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  • MS Access (Jet) transactions, workspaces & scope

    - by Eric G
    I am having trouble with committing a transaction (using Access 2003 DAO). It's acting as if I never had called BeginTrans -- I get error 3034 on CommitTrans, "You tried to commit or rollback a transaction without first beginning a transaction"; and the changes are written to the database (presumably because they were never wrapped in a transaction). However, BeginTrans is run, if you step through it. I am running it within the Access environment using the DBEngine(0) workspace. The tables I'm updating are all opened via a Jet database connection (to the same database) and updated using DAO.Recordset.update. The connection is opened before starting BeforeTrans. I'm not doing anything weird in the middle of the transaction like closing/opening connections or multiple workspaces etc. There is one nested transaction level (basically it's wrapping multiple transacted updates in an outer transaction, so if any fail they all fail). The inner transactions run without errors, it's the outer transaction that doesn't work. Here are a few things I've looked into and ruled out: The transaction is spread across several methods and BeginTrans and CommitTrans (and Rollback) are all in different places. But when I tried a simple test of running a transaction this way, it doesn't seem like this should matter. I thought maybe the database connection gets closed when it goes out of local scope, even though I have another 'global' reference to it (I'm never sure what DAO does with dbase connections to be honest). But this seems not to be the case -- right before the commit, the connection and its recordsets are alive (I can check their properties, EOF = False, etc.) My CommitTrans and Rollback are done within event callbacks. (Very basically, a parser program is throwing an 'onLoad' or 'onLoadFail' event at the end of parsing, which I am handling by either committing or rolling back the inserts I made during processing.) However, again, trying a simple test, it doesn't seem like this should matter. Any ideas why this isn't working for me? Thanks.

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  • PostgreSQL: return select count(*) from old_ids;

    - by Alexander Farber
    Hello, please help me with 1 more PL/pgSQL question. I have a PHP-script run as daily cronjob and deleting old records from 1 main table and few further tables referencing its "id" column: create or replace function quincytrack_clean() returns integer as $BODY$ begin create temp table old_ids (id varchar(20)) on commit drop; insert into old_ids select id from quincytrack where age(QDATETIME) > interval '30 days'; delete from hide_id where id in (select id from old_ids); delete from related_mks where id in (select id from old_ids); delete from related_cl where id in (select id from old_ids); delete from related_comment where id in (select id from old_ids); delete from quincytrack where id in (select id from old_ids); return select count(*) from old_ids; end; $BODY$ language plpgsql; And here is how I call it from the PHP script: $sth = $pg->prepare('select quincytrack_clean()'); $sth->execute(); if ($row = $sth->fetch(PDO::FETCH_ASSOC)) printf("removed %u old rows\n", $row['count']); Why do I get the following error? SQLSTATE[42601]: Syntax error: 7 ERROR: syntax error at or near "select" at character 9 QUERY: SELECT select count(*) from old_ids CONTEXT: SQL statement in PL/PgSQL function "quincytrack_clean" near line 23 Thank you! Alex

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  • How to develop Online Shopping Portal Application using PHP ?

    - by Sarang
    I do not know PHP & I have to develop a Shopping Portal with following Definition : Scenario: Online Shopping Portal XYZ.com wants to create an online shopping portal for managing its registered customers and their shopping. The customers need to register themselves first before they do shopping using the shopping portal. However, everyone, whether registered or not, can view the various products along with the prices listed in the portal. The registered customers, after logging in, are allowed to place order for one or more products from the products listed in the portal. Once the order is placed, the customer gets a reference order number and the order status should be “order in process”. The customers can track their order using the given reference number. The management of XYZ.com should be able to modify the order status of a particular reference order number to “shipped” once the products are shipped to the shipping address entered by the customer at the time of placing the order. The Functionalities required are : Create the interface for the XYZ.com shopping portal using HTML/XHTML and CSS. Implement the client side validations using JavaScript. Create the tables using MySQL. Implement the functionality using the server side scripting language, PHP. Integrate all the above tasks and make the XYZ.com shopping portal functional. How do I develop this application with following proper steps of development ?

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  • How do common web frameworks (Django, Rails, Symfony, etc) handle multiple instances of the same plu

    - by Steven Wei
    Do any of the popular web frameworks solve this problem well? Here's an example: suppose you're running one of these web frameworks and you want to install a blog plugin. Except instead of a single blog, you need to run two separate instances of the blog plugin, and you want to keep them segregated. Or say you want to install multiple instances of a user authentication plugin, because you want to segregate your administrative users from your customer user accounts. Or say you want to install multiple instances of a wiki plugin for different parts of your site, or multiple instances of a comments plugin, or whatever else. It seems to me that at the basic level, each instance of plugin would need to be able to configured with a different set of database tables, and would need to be 'installed' at a different URL path. My experience is mostly with Django and Symfony, and I haven't seen a clean solution to this problem in either of them. They both tend to assume that each plugin (or app, in Django's case) is only ever going to be installed once. I'm curious if the Rails folks have figured out a clean solution to this problem, or any other framework authors (in any language). And if you were going to design a solution to this problem, what would it look like?

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  • Are programming languages and methods inefficient? (assembler and C knowledge needed)

    - by b-gen-jack-o-neill
    Hi, for a long time, I am thinking and studying output of C language compiler in assembler form, as well as CPU architecture. I know this may be silly to you, but it seems to me that something is very ineffective. Please, don´t be angry if I am wrong, and there is some reason I do not see for all these principles. I will be very glad if you tell me why is it designed this way. I actually truly believe I am wrong, I know the genius minds of people which get PCs together knew a reason to do so. What exactly, do you ask? I´ll tell you right away, I use C as a example: 1: Stack local scope memory allocation: So, typical local memory allocation uses stack. Just copy esp to ebp and than allocate all the memory via ebp. OK, I would understand this if you explicitly need allocate RAM by default stack values, but if I do understand it correctly, modern OS use paging as a translation layer between application and physical RAM, when address you desire is further translated before reaching actual RAM byte. So why don´t just say 0x00000000 is int a,0x00000004 is int b and so? And access them just by mov 0x00000000,#10? Because you wont actually access memory blocks 0x00000000 and 0x00000004 but those your OS set the paging tables to. Actually, since memory allocation by ebp and esp use indirect addressing, "my" way would be even faster. 2: Variable allocation duplicity: When you run application, Loader load its code into RAM. When you create variable, or string, compiler generates code that pushes these values on the top o stack when created in main. So there is actual instruction for do so, and that actual number in memory. So, there are 2 entries of the same value in RAM. One in form of instruction, second in form of actual bytes in the RAM. But why? Why not to just when declaring variable count at which memory block it would be, than when used, just insert this memory location?

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  • Bulletin board - Database optimisation

    - by andrew
    This question is a follow on from this Question The project and problem The project I am currently working on is a bulletin board for a large non-profit organisation. The bulletin board will be used to allow inter-office communication within the organisation. I am building the application and have been having trouble extracting the results that I need from my database because I don't think it is properly normalized and because of limitations in my knowledge of relational database theory and mysql. I would appreciate input into the design of the board in general and in particular, ways that the database structure can be improved to facilitate efficient queries and help me develop this application and future application faster Business Logic The bulletin board will be used in the following way Posting bulletins and responses to bulletins Employees or 'users' in offices around the country will be able to post messages to the bulletin board.Bulletins must be posted to a location and categorised- i'll call these "bulletins". Users will be able to post any number of replies to any one bulletin and users will be able to reply to their own bulletin - i'll call these 'replies'. Rating bulletins and replies Users will be able to either 'like' or 'dislike' a bulletin or a reply and the total number of likes or dislikes will be shown for each bulletin or reply. Viewing the bulletin board and responses Bulletins can be displayed chronologically. Users can sort bulletins chronologically or chronologically by the latest reply to that bulletin(let me know if you need more explanation) When a particular bulletin is selected, replies to that bulletin will be displayed chronologically @PerformanceDBA - edited 10:34 est 28/12/10I have begun implementing the data model. I assume that the 6th data model is the physical model because it contains the associative tables. I am going to post any questions that I have below. I will put up a database dump once I am done. I will then put up a list of all the queries that I need to run on the database and begin writing them. I hope you had a good Christmas. I'm in Canada and there's snow! Implementation of Physical model

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  • Generic version control strategy for select table data within a heavily normalized database

    - by leppie
    Hi Sorry for the long winded title, but the requirement/problem is rather specific. With reference to the following sample (but very simplified) structure (in psuedo SQL), I hope to explain it a bit better. TABLE StructureName { Id GUID PK, Name varchar(50) NOT NULL } TABLE Structure { Id GUID PK, ParentId GUID (FK to Structure), NameId GUID (FK to StructureName) NOT NULL } TABLE Something { Id GUID PK, RootStructureId GUID (FK to Structure) NOT NULL } As one can see, Structure is a simple tree structure (not worried about ordering of children for the problem). StructureName is a simplification of a translation system. Finally 'Something' is simply something referencing the tree's root structure. This is just one of many tables that need to be versioned, but this one serves as a good example for most cases. There is a requirement to version to any changes to the name and/or the tree 'layout' of the Structure table. Previous versions should always be available. There seems to be a few possibilities to tackle this issue, like copying the entire structure, but most approaches causes one to 'loose' referential integrity. Example if one followed this approach, one would have to make a duplicate of the 'Something' record, given that the root structure will be a new record, and have a new ID. Other avenues of possible solutions are looking into how Wiki's handle this or go a lot further and look how proper version control systems work. Currently, I feel a bit clueless how to proceed on this in a generic way. Any ideas will be greatly appreciated. Thanks leppie

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  • Writing to the DataContext

    - by user738383
    I have a function. This function takes an IEnumerable<Customer> (Customer being an entity). What the function needs to do is tell the DataContext (which has a collection of Customers as a property) that its Customers property needs to be overwritten with this passed in IEnumerable<Customer>. I can't use assignment because DomainContext.Customers cannot be assigned to, as it is read only. I guess it's not clear what I'm asking, so I suppose I should say... how do I do that? So we have DataContext.Customers (of type System.Data.Linq.Table) which wants to be replaced with a System.Collections.Generic.IEnumerable. I can't just assign the latter to the former because DataContext's properties are read only. But there must be a way. Edit: here's an image: Further edit: Yes, this image does not feature a collection of the type 'Customer' but rather 'Connection'. It doesn't matter though, they are both created from tables within the linked SQL database. So there is a dc.Connections, a dc.Customers, a dc.Media and so on. Thanks in advance.

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  • Extract data from PostgreSQL DB without using pg_dump

    - by John Horton
    There is a PostgreSQL database on which I only have limited access (e.g, I can't use pg_dump). I am trying to create a local "mirror" by exporting certain tables from the database. I do not have the permissions needed to just dump a table as SQL from within psql. Right now, I just have a Python script that iterates through my table_names, selects all fields and then exports them as a CSV: for table_name, file_name in zip(table_names, file_names): cmd = """echo "\\\copy (select * from %s)" to stdout WITH CSV HEADER | psql -d remote_db | gzip > ./%s/%s.gz"""%(table_name,dir_name,file_name) os.system(cmd) I would like to not use CSV if possible, as I lose the field types and the encoding can get messed up. First best would probably be some way of getting the generating SQL code for the table using \copy. Next best would be XML, ideally with some way of preserving the field types. If that doesn't work, I think the final option might be two queries---one to get the field data types, the other to get the actual data. Any thoughts or advice would be greatly appreciated - thanks!

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  • MySQL SELECT combining 3 SELECTs INTO 1

    - by Martin Tóth
    Consider following tables in MySQL database: entries: creator_id INT entry TEXT is_expired BOOL other: creator_id INT entry TEXT userdata: creator_id INT name VARCHAR etc... In entries and other, there can be multiple entries by 1 creator. userdata table is read only for me (placed in other database). I'd like to achieve a following SELECT result: +------------+---------+---------+-------+ | creator_id | entries | expired | other | +------------+---------+---------+-------+ | 10951 | 59 | 55 | 39 | | 70887 | 41 | 34 | 108 | | 88309 | 38 | 20 | 102 | | 94732 | 0 | 0 | 86 | ... where entries is equal to SELECT COUNT(entry) FROM entries GROUP BY creator_id, expired is equal to SELECT COUNT(entry) FROM entries WHERE is_expired = 0 GROUP BY creator_id and other is equal to SELECT COUNT(entry) FROM other GROUP BY creator_id. I need this structure because after doing this SELECT, I need to look for user data in the "userdata" table, which I planned to do with INNER JOIN and select desired columns. I solved this problem with selecting "NULL" into column which does not apply for given SELECT: SELECT creator_id, COUNT(any_entry) as entries, COUNT(expired_entry) as expired, COUNT(other_entry) as other FROM ( SELECT creator_id, entry AS any_entry, NULL AS expired_entry, NULL AS other_enry FROM entries UNION SELECT creator_id, NULL AS any_entry, entry AS expired_entry, NULL AS other_enry FROM entries WHERE is_expired = 1 UNION SELECT creator_id, NULL AS any_entry, NULL AS expired_entry, entry AS other_enry FROM other ) AS tTemp GROUP BY creator_id ORDER BY entries DESC, expired DESC, other DESC ; I've left out the INNER JOIN and selecting other columns from userdata table on purpose (my question being about combining 3 SELECTs into 1). Is my idea valid? = Am I trying to use the right "construction" for this? Are these kind of SELECTs possible without creating an "empty" column? (some kind of JOIN) Should I do it "outside the DB": make 3 SELECTs, make some order in it (let's say python lists/dicts) and then do the additional SELECTs for userdata? Solution for a similar question does not return rows where entries and expired are 0. Thank you for your time.

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  • SQL Databases and table design/organization

    - by John McMullen
    (NOOB disclaimer) I'm working on a system (a type of map), that is accessed mostly via 3 fields: ID (auto incremented), X coordinate, and Y coordinate. As it is right now, i have all data on the map, stored in 1 table. Whenever the map display is loaded it simply queries the database for contents in x and y, and the DB gives the data (other fields in the same entry). If an item on the map is doing something, it has a flag saying its doing something, and then has an ID of the action in another table holding that type of 'actions'. Essentially, for all map data, its stored in 1 table. All actions of a certain type are stored in their own table. I'm a noob, and i'm wondering what the most effective/efficient structure for such a design? (a map that has items, and each item has stats/actions). I'm using PHP atm, using standard SQL queries to get my data. Should i split up the tables so that there are only x number of entries on a table? (coord range limits)? Should it just keep growing and growing? There's a lot of queries to the table... so just tryin to see what is best :/

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  • How to use MySQL geospatial extensions with spherical geometries

    - by Joshua
    Hi Everyone, I would like to store thousands of latitude/longitude points in a MySQL db. I was successful at setting up the tables and adding the data using the geospatial extensions where the column 'coord' is a Point(lat, lng). Problem: I want to quickly find the 'N' closest entries to latitude 'X' degrees and longitude 'Y' degrees. Since the Distance() function has not yet been implemented, I used GLength() function to calculate the distance between (X,Y) and each of the entries, sorting by ascending distance, and limiting to 'N' results. The problem is that this is not calculating shortest distance with spherical geometry. Which means if Y = 179.9 degrees, the list of closest entries will only include longitudes of starting at 179.9 and decreasing even though closer entries exist with longitudes increasing from -179.9. How does one typically handle the discontinuity in longitude when working with spherical geometries in databases? There has to be an easy solution to this, but I must just be searching for the wrong thing because I have not found anything helpful. Should I just forget the GLength() function and create my own function for calculating angular separation? If I do this, will it still be fast and take advantage of the geospatial extensions? Thanks! josh UPDATE: This is exactly what I am describing above. However, it is only for SQL Server. Apparently SQL Server has a Geometry and Geography datatypes. The geography does exactly what I need. Is there something similar in MySQL?

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  • Database contents setting themselves to 0

    - by Luis Armando
    I have a Database that contains 4 tables, however I'm using 1 of them which is separated from the others. In this table I have 4 fields which are varchar and the rest are ints (11 other fields), when the users fill up the DB everything gets saved correctly, however it has happened 3 times so far that the database values for the int's reset to 0 without any apparent reason. At first, I thought, it was because those fields (where the numbers should go) were varchars not ints. However since I changed it, it happened again. I've already double checked my code and I have nothing that even updates or inserts a 0 value. Also I'm using codeigniter and active records which protect against SQL injections AND have XSS filtering enabled, could anyone point out something I might be missing or a reason for this to be happening? Also, I'm pretty sure about the answer of this but, is there ANY way to recover some data?? Other than having to ask everyone to fill in everything again.. =/ ** EDIT ** The Storage Engine is MyISAM and Collation is latin1_swedish_ci, Pack Keys are default, for all intents and purposes it's a normal DB

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  • How create single HTML file to viewed in Excel with multiple sheets?

    - by Dmitry Nelepov
    I want know, is it possible create single HTML file wich (after chaging extension to xls) when opened at Excel will parsed to multiple sheets. Little example i got file test.xls with contents <html> <body> <table> <tr> <td> 1 </td> <td> 2 </td> <td> 3 </td> <td> =sum(A1:C1) </td> </tr> </table> </body> </html> When i open this file at Excel i got one Sheet with calculated sum of cells A1 to C1 in A4=6 I wonder, it's possible create a HTML file wich containts multiple tables wich will be parsed as multiple sheets at Excel. Here Excel view of this file

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  • Association Mapping Details confusion?

    - by AaronLS
    I have never understood why the associations in EntityFramework look the way they do in the Mapping Details window. When I select the line between 2 tables for an association, for example FK_ApplicationSectionsNodes_FormItems, it shows this: Association Maps to ApplicationSectionNodes FormItems (key symbol) FormItemId:Int32 <--> FormItemId:int ApplicationSectionNodes (key symbol) NodeId:Int32 <--> (key symbol) NodeId : int Fortunately this one was create automatically for me based on the foreign key constraints in my database, but whenever no constraints exist, I have a hard to creating associations manually(when the database doesn't have a diagram setup) because I don't understand the mapping details for associations. FormItems table has a primary key identity column FormItemId, and ApplicationSectionNodes contains a FormItemId column that is the foreign key and has NodeId as a primary key identity column. What really makes no sense to me is why the association has anything listed about the NodeId, when NodeId doesn't have anything to do with the foreign key relationship? (It's even more confusing with self referencing relationships, but maybe if I could understand the above case I'd have a better handle). CREATE TABLE [dbo].[ApplicationSectionNodes]( [NodeID] [int] IDENTITY(1,1) NOT NULL, [OutlineText] [varchar](5000) NULL, [ParentNodeID] [int] NULL, [FormItemId] [int] NULL, CONSTRAINT [PK_ApplicationSectionNodes] PRIMARY KEY CLUSTERED ( [NodeID] ASC )WITH (PAD_INDEX = OFF, STATISTICS_NORECOMPUTE = OFF, IGNORE_DUP_KEY = OFF, ALLOW_ROW_LOCKS = ON, ALLOW_PAGE_LOCKS = ON) ON [PRIMARY], CONSTRAINT [UQ_ApplicationSectionNodesFormItemId] UNIQUE NONCLUSTERED ( [FormItemId] 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 ALTER TABLE [dbo].[ApplicationSectionNodes] WITH NOCHECK ADD CONSTRAINT [FK_ApplicationSectionNodes_ApplicationSectionNodes] FOREIGN KEY([ParentNodeID]) REFERENCES [dbo].[ApplicationSectionNodes] ([NodeID]) GO ALTER TABLE [dbo].[ApplicationSectionNodes] NOCHECK CONSTRAINT [FK_ApplicationSectionNodes_ApplicationSectionNodes] GO ALTER TABLE [dbo].[ApplicationSectionNodes] WITH NOCHECK ADD CONSTRAINT [FK_ApplicationSectionNodes_FormItems] FOREIGN KEY([FormItemId]) REFERENCES [dbo].[FormItems] ([FormItemId]) GO ALTER TABLE [dbo].[ApplicationSectionNodes] NOCHECK CONSTRAINT [FK_ApplicationSectionNodes_FormItems] GO FormItems Table: CREATE TABLE [dbo].[FormItems]( [FormItemId] [int] IDENTITY(1,1) NOT NULL, [FormItemType] [int] NULL, CONSTRAINT [PK_FormItems] PRIMARY KEY CLUSTERED ( [FormItemId] 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 ALTER TABLE [dbo].[FormItems] WITH NOCHECK ADD CONSTRAINT [FK_FormItems_FormItemTypes] FOREIGN KEY([FormItemType]) REFERENCES [dbo].[FormItemTypes] ([FormItemTypeId]) GO ALTER TABLE [dbo].[FormItems] NOCHECK CONSTRAINT [FK_FormItems_FormItemTypes] GO

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  • Exporting de-aggregated data

    - by Ben
    I'm currently working on a data export feature for a survey application. We are using SQL2k8. We store data in a normalized format: QuestionId, RespondentId, Answer. We have a couple other tables that define what the question text is for the QuestionId and demographics for the RespondentId... Currently I'm using some dynamic SQL to generate a pivot that joins the question table to the answer table and creates an export, its working... The problem is that it seems slow and we don't have that much data (less than 50k respondents). Right now I'm thinking "why am I 'paying' to de-aggregate the data for each query? Why don't I cache that?" The data being exported is based on dynamic criteria. It could be "give me respondents that completed on x date (or range)" or "people that like blue", etc. Because of that, I think I have to cache at the respondent level, find out what respondents are being exported and then select their combined cached de-aggregated data. To me the quick and dirty fix is a totally flat table, RespondentId, Question1, Question2, etc. The problem is, we have multiple clients and that doesn't scale AND I don't want to have to maintain the flattened table as the survey changes. So I'm thinking about putting an XML column on the respondent table and caching the results of a SELECT * FROM Data FOR XML AUTO WHERE RespondentId = x. With that in place, I would then be able to get my export with filtering and XML calls into the XML column. What are you doing to export aggregated data in a flattened format (CSV, Excel, etc)? Does this approach seem ok? I worry about the cost of XML functions on larger result sets (think SELECT RespondentId, XmlCol.value('//data/question_1', 'nvarchar(50)') AS [Why is there air?], XmlCol.RinseAndRepeat)... Is there a better technology/approach for this? Thanks!

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  • Hibernate collection multiple types

    - by CaptainAwesomePants
    I have a class Player that contains a list of Accessory objects. There are two kinds of Accessories. SocketedAccessories have a list of SocketJewels, and MagicAccessories have a list of MagicEnchantments. At the database level, there is a players table that represents the player, and an accessories table that contains a list of accessories. Accessories have a type field that indicates whether they are socketed or magical, and the columns that are only used by one type are just left blank by entries of the other type. There are socket_jewels and magic_enchantments tables, representing the socket jewels or the magic enchantments on each accessory. I am trying to figure out the correct way to map this with Hibernate. One way would be for the player to have two lists of accessories, one for SocketedAccessories and one for MagicAccessories. That seems undesirable, though. What I want is a way to specify that player should have a field List<Accessory> accessories that contains both types of thing. Is there a way to tell Hibernate, in either hbm.xml or annotations, to do this?

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  • Queries within queries: Is there a better way?

    - by mririgo
    As I build bigger, more advanced web applications, I'm finding myself writing extremely long and complex queries. I tend to write queries within queries a lot because I feel making one call to the database from PHP is better than making several and correlating the data. However, anyone who knows anything about SQL knows about JOINs. Personally, I've used a JOIN or two before, but quickly stopped when I discovered using subqueries because it felt easier and quicker for me to write and maintain. Commonly, I'll do subqueries that may contain one or more subqueries from relative tables. Consider this example: SELECT (SELECT username FROM users WHERE records.user_id = user_id) AS username, (SELECT last_name||', '||first_name FROM users WHERE records.user_id = user_id) AS name, in_timestamp, out_timestamp FROM records ORDER BY in_timestamp Rarely, I'll do subqueries after the WHERE clause. Consider this example: SELECT user_id, (SELECT name FROM organizations WHERE (SELECT organization FROM locations WHERE records.location = location_id) = organization_id) AS organization_name FROM records ORDER BY in_timestamp In these two cases, would I see any sort of improvement if I decided to rewrite the queries using a JOIN? As more of a blanket question, what are the advantages/disadvantages of using subqueries or a JOIN? Is one way more correct or accepted than the other?

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  • C# sqlite syntax in ASP.NET?

    - by acidzombie24
    -edit- This is no longer relevant and the question doesnt make sense to me anymore. I think i wanted to know how to create tables or know if the syntax is the same from winform to ASP.NET I am very use to sqlite http://sqlite.phxsoftware.com/ and would like to create a DB in a similar style. How do i do this? it doesnt need to be the same, just similar enough for me to enjoy. An example of the syntax. connection = new SQLiteConnection("Data Source=" + sz +";Version=3"); command = new SQLiteCommand(connection); connection.Open(); command.CommandText = "CREATE TABLE if not exists miscInfo(key TEXT, " + "value TEXT, UNIQUE (key));"; command.ExecuteNonQuery(); The @name is a symbol and command.Parameters.Add("@userDesc", DbType.String).Value = d.userDesc; replaces the symbol with escaped values/texts/blob command.CommandText = "INSERT INTO discData(rootfolderID, time, volumeName, discLabel, " + "userTitle, userDesc) "+ "VALUES(@rootfolderID, @time, @volumeName, @discLabel, " + "@userTitle, @userDesc); " + "SELECT last_insert_rowid() AS RecordID;"; command.Parameters.Add("@rootfolderID", DbType.Int64).Value = d.rootfolderID; command.Parameters.Add("@time", DbType.Int64).Value = d.time; command.Parameters.Add("@volumeName", DbType.String).Value = d.volumeName; command.Parameters.Add("@discLabel", DbType.String).Value = d.discLabel; command.Parameters.Add("@userTitle", DbType.String).Value = d.userTitle; command.Parameters.Add("@userDesc", DbType.String).Value = d.userDesc; d.discID = (long)command.ExecuteScalar();

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  • Problem importing Oracle .dmp file

    - by BitFiddler
    So I have looked at all the suggested ways of importing .dmp files and non of them seem to answer this question: where does the data go once you import it? Context: I created a user like so: SQL> create user IMPORTER identified by "12345"; SQL> grant connect, unlimited tablespace, resource to IMPORTER; I then ran the 'imp' command as follows: C:\>imp system/password FROMUSER=OVIEDOE TOUSER=IMPORTER file=c:\database1.dmp Now there were 9 .dmp files, after each one it asked me for the next one and then I received the message "Import terminated successfully with warnings." The warning was: Warning: the objects were exported by OVIEDOE, not by you import done in WE8MSWIN1252 character set and AL16UTF16 NCHAR character set export client uses WE8ISO8859P1 character set (possible charset conversion) IMP-00046: using FILESIZE value from export file of 2147483648 Now it says it was terminated successfully so my assumption (I am new to oracle so this may be wrong) is that the data was loaded. However, when I use SQL developer to connect to the database and look under the 'tables' node under the IMPORTER user, there is nothing there. What is going on? Did the data load? If so, where can I find it?

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  • Getting a certain node using DataSet

    - by MarceloRamires
    I have the following XML <xml> <ObsCont xCampo="field1"> <xTexto>example1</xTexto> </ObsCont> <ObsCont xCampo="field2"> <xTexto>example2</xTexto> </ObsCont> <ObsCont xCampo="field3"> <xTexto>example3</xTexto> </ObsCont> <field>information</field> </xml> Is there a way to get the content of "xTexto" inside the ObsCont that has "field2" value for the attribute xCampo using DataSet ? It would be desireable to have a single liner like the following: DataSet ds = new DataSet(); ds.ReadXml(StrArquivoProc); ds.Tables["xml"].Rows[0]["field"].ToString(); //field == "information" If I use the same method I'm not specifying that I want the one with the desired attribute.

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  • How to track auto-generated id's in select-insert statement

    - by k rey
    I have two tables detail and head. The detail table will be written first. Later, the head table will be written. The head is a summary of the detail table. I would like to keep a reference from the detail to the head table. I have a solution but it is not elegant and requires duplicating the joins and filters that were used during summation. I am looking for a better solution. The below is an example of what I currently have. In this example, I have simplified the table structure. In the real world, the summation is very complex. -- Preparation create table #detail ( detail_id int identity(1,1) , code char(4) , amount money , head_id int null ); create table #head ( head_id int identity(1,1) , code char(4) , subtotal money ); insert into #detail ( code, amount ) values ( 'A', 5 ); insert into #detail ( code, amount ) values ( 'A', 5 ); insert into #detail ( code, amount ) values ( 'B', 2 ); insert into #detail ( code, amount ) values ( 'B', 2 ); -- I would like to somehow simplify the following two queries insert into #head ( code, subtotal ) select code, sum(amount) from #detail group by code update #detail set head_id = h.head_id from #detail d inner join #head h on d.code = h.code -- This is the desired end result select * from #detail Desired end result of detail table: detail_id code amount head_id 1 A 5.00 1 2 A 5.00 1 3 B 2.00 2 4 B 2.00 2

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  • Trouble creating a SQL query

    - by JoBu1324
    I've been thinking about how to compose this SQL query for a while now, but after thinking about it for a few hours I thought I'd ask the SO community to see if they have any ideas. Here is a mock up of the relevant portion of the tables: contracts id date ar (yes/no) term payments contract_id payment_date The object of the query is to determine, per month, how many payments we expect, vs how many payments we received. conditions for expecting a payment Expected payments begin on contracts.term months after contracts.date, if contracts.ar is "yes". Payments continue to be expected until the month after the first missed payment. There is one other complication to this: payments might be late, but they need to show up as if they were paid on the date expected. The data is all there, but I've been having trouble wrapping my head around the SQL query. I am not an SQL guru - I merely have a decent amount of experience handling simpler queries. I'd like to avoid filtering the results in code, if possible - but without your help that may be what I have to do. Expected Output Month Expected Payments Received Payments January 500 450 February 498 478 March 234 211 April 987 789 ... SQL Fiddle I've created an SQL Fiddle: http://sqlfiddle.com/#!2/a2c3f/2

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  • Django sub-applications & module structure

    - by Rob Golding
    I am developing a Django application, which is a large system that requires multiple sub-applications to keep things neat. Therefore, I have a top level directory that is a Django app (as it has an empty models.py file), and multiple subdirectories, which are also applications in themselves. The reason I have laid my application out in this way is because the sub-applications are separated, but they would never be used on their own, outside the parent application. It therefore makes no sense to distribute them separately. When installing my application, the settings file has to include something like this: INSTALLED_APPS = ( ... 'myapp', 'myapp.subapp1', 'myapp.subapp2', ... ) ...which is obviously suboptimal. This also has the slightly nasty result of requiring that all the sub-applications are referred to by their "inner" name (i.e. subapp1, subapp2 etc.). For example, if I want to reset the database tables for subapp1, I have to type: python manage.py reset subapp1 This is annoying, especially because I have a sub-app called core - which is likely to conflict with another application's name when my application is installed in a user's project. Am I doing this completely wrongly, or is there away to force these "inner" apps to be referred to by their full name?

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  • Populate an unmapped property of domain object from result of join with Nhibernate

    - by Adam Pope
    I have a situation where I have 3 tables: StockItem, Office and StockItemPrice. The price for each StockItem can be different for each Office. StockItem( ID Name ) Office( ID Name ) StockItemPrice( ID StockItemID OfficeID Price ) I've set up a schema with 2 many-to-one relations to link StockItem and Office. So in my StockItem domain object I have a property: IList<StockItemPrice> Prices; which gets loaded with the price of the item for each office. That's working fine. Now I'm trying to get the price of an item for a single office. I have the following Criteria query: NHibernateSession.CreateCriteria(persistentType) .Add(Restrictions.Eq("ID", id)) .CreateAlias("Prices", "StockItemPrice") .Add(Restrictions.Eq("StockItemPrice.Office", office)) .UniqueResult<StockItem>(); This appears to work fine as the SQL it generates is what I qould expect. However, I dont know if it populates StockItem.Prices with a single object correctly as as soon as I reference that property NHibernate performs a lazy load of all the office's prices. Also, even if it does work, it feels really crufty having to access the price by using: mystockitem.Prices[0].Price What I would really like is to have a Price field on the StockItem object and have the price of the item put into that field by NHibernate. I've tried adding .CreateCriteria("Price", "StockItemPrice.Price") and the same with CreateAlias, but I get the error NHibernate.QueryException : could not resolve property: Price of: StockItem which makes sense I guess as Price isn't a mapped property. How would I adjust the query to make this possible?

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