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  • Find overdrawn accounts in SQL

    - by mazzzzz
    Hey guys, I have a program that allows me to run queries against a large database. I have two tables that are important right now, Deposits and withdraws. Each contains a history of every user. I need to take each table, add up every deposit and withdraws (per user), then subtract the withdraws from the deposits. I then need to return every user whos result is negative (aka they withdrew more then they deposited). Is this possible in one query? Example: Deposit Table: |ID|UserName|Amount| |1 | Use1 |100.00| |2 | Use1 |50.00 | |3 | Use2 |25.00 | |4 | Use1 | 5.00 | WithDraw Table: |ID|UserName|Amount| |2 | Use2 | 5.00 | |1 | Use1 |100.00| |4 | Use1 | 5.00 | |3 | Use2 |25.00 | So then the result would output: |OverWithdrawers| | Use2 | Is this possible (I sure don't know how to do it)? Thanks for any help, Max

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  • hOW TO INSERT DATA FROM ASP.NET TEXTBOX TO TWO DIFFERENT TABLE ON SINGLE BUTTON CLICK EVENT ?

    - by user559800
    I M USING THAT CODE TO INSERT INTO SINGLE TABLE ! HOW TO USE THIS CODE TO INSERT THE TEXTBOX TEXT TO MULTIPLE TABLES OF SAME COLUMN ON SINGLE BUTTON CLICK EVENT IN VB.NET ? Imports System.Data.SqlClient Protected Sub ImageButton1_Click(ByVal sender As Object, ByVal e As System.Web.UI.ImageClickEventArgs) Handles ImageButton1.Click Dim con As New SqlConnection Dim cmd As New SqlCommand con.ConnectionString = "Data Source=.\SQLEXPRESS;AttachDbFilename=|DataDirectory|\ASPNETDB.MDF;Integrated Security=True;User Instance=True" con.Open() cmd.Connection = con cmd.CommandText = "INSERT INTO a1_ticket (seat_remain) VALUES('" & Trim(Label1.Text) & "')" cmd.ExecuteNonQuery() con.Close() End Sub

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  • Different behavior for REF CURSOR between Oracle 10g and 11g when unique index present?

    - by wweicker
    Description I have an Oracle stored procedure that has been running for 7 or so years both locally on development instances and on multiple client test and production instances running Oracle 8, then 9, then 10, and recently 11. It has worked consistently until the upgrade to Oracle 11g. Basically, the procedure opens a reference cursor, updates a table then completes. In 10g the cursor will contain the expected results but in 11g the cursor will be empty. No DML or DDL changed after the upgrade to 11g. This behavior is consistent on every 10g or 11g instance I've tried (10.2.0.3, 10.2.0.4, 11.1.0.7, 11.2.0.1 - all running on Windows). The specific code is much more complicated but to explain the issue in somewhat realistic overview: I have some data in a header table and a bunch of child tables that will be output to PDF. The header table has a boolean (NUMBER(1) where 0 is false and 1 is true) column indicating whether that data has been processed yet. The view is limited to only show rows in that have not been processed (the view also joins on some other tables, makes some inline queries and function calls, etc). So at the time when the cursor is opened, the view shows one or more rows, then after the cursor is opened an update statement runs to flip the flag in the header table, a commit is issued, then the procedure completes. On 10g, the cursor opens, it contains the row, then the update statement flips the flag and running the procedure a second time would yield no data. On 11g, the cursor never contains the row, it's as if the cursor does not open until after the update statement runs. I'm concerned that something may have changed in 11g (hopefully a setting that can be configured) that might affect other procedures and other applications. What I'd like to know is whether anyone knows why the behavior is different between the two database versions and whether the issue can be resolved without code changes. Update 1: I managed to track the issue down to a unique constraint. It seems that when the unique constraint is present in 11g the issue is reproducible 100% of the time regardless of whether I'm running the real world code against the actual objects or the following simple example. Update 2: I was able to completely eliminate the view from the equation. I have updated the simple example to show the problem exists even when querying directly against the table. Simple Example CREATE TABLE tbl1 ( col1 VARCHAR2(10), col2 NUMBER(1) ); INSERT INTO tbl1 (col1, col2) VALUES ('TEST1', 0); /* View is no longer required to demonstrate the problem CREATE OR REPLACE VIEW vw1 (col1, col2) AS SELECT col1, col2 FROM tbl1 WHERE col2 = 0; */ CREATE OR REPLACE PACKAGE pkg1 AS TYPE refWEB_CURSOR IS REF CURSOR; PROCEDURE proc1 (crs OUT refWEB_CURSOR); END pkg1; CREATE OR REPLACE PACKAGE BODY pkg1 IS PROCEDURE proc1 (crs OUT refWEB_CURSOR) IS BEGIN OPEN crs FOR SELECT col1 FROM tbl1 WHERE col1 = 'TEST1' AND col2 = 0; UPDATE tbl1 SET col2 = 1 WHERE col1 = 'TEST1'; COMMIT; END proc1; END pkg1; Anonymous Block Demo DECLARE crs1 pkg1.refWEB_CURSOR; TYPE rectype1 IS RECORD ( col1 vw1.col1%TYPE ); rec1 rectype1; BEGIN pkg1.proc1 ( crs1 ); DBMS_OUTPUT.PUT_LINE('begin first test'); LOOP FETCH crs1 INTO rec1; EXIT WHEN crs1%NOTFOUND; DBMS_OUTPUT.PUT_LINE(rec1.col1); END LOOP; DBMS_OUTPUT.PUT_LINE('end first test'); END; /* After creating this index, the problem is seen */ CREATE UNIQUE INDEX unique_col1 ON tbl1 (col1); /* Reset data to initial values */ TRUNCATE TABLE tbl1; INSERT INTO tbl1 (col1, col2) VALUES ('TEST1', 0); DECLARE crs1 pkg1.refWEB_CURSOR; TYPE rectype1 IS RECORD ( col1 vw1.col1%TYPE ); rec1 rectype1; BEGIN pkg1.proc1 ( crs1 ); DBMS_OUTPUT.PUT_LINE('begin second test'); LOOP FETCH crs1 INTO rec1; EXIT WHEN crs1%NOTFOUND; DBMS_OUTPUT.PUT_LINE(rec1.col1); END LOOP; DBMS_OUTPUT.PUT_LINE('end second test'); END; Example of what the output on 10g would be:   begin first test   TEST1   end first test   begin second test   TEST1   end second test Example of what the output on 11g would be:   begin first test   TEST1   end first test   begin second test   end second test Clarification I can't remove the COMMIT because in the real world scenario the procedure is called from a web application. When the data provider on the front end calls the procedure it will issue an implicit COMMIT when disconnecting from the database anyways. So if I remove the COMMIT in the procedure then yes, the anonymous block demo would work but the real world scenario would not because the COMMIT would still happen. Question Why is 11g behaving differently? Is there anything I can do other than re-write the code?

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  • Best way to construct this query?

    - by Andrew
    I have two tables set up similar to this (simplified for the quest): actions- id - user_id - action - time users - id - name I want to output the latest action for each user. I have no idea how to go about it. I'm not great with SQL, but from what I've looked up, it should look something like the following. not sure though. SELECT `users`.`name`, * FROM users, actions JOIN < not sure what to put here > ORDER BY `actions`.`time` DESC < only one per user_id > Any help would be appreciated.

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  • SELECT(IF(IN query.

    - by Harold
    There are 3 tables. Products, Options and Prod_Opts_relations. The latter holds product_id and option_id so i should be able to figure out which options are selected for any given product. Now i want to retrieve all options from the options table where the value of an extra alias field should hold checked or unchecked depending on the existance of a mathing record in the relations table for a give product id. Thus far i came up with this: SELECT IF(IN(SELECT id_option FROM prod_opt_relations WHERE id_product='18'),'y','n') AS booh ,optionstable.id AS parent_id ,optionstable.name_en AS parent_english ,optionstable.name_es AS parent_spanish FROM product_options AS optionstable WHERE 1 resulting in syntax errors. Alas i just cannot figure out where things go wrong here

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  • MySQL query : all records of one table plus count of another table

    - by Ricardo
    Hello Guys! I have 2 tables: User and Picture. The Picture table has the key of the user. So basically each user can have multiple pictures, and each picture belongs to one user. Now, I am trying to make the following query: I want to select all the user info plus the total number of pictures that he has (even if it's 0). How can I do that? Probably it sounds quite simple, but I am trying and trying and can't seem to find the right query. The only thing I could select is this info, but only for users that have at least 1 picture, meaning that the Pictures table has at least one record for that key... But I also wanna consider the users that don't have any. Any idea? Thanks!

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  • Add all lines multiplied by another line in another table

    - by russell
    Hi, I hope I can explain this good enough. I have 3 tables. wo_parts, workorders and part2vendor. I am trying to get the cost price of all parts sold in a month. I have this script. $scoreCostQuery = "SELECT SUM(part2vendor.cost*wo_parts.qty) as total_score FROM part2vendor INNER JOIN wo_parts ON (wo_parts.pn=part2vendor.pn) WHERE workorder=$workorder"; What I am trying to do is each part is in wo_parts (under partnumber [pn]). The cost of that item is in part2vendor (under part number[pn]). I need each part price in part2vendor to be multiplied by the quantity sold in wo_parts. The way all 3 tie up is workorders.ident=wo_parts.workorder and part2vendor.pn=wo_parts.pn. I hope someone can assist. The above script does not give me the same total as when added by calculator.

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  • ASP.NET - Update Dataset directly to DB

    - by karthik
    Hi, Description: I wanted to update dataset to database in Asp.NET. Instead of retrieving the entire table, I am retrieving only one record using the following statement :- select * from Products where ProductID=3 Now I wanted to update dataset directly in to DB by using following statements (DAP 4.1) db.UpdateDataSet(ds, ds.Tables[0].TableName, null, cmdupdate, null, UpdateBehavior.Standard); Questions Can I Retrieve only one row from DB while a lot of other records are there and update back using Adapter update? ( In other words, I am not selecting all records from table) I am using Data Application Block 4.1? It will work there right? If anyone can give example for update will be great ( with Procedures). Thanks Ka

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  • VendInvoiceJour.InvoiceAccount <- VendTable.AccountNum relation

    - by vukis
    Hi. I have following situation: I need to join VendInvoiceJour.InvoiceAccount <- VendTable.AccountNum and take VendTable.Vendgroup. In all cases (queries,or even views) Dynamics ax joins tables VendInvoiceJour.OrderAccount<- VendTable.AccountNum not VendInvoiceJour.InvoiceAccount <- VendTable.AccountNum. I`m trying to use this kind of query: qBdSVendJour = element.query().dataSourceTable(tablenum(VendInvoiceJour)); qBdSVendTbl = qBdSVendJour.addDataSource(tablenum(VendTable)); qBdSVendTbl.relations(true); qBdSVendTbl.joinMode(JoinMOde::InnerJoin); qBdSVendTbl.fetchMode(QueryFetchMode::One2One); qBdSVendTbl.addLink(FieldNum(VendInvoiceJour,InvoiceAccount),FieldNum(VendTable,AccountNum));//(Dynamics ax automaticaly corrects InvoiceAccount to orderaccount in reports if trying this link in morphx)

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  • Please suggest me the best way to design my database.

    - by Raymond Ho
    I have a table named "Pages" and a table named "Categories". Each entry of the table "Pages" is linked to the table "Categories". The "Categories" table have 5 entries, they are: "Car", "Websites", "Technology", "Mobile Phones", and "Interest". So each time I put an entry to the "Pages" table, I need to map it to the "Categories" table so are arranged properly. Here's my table: Pages ______ id [PK] name url Categories ______ id [PK] Categoryname Pages2Categories ______ Pages.id Categories.id So my question is, is this the most efficient way to create this kind of relationships between tables? It seems very amateur

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  • DataReader or DataSet when pulling multiple recordsets in ASP.NET

    - by Gern Blandston
    I've got an ASP.NET page that has a bunch of controls that need to be populated (e.g. dropdown lists). I'd like to make a single trip to the db and bring back multiple recordsets instead of making a round-trip for each control. I could bring back multiple tables in a DataSet, or I could bring back a DataReader and use '.NextResult' to put each result set into a custom business class. Will I likely see a big enough performance advantage using the DataReader approach, or should I just use the DataSet approach? Any examples of how you usually handle this would be appreciated.

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  • Cast Object to JTable?

    - by Chris
    I am trying to implement a ListSelectionListener for some of my JTables. Simply (at the moment) the ListSelectionListener is supposed to simply return the text of the cell that was selected. My program design has several JTables and I would like to have one ListSelectionListener work for them all. In the valueChanged event of the ListSelectionListener I thought it was possible to do something like: private class SelectionHandler implements ListSelectionListener { public void valueChanged(ListSelectionEvent e) { JTable table = (JTable)e.getSource(); String data = (String) table.getValueAt(table.getSelectedRow(), 0); // Print data } } But when I do this I a ClassCastException error. Is there a way to do something like this? One solution I thought of was to compare the source of the event (e.getSource()) to all my JTables to see if they were equivalent (big if block) and then just calling .getValueAt inside that block but that would making the code in the future difficult if tables were to be added or removed.

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  • LInq to SQL - Partial Class - C#

    - by Mark Comix
    Hi, I have a system with 2 different projects, one is called LINQ_Extensions and the other is ORM_Linq. On ORM_Linq i have the LINQ diagram with the SQL tables "converted" in clases. One of the Class is called "Tipos_Pago" In the other project i have another class (partial class) "Tipos_Pago". I want to use the method OnValidate to validate the properties include in the class "Tipos_Pago", so i create this partial class. In the 2 projects i put the same NameSpace "ORM_Linq"(I changed the NameSpace of the project "LINQ_Extensions" to have the same of the project "ORM_Linq") After those chages, Visual Studio give me this error: Error 1 No defining declaration found for implementing declaration of partial method 'ORM_Linq.Tipos_Pago.OnValidate(System.Data.Linq.ChangeAction)' C..\Tipos_Pago.cs 13 22 Extensiones_Linq I don't have any Idea of what happend, can someone help me? Thanks, sorry for my poor english This is the code in the partial class: namespace ORM_Linq { public partial class Tipos_Pago { partial void OnValidate(System.Data.Linq.ChangeAction action) { //Valid code } } }

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  • MySQL Locking table from Stored FUNCTION

    - by Brandon
    I have a function in a MySQL Database that determines some sync parameters for a mobile device. The function determines the last date/time the user synchronized with the database. During my sync operation I call this server side function twice. As soon as I call it the second time - the entire Sync_Records table is locked. I cannot write to it from any other connection anywhere (note, after first call, the table is not locked). I changed the function to a Procedure - and all is fine - no locking after the second call. The entire sync operation (including both calls to the function/procedure) is within a transaction. This is an InnoDb table. The function/procedure simply does two select statements. They are storing results in local variables and then returning the date time variable. I don't understand why the tables are locked. Does anyone have any ideas?

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  • Browser gets blocked, workers to the rescue?

    - by tb_selleo
    Hello, I use JavaScript for rendering 20 tables of 100 rows each. The data for each table is provided by controller as JSON. Each table is split into section that have "totals" and have some other JavaScript logic code. Some totals are outside of the table itself. As a result JavaScript blocks browser for a couple of seconds (especially in IE6) :( I was consideting to use http://code.google.com/p/jsworker/, however Google Gears Workers (I guess workers in general) will not allow me to make changes to DOM at the worker code, and also it seems to me that I can not use jQuery inside jsworker worker code. (Maybe I am wrong here?). This issue seems to be fundamental to the JavaScript coding practice, can you share with me your thoughts how to approach it?

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  • MYSQL Query with 2 columns in Table A related to 1 column in Table B

    - by CYREX
    I have 2 Tables, User and Mail. In User Table i have 2 columns that i will use, the ID column which makes the relation with the Mail Table and it is the Index of User Table and the Name column. In Mail Table i have Receiver Column and Sender Column. Both columns, Receiver and Sender have a number that relates to the ID Column in the User Table. In the User Table is where the name columns resides and i want to make a query that shows me the Receiver and Sender Columns but with the name of the user, not the ID. Up to this point i have this: SELECT name AS Send, name AS Receive FROM mail,user WHERE sender=guid; I know there is still a part of the query missing but i can not figure out what else to put to tell it to show in the SEND output column the name of the sender and in the RECEIVE output column the name of the receiver.

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  • Assigning a previous fieldvalue to a field in the next record

    - by user2945849
    I am working on a loan amortization schedule using Access, I have created the following tables: tblMembers - autoMemberID|txtLN|txtFN|etc tblLoans - autoLoanID|numMemberID|etc tblSchedules -autoScheduleID|numLoanID|numPayment#|datDue|dblBegin|...|dblEnd tblPayments - autoPaymID|numLoanID|curAmtPaid|datPaidDate and forms: frmLoans - autoLoanID|etc sbfSchedules - numPaymID|datDue|dblBegin|...|dblEnd sbfPayments - dblAmount|datPaid I have been able to generate the schedule (using DAO recordset) clicking a btnRepaymentSchedule the challenge is when I click a btnAddPayment still on the sbfSchedules, I want the value of the dblEnd field to be the value of the next record dblBegin field! I have tried using dlookup(txtBeginBalance = Dlookup("EndBalance", _ "Schedules","[ScheduleID] = Form![Schedules]![ScheduleID]-1) but there is no effect but if I use txtBeginBalance = txtEndBalance the value of txtEndBalance is assigned to the value of txtBeginBalance of the same record (want next record). Secondly, how can I set focus to the next record if a contro(txtAmountPaid) is not null on clicking the btnAddPayment or assigning the value of a calculation when the control is 0 or null ? Thanks

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  • Injecting relationships in DBIx::Class

    - by Carl
    I have a handful of DBIx::Class::Core objects that model various database tables. For some of those models (those that have a 'queue' column), I have another class inject subs (basically, to 'move' the model object along it's queue states). I'd like to also have that class inject has_many relationships ala class($name)->has_many('queue_history','MySchema::Result::QueueHistory', { 'foreign.record_id'=>'self.id' }, { where => { type => $name }} ); but I can't seem to get the relationships to register properly (keep getting "No Such Relationship" errors - however, when calling the relationship method on the sources provides back the relationship). Any clues as to what's wrong?

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  • How do I load only a single wordpress post via the url?

    - by Jared
    Hello, We are currently undergoing some reworking of our website - in the meantime, I am looking for a quick a dirty fix. We have wordpress setup, so that no-so-tech-savvy employees can add events, news, etc. However, there are currently sections on our site dedicated to what would be tags in Wordpress. For instance, we have posts in WP with the tag "events." It's easy enough to display all posts with that tag, but I need to do a PHP include on our old site, and only show JUST THE POST. I can use a rss2html tool, but it strips out somethings like necessary tables. So how do Display only a single WP post, without anything else (no menus, settings, no Wp interface) via a URL? I could use a theme that is stripped down (by using something like theme switcher), but I need it to only load that theme once, not be the default theme....

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  • How can I collapse a dataframe by some variables, taking mean across others

    - by Alex Holcombe
    I need to summarize a data frame by some variables, ignoring the others. This is sometimes referred to as collapsing. E.g. if I have a dataframe like this: Widget Type Energy egg 1 20 egg 2 30 jap 3 50 jap 1 60 Then collapsing by Widget, with Energy the dependent variable, Energy~Widget, would yield Widget Energy egg 25 jap 55 In Excel the closest functionality might be "Pivot tables" and I've worked out how to do it in python (http://alexholcombe.wordpress.com/2009/01/26/summarizing-data-by-combinations-of-variables-with-python/), and here's an example with R using doBy library to do something very related (http://www.mail-archive.com/[email protected]/msg02643.html), but is there an easy way to do the above? And even better is there anything built into the ggplot2 library to create plots that collapse across some variables?

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  • Why is rails setting ":null => false" on all my columns in schema.rb?

    - by ryeguy
    Even if I never specify :null => false in my migrations that initially add columns to tables, rails still generates code in schema.rb that specifies the columns as having :null => false. Why is this? If I develop on my box, and then use rake db:schema:load on my production box, I'm going to get very different behavior! Edit: Even if I delete schema.rb and run rake db:schema:dump, it still puts :null => false on the new schema even if it isn't defined like that in the actual database. It seems it can't tell whether or not a column is marked as allowing nulls. I'm using SQLite if that helps.

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  • Advanced queries in HBase

    - by Teflon Ted
    Given the following HBase schema scenario (from the official FAQ)... How would you design an Hbase table for many-to-many association between two entities, for example Student and Course? I would define two tables: Student: student id student data (name, address, ...) courses (use course ids as column qualifiers here) Course: course id course data (name, syllabus, ...) students (use student ids as column qualifiers here) This schema gives you fast access to the queries, show all classes for a student (student table, courses family), or all students for a class (courses table, students family). How would you satisfy the request: "Give me all the students that share at least two courses in common"? Can you build a "query" in HBase that will return that set, or do you have to retrieve all the pertinent data and crunch it yourself in code?

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  • Managing Data Prefetching and Dependencies with .NET Typed Datasets

    - by Derek Morrison
    I'm using .NET typed datasets on a project, and I often get into situations where I prefetch data from several tables into a dataset and then pass that dataset to several methods for processing. It seems cleaner to let each method decide exactly which data it needs and then load the data itself. However, several of the methods work with the same data, and I want the performance benefit of loading data in the beginning only once. My problem is that I don't know of a good way or pattern to use for managing dependencies (I want to be sure I load all the data that I'm going to need for each class/method that will use the dataset). Currently, I just end up looking through the code for the various classes that will use the dataset to make sure I'm loading everything appropriately. What are good approaches or patterns to use in this situation? Am I doing something fundamentally wrong? Although I'm using typed datasets, this seems like it would be a common situation where prefetching data is used. Thanks!

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  • Microsoft Sync Framework - How to reprovision a table (or entire scope) after schema changes?

    - by Rabbi
    I have already setup syncing with Microsoft Sync Framework, and now I need to add fields to a table. How do I re-provision the databases? The setup is exceedingly simple: Two SQL Express 2008 servers The scope includes the entire database Using Microsoft Sync Framework 2.0 Synchronizing by direct access. Using the standard new SqlSyncProvider Do I make the structural changes at both ends? Or do I only change one server and let Sync Framework somehow propagate the change? Do I need to delete the _tracking tables and/or the stored procedures? How about the triggers? Has anyone been using the Sync Framework? Please help.

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  • Custom OData operation / customize EF model to hide join table in many-to-many relationship

    - by AC
    I've got a data model that has two tables with a join table for a many to many relationship & creating an OData service to expose the data for CRUD ops in a Silverlight app. What I'd like to do is abstract the join table from the service. I'm not sure if the best way to do this would be in the model (using EF in .NET3.5SP1) or if I should do it with a custom service operation. If I do it in the EF model (not sure how I'd do this), then the OOTB WCF Data Service stuff would make it easy to say [..]/Courses(1)/Modules ... otherwise I'd have to create a custom operation to do this. Is it possible to do this in the EF model and if so, how does that work?

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