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  • Firefox will not remember local site cookie

    - by Campo
    This is a weird one. We have a production server (Server 2008) and two staging servers (Server 2008 and Server 2003) I have sites on all of these. They all use cookies. On the Production server when browsing to our site www.supernovainteractive.com there is a cookie that detects when you visted the site and it will not refresh the logo animation (top left hand side) on clicking to another page. This works for all browsers on the production server. I’m not sure what’s going on but for some reason cookies are not working on one site in the 2008 staging server only. This is when browsing using Firefox (3.6.3) they work fine on all other browsers (IE, Chrome, Safari, Opera) In addition, the 2003 staging server works fine. You can test on the Supernova Interactive site by noticing the logo in the top left corner. It uses a cookie to detect if you’ve already seen the animation. Once you’ve seen it once, it doesn’t animate again until tomorrow. Currently, it’s animating every time. I have opened an outside facing port so others can see the issue. Http://exchange.supernova.com:10009 Any ideas on this one? Firewalls are off on the server. Notice you do not get a cookie from Exchange.supernova.com.

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  • SQL - Two foreign keys that have a dependency between them

    - by Brian
    The current structure is as follows: Table RowType: RowTypeID Table RowSubType: RowSubTypeID FK_RowTypeID Table ColumnDef: FK_RowTypeID FK_RowSubTypeID (nullable) In short, I'm mapping column definitions to rows. In some cases, those rows have subtype(s), which will have column definitions specific to them. Alternatively, I could hang those column definitions that are specific to subtypes off their own table, or I could combine the data in RowType and RowSubType into one table and work with a single ID, but I'm not sure either is a better solution (if anything, I'd lean towards the latter, as we mostly end up pulling ColumnDefs for a given RowType/RowSubType). Is the current design SQL Blasphemy? If I keep the current structuree, how do I maintain that if RowSubTypeID is specified in ColumnDef, that it must correspond to the RowType specified by RowTypeID? Should I try to enforce this with a trigger or am I missing a simple redesign that would solve the problem?

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  • Using "CASE" in Where clause to choose various column harm the performance

    - by zivgabo
    I have query which needs to be dynamic on some of the columns, meaning I get a parameter and according its value I decide which column to fetch in my Where clause. I've implemented this request using "CASE" expression: (CASE @isArrivalTime WHEN 1 THEN ArrivalTime ELSE PickedupTime END) >= DATEADD(mi, -@TZOffsetInMins, @sTime) AND (CASE @isArrivalTime WHEN 1 THEN ArrivalTime ELSE PickedupTime END) < DATEADD(mi, -@TZOffsetInMins, @fTime) If @isArrivalTime = 1 then chose ArrivalTime column else chose PickedupTime column. I have a clustered index on ArrivalTime and nonclustered index on PickedupTime. I've noticed that when I'm using this query (with @isArrivalTime = 1), my performance is a lot worse comparing to only using ArrivalTime. Maybe the query optimizer can't use\choose the index properly in this way? I compared the execution plans an noticed that when I'm using the CASE 32% of the time is being wasted on the index scan, but when I didn't use the CASE(just usedArrivalTime`) only 3% were wasted on this index scan. Anyone know the reason for this?

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  • Which SQL query is faster? Filter on Join criteria or Where clause?

    - by Jon Erickson
    Compare these 2 queries. Is it faster to put the filter on the join criteria or in the were clause. I have always felt that it is faster on the join criteria because it reduces the result set at the soonest possible moment, but I don't know for sure. I'm going to build some tests to see, but I also wanted to get opinions on which would is clearer to read as well. Query 1 SELECT * FROM TableA a INNER JOIN TableXRef x ON a.ID = x.TableAID INNER JOIN TableB b ON x.TableBID = b.ID WHERE a.ID = 1 /* <-- Filter here? */ Query 2 SELECT * FROM TableA a INNER JOIN TableXRef x ON a.ID = x.TableAID AND a.ID = 1 /* <-- Or filter here? */ INNER JOIN TableB b ON x.TableBID = b.ID

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  • Copy SQL 2005 view result column headers?

    - by DonnMt
    Is there a way to copy View output column headers along with the data? There is a setting in Options to include column headers with query results, but that only works with "New Query" and Stored Procedure output. Looks like SSMS 2008 has this functionality built in to the contextual menu when you right click on results, but I only have 2005. Am I out of luck? Thanks for any help.

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  • Design SQL Query for following case

    - by rs
    Consider tables Table1 id, name 1 xyz 2 abc 3 pqr Table2 id title 1 Mg1 2 Mg2 3 SG1 Table3 Tb1_id tb2_id count 1 1 3 1 2 3 1 3 4 2 2 1 3 2 2 3 3 2 I want to do query to give result like id title 1 MG1 2 MG2 3 Two or More Title MG1 has higher preference if MG1 and count = 1 then it is given as MG1 title , for others corresponding title is used and for count 1 as two or more

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  • How to find loginname, database username, or roles of sqlserver domain user who doesn't have their own login?

    - by Adam Butler
    I have created a login and database user called "MYDOMAIN\Domain Users". I need to find what roles a logged on domain user has but all the calls to get the current user return the domain username eg. "MYDOMAIN\username" not the database username eg. "MYDOMAIN\Domain Users". For example, this query returns "MYDOMAIN\username" select original_login(),suser_name(), suser_sname(), system_user, session_user, current_user, user_name() And this query returns 0 select USER_ID() I want the username to query database_role_members is there any fuction that will return it or any other way I can get the current users roles?

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  • Optimal way to convert to date

    - by IMHO
    I have legacy system where all date fields are maintained in YMD format. Example: 20101123 this is date: 11/23/2010 I'm looking for most optimal way to convert from number to date field. Here is what I came up with: declare @ymd int set @ymd = 20101122 select @ymd, convert(datetime, cast(@ymd as varchar(100)), 112) This is pretty good solution but I'm wandering if someone has better way doing it

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  • Need help with a SQL CTE Query

    - by Chuck
    I have a table that I need to get some specific data from for a view. Here's the base table structure with some sample data: | UserID | ReportsToUserID | Org ID | ------------------------------------- | 1 | NULL | 1 | ------------------------------------- | 2 | 1 | 1 | ------------------------------------- | 3 | 2 | 1 | ------------------------------------- | 4 | 3 | 1 | ------------------------------------- The users will be entering reports and users can see the reports of users who report to them and any users who report to those users. Users who report to no one can see everything in their organization Given my sample data above, user 1 can see the reports of 2, 3, & 4; user 2 can see the reports of 3 & 4; and user 3 can see the reports of 4. For the view, I'd like to have the data returned as follows: | UserID | CanSeeUserID | OrgID | -------------------------------------------- | 1 | 2 | 1 | -------------------------------------------- | 1 | 3 | 1 | -------------------------------------------- | 1 | 4 | 1 | -------------------------------------------- | 2 | 3 | 1 | -------------------------------------------- etc... Below is my current code, any help is greatly appreciated. WITH CTEUsers (UserID, CanSeeUserID, OrgID) AS ( SELECT e.ID, e.ReportsToUserID, e.OrgID FROM Users e WITH(NOLOCK) WHERE COALESCE(ReportsToUserID,0) = 0 --ReportsToUserID can be NULL or 0 UNION ALL SELECT e.ReportsToUserID, e.ID,e.OrgID FROM Users e WITH(NOLOCK) JOIN CTEUsers c ON e.ID = c.UserID ) SELECT * FROM CTEUsers

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  • service broker message process order

    - by Blootac
    Everywhere I read says that messages handled by the service broker are processed in the order that they arrive, and yet if you create a table, message type, contract, service etc , and on activation have a stored proc that waits for 2 seconds and inserts the msg into a table, set the max queue readers to 5 or 10, and send 20 odd messages I can see in the table that they are inserted out of order even though when I insert them into the queue and look at the contents of the queue I can see that the messages are all in the right order. Is it due to the delay waitfor waiting for the nearest second and each thread having different subsecond times and then fighting for a lock or something? The reason i've got a delay in there is to simulate delays with joins etc Thanks demo code: --create the table and service broker CREATE TABLE test ( id int identity(1,1), contents varchar(100) ) CREATE MESSAGE TYPE test CREATE CONTRACT mycontract ( test sent by initiator ) GO CREATE PROCEDURE dostuff AS BEGIN DECLARE @msg varchar(100); RECEIVE TOP (1) @msg = message_body FROM myQueue IF @msg IS NOT NULL BEGIN WAITFOR DELAY '00:00:02' INSERT INTO test(contents)values(@msg) END END GO ALTER QUEUE myQueue WITH STATUS = ON, ACTIVATION ( STATUS = ON, PROCEDURE_NAME = dostuff, MAX_QUEUE_READERS = 10, EXECUTE AS SELF ) create service senderService on queue myQueue ( mycontract ) create service receiverService on queue myQueue ( mycontract ) GO --********************************************************** --now insert lots of messages to the queue DECLARE @dialog_handle uniqueidentifier BEGIN DIALOG @dialog_handle FROM SERVICE senderService TO SERVICE 'receiverService' ON CONTRACT mycontract; SEND ON CONVERSATION @dialog_handle MESSAGE TYPE test ('<test>1</test>'); BEGIN DIALOG @dialog_handle FROM SERVICE senderService TO SERVICE 'receiverService' ON CONTRACT mycontract; SEND ON CONVERSATION @dialog_handle MESSAGE TYPE test ('<test>2</test>') BEGIN DIALOG @dialog_handle FROM SERVICE senderService TO SERVICE 'receiverService' ON CONTRACT mycontract; SEND ON CONVERSATION @dialog_handle MESSAGE TYPE test ('<test>3</test>') BEGIN DIALOG @dialog_handle FROM SERVICE senderService TO SERVICE 'receiverService' ON CONTRACT mycontract; SEND ON CONVERSATION @dialog_handle MESSAGE TYPE test ('<test>4</test>') BEGIN DIALOG @dialog_handle FROM SERVICE senderService TO SERVICE 'receiverService' ON CONTRACT mycontract; SEND ON CONVERSATION @dialog_handle MESSAGE TYPE test ('<test>5</test>') BEGIN DIALOG @dialog_handle FROM SERVICE senderService TO SERVICE 'receiverService' ON CONTRACT mycontract; SEND ON CONVERSATION @dialog_handle MESSAGE TYPE test ('<test>6</test>') BEGIN DIALOG @dialog_handle FROM SERVICE senderService TO SERVICE 'receiverService' ON CONTRACT mycontract; SEND ON CONVERSATION @dialog_handle MESSAGE TYPE test ('<test>7</test>')

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  • How to organize infinite while loop in mssql ?

    - by alpav
    I want to use infinite WHILE loop in SQL 2005 and use BREAK keyword to exit from it on certain condition. while true does not work, so I have to use while 1=1. Is there a better way to organize infinite loop ? I know that I can use goto, but while 1=1 begin .. end looks better structurally.

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  • How to index a table with a Type 2 slowly changing dimension for optimal performance

    - by The Lazy DBA
    Suppose you have a table with a Type 2 slowly-changing dimension. Let's express this table as follows, with the following columns: * [Key] * [Value1] * ... * [ValueN] * [StartDate] * [ExpiryDate] In this example, let's suppose that [StartDate] is effectively the date in which the values for a given [Key] become known to the system. So our primary key would be composed of both [StartDate] and [Key]. When a new set of values arrives for a given [Key], we assign [ExpiryDate] to some pre-defined high surrogate value such as '12/31/9999'. We then set the existing "most recent" records for that [Key] to have an [ExpiryDate] that is equal to the [StartDate] of the new value. A simple update based on a join. So if we always wanted to get the most recent records for a given [Key], we know we could create a clustered index that is: * [ExpiryDate] ASC * [Key] ASC Although the keyspace may be very wide (say, a million keys), we can minimize the number of pages between reads by initially ordering them by [ExpiryDate]. And since we know the most recent record for a given key will always have an [ExpiryDate] of '12/31/9999', we can use that to our advantage. However... what if we want to get a point-in-time snapshot of all [Key]s at a given time? Theoretically, the entirety of the keyspace isn't all being updated at the same time. Therefore for a given point-in-time, the window between [StartDate] and [ExpiryDate] is variable, so ordering by either [StartDate] or [ExpiryDate] would never yield a result in which all the records you're looking for are contiguous. Granted, you can immediately throw out all records in which the [StartDate] is greater than your defined point-in-time. In essence, in a typical RDBMS, what indexing strategy affords the best way to minimize the number of reads to retrieve the values for all keys for a given point-in-time? I realize I can at least maximize IO by partitioning the table by [Key], however this certainly isn't ideal. Alternatively, is there a different type of slowly-changing-dimension that solves this problem in a more performant manner?

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  • What are the differences between these?

    - by Amit Ranjan
    What are the differences between the two queries? SELECT CountryMaster.Id FROM Districts INNER JOIN CountryMaster ON Districts.CountryId = CountryMaster.Id SELECT CountryMaster.Id FROM CountryMaster INNER JOIN Districts ON Districts.CountryId = CountryMaster.Id Please mind the i) Table positions and second ii) On Fields As I know, output will be same. But I want to know, is there any drastic effects of the same if I neglect positions of tables and columns in complex queries or tables having tons of data like thousands and lakhs of rows...

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  • What is happening in this T-SQL code? (Concatenting the results of a SELECT statement)

    - by Ben McCormack
    I'm just starting to learn T-SQL and could use some help in understanding what's going on in a particular block of code. I modified some code in an answer I received in a previous question, and here is the code in question: DECLARE @column_list AS varchar(max) SELECT @column_list = COALESCE(@column_list, ',') + 'SUM(Case When Sku2=' + CONVERT(varchar, Sku2) + ' Then Quantity Else 0 End) As [' + CONVERT(varchar, Sku2) + ' - ' + Convert(varchar,Description) +'],' FROM OrderDetailDeliveryReview Inner Join InvMast on SKU2 = SKU and LocationTypeID=4 GROUP BY Sku2 , Description ORDER BY Sku2 Set @column_list = Left(@column_list,Len(@column_list)-1) Select @column_list ---------------------------------------- 1 row is returned: ,SUM(Case When Sku2=157 Then Quantity Else 0 End) As [157 -..., SUM(Case ... The T-SQL code does exactly what I want, which is to make a single result based on the results of a query, which will then be used in another query. However, I can't figure out how the SELECT @column_list =... statement is putting multiple values into a single string of characters by being inside a SELECT statement. Without the assignment to @column_list, the SELECT statement would simply return multiple rows. How is it that by having the variable within the SELECT statement that the results get "flattened" down into one value? How should I read this T-SQL to properly understand what's going on?

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  • Deploying EAR file in Sun App Server having problem with proxy server setttings

    - by Nick Long
    When I am deploying certain vendor EAR file to Sun App Server, I encountered a connection timeout errror. I thought the reason might be proxy settings need to be defined so I actually defined the following -Dhttp.proxyHost=hostname -Dhttp.proxyPassword=password -Dhttp.proxyPort=8080 -Dhttp.proxyUser=username After setting these and restart domain then redeploy I encountered 407 error. Anyone have any idea what could be the issue here?

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  • Storing DateTime (UTC) vs. storing DateTimeOffset

    - by Frederico
    I usually have an "interceptor" that right before reading/writing from/to the database does datetime conversion (from UTC to localtime, and from localtime to utc), so I can use DateTime.Now (derivations and comparisions) throughout the system without worrying about timezones. Regarding serialization and moving data between computers, there is no need to bother, as the datetime is always UTC. Should I continue storing my dates (SQL 2008 - datetime) in UTC format or should I instead store it using DateTimeOffset (SQL 2008 - datetimeoffset)? UTC Dates in the database (datetime type) have been working and known for so long, why change it? What are the advantages? I have already looked into articles like this one, but I'm not 100% convinced though. Any thoughts?

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  • Join Where Rows Don't Exist or Where Criteria Matches...?

    - by Greg
    I'm trying to write a query to tell me which orders have valid promocodes. Promocodes are only valid between certain dates and optionally certain packages. I'm having trouble even explaining how this works (see psudo-ish code below) but basically if there are packages associated with a promocode then the order has to have one of those packages and be within a valid date range otherwise it just has to be in a valid date range. The whole "if PrmoPackage rows exist" thing is really throwing me off and I feel like I should be able to do this without a whole bunch of Unions. (I'm not even sure if that would make it easier at this point...) Anybody have any ideas for the query? if `OrderPromoCode` = `PromoCode` then if `OrderTimestamp` is between `PromoStartTimestamp` and `PromoEndTimestamp` then if `PromoCode` has packages associated with it //yes then if `PackageID` is one of the specified packages //yes code is valid //no invalid //no code is valid Order: OrderID* | OrderTimestamp | PackageID | OrderPromoCode 1 | 1/2/11 | 1 | ABC 2 | 1/3/11 | 2 | ABC 3 | 3/2/11 | 2 | DEF 4 | 4/2/11 | 3 | GHI Promo: PromoCode* | PromoStartTimestamp* | PromoEndTimestamp* ABC | 1/1/11 | 2/1/11 ABC | 3/1/11 | 4/1/11 DEF | 1/1/11 | 1/11/13 GHI | 1/1/11 | 1/11/13 PromoPackage: PromoCode* | PromoStartTimestamp* | PromoEndTimestamp* | PackageID* ABC | 1/1/11 | 2/1/11 | 1 ABC | 1/1/11 | 2/1/11 | 3 GHI | 1/1/11 | 1/11/13 | 1 Desired Result: OrderID | IsPromoCodeValid 1 | 1 2 | 0 3 | 1 4 | 0

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  • How to create relationship between two tables with revisions using Entity Framework

    - by Chris Ridenour
    So I am in the process of redesigning a small database (and potentially a much larger one) but want to show the value of using revisions / history of the business objects. I am switching the data from Access to MSSQL 2008. I am having a lot of internal debate on what version of "revision history" to use in the design itself - and thought I had decided to add a "RevisionId" to all tables. With this design - adding a RevisionId to all tables we would like tracked - what would be the best way to create Navigational Properties and Relationships between two tables such as | Vendor | VendorContact | where a Vendor can have multiple contacts. The Contacts themselves will be under revision. Will it require custom extensions or am I over thinking this? Thanks in advance.

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  • Picking Random Names

    - by Jasl
    I saw an interesting post sometime back but with no solution. Trying luck here: There is a table which contain 10 names (U1, U2, U3..and so on). I have to choose 5 names everyday, and display one as the Editor and 4 as Contributors While selecting the random names, I have to also consider that if one user is selected as Editor, he cannot become editor again till everyone got their chance. The output should look similar to the following: Editor Cont1 Cont2 Cont3 Cont4 20-Jun U1 U8 U9 U3 U4 21-Jun U7 U2 U5 U6 U10 22-Jun U3 U4 U9 U2 U8 23-Jun U4 U8 U3 U5 U2 and so on..

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  • Database design: Calculating the Account Balance

    - by 001
    How do I design the database to calculate the account balance? 1) Currently I calculate the account balance from the transaction table In my transaction table I have "description" and "amount" etc.. I would then add up all "amount" values and that would work out the user's account balance. I showed this to my friend and he said that is not a good solution, when my database grows its going to slow down???? He said I should create separate table to store the calculated account balance. If did this, I will have to maintain two tables, and its risky, the account balance table could go out of sync. Any suggestion? EDIT: OPTION 2: should I add an extra column to my transaction tables "Balance". now I do not need to go through many rows of data to perform my calculation. Example John buys $100 credit, he debt $60, he then adds $200 credit. Amount $100, Balance $100. Amount -$60, Balance $40. Amount $200, Balance $240.

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  • SSIS - Skip Missing Files

    - by Greg
    I have a SSIS 2008 package that calls about 10 other SSIS packages (legacy issues, don't ask). Each of those child packages loads a specific file into a table. But sometimes one or more of these input files will be missing. How can I let a child package fail (because a file is missing) but let the rest of the parent package keep on running? I've tried increasing the maximum error count on the parent package, the tasks in the parent package that call each child, and in the child package itself. None of that seemed to make any difference. I still get this error when I run it with a file missing: SSIS Warning Code DTS_W_MAXIMUMERRORCOUNTREACHED. The Execution method succeeded, but the number of errors raised (2) reached the maximum allowed (1); resulting in failure. This occurs when the number of errors reaches the number specified in MaximumErrorCount. Change the MaximumErrorCount or fix the errors. Edit: failpackageonfailure and faulparentonfailure are already all set to false everywhere.

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