Formula Automatically Calculated Based On The Numbers I Choose
Oct 17, 2008
Basically...here's what I'm trying to do...
I have 7 numbers. The numbers are going to be grouped in threes.
(Ex. 123,124,125,126,127,134,....)
I want to assign column/range for each number...
1=A2:A100, 2=B2:B100, 3=C2:C100...
So for 123 the formula would be...
sumproduct(--(A2:A100>criteria),--(B2:B100>criteria),--(C2:C100>criteria))
It would be awesome to have the formula automatically calculated based on the numbers I choose.
When you have a formula that contains calculations using other cells, the formula will recalculate every time that referenced cell is changed.
In my attached spreadsheet in the June 2007 Worksheet, in Column C10+ I am calculating realtime pip values given a stream of data from a DDE server. The DDE server values are in the Data tab. For ease of use I have also added a manual setting as I am sure no one here has the DDE server in question.
My problem is everytime the DDE server (Or manually as it may be) changes the data field, the values in Column C and F on the July 2007 WorkSheet get changed.
I would like Column F to only calculate one time (At the time of entering the trade).
And I would like Column C to Stop updating and use the last updated value once the corosponding cell in Column G has a field data "Closed".
This is very important to me as if it keeps updating over time, then a couple weeks into trading, the pip values may have adjusted substancially giving incorrect $ values in other cells.
When a date is entered e.g 1/27/2007 The bill payment dates should all be automatically calculated under the “Date” column. Rules for the date
Rule1. e.g. 1 Month—the date should be 1 month after the date entered (as shown by the simple example 1/27/2007 one month is 2/27/2007 in the sheet)
Rule2 if the date entered is the last day of the month, the calculated date should also be the last day of the month provided it is a working day. E.g 1/31/2007 one month is 2/28/2007. (provided 2/28 is working day) 2/28/2007 one month is 4/30/2007 (provided 4/30 is working day)
Rule3 If the calculated date based on rule1 and rule2 is a non-working day, the date is pushed back by 1 till it becomes a working day. e.g 1/27/2007 two month is 3/27/2007 if 3/27/2007 is Saturday it becomes 3/28/2007 which is a Sunday, another non-working day. So the output should be 3/29/2007
Rule4, under rule3, the date cannot be pushed to the next month. Instead, we push the date forward. In the previous example assume 3/29, 3/30 and 3/31 are all public holidays, by rule3, it will be finally pushed to 4/1. But this becomes another month. So we push forward instead to 3/26 which is Friday. The output is 3/26/2007
Definition of working dates (Monday to Friday excluding the holidays listed in the sheet).........
If you look at "B9" I have created a list of names and when I choose a name their ot hours appear in "K9". Now when I try to do the same in "H9" to bring back there qualification it gives me an error. I also tried to do the same in "M9" for the phone numbers and it didn't work.
My very large document uses the CHOOSE function in many places to paste content based on the value of a COMBOBOX at the beginning of the document.
My problem is that I now need to paste an entire table for a certain CHOOSE function value. Documentation for the CHOOSE function allows reference to a range of cells such as A1:B12, however, I cannot get it to paste the table in the document.
I run an action log based on one worksheet per project and a front summary sheet. It has 6 columns of which the final is complete Yes / Blank. Currently the summary sheet is hard coded to provide the countblank result in an outstanding column against each project.
My problem is that everytime I add a new action I have to change the hard coded range on the summary sheet.
I know I should be able automate this using VBA and .End xlup so that it always knows howmany rows have been used and can therefore calculate the countblank correctly.
hence if any of the rating falls in a cell need a formula to corresponds that (lets say in cell "A1" if the rating is 85% then result should be "Very Good")
I am putting together a formula that will be able to choose the calculation. There is a couple of choices with the spreadsheet registry, non registry, and interfile. They have different standards per hour 56, 40 and so on. What I have so far is not working. It is =volume/(time*standard),Volume/(time*standard) with each standard being different to bring the correct percentage. How can I put the two to three formulas in one cell
conditional Macro or filter? Easy to record a Macro which filters, but choosing what (column) to filter based on values of a cell I'm not sure how to go about that. It means implementing IFs into a Macro, or..?
Data on "Staff List" sheet I have a list with all staff details including availability. I need to filter their availabiltiy and copy values over to another sheet. The availabiltiy shows Monday to Sunday and states for which of our offices they are are available. Here the columns BS to BY
Available Location Monday Available Location Tuesday Available Location Wednesday
[Code]....
Now I need the Macro to choose which column to filter based on the office set in cell C3 on the "Availability" sheet. And then filter that column for YES.
Can I create a calculated field based upon the count of data items in fields as opposed to sums. My data is confidential so here is a dummy example:
Can I take the count of Cars per individual salesmen and divide by the total count of vehicles? Ultimately, I will need to code this into VBA once I know if it can be done.
Vehicles l salesman car1 Bob car2 Kelly car3 Bob car4 Bob car5 Tim car6 Tim car7 John
With this result:
Salseman l Percentage of Vehicles Bob 43% John 14% Kelly 14% Tim 29%
The following code works perfect but the "change" event is only triggered when working directly on intersect range. Tried using the "calculation" event but could not figure it out. This is what I want:
1) To replace the code provided below using the calculation event 2) To only trigger the event for the row(s) where the new value was generated, not for the whole "For Each" statement 3) To use one single code for all worksheets, instead of copying the code in every working worksheet on the workbook, if feasible 4) And I would like a "second alternative", where the user of the workbook can click on a button and trigger the event on every row on the workbook that has a non empty cell within the intersect range, assuming that the intersect range column is the same for all worksheets
Private Sub Worksheet_Change(ByVal Target As Range) Dim c As Range, d As Range, fc As Long, bc As Long, bf As Boolean Set d = Intersect(Range("I:I"), Target) If d Is Nothing Then Exit Sub For Each c In d Select Case UCase(c) Case "C" fc = 1: fb = True: bc = 4 Case "O" fc = 2: fb = True: bc = 3 Case "D" fc = 2: fb = True: bc = 46 Case "G" fc = 2: fb = True: bc = 5..................
How do I enter a formula to find a dollar amount for a different range dollars? For example, if $0 - $1000 = $50 and $1001 -$2000 = $100. In reality, I would like to enter a specific dollar amount within one of the levels (column 1) and the sum (column 2) would auto fill.
I've got a sample spreadsheet that I'm trying to get the MAX from a Range of cells that only begin with "TMP". Problem is, if I use MAX or SUM to try to calculate the largest number (or a sum, just to test), it returns "0" for the caluculated range. If I Copy and Paste Values, the MAX or SUM formulas still don't work.
Only if I edit the cell and hit the ENTER key will the Formula(s) work, for each cell in the range that I edit/ENTER. All cells are formatted the same (GENERAL), and I'm not working it into a VBA Macro (just yet).
I have a Table with 2 columns "Due Date" and "Completed Date". The pivot table from the table gives the count of each column. I want to have a calculated column giving the % complete, ie. "Count of Completed"/"Completed Date"*100. When I attempt to create this formula (using Pivot Table Options > Fields Items and Sets > Calculated field), I get a DivZero error, even though both columns are not zero. How do I create such a calculated column?
I have a PivotTable which shows the number of packs produced in a month. I created a calculated field which shows the number of vehicles needed to move these packs. The number of packs per vehicle is dependent on two criteria, the Pack Description and the Store. My calculated field, Shunts, is described as:
Middlewich & Tall = Packs / 30 Middlewich & other = Packs / 60 Other & tall = Packs / 26 Other & other = Packs / 52
However, it doesn't work!
I know Calculated Fields can be difficult to work with, but this is crazy and I think I'm missing something obvious as I'm sure I've had IFs work like this before! I've attached my example, also showing the values I'd expect to see.
I have a database with a list of transactions with multiple fields, including:
Customer ID Store ID Item ID Date Price
I am wanting to add a calculated field that displays the first (or MIN) Date from the date column, looking at all of the orders where the customer ID, store ID, item ID and price are the same.
In the attached file I have shown what I currently have, as well as a solution using a helper column, and formulas I would use if I wasn't using powerpivot.
I have a Pivot table that pulls the Avg of two fields for two months, see example below.
Avg Gross $ Avg Net $ Jan 2014 20 10 Feb 2014 30 20
sample 1.png See sample attached.
The Avg Gross and Net is shown by going into the values and selecting "Summarized value by -> Average".
On the right side of this Pivot, what I wanted to do is to show a Avg Gross to Net $ in this pivot. So the formula should take "Avg Gross $" - "Avg Net $" = Avg Gross to Net $.
I am having trouble calculting this new field in the pivot table using a calculated field because the Calculated field pulls the variables from the existing field list and there isn't a field called "Avg Gross/Net"....I need to find a way to calculate the Avg Gross to Net into the Pivot table so I can pull a pivot graph out of it.
I'm having a real problem with the Vlookup formula in that I have used it in a spreadsheet to search, using approximate, rather than exact values, several tables where I have inserted raw data with no calculations and it works fine. But with one crucial series of cells where I am trying to return results from columns of fields that are the results of calculations, it sometimes returns the correct result and other times returns an empty field with seemingly no consistency at all.
I've been careful to make sure the data in the cells in the lookup column are in ascending order, as required. I've checked the formatting (all the lookup cells are numbers, no zeros with the thousands commas inserted, and all the return cells are currency with two zeros and the $sign) and the formatting is consistent.
Does anyone have a clue whether the calculations in the cells might be the problem or if it might be something else and, whatever the case, how I can workaround the problem?
I'm a relative novice with Excel. I'm using Version 2007 but I'm saving the file as an .xls.
Worksheet A contains two columns, that maps individual operations to their unitary cost: COLUMN 1 = a list of operations COLUMN 2 = the cost associated with each operation.
I can do a vlookup on this worksheet to retrieve the cost of each individual operation.
On another worksheet, I have a pivot table with a field that produces the sum of operations performed by type of operation, eg.
operation 1 was performed 5 times operation 2 was performed 7 times operation 3 was performed 4 times
I want to add a calculated field in the pivottable, that would output the total cost per operation. The formula for the calculated field in thepivot table would be = operation * vlookup("name of operation","range for lookup table",2,0)
... unfortunately, "references, names and arrays are not supported in pivottable formulas".
I am trying to save some time converting a cut up inventory catalog number. Specifically focusing on the color code. I have the list of colors associated with their specific part number. The order cannot change or my sheet will mismatch.
What I want to do is convert the # in column A to the color code text in column b so that it matches the translated code in column C? For example
1 I want to tell 1 to = Polished Chrome anytime #1 appears in my column.
What formula should I choose to achieve that goal. As well, how do I know what data to imput into the formula wizard?
Sheet is attached.
I have Cut a few thousand items off the bottom of the sheet. I can apply to additional data left off.
Would anyone have a script for something like this?
I'm looking at range c5:c1200
Starting at C5
If the first 2 digits in that number start with 01 then I want the formula to be in G5 = F5*12
if the first 2 digits are 03 then I want G5 = F5*24
I have several of these if statement to put in However I need it to check the entire range as well because the formula may be different in each cell (G)?
I would like a formula to add up values in Col E based on a range of account numbers in Col C
For eg adding up Sales values in Col E based on Account number being series 3000-3015 in Col C (this particular series must exclude numbers ending in an alpha). I also have account numbers ending in an Alpha where I need to add up the values pertaining to these for eg 3000D-3015D, 3000K-3015K etc.
Any way to create a calculated field in an Excel 2010 pivot table that will find all the Transaction Types (Report Filter) with "transportation" in them and make the field Quantity 0 and leave all other quantities the same? I do not want the quantity of transportation added in twice and may not have the flexibility of adding a column to the raw data.
I used the formula below in a calculated field and it does not match the values using the added column to the data file.
I'm attempting to create a formula that will find the name associated with a value, and return that name on the same column as that value in a later equation.
OK OK to illustrate it a little better:
There are three people: Bill, Ted, and Andy. Each one is ranked in Points, so my table looks like this:
A B
1 Bill 10 2 Ted 20 3 Andy 30
Later on, I want to rank the individuals based on their score, using a formula. Right now, I can rank the scores based using LARGE(B1:B3,1), then LARGE(B1:B3,2), and lastly LARGE(B1:B3,3). That ranks the numbers in descending columns. However, I want the information to automatically populate the name associated with that particular point total. So, I want the system to know that B1 is Bill's score, and rank it, in descending order, later on in the spreadsheet, with Bill's name.