Skip to main content
Announcements
Live today at 11 AM ET. Get your questions about Qlik Connect answered, or just listen in. SIGN UP NOW
cancel
Showing results for 
Search instead for 
Did you mean: 
Not applicable

Processing of 1000 xml-files in a loop: QlikView hangs

Hello everyone,

I have to make a report for vehicle orders. In every single xml-file there is one order for one vehicle.

The xml-files have to be processed in a loop and they all have the same structure and fields.

I have tested my coding with 3 xml-files and I get a correct result. However, the folder contains 1000 xml-files which have to be handled. After more than 100 files I get no response from QlikView, it seems that QlikView hangs or crashes.

The coding includes 3 load statements for the tables included in the xml-file which are linked by a join in my coding.

I have attached the coding, the table structure (reading 3 xml-files) and the result.

Is the coding incorrect or is it not possible to handle such a big number of xml-files?

Thank you for your help,

Rolf

SET ThousandSep='.';
SET DecimalSep=',';
SET MoneyThousandSep='.';
SET MoneyDecimalSep=',';
SET MoneyFormat='#.##0,00 €;-#.##0,00 €';
SET TimeFormat='hh:mm:ss';
SET DateFormat='DD.MM.YYYY';
SET TimestampFormat='DD.MM.YYYY hh:mm:ss[.fff]';
SET MonthNames='Jan;Feb;Mrz;Apr;Mai;Jun;Jul;Aug;Sep;Okt;Nov;Dez';
SET DayNames='Mo;Di;Mi;Do;Fr;Sa;So';
SET LongMonthNames='Januar;Februar;März;April;Mai;Juni;Juli;August;September;Oktober;November;Dezember';
SET LongDayNames='Montag;Dienstag;Mittwoch;Donnerstag;Freitag;Samstag;Sonntag';
SET FirstWeekDay=0;
SET BrokenWeeks=0;
SET ReferenceDay=4;
SET FirstMonthOfYear=1;
SET CollationLocale='de-DE';

sub ScanFolder(Root)

for each FileExtension in 'xml'

for each FoundFile in filelist( Root & '\*.' & FileExtension)

Order:
LOAD [OrderSummary/TotalAmount/MonetaryValue/MonetaryAmount] as [TotalAmount/MonetaryValue/MonetaryAmount],
[OrderSummary/TotalAmount/MonetaryValue/Currency/CurrencyCoded] as [MonetaryValue/Currency/CurrencyCoded],
[OrderHeader/OrderIssueDate] as OrderIssueDate,
[OrderHeader/ReleaseNumber] as ReleaseNumber,
[OrderHeader/OrderHeaderNote] as OrderHeaderNote,
[OrderHeader/ListOfStructuredNote/StructuredNote/GeneralNote] as [StructuredNote/GeneralNote],
[OrderHeader/ListOfStructuredNote/StructuredNote/NoteID] as [StructuredNote/NoteID],
[OrderHeader/OrderPaymentInstructions/PaymentInstructions/PaymentMethod/PaymentMeanCoded] as PaymentMeanCoded,
[OrderHeader/OrderPaymentInstructions/PaymentInstructions/PaymentMethod/PaymentMeanCodedOther] as PaymentMeanCodedOther,
[OrderHeader/OrderPaymentInstructions/PaymentInstructions/PaymentTerms/PaymentTerm/PaymentTermCoded] as PaymentTermCoded,
[ContractID/Identifier/Ident],
[OrderHeader/OrderReferences/AccountCode/Reference/RefNum] as [AccountCode/Reference/RefNum],
[OrderHeader/OrderNumber/BuyerOrderNumber] as BuyerOrderNumber,
%Key_Order_A113820B1D524340
from [$(FoundFile)] (XmlSimple, Table is [Order]) ;

   
inner join
ItemDetail:
LOAD LineItemNote,
[DeliveryDetail/ListOfScheduleLine/ScheduleLine/RequestedDeliveryDate] as RequestedDeliveryDate,
[DeliveryDetail/ListOfScheduleLine/ScheduleLine/Quantity/QuantityValue] as [ScheduleLine/Quantity/QuantityValue],
[BaseItemDetail/LineItemType/LineItemTypeCoded] as LineItemTypeCoded,
[BaseItemDetail/LineItemType/LineItemTypeCodedOther] as LineItemTypeCodedOther,
[BaseItemDetail/LineItemNum/BuyerLineItemNum] as BuyerLineItemNum,
%Key_Order_A113820B1D524340,    // Key to parent table: Order
    %Key_ItemDetail_BD2A7FC403DB35C4    // Key for this table: Order/OrderDetail/ListOfItemDetail/ItemDetail
FROM [$(FoundFile)] (XmlSimple, Table is [Order/OrderDetail/ListOfItemDetail/ItemDetail])
WHERE [BaseItemDetail/LineItemNum/BuyerLineItemNum] = '00010';

inner join
ReferenceCoded:
LOAD ReferenceTypeCoded,
[SupportingReference/Reference/RefNum],
[PrimaryReference/Reference/RefNum],
%Key_ItemDetail_BD2A7FC403DB35C4    // Key to parent table: Order/OrderDetail/ListOfItemDetail/ItemDetail
FROM [$(FoundFile)] (XmlSimple, Table is [Order/OrderDetail/ListOfItemDetail/ItemDetail/BaseItemDetail/ListOfItemReferences/ListOfReferenceCoded/ReferenceCoded])
WHERE ReferenceTypeCoded = 'CustomersUnitInventoryNumber' ;                 

  next FoundFile

next FileExtension

end sub

Call ScanFolder('D:\data\Qlik\INCOME_ORDERS') ;


Structure of the tables (when processing 3 xml files):


correct result when processing 3 xml files (only some columns are shown):

0 Replies