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I have tried various ways writing xsl script on the below shown xml content. But not able to get the proper formated output. I am not able produce proper systanxes in XSL1.0. Could any one help me out please.

The XML file is as follows:

<?xml version="1.0" encoding="utf-8"?>
<?xml-stylesheet type="text/xsl" ?>
<Report xmlns="getItemDetails">
    <table1 v_Head1="Capture Date" Head1_Order="2" v_Head2="End Point Name" Head2_Order="" v_Head3="Secondary ID" Head3_Order="" v_Head4="Individual Name" Head4_Order="1" v_Head5="User Field1"  Head5_Order="3" v_Head6="Check Amount"  Head6_Order="4">
        <table1_Group1_Collection>
            <table1_Group1 MemberName="Memb1" MemberID="61172" MemberTotalAmount="240.00">
                <table1_Group2_Collection>
                    <table1_Group2 DepositNumber="001" DepositID="567328" DepositTotal="135.00">
                        <Detail_Collection>
                            <Detail v_createdate="03/08/2011" createdate_Order="2" v_EndpointName="null" EndpointName_Order="" v_SecondaryID="" SecondaryID_Order="" v_IndividualName="aaa" IndividualName_Order="1" v_UserField1="abcabc" UserField1_Order="3" v_checkamount="50.00" checkamount_Order="4"/>
                            <Detail v_createdate="03/08/2011" createdate_Order="2" v_EndpointName="null" EndpointName_Order="" v_SecondaryID="" SecondaryID_Order="" v_IndividualName="bbb" IndividualName_Order="1" v_UserField1="acab" UserField1_Order="3" v_checkamount="25.00" checkamount_Order="4"/>
                            <Detail v_createdate="03/09/2011" createdate_Order="2" v_EndpointName="null" EndpointName_Order="" v_SecondaryID="" SecondaryID_Order="" v_IndividualName="ccc" IndividualName_Order="1" v_UserField1="cdfg" UserField1_Order="3" v_checkamount="60.00" checkamount_Order="4"/>
                        </Detail_Collection>
                    </table1_Group2>
                    <table1_Group2 DepositNumber="002 " DepositID="567329" DepositTotal="105.00">
                        <Detail_Collection>
                            <Detail v_createdate="03/09/2011" createdate_Order="2" v_EndpointName="null" EndpointName_Order="" v_SecondaryID="" SecondaryID_Order="" v_IndividualName="ddd" IndividualName_Order="1" v_UserField1="efgh" UserField1_Order="3" v_checkamount="35.00" checkamount_Order="4"/>
                            <Detail v_createdate="03/10/2011" createdate_Order="2" v_EndpointName="null" EndpointName_Order="" v_SecondaryID="" SecondaryID_Order="" v_IndividualName="eee" IndividualName_Order="1" v_UserField1="hijk" UserField1_Order="3" v_checkamount="70.00" checkamount_Order="4"/>
                        </Detail_Collection>
                    </table1_Group2>
                </table1_Group2_Collection>
            </table1_Group1>
            <table1_Group1 MemberName="Memb2" MemberID="61173" MemberTotalAmount="275.00">
                <table1_Group2_Collection>
                    <table1_Group2 DepositNumber="003" DepositID="567330" DepositTotal="75.00">
                        <Detail_Collection>
                            <Detail v_createdate="03/11/2011" createdate_Order="2" v_EndpointName="null" EndpointName_Order="" v_SecondaryID="" SecondaryID_Order="" v_IndividualName="fff" IndividualName_Order="1" v_UserField1="lmn" UserField1_Order="3" v_checkamount="75.00" checkamount_Order="4"/>
                        </Detail_Collection>
                    </table1_Group2>
                    <table1_Group2 DepositNumber="004 " DepositID="567331" DepositTotal="200.00">
                        <Detail_Collection>
                            <Detail v_createdate="03/11/2011" createdate_Order="2" v_EndpointName="null" EndpointName_Order="" v_SecondaryID="" SecondaryID_Order="" v_IndividualName="ggg" IndividualName_Order="1" v_UserField1="opq" UserField1_Order="3" v_checkamount="150.00" checkamount_Order="4"/>
                            <Detail v_createdate="03/12/2011" createdate_Order="2" v_EndpointName="null" EndpointName_Order="" v_SecondaryID="" SecondaryID_Order="" v_IndividualName="hhh" IndividualName_Order="1" v_UserField1="rstu" UserField1_Order="3" v_checkamount="50.00" checkamount_Order="4"/>
                        </Detail_Collection>
                    </table1_Group2>
                </table1_Group2_Collection>
            </table1_Group1>
        </table1_Group1_Collection>
    </table1>
</Report>

From the above XML file i need to get the following output.

MemberName, MemberID, MemberTotal, D_Number, D_ID, D_Total, IndividualName, Createdate, UserField1, Checkamount
Memb1, 61172, $240.00, 001, 567328, $135.00, aaa, 03/08/2011, abcabc, $50.00
Memb1, 61172, $240.00, 001, 567328, $135.00, bbb, 03/08/2011, acab, $25.00
Memb1, 61172, $240.00, 001, 567328, $135.00, ccc, 03/09/2011, cdfg, $60.00
Memb1, 61172, $240.00, 002, 567329, $105.00, ddd, 03/09/2011, efgh, $35.00
Memb1, 61172, $240.00, 002, 567329, $105.00, eee, 03/10/2011, hijk, $70.00
Memb2, 61173, $275.00, 003, 567330,  $75.00, fff, 03/09/2011, lmn,  $75.00
Memb2, 61173, $275.00, 004, 567331, $200.00, ggg, 03/09/2011, opq, $150.00
Memb2, 61173, $275.00, 004, 567331, $200.00, hhh, 03/10/2011, rstu, $50.00

Up until D_Total the column names are fixed. The column names after 'D_Total' are in sort order (you may see from the xml file the 'order' keyword as suffix to each attribute). In this scenario the IndividualName is 1st column. And so this will take the first place after D_Total

The attributes Endpointname and SecondaryID are not shown in the output since they don't have any values or may be hidden.

The columns: 'IndividualName', 'Createdate', 'Userfield', 'checkamout' are grouped under Deposit details and Member details.
So member details and deposit details will repeat in the corresponding rows.

The totals for Member level (i.e. table1_Group1) will be the sum of Deposit level (i.e. table1_Group2). The Deposit level total amout will be the sum of detail elements (i.e. <Detail>).

The XSL1.0 script which i am trying for the above result is as follows: It is only the half part i am able to get correct. My main challange here is to get the table1_Group1 element values and the table1_Group2 element values (i.e attribute values) along with Detail element attributes...

     <xsl:stylesheet version="1.0" xmlns:xsl="http://www.w3.org/1999/XSL/Transform" xmlns:c="getItemDetails">
    <xsl:output method="text"/>
        <xsl:strip-space elements="*"/>

                  <xsl:template match="c:Report">
            <xsl:apply-templates select="c:table1"/>
            <xsl:apply-templates select="//c:Detail"/>
      </xsl:template>


      <xsl:template match="c:table1">
              <xsl:apply-templates select="@*[substring(name(), string-length(name())-5)= '_Order' and number(.) = number(.)]      ">
                  <xsl:sort data-type="number"/>
            </xsl:apply-templates>
      </xsl:template>


         <xsl:template match="c:Detail">
              <xsl:text>&#10;</xsl:text>
              <xsl:apply-templates select="@*[substring(name(), string-length(name())-5)= '_Order' and number(.) = number(.)]      ">
                  <xsl:sort data-type="number"/>
              </xsl:apply-templates>
        </xsl:template>


    <xsl:template match="@*">
        <xsl:value-of select="../@*[name()=concat('v_',substring-before(substring(name(current()),1),'_'))]"/>
        <xsl:if test="not(position()=-1)">,</xsl:if> 
    </xsl:template>


</xsl:stylesheet>
share|improve this question
    
If you have control of the xml I'd change the xml to column1_Name="IndividualName" IndividualName="ggg" column2_Name="v_createdDate" v_createdDate="03/11/2011" –  Asken Oct 22 '11 at 19:43
1  
Could you post some attempt at xslt? Or do we have to write the complete solution for you? –  FailedDev Oct 22 '11 at 19:58
    
So which bits are you having problems with - where do you get stuck? –  Woody Oct 22 '11 at 23:26
    
I am able to get the values in the output for the details elements... once i am there @ <details elements node Iam unable to get the parent nodes values (which i mean the grouping member values & Deposit values) –  desi Oct 23 '11 at 3:11
    
Please can any one check my xslt script to get the appropriate result to get the right result. –  desi Oct 23 '11 at 3:31

1 Answer 1

if you are using xslt 1.0, you will need to use grouping. Grouping in xslt 1.0 is done with the muenchian method.

you can find a good example here:

Grouping with the muenchian method

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