Take the 2-minute tour ×
Stack Overflow is a question and answer site for professional and enthusiast programmers. It's 100% free, no registration required.

How can i split text file using string.endwith("Page 1") and store in arraylist?

Can anyone help me to do this ?

Following thing I tried to do this.

while (readerSplit.hasNextLine()) {
                String sLineDataSplit = readerSplit.nextLine();
                if (!sLineDataSplit.endsWith("Page    1")) {
                    sbSplitData.append(sLineDataSplit);
                    sbSplitData.append(newline);
                } else {
                    sbSplitData.append(sLineDataSplit);
                    sbSplitData.append(newline);
                    if (sbSplitData.length() > 100) {
                        System.out.println("Inside");
                        stringList.add(i, sbSplitData);
                        System.out.println(sbSplitData);
                        i++;
                        sbSplitData.setLength(0);
                    }
                    System.out.println("Outside");
                    System.out.println(sbSplitData);
                }
            }

Here is some text from my file.

007                                                     Date  1/04/13           Page    1
   1                                                    Account Number         1000000000
   1                                                    Enclosures
013            Test S.A.(Test)
   1           URB. MARBELLA CALLE AQUILINO DE LA
   1           GUARDIA CON CALLE 47 TORRE BANESCO
   1           PISO 27 Y 28 CIUDAD DE PANAMA
   1           PANAMA
024   As of 1/1/2013, funds in a noninterest-bearing transaction account (including an
   1  IOLTA) will no longer receive unlimited deposit insurance coverage.  They will be
   1  insured to the legal maximum of $250,000 for each ownership category.
   2  ................................ ACCOUNT DETAIL ...............................
   0  ................................ ACCOUNT DETAIL ...............................
   2  CHECKING ACCOUNT FRG AFFL BANK
   0  CHECKING ACCOUNT FRG AFFL BANK             Number of Enclosures                  0
   1  Account Number                1000007904   Statement Dates   1/04/13 thru  1/06/13
   1  Previous Balance               50,226.18   Days in the statement period          3
   1     10 Deposits/Credits        338,888.67   Average Ledger                50,768.40
   1     30 Checks/Debits           338,246.00   Average Collected             50,768.40
   1  Total Fees                           .00
   1  Interest Paid                        .00
   1  Current Balance                50,868.85
   3  Deposits and Additions
   0  Deposits and Additions
   1  Date      Description                                   Amount        Refe
   0  Date      Description                                   Amount        Refe
   1   1/04     WIRE-IN 20130040042300 ATLANTI            300,000.00
   1            OBI:
   1   1/04     WIRE-IN 20130040038800 1/CARVA              4,295.00
   1            OBI:
   1   1/04     WIRE-IN 20130030004900 NEW CHA              1,563.67
   1            OBI:PENSION MES DE DICIEMBRE D
   1   1/04     INTERNAL TRF 20130040011800                13,995.00
007                                                     Date  1/04/13           Page    2
   1                                                    Account Number         1000000000
   1                                                    Enclosures
024   CHECKING ACCOUNT FRG AFFL BANK          1000007904  (Continued)
   2  Checks and Withdrawals
   0  Checks and Withdrawals
   1  Date      Description                                   Amount        Refe
   0  Date      Description                                   Amount        Refe
   1   1/04     Transfer to DDA                           292,000.00-
   1            Acct No.       1000007896-D
   1   1/04     WIRE-IN 20130040024900 CARLOS               5,000.00-
   1            OBI:REINTEGRO NESTMARY
   1   1/04     WIRE-IN 20130040025100 ELIZABE              5,000.00-
   1            OBI:PAGO POR ACTIVIDADES DEPOR
   1   1/04     WIRE-IN 20130040027100 COOPERA              2,622.00-
   1            OBI:PAGO
   1   1/04     WIRE-IN 20130040025900 INGENIA              2,550.00-
   1            OBI:PRESTAMO EFECTIVO
   1   1/04     WIRE-IN 20130040013100 JULIANO              2,500.00-
   1            OBI:
   1   1/04     WIRE-IN 20130040013000 MARIA I              2,089.57-
   1            OBI:
   1   1/04     WIRE-IN 20130040013300 JESUS A              2,012.00-
   1   1/04     WIRE-IN 20130040018000 JOSE FR                200.00-
   1            OBI:
   1   1/04     WIRE-IN 20130040027800 EVELYN                 100.00-
   1            OBI:
   2  Daily Balance Information
   0  Daily Balance Information
   1  Date          Balance
   0  Date          Balance
   1   1/04            50,868.85
   2  For more information about FDIC insurance coverage, visit
   1  http://www.fdic.gov/deposit/deposits/unlimited/expiration.html
007                                                     Date  1/04/13           Page    1
   1                                                    Account Number         1000000000
   1                                                    Enclosures                     25
013            Test
   1           7A AVENIDA 11-59 ZONA 9
   1           EDIFICIO GALERIAS ESPAÑA
   1           GUATEMALA CITY
   1           GUATEMALA
024   As of 1/1/2013, funds in a noninterest-bearing transaction account (including an
   1  IOLTA) will no longer receive unlimited deposit insurance coverage.  They will be
   1  insured to the legal maximum of $250,000 for each ownership category.
   2  ................................ ACCOUNT DETAIL ...............................
   0  ................................ ACCOUNT DETAIL ...............................
   2  FINANCIAL INSTITUTIONS
   0  FINANCIAL INSTITUTIONS                     Number of Enclosures                 25
   1  Account Number                1000059038   Statement Dates   1/01/13 thru  1/06/13
   1  Previous Balance            2,290,044.74   Days in the statement period          6
   1      7 Deposits/Credits        952,853.71   Average Ledger             1,836,411.23
   1     33 Checks/Debits         1,522,979.73   Average Collected          1,836,411.23
   1  Total Fees                           .00
   1  Interest Paid                        .00
   1  Current Balance             1,719,918.72
   3  Deposits and Additions
   0  Deposits and Additions
   1  Date      Description                                   Amount        Refe
   0  Date      Description                                   Amount        Refe
   1   1/02     WIRE-IN 20130020001800 ONMOBIL              2,500.00
   1            OBI:FOR THE FINAL CREDIT OF AN
   1   1/02     WIRE-IN 20130020009400 VIGO RE                114.00
   1            OBI:VIGO SETTLEMENT GTV14
   1   1/03     WIRE-IN 20130030030100 BANCO I            800,000.00
   1            OBI:TRASLADO DE FONDOS DE SU C
   1   1/03     WIRE-IN 20130030013700 MR BEYN              1,324.90
   1            OBI:C/C 17026009260 ANA ANGELI
   1   1/03     Remote Deposit Capture Deposit             70,725.00
   1   1/04     WIRE-IN 20130040010500 VIGO RE             10,826.73
   1            OBI:VIGO SETTLEMENT GTV14
   1   1/04     Remote Deposit Capture Deposit             67,363.08
   2  Checks and Withdrawals
   0  Checks and Withdrawals
   1  Date      Description                                   Amount        Refe
   0  Date      Description                                   Amount        Refe
   1   1/02     WIRE-IN 20130020023200 SAN LAZ            394,020.00-
   1            OBI:/RFB/ F/F/C TO ACCOUNT 569
   1   1/02     WIRE-IN 20130020029300 UNISOUR             22,589.50-
   1            OBI:/RFB/UNIVERSITY EXPENSES S
   1   1/02     WIRE-IN 20130020029700 UNISOUR             10,020.00-
   1            OBI:/RFB/DEPOSIT TO ACCOUNT
   1   1/02       7367*               17,000.00  1/03       7397                15,000.00
   1   1/04       7370*              100,000.00  1/04       7403*               20,000.00
   1   1/03       7371                20,000.00
   1  * Denotes missing check numbers
   2  Daily Balance Information
   0  Daily Balance Information
   1  Date          Balance
   0  Date          Balance       Date          Balance
   0                              Date          Balance
   1   1/01         2,290,044.74   1/03         1,816,672.91
   1   1/02         1,751,993.61   1/04         1,719,918.72
   2  For more information about FDIC insurance coverage, visit
   1  http://www.fdic.gov/deposit/deposits/unlimited/expiration.html
007                                                     Date  1/04/13           Page    1
   1                                                    Account Number         1000000000
   1                                                    Enclosures
013            Test
   1           (SETTELMENT VISA ACCOUNT)
   1           7A AVENIDA 11-59 ZONA 9
   1           EDIFICIO GALERIAS ESPAÑA
   1           GUATEMALA CITY
   1           GUATEMALA
024   As of 1/1/2013, funds in a noninterest-bearing transaction account (including an
   1  IOLTA) will no longer receive unlimited deposit insurance coverage.  They will be
   1  insured to the legal maximum of $250,000 for each ownership category.
   2  ................................ ACCOUNT DETAIL ...............................
   0  ................................ ACCOUNT DETAIL ...............................
   2  FINANCIAL INSTITUTIONS
   0  FINANCIAL INSTITUTIONS                     Number of Enclosures                  0
   1  Account Number                1000062412   Statement Dates   1/01/13 thru  1/06/13
   1  Previous Balance              385,002.47   Days in the statement period          6
   1        Deposits/Credits               .00   Average Ledger               374,620.47
   1      7 Checks/Debits            15,367.65   Average Collected            374,620.47
   1  Total Fees                           .00
   1  Interest Paid                        .00
   1  Current Balance               369,634.82
   3  Checks and Withdrawals
   0  Checks and Withdrawals
   1  Date      Description                                   Amount        Refe
   0  Date      Description                                   Amount        Refe
   1   1/02     WIRE-OUT 20130020006601                     6,293.81-
   1            OBI:4423210000 VSS SETTLEMENT
   1   1/02     WIRE Out Fee                                   20.00-
   1   1/03     WIRE-OUT 20130030011401                     3,541.38-
   1            OBI:4423210000 VSS SETTLEMENT
   1   1/03     WIRE Out Fee                                   20.00-
   1   1/04     Account Service Fee Corresp.Bk                 80.00-
   1   1/04     WIRE-OUT 20130040010401                     5,392.46-
   1            OBI:4423210000 VSS SETTLEMENT
   1   1/04     WIRE Out Fee                                   20.00-
   2  Daily Balance Information
   0  Daily Balance Information
   1  Date          Balance
   0  Date          Balance       Date          Balance
   0                              Date          Balance
   1   1/01           385,002.47   1/03           375,127.28
   1   1/02           378,688.66   1/04           369,634.82
   2  For more information about FDIC insurance coverage, visit
   1  http://www.fdic.gov/deposit/deposits/unlimited/expiration.html

Waiting for any suggestion or help. Thanks in advance...

share|improve this question
    
you cannot split a string using String.endwWith(), you should use String.split() –  PermGenError Jan 15 '13 at 12:11
5  
You really shouldn't be showing real data from your job, that could get you fired. –  m0skit0 Jan 15 '13 at 12:12

1 Answer 1

  1. Simple basic idea is create a ArrayList.
  2. Create a StringBuffer add string from newLine method if its not contain "Page 1".
  3. If string returned by newLine method contain "Page 1" then add StringBuffer into arraylist and create new StringBuffer . and do same step 2 again .

For some suggestion: lastIndexOf and also you can take a try for contains method.

List<StringBuffer> list = new ArrayList<StringBuffer>();
StringBuffer sb = new StringBuffer();
int i = 1; // I think page no is changing form 1 to ...
while (readerSplit.hasNextLine()) {
   String sLineDataSplit = readerSplit.nextLine().trim();
   // take a look for lastIndexOf function.
   if (sLineDataSplit.lastIndexOf("Page    "+i)==9 && sb.length()>0) {
       list.add(sb);
       sb = new StringBuffer();
       sb.append(sLineDataSplit);
       i++; // to get the next page 
    } 
    else{
       sb.append(sLineDataSplit);
    }
  }
share|improve this answer

Your Answer

 
discard

By posting your answer, you agree to the privacy policy and terms of service.

Not the answer you're looking for? Browse other questions tagged or ask your own question.