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I have two tables with following relationship
I have enhanced DetailsTbl with 'new column's using lookupvalue
The data in DetailsTbl look like
| Date | Name | ResultInLCY | Currency | HeaderKey |
| Monday, 31 January 2022 | A | 25 | EUR | H1 |
| Monday, 28 February 2022 | A | 53 | EUR | H1 |
| Monday, 28 February 2022 | B | 92 | GBP | H2 |
| Monday, 28 February 2022 | D | 32 | GBP | H_FebOnly |
| Monday, 28 February 2022 | E | 97 | USD | H_FebMar |
| Thursday, 31 March 2022 | A | 74 | EUR | H1 |
| Thursday, 31 March 2022 | B | 12 | GBP | H2 |
| Thursday, 31 March 2022 | C | 45 | AUD | H3 |
| Thursday, 31 March 2022 | D | 12 | GBP | H_FebOnly |
| Thursday, 31 March 2022 | E | 87 | USD | H_FebMar |
| Saturday, 30 April 2022 | A | 53 | EUR | H1 |
| Saturday, 30 April 2022 | B | 74 | GBP | H2 |
| Saturday, 30 April 2022 | C | 98 | AUD | H3 |
The data in FX table is like
| Date | Currency | Rate |
| Monday, 31 January 2022 | CAD | 1.2 |
| Monday, 31 January 2022 | EUR | 1.1 |
| Monday, 31 January 2022 | GBP | 1.07 |
| Monday, 31 January 2022 | AUD | 1.4 |
| Monday, 31 January 2022 | USD | 0.9 |
| Monday, 28 February 2022 | CAD | 1.3 |
| Monday, 28 February 2022 | EUR | 1.034 |
| Monday, 28 February 2022 | GBP | 1.6 |
| Monday, 28 February 2022 | AUD | 1.3 |
| Monday, 28 February 2022 | USD | 1 |
| Thursday, 31 March 2022 | CAD | 1.35 |
| Thursday, 31 March 2022 | EUR | 1.04 |
| Thursday, 31 March 2022 | GBP | 1.64 |
| Thursday, 31 March 2022 | AUD | 1.25 |
| Thursday, 31 March 2022 | USD | 1 |
| Saturday, 30 April 2022 | CAD | 1.23 |
| Saturday, 30 April 2022 | EUR | 1.076 |
| Saturday, 30 April 2022 | GBP | 1.64 |
| Saturday, 30 April 2022 | AUD | 1.33 |
| Saturday, 30 April 2022 | USD | 1 |
I wish to write
Solved! Go to Solution.
Hi @alsm ,
Please follow these steps:
(1) Create a new column
ResultsUSD2 =
VAR _R = CALCULATE(VALUES(FXTbl[Rate]),FILTER(ALL(FXTbl),FXTbl[Date] = EARLIER(DetailsTbl[Date]) && FXTbl[Currency] = EARLIER(DetailsTbl[Currency])))
RETURN DetailsTbl[ResultInLCY] * _R
(2)Final output
Best Regards,
Gallen Luo
If this post helps, then please consider Accept it as the solution to help the other members find it more quickly.
Hi @alsm ,
Please follow these steps:
(1) Create a new column
ResultsUSD2 =
VAR _R = CALCULATE(VALUES(FXTbl[Rate]),FILTER(ALL(FXTbl),FXTbl[Date] = EARLIER(DetailsTbl[Date]) && FXTbl[Currency] = EARLIER(DetailsTbl[Currency])))
RETURN DetailsTbl[ResultInLCY] * _R
(2)Final output
Best Regards,
Gallen Luo
If this post helps, then please consider Accept it as the solution to help the other members find it more quickly.
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