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  • How Serializable works with insert in SQL Server 2005

    - by Spence
    G'day I think I have a misunderstanding of serializable. I have two tables (data, transaction) which I insert information into in a serializable transaction (either they are both in, or both out, but not in limbo). SET TRANSACTION ISOLATION LEVEL SERIALIZABLE BEGIN TRANSACTION INSERT INTO dbo.data (ID, data) VALUES (@Id, data) INSERT INTO dbo.transactions(ID, info) VALUES (@ID, @info) COMMIT TRANSACTION I have a reconcile query which checks the data table for entries where there is no transaction at read committed isolation level. INSERT INTO reconciles (ReconcileID, DataID) SELECT Reconcile = @ReconcileID, ID FROM Data WHERE NOT EXISTS (SELECT 1 FROM TRANSACTIONS WHERE data.id = transactions.id) Note that the ID is actually a composite (2 column) key, so I can't use a NOT IN operator My understanding was that the second query would exclude any values written into data without their transaction as this insert was happening at serializable and the read was occurring at read committed. I have evidence that reconcile is picking up entries

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  • SQL? "Show me all the Activities that can be performed by User X."

    - by Casey Fulton
    I'm at my wits end. I've searched like crazy, read plenty of database textbooks and God knows how many online guides, blogs and forums. Can someone put me out of my misery? PseudoSchema Diagram (Warning: although pretty, not in a format even remotely approaching ER diagrams! Primary keys are bold, foreign keys are italics.) Given the above set of tables relating Users to Groups to Privileges, and then a set of Activities that can each require a Privilege to perform, how do you find out this: Show me all the Activities that can be performed by User X. That is: User X is a member of groups G and F; groups G and F correlate to privileges P, Q, R and S; show me all the activities that require privileges either P, Q, R or S. How do you do this?

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  • SQL update fields of one table from fields of another one.

    - by Nir
    I'm having two tables: A [ID, column1, column2, column3] B [ID, column1, column2, column3, column4] A table will always be subset of B table (meaning all columns of A are also in B). I want to update a record with a specific ID in B with their data from A for all columns of A. This ID exists both in A and B. Is there an UPDATE syntax or any other way to do that without specifying the column names, just saying "set all columns of A"? I'm using postgresql, so a specific non-standard command is also accepted (however, not preferred). Thanks.

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  • Hibernate bug using Oracle?

    - by Lothar
    Hello, I've got the problem, that I use a property in the persistence.xml which forces Hibernate to look only for tables in the given schema. <property name="hibernate.default_schema" value="FOO"/> Because we are using now 4 different schemas the actual solution is to generate 4 war files with a modified persistence.xml. That not very elegant. Does anybody know, how I can configure the schema with a property or by manipulation the JDBC connection string? I'm using Oracle 10g, 10_2_3 Patch. Thanks a lot.

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  • import excel to sql db table

    - by droyce
    I am trying to write data from an excel spread sheet to a SQL Database. I have been able to connect to the Excel Spreadsheet and read the data but I am unable to get the data to insert into the SQL DB table. the current code is as follows any help most appreciated. Dim plmExcelCon As System.Data.OleDb.OleDbConnection Dim ldExcelDS As System.Data.DataSet Dim cmdLoadExcel As System.Data.OleDb.OleDbDataAdapter Dim PrmPathExcelFile As String PrmPathExcelFile = txtImportFileLocation.Text.ToString plmExcelCon = New System.Data.OleDb.OleDbConnection("Provider=Microsoft.ACE.OLEDB.12.0;Data Source=" + PrmPathExcelFile + ";Extended Properties=Excel 12.0;") cmdLoadExcel = New System.Data.OleDb.OleDbDataAdapter("select * from [" + txtImportSheetName.Text + "$]", plmExcelCon) ldExcelDS = New System.Data.DataSet cmdLoadExcel.Fill(ldExcelDS) dgvImportData.DataSource = ldExcelDS.Tables(0) plmExcelCon.Close() cmdINSERT.Parameters("@[SQL COLUMN NAME]").Value = [Not sure how to set value from datagrid view] cnLD.Open() cmdINSERT.ExecuteNonQuery() cnLD.Close()

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  • zfdatagrid : how to set the relative order of columns?

    - by user522350
    To those of you who are familiar with zfdatagrid for the Zend framework: I got a recordset by a JOIN query, say from tables s and t, now I want to set the order in which the columns appear in the deployed table. For example, 5th column of table t to appear at the leftmost side, then 3rd column of table s, then 2nd column of table t, then 4th column of table s. How do I do this? Whatever I tried, it always shows first the columns of the left table of the JOIN, then the columns of the right table of the JOIN. I only know how to tell it which columns to show, but not their order. Thanks!

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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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  • Access 2007 - Forms created on the fly

    - by glinch
    Hi There, Hopefully I can find some words of advice from somebody. Is it possible to create forms 'on-the fly' so to speak in MS-Access 2007 I have a structure of tables: tblCustomer tblQuestAns A customer may answer the questionnaire answers many times as they relate to all products. I propose to hopefully have an initial input form that will ask how many products of which there could be more than 1 eg: TV, Video (say the user selects 2) On entering that data the next form should hopefully update itself to include the list of questions eg TV Q1, Q2 Q3 - Video (1) Q1, Q2 Q3 - Video (2) Q1, Q2 Q3 Is that possible? Any point in the right direction would be appreciated. Thanks Noel

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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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  • Dependency Injection -Colloquial explanation

    - by nettguy
    Recently I was asked to express the DI in colloquial explanation. I answered : 1) I am going to a hotel.I ordered food.The hotel management asks me to clean the plates and clean the tables.So here i am a client,I am responsible for managing the service (Instantiating,executing,disposing).But DI decouples such tasks so the service consumer no need not worry about controlling the life cycle of the service. 2) He also asked is there any microsoft API follows DI ?.I answered (This was my guess) In WCF you can create a Proxy using ChannelFactory that controls the life time of your factory. for item (1) he said only 10% is correct for item(2) he said that is factory pattern not dependency injection. Actually what went wrong in my explanation (apart from my bad English) ? What is the real answers for those? I am waiting for your valuable suggestions.

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  • retrieve columns from sqlite3

    - by John Smith
    I have two tables in sqlite: CREATE TABLE fruit ('fid' integer, 'name' text); CREATE TABLE basket ('fid1' integer, 'fid2' integer, 'c1' integer, 'c2' integer); basket is supposed to have count c1 of fruit fid1 and c2 of fruit fid2 I created a view fruitbasket; create view fruitbasket as select * from basket inner join fruit a on a.fid=basket.fid1 inner join fruit b on b.fid=basket.fid2; it works (almost) as expected. When I type pragma table_info(fruitbasket); I get the following output 0|fid1|integer|0||0 1|fid2|integer|0||0 2|c1|integer|0||0 3|c2|integer|0||0 4|fid|integer|0||0 5|name|text|0||0 6|fid:1|integer|0||0 7|name:1|text|0||0 The problem is that I cannot seem to SELECT name:1. How can I do it other than going back and re-aliasing the columns?

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  • Mysql - Grouping the result based on a mathematical operation and SUM() function

    - by SpikETidE
    Hi all... I'm having the following two tables... Table : room_type type_id type_name no_of_rooms max_guests rate 1 Type 1 15 2 1254 2 Type 2 10 1 3025 Table : reservation reservation_id start_date end_date room_type booked_rooms 1 2010-04-12 2010-04-15 1 8 2 2010-04-12 2010-04-15 1 2 Now... I have this query SELECT type_id, type_name FROM room_type WHERE id NOT IN (SELECT room_type FROM reservation WHERE start_date >= '$start_date' AND end_date <= '$end_date') What the query does is it selects the rooms that are not booked between the start date and end date. Also, as you can see from the reservation table, we also have 'number of rooms booked between the two dates' factor also... I need to add this 'no.of booked rooms between the two dates' factor also in to the query... The query should return the type of rooms for which at least one room is free between the two dates. I worked out the logic but just can't represent it as a query....! How will you do this...? Thanks for your suggestions..!

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  • Query a column and a calculation of columns at the same time PostgreSQL

    - by pablo
    Hi I have two tables, Products and BundleProducts that have o2o relation with BaseProducts. A BundleProduct is a collection of Products using a m2m realtion to the Products table. Products has a price column and the price of a BundleProduct is calculated as the sum of the prices of its Products. BaseProducts have columns like name and description so I can query it to get both Products and BundleProducts. Is it possible to query and sort by price both for the price column of the Products and calculated price of the BundleProducts? Thanks

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  • When calling CRUD check if "parent" exists with read or join?

    - by Trick
    All my entities can not be deleted - only deactivated, so they don't appear in any read methods (SELECT ... WHERE active=TRUE). Now I have some 1:M tables on this entities on which all CRUD operations can be executed. What is more efficient or has better performance? My first solution: To add to all CRUD operations: UPDATE ... JOIN entity e ... WHERE e.active=TRUE My second solution: Before all CRUD operations check if entity is active: if (getEntity(someId) != null) { //do some CRUD } In getEntity there's just SELECT * FROM entity WHERE id=? AND active=TRUE. Or any other solution, recommendation,...?

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  • SQL - Joining multiple records to one record

    - by ho
    I've got a SQL Server database with the the following tables: Client (ClientID, ClientName) SalesAgent (AgentID, AgentName) Item (ItemID, Description) Purchase (PurchaseID, ClientID, Price) PurchaseSalesAgent (PurchaseID, AgentID) Each purchase is only ever one item to one client but there can have been multiple agents involved. I want to return the following list of columns: ClientName, Description, Price, Agents Where Agents is the names of all the agents involved in the purchase. Either as a comma separated list or as multiple columns with one agent in each. I'm looking for a way that's compatible with SQL Server 2000 but I'd also be interested in if there's a better way of doing it in SQL Server 2008.

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  • How do I get rid of extra lines in my output from Rails

    - by Dan B
    I am using Rails 2.1 to output tables from a database. But the output includes lots of extra lines and tabs. I am using a while loop with lots of nested if statements. I am also wrapping all of my non-output lines in <%- code -%. Any idea what might be happening and a solution? Thanks, ex: <tr> <td>Some data</td> <td>more data</td>

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  • access custom group

    - by Carlos
    I have my Access 2007 database configured to use "Custom" groups in the navigation pane. I've grouped all my tables in a way that makes sense. However, whenever I update a link table, it loses its grouping. I have not been able to find a way to avoid this. Since it seems to be unavoidable, I'd like to simply have a macro that adds the table back to the right group programatically. I have not found any examples on how to do this. Any suggestions?

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  • Reducing a normalized table to one value

    - by Dio
    Hello, I'm sure this has been asked but I'm not quite sure how to properly search for this question, my apologies. I have two tables, Foo and Bar. For has one row per Food, bar has many rows per food matching descriptors. Foo name id Apple 1 Orange 2 Bar id description 1 Tasty 1 Ripe 2 Sweet etc (sorry for the somewhat contrived example). I'm trying to return a query where if, for each row in Foo, Bar contains a descriptor in ('Tasty', 'Juicy') return true ex: Output Apple True Orange False I had been solving this somewhat trivially with a case when I only had one item to match select Foo.name, case bar.description when 'Tasty' then True else 'False' end from Foo left join Bar on foo.id = bar.id where bar.description = 'Tasty' But with multiple items, I keep ending up with extra rows: Output Apple True Apple False etc etc Can someone point me in the right direction on how to think about this problem or what I should be doing? Thank you.

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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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  • How do I make a sql query where fields are the result of a different query?

    - by CRP
    I have two tables, the first is like this: f1 | f2 | f3 | f4 ----------------- data.... the second contains info about the fields of the first: field | info ------------ f1 a f2 b f3 a etc. I would like to query the first table selecting the fields with a query on the second. So, for example, I might want to get data for fields where info is equal to "a", thus I would do "select f1, f3 from first_table". How do I do this programmatically? I was thinking about something along the lines of select (select fields from second_table where info='a') from first_table Thanks Chris

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  • Open source social network

    - by user72185
    I looked through the existing questions of this kind but didn't find what I was looking for so here goes. I need an open source framework where people can... Create user accounts Invite friends Have a friends list Write messages to each other (some kind of inbox system) Create posts on a standard message forum On top of this I will create some kind of game where users interact, so it must be posibble to extend the framework with new database tables and functionality. The platform is Windows, but other than that I'm willing to try pretty much anything. Thanks for suggestions!

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  • Combine SQL statement

    - by ninumedia
    I have 3 tables (follows, postings, users) follows has 2 fields - profile_id , following_id postings has 3 fields - post_id, profile_id, content users has 3 fields - profile_id, first_name, last_name I have a follows.profile_id value of 1 that I want to match against. When I run the SQL statement below I get the 1st step in obtaining the correct data. However, I now want to match the postings.profile_id of this resulting set against the users table so each of the names (first and last name) are displayed as well for all the listed postings. Thank you for your help! :) Ex: SELECT * FROM follows JOIN postings ON follows.following_id = postings.profile_id WHERE follows.profile_id = 1

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  • How do I find the user that has both a cat and a dog?

    - by brad
    I want to do a search across 2 tables that have a many-to-one relationship, eg class User << ActiveRecord::Base has_many :pets end class Pet << ActiveRecord::Base belongs_to :users end Now let's say I have some data like so users id name 1 Bob 2 Joe 3 Brian pets id user_id animal 1 1 cat 2 1 dog 3 2 cat 4 3 dog What I want to do is create an active record query that will return a user that has both a cat and a dog (i.e. user 1 - Bob). My attempt at this so far is User.joins(:pets).where('pets.animal = ? AND pets.animal = ?','dog','cat') Now I understand why this doesn't work - it's looking for a pet that is both a dog and a cat so returns nothing. I don't know how to modify this to give me the answer I want however. Does anyone have any suggestions? This seems like it should be easy - it doesn't seem like an especially unusual situation.

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  • How to add condition on multiple-join table

    - by Jean-Philippe
    Hi, I have those two tables: client: id (int) #PK name (varchar) client_category: id (int) #PK client_id (int) category (int) Let's say I have those datas: client: {(1, "JP"), (2, "Simon")} client_category: {(1, 1, 1), (2, 1, 2), (3, 1, 3), (4,2,2)} tl;dr client #1 has category 1, 2, 3 and client #2 has only category 2 I am trying to build a query that would allow me to search multiple categories. For example, I would like to search every clients that has at least category 1 and 2 (would return client #1). How can I achieve that? Thanks!

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  • Composite Primary and Cardinality

    - by srini.venigalla
    I have some questions on Composite Primary Keys and the cardinality of the columns. I searched the web, but did not find any definitive answer, so I am trying again. The questions are: Context: Large (50M - 500M rows) OLAP Prep tables, not NOSQL, not Columnar. MySQL and DB2 1) Does the order of keys in a PK matter? 2) If the cardinality of the columns varies heavily, which should be used first. For example, if I have CLIENT/CAMPAIGN/PROGRAM where CLIENT is highly cardinal, CAMPAIGN is moderate, PROGRAM is almost like a bitmap index, what order is the best? 3) What order is the best for Join, if there is a Where clause and when there is no Where Clause (for views) Thanks in advance.

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