail server

    - by jshin47
    I removed a particular user from all distribution groups manually about five days ago. This user was a member of two particular groups that have other recipients. The OAB polling interval is 30 minutes, not that it really matters here. The situation is that I have an SMTP server that is not part of my Exchange organization that sends out automated email reports to these distribution groups. It sends them using a from: address that is a member of our Exchange organization. That member receives a bounce-back email indicating the member that should have been removed from the group does not exist. I have also verified that this is the same behavior when sending an email from a webmail service like GMail or Hotmail (outside of our Exchange organization of course) to either of those distribution group addresses. However when I send an email internally to one of those distribution group addresses everything works as expected (no bounce messages.) Not sure why this would be happening, but also not sure how to go about diagnosing the issue. I've looked at the SMTP headers and there are no relevant clues there as far as I can tell. I think it's an Exchange issue.

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  • Exchange2010 has Private Machine Name and IP in outbound SMTP - How to remove?

    - by John Bergman
    We have a domain (domain.local) that has IP Addresses in the 10.10.10.* range. In the outbound SMTP server traffic, I see the internal machine name (exchange.domain.local), and the internal ip address (10.10.10.55). The question is, how do you remove this header from exchange, or change it to have the external machine name/ip addresses. I am not talking about the HELO / EHLO handshake as part of the protocol. Please help.

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  • Does Exchange Cache Mode affect email markers refresh time in other Outlook clients?

    - by David
    We have users who share a single email account by using the Additional Email option under their accounts. Now, they want to assign emails to one another using the markers alongside the emails. We noticed that when changing the color of a marker, one Outlook client updated immediately, but another Outlook client did not. It looked like they were both set to "Cached Mode". Is it likely that caching effected the refresh of the client? Would it be better to turn off cached mode if we are using Outlook this way?

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  • Comparing two strings in excel, add value for common variables

    - by overtime
    I'm comparing two large datasets containing strings in excel. Column A contains the numbers 1-1,000,000. Column B contains 1,000,000 strings, neatly organized in the desired order. Column C contains 100,000 randomly organized strings, that have identical values somewhere in column B. Example: A B C D 1 String1 String642 2 String2 String11 3 String3 String8000 4 String4 String78 What I'd like to do is find duplicate values in columns B and C then output the Column A value that corresponds with the string in Column C into Column D. Desired Output: A B C D 1 String1 String642 642 2 String2 String11 11 3 String3 String8000 8000 4 String4 String78 78

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  • How do i play nicely with MS SQL/SQL Server 2008

    - by acidzombie24
    Big problem. I have nearly given up. I am trying to port my prototype to use MS SQL so it will work on a server once i get it (the server will be SQL Server 2008, shared, i dont know any more info). So i tried to connect to SQL Server via visual studios IDE and had no luck. I enabled TCP and named pipes and restarted the service (and computer) with still no luck. I remembered about mdf files so i made that after an obstacle of not being able to make the connect string require i figure out visual studio has it in its properties and successfully connected with that. Then i had a problem with nested transactions. After not being able to figure out how to check i wondered if i can configure it to allow it somehow. I always thought all of MS were the same except for limitations but sql server seems to support nested transactions so theres no point trying to work around the problem with .mdf files since i wont need them and really just used it to port the base of my sql code and to check if syntax is correct. I tried installing SQL Server Management Studio since people mentioned it several times (as a solution or at least help). When installing it on windows 7 it says it may not be compatible. After running it, it launched SQL Server Installation Center (64-bit) which doesnt seem to be the same thing as i dont see a way to modify any of my server (networking) configurations or edit user permissions, etc. I am clueless what to do next. Does anyone have any ideas? I'm posting here bc i think my problem is more configurations and sql server then programming.

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  • Do I use the FV function in Excel correctly?

    - by John
    My task: Create a table: Calculate what the revenues of e-trading will be after five years at 15 percent interest rate if we now have 15 000 EUR. Use the FV function from the Financial Group in Excel. My resolution: =FV( 15%; 5; 0; -15000). My question: Is it correct? I know the task lacks information whether the interest rate is per month or per year. I calculate it as 'per year'. My question is orientated more on the usage of the FV function. I, for example, do not understand why '-15000' and not '15000'. Also why the third parameter has to be 0? Maybe I do it wrong. Please help me solve it! Thanks in advance.

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  • How does MDT resolve settings specified in multiple machine roles?

    - by niteice
    I have a number of machines in MDT that belong to multiple roles. Nothing fancy there. However, in role A (which applies to most machines) the MachineObjectOU is specified, and in role B (which only applies to certain machines) a different MachineObjectOU is specified because those machines need to appear somewhere different in the directory. How do I guarantee that MDT will read settings from role B? Is it the order of roles in the list in the machine properties window?

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  • Excel - Disable AutoFormatting on Import

    - by Philip Wales
    How can I stop Microsoft Excel from auto formatting data when imported from a text file? Specifically, I want it to treat all of the values as text. I am auditing insurance data in excel before it is uploaded to the new database. The files come to me as tab delimited text files. When loaded, Excel auto-formats the data causing leading 0's on Zip Codes, Routing Numbers and other codes, to be chopped off. I don't have the patience to reformat all of the columns as text and guess how many zeros need to be replaced. Nor do I want to click through the import wizard an specify that each column is text. Ideally I just want to turn off Excel's Auto-Formatting completely, and just edit every cell as it were plain text. I don't do any formula's or charts, just grid plain text editing.

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  • iPhone all day meeting request bug?

    - by RodH257
    We've come across a bit of a weird bug in the office. our office is closing for a week or so over christmas, and our admin staff sent a meeting request to everyone in the office to go from 5pm on the 23rd of December until we return to work at 8.30 on the 5th. However there was some confusion, as if you look at the image below, the same meeting request is showing up with different start times for some people. While most people get the 5pm date, for others it shows up as an all day event! Staff have been planning their activities for the 23rd only to find out that their calendar is wrong and they are required to work. With some investigation, we noticed that all of the people with the incorrect time own iPhones or iPads. So perhaps they accepted the meeting on their phones, and it has put the meeting in wrong? There are people with the correct one that have iPhones, but perhaps they are on ios4 still, or perhaps they didn't accept the meeting request on their phone. has anyone else come across this error at all? is there a fix?

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  • Randomize table guests in Excel

    - by Jo Voud
    I have a list of people: Column A: person A, person A guest, person B, person C, person C guest, ... Column B: 1, 1, 2, 3, 3, ... So in column A there is the person's name, column B gives a person a unique ID (the same id for their guest so we know that they are together). Now pretend we have a list of 100 people (also note that not all persons have guests) and we have to seat them. We have a list of tables (for example 10 * 4 person table and 10*6 person tables). We have to randomize that each person is assigned to a table and the guest is seated on the same table. What is the best way to do this? (it is also needed that I can generate this 4 times in a row without the same results, so when during the 4 courses of the diner the person are switching tables but not losing their guest).

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  • Showing the right form of total I want in a pivot table

    - by Maria
    I have a pivot table that shows how many condoms have been handed out and on how many distinct occasions. So the value in the pivot table is a number between 1 and 30 (no. of condoms handed out at one specific occasion) and then I can see – for each month – how many times that happened. For example, three times, two condoms were given out, four times, one condom was given out, et cetera. The total is set on Count and it shows the total of how many times condoms have been given out. However, in the total I want it to show the sum of all the condoms that been given out each month – is it possible to change this somehow?

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