RTF model: are with nested groups

Hi all

I have a certain pickle of a problem that apparently...

my data structure looks like this:

<>COMPANY
-< STORE >
-Department < AND >
-< ITEM > < / ITEM >
-< / DEPARTMENT >
-< / STORE >
< / COMPANY >

several companies may have several banks, which in turn have several departments, which, in turn, may also have several elements.

my select statement looks like this:

Select company_id,
store,
Department,
agenda,
Sum (Qty) as my_sum
Of
table_1, table_2, table_n
where the...
Group of...
company_id order;

my xml data model gathering looks something like this:

< name of the group = "G_company"...
-< element name = "E_company"...
-name of the group = "G_store"...
-< element name = "E_store"...
-name of the group = "G_department"...
-< element name = "E_department"...
-name of the group = "G_item"...
-< element name = "E_item"...
-< element name = "E_item_total" value = "my_sum"...
-< / Group >
-< element name = "E_department_total" value = "G_item. E_item_total"function =" SUM () "/ >"
-< / Group >
-< element name = "E_store_total" value = "G_department. E_department_total"function =" SUM () "/ >"
-< / Group >
< / Group >

my report currently looks like this:

-< /B > < b > store-Dept of < b > < /b > - Dept of < b > < /b > - < b > point < /b > - < b > < /b > - point store < b > < /b > - Dept of < b > < /b > - < b > < /b > - < b > < /b >
---Townsville---TDept_1---TDept_2---TDItm1---TDItm2---Newcastle---NDept1---NDItm1---NDItm2 company < /b > < b >
---CompanyA------2----------------4------------3---------------2---------------1------------------1-------------------3----------------2-------------------4
---CompanyB------1----------------2------------4---------------5---------------2------------------1-------------------6----------------3-------------------1


If I focus just on the Store-> Department-> order of the day, I realized that in my RTF using the template as follows:

< table >
-< tr >
-< td > <? for-each-group@column:G_store; E_store? > shop < table > < td > <? for-each-group@column:G_department; E_department? > Department < table > < td > <? for-each-group@column:G_item; E_item? > element <? end for each group -? > <? end for each group -? > <? end for each group -? > < table >
-< /tr >
-< tr >
-< td > <? for-each-group@column:G_store; E_store? > <? E_store_total? > < table > < td > <? for-each-group@column:G_department; E_department? > <? E_department_total? > < table > < td > <? for-each-group@column:G_item; E_item? > <? E_item_total? > <? end for each group -? > <? end for each group -? > <? end for each group -? > < table >
-< /tr >
< /table >


as you can see, the store-> Department-> point go through the report horizontally.
My problem is I want to have the totals for each column, such as:

-< /B > < b > store-Dept of < b > < /b > - Dept of < b > < /b > - < b > point < /b > - < b > < /b > - point store < b > < /b > - Dept of < b > < /b > - < b > < /b > - < b > < /b >
---Townsville---TDept_1---TDept_2---TDItm1---TDItm2---Newcastle---NDept1---NDItm1---NDItm2 company < /b > < b >
---CompanyA------2----------------4------------3---------------2---------------1------------------1-------------------3----------------2-------------------4
---CompanyB------1----------------2------------4---------------5---------------2------------------1-------------------6----------------3-------------------1
---<b>Total</b>------------3----------------6------------6---------------7---------------3------------------2-------------------9----------------5-------------------5

so I did a SUM on each of the Department/E_store/item_totals as:

<? sum (current - group () / E_store_total)? >

who now works for E_store_total... but not for E_department_total and E_item_total!
It seems that BI Publisher does not like used money with inner loops.
because if I extract only the column for E_department, the total value down is correct!
but once I put the outside loop store, it breaks.

what I get now with is:

-< /B > < b > store-Dept of < b > < /b > - Dept of < b > < /b > - < b > point < /b > - < b > < /b > - point store < b > < /b > - Dept of < b > < /b > - < b > < /b > - < b > < /b >
---Townsville---TDept_1---TDept_2---TDItm1---TDItm2---Newcastle---NDept1---NDItm1---NDItm2 company < /b > < b >
---CompanyA------2----------------4------------3---------------2---------------1------------------1-------------------3----------------2-------------------4
---CompanyB------1----------------2------------4---------------5---------------2------------------1-------------------6----------------3-------------------1
---<b>Total</b>------------3----------------4------------3---------------2---------------1------------------1-------------------3----------------2-------------------4

It makes the total general store correctly, but it gives me just the first line for the other totals.

I tried:

1 using the CUBE function in my SQL query, which gives me the results I want with all the totals I want, but I can't translate it into XML.
2. try to use the pivot table option, but I can't always make it work as I want.
3. using a separate sql query to retrieve the grandtotals but cela does not either because the required multiple looping.

I am at a complete impasse, any help would be really appreciated!
PS. I'm a very cool beginner

Sent the hotfix.

You must use the current group.

Tags: Business Intelligence

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    Normal salary < REPORTING_NAME > < / REPORTING_NAME >
    < CURRENT_HOURS > 80 < / CURRENT_HOURS >
    < YTD_HOURS > 1312 < / YTD_HOURS >
    < RATE / >
    < CURRENT_DAYS / >
    < YTD_DAYS / >
    < ATTRIBUTE_NAME / >
    < ORIGINAL_DATE_EARNED / >
    < EFFECTIVE_START_DATE / >
    < EFFECTIVE_END_DATE / >
    < ELEMENT_CATEGORY / >
    < JURISDICTION_CODE / >
    < RATE_MUL > 19.81 < / RATE_MUL >
    < RATE_RET / >
    < / AC_EARNINGS >
    -< AC_EARNINGS >
    < DATE_DISP_FLG > N < / DATE_DISP_FLG >
    < ELEMENT_CLASSIFICATION > attributed gains < / ELEMENT_CLASSIFICATION >
    < ELEMENT_TYPE_ID > 58444 < / ELEMENT_TYPE_ID >
    < PRIMARY_BALANCE > 10511222 < / PRIMARY_BALANCE >
    < PROCESSING_PRIORITY > 3250 < / PROCESSING_PRIORITY >
    < CURRENT_AMOUNT > 1.46 < / CURRENT_AMOUNT >
    < YTD_AMOUNT > 25,51 < / YTD_AMOUNT >
    Life term for the Group < REPORTING_NAME > < / REPORTING_NAME >
    < CURRENT_HOURS / >
    < YTD_HOURS / >
    < RATE / >
    < CURRENT_DAYS / >
    < YTD_DAYS / >
    < ATTRIBUTE_NAME / >
    < ORIGINAL_DATE_EARNED / >
    < EFFECTIVE_START_DATE / >
    < EFFECTIVE_END_DATE / >
    < ELEMENT_CATEGORY / >
    < JURISDICTION_CODE / >
    < RATE_MUL / >
    < RATE_RET / >
    < / AC_EARNINGS >
    -< AC_EARNINGS >
    < DATE_DISP_FLG > N < / DATE_DISP_FLG >
    Additional gains < ELEMENT_CLASSIFICATION > < / ELEMENT_CLASSIFICATION >
    < ELEMENT_TYPE_ID > 58431 < / ELEMENT_TYPE_ID >
    < PRIMARY_BALANCE > 10511205 < / PRIMARY_BALANCE >
    < PROCESSING_PRIORITY > 2500 < / PROCESSING_PRIORITY >
    < CURRENT_AMOUNT > 9.6 < / CURRENT_AMOUNT >
    < YTD_AMOUNT > 163,2 < / YTD_AMOUNT >
    < REPORTING_NAME > dental CB < / REPORTING_NAME >
    < CURRENT_HOURS > 0 < / CURRENT_HOURS >
    < YTD_HOURS > 0 < / YTD_HOURS >
    < RATE / >
    < CURRENT_DAYS / >
    < YTD_DAYS / >
    < ATTRIBUTE_NAME / >
    < ORIGINAL_DATE_EARNED / >
    < EFFECTIVE_START_DATE / >
    < EFFECTIVE_END_DATE / >
    < ELEMENT_CATEGORY / >
    < JURISDICTION_CODE / >
    < RATE_MUL / >
    < RATE_RET / >
    < / AC_EARNINGS >
    -< AC_EARNINGS >
    < DATE_DISP_FLG > N < / DATE_DISP_FLG >
    revenues of < ELEMENT_CLASSIFICATION > < / ELEMENT_CLASSIFICATION >
    < ELEMENT_TYPE_ID > 64614 < / ELEMENT_TYPE_ID >
    < PRIMARY_BALANCE > 10518109 < / PRIMARY_BALANCE >
    < PROCESSING_PRIORITY > 1526 < / PROCESSING_PRIORITY >
    < CURRENT_AMOUNT > 0 < / CURRENT_AMOUNT >
    < YTD_AMOUNT > 1571.12 < / YTD_AMOUNT >
    < REPORTING_NAME > TOWP < / REPORTING_NAME >
    < CURRENT_HOURS / >
    < YTD_HOURS > 80 < / YTD_HOURS >
    < RATE / >
    < CURRENT_DAYS / >
    < YTD_DAYS / >
    < ATTRIBUTE_NAME / >
    < ORIGINAL_DATE_EARNED / >
    < EFFECTIVE_START_DATE / >
    < EFFECTIVE_END_DATE / >
    < ELEMENT_CATEGORY / >
    < JURISDICTION_CODE / >
    < RATE_MUL / >
    < RATE_RET / >
    < / AC_EARNINGS >
    -< AC_EARNINGS >
    < DATE_DISP_FLG > N < / DATE_DISP_FLG >
    revenues of < ELEMENT_CLASSIFICATION > < / ELEMENT_CLASSIFICATION >
    < ELEMENT_TYPE_ID > 57863 < / ELEMENT_TYPE_ID >
    < PRIMARY_BALANCE > 10510820 < / PRIMARY_BALANCE >
    < PROCESSING_PRIORITY > 1200 < / PROCESSING_PRIORITY >
    < CURRENT_AMOUNT > 0 < / CURRENT_AMOUNT >
    < YTD_AMOUNT > 937,2 < / YTD_AMOUNT >
    Holiday < REPORTING_NAME > < / REPORTING_NAME >
    < CURRENT_HOURS / >
    < YTD_HOURS > 48 < / YTD_HOURS >
    < RATE / >
    < CURRENT_DAYS / >
    < YTD_DAYS / >
    < ATTRIBUTE_NAME / >
    < ORIGINAL_DATE_EARNED / >
    < EFFECTIVE_START_DATE / >
    < EFFECTIVE_END_DATE / >
    < ELEMENT_CATEGORY / >
    < JURISDICTION_CODE / >
    < RATE_MUL / >
    < RATE_RET / >
    < / AC_EARNINGS >
    -< AC_EARNINGS >
    < DATE_DISP_FLG > N < / DATE_DISP_FLG >
    < ELEMENT_CLASSIFICATION > attributed gains < / ELEMENT_CLASSIFICATION >
    < ELEMENT_TYPE_ID > 63592 < / ELEMENT_TYPE_ID >
    < PRIMARY_BALANCE > 10517244 < / PRIMARY_BALANCE >
    < PROCESSING_PRIORITY > 3250 < / PROCESSING_PRIORITY >
    < CURRENT_AMOUNT > 0 < / CURRENT_AMOUNT >
    < YTD_AMOUNT > 285.07 < / YTD_AMOUNT >
    < REPORTING_NAME > F90 SVEU DIST < / REPORTING_NAME >
    < CURRENT_HOURS / >
    < YTD_HOURS / >
    < RATE / >
    < CURRENT_DAYS / >
    < YTD_DAYS / >
    < ATTRIBUTE_NAME / >
    < ORIGINAL_DATE_EARNED / >
    < EFFECTIVE_START_DATE / >
    < EFFECTIVE_END_DATE / >
    < ELEMENT_CATEGORY / >
    < JURISDICTION_CODE / >
    < RATE_MUL / >
    < RATE_RET / >
    < / AC_EARNINGS >
    -< AC_EARNINGS >
    < DATE_DISP_FLG > N < / DATE_DISP_FLG >
    Additional gains < ELEMENT_CLASSIFICATION > < / ELEMENT_CLASSIFICATION >
    < ELEMENT_TYPE_ID > 67074 < / ELEMENT_TYPE_ID >
    < PRIMARY_BALANCE > 10520289 < / PRIMARY_BALANCE >
    < PROCESSING_PRIORITY > 2500 < / PROCESSING_PRIORITY >
    < CURRENT_AMOUNT > 0 < / CURRENT_AMOUNT >
    < YTD_AMOUNT > 85.24 < / YTD_AMOUNT >
    < REPORTING_NAME > other Tx RRs < / REPORTING_NAME >
    < CURRENT_HOURS / >
    < YTD_HOURS / >
    < RATE / >
    < CURRENT_DAYS / >
    < YTD_DAYS / >
    < ATTRIBUTE_NAME / >
    < ORIGINAL_DATE_EARNED / >
    < EFFECTIVE_START_DATE / >
    < EFFECTIVE_END_DATE / >
    < ELEMENT_CATEGORY / >
    < JURISDICTION_CODE / >
    < RATE_MUL / >
    < RATE_RET / >
    < / AC_EARNINGS >


    If anyone has any ideas as to what is necessary to resolve the issue we have in our company can you please let me know? I appreciate your time. If you need more information please let me know and I'll post it.

    Thank you

    Greg

    Published by: gtruta on November 20, 2012 16:20

    Published by: gtruta on November 20, 2012 16:21

    xdoxslt sum allows us to avoid the issue while fields sum with the value null. as you already now the condition with the field u do not need xdoxslt

    is - enough try this

    you are able to get a preview of the template with the code of the sum.

    Send me your model and xml. I can try at my side
    E-mail: [email protected]

  • Page number of reset in Word RTF model for the generation of PDF Editor BI

    Hello!
    Apex Oracle 10.2.0.4, BEEP 10.1.X 4.0.2

    I was told to transfer this forum topic.

    Bills are created based on the Word RTF with BI Publisher files. Resulting file is a large PDF file, that has a lot of pages.
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    Hello

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  • RTF model and parameters

    Hello

    I am a new user of ad BI and I had a few problems.
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    I made my request SQL two lists of values, one for the project and another for the Department.
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    SELECT distinct VTMM_PERSON. LASTNAME,
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    Kind regards

    Published by: user11869055 on 7 September. 2009 13:27

    Published by: user11869055 on Sept. 8. 2009 08:26

    Hello

    If you try to get the user to pass a parameter which will then limit the resutls in the output, you can use a parameter in the SQL for example (assuming that relparent and asgnrole are the columns, you should limit by):

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    TO THINK. VTMM_STAFF, THINK. VTMM_PERSON
    WHERE (VTMM_PERSON. REVNAME = VTMM_STAFF. RELCHILD)
    and VTMM_STAFF. RELPARENT =: RELPARENT
    and VTMM_STAFF. ASGNROLE =: ASGNROLE

    You can then create two parameters in the definition of BI Publisher report called RELPARENT and ASGNROLE, create LOVs for them (sounds like you already have) and there you go. When the user selects the parameters, they are replaced in the SQL and you get limited results.

    You can also add a specific logic of db around settings to handle NULL values so that you get all values when a setting is selected.

    Kind regards

    Matt

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