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Excel Skills | Exercises | Pivot Tables

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Instructions
Versions: Excel 2010 & Excel 2007
Our practical Excel exercises are much more than just exercises! We design our exercises in such a way that they provide the user with a mapping of the Excel
features that can be used in order to complete the appropriate task in the most efficient manner possible. We also reference each step in each exercise to the
appropriate tutorial that needs to be studied in order to be able to complete the step.
The solutions to our comprehensive exercises are only available to customers who have purchased either a full or training membership. If you have not purchased a
membership, we unfortunately cannot provide you with any of the solutions or assist you with any of the steps that are included in the appropriate exercise.
Start the exercise by saving the workbook on your system, then complete step number 1 and each subsequent step in the order as listed on this sheet before
comparing your workbook to the solution that we have provided.

Step Task

Tutorial

Open the Expenses sheet and note that one of the column headings is blank - we will not be able to create a Pivot Tables & Pivot Charts : Source Data Layout
pivot table which includes all the data on the Expenses sheet if one of the field names that need to be used in
our pivot table is blank. Select cell F4 and enter the following heading for the column: Tax Code

Insert the data on the Expenses sheet into an Excel table. If the source data of a pivot table is included in an
Excel table, you will not have to edit the source data cell range of the pivot table when you add additional
transactions at the bottom of the Expenses sheet.
Change the table name to: ExpTable
Create a pivot table on a new worksheet which is based on all the cells that have been inserted into the new
Excel table. Use the pivot table to display the total tax inclusive amount for each supplier that is included in our
source data.
Rename the new sheet as: Suppliers
Change the number formatting in the amount section of the pivot table so that all the amounts include
thousands separators and two decimal numbers. Use the pivot table feature for this purpose so that the new
number formatting is retained after the pivot table is refreshed.
Change the column width of column B to 16.
Wrap the column heading in column B so that it is displayed in two lines and center the text.
Change the pivot table settings so that the adjusted column width is retained after refreshing the pivot table.

Excel Tables : Insert Table

Open the Expenses sheet and change the amount in row 16 from 13,000 to 33,000.
Open the Suppliers sheet and note the grand total at the bottom of the pivot table. Refresh the pivot table and
note the change in the grand total.
Change the order of the supplier names in column A so that the suppliers are sorted in a descending order
(from Z to A).
Drill down to the source data that makes up the supplier total for the IAS Accountants supplier.
Rename the new sheet as: IAS
Open the Expenses sheet and create another pivot table which reflects an expense total (tax inclusive amount)
for each of the payment dates that are included in column I.
Rename the new sheet as: Payments

Edit Data : Edit Data


Pivot Tables & Pivot Charts : Refresh a Pivot Table

3
4

5
6

7
8
9
10
11
12
13
14
15
16

Page 1 of 12

Excel Tables : About Excel Tables


Pivot Tables & Pivot Charts : Create a Pivot Table

Worksheets : Rename
Pivot Tables & Pivot Charts : Pivot Table Format Values

Row / Column Formatting : Format Column Width


Format Cells : Wrapping Text
Pivot Tables & Pivot Charts : Pivot Table Column Width

Pivot Tables & Pivot Charts : Filter Pivot Table Data


Pivot Tables & Pivot Charts : Pivot Table Data Drill-Down
Worksheets : Rename
Pivot Tables & Pivot Charts : Create a Pivot Table
Worksheets : Rename

Step Task
17
18
19
20
21

22
23
24

25
26

Tutorial

Complete steps 6 to 9 for the Payments sheet.


Filter the pivot table so that only payment dates on or after 1 January 2012 is displayed.
Change the layout of the pivot table so that the individual bank codes are included in separate columns in the
pivot table.
Adjust the column widths of all the columns that are included in the pivot table to 16.
Change the formatting style of the pivot table to Pivot Style Medium 20 (Tip: Hover your mouse over the
appropriate image in the Pivot Table Styles section of the appropriate ribbon tab in order to display a
description for each of the pivot table styles) .
The following steps only apply to Excel 2010 users - Excel 2007 users can save the workbook and
compare it to the solution that we've provided.
Open the Suppliers sheet and insert a pivot table slicer which is based on the account code field.
Change the layout of the slicer so that it includes three columns of filter buttons. Increase the width of the slicer
so that all the filter buttons are displayed properly.
Change the formatting style of the slicer to Slicer Style Dark 2 (Tip: Hover your mouse over the appropriate
image in the Slicer Styles section of the appropriate ribbon tab in order to display a description for each of the
slicer styles).
Filter the pivot table data with the slicer so that the supplier totals for only expenses that have been allocated to
account IS-375 or account IS-390 are displayed in the pivot table.
Save the workbook and compare your workbook to the solution that we've provided.

Page 2 of 12

Pivot Tables & Pivot Charts : Filter Pivot Table Data


Pivot Tables & Pivot Charts : Change Pivot Table Layout
Row / Column Formatting : Format Column Width
Pivot Tables & Pivot Charts : Pivot Table Tools Tab

Pivot Table Slicers : Create a Slicer


Pivot Table Slicers : Format Slicers
Pivot Table Slicers : Format Slicers

Pivot Table Slicers : Using Slicers

Example Limited
Expenses
Document
Date

Supplier

Reference

Description

2/14/2011

XY Solutions

S77782

Opening Balance

3/1/2011

IS Communications

Invoice EXP22

3/2/2011

Newscorp

3/5/2011

EAG Brokers

3/15/2011
3/15/2011

Tax Inclusive
Amount
5,100.00

Internet Service Provider

179.00

I381119

Subscriptions

478.00

Debit Order

Insurance

340.00

Capital Bank

Bank Statement

Service Fees

50.00

Capital Bank

Bank Statement

Service Fees

35.00

3/15/2011

IAS Accountants

Invoice

Bookkeeping

1,000.00

3/15/2011

Interflora

Cash

Flowers

90.00

3/18/2011

QQ International

TR6998

Parking

200.00

3/20/2011

Example (Pty) Ltd

Transfer

Inter Account Transfer

-15,000.00

3/20/2011

Example (Pty) Ltd

Transfer

Inter Account Transfer

15,000.00

3/26/2011

Example (Pty) Ltd

Payroll

Salaries

13,000.00

3/26/2011

HP Finance

Debit Order

Capital repayment

220.00

3/26/2011

HP Finance

Debit Order

Interest paid

100.00

3/26/2011

PR Properties

Debit Order

Rent

6,400.00

3/31/2011

Example (Pty) Ltd

Bank Statement

Petty Cash Reimbursement

100.00

3/31/2011

Example (Pty) Ltd

Bank Statement

Petty Cash Reimbursement

-100.00

4/1/2011

IS Communications

Invoice EXP23

Internet Service Provider

179.00

4/5/2011

EAG Brokers

Debit Order

Insurance

340.00

4/12/2011

Interflora

Cash

Flowers

87.00

4/15/2011

Capital Bank

Bank Statement

Service Fees

80.00

4/15/2011

Capital Bank

Bank Statement

Service Fees

35.00

4/15/2011

IAS Accountants

Invoice

Bookkeeping

1,000.00

4/20/2011

Example (Pty) Ltd

Transfer

Inter Account Transfer

-20,000.00

4/20/2011

Example (Pty) Ltd

Transfer

Inter Account Transfer

20,000.00

4/25/2011

Inland Revenue

Return

Sales Tax

1,300.00

4/26/2011

Example (Pty) Ltd

Payroll

Salaries

20,000.00

4/26/2011

Furniture City

Invoice

Furniture

3,000.00

4/26/2011

HP Finance

Debit Order

Capital repayment

220.00

4/26/2011

HP Finance

Debit Order

Interest paid

4/26/2011

PR Properties

Debit Order

Rent

4/29/2011

GF Supplies

IN1179

Consumables

4/30/2011

Example (Pty) Ltd

Bank Statement

Petty Cash Reimbursement

4/30/2011

Example (Pty) Ltd

Bank Statement

Petty Cash Reimbursement

-100.00

5/1/2011

IS Communications

Invoice EXP24

Internet Service Provider

179.00

5/1/2011

Training Inc

Invoice

Course

220.00

5/5/2011

EAG Brokers

Debit Order

Insurance

340.00

5/7/2011

City Lodge

S50037

Accommodation

563.00

5/7/2011

Waltons

Invoice

Stationery

982.00

5/15/2011

Capital Bank

Bank Statement

Service Fees

80.00

5/15/2011

Capital Bank

Bank Statement

Service Fees

35.00

5/15/2011

IAS Accountants

Invoice

Bookkeeping

1,000.00

100.00

6,400.00

41.00

100.00

5/20/2011

Example (Pty) Ltd

Transfer

Inter Account Transfer

-20,000.00

5/20/2011

Example (Pty) Ltd

Transfer

Inter Account Transfer

20,000.00

5/26/2011

Example (Pty) Ltd

Payroll

Salaries

20,000.00

5/26/2011

HP Finance

Debit Order

Capital repayment

220.00

5/26/2011

HP Finance

Debit Order

Interest paid

5/26/2011

PR Properties

Debit Order

Rent

5/29/2011

Interflora

Cash

Flowers

5/31/2011

Example (Pty) Ltd

Bank Statement

Petty Cash Reimbursement

5/31/2011

Example (Pty) Ltd

Bank Statement

Petty Cash Reimbursement

-100.00

6/1/2011

IS Communications

Invoice EXP25

Internet Service Provider

179.00

6/5/2011

EAG Brokers

Debit Order

Insurance

340.00

6/15/2011

Capital Bank

Bank Statement

Service Fees

80.00

6/15/2011

Capital Bank

Bank Statement

Service Fees

35.00

6/15/2011

IAS Accountants

Invoice

Bookkeeping

1,000.00

6/20/2011

Example (Pty) Ltd

Transfer

Inter Account Transfer

-20,000.00

6/20/2011

Example (Pty) Ltd

Transfer

Inter Account Transfer

20,000.00

6/22/2011

Interflora

Cash

Flowers

110.00

6/25/2011

Inland Revenue

Return

Sales Tax

6/26/2011

Example (Pty) Ltd

Payroll

Salaries

6/26/2011

HP Finance

Debit Order

Capital repayment

6/26/2011

HP Finance

Debit Order

Interest paid

6/26/2011

PR Properties

Debit Order

Rent

6/26/2011

SA Airlines

SA11235

Travel

1,782.00

6/30/2011

Example (Pty) Ltd

Bank Statement

Petty Cash Reimbursement

100.00

6/30/2011

Example (Pty) Ltd

Bank Statement

Petty Cash Reimbursement

-100.00

7/1/2011

IS Communications

Invoice EXP26

Internet Service Provider

179.00

7/2/2011

Waltons

Invoice

Stationery

761.00

7/5/2011

EAG Brokers

Debit Order

Insurance

340.00

7/15/2011

Capital Bank

Bank Statement

Service Fees

80.00

7/15/2011

Capital Bank

Bank Statement

Service Fees

35.00

7/15/2011

IAS Accountants

Invoice

Bookkeeping

1,000.00

7/16/2011

Interflora

Cash

Flowers

7/17/2011

GF Supplies

IN1181

Consumables

7/20/2011

Example (Pty) Ltd

Transfer

7/20/2011

Example (Pty) Ltd

Transfer

7/25/2011

ACC Institute

M00321037

Annual Membership

7/26/2011

Example (Pty) Ltd

Payroll

Salaries

7/26/2011

HP Finance

Debit Order

Capital repayment

7/26/2011

HP Finance

Debit Order

Interest paid

7/26/2011

PR Properties

Debit Order

Rent

7/31/2011

Example (Pty) Ltd

Bank Statement

Petty Cash Reimbursement

7/31/2011

Example (Pty) Ltd

Bank Statement

8/1/2011

IS Communications

8/5/2011

EAG Brokers

8/9/2011
8/13/2011
8/15/2011

100.00

6,400.00

65.00

100.00

8,700.00

20,000.00

220.00

100.00

6,400.00

29.00

937.00

Inter Account Transfer

-20,000.00

Inter Account Transfer

20,000.00

2,000.00

20,000.00

220.00

100.00

6,400.00

50.00

Petty Cash Reimbursement

-50.00

Invoice EXP27

Internet Service Provider

179.00

Debit Order

Insurance

340.00

Interflora

Cash

Flowers

78.00

XY Traders

Invoice 9987

Commission

747.00

Capital Bank

Bank Statement

Service Fees

80.00

8/15/2011

Capital Bank

Bank Statement

Service Fees

35.00

8/15/2011

IAS Accountants

Invoice

Bookkeeping

1,000.00

8/15/2011

SA Airlines

SA11988

Travel

1,278.00

8/20/2011

Example (Pty) Ltd

Transfer

Inter Account Transfer

-20,000.00

8/20/2011

Example (Pty) Ltd

Transfer

Inter Account Transfer

20,000.00

8/21/2011

JSE Brokers

Remittance

Share investment

3,750.00

8/25/2011

Inland Revenue

Return

Sales Tax

8/26/2011

Example (Pty) Ltd

Payroll

Salaries

8/26/2011

HP Finance

Debit Order

Capital repayment

8/26/2011

HP Finance

Debit Order

Interest paid

8/26/2011

PR Properties

Debit Order

Rent

8/27/2011

Waltons

Invoice

Stationery

8/31/2011

Example (Pty) Ltd

Bank Statement

8/31/2011

Example (Pty) Ltd

Bank Statement

8/31/2011

Inland Revenue

Return

Provisional Tax

9/1/2011

IS Communications

Invoice EXP28

Internet Service Provider

9/5/2011

EAG Brokers

Debit Order

9/13/2011

Training Inc

9/15/2011

Capital Bank

9/15/2011

6,600.00

20,000.00

220.00

100.00

6,400.00

234.00

Petty Cash Reimbursement

50.00

Petty Cash Reimbursement

-50.00

2,600.00

179.00

Insurance

340.00

Invoice

Course

277.48

Bank Statement

Service Fees

80.00

Capital Bank

Bank Statement

Service Fees

35.00

9/15/2011

IAS Accountants

Invoice

Bookkeeping

1,000.00

9/18/2011

Municipality

Statement

Rates

5,620.00

9/18/2011

QA Attorneys

Invoice

Legal advice

12,500.00

9/20/2011

Example (Pty) Ltd

Transfer

Inter Account Transfer

-20,000.00

9/20/2011

Example (Pty) Ltd

Transfer

Inter Account Transfer

20,000.00

9/21/2011

Interflora

Cash

Flowers

9/24/2011

XY Traders

Invoice11203

Commission

9/26/2011

Example (Pty) Ltd

Payroll

Salaries

9/26/2011

HP Finance

Debit Order

9/26/2011

HP Finance

Debit Order

9/26/2011

PR Properties

Debit Order

Rent

9/30/2011

Example (Pty) Ltd

Bank Statement

9/30/2011

Example (Pty) Ltd

Bank Statement

10/1/2011

IS Communications

Invoice EXP29

Internet Service Provider

10/4/2011

GF Supplies

IN1185

Consumables

10/4/2011

SA Airlines

SA12741

Travel

10/5/2011

EAG Brokers

Debit Order

Insurance

10/15/2011

Capital Bank

Bank Statement

Service Fees

10/15/2011

Capital Bank

Bank Statement

Service Fees

10/15/2011

IAS Accountants

Invoice

Bookkeeping

10/20/2011

Example (Pty) Ltd

Transfer

Inter Account Transfer

10/20/2011

Example (Pty) Ltd

Transfer

Inter Account Transfer

20,000.00

10/22/2011

Waltons

Invoice

Stationery

289.00

10/25/2011

Inland Revenue

Return

Sales Tax

3,300.00

10/26/2011

Example (Pty) Ltd

Payroll

Salaries

20,000.00

10/26/2011

HP Finance

Debit Order

Capital repayment

220.00

10/26/2011

HP Finance

Debit Order

Interest paid

100.00

90.00

4,242.00

20,000.00

Capital repayment

220.00

Interest paid

100.00

6,400.00

Petty Cash Reimbursement

100.00

Petty Cash Reimbursement

-100.00

179.00

62.00

1,887.00

340.00

80.00

35.00

1,000.00

-20,000.00

10/26/2011

PR Properties

Debit Order

Rent

6,400.00

10/28/2011

Interflora

Cash

10/31/2011

Example (Pty) Ltd

Bank Statement

Flowers

218.00

Petty Cash Reimbursement

200.00

10/31/2011

Example (Pty) Ltd

Bank Statement

Petty Cash Reimbursement

-200.00

11/1/2011
11/5/2011

IS Communications

Invoice EXP30

Internet Service Provider

179.00

EAG Brokers

Debit Order

Insurance

340.00

11/5/2011

XY Traders

Invoice 12987

Commission

982.00

11/15/2011

Capital Bank

Bank Statement

Service Fees

80.00

11/15/2011

Capital Bank

Bank Statement

Service Fees

35.00

11/15/2011

IAS Accountants

Invoice

Bookkeeping

1,000.00

11/19/2011

Interflora

Cash

Flowers

102.00

11/20/2011

Example (Pty) Ltd

Transfer

Inter Account Transfer

-20,000.00

11/20/2011

Example (Pty) Ltd

Transfer

Inter Account Transfer

20,000.00

11/26/2011

Example (Pty) Ltd

Payroll

Salaries

20,000.00

11/26/2011

HP Finance

Debit Order

Capital repayment

220.00

11/26/2011

HP Finance

Debit Order

Interest paid

100.00

11/26/2011

PR Properties

Debit Order

Rent

6,400.00

11/30/2011

Example (Pty) Ltd

Bank Statement

Petty Cash Reimbursement

170.00

11/30/2011

Example (Pty) Ltd

Bank Statement

Petty Cash Reimbursement

-170.00

12/1/2011

IS Communications

Invoice EXP31

Internet Service Provider

179.00

12/5/2011

EAG Brokers

Debit Order

Insurance

340.00

12/6/2011

Interflora

Cash

Flowers

96.00

12/15/2011

Capital Bank

Bank Statement

Service Fees

80.00

12/15/2011

Capital Bank

Bank Statement

Service Fees

35.00

12/15/2011

IAS Accountants

Invoice

Bookkeeping

1,000.00

12/17/2011

Newscorp

M00353051

Subscriptions

120.00

12/17/2011

Waltons

Invoice

Stationery

310.00

12/17/2011

XY Traders

Invoice 13432

Commission

962.00

12/20/2011

Example (Pty) Ltd

Transfer

Inter Account Transfer

-20,000.00

12/20/2011

Example (Pty) Ltd

Transfer

Inter Account Transfer

20,000.00

12/22/2011

GF Supplies

IN1192

Consumables

61.00

12/25/2011

Inland Revenue

Return

Sales Tax

12/26/2011

Example (Pty) Ltd

Payroll

Salaries

12/26/2011

HP Finance

Debit Order

12/26/2011

HP Finance

Debit Order

12/26/2011

PR Properties

Debit Order

Rent

12/31/2011

Example (Pty) Ltd

Bank Statement

12/31/2011

Example (Pty) Ltd

Bank Statement

1/1/2012

IS Communications

Invoice EXP32

1/5/2012

EAG Brokers

1/15/2012

Capital Bank

1/15/2012

8,400.00

20,000.00

Capital repayment

220.00

Interest paid

100.00

6,400.00

Petty Cash Reimbursement

100.00

Petty Cash Reimbursement

-100.00

Internet Service Provider

179.00

Debit Order

Insurance

340.00

Bank Statement

Service Fees

80.00

Capital Bank

Bank Statement

Service Fees

35.00

1/15/2012

IAS Accountants

Invoice

Bookkeeping

1,000.00

1/16/2012

Interflora

Cash

Flowers

105.00

1/20/2012

Example (Pty) Ltd

Transfer

Inter Account Transfer

-20,000.00

1/20/2012

Example (Pty) Ltd

Transfer

Inter Account Transfer

20,000.00

1/26/2012

Example (Pty) Ltd

Payroll

Salaries

20,000.00

1/26/2012

HP Finance

Debit Order

Capital repayment

1/26/2012

HP Finance

Debit Order

Interest paid

1/26/2012

PR Properties

Debit Order

Rent

1/26/2012

Training Inc

Invoice

1/28/2012

XY Traders

1/31/2012

Example (Pty) Ltd

1/31/2012
2/1/2012

220.00

100.00

6,400.00

Training

389.25

Invoice 14278

Commission

514.00

Bank Statement

Petty Cash Reimbursement

170.00

Example (Pty) Ltd

Bank Statement

Petty Cash Reimbursement

-170.00

IS Communications

Invoice EXP33

Internet Service Provider

179.00

2/5/2012

EAG Brokers

Debit Order

Insurance

340.00

2/11/2012

Waltons

Invoice

Stationery

289.00

2/15/2012

Capital Bank

Bank Statement

Service Fees

80.00

2/15/2012

Capital Bank

Bank Statement

Service Fees

35.00

2/15/2012

IAS Accountants

Invoice

Bookkeeping

1,000.00

2/20/2012

Example (Pty) Ltd

Transfer

Inter Account Transfer

-20,000.00

2/20/2012

Example (Pty) Ltd

Transfer

Inter Account Transfer

20,000.00

2/25/2012

Inland Revenue

Return

Sales Tax

2,200.00

2/25/2012

Interflora

Cash

Flowers

75.00

2/26/2012

DF Equipment

Invoice

Office equipment

10,000.00

2/26/2012

Example (Pty) Ltd

Payroll

Salaries

20,000.00

2/26/2012

HP Finance

Debit Order

Capital repayment

220.00

2/26/2012

HP Finance

Debit Order

Interest paid

2/26/2012

PR Properties

Debit Order

Rent

2/29/2012

Example (Pty) Ltd

Bank Statement

Petty Cash Reimbursement

2/29/2012

Example (Pty) Ltd

Bank Statement

Petty Cash Reimbursement

2/29/2012

Inland Revenue

Return

Provisional Tax

100.00

6,400.00

70.00

-70.00

3,700.00

Bank
Code

Account
Code

Payment
Date

B1

BS-500

3/2/2011

B1

IS-380

3/31/2011

B1

IS-375

4/1/2011

B1

IS-340

3/5/2011

B1

IS-315

3/15/2011

B2

IS-315

3/15/2011

B1

IS-305

4/2/2011

PC

IS-345

3/15/2011

B1

IS-390

3/18/2011

B2

BS-399

3/20/2011

B1

BS-399

3/20/2011

B2

IS-365

3/26/2011

B1

BS-700

3/26/2011

B1

IS-500

3/26/2011

B1

IS-350

3/26/2011

B1

BS-399

3/31/2011

PC

BS-399

3/31/2011

B1

IS-380

5/1/2011

B1

IS-340

4/5/2011

PC

IS-345

4/12/2011

B1

IS-315

4/15/2011

B2

IS-315

4/15/2011

B1

IS-305

5/3/2011

B2

BS-399

4/20/2011

B1

BS-399

4/20/2011

B1

BS-600

4/25/2011

B2

IS-365

4/26/2011

B1

BS-100

5/26/2011

B1

BS-700

4/26/2011

B1

IS-500

4/26/2011

B1

IS-350

4/26/2011

PC

IS-325

5/29/2011

B1

BS-399

4/30/2011

PC

BS-399

4/30/2011

B1

IS-380

5/31/2011

B1

IS-385

5/31/2011

B1

IS-340

5/5/2011

B1

IS-390

5/7/2011

B1

IS-370

6/6/2011

B1

IS-315

5/15/2011

B2

IS-315

5/15/2011

B1

IS-305

6/2/2011

B2

BS-399

5/20/2011

B1

BS-399

5/20/2011

B2

IS-365

5/26/2011

B1

BS-700

5/26/2011

B1

IS-500

5/26/2011

B1

IS-350

5/26/2011

PC

IS-345

5/29/2011

B1

BS-399

5/31/2011

PC

BS-399

5/31/2011

B1

IS-380

7/1/2011

B1

IS-340

6/5/2011

B1

IS-315

6/15/2011

B2

IS-315

6/15/2011

B1

IS-305

7/3/2011

B2

BS-399

6/20/2011

B1

BS-399

6/20/2011

PC

IS-345

6/22/2011

B1

BS-600

6/25/2011

B2

IS-365

6/26/2011

B1

BS-700

6/26/2011

B1

IS-500

6/26/2011

B1

IS-350

6/26/2011

B1

IS-390

6/26/2011

B1

BS-399

6/30/2011

PC

BS-399

6/30/2011

B1

IS-380

7/31/2011

B1

IS-370

8/1/2011

B1

IS-340

7/5/2011

B1

IS-315

7/15/2011

B2

IS-315

7/15/2011

B1

IS-305

8/2/2011

PC

IS-345

7/16/2011

B1

IS-325

8/16/2011

B2

BS-399

7/20/2011

B1

BS-399

7/20/2011

B1

IS-375

8/24/2011

B2

IS-365

7/26/2011

B1

BS-700

7/26/2011

B1

IS-500

7/26/2011

B1

IS-350

7/26/2011

B1

BS-399

7/31/2011

PC

BS-399

7/31/2011

B1

IS-380

8/31/2011

B1

IS-340

8/5/2011

PC

IS-345

8/9/2011

B1

IS-320

9/12/2011

B1

IS-315

8/15/2011

B2

IS-315

8/15/2011

B1

IS-305

9/2/2011

B1

IS-390

8/15/2011

B2

BS-399

8/20/2011

B1

BS-399

8/20/2011

B1

BS-200

8/21/2011

B1

BS-600

8/25/2011

B2

IS-365

8/26/2011

B1

BS-700

8/26/2011

B1

IS-500

8/26/2011

B1

IS-350

8/26/2011

B1

IS-370

9/26/2011

B1

BS-399

8/31/2011

PC

BS-399

8/31/2011

B1

IS-600

8/31/2011

B1

IS-380

10/1/2011

B1

IS-340

9/5/2011

B1

IS-385

10/13/2011

B1

IS-315

9/15/2011

B2

IS-315

9/15/2011

B1

IS-305

10/3/2011

B1

IS-395

9/18/2011

B1

IS-360

9/18/2011

B2

BS-399

9/20/2011

B1

BS-399

9/20/2011

PC

IS-345

9/21/2011

B1

IS-320

10/24/2011

B2

IS-365

9/26/2011

B1

BS-700

9/26/2011

B1

IS-500

9/26/2011

B1

IS-350

9/26/2011

B1

BS-399

9/30/2011

PC

BS-399

9/30/2011

B1

IS-380

10/31/2011

PC

IS-325

11/3/2011

B1

IS-390

10/4/2011

B1

IS-340

10/5/2011

B1

IS-315

10/15/2011

B2

IS-315

10/15/2011

B1

IS-305

11/2/2011

B2

BS-399

10/20/2011

B1

BS-399

10/20/2011

B1

IS-370

11/21/2011

B1

BS-600

10/25/2011

B2

IS-365

10/26/2011

B1

BS-700

10/26/2011

B1

IS-500

10/26/2011

B1

IS-350

10/26/2011

PC

IS-345

10/28/2011

B1

BS-399

10/31/2011

PC

BS-399

10/31/2011

B1

IS-380

12/1/2011

B1

IS-340

11/5/2011

B1

IS-320

12/5/2011

B1

IS-315

11/15/2011

B2

IS-315

11/15/2011

B1

IS-305

12/3/2011

PC

IS-345

11/19/2011

B2

BS-399

11/20/2011

B1

BS-399

11/20/2011

B2

IS-365

11/26/2011

B1

BS-700

11/26/2011

B1

IS-500

11/26/2011

B1

IS-350

11/26/2011

B1

BS-399

11/30/2011

PC

BS-399

11/30/2011

B1

IS-380

12/31/2011

B1

IS-340

12/5/2011

PC

IS-345

12/6/2011

B1

IS-315

12/15/2011

B2

IS-315

12/15/2011

B1

IS-305

1/2/2012

B1

IS-375

1/16/2012

B1

IS-370

1/16/2012

B1

IS-320

1/16/2012

B2

BS-399

12/20/2011

B1

BS-399

12/20/2011

PC

IS-325

1/21/2012

B1

BS-600

12/25/2011

B2

IS-365

12/26/2011

B1

BS-700

12/26/2011

B1

IS-500

12/26/2011

B1

IS-350

12/26/2011

B1

BS-399

12/31/2011

PC

BS-399

12/31/2011

B1

IS-380

1/31/2012

B1

IS-340

1/5/2012

B1

IS-315

1/15/2012

B2

IS-315

1/15/2012

B1

IS-305

2/2/2012

PC

IS-345

1/16/2012

B2

BS-399

1/20/2012

B1

BS-399

1/20/2012

B2

IS-365

1/26/2012

B1

BS-700

1/26/2012

B1

IS-500

1/26/2012

B1

IS-350

1/26/2012

B1

IS-385

1/31/2012

B1

IS-320

2/27/2012

B1

BS-399

1/31/2012

PC

BS-399

1/31/2012

B1

IS-380

B1

IS-340

B1

IS-370

B1

IS-315

2/15/2012

B2

IS-315

2/15/2012

2/5/2012

B1

IS-305

B2

BS-399

2/20/2012

B1

BS-399

2/20/2012

B1

BS-600

2/25/2012

PC

IS-345

2/25/2012

B1

BS-100

B2

IS-365

2/26/2012

B1

BS-700

2/26/2012

B1

IS-500

2/26/2012

B1

IS-350

2/26/2012

B1

BS-399

2/29/2012

PC

BS-399

2/29/2012

B1

IS-600

2/29/2012

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