Query On Certin Column, Or Get The Value Of Certin Column
Dec 29, 2009i succed in query number of rows in excel file, but i can't make a query on certin column, or get the value of certin column, this is the code i have
View 2 Repliesi succed in query number of rows in excel file, but i can't make a query on certin column, or get the value of certin column, this is the code i have
View 2 RepliesIs it possbile with the randbetween function to only randomate a number when a certin object is pressed? As at the moment, every button i press or drop down data i select it will randomate a number, which i dont want to happen.
View 2 Replies View RelatedI have a database of customers in sheet1 and can search colA by using .find command and find part of text string entered in textbox1, results are filtered and shown in listbox1. my problem is the listbox is only showing 9 columns and i need 12.
i think this is because i am using the additem command.
can anyone suggest a way around this or alternative coding method??
Sub cmbFindAll_Click()
Dim strFind As String 'what to find
Dim rFilter As Range 'range to search
Set rFilter = Sheet1.Range("a2", Range("f65536").End(xlUp))
Set rng = Sheet1.Range("a2", Range("a65536").End(xlUp))
strFind = Me.TextBox1.Value
With Sheet1
If Not .AutoFilterMode Then .Range("A2").AutoFilter
rFilter.AutoFilter Field:=1, Criteria1:=strFind & "*"......................
How to define column in MS Query (ODBC)?
i have one column like Date of purchase. what i want is to define column based on date of purchase the results showing month of the date of purchase
1. When I query it grabs the column name and then the value I am looking for, how do I just grab the value?
2. How can I have the query return the results in the order that they are obtained? For example, lets say I query 3 data points. The first is 1, second is 2, and 3. But when they are put on the excel SS they are in the order 3, 2, 1.
3. In addition to the table I am grabbing below, I have a second table I want to query. The table name is two words, and last time I tried to query it, it did not work.
Sub proSQLQuery1()
Dim varConnection
Dim varSQL
For i = 0 To 1
varConnection = "ODBC; DSN=MS Access Database;DBQ=C:Documents and SettingskbreslinDesktopLydia.mdb; Driver={Driver do Microsoft Access (*.mdb)}"
varSQL = "SELECT VitalStats.birth_date FROM VitalStats WHERE VitalStats.Cases_ID='" & Cells(1 + i, 1).Value & "'"
With ActiveSheet.QueryTables.Add(varConnection, Worksheets("Temp Hold").Cells(2, 4))
.CommandText = varSQL
.Refresh BackgroundQuery:=False
End With
Next i
End Sub
I used the Get External Data function within Excel and the query returned the fields in alphabetical order. I went back into the query and rearranged the fields into a more logical order, but when refreshed the query continues to return the fields to Excel in the original alphabetical order.
Am I missing something, or do you only get one shot at the order of the fields being returned?
I have the below code that will do a data dump of an access table into excel based on an SQL query, is there a way to do a select statement that can match against the data in column C on the spreadsheet.
like:
"Select * From Bsmart where Serial_Number = ##[EXCEL COLUMN C1:Lastrow]##
Code:
Dim bkNew As Workbook
Dim cnt As ADODB.Connection
Dim rst As ADODB.Recordset
Dim stCon As String
Dim SQl1, SQL2, SQL3, SQL4, SQL5, varSQl As String
stCon = "Provider=Microsoft.Jet.OLEDB.4.0;" & _
[Code] .....
I have simplified this spreadsheet from the original to get to the core of what I want it to do. There are three tabs: 1) tab:"query fields" is an area that places data that is retrieved from the web, in this case it retrieves tables from yahoo finance given a ticker input. The ticker input cell is currently on the "score card" tab. 2) tab:"score card" in this tab you can input a ticker symbol in the indicated box and it will populate the "query fields" with corresponding data. This tab also extracts certain fields from the retrieved tables and performs a pass/fail test then produces a score %
This is great if I'm doing one symbol at a time, however I eventually would like to 'loop' this process such that a score field is populated for a list of tickers, hence tab 3) "list". Ideally I'd create a control button to initiate the web retrieval process and it would go down my list, retrieve the table data, perform the pass/fail tests, then populate the corresponding score % in the cell next to the ticker symbols. I know I can keep running separate web queries for specific symbols, but I guess my secondary goal is to have this be as dynamic as possible, since the ticker list will change and the list could be sizable at times.
CSH- web query.xlsx
I want whenever i select any dept in the B column say ID or Design... the value into the D column should change automatically...
say if i select in B5 as ID then D5 value should show me India
******** ******************** ************************************************************************>Microsoft Excel - resource_sheet_11_Dec_07_V2.xls___Running: 11.0 : OS = Windows XP (F)ile (E)dit (V)iew (I)nsert (O)ptions (T)ools (D)ata (W)indow (H)elp (A)boutA1=ABCDE1Project(Client - Name- Length)Dept.Resource 1-Oct2 3Template 4 5New Course Sample Template ID 6New Course Sample Template ID 7New Course Sample Template DesignDesign Pool 8New Course Sample Template BuildBuild Pool Project Schedule [HtmlMaker 2.42] To see the formula in the cells just click on the cells hyperlink or click the Name boxPLEASE DO NOT QUOTE THIS TABLE IMAGE ON SAME PAGE! OTHEWISE, ERROR OF JavaScript OCCUR.
In access you can create a crosstab query grouping by more than one field/column and totaling on more than 1 field/column
ie Goup by Acc No then Cost Centre
Sum on costs by date -up to 31
I am working on MS-Query in Excel.
Selecting few datetime columns by using ms query but it returns that columns data in wrong format.
And CONVERT function is also not working in ms-query.
Below is the MS-Query:
SELECT `Consolidated$`.Payroll_ID, `Consolidated$`.Full_Name, `Consolidated$`.`Current Designation`, `Consolidated$`.`Date of Joining`, `Consolidated$`.Department,
I am trying to make a macro that will query a column J4 for a date, if the date is found say "Wednesday, July 4, 2012" (J8) get the text from Column K8 "Independence Day" and insert the text in Cell (H1).
The Macro Prints sign in sheets with the date in H2, it only prints Monday through friday. Then skips the weekend and the next date will start the following Monday.
The Federal Holiday schedule is in column range J (Date) and K (Holiday)
This is where I am stuck ....
EmployeeTimeSheet_2012.xlsm
I have a table that lists the months of the year down from cell A2:A13, and days of the week along row from cell B1:H1. The data in between (cell B2:H13) is pulled through from elsewhere in the workbook and is in number format.
What I basically want to do is create another worksheet with the months of the years listed down column A, and in column B, for each month, I want the first day of the week where the value in the original table is more than zero, and in column C the second day of the week where the value is more than zero. I really hope that makes sense, was quite difficult to explain!
I have designed a spreadsheet and i want a seperate worksheet (sheet3 for arguments sake) to retrieve customer data from worksheet 2 - The data I required is the customer data currently contained on columns A - H and there are around 50 rows. (A2 - I51). I want the seperate sheet to identify entries that have today's date in column I and then list them in Worksheet 3.
Im having difficulties with the syntax for retrieving the data from a seperate worksheet. There may be several entries for the same date and I want to the seperate sheet to report all customer data in worksheet 3? Also, if the date falls on a weekend I would like to retrieve any data for the weekend on the Monday so all cases can be reviewed.
I have a excelsheet that looks like this:
Column A | Column B | Column C
Los Angeles | Fire Dept | 3
Los Angeles | Health Services | 12
New York | Fire Dept | 8
New York | Health Services | 22
New York | Internal Services | 100
New York | Public Works | 7
Chicago | Health Services | 15
Chicago | Public Works | 56
Chicago | Social Services | 4
And I am trying to make it look like this:
Fire Dept
Health Services
Internal Services
Public Works
Social Services
Los Angeles
3
12
New York
8
22
100
7
Chicago
15
56
4
I've been searching the forums for this problem but I can't seem to find any answers. Anyway, this is the problem. See screenshot.
I want to compare A1 for the values in column B, then return the corresponding cell (column C) in column D.
e.g. D1 = 2, D2 = 1, D3 = 4, D4 = 5 and D5 = 3.
I want to create a macro that checks whether a specified range of columns is hidden, and
a) hide them if they are not hidden, or
b) unhide them if they are hidden,
i.e. toggle the Hide state.
What method can I use to query the hidden state of a selected range of columns and return a boolean value?
What I'd like to do is; If column C contains data then insert a blank column and shift column C to the right.
View 4 Replies View RelatedFor column "B" count all the 1's if column header is equal to name in column A.
For Column "C" needs to be checked if a value was filled in column "I" if yes then check if in column "L" has a value, count all these values.
I want to compare two columns. I would like to see if the contents of column B appear anywhere in column A, for any amount of rows, and if it does, to place the match in col C.
So in the example below, red in B1 would be checked in A1 through A1000 or however long A is. When any row has red, place that match in that row for C.
This would be repeated until all rows in B are complete.
Example
Col A: red
Col B: red
Col C: red
Col A: red
Col B: blue
Col C: not found
I have set of data Pasted in 4th row, in the top row 44 columns values assigned i want move data from set of data to different column among these 44 columns
Like "Service Order ID" is 1 column in set of data ,it move to second column of top row
Some of column need to delete. (Service Order Type,Service Order Description,Created By,Status,Contact,Expected Delivery Date,
Creation Date,Priority,Net Value,Currency,External Reference,Reference Date)
I want Get output result in same sheet (Actual).
I have a spreadsheet with three columns (A,B,C). I want the third column C to be column A - B (A minus B) for each row, but only if there is a value in column B.
If there is no value in column B, then I want that row in Column C to just stay blank.
I need to combine rows that have the same value in column a and column b to the same row by offsetting column c to the next available column. For example, I would like the first 6 rows of the provided sample to appear like this.
0014B22<@44>Soil Properties and Qualities<@44>Soil Properties and Qualities<@44>Soil Properties and Qualities
0014B23<@28>Coursey<@28>Ogles<@28>Shelocta
Sometimes the values are the same in column c, sometimes they are different. I do not want to delete duplicate rows where they are the same. Sometimes there are 2 rows that have the same values in column a and column b, other times there may be 3 or even 4 rows with the same values in column a and column b. Regardless, I would like the values in column c combined on the same row in the next available column. It would be nice if the duplicate column a and column b rows (with a null column c cell) were then removed, but I could do that in the next step.
0014B22<@44>Soil Properties and Qualities
0014B22<@44>Soil Properties and Qualities
0014B22<@44>Soil Properties and Qualities
0014B23<@28>Coursey
0014B23<@28>Ogles
0014B23<@28>Shelocta
0014B24<@33><i>Available water capacity:<p> High (about 11.5 inches)
0014B24<@33><i>Available water capacity:<p> Very low (about 2.9 inches)
0014B24<@33><i>Available water capacity:<p> High (about 9.0 inches)
0014B25<@33><i>Slowest saturated hydraulic conductivity:<p> Moderately high (about 0.57 in/hr)
0014B25<@33><i>Slowest saturated hydraulic conductivity:<p> High (about 1.98 in/hr)
0014B25<@33><i>Slowest saturated hydraulic conductivity:<p> Moderately high (about 0.57 in/hr)
0014B26<@33><i>Depth class:<p> Very deep (more than 60 inches)
0014B26<@33><i>Depth class:<p> Very deep (more than 60 inches)
0014B26<@33><i>Depth class:<p> Very deep (more than 60 inches)
0014B27<@33><i>Depth to root-restrictive feature:<p> More than 60 inches
0014B27<@33><i>Depth to root-restrictive feature:<p> More than 60 inches..............
=COUNTIF(A19:A28,(AND(B19:B28="YES",C19:C28=5)))
What is wrong with my formula above? I am trying to count Colunm A if the value of Column B is "YES" and Column C is equal to "5".
I am tying to total all the sales for a given customer. This is what I have at present
Customer Sales
CustA 1000
CustB 500
CustA 1250
CustC 750
Elsewhere in the spreadsheet I have the following
Customer Total Sales
CustA
CustB
CustC
As you can probably see I need to get the sum of each customers sales and display this under Total Sales. I thought about using VBA but am not really sure where to start.
If anyone has any ideas how I could progress this I would be most grateful. I am using excel 2007
I'm trying to come up with a single formula to create a single column list from a table with blanks.
a
b
c
d
e
f
g
To
a
b
c
d
e
f
g
I know I've done this before but having trouble visualizing today.
I am trying to get excel to search a workbook/(or worksheet if easier) for a matching unique value and fill in its associated data. My first workbook has the SKU (A) filled in but not the UPC (B). My second workbook has both the SKU (A) and the matching UPC (C) filled in.
I need to take both workbooks/(worksheets), compare the SKUs, and if a matching SKU is found, extract the UPC from Workbook 2 and fill in the UPC field in Workbook 1, and if no UPC is present in Workbook 2, then it leaves the cell in Workbook 1 blank.
how to make a certain type of date automate. It's kind of hard to explain, but basically, I'd like to make it so that when I enter a date in one column, another column will automatically populate with the 1st of the next month. For example:
If I enter 4/26/2009 in the 1st column, column 2 will read: 5/1/2009
If I enter 1/19/2008 .................................................. 2/1/2008
Also, it's very important that if the FIRST date is already the first of the month, then the second column will read the same. For instance: If I enter 3/1/2009 in the first colum, the second column will ALSO read 3/1/2009.
Please see the attached sheet. I have columns B through a lot (B through O in my oversimplified example). In every 7th row in each of these columns there is either a 1 or a blank/zero. I need to multiply that 7th number by the Quantity in column A, to achieve a total (ie the sum of each result of 7th cell*quantity) for each column in the bottom row, labeled "Totals".
In the actual version of my sheet, there are far too many rows to select everything manually. I've been fiddling with combinations of COUNTIF/COUNTA and OFFSET, but I haven't come up with a way to check for the 1 in every 7th row, THEN multiply that 1 by the quantity in column A, THEN add up the results for each column. As you can see, there are 1's elsewhere in the columns that are irrelevant to this particular calculation, so something like LOOKUP would also have to look in every 7th cell and couldn't just look at the column as a whole.
If you can't provide an immediate solution, but can at least point me to a resource that would allow me to devise a way to isolate every 7th row (THAT part is the sticking point), I'll surely post the solution to my own thread with updated keywords if I need it.
I have a 2 groups of column headings with a different month and year in each heading so
1st Group of columns range
Columns AJ through AX
Column Heading example "Expense Ratio February 2013......next Column over is "Expense Ratio March 2013"
2nd Group of columns range AY though CE
Column Heading example "Capital Balance February 2013......next Column over is "Capital Balance March 2013"
Each new month I need to add a new Expense Ratio column after the most recent expense ratio Column. (i.e. Find "Expense Ratio March 2013" and I need to add a column after that with heading "Expense Ratio April 2013"
Same thing for Capital Balance - add a new Capital Balance column after the most recent Capital Balance Column. (i.e. Find "Capital Balance March 2013" and I need to add a column after that for "Expense Ratio April 2013"
Because the ranges keep changing month over month, how do i do this.