Sum of Named Ranges to Array in Excel - vba

I have values 1,2,3 and 2,3,4 in columes A and B respectively. I want column C to be 1+2, 2+3, 3+4. I have named the first 3 cells of column A as RANGE_A and the first 3 cells of column B as RANGE_B
I have tried sum(RANGE_A, RANGE_B), but that gives me the actual total of 15 in every cell of the output range.
I don't want to do this in VBA, and it would be cleaner if I can use the ranges like I have tried, but if all else fails i'll be just using A1+B1,A2+B2 etc..
***** EDIT ********************************
Where you want to sum two named ranges ={sum(RANGE_A, RANGE_B)} produces a scalar value, reflected in every cell of the output array, equal to the sum of both columns.
My solution is in fact, incredibly simple (thanks to QHarr, who got this right even when my original question was wrongly written!)
={RANGE_A + RANGE_B} produces an output array where each value is the sum of each pair of cells in each range. That's all i was looking for!
Cheers
J

You want to select C1:C3 and enter the following in the formula bar:
=RANGE_A*RANGE_B
then press Ctrl + Shift + Enter to enter as an array formula.
For addition you can use:
=RANGE_A+RANGE_B

Related

Extracting "hidden" data from expanding/collapsing pivot table - Excel

I'm not sure if this is possible but as you can see I have a pivot table with multiple dependent and expandable fields. I am trying to concatenate the data from columns A:D into one cell which works fine in row 2 but doesn't work with blank parent cells, as you can see in column F.
Any ideas for how to achieve this?
Pivot table
This answer assumes that you don't want to just Repeat All Item Labels in the PivotTable from the "Report Layout" drop-down on the Pivt Table Tools "Design" tab.
A formula to get the first non-blank value on or above the same row as the current cell from Column B can be constructed with a combination of AGGREGATE, SUMPRODUCT and OFFSET, like so:
=OFFSET($B2,SUMPRODUCT(AGGREGATE(14,6,ROW($B$1:$B$100)*--(ROW($B$1:$B$100)<=ROW())*--(LEN($B$1:$B$100)>0),1))-ROW(),0)
How does it work?
Starting with the outermost part, OFFSET($B2, VALUE, 0) - this will start in cell B2, then look up or down by VALUE rows to get the value.
Next we need to know how many rows we will need to look up-or-down. Now, if we can work out the bottom-most row with data, we can subtract the current ROW() from that, giving us OFFSET($B2, NON_BLANK-ROW(),0)
So, to finish up we need to work out which rows are not blank, AND which rows are on-or-above our current row, then take the largest of those. This is going to take an ArrayFormula, but we can use SUMPRODUCT to make that calculate properly. To find the largest number we could use MAX or LARGE - but we get less errors if we pick AGGREGATE(14,6,..,1). (The 14 means "we want the kth largest number", the 6 means "ignore error values", and the 1 is k - so "we want the largest number, ignoring errors")
But, what list of numbers are we going to look at, I don't hear you ask. Well, we want the ROW for output from our range (I'm using $B$1:$B$100, because using the whole column B would take far to long to calculate repeatedly), a comparison against the current ROW(), and check that the LENgth is > 0. Those last two are comparisons, so let's write them out first:
ROW($B$1:$B100)<=ROW()
and
LEN($B$1:$B$100)>0
We want to use -- to convert TRUE and FALSE to 1 and 0 - this means that any "bad" values become 0, and any "good" values are larger than 0:
ROW($B$1:$B$100)*--(ROW($B$1:$B$100)<=ROW())*--(LEN($B$1:$B$100)>0)
This gives us the Row number when the Row is on-or-before the current row AND Column B is not blank - if either of those are False, then we get 0 instead. Stick that in the AGGREGATE to find the largest number:
AGGREGATE(14, 6, ROW($B$1:$B$100)*--(ROW($B$1:$B$100)<=ROW())*--(LEN($B$1:$B$100)>0), 1)
Then put it in a SUMPRODUCT to force Excel to treat it as an ArrayFormula, and that's your NON_BLANK. This then gives you that first formula right at the top of the post

VBA excel Copy Paste

Hi, I am totally new to Excel VBA. Firstly, I want to copy the data when the condition is met(copy data with reference to 144)
Secondly, compare the cells, if it is IT Operations(Table1) to IT Operations(Table2) then copy the price(money) to column F. If the variable is no there then leave blank.
This can be done with formulas. Here is one way of thinking about filling column F, with the prices for the matching items in column E, by matching the number given in the last row in E (144 Total); which i shall assume is E10 in this case.
Total formula in F1 which you then drag down is:
=IFERROR(IFERROR(VLOOKUP(E1,INDIRECT(CELL("address",OFFSET($H$1,MATCH(1*LEFT($E$10,FIND(" ",TRIM($E$10),1)-1),$G:$G,0)-1,,1,1))&":"&CELL("address",OFFSET($I$1,MATCH($E$10,$G:$G,0)-1,,1,1))),2,FALSE),VLOOKUP(E1,G:I,3,FALSE)),"")
In steps:
Extract the number of interest e.g. 144, and get rid of any trailing/leading whitespace using:
LEFT($E$10,FIND(" ",TRIM($E$10),1)-1)
Find which row this value is in as this will be the first row of the lookup range for this number. *1 converts text to a number.
MATCH(1*LEFT($E$10,FIND(" ",TRIM($E$10),1)-1),$G:$G,0)
This gives row 9.
We can use something simpler to find the last row of the range, which holds 144 Total
MATCH($E$10,$G:$G,0)
This gives row 15. So we know the data lies between rows 9 and 15 for 144.
We can turn this into a range to use in a VLOOKUP with INDIRECT and OFFSET.
=CELL("address",OFFSET($G$1,MATCH(1*LEFT($E$10,FIND(" ",TRIM($E$10),1)-1),$G:$G,0)-1,,1,1))&":"&CELL("address",OFFSET($H$1,MATCH($E$10,$G:$G,0)-1,,1,1))
This gives us $G$9:$H$15. Note adjustments of -1, to put OFFSET back in the right row, and that the OFFSET start cells are in different columns to provide the columns required for the VLOOKUP.
So we can now lookup column E values e.g. Enhancement, in our newly defined range which is accessed via INDIRECT:
=VLOOKUP(E1,INDIRECT(CELL("address",OFFSET($H$1,MATCH(1*LEFT($E$10,FIND(" ",TRIM($E$10),1)-1),$G:$G,0)-1,,1,1))&":"&CELL("address",OFFSET($I$1,MATCH($E$10,$G:$G,0)-1,,1,1))),2,FALSE)
This is saying VLOOKUP(E1,$G$9:$H$15,2,FALSE) i.e. get the price column from the range for the item specified in E1.
If this is not found i.e. returns #N/A, we can use this to first check if this is because of the merged cell that holds the 144 Total; where the value is actually in column G not H, and use an IFERROR to say, if not found in $G$9:$H$15 then try for a match using columns G:I and return column 3.
Which with pseudo formula, using priorLookup as placeholder, for the formula described in the steps above, looks like:
IFERROR(priorLookup, VLOOKUP(E1,G:I,3,FALSE))
If this still returns #N/A, we know the value is not present and we should return "". This we can handle this with another IFERROR:
IFERROR(IFERROR(priorLookup, VLOOKUP(E1,G:I,3,FALSE)),"")
So giving us the entire formula stated at the start.
Here it is used in the sheet:

Compare Excel sheets values to update a third value

Example file So I have two sheets that each have lists of part numbers, plant where they come from and two columns on costs. What I need to do is scan them and if Sheet A and Sheet B both have a row with matching part numbers and the plant they come from, then A's two cost values are updated to match B's costs.
The next step is then to highlight all cells in Sheet A that are not on Sheet B and highlight all cells in Sheet B that were copied to Sheet A. I think this last part can be done at the same time the cell is being copied I'm just not sure how to do any of this.
This is a formula method.
Because you will not be changing all the values and I assume you want to keep those that do not have a match, then in an empty column next to the figures on sheet 1 put the following formula:
=IFERROR(INDEX(Sheet2!F$3:F$7,MATCH(1,INDEX((Sheet2!$D$3:$D$7=$A3)*(Sheet2!$B$3:$B$7=$C3),),0)),G3)
Then copy over one column and down the the end of the data.
The INDEX((Sheet2!$D$3:$D$7=$A3)*(Sheet2!$B$3:$B$7=$C3),) will create an array of 0 and 1's the same size as the data reference on sheet 2. In this instance it will create a 1 dimensional array that is 5 objects.
The position of these objects of 0 and 1 are relative to the rows. So for the first formula the return array will be {0,1,0,0,0} because only the second row of the data matches both the plant and the part number.
The MATCH(1,INDEX(...),0) then finds the first object in that array that is 1 and returns the relative position, in this case 2 as it is the second in the array.
The Outer INDEX(Sheet2!F$3:F$7,...) then returns the value in the range Sheet2!F$3:F$7 whose relative position is equal to the 2 passed from the MATCH(). So Sheet2!F4.
If no MATCH is found then the whole thing will throw a #N/A error so we capture that error with IFERROR(...,G3) and tell the formula to return the value in column G instead.
This will give you all the proper values:
Then you can copy and paste just the values back to the original spots and hide the columns with the formulas:
Sheet2 for reference:
If you want vba to do the last part of copy and past and hiding then use the macro recorder and then clean up the code.

Return values from other workbook

Have a question about formula which will resolve my issue.
In my main workbook I need to compare data from two sources.
One of the columns must retrieve data(amounts) from other workbook.
I want formula which will search for all amounts in column G and will skip all blank cells. Tried to use VLOOKUP, INDEX and SMALL functions but no effect.
Each day amounts are different and I need to match them in main file and find exeptions.
Any ideas?
How about an array formula such as the following?
=INDEX($G$2:$G$20,SMALL(IF(($G$2:$G$20)=0,"",ROW($G$2:$G$20)),ROW()-1)-ROW($G$2:$G$20)+1)
The formula would have to be placed into cell I2 as an array formula (which must be entered pressing Strg + Shift + Enter). Then you can drag down the formula to get all the other values.
It doesn't have to be in column I but it has to be in row 2 because this formula get's the n-th Number from the list which is not = 0. The n-th place is (in this formula) row()-1. So for row 2 it will be 2-1=1 and thus the 1st number. By dragging down the formula you get the 2nd, 3rd, etc. number. If you start with the formula in cell I5 instead then it would have to be adjusted to be as follows:
=INDEX($G$2:$G$20,SMALL(IF(($G$2:$G$20)=0,"",ROW($G$2:$G$20)),ROW()-4)-ROW($G$2:$G$20)+1)
You could loop through the column and store each value >0 in an array and then compare or you loop through the column and compare directly...
something like:
Dim i as Integer = 0
Foreach value in Maintable
Do
If otherworkbook.cells(i,7) = value Then '7 for G
do your stuff
End If
i = i + 1
While i < otherworkbook.rows.count
Next
I think that could be the right approach

Dynamic calculation in Excel based on a cell value

I've got a challenge in Excel i hope you guys can solve for me.
I have a drop down list (weeks) where i select the week 2015-18 to 2016-17. (nr 1 in picture)
In the cell called LY (nr 2 in picture) I want that to type the result of a dynamic sum range, based on the weeks input.
Picture of setup of the text above
The calculation logic is:
If i select week 2015-20, the VBA or formula should sum(F5:F7)/(G5:G7).
So in other words, I want a dynamic calculation that starts from week 2015-18 (F5/G5) and then sums the values down to the value that i have selected in "Weeks"
Picture of the setup of the logic values
The value of this calculation should be shown in LY (first picture, nr 2).
I really hope you can solve this for me. I've got more rows to calculate, so if you could come up with a "global" code that works for that, it would be great
ok, so you do not need VBA for this.....
for the sake of easier updates; mark the weekrange, right click them and give them a name, with Define name
I called it yearlyweeks
The two drop downs lists, will contain the value corresponding to the text indicating that week.
So we can use this to get a cells address by value (if that text is unique in the range named yearlyweeks):
=ADDRESS(MATCH(H8,yearlyweeks, 0), 2)
where H8 is the cell address of a dropdownlist cell. 2 is the column index of the "B" column
this will result in something like:
$B$2
where the 2 indicates the relative row index, in the range, not the absolute row number.
we are really not interested in the column, or relative row, only the absolute row, but so far we can live with relative..:
=ROW(INDIRECT(ADDRESS(MATCH(H8,yearlyweeks, 0), 2)))
this will give you the relative row of the cell coresponding to what you selected on the drop downlist for one of the lists. So I would do this in two calculation cells, just to avoid the next piece getting too long..
lets let the calculation cells be in I10, and J10..
I10 hold the relative row for the beginning week
J10 for the ending week
below create a new set of cells with:
="F"&(I10 + 7)
and
="G"&(J10 + 7)
where 7 is the row offset of yearlyweeks
in yet one more cell J12 we make the range string:
=CONCATENATE(I11;":";J11)
and then does the calculation in the final cell:
=SUM(INDIRECT(J12))
Now I can do this as a one liner, but you really would hate that