Search Results

Search found 106338 results on 4254 pages for 'code table'.

Page 108/4254 | < Previous Page | 104 105 106 107 108 109 110 111 112 113 114 115  | Next Page >

  • Execute code every hour

    - by Linger
    I need to create a web service that executes every hour. It will be used to review data in a database and add alerts to a table in the same database if certain conditions are met/not met. What we currently have is: We have end devices that use Python to report to an Amazon Web Services (AWS) virtual server. The AWS server takes that information and stores it in a MySQL database. The AWS server is Linux running Django and Apache. I need to be able to have some python code run every hour that verifies the data that has been stored by the end devices. If certain conditions are not met then a record will be added to the alerts table in the database. We originally contracted to have the above setup created. I am new to Python, Django, and Apache. However, I have already made several changes to the Python code that sends and also receives the data from the end devices. I am a coder that is breaking into web programming. Does anyone have any recommendations on how I can do this?

    Read the article

  • SQL Bits X – Temporal Snapshot Fact Table Session Slide & Demos

    - by Davide Mauri
    Already 10 days has passed since SQL Bits X in London. I really enjoyed it! Those kind of events are great not only for the content but also to meet friends that – due to distance – is not possible to meet every day. Friends from PASS, SQL CAT, Microsoft, MVP and so on all in one place, drinking beers, whisky and having fun. A perfect mixture for a great learning and sharing experience! I’ve also enjoyed a lot delivering my session on Temporal Snapshot Fact Tables. Given that the subject is very specific I was not expecting a lot of attendees….but I was totally wrong! It seems that the problem of handling daily snapshot of data is more common than what I expected. I’ve also already had feedback from several attendees that applied the explained technique to their existing solution with success. This is just what a speaker in such conference wish to hear! :) If you want to take a look at the slides and the demos, you can find them on SkyDrive: https://skydrive.live.com/redir.aspx?cid=377ea1391487af21&resid=377EA1391487AF21!1151&parid=root The demo is available both for SQL Sever 2008 and for SQL Server 2012. With this last version, you can also simplify the ETL process using the new LEAD analytic function. (This is not done in the demo, I’ve left this option as a little exercise for you :) )

    Read the article

  • MYSQL Merging 2 results into 1 table

    - by AlphaRomeo69
    Im building a c# program and am currently stuck at fetching data from MYSQL database and bind them to a grid view. I had been researching for a few days now but to no avail. I have 4 table in the database. table 1 - alpha table 2 - bravo table 3 - charlie table 4 - delta attributes of alpha (id, type, user, role ) attributes of bravo (id, type, date, user) attributes of charlie (id,type, cat, doneby, comment) atttibutes of delta (id,type, cat, doneby) * the pk of alpha and bravo is (id) * the pk of charlie and delta is (id, type) i did a query1 before by inner joinning alpha, bravo and charlie which leads to the sucessful result of (id, type, date, user, role, cat, doneby, comment) and i also did a query2 before by inner joinning alpha, bravo and delta which leads to the sucessful result of (id, type, date, user, role, cat, doneby) Right now, im trying to built a query3 which will merge the result from query1 and query2 together. the result of my attempts leads to (id, type, date, user, role, cat, doneby, comment,id, type, date, user, role, cat, doneby) As i do not want the repeated columns, I would like to seek advice on how to get the result to become like the one below by placing the records as a new tuple in the result table. (id, type, date, user, role, cat, doneby, comment) Thanks! P.S: the PK would not pose a problem due to (id, type)

    Read the article

  • Ruby: how to step through ruby code

    - by user1647484
    I'm trying to learn how to step through Ruby code (written by more experienced programmers) in order to improve my knowledge of Ruby. Problem is that I don't really know how to do it well. Googling the topic brought me to an about.com page on Ruby; I thought a higher quality more comprehensive answer should belong on StackOverflow, so if anyone can write an answer (with an example) for it, showing how a beginner can step through code to learn as much as possible about it, it'd be much appreciated.

    Read the article

  • ActiveRecord table inheritence using set_table_names

    - by Jinyoung Kim
    Hi, I'm using ActiveRecord in Ruby on Rails. I have a table named documents(Document class) and I want to have another table data_documents(DataDocument) class which is effectively the same except for having different table name. In other words, I want two tables with the same behavior except for table name. class DataDocument < Document #set_table_name "data_documents" self.table_name = "data_documents" end My solution was to use class inheritance as above, yet this resulted in inconsistent SQL statement for create operation where there are both 'documents' table and 'data_documents' table. Can you figure out why and how I can make it work? >> DataDocument.create(:did=>"dd") ActiveRecord::StatementInvalid: Mysql::Error: Unknown column 'data_documents.did' in 'where clause': SELECT `documents`.id FROM `documents` WHERE (`data_documents`.`did` = BINARY 'dd') LIMIT 1 from /Users/lifidea/.gem/ruby/1.8/gems/activerecord-2.3.2/lib/active_record/connection_adapters/abstract_adapter.rb:212:in `log' from /Users/lifidea/.gem/ruby/1.8/gems/activerecord-2.3.2/lib/active_record/connection_adapters/mysql_adapter.rb:320:in `execute' from /Users/lifidea/.gem/ruby/1.8/gems/activerecord-2.3.2/lib/active_record/connection_adapters/mysql_adapter.rb:595:in `select' from /Users/lifidea/.gem/ruby/1.8/gems/activerecord-2.3.2/lib/active_record/connection_adapters/abstract/database_statements.rb:7:in `select_all_without_query_cache' from /Users/lifidea/.gem/ruby/1.8/gems/activerecord-2.3.2/lib/active_record/connection_adapters/abstract/query_cache.rb:62:in `select_all'

    Read the article

  • Using Code Rocket's Flowchart and Pseudocode Tool Support

    This article provides a walk through of a couple of iterations of using Code Rocket's pseudocode and flowchart tool support for designing and implementing a form of binary search algorithm using the Code Rocket plug-in for Visual Studio...Did you know that DotNetSlackers also publishes .net articles written by top known .net Authors? We already have over 80 articles in several categories including Silverlight. Take a look: here.

    Read the article

  • Evaluation of CTEs in SQL Server 2005

    - by Jammer
    I have a question about how MS SQL evaluates functions inside CTEs. A couple of searches didn't turn up any results related to this issue, but I apologize if this is common knowledge and I'm just behind the curve. It wouldn't be the first time :-) This query is a simplified (and obviously less dynamic) version of what I'm actually doing, but it does exhibit the problem I'm experiencing. It looks like this: CREATE TABLE #EmployeePool(EmployeeID int, EmployeeRank int); INSERT INTO #EmployeePool(EmployeeID, EmployeeRank) SELECT 42, 1 UNION ALL SELECT 43, 2; DECLARE @NumEmployees int; SELECT @NumEmployees = COUNT(*) FROM #EmployeePool; WITH RandomizedCustomers AS ( SELECT CAST(c.Criteria AS int) AS CustomerID, dbo.fnUtil_Random(@NumEmployees) AS RandomRank FROM dbo.fnUtil_ParseCriteria(@CustomerIDs, 'int') c) SELECT rc.CustomerID, ep.EmployeeID FROM RandomizedCustomers rc JOIN #EmployeePool ep ON ep.EmployeeRank = rc.RandomRank; DROP TABLE #EmployeePool; The following can be assumed about all executions of the above: The result of dbo.fnUtil_Random() is always an int value greater than zero and less than or equal to the argument passed in. Since it's being called above with @NumEmployees which has the value 2, this function always evaluates to 1 or 2. The result of dbo.fnUtil_ParseCriteria(@CustomerIDs, 'int') produces a one-column, one-row table that contains a sql_variant with a base type of 'int' that has the value 219935. Given the above assumptions, it makes sense (to me, anyway) that the result of the expression above should always produce a two-column table containing one record - CustomerID and an EmployeeID. The CustomerID should always be the int value 219935, and the EmployeeID should be either 42 or 43. However, this is not always the case. Sometimes I get the expected single record. Other times I get two records (one for each EmployeeID), and still others I get no records. However, if I replace the RandomizedCustomers CTE with a true temp table, the problem vanishes completely. Every time I think I have an explanation for this behavior, it turns out to not make sense or be impossible, so I literally cannot explain why this would happen. Since the problem does not happen when I replace the CTE with a temp table, I can only assume it has something to do with the functions inside CTEs are evaluated during joins to that CTE. Do any of you have any theories?

    Read the article

  • Using a PivotTable to Count Items in Access

    - by Sandra
    I have a list of text entries and I want to count how often each entry appears in the list. e.g. Berlin Paris London London Paris Paris Paris The result would be Berlin 1 Paris 4 London 2 This result easy do to achieve with an pivot table in MS Excel (see: Count Items in Excel). My data not in spreadsheet in Excel but in a MS Access database table. So in order to avoid constant switching between Access and Excel and I would like to handle everything in Access (either Access 2007 or 2010). I know there are pivot tables in Access and I know how to display one, but I was unable to find out how to count the number of occurrences. Thank you!

    Read the article

  • Diff annotation tool

    - by l0b0
    Among the 11 proven practices for more effective, efficient peer code review, diff annotation seems to be the one particularly well suited to tool assistance. The article is written by the architect of SmartBear's CodeCollaborator, so he of course recommends using that. Does anyone know of any alternatives? I can't think of anything that would be even close to paper+pen+marker in pure developer efficiency when it comes to explaining a piece of code.

    Read the article

  • ADF Code Guidelines

    - by Chris Muir
    During Oracle Open World 2012 the ADF Product Management team announced a new OTN website, the ADF Architecture Square.  While OOW represents a great opportunity to let customers know about new and exciting developments, the problem with making announcements during OOW however is customers are bombarded with so many messages that it's easy to miss something important. So in this blog post I'd like to highlight as part of the ADF Architecture Square website, one of the initial core offerings is a new document entitled ADF Code Guidelines. Now the title of this document should hopefully make it obvious what the document contains, but what's the purpose of the document, why did Oracle create it? Personally having worked as an ADF consultant before joining Oracle, one thing I noted amongst ADF customers who had successfully deployed production systems, that they all approached software development in a professional and engineered way, and all of these customers had their own guideline documents on ADF best practices, conventions and recommendations.  These documents designed to be consumed by their own staff to ensure ADF applications were "built right", typically sourced their guidelines from their team's own expert learnings, and the huge amount of ADF technical collateral that is publicly available.  Maybe from manuals and whitepapers, presentations and blog posts, some written by Oracle and some written by independent sources. Now this is all good and well for the teams that have gone through this effort, gathering all the information and putting it into structured documents, kudos to them.  But for new customers who want to break into the ADF space, who have project pressures to deliver ADF solutions without necessarily working on assembling best practices, creating such a document is understandably (regrettably?) a low priority.  So in recognising this hurdle, at Oracle we've devised the ADF Code Guidelines.  This document sets out ADF code guidelines, practices and conventions for applications built using ADF Business Components and ADF Faces Rich Client (release 11g and greater).  The guidelines are summarized from a number of Oracle documents and other 3rd party collateral, with the goal of giving developers and development teams a short circuit on producing their own best practices collateral. The document is not a final production, but a living document that will be extended to cover new information as discovered or as the ADF framework changes. Readers are encouraged to discuss the guidelines on the ADF EMG and provide constructive feedback to me (Chris Muir) via the ADF EMG Issue Tracker. We hope you'll find the ADF Code Guidelines useful and look forward to providing updates in the near future. Image courtesy of paytai / FreeDigitalPhotos.net

    Read the article

  • Does query plan optimizer works well with joined/filtered table-valued functions?

    - by smoothdeveloper
    In SQLSERVER 2005, I'm using table-valued function as a convenient way to perform arbitrary aggregation on subset data from large table (passing date range or such parameters). I'm using theses inside larger queries as joined computations and I'm wondering if the query plan optimizer work well with them in every condition or if I'm better to unnest such computation in my larger queries. Does query plan optimizer unnest table-valued functions if it make sense? If it doesn't, what do you recommend to avoid code duplication that would occur by manually unnesting them? If it does, how do you identify that from the execution plan? code sample: create table dbo.customers ( [key] uniqueidentifier , constraint pk_dbo_customers primary key ([key]) ) go /* assume large amount of data */ create table dbo.point_of_sales ( [key] uniqueidentifier , customer_key uniqueidentifier , constraint pk_dbo_point_of_sales primary key ([key]) ) go create table dbo.product_ranges ( [key] uniqueidentifier , constraint pk_dbo_product_ranges primary key ([key]) ) go create table dbo.products ( [key] uniqueidentifier , product_range_key uniqueidentifier , release_date datetime , constraint pk_dbo_products primary key ([key]) , constraint fk_dbo_products_product_range_key foreign key (product_range_key) references dbo.product_ranges ([key]) ) go . /* assume large amount of data */ create table dbo.sales_history ( [key] uniqueidentifier , product_key uniqueidentifier , point_of_sale_key uniqueidentifier , accounting_date datetime , amount money , quantity int , constraint pk_dbo_sales_history primary key ([key]) , constraint fk_dbo_sales_history_product_key foreign key (product_key) references dbo.products ([key]) , constraint fk_dbo_sales_history_point_of_sale_key foreign key (point_of_sale_key) references dbo.point_of_sales ([key]) ) go create function dbo.f_sales_history_..snip.._date_range ( @accountingdatelowerbound datetime, @accountingdateupperbound datetime ) returns table as return ( select pos.customer_key , sh.product_key , sum(sh.amount) amount , sum(sh.quantity) quantity from dbo.point_of_sales pos inner join dbo.sales_history sh on sh.point_of_sale_key = pos.[key] where sh.accounting_date between @accountingdatelowerbound and @accountingdateupperbound group by pos.customer_key , sh.product_key ) go -- TODO: insert some data -- this is a table containing a selection of product ranges declare @selectedproductranges table([key] uniqueidentifier) -- this is a table containing a selection of customers declare @selectedcustomers table([key] uniqueidentifier) declare @low datetime , @up datetime -- TODO: set top query parameters . select saleshistory.customer_key , saleshistory.product_key , saleshistory.amount , saleshistory.quantity from dbo.products p inner join @selectedproductranges productrangeselection on p.product_range_key = productrangeselection.[key] inner join @selectedcustomers customerselection on 1 = 1 inner join dbo.f_sales_history_..snip.._date_range(@low, @up) saleshistory on saleshistory.product_key = p.[key] and saleshistory.customer_key = customerselection.[key] I hope the sample makes sense. Much thanks for your help!

    Read the article

  • Speaking At The Chicago Code Camp

    - by Tim Murphy
    I just got news that my talk on Office Open XML has been accepted for the Chicago Code Camp.  I hear that they will be announcing the full schedule of sessions soon.  Be sure to register and join us.  As a bonus the guys from .NET Rocks will be there. http://www.chicagocodecamp.com del.icio.us Tags: .NET Rocks,Chicago Code Camp,Speaking,OOXML SDK 2.0,OOXML,Office Open XML,PSC Group

    Read the article

  • running GL ES 2.0 code under Linux ( no Android no iOS )

    - by user827992
    I need to code OpenGL ES 2.0 bits and i would like to do this and run the programs on my desktop for practical reasons. Now, i already have tried the official GLES SDK from ATI for my videocard but it not even runs the examples that comes with the SDK itself, i'm not looking for performance here, even a software based rendering pipeline could be enough, i just need full support for GLES 2.0 and GLSL to code and run GL stuff. There is a reliable solution for this under Ubuntu Linux ?

    Read the article

  • SQL SERVER Size of Index Table for Each Index Solution 3 Powershell

    Laerte Junior If you are a Powershell user, the name of the Laerte Junior is not a new name. He is the one man with exceptional knowledge of Powershell. He is not only very knowledgeable, but also very kind and eager to those in need. I have been attempting to setup Powershell for many days, [...]...Did you know that DotNetSlackers also publishes .net articles written by top known .net Authors? We already have over 80 articles in several categories including Silverlight. Take a look: here.

    Read the article

  • SQL SERVER Size of Index Table for Each Index Solution 3 Powershell

    Laerte Junior If you are a Powershell user, the name of the Laerte Junior is not a new name. He is the one man with exceptional knowledge of Powershell. He is not only very knowledgeable, but also very kind and eager to those in need. I have been attempting to setup Powershell for many days, [...]...Did you know that DotNetSlackers also publishes .net articles written by top known .net Authors? We already have over 80 articles in several categories including Silverlight. Take a look: here.

    Read the article

  • How to: Show wait cursor in managed and native code

    - by TechTwaddle
    Someone on the MSDN forum asked about how to show a wait cursor, like when your application is loading or performing some (background) task. It’s pretty simple to show the wait cursor in both managed and native code, and in this post we will see just how. Managed Code (C#) Set Cursor.Current to Cursors.WaitCursor, and call Cursor.Show(). And to come back to normal cursor, set Cursor.Current to Cursors.Default and call Show() again. Below is a button handler for a sample app that I made, (watch the video below) private void button1_Click(object sender, EventArgs e) {     lblProgress.Text = "Downloading ether...";     lblProgress.Update();     Cursor.Current = Cursors.WaitCursor;     Cursor.Show();     //do some processing     for (int i = 0; i < 50; i++)     {         progressBar1.Value = 2 * (i + 1);         Thread.Sleep(100);     }     Cursor.Current = Cursors.Default;     Cursor.Show();     lblProgress.Text = "Download complete.";     lblProgress.Update(); }   Native Code In native code, call SetCursor(LoadCursor(NULL, IDC_WAIT)); to show the wait cursor; and SetCursor(LoadCursor(NULL, IDC_ARROW)); to come back to normal. The same button handler for native version of the app is below, case IDC_BUTTON_DOWNLOAD:     {         HWND temp;         temp = GetDlgItem(hDlg, IDC_STATIC_PROGRESS);         SetWindowText(temp, L"Downloading ether...");         UpdateWindow(temp);         SetCursor(LoadCursor(NULL, IDC_WAIT));         temp = GetDlgItem(hDlg, IDC_PROGRESSBAR);         for (int i=0; i<50; i++)         {             SendMessage(temp, PBM_SETPOS, (i+1)*2, 0);             Sleep(100);         }         SetCursor(LoadCursor(NULL, IDC_ARROW));         temp = GetDlgItem(hDlg, IDC_STATIC_PROGRESS);         SetWindowText(temp, L"Download Complete.");         UpdateWindow(temp);     }     break; Here is a video of the sample app running. First the managed version is deployed and the native version next,

    Read the article

  • Set default expand/colapse state on pivot tables

    - by CLockeWork
    The Setup I have a pivot table in tabular form pulling data from an Analysis Services Cube. I want to calculate the number of days between two dates, but the setup will only allow me to pull in all date elements, not just the date. I’ve been able to deal with this easily enough by just grouping all the columns: The Problem The default state for the expand/collapse buttons in the image above is often collapsed, but that means the dates I need aren’t there and you have to open the group and manually expand them. This also happens in some random ways (as shown in the image) where only some rows expand. The Question I need a way to set these sections to always be expanded, so that the user never has to open the group to expand the rows. Ideally I’d like to avoid VBA because our end users often block it, but if that’s what’s needed then so be it. Is there a way to set my pivot table to never collapse it’s predefined groups? Note the end user is using Excel 2010

    Read the article

  • Should all foreign table references use foreign key constraints

    - by TecBrat
    Closely related to: Foreign key restrictions -> yes or no? I asked a question on SO and it led me to ask this here. If I'm faced with a choice of having a circular reference or just not enforcing the restraint, which is the better choice? In my particular case I have customers and addresses. I want an address to have a reference to a customer and I want each customer to have a default billing address id and a default shipping address id. I might query for all addresses that have a certain customer ID or I might query for the address with the ID that matches the default shipping or billing address ids. I'm not sure yet how the constraints (or lack of) will effect the system as my application and it's data age.

    Read the article

  • Debugging site written mainly in JScript with AJAX code injection

    - by blumidoo
    Hello, I have a legacy code to maintain and while trying to understand the logic behind the code, I have run into lots of annoying issues. The application is written mainly in Java Script, with extensive usage of jQuery + different plugins, especially Accordion. It creates a wizard-like flow, where client code for the next step is downloaded in the background by injecting a result of a remote AJAX request. It also uses callbacks a lot and pretty complicated "by convention" programming style (lots of events handlers are created on the fly based on certain object names - e.g. current page name, current step name). Adding to that, the code is very messy and there is no obvious inner structure - the functions are scattered in the code, file names do not reflect the business role of the code, lots of functions and code snippets are most likely not used at all etc. PROBLEM: How to approach this code base, so that the inner flow of the code can be sort-of "reverse engineered" using a suite of smart debugging tools. Ideally, I would like to be able to attach to the running application and step through the code, breaking on each new function call. Also, it would be nice to be able to create a "diagram of calls" in the application (i.e. in order to run a particular page logic, this particular flow of function calls was executed in a particular order). Not to mention to be able to run a coverage analysis, identifying potentially orphaned code fragments. I would like to stress out once more, that it is impossible to understand the inner logic of the application just by looking at the code itself, unless you have LOTS of spare time and beer crates, which I unfortunately do not have :/ (shame...) An IDE of some sort that would aid in extending that code would be also great, but I am currently looking into possibility to use Visual Studio 2010 to do the job, as the site itself is a mix of Classic ASP and ASP.NET (I'd say - 70% Java Script with jQuery, 30% ASP). I have obviously tried FireBug, but I was unable to find a way to define a breakpoint or step into the code, which is "injected" into the client JS using AJAX calls (i.e. the application retrieves the code by invoking an URL and injects it to the client local code). Venkman debugger had similar issues. Any hints would be welcome. Feel free to ask additional questions.

    Read the article

  • Temp Table Recompiles

    - by Derek D.
    If you landed on this article, then you most likely know that temp tables can cause recompilation. This happens because temp tables are treated just like regular tables by the SQL Server Engine. When the tables (in which underlying queries rely on) change significantly, SQL Server detects this change (using auto update statistics) [...]

    Read the article

  • VB.NET LINQ to SQL Delete All Records

    - by Daniel
    I am having problems with deleting all records in a table with VB.NET. I am using this code to delete all records in the Contacts table For Each contact In database.Contacts database.Contacts.DeleteOnSubmit(contact) Next But I get this error Can't perform Create, Update or Delete operations on 'Table(Contact)' because it has no primary key. Anyone have any suggestions? Thanks

    Read the article

< Previous Page | 104 105 106 107 108 109 110 111 112 113 114 115  | Next Page >