I have imported a bunch of data using PowerQuery into a single table and am building dashboard reporting. I have been using Pivot Tables to build my reports, which has worked fine so far.
However, I've come to a point though where I want to simply show the count of multiple columns (calculated fields). So I have column A,B,C,D, and want to show the count each of each. But, I don't want them to be subsets (or children) of one another, and I don't want to build a bunch of Pivot Tables (file is already getting pretty big, and I want them row by row for easy viewing). Any suggestions?
Also, I am using the "Columns" field already to show the counts by certain weeks (week one, week two, etc.).
Thanks,
-A
Thanks for the follow-up. Within PowerPivot, I have four calculated fields/columns that are True/False for each column. I want to know how many times each of those columns were marked "True" (I can rename the "True" field to distinguish between which field it's referencing). But I don't want four pivot tables. Right now I can only think of making four pivot tables, filtering out the false for each one, then hiding the rows so the "True" values stack on top of one another. If I put all the four fields together in the same Pivot, the three below the first become subsets. I don't want subsets, just occurrence counts.
Does this help provide clarification?
If I understand you correctly, here's an example that shows what you're trying to achieve:
The table on the left has the TRUE/FALSE entries and the PivotTable on the right just shows the number of true items in each of those columns.
The format of the DAX measure to produce these count totals is:
[Count of A]=CALCULATE(COUNTROWS(PetFacts),PetFacts[A]=TRUE)
(Apologies to any parrot owners who may get upset that I have inadvertently re-classified their pets as cold-blooded!)
Related
I need to set some RLSs on some tables and columns, and for a specific Matrix I want to show all the all the other values, that are not shown to that specific user, summed up together as "Others". I give you an example.
I have a matrix which on the rows and columns has different product categories and the values are the impact in $ that each category has on the others (it is the sum of multiples rows under IMPACT column in the source table). Particularly, the rows are the impacted products while the columns the impacting ones.
The Matrix looks like this:
I want to create an additional label , OTHERS, which has to be displayed both as a column and row, which sums up all the values of the non-shown values. For instance, for the RED RLS categories I want to get a matrix like this:
FYI, I want to keep the totals of the rows and columns.
Does anybody have any ideas?
I tried to create some measures and calculated tables but I was not able to get the final view I want.
I have been provided with two tables 1. sales table and 2.Items and it's characters. (The second table has two or more lines for one item if it has more than one characters)
I am trying to get the sum of sales value for the items based on its characters.
I have created a unique characters table and a unique material tables to link to other tables
In power pivot I am able to get the sum of sales by the material in U_Material, but if I include the Characters from U_Item and characters, then I am getting all the characters in the table and the sum, but actually it has only one characters (other characters are repeated with same value). what can i do to solve this.
if I don't include the materials or put them in filter then I get the overall sales value in the output but not as per the category.
Please let me know what I am doing wrong.
The problem is in your model. Your Fact table "Sales" are filtered only by U_Item any of your other tables don't have an impact on it; You should change the model to star/snowflake. Put "Sales" in the center, rest of your tables (Dimension) connect by relationship one to many (many on Sales side);
Looking to use VBA to compare two tables, with three columns each against each other. Beginner here and very lost.
They may have a different amount of entries each, and there may be some in table A that aren't in table B, and vice versa
Some of the individual Columns may match but trying to work out how to make sure all three columns are compared as one against all three columns in the other table
For example
xyz123 55.50 12/07/21 if compared with XYZ123 54.55 12/07/21 will show up as not a match, because the middle column is a different number.
Have attached a picture below. For the most part, and unlike the photo, each table will be in a completely random order, and its unlikely that there will be the same entry in table 1, row 1, as table 2 row 1
Ideally, I'm trying to create two new table to the right of the original tables, the first one being the entries table 1 has, that table 2 does not have. The second one being the entries table 2 has, that table 1 does not have.
Have attached an example below of the end result I'm looking for out of this. The four rows on the left are entries that the first table has but the second table doesn't, and the rows to the right are all entries that the second table has, but the first table does not.
I've tried to search on this but haven't found something that matches what I've got, and I'm struggling to adapt someone else's code to my specific problem
Any help on this would be greatly appreciated
Maybe not a direct answer to your problem but is this data also in a database somewhere or are you familiar with Ms Access? As you could open the tables in Access, and it is pretty easy to do this kind of thing with data bases.
If not, then yes, it is do able with VBA. Numerous ways of doing it.
The simplest is to scroll through one table a line at a time and compare it with every row in the other table and match or not. This will work with small tables and be easy and quick but for large data tables it would be wasteful and may take a long time to complete.
I'm having trouble unmerging cells on the report.
3 Suppliers for the query
I have a SQL query that shows 3 instances of a supplier (left joined to contact) as shown below. However, when running the report for the query the 3 instance of the supplier is merged into one. This is not desirable in my case because when exporting the report to excel, I'd like to be able to sort columns based on other properties, however, this would not be possible due the the merging of the rows. How can I get results to show individually?
Cells are Merged on the report
Within the properties of each Row Group you can specify which columns to group on. You generally don't need a separate group for each field, but that's OK. In your last group, the one called "(Details)", if it is not grouped by anything, it will show one row per line of results from the query. So take a look at what it's grouped by. As long as the rows are in your dataset, the report will group or show them based on how you configure the grouping here. Grouping on nothing means it will show all rows.
Another tip is to align the end of your header textbox with the line of one of your columns. This will prevent it from creating an extra column in Excel for the "City" field.
Your report does not need all of those groupings - the SSRS grouping is not like SQL. You should only group when you want to aggregate data on that field. Normally you might have a company with its address in various fields in one group but you only need to group once on the Company Name or (preferably) ID - not on each field and not a separate group for each. You could then show details of various invoices in other columns that aren't grouped.
But since you want to display the company data on each row, you would not want ANY grouping on the company.
To fix your issues, remove all the groupings (but not the rows) and just leave the detail group (which doesn't have a Grouping).
You can check out MS Docs: Understanding Groups for a better explanation.
I have two tables with the same data but in different rows, I want to sort them in front of each other. each duplicate row in front of its duplicate.
attached photo
In a new worksheet, copy the code data from one table and append to that a copy of the code data from the other. Apply Remove Duplicates to that column and sort ascending.
Now use that sheet to look up (VLOOKUP Description, Uom and Unit Price from one of your tables into three separate columns (say 2,3,4) and lookup up same fields from the other of your tables into a further three columns (say 5,6,7).
Wrap both formulae in IFERROR(....,"") to reduce noise.
I take it any numbering will be applied independently in a new sheet (ie No. is not required to be copied to there).
Incidentally you have a lot of unconventional hyphens (eg L-80 is never normally written other than as L80), m for OCTG as a unit of measure leads to many problems and with competent staff a structured catalogue could be advisable for a high value of stock and long-term storage.