SQL 2012 :: Separate Domain Attribute Into Two Columns In Excel Add-In?
Aug 18, 2014
Can you separate a domain attribute into two columns in the Excel Add-In?
We are using the Excel Add-In as the UI for business users and they want to see one of the domain attributes as 2 different columns.
The attribute is Store, currently it is displayed like this:
"123 {STORENAME }".
They want it displayed in two columns in the Excel document for easier filtering/sorting: Store Number and Store Name.
Is this possible? If one column is changed the other would change right along with it.
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Apr 21, 2015
Using below script to export the select statement result to .xls
declare @sql varchar(8000)
select @sql = 'bcp "select * from Databases..Table" queryout c:bcpTom.xls -c -t, -T -S' + @@servername
exec master..xp_cmdshell @sql
But result is not exporting in seperate tabs, all 4 column details are exporting in single cell.
how to export the data in columns to separate tabs in excel.
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Jun 12, 2014
I've a table as below
custid,companyname,phone,address
2,AAAAA,(222) 222-2222,address 2
3,cust 3,(333) 333-3333,address 3
5,BBBBB,(333) 333-3333,DDDDD
6,cust 6,(222) 222-2222,address 6
7,cust 7,(222) 222-2222,address 7
How to split csv values to new fields. so that the desired output should be as below
custidcompanynamephone address
2 AAAAA (222) 222-2222 address 2
3 cust 3 (333) 333-3333 address 3
5 BBBBB (333) 333-3333 DDDDD
6 cust 6 (222) 222-2222 address 6
7 cust 7 (222) 222-2222 address 7
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Aug 22, 2014
We have the below query that pulls benefit ids for employees but it will show each benefit on a separate row but we would like to have just one rows for the employee and columns for each of the benefits.
SELECT
hcd.PersonId,
hcd.PlanYear,
hcd.TaxIdNumber,
hcd.LastName,
hcd.FirstName,
hcd.BirthDate,
[code]....
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Feb 25, 2015
I am trying to take the results of a query and re-orient them into separate columns.
select distinct
W_SUMMARYDETAILS.FACILITY_ID,
W_SUMMARYDETAILS.REPORTING_YEAR, (2011 - 2014, I want these years broken out into columns for each year)
W_SUMMARYDETAILS.FACILITY_NAME,
W_DEF_SUMMARYDETAILS.REPORTING_PERIOD (2011 - 2013, I want these years broken out into columns for each year)
From W_SUMMARYDETAILS
full outer join W_DEF_SUMMARYDETAILS
on W_SUMMARYDETAILS.FACILITY_ID=W_DEF_SUMMARYDETAILS.FACILITY_ID and
W_SUMMARYDETAILS.REPORTING_YEAR=W_DEF_SUMMARYDETAILS.REPORTING_PERIOD
As of now the query puts all the years into a single column -- one for DEF_SUMMARY and another for SUMMARY.
I am looking to create 7 additional columns for all the individual years in the results instead of just two columns.
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Mar 19, 2015
From my query I am getting results like below in one of the column:
'immediate due 14,289.00
04/15/15 5,213.00
05/15/15 5,213.00
06/15/15 5,213.00
07/15/15 5,213.00
08/15/15 5,213.00
09/15/15 5,213.00
10/15/15 5,213.00
11/15/15 5,210.00'
this same type of many rows are there (i just mentioned one) but having same pattern with tabs as delimiter in between dates and amount.
I need something that shows Date on one side representing particular amount on the other
For Immediate Due it will be current date and the amount besides it.
how can I achieve this.
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Feb 15, 2012
I am trying to add 2 separate columns from separate tables i.e column1 should be added to column 2 when inserted and I want to use a trigger but i don't know the syntax to use...
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Jun 19, 2014
I have two queries that give me the total sales amount for the current year, and the last year.
SELECT SUM([Sales (LCY)])
FROM [$Cust_ Ledger Entry] cle
LEFT OUTER JOIN dw.dim.FiscalDate fd
ON fd.CalendarDate = cle.[Posting Date]
WHERE [Customer No_] = '10135'
AND fd.CalendarYear = '2013'
[Code] ....
I would like to learn how to be able to make this a single query and end up with two columns and their summed up totals. Like it shows on the attached image.
This is my query without the columns I need:
SELECT
c.CustomerNumber
,c.Name
,c.ChainName
,c.PaymentTermsCode
,cle.CreditLimit AS 'CreditLimit'
,SUM(cle.Amount) AS 'Amount'
[Code] ....
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Apr 13, 2015
I've selected a domain-based attribute for one of the leaf member attributes in the same entity, aka parent id, since it's a self-referencing entity. However, I cannot find a way to display anything but the code value in the drop-down (see below).
Is there a way to change the display value so that I can choose the attribute from the entity from which I want the user to choose? In other words, I would like to display the hierarchy name instead of the code, which is really just the primary id.
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Oct 28, 2014
I have an entity (A), in which I use domain based attribute. The second entity (B) has several attributes. My problem is that, I would like to filter the first entity (A) based on an attribute that belongs to the second entity. The only way I can filter it (in MDS Excel add-in or Explorer) is by using Code or Name from the second entity.
I have in mind a couple of solutions, but they require some coding with xml saved query from Excel.
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Jul 21, 2014
I have a data table which has list of bills with date and outstanding total.
If the bills dates between 0 and 30 I like to insert the Outstanding total into Colum K ,
If the bills dates between 31 and 60 I like to insert the Outstanding total into Colum L ,
If the bills dates between 61 and 90 I like to insert the Outstanding total into Colum M and so on ..
I tried below formula but it is not working
CASE DATEDIFF(day, Ac_Billbook.BillDate, getdate()) Between 0 and 30 THEN Insert into (Ac_Billbook.OutstandingTotal) Value ('K')
CASE DATEDIFF(day, Ac_Billbook.BillDate, getdate()) Between 31 and 60 THEN Insert into (Ac_Billbook.OutstandingTotal) Value ('L')
CASE DATEDIFF(day, Ac_Billbook.BillDate, getdate()) Between 61 and 90 THEN Insert into (Ac_Billbook.OutstandingTotal) Value ('M')
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Nov 11, 2014
I have an excel file which has dynamic columns
i.e. Col1, Col2, Col3 this week. next week i will have a new Col4 in the sheet. This will keep on adding every week.
My problem is to Unpivot the data
Date 8/2/2013 8/9/2013 8/16/2013
Stock 1,561 1,661 1,761
i.e. the abobe table should become as
Date Stock
8/2/2013 1561
8/9/2013 1661
8/16/2013 1,761
How can I unpivot the dynamic columns given that the columns will keep on increasing every week.
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Nov 9, 2005
Hi to all of you,
I am new to SQL I have a problem that I can’t solve.
I have a column with Surname and name (SMITH, James) in one table with data I just need to separate in two columns in one Surname in the other one Name I know how to unite two columns using substrings but not to separate in two columns.
Help is highly appreciated
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Apr 17, 2015
How to separate a long string and put them into three columns.
For example string
Toronto|Ontario|Canada,Dallas|Texas|USA,New York|New York|USA,Windsor|Ontario|Canada
I have a table with 5 columns, 3 columns are City, State and Country.
I would like to separate them and put those into categories
Continent City State Country Added
Toronto Ontario Canada
Dallas Texas USA
New York New York USA
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Dec 31, 2007
This seems to happen when the report is not 8.5 x 11 portrait. Any other size or orientation will cause it to put the column on the last page.
Does anyone know why?
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Jun 5, 2014
I have a column containing values for different languages. I want to cut out the values per languate in a seperat column.
The syntax is a 2 letter country code followed by : the value is contained in double quotes. each languate is separated by a ; (except for the last one)
EX ur English, Dutch and Swedish:US:"Project/Prescription sale";NL:"Project/specificatie";SW:"Objektsförsäljning"
The result would Be
column header US
with value Project/Prescription sale
next column header NL
with value Project/specificatie etc.
Here are table examples:
IF OBJECT_ID('[#SALETYPE]','U') IS NOT NULL
DROP TABLE [#SALETYPE]
CREATE TABLE [#SALETYPE](
[SaleType_Id] [int] NOT NULL,
[name] [nvarchar](239) NOT NULL,
[Code] ....
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Jun 20, 2014
This is the logic I need to incorporate in to sql
if the getdate() < term start date then R
if the getdate() > term date date and getdate() < term end date then C
if the getdate() > term end date then H
I have come up with the following type of case statement that will allow me to determine the first two values (to a degree), however , I need to evaluate the end date as well.
Is there a way to look at multiple columns in a case statement?
CASE
WHEN DATEDIFF(DD,GETDATE(),TRM_BEGIN_DTE) >0 THEN 'R' else 'C' end
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Aug 31, 2013
SELECT DISTINCT CASE WHEN SM.SERVICE_TYPE_N = 1 THEN 'LABORATORY'
WHEN SM.SERVICE_TYPE_N = 2 THEN 'PODIATRY'
WHEN SM.SERVICE_TYPE_N = 3 THEN 'ADMINISTRATION'
WHEN SM.SERVICE_TYPE_N = 4 THEN 'DIET'
WHEN SM.SERVICE_TYPE_N = 5 THEN 'DENTAL'
[Code] ....
In the above query i need to calculate 100%,30% and percentage other than 100 and 30 and show them in separate columns how to do that?
1)ROUND(SUM(BM.CONCESSION_AMOUNT_M),2)AS [100_PERCENT]
WHERE BM.BILL_AMOUNT_M=BM.CONCESSION_AMOUNT_M
2)ROUND(SUM(BM.CONCESSION_AMOUNT_M),2)AS [30_PERCENT]
WHERE AND BM.CONCESSION_AMOUNT_M=BM.BILL_AMOUNT_M * 0.30
3) ROUND(SUM(BM.CONCESSION_AMOUNT_M),2)AS [OTHER_CONCESSION_PERCENT]
WHERE BM.CONCESSION_AMOUNT_M between BM.BILL_AMOUNT_M*0.001 and BM.BILL_AMOUNT_M*0.299
OR BM.CONCESSION_AMOUNT_M between BM.BILL_AMOUNT_M*0.301 and BM.BILL_AMOUNT_M*0.999
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Mar 23, 2006
I have the following 2 Sql queries. They both are rowcounts of the same column but based on different criteria. What I want to do is return the two results side by side in separate columns:
-- Subscriptions since Sept. 24th
SELECT count(*)
FROM SiteMemberTable103 s(nolock)
JOIN clientmembertable25 c(nolock) ON s.memberid = c.memberid
WHERE site_firstjoindate is not null
and c.clientunsubscribe = 0
and c.validemailaddr = 1
and s.unsubscribe = 0
-- Subscriptions in February
SELECT count(*)
FROM SiteMemberTable103 s(nolock)
JOIN clientmembertable25 c(nolock) ON s.memberid = c.memberid
WHERE site_firstjoindate BETWEEN '2006-02-01 00:00:00.000' AND '2006-03-01 00:00:00.000'
AND c.clientunsubscribe = 0
AND c.validemailaddr = 1
AND s.unsubscribe = 0
It seems like a UNION ALL should work but it just returns the results in one column. I tried changing the count by specifying a different column for each but that doesn't work either. I also tried writing it as one query and using alias to differentiate the two tables but that just gives me syntax errors. I suspect there is a more elegant way to do this but I'm at a loss. Any help would be greatly appreciated!
Caeanis
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Feb 26, 2007
How to export report to separate excel sheet? Does reporting service support it? Can I export report to separate sheet by parameter?
Thank you!
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Mar 26, 2012
I have 2 tables:
TransactionsImport (which is the destination table)
TransactionsImportDelta
I need to do the following:
Get the records with the latest date and time in the destination table TransactionsImport
Get the records with the latest date and time in the destination table TransactionsImportDelta table
Insert the records from the TransactionsImportDelta table into TransactionsImport that have a greater date & time than the current records in TransactionsImport table.
Problem is date & time are in separate columns:
Table structure:
Date Time ID
2011121305154107142201008300100
2011121305154122B1L13ZY0000A07YD
2011121304504735142201090002600
2011121304504737142201095008300
2011121304504737142201090002600
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Jul 14, 2015
SQL 2008R2
Request is to merge or join or case stmt or union or... from up to four unique columns all in separate tables to new combined table (matrix) of results from said.
What is example of best method to do this ?
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Aug 18, 2015
If you see below there are 2 customer names on 1 loan, most of them share the same lastname and address, I want to separate it with fields,LoanID, customer 1 Firstname, Customer 1 Lastname, Customer 2 FirstName, Customer 2 Lastname, Adddress,zip
Loan IDFirst NameLastnameAddressaddress 2CityStateZip
1236048Joey Yesen xxxx abc GROVE RDNULLCLEVELANDTX77327
1236048Dickey Yesen xxxx abc GROVE RDNULLCLEVELANDTX77327
1235983Randy Seany xxxx abc Haleyville StNULLAuroraCO80018
1235983Barry Seanyxxxx abc Haleyville StNULLAuroraCO80018
The query I am using
select
L.Loanid
,B.FirstMiddleName
,B.LastName
,MA.AddressLine1
,MA.AddressLine2
,MA.City
,MA.State
,MA.Zip
from Loan AS L
LEFT JOIN Status As S on S.LoanID = L.LoanID
LEFT JOIN Borrower B on B.LoanID = L.LoanID
LEFT JOIN MailingAddress MA on MA.LoanID = L.LoanID
where S.PrimStat = '1' and B.Deceased = '0'
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Sep 14, 2015
I have values in two columns separated by commas, like shown below:
I need the Output Like
How to do this in SQL server ?
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Jun 24, 2014
I have a master table containing details of over 800000 surveys made up of approximately 400 distinct document names and versions. Each document can have as few as 10 questions but as many as 150. Each question represents one row.
My challenge is to create a separate spreadsheet for each of the 400 distinct document names and versions containing all the rows and columns present in the master table. The largest number of rows would be around 150 and therefore each spreadsheet will not be very big.
e.g. in my sample data below, i will need to create individual Excel files named as follows . . .
"Document1Version1.xlsx" containing all the column names and 6 rows for the 6 questions relating to Document 1 version 1
"Document1Version2.xlsx" containing all the column names and 8 rows for the 8 questions relating to Document 1 version 2
"Document2Version1.xlsx" containing all the column names and 4 rows for the 4 questions relating to Document 2 version 1
I assume that one of the first things is to create a lookup of the distinct document names and versions assign some variables and then use this lookup to loop through and sequentially filter the master table data ready for creating the individual Excel files.
--CREATE TEMP TABLE FOR EXAMPLE
IF OBJECT_ID('tempdb..#excelTest') IS NOT NULL DROP TABLE #excelTest
CREATE TABLE #excelTest (
[rowID] [nvarchar](10) NULL,
[docName] [nvarchar](50) NULL,
[Code] .....
--Output
rowIDdocNamedocVersionquestionblankField
1document11q1NULL
2document11q2NULL
3document11q3NULL
4document11q4NULL
5document11q5NULL
6document11q6NULL
[Code] .....
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Jul 10, 2006
Hi There,
Can anybody suggest me what is the best way to take a column with comma separated stings and output them into multiple columns with strings?
for example if I have a column with "watertown, newton" as a string, I need to separate them to two columns with watertown and newton values?
Is Derived column transformation the best way to do it?
Thanks.
Sam.
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Aug 10, 2015
I want to insert attibute att1 in field F1 . Value for this attribute is content of another field in this table (F2).
My query :
update MyTable
set F1.modify
('insert attribute att1 {sql:column("F2")} into (/ROOT/Node1)[1]')
Where F1 Is not null
But I get this error :
XML well-formedness check: Duplicate attribute 'att1'. Rewrite your XQuery so it returns well-formed XML.
How do I check the douplicate attribute ?
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May 16, 2008
HI,
I had to change the key columns of a dimension attribute to fix an error. I did this in BIDS. The change was from a single key column to a composite key column. Now I am getting these error when I process the cube:
Measure group attribute key column x does not match source attribute ..
I looked at the cube XMLA definition under mesaure groups and it still shows a single key column with inherited binding. However, the BIDS does not give me an option correct this in any way. I have had to do this once before and the only option seems to be removing the dimension from the cube and add it back in. But that is very error prone since I lose any specific settings at the cube dimension level not to mention aggregations no longer include the dimension, etc.
Not seeing an alternative, I went through each measure group (I have 7) and changed the key columns manually in the XMLA and saved the cube. This worked, but I don't understand why BIDS automatically doesn't do it.
Is this a flaw in the BIDS or I should be missing something.
thanks
MJ
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Jul 30, 2014
We have a large Datawarehouse and the size is 50TB.. The tables are placed in filegroups based on the schema like fact, dimensions, raw data each sit on seperate filegroups. I am thinking will it make sense to seperate the large facts which are having billions of rows so that they reside on filegroups on their own..
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Aug 20, 2014
I am trying to tie together tables that show quantities of a product committed to an order and quantities on hand by a location.
My end result should look like the below example.
Item Location QtyOnHandByLocation SumQtyCommitTotal
Prod1 NJ 10 10
Prod1 NY 10 0
Prod1 FL 0 0
Prod1 PA 0 0
So I can see I have 10 items in NJ On Hand and Committed to an order. 10 available in NY but not on an order. Then the other two locations have no quantities.
Below is the CTE but it produces inaccurate results. I've tried running it several different ways by playing with the grouping but have no luck thus far.
--create the temp table
Create table #SalesLine
(
Novarchar (50) not null
, LocationCodevarchar (50) not null
, QtyCommitint not null
)
create table #ItemLedgerEntry
[code]....
I am close to the desired results but can't find a way.
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Mar 18, 2015
Has ever built a separate server just for SSIS and how did you do it?
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Nov 19, 2007
I am using a Excel Source to get the data from an excel file to sql server 2005 table. A couple columns are coming in a double precision float, but some values have characters in them, but those values are coming out as null, even though I changed the datatype from float to unicode string. Any inputs on resolving this will be much appreciated.
Thanks,
Manisha
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Jun 3, 2015
Ive read a few docs and i have some doubts about the implementation i ll make.
I will setup a FCI between ServerA and ServerB. So my databases will be running on server A or on ServerB. they will be replicated using AllwaysON to ServerC.
Because ill use a diferent vlan for AllwaysON replication iam having some doubts on how can i set the endpoints...
For example.
I ll have the following ips configured for AllwaysON replication on Server A, Server B and Server C 10.10.240.1/10.10.240.2/10.10.240.3
Database teste will be running on serverA. the endpoint configured will be 10.10.240.1 but when database fails over to Server B (using FCI) the ip configured there will be 10.10.240.2... so AO replication will stop working.
I tough on associating a virtual ip to the AllwaysON cluster resource but Microsoft doesn't recommend to alter AllwaysON cluster resource.
How can i implement this configuration?
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