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  • NerdDinner difficulties

    - by George
    Hello guys, I'm having a problem with the Create method of the NerdDinner tutorial, which is very good BTW. As you can see here http://nerddinnerbook.s3.amazonaws.com/Part5.htm in the Create method, he removed the ID field of the aspx page. I did that too, but I cannot add any dinners because I get a primary key violation. How is NerdDinner controlling the ids of each dinner? I revised the tutorial and could not see any references to identity fields on SQL database. I even created a method to get me the highest id in the table: public int GetHighestDinnerId() { int resultado = (from dinner in dataContext.Dinners select dinner.DinnerId).Max(); return resultado; } which does not work either. Any thoughts? Thank you

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  • String Utility Library for Code Generation

    - by Adam Barney
    CodeSmith has a nice StringUtils class that can be used to change database object names to singular, plural, camel case, pascal case, etc... Very useful for creating data access layers in their code generation tool. I'm trying to port some CodeSmith templates to the T4 template files used by Visual Studio, and I'm trying to find a similar library to do these things. There must be one somewhere in T4, since that's what is used to produce the LINQ to SQL classes, and it does a nice job of pluralization / singularization. Does anyone know where this library exists, or if a free library with similar functionality exists somewhere? Thanks!

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  • DB2 ZOS String Comparison Problem

    - by John
    I am comparing some CHAR data in a where clause in my sql like this, where PRI_CODE < PriCode The problem I am having is when the CHAR values are of different lengths. So if PRI_CODE = '0800' and PriCode = '20' it is returning true instead of false. It looks like it is comparing it like this '08' < '20' instead of like '0800' < '20' Does a CHAR comparison start from the Left until one or the other values end? If so how do I fix this? My values can have letters in it so convering to numeric is not an option.

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  • One to two relationship in Doctrine with YAML

    - by Jeremy DeGroot
    I'm working on my first Symfony project with Doctrine, and I've run into a hitch. I'm trying to express a game with two players. The relationship I want to have is PlayerOne and PlayerTwo each being keyed to an ID in the Users table. This is part of what I've got so far: Game: actAs: { Timestampable:- } columns: id: { type: integer, notnull: true, unique: true } startDate: { type: timestamp, notnull: true } playerOne: { type: integer, notnull: true } playerTwo: { type: integer, notnull: true } winner: { type: integer, notnull:true, default:0 } relations: User: { onUpdate: cascade, local: playerOne, foreign: id} User: { onUpdate: cascade, local: playerTwo, foreign: id} That doesn't work. It builds fine, but the SQL it generates only includes a constraint for playerTwo. I've tried a few other things: User: { onUpdate: cascade, local: [playerOne, playerTwo], foreign: id} Also: User: [{ onUpdate: cascade, local: playerOne, foreign: id}, { onUpdate: cascade, local: playerTwo, foreign: id}] Those last two throw errors when I try to build. Is there anyone out there who understands what I'm trying to do and can help me achieve it?

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  • Of transactions and Mongo

    - by Nuri Halperin
    Originally posted on: http://geekswithblogs.net/nuri/archive/2014/05/20/of-transactions-and-mongo-again.aspxWhat's the first thing you hear about NoSQL databases? That they lose your data? That there's no transactions? No joins? No hope for "real" applications? Well, you *should* be wondering whether a certain of database is the right one for your job. But if you do so, you should be wondering that about "traditional" databases as well! In the spirit of exploration let's take a look at a common challenge: You are a bank. You have customers with accounts. Customer A wants to pay B. You want to allow that only if A can cover the amount being transferred. Let's looks at the problem without any context of any database engine in mind. What would you do? How would you ensure that the amount transfer is done "properly"? Would you prevent a "transaction" from taking place unless A can cover the amount? There are several options: Prevent any change to A's account while the transfer is taking place. That boils down to locking. Apply the change, and allow A's balance to go below zero. Charge person A some interest on the negative balance. Not friendly, but certainly a choice. Don't do either. Options 1 and 2 are difficult to attain in the NoSQL world. Mongo won't save you headaches here either. Option 3 looks a bit harsh. But here's where this can go: ledger. See, and account doesn't need to be represented by a single row in a table of all accounts with only the current balance on it. More often than not, accounting systems use ledgers. And entries in ledgers - as it turns out – don't actually get updated. Once a ledger entry is written, it is not removed or altered. A transaction is represented by an entry in the ledger stating and amount withdrawn from A's account and an entry in the ledger stating an addition of said amount to B's account. For sake of space-saving, that entry in the ledger can happen using one entry. Think {Timestamp, FromAccountId, ToAccountId, Amount}. The implication of the original question – "how do you enforce non-negative balance rule" then boils down to: Insert entry in ledger Run validation of recent entries Insert reverse entry to roll back transaction if validation failed. What is validation? Sum up the transactions that A's account has (all deposits and debits), and ensure the balance is positive. For sake of efficiency, one can roll up transactions and "close the book" on transactions with a pseudo entry stating balance as of midnight or something. This lets you avoid doing math on the fly on too many transactions. You simply run from the latest "approved balance" marker to date. But that's an optimization, and premature optimizations are the root of (some? most?) evil.. Back to some nagging questions though: "But mongo is only eventually consistent!" Well, yes, kind of. It's not actually true that Mongo has not transactions. It would be more descriptive to say that Mongo's transaction scope is a single document in a single collection. A write to a Mongo document happens completely or not at all. So although it is true that you can't update more than one documents "at the same time" under a "transaction" umbrella as an atomic update, it is NOT true that there' is no isolation. So a competition between two concurrent updates is completely coherent and the writes will be serialized. They will not scribble on the same document at the same time. In our case - in choosing a ledger approach - we're not even trying to "update" a document, we're simply adding a document to a collection. So there goes the "no transaction" issue. Now let's turn our attention to consistency. What you should know about mongo is that at any given moment, only on member of a replica set is writable. This means that the writable instance in a set of replicated instances always has "the truth". There could be a replication lag such that a reader going to one of the replicas still sees "old" state of a collection or document. But in our ledger case, things fall nicely into place: Run your validation against the writable instance. It is guaranteed to have a ledger either with (after) or without (before) the ledger entry got written. No funky states. Again, the ledger writing *adds* a document, so there's no inconsistent document state to be had either way. Next, we might worry about data loss. Here, mongo offers several write-concerns. Write-concern in Mongo is a mode that marshals how uptight you want the db engine to be about actually persisting a document write to disk before it reports to the application that it is "done". The most volatile, is to say you don't care. In that case, mongo would just accept your write command and say back "thanks" with no guarantee of persistence. If the server loses power at the wrong moment, it may have said "ok" but actually no written the data to disk. That's kind of bad. Don't do that with data you care about. It may be good for votes on a pole regarding how cute a furry animal is, but not so good for business. There are several other write-concerns varying from flushing the write to the disk of the writable instance, flushing to disk on several members of the replica set, a majority of the replica set or all of the members of a replica set. The former choice is the quickest, as no network coordination is required besides the main writable instance. The others impose extra network and time cost. Depending on your tolerance for latency and read-lag, you will face a choice of what works for you. It's really important to understand that no data loss occurs once a document is flushed to an instance. The record is on disk at that point. From that point on, backup strategies and disaster recovery are your worry, not loss of power to the writable machine. This scenario is not different from a relational database at that point. Where does this leave us? Oh, yes. Eventual consistency. By now, we ensured that the "source of truth" instance has the correct data, persisted and coherent. But because of lag, the app may have gone to the writable instance, performed the update and then gone to a replica and looked at the ledger there before the transaction replicated. Here are 2 options to deal with this. Similar to write concerns, mongo support read preferences. An app may choose to read only from the writable instance. This is not an awesome choice to make for every ready, because it just burdens the one instance, and doesn't make use of the other read-only servers. But this choice can be made on a query by query basis. So for the app that our person A is using, we can have person A issue the transfer command to B, and then if that same app is going to immediately as "are we there yet?" we'll query that same writable instance. But B and anyone else in the world can just chill and read from the read-only instance. They have no basis to expect that the ledger has just been written to. So as far as they know, the transaction hasn't happened until they see it appear later. We can further relax the demand by creating application UI that reacts to a write command with "thank you, we will post it shortly" instead of "thank you, we just did everything and here's the new balance". This is a very powerful thing. UI design for highly scalable systems can't insist that the all databases be locked just to paint an "all done" on screen. People understand. They were trained by many online businesses already that your placing of an order does not mean that your product is already outside your door waiting (yes, I know, large retailers are working on it... but were' not there yet). The second thing we can do, is add some artificial delay to a transaction's visibility on the ledger. The way that works is simply adding some logic such that the query against the ledger never nets a transaction for customers newer than say 15 minutes and who's validation flag is not set. This buys us time 2 ways: Replication can catch up to all instances by then, and validation rules can run and determine if this transaction should be "negated" with a compensating transaction. In case we do need to "roll back" the transaction, the backend system can place the timestamp of the compensating transaction at the exact same time or 1ms after the original one. Effectively, once A or B visits their ledger, both transactions would be visible and the overall balance "as of now" would reflect no change.  The 2 transactions (attempted/ reverted) would be visible , since we do actually account for the attempt. Hold on a second. There's a hole in the story: what if several transfers from A to some accounts are registered, and 2 independent validators attempt to compute the balance concurrently? Is there a chance that both would conclude non-sufficient-funds even though rolling back transaction 100 would free up enough for transaction 117 (some random later transaction)? Yes. there is that chance. But the integrity of the business rule is not compromised, since the prime rule is don't dispense money you don't have. To minimize or eliminate this scenario, we can also assign a single validation process per origin account. This may seem non-scalable, but it can easily be done as a "sharded" distribution. Say we have 11 validation threads (or processing nodes etc.). We divide the account number space such that each validator is exclusively responsible for a certain range of account numbers. Sounds cunningly similar to Mongo's sharding strategy, doesn't it? Each validator then works in isolation. More capacity needed? Chop the account space into more chunks. So where  are we now with the nagging questions? "No joins": Huh? What are those for? "No transactions": You mean no cross-collection and no cross-document transactions? Granted - but don't always need them either. "No hope for real applications": well... There are more issues and edge cases to slog through, I'm sure. But hopefully this gives you some ideas of how to solve common problems without distributed locking and relational databases. But then again, you can choose relational databases if they suit your problem.

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  • Php PEAR, Database Abstraction & Factory Methods

    - by pws5068
    I'm interested in learning more about design practices in PHP for Database Abstraction & Factory methods. For background, my site is a special-interest social networking community currently in beta mode. Currently, I've started moving my old code for object retrieval to factory methods. However, I do feel like I'm limiting myself by keeping a lot of SQL table names and structure separated in each function/method. Questions: 1.) Is there a reason to use PEAR (or similar) if I dont anticipate switching databases? 2.) Can PEAR interface with the MySqli prepared statements I currently use? 3.) Will it help me separate table names from each method? (If no, what other design patterns might I want to research?) 4.) Will it slow down my site once I have a significantly large member base?

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  • Use ASP.NET Profile or not?

    - by DotnetDude
    I need to store a few attributes of an authenticated user (I am using Membership API) and I need to make a choice between using Profiles or adding a new table with UserId as the PK. It appears that using Profiles is quick and needs less work upfront. However, I see the following downsides: The profile values are squished into a single ntext column. At some point in the future, I will have SQL scripts that may update user's attributes. Querying a ntext column and trying to update a value sounds a little buggy to me. If I choose to add a new user specific property and would like to assign a default for all the existing users, would it be possible? My first impression has been that using profiles may cause maintainance headaches in the long run. Thoughts?

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  • Customizing Hibernate Criteria - Adding conditions to a left join

    - by Douglas Ferguson
    I need to be able to do the following: Select * from Table1 left join Table2 on id1 = id2 AND i1 = ? Hibernate criteria doesn't allow be to specify the i1 = ? part. The existing code is using hibernate criteria and it would be a huge refactor to swap out for HQL Does anybody have any tips how I could implement this differently or any way to override the Hibernate Criteria? I'm not opposed to cracking open hibernate and modifying, but when I began to dig it, there seems to be layers upon layers of abstractions. I never found the the point where SQL is actually generated...

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  • MS Access 2003 - Formatting results in a list box problem.

    - by Justin
    So I have a list box that displays averages in a table like format from a crossyab query. It's just what I need the query is right, there is just one thing. I had to set the field properties in the query as format: standard..decimal:2. Which is exactly what I needed. However..the list box will not pick up on this. First I typed the crosstab sql into the list box's properties....and then I ran into this problem. So then I actually just created the query object, saved it and set that as the rowsource for the list box. Still won't work....when I open the query it is the correct format. So is there a way to further format a text box? Is there a way tell it to limit decimal places to one or two on returned values? Thanks!

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  • How to create a custom ADO Multi Demensional Catalog with no database

    - by Alan Clark
    Does anyone know of an example of how to dynamically define and build ADO MD (ActiveX Data Objects Multidimensional) catalogs and cube definitions with a set of data other than a database? Background: we have a huge amount of data in our application that we export to a database and then query using the usual SQL joins, groups, sums etc to produce reports. The data in the application is originally in objects and arrays. The problem is the amount of data is so large the export can take 2 hours. So I am trying to figure out a good way of querying the objects in memory, either by a custom OLAP algorithm or library, or ADO MD. But I haven't been able to find an example of using ADO MD without a database behind it. We are using Delphi 2010 so would use ADO ActiveX but I imagine the ADO.NET MD is similar. I realize that if the application data was already stored in a database the problem would solve itself. Also if Delphi had LINQ capability I could query the objects and arrays that way.

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  • How to determine Jet database Engine Type programmatically

    - by MZB
    I have a program which needs to upgrade any Access (Jet) database it opens to JET Version4.x if it isn't already that version. (This enables use of SQL-92 syntax features) Upgrading is (relatively) easy. A call to the JRO.JetEngine object's CompactDatabase method (as described here) should do the trick, but before I do this I need to determine whether an upgrade is required. How do I determine the Jet OLEDB:Engine Type of an existing database? Can this be determined from an open OleDBConnection? Note: I'm talking about database versions, not Jet library versions. C# or .Net solution greatly appreciated.

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  • SharePoint filtered column that only allows item to be used once

    - by Jason
    I have a WSS 3.0 site that I use for change management. There are three primary lists on it -- a bug list, an enhancement list, and a release list. The release list has two lookup columns that provide a list of bugs and enhancements that are included in that particular release. I am trying to figure out how to filter the bug and enhancement list to include only items that have not already been included in another release. All the docs and examples I have seen regarding filtered lookups deal with a query on the list itself. For my situation, and if this was a SQL query, I would need to use a LEFT JOIN to generate the list.

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  • What risks are there in using extracted PHP superglobals?

    - by Zephiro
    Hola usando estas funciones, que riesgo corro en tener problemas de seguridad, es necesesario usar extract() o hay alguna manera mejor de convertir las variables superglobales (array) en trozos de variables. Good, there is some risk in using the function extract in the superglobal variables as $_POS and $_GET, I work of the following way. There is risk of SQL INJECTION or there is an alternative to extract if ( get_magic_quotes_gpc() ) { $_GET = stripslashes( $_GET ); $_POST =stripslashes( $_POST ); } function vars_globals($value = '') { if (is_array ( $value )) $r = &$value; else parse_str ( $value, $r ); return $r; } $r = vars_globals( $_GET ); extract($r, EXTR_SKIP);

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  • add method to reflection-object and named-scopes

    - by toy
    I Like to add a method to my has_many relation in the way that it is applyed on the relation object. I got an Order wich :has_many line_items I like to write things like order.line_items.calculate_total # returns the sum of line_items this I could do with: :has_many line_items do def calculate_total ... end end but this would not be applyed to named_scopes like payalbes_only: order.line_items.payables_only.calculate_total here calculate total would receive all line_items of order and not the scoped ones from payables_only-scope. My log tells me that the paybles_only scope is even not applied to the sql.

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  • How does mysql define DISTINCT()

    - by goran
    AFAIK SQL defines two uses of DISTINCT keywords - SELECT DISTINCT field... and SELECT COUNT(DISTINCT field) ... However in one of web applications that I administer I've noticed performance issues on queries like SELECT DISTINCT(field1), field2, field3 ... DISTINCT() on a single column makes no sense and I am almost sure it is interpreted as SELECT DISTINCT field1, field2, field3 ... but how can I prove this? I've searched mysql site for a reference on this particular syntax but could not find any. Does anyone have a link to definition of DISTINCT() in mysql or knows about other authoritative source on this? Best

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  • mySQL Left Join on multiple tables

    - by Jarrod
    Hi I'm really struggling with this query. I have 4 tables (http://oberto.co.nz/db-sql.png): Invoice_Payement, Invoice, Client and Calendar. I'm trying to create a report by summing up the 'paid_amount' col, in Invoice_Payment, by month/year. The query needs to include all months, even those with no data There query needs the condition (Invoice table): registered_id = [id] I have tried with the below query, which works, but falls short when 'paid_date' does not have any records for a month. The outcome is that month does not show in the results I added a Calendar table to resolved this but not sure how to left join to it. SELECT MONTHNAME(Invoice_Payments.date_paid) as month, SUM(Invoice_Payments.paid_amount) AS total FROM Invoice, Client, Invoice_Payments WHERE Client.registered_id = 1 AND Client.id = Invoice.client_id And Invoice.id = Invoice_Payments.invoice_id AND date_paid IS NOT NULL GROUP BY YEAR(Invoice_Payments.date_paid), MONTH(Invoice_Payments.date_paid) Please see the above link for a basic ERD diagram of my scenario. Thanks for reading. I've posted this Q before but I think I worded it badly.

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  • Core dump utility for .NET

    - by Dave
    In my past life as a COBOL mainframe developer I made extensive use of a tool called Abendaid which, in the event of an exception, would give me a complete memory dump including a formatted list of every variable in memory as well as a complete stack trace of the program with the offending statement highlighted. This made pinpointing the cause of an error much simpler and saved a lot of step-through debugging and/or trace statements. Now I've made the transition to C# and .NET web development I find that the information provided by ASP.NET only tells half the story, giving me a stack trace, but not any of the variable or class information. This makes debugging more difficult as you then have to run the process again with the debugger to try and reproduce the error, not easy with intermittent errors or with assemblies that run under the likes of SQL Server or CRM. I've looked around quite a lot for something that does this but I can't find anything obvious. Does anyone have any idea if there is one, or if not, what I'd need to start with in order to write one?

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  • Find Rows in Vertical Line-separated values in MySQl?

    - by Trez
    Let say i have a field 'category' with the value '1|2|3'. I want to search in mysql such that it will return all rows matching my search parameter into the values of the category. for example: $cat_id = 1; SELECT * FROM `myTable` WHERE cat_id is equal or found in category with values '1|2|3'... something like that..i do not know how to put it in correct sql query. Any Ideas? thanks in advance.

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  • sharepoint website error 403

    - by sinisana
    I just created a web application on Sharepoint and followed all the instructions as given. When i created web app, it created the Database on SQL and the new website on IIS. But when i goto browse that website, It gives me the following error - The website declined to show this webpage HTTP 403 Most likely causes: •This website requires you to log in. I dont have anywhere login required. What am i doing wrong? Anyone have this problem please help me. Thanks

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  • MySqli Prepared Statment Fetch Row

    - by pws5068
    I'm looking for an efficient way to select a specific row with a php prepared statement. $iDB = new mysqliDB(); $stmt = $iDB->prepare($sql); $stmt->bind_param('s',$searhStr); $stmt->execute(); $stmt->store_result(); $stmt->bind_result($objID,$typeID,$year,$updated); // Now jump to row $rowNumber echo("Obj ID = {$objID}"); Any suggestions? Thanks!

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  • please help me in this query

    - by testkhan
    I have three tables (user, friends, posts) and two users (user1 and user2). When user1 adds user2 as friend then user1 can see the posts of user2 just like on Facebook. But only the posts after the date when user1 added user2 as friend. My query is like this: $sql = mysql_query("SELECT * FROM posts p JOIN friends f ON p.currentuserid = f.friendid AND p.time >= f.friend_since OR p.currentuserid='user1id' WHERE f.myid='user1id' ORDER BY p.postid DESC LIMIT 20"); it is working all the way fine but with a little problem.....!! it displays user2, user3 (all the users as friends of user1) posts for single time but shows user1 posts multiple.......i.e user2. hi user1. userssfsfsfsfsdf user1. userssfsfsfsfsdf user3. dddddddd user1. sdfsdsdfsdsfsf user1. sdfsdsdfsdsfsf but i in database it is single entry/post why it is happening........!! How can I fix it?

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  • SSIS Data Flow Task Excel Source

    - by Gerard
    Hi, I have a data flow task set up in SSIS. The source is from an Excel source not an SQL DB. The problem i seem to get is that, the package is importing empty rows. My data has data in 555200 rows, but however when importing the SSIS package imports over 900,000 rows. The extra rows are imported even though the other empty. When i then download this table into excel there are empty rows in between the data. Is there anyway i can avoid this? Thanks Gerard

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  • Localized tables and Entity Framework

    - by Pyttroll
    Hi all, I have a scenario where I need to localized values of objects in my database. Let's say you have an application that can create animals, if the user is english the value of the "Name" property of an animal would be entered as "Cat" in the UI whereas it would be entered as "Chat" in french. The animal culture table would contain 2 records pointing to the same animal in the parent table. When reading values back, if the value of "Name" does not exist in the user culture the default value (value the object was originally created with) would be used. The following diagrams demonstrate how the data is stored in SQL: I'm trying to map this schema to an object model using the Entity Framework, I'm a bit confused as to what the best way to approach the problem. Is EF appropriate for this? Should I used EF4? This EF model will be used by .NET RIA Services. Thanks, Pierre-Yves Troel Ayuda Media Systems http://www.ayudasystems.com

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  • Windows 7: Loop through Taskbar items

    - by balint
    Hi, I'm trying to build a small utility for myself only to hide labels of running programs with windows visible in the taskbar where the label holds no information (for example "iTunes", "Microsoft SQL Server Mngmt Studio", "~cmd.exe") but keep windows like Windows Explorer and Visual Studio and MSN ungroupped, with labels (to know which folders you are currently listing, which projects are open, and who are you chatting with by name). I'm trying to loop through all windows in the taskbar on windows 7, but without any luck. I found some samples for XP's taskbar reorders, they no longer usable. I've checked the samples in WindowsAPICodePack for Windows 7 Taskbar manipulation, but it only lets me access my processes' windows.

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  • WPF Application - Role Management Recommendations

    - by David Ward
    I have a WPF application with a WCF service layer and a SQL database. I now want to restrict elements of the application so that certain functions are only available to those users with a particular role. For example, you will only be able to navigate to the settings screen if you are an administrator. I would like a user to be a member of 1 or more authorisation groups and each authorisation group to have 1 or more roles associated. A long time ago I used AzMan (Authorisation Manager) to do a similar thing. Does anyone think that there are better approaches? Is AzMan "old news"? Alternatives? Thanks.

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