member [Measures].[發放] as '(ClosingPeriod([日期].[日],[日期].CurrentMember), [Measures].[I_放款])/10000',solve_order =1,format = '#,#0'
member [Measures].[本月發放] as '([放款標志].[所有 放款標志].[所有發放貸款].[本年發放貸款].[本月發放貸款],[Measures].[發放])',solve_order =2,format = '#,#0'
因為[Measures].[本月發放]要先[Measures].[發放]
得到他的數據
才能知道[Measures].[本月發放]的數據
所以用solve_order來定義他們的順序