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  • Trac/SVN to DVCS Migration

    - by quanticle
    The project I'm currently working on is using Trac, with SVN integration. It's worked great until now. Now, however, we've taken on some additional developers and we're running into issues with branching and merging. Because of this, I think a move to a distributed version control system is in order. The problem is that Trac is very closely integrated with the SVN repository. We have tight integration between the tickets and the revision numbers of code changes corresponding to those tickets. In addition we have a support wiki that has a lot of data that helps the tech. support team. Is there a way we can migrate to git or mercurial without losing the benefits of Trac? I've looked at the git plugin for Trac, and I'm unsure of how well it works. Has anyone here used it with a project that's been migrated from SVN? EDIT: I should note that the most important priority for us is maintaining the links between Trac tickets and the corresponding changesets in SVN. That's a tool that we use every day, and it provides an easy way to jump to code changes when reviewing tickets. Wiki migration would be nice to have, but if it's not possible, we can continue to run the old system whilst we write some kind of a one-off script to migrate the content.

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  • Are there any good examples of open source C# projects with a large number of refactorings?

    - by Arjen Kruithof
    I'm doing research into software evolution and C#/.NET, specifically on identifying refactorings from changesets, so I'm looking for a suitable (XP-like) project that may serve as a test subject for extracting refactorings from version control history. Which open source C# projects have undergone large (number of) refactorings? Criteria A suitable project has its change history publicly available, has compilable code at most commits and at least several refactorings applied in the past. It does not have to be well-known, and the code quality or number of bugs is irrelevant. Preferably the code is in a Git or SVN repository. The result of this research will be a tool that automatically creates informative, concise comments for a changeset. This should improve on the common development practice of just not leaving any comments at all. EDIT: As Peter argues, ideally all commit comments would be teleological (goal-oriented). Practically, if a comment is made at all it is often descriptive, merely a summary of the changes. Sadly we're a long way from automatically inferring developer intentions!

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  • What's the best way to manage reusable classes/libraries separately?

    - by Tom
    When coding, I naturally often come up with classes or a set of classes with a high reusability. I'm looking for an easy, straight-forward way to work on them separately. I'd like to be able to easily integrate them into any project; it also should be possible to switch to a different version with as few commands as possible. Am I right with the assumption that git (or another VCS) is best suited for this? I thought of setting up local repositories for each class/project/library/plugin and then just cloning/pulling them. It would be great if I could reference those projects by name, not by the full path. Like git clone someproject. edit: To clarify, I know what VCS are about and I do use them. I'm just looking for a comfortable way to store and edit some reusable pieces of code (including unit tests) separately and to be able to include them (without the unit tests) in other projects, without having to manually copy files. Apache Maven is a good example, but I'm looking for a language-independent solution, optimally command-line-based.

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  • Robust way to keep records of software releases?

    - by japreiss
    We release a number of small plug-ins that go along with our software. Each plug-in allows our software to talk to a single manufactuer's hardware. I would like to devise a system for keeping track of plug-in releases. Example info that should be stored: Hardware manufacturer name 32-bit? 64-bit? both? What modes of operation does the hardware support? What versions of the manufacturer's driver have been tested with the plugin? Desirable properties of the system: Able to synchronize with version control software Stores data in human-readable text file (also good for differ tool) Free visual, spreadsheet-like editor available Able to do simple analysis like "What is the oldest plug-in?" I've got to imagine that someone else has tackled this problem already. Right now my best guess is XML/JSON with a visual editor, but I have been disappointed in the editors I've tried so far. I'd like to get input from some more experienced developers. Thanks!

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  • How does process of updating code with Continous Integration work?

    - by BleakCabalist
    I want to draw a model of process of updating the source code with the use of Continous Integration. The main issue is I don't really understand how it works when there are several programmers working on various aspects of the code at the same time. I can't visualize it in my mind. Here's what I know but I might be wrong: New code is sent to repository. Continous Integration server asks Version Control System if there is a new code in repository. If there is than CIS executes tests on the code. If tests show there are problems than CIS orders VCS to revert back to working wersion of the code and communicates it to programmer. If tests are passed positively it compiles the repository code and makes new build of a game? New build is made not after ever single change, but at the end of the day I believe? Are my assumptions above correct? If yes, does it also work when there are several programmers updating repository at once? Is this enough to draw a model of the process in your opinions or did I miss something? Also, what software would I need for above process? Can you guys give examples for CIS software and VCS software and whatever else I need? Does CIS software perform code tests or do I need another tool for that and integrate it with CIS? Is there a repository software?

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  • Project References DLL version hell

    - by Mr Shoubs
    We're having problems getting visual studio to pick up the latest version of a DLL from one of our projects. We have multiple class library projects (e.g. BusinessLogic, ReportData) and a number of web services, each has a reference to a Connectivity DLL we've written (this ref to the connectivity DLL is the problem). We always point references to the DLL in the bin/debug folder, (which is where we always build to for any given project) and all custom DLL references have CopyLocal = True and SpecificVersion = False ReportData has a reference to business logic (which also has a reference to connectivity - I don't see why this should cause a problem, but thought it is worth mentioning) The weird thing is, when you click "Add Reference" and browse to Connectivity/bin/debug - you hover the mouse over the DLL file, the correct (latest) version is shown (version and file version are always incremented together), but when you click ok, a previous version number is pulled though. Even when I look in the current projects debug folder (where copy local would put the DLL after compiling) that shows the latest version number. - NO WHERE does can I find the previous version of the DLL outside of visual studio, but in that project references it has the old version - even though the path is correct. I'm at a loss as to where it might be getting the old versions from. Or even why it wants that one. This is possibly the most frustraighting problem I have ever come across. Does anyone know how to ensure the latest version is pulled through (preferably automatically or on compile). EDIT: Although not exactly the scenario I'm dealing with I was reading this article and somewhere it mentions about CLR ignoring revision numbers. Understandable (even though this hasn't been a problem before - we're on revision 39), so I thought I would update the build number, still didn't work. In a vain attempt I though I would update the minor version number and see if that made any difference. I'm not saying this is the answer as I have to check quite a few things first, but on the face of it, this seems to have solved my problem... Further edit: In other class libraries this seems to have solved the problem, however in a test windows application it still pulls a previous version through :( If I increment the minor version number again, the same problem come back and I am left with the wrong version being pulled though. Further Edit - I created an entirly new project, added a reference and still had the exact same problem. This suggests the problem is restriced to the project I am referencing. Wish I knew why! Anyone had this problem before and know how to get around it? HELP!

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  • How to eager load sibling data using LINQ to SQL?

    - by Scott
    The goal is to issue the fewest queries to SQL Server using LINQ to SQL without using anonymous types. The return type for the method will need to be IList<Child1>. The relationships are as follows: Parent Child1 Child2 Grandchild1 Parent Child1 is a one-to-many relationship Child1 Grandchild1 is a one-to-n relationship (where n is zero to infinity) Parent Child2 is a one-to-n relationship (where n is zero to infinity) I am able to eager load the Parent, Child1 and Grandchild1 data resulting in one query to SQL Server. This query with load options eager loads all of the data, except the sibling data (Child2): DataLoadOptions loadOptions = new DataLoadOptions(); loadOptions.LoadWith<Child1>(o => o.GrandChild1List); loadOptions.LoadWith<Child1>(o => o.Parent); dataContext.LoadOptions = loadOptions; IQueryable<Child1> children = from child in dataContext.Child1 select child; I need to load the sibling data as well. One approach I have tried is splitting the query into two LINQ to SQL queries and merging the result sets together (not pretty), however upon accessing the sibling data it is lazy loaded anyway. Adding the sibling load option will issue a query to SQL Server for each Grandchild1 and Child2 record (which is exactly what I am trying to avoid): DataLoadOptions loadOptions = new DataLoadOptions(); loadOptions.LoadWith<Child1>(o => o.GrandChild1List); loadOptions.LoadWith<Child1>(o => o.Parent); loadOptions.LoadWith<Parent>(o => o.Child2List); dataContext.LoadOptions = loadOptions; IQueryable<Child1> children = from child in dataContext.Child1 select child; exec sp_executesql N'SELECT * FROM [dbo].[Child2] AS [t0] WHERE [t0].[ForeignKeyToParent] = @p0',N'@p0 int',@p0=1 exec sp_executesql N'SELECT * FROM [dbo].[Child2] AS [t0] WHERE [t0].[ForeignKeyToParent] = @p0',N'@p0 int',@p0=2 exec sp_executesql N'SELECT * FROM [dbo].[Child2] AS [t0] WHERE [t0].[ForeignKeyToParent] = @p0',N'@p0 int',@p0=3 exec sp_executesql N'SELECT * FROM [dbo].[Child2] AS [t0] WHERE [t0].[ForeignKeyToParent] = @p0',N'@p0 int',@p0=4 I've also written LINQ to SQL queries to join in all of the data in hopes that it would eager load the data, however when the LINQ to SQL EntitySet of Child2 or Grandchild1 are accessed it lazy loads the data. The reason for returning the IList<Child1> is to hydrate business objects. My thoughts are I am either: Approaching this problem the wrong way. Have the option of calling a stored procedure? My organization should not be using LINQ to SQL as an ORM? Any help is greatly appreciated. Thank you, -Scott

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  • Why isnt sql management studio integrated in visual studio?

    - by Rob Packwood
    I have both SQL Server 2005 and Visual Studio 2008 installed and think it would be really nice to have SQL Management Studio integrated directly within Visual Studio. Is there a way to make that happen? What about in VS 2010 with SQL Server 2008? I find the Visual Studio Server Explorer window to be much slower too than the Object Browser in SQL Server's Management Studio... it would be nice to never really need to use the Server Explorer.

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  • SQL Profiler and Tuning Advisor for Reporting Services - what events should be selected?

    - by chris
    I've used the SQL Profiler to generate a trace file, and tuning advisor to take that trace file and provide some recommendations on db updates. However, the SQL Profiler doesn't seem to track the queries when running against a Reporting Server, the profiler doesn't seem to be capturing any of the queries. I'm logging the defaults (SQL:BatchCompleted and Starting, RPC:completed, and Sessions - Existing Connections) What events should I be capturing in SQL Profiler in order to run the tuning advisor?

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  • How can I schedule a daily backup with SQL Server Express?

    - by edosoft
    I'm running a small web application with SQL server express (2005) as backend. I can create a backup with a SQL script, however, I'd like to schedule this on a daily basis. As extra option (should-have) I'd like to keep only the last X backups (for space-saving reasons obviously) Any pointers? [edit] SQL server agent is unavailable in SQL server express...

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  • Trouble with a query

    - by Mark Allison
    Hi there, I'm having trouble with a query in SQL Server 2008 on some forex trading data. I have a trades table and an orders table. A trade needs to comprise of 2 or more orders. DDL schema and sample data below. What I want to do is write a query that shows the profit/loss in pips for each trade. A pip is 1/1000th of a currency. So the difference between USD 1.3441 and 1.3442 is 1 pip in forex-speak. A trade usually has one entry order and multiple exit orders. So for example if I buy 3 lots of the currency pair GBP/USD at the exchange rate of 1.6100 and then sell 1 lot at 1.6150, 1 lot at 1.6200 and 1 lot at 1.6250 then the profit is (1.6150 - 1.6100) + (1.6200 - 1.6100) + (1.6250 - 1.6100), or 50 + 100 + 150 = 300 pips profit. The trade could also go the other way (Shorting). For example the currency pair can be sold first before it's bought back later at a cheaper price. I would like a query that returns the following: tradeId, currencyPair, profitInPips It seems like a pretty straightforward query, but it's eluding me right now. Here's my DDL and sample data: CREATE TABLE [dbo].[trades]( [tradeId] [int] IDENTITY(1,1) NOT NULL, [currencyPair] [char](6) NOT NULL, CONSTRAINT [PK_trades] PRIMARY KEY CLUSTERED ( [tradeId] ASC )WITH (PAD_INDEX = OFF, STATISTICS_NORECOMPUTE = OFF, IGNORE_DUP_KEY = OFF, ALLOW_ROW_LOCKS = ON, ALLOW_PAGE_LOCKS = ON) ON [PRIMARY] ) ON [PRIMARY] GO SET ANSI_PADDING OFF GO SET IDENTITY_INSERT [dbo].[trades] ON INSERT [dbo].[trades] ([tradeId], [currencyPair]) VALUES (1, N'GBPUSD') INSERT [dbo].[trades] ([tradeId], [currencyPair]) VALUES (2, N'GBPUSD') INSERT [dbo].[trades] ([tradeId], [currencyPair]) VALUES (3, N'GBPUSD') INSERT [dbo].[trades] ([tradeId], [currencyPair]) VALUES (4, N'GBPUSD') INSERT [dbo].[trades] ([tradeId], [currencyPair]) VALUES (5, N'GBPUSD') INSERT [dbo].[trades] ([tradeId], [currencyPair]) VALUES (6, N'GBPUSD') INSERT [dbo].[trades] ([tradeId], [currencyPair]) VALUES (7, N'GBPUSD') INSERT [dbo].[trades] ([tradeId], [currencyPair]) VALUES (8, N'GBPUSD') INSERT [dbo].[trades] ([tradeId], [currencyPair]) VALUES (9, N'GBPUSD') INSERT [dbo].[trades] ([tradeId], [currencyPair]) VALUES (10, N'GBPUSD') SET IDENTITY_INSERT [dbo].[trades] OFF GO CREATE TABLE [dbo].[orders]( [orderId] [int] IDENTITY(1,1) NOT NULL, [tradeId] [int] NOT NULL, [amount] [decimal](18, 1) NOT NULL, [buySell] [char](1) NOT NULL, [rate] [decimal](18, 6) NOT NULL, [orderDateTime] [datetime] NOT NULL, CONSTRAINT [PK_orders] PRIMARY KEY CLUSTERED ( [orderId] ASC )WITH (PAD_INDEX = OFF, STATISTICS_NORECOMPUTE = OFF, IGNORE_DUP_KEY = OFF, ALLOW_ROW_LOCKS = ON, ALLOW_PAGE_LOCKS = ON) ON [PRIMARY] ) ON [PRIMARY] GO SET ANSI_PADDING OFF GO SET IDENTITY_INSERT [dbo].[orders] ON INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (1, 1, CAST(3.0 AS Decimal(18, 1)), N'S', CAST(1.606500 AS Decimal(18, 6)), CAST(0x00009CF40083D600 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (2, 1, CAST(3.0 AS Decimal(18, 1)), N'B', CAST(1.615500 AS Decimal(18, 6)), CAST(0x00009CF400A4CB80 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (3, 2, CAST(3.0 AS Decimal(18, 1)), N'S', CAST(1.608000 AS Decimal(18, 6)), CAST(0x00009CF500000000 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (4, 2, CAST(1.0 AS Decimal(18, 1)), N'B', CAST(1.603000 AS Decimal(18, 6)), CAST(0x00009CF50083D600 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (5, 2, CAST(2.0 AS Decimal(18, 1)), N'B', CAST(1.605500 AS Decimal(18, 6)), CAST(0x00009CF50107AC00 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (6, 3, CAST(3.0 AS Decimal(18, 1)), N'S', CAST(1.595500 AS Decimal(18, 6)), CAST(0x00009CF70083D600 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (7, 3, CAST(1.0 AS Decimal(18, 1)), N'B', CAST(1.590500 AS Decimal(18, 6)), CAST(0x00009CF700C5C100 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (8, 3, CAST(2.0 AS Decimal(18, 1)), N'B', CAST(1.594500 AS Decimal(18, 6)), CAST(0x00009CF701499700 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (9, 4, CAST(3.0 AS Decimal(18, 1)), N'B', CAST(1.611000 AS Decimal(18, 6)), CAST(0x00009CFB0083D600 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (10, 4, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.616000 AS Decimal(18, 6)), CAST(0x00009CFB00A4CB80 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (11, 4, CAST(2.0 AS Decimal(18, 1)), N'S', CAST(1.611500 AS Decimal(18, 6)), CAST(0x00009CFB0107AC00 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (12, 5, CAST(3.0 AS Decimal(18, 1)), N'B', CAST(1.613000 AS Decimal(18, 6)), CAST(0x00009CFC0083D600 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (13, 5, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.618000 AS Decimal(18, 6)), CAST(0x00009CFC0107AC00 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (14, 5, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.623000 AS Decimal(18, 6)), CAST(0x00009CFC0083D600 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (15, 5, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.628000 AS Decimal(18, 6)), CAST(0x00009CFD00C5C100 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (16, 6, CAST(3.0 AS Decimal(18, 1)), N'B', CAST(1.632000 AS Decimal(18, 6)), CAST(0x00009D020083D600 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (17, 6, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.637000 AS Decimal(18, 6)), CAST(0x00009D0200A4CB80 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (18, 6, CAST(2.0 AS Decimal(18, 1)), N'S', CAST(1.630000 AS Decimal(18, 6)), CAST(0x00009D0200C5C100 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (19, 7, CAST(3.0 AS Decimal(18, 1)), N'B', CAST(1.634500 AS Decimal(18, 6)), CAST(0x00009D0201499700 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (20, 7, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.639500 AS Decimal(18, 6)), CAST(0x00009D0300000000 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (21, 7, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.644500 AS Decimal(18, 6)), CAST(0x00009D030083D600 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (22, 7, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.637500 AS Decimal(18, 6)), CAST(0x00009D0300C5C100 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (23, 8, CAST(3.0 AS Decimal(18, 1)), N'S', CAST(1.625000 AS Decimal(18, 6)), CAST(0x00009D0400C5C100 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (24, 8, CAST(1.0 AS Decimal(18, 1)), N'B', CAST(1.620000 AS Decimal(18, 6)), CAST(0x00009D050083D600 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (25, 8, CAST(1.0 AS Decimal(18, 1)), N'B', CAST(1.615000 AS Decimal(18, 6)), CAST(0x00009D0500A4CB80 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (26, 8, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.623000 AS Decimal(18, 6)), CAST(0x00009D050107AC00 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (27, 9, CAST(3.0 AS Decimal(18, 1)), N'S', CAST(1.618000 AS Decimal(18, 6)), CAST(0x00009D0600C5C100 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (28, 9, CAST(1.0 AS Decimal(18, 1)), N'B', CAST(1.613000 AS Decimal(18, 6)), CAST(0x00009D0600D63BC0 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (29, 9, CAST(1.0 AS Decimal(18, 1)), N'B', CAST(1.608000 AS Decimal(18, 6)), CAST(0x00009D0600E6B680 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (30, 9, CAST(1.0 AS Decimal(18, 1)), N'B', CAST(1.613300 AS Decimal(18, 6)), CAST(0x00009D0601391C40 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (31, 10, CAST(3.0 AS Decimal(18, 1)), N'B', CAST(1.614500 AS Decimal(18, 6)), CAST(0x00009D090083D600 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (32, 10, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.619500 AS Decimal(18, 6)), CAST(0x00009D090107AC00 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (33, 10, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.624500 AS Decimal(18, 6)), CAST(0x00009D0901499700 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (34, 10, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.619000 AS Decimal(18, 6)), CAST(0x00009D0A0083D600 AS DateTime)) SET IDENTITY_INSERT [dbo].[orders] OFF /****** Object: ForeignKey [FK_orders_trades] Script Date: 04/02/2010 15:05:31 ******/ ALTER TABLE [dbo].[orders] WITH CHECK ADD CONSTRAINT [FK_orders_trades] FOREIGN KEY([tradeId]) REFERENCES [dbo].[trades] ([tradeId]) GO ALTER TABLE [dbo].[orders] CHECK CONSTRAINT [FK_orders_trades] GO Thanks in advance for any help!

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  • Function inserted not all records

    - by user1799459
    I wrote the following code by data transfer from Access to Firebird def FirebirdDatetime(dt): return '\'%s.%s.%s\'' % (str(dt.day).rjust(2,'0'), str(dt.month).rjust(2,'0'), str(dt.year).rjust(4,'0')) def SelectFromAccessTable(tablename): return 'select * from [' + tablename+']' def InsertToFirebirdTable(tablename, row): values='' i=0 for elem in row: i+=1 #print type(elem) if type(elem) == int: temp = str(elem) elif (type(elem) == str) or (type(elem)==unicode): temp = '\'%s\'' % (elem,) elif type(elem) == datetime.datetime: temp =FirebirdDatetime(elem) elif type(elem) == decimal.Decimal: temp = str(elem) elif elem==None: temp='null' if (i<len(row)): values+=temp+', ' else: values+=temp return 'insert into '+tablename+' values ('+values+')' def AccessToFirebird(accesstablename, firebirdtablename, accesscursor, firebirdcursor): SelectSql=SelectFromAccessTable(accesstablename) for row in accesscursor.execute(SelectSql): InsertSql=InsertToFirebirdTable(firebirdtablename, row) InsertSql=InsertSql print InsertSql firebirdcursor.execute(InsertSql) In the main module there is an AccessToFirebird function call conAcc = pyodbc.connect('DRIVER={Microsoft Access Driver (*.mdb, *.accdb)};DBQ=D:\ThirdTask\Northwind.accdb') SqlAccess=conAcc.cursor(); conn.begin() cur=conn.cursor() sql.AccessToFirebird('Customers', 'CLIENTS', SqlAccess, cur) conn.commit() conn.begin() cur=conn.cursor() sql.AccessToFirebird('??????????', 'EMPLOYEES', SqlAccess, cur) sql.AccessToFirebird('????', 'ROLES', SqlAccess, cur) sql.AccessToFirebird('???? ???????????', 'EMPLOYEES_ROLES', SqlAccess, cur) sql.AccessToFirebird('????????', 'DELIVERY', SqlAccess, cur) sql.AccessToFirebird('??????????', 'SUPPLIERS', SqlAccess, cur) sql.AccessToFirebird('????????? ?????? ???????', 'TAX_STATUS_OF_ORDERS', SqlAccess, cur) sql.AccessToFirebird('????????? ???????? ? ??????', 'STATE_ORDER_DETAILS', SqlAccess, cur) sql.AccessToFirebird('????????? ???????', 'CONDITION_OF_ORDERS', SqlAccess, cur) sql.AccessToFirebird('??????', 'ORDERS', SqlAccess, cur) sql.AccessToFirebird('?????', 'BILLS', SqlAccess, cur) sql.AccessToFirebird('????????? ?????? ?? ????????????', 'STATUS_PURCHASE_ORDER', SqlAccess, cur) sql.AccessToFirebird('?????? ?? ????????????', 'ORDERS_FOR_ACQUISITION', SqlAccess, cur) sql.AccessToFirebird('???????? ? ?????? ?? ????????????', 'INFORMPURCHASEORDER', SqlAccess, cur) sql.AccessToFirebird('??????', 'PRODUCTS', SqlAccess, cur) conn.commit() conAcc.commit() conn.close() conAcc.close() But as a result, not all records have been inserted into the table Products (Table Goods - Northwind database), for example, does not work request insert into PRODUCTS values ('4', 1, 'NWTB-1', '?????????? ???', null, 13.5000, 18.0000, 10, 40, '10 ??????? ?? 20 ?????????', '10 ??????? ?? 20 ?????????', 10, '???????', '') In ibexpert to this request message issued can't format message 13:587 -- message file C:\Windows\firebird.msg not found. conversion error from string "10 ?????????±???? ???? 20 ???°???µ?‚????????". Worked only requests insert into PRODUCTS values ('1', 82, 'NWTC-82', '???????', null, 2.0000, 4.0000, 20, 100, null, null, null, '????', '') insert into PRODUCTS values ('9', 83, 'NWTCS-83', '???????????? ?????', null, 0.5000, 1.8000, 30, 200, null, null, null, '????? ? ???????', '') insert into PRODUCTS values ('1', 97, 'NWTC-82', '???????', null, 3.0000, 5.0000, 50, 200, null, null, null, '????', '') insert into PRODUCTS values ('6', 98, 'NWTSO-98', '??????? ???', null, 1.0000, 1.8900, 100, 200, null, null, null, '????', '') insert into PRODUCTS values ('6', 99, 'NWTSO-99', '??????? ??????', null, 1.0000, 1.9500, 100, 200, null, null, null, '????', '') other records were not inserted.

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  • MS Access 2003 - Unbound Form uses INSERT statement to save to table; what about subforms?

    - by Justin
    So I have an unbound form that I use to save data to a table on button click. Is there a way I can have subforms for entry that will allow me to save data to the table within that same button click? Basically I want to add more entry options for the user, and while I know other ways to do it, I am particularly curious about doing it this way (if it can be done). So lets say the 'parent form' is frmMain. And there are two child forms "sub1" and "sub2". Just for example sake lets say on frmMain there are two text boxes: txtTitle & txtAuthor. sub1 and sub2 both have a text Box on them that represent something like prices. The idea is Title & author of a book, and then a price at each store (simplified). So I tried this (because I thought it was worth a shot): Dim db as DAO.database Dim sql as String sql = "INSERT INTO (Title, Author, PriceA, PriceB) VALUES (" if not isnull(me.txtTitle) then sql = sql & """" & me.txtTitle & """," Else sql = sql & " NULL," End If if not IsNull(me.txtAuthor) then sql = sql & " """ & me.txtAuthor & """," else sql = sql & " NULL," end if if not IsNull (forms!sub1.txtPrice) then sql = sql & " """ & forms!sub1.txtPrice & """," else sql = sql & " NULL," end if without finishing the code, i think you may see the GOTCHA i am headed for. I tried this and got an "Access cannot find the form "" ". I think I can pretty much see why on this approach too, because when I click the button that calls the new sub form into the parent form, the values that were just entered are not held/saved as sub1 closes and sub2 opens. I should mention that the idea above is not intended to be a one or the other approach, rather both sub forms used everytime. so this is an example. i want to use this method (if possible) to have about 7 different sub form choices in one form, and be able to save to a table via a SQL statement. I realize that there may be better ways, but I am just wondering if I can get there with this approach out of curiousity. Thanks as always!

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  • Should I commit WEB-INF into version control, or rather construct it with ant?

    - by webwesen
    ant "war" task does just that - creates WEB-INF along with META-INF, depending on task attributes. what is considered a best practice? keeping all my libs elsewhere for re-use, like log4j and then build them with "war" task or have everything (including jars) checked-in under WEB-INF? I have multiple apps that could re-use same libs, images, htmls, etc. Our developers use RAD7/Eclipse. I'd appreciate any examples with opensource Java Web Apps repo layouts. thanks!

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  • Why isn't an exception thrown when the right .NET framework version is not present?

    - by Nate Heinrich
    We have a .NET application which targets .NET 3.5. Our clients run it from a shared drive (very infrequently) in order to have a central config file location. We have noticed that if a workstation accesses the shared drive and runs the program, but does not have .NET 3.5 installed, nothing happens, no error, no exception, no log entry, it just doesn't launch. Why is there no error message shown in windows by the CLR? Is there something I can put at the beginning of the code that would ensure that a proper error message is displayed? It is not an option to run an installer that would check for prereqs, as we are only installing it in one central location. Thanks.

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  • .classpath and .project - check into version control or not?

    - by amarillion
    I'm running an open source java project that consists of multiple modules in a tree of dependencies. All those modules are subdirectories in a subversion repository. For newcomers to our project, it's a lot of work to set all that up manually in eclipse. Not all our developers use eclipse. Nevertheless, we're considering to just check in the .classpath and .project files to help newcomers to get started. Is this a good idea? Or would that lead to constant conflicts in those files? Is there an alternative way to make the project easy to set up on eclipse?

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  • Version Control System with API. Need to get metrics

    - by w1z
    Hi all, I have next situation. I need to choise source control system for my project. This scs must provide the API to my .net application to get information about check-in-s for specified user and date period and about changes which was done in this check-in-s (the number of added and updated lines). What source control system provides this functionality? P.S. I can't use the TFS, it's a limitation..

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  • Does a Distributed Version Control System really have no centralised repository?

    - by John
    It might seem a silly question, but how do you get a working drectory set up without a server to check out from? And how does a business keep a safe backed up copy of the repo? I assume then there must be a central repo... but then how exactly is it 'distributed'? I always thought of a server-client (SVN) Vs peer-2-peer (GIT) distinction, but I don't believe that can be correct unless tools like GIT are dependent on torrent-style technology?

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  • Do Distributed Version Control Systems promote poor backup habits?

    - by John
    In a DVCS, each developer has an entire repository on their workstation, to which they can commit all their changes. Then they can merge their repo with someone else's, or clone it, or whatever (as I understand it, I'm not a DVCS user). To me that flags a side-effect, of being more vulnerable to forgetting to backup. In a traditional centralised system, both you as a developer and the people in charge know that if you commit something, it's held on a central server which can have decent backup solutions in place. But using a DVCS, it seems you only have to push your work to a server when you feel like sharing it. It's all very well you have the repo locally so you can work on your feature branch for a month without bothering anyone, but it means (I think) that checking in your code to the repo is not enough, you have to remember to do regular pushes to a backed-up server. It also means, doesn't it, that a team lead can't see all those nice SVN commit emails to keep a rough idea what's going on in the code-base? Is any of this a real issue?

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