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  • DuplicateKeyException in LINQ, but I've set auto increment and auto sync

    - by Fritos
    I'm getting a DuplicateKeyException error in my C# code. I've set Auto Generated = true, and Auto-Sync = OnInsert in my dbml. I'm not even touching the PK field in any manually written code (as seen below [My primary key field is actually called PK]). using (DeviceExerciseDataDataContext context = new DeviceExerciseDataDataContext()) { foreach(Data tgudData in data.Data) { tgd = new tableData(); tgd.FK = key; tgd.Time = tgudData.TimeStamp; tgd.Calories = Convert.ToInt32(tgudData.Calories); tgd.HeartRate = tgudData.AvgHr; tgd.BenchAngle = tgudData.Angle; tgd.WorkoutTarget = 0; tgd.Reps = tgudData.Reps; context.tableDatas.InsertOnSubmit(tgd); } context.SubmitChanges(); } This is the code for the column in the designer (columns are named PK and FK) [global::System.Data.Linq.Mapping.ColumnAttribute(Storage="_PK", AutoSync=AutoSync.OnInsert, DbType="Int NOT NULL", IsPrimaryKey=true, IsDbGenerated=true)] public int PK { get { return this._PK; } set { if ((this._PK != value)) { this.OnPKChanging(value); this.SendPropertyChanging(); this._PK = value; this.SendPropertyChanged("PK"); this.OnPKChanged(); } } } [global::System.Data.Linq.Mapping.ColumnAttribute(Storage="_FK", DbType="Int")] public System.Nullable<int> FK { get { return this._FK; } set { if ((this._FK != value)) { this.OnFKChanging(value); this.SendPropertyChanging(); this._FK = value; this.SendPropertyChanged("FK"); this.OnFKChanged(); } } }

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  • Using NULLs in matchup table

    - by TomWilsonFL
    I am working on the accounting portion of a reservation system (think limo company). In the system there are multiple objects that can either be paid or submit a payment. I am tracking all of these "transactions" in three tables called: tx, tx_cc, and tx_ch. tx generates a new tx_id (for transaction ID) and keeps the information about amount, validity, etc. Tx_cc and tx_ch keep the information about the credit card or check used, respectively, which link to other tables (credit_card and bank_account among others). This seems fairly normalized to me, no? Now here is my problem: The payment transaction can take place for a myriad of reasons. Either a reservation is being paid for, a travel agent that booked a reservation is being paid, a driver is being paid, etc. This results in multiple tables, one for each of the entities: agent_tx, driver_tx, reservation_tx, etc. They look like this: CREATE TABLE IF NOT EXISTS `driver_tx` ( `tx_id` int(10) unsigned zerofill NOT NULL, `driver_id` int(11) NOT NULL, `reservation_id` int(11) default NULL, `reservation_item_id` int(11) default NULL, PRIMARY KEY (`tx_id`) ) ENGINE=InnoDB DEFAULT CHARSET=utf8; Now this transaction is for a driver, but could be applied to an individual item on the reservation or the entire reservation overall. Therefore I demand either reservation_id OR reservation_item_id to be null. In the future there may be other things which a driver is paid for, which I would also add to this table, defaulting to null. What is the rule on this? Opinion? Obviously I could break this out into MANY three column tables, but the amount of OUTER JOINing needed seems outrageous. Your input is appreciated. Peace, Tom

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  • Rails: creating a custom data type, to use with generator classes and a bunch of questions related t

    - by Shyam
    Hi, After being productive with Rails for some weeks, I learned some tricks and got some experience with the framework. About 10 days ago, I figured out it is possible to build a custom data type for migrations by adding some code in the Table definition. Also, after learning a bit about floating points (and how evil they are) vs integers, the money gem and other possible solutions, I decided I didn't WANT to use the money gem, but instead try to learn more about programming and finding a solution myself. Some suggestions said that I should be using integers, one for the whole numbers and one for the cents. When playing in script/console, I discovered how easy it is to work with calculations and arrays. But, I am talking to much (and the reason I am, is to give some sufficient background). Right now, while playing with the scaffold generator (yes, I use it, because I like they way I can quickly set up a prototype while I am still researching my objectives), I like to use a DRY method. In my opinion, I should build a custom "object", that can hold two variables (Fixnum), one for the whole, one for the cents. In my big dream, I would be able to do the following: script/generate scaffold Cake name:string description:text cost:mycustom Where mycustom should create two integer columns (one for wholes, one for cents). Right now I could do this by doing: script/generate scaffold Cake name:string description:text cost_w:integer cost_c:integer I had also had an idea that would be creating a "cost model", which would hold two columns of integers and create a cost_id column to my scaffold. But wouldn't that be an extra table that would cause some kind of performance penalty? And wouldn't that be defy the purpose of the Cake model in the first place, because the costs are an attribute of individual Cake entries? The reason why I would want to have such a functionality because I am thinking of having multiple "costs" inside my rails application. Thank you for your feedback, comments and answers! I hope my message got through as understandable, my apologies for incorrect grammar or weird sentences as English is not my native language.

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  • mysql_real_escape_string() just makes an empty string?

    - by James P
    I am using a jQuery AJAX request to a page called like.php that connects to my database and inserts a row. This is the like.php code: <?php // Some config stuff define(DB_HOST, 'localhost'); define(DB_USER, 'root'); define(DB_PASS, ''); define(DB_NAME, 'quicklike'); $link = mysql_connect(DB_HOST, DB_USER, DB_PASS) or die('ERROR: ' . mysql_error()); $sel = mysql_select_db(DB_NAME, $link) or die('ERROR: ' . mysql_error()); $likeMsg = mysql_real_escape_string(trim($_POST['likeMsg'])); $timeStamp = time(); if(empty($likeMsg)) die('ERROR: Message is empty'); $sql = "INSERT INTO `likes` (like_message, timestamp) VALUES ('$likeMsg', $timeStamp)"; $result = mysql_query($sql, $link) or die('ERROR: ' . mysql_error()); echo mysql_insert_id(); mysql_close($link); ?> The problematic line is $likeMsg = mysql_real_escape_string(trim($_POST['likeMsg']));. It seems to just return an empty string, and in my database under the like_message column all I see is blank entries. If I remove mysql_real_escape_string() though, it works fine. Here's my jQuery code if it helps. $('#like').bind('keydown', function(e) { if(e.keyCode == 13) { var likeMessage = $('#changer p').html(); if(likeMessage) { $.ajax({ cache: false, url: 'like.php', type: 'POST', data: { likeMsg: likeMessage }, success: function(data) { $('#like').unbind(); writeLikeButton(data); } }); } else { $('#button_container').html(''); } } }); All this jQuery code works fine, I've tested it myself independently. Any help is greatly appreciated, thanks.

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  • Hibernate MapKeyManyToMany gives composite key where none exists

    - by larsrc
    I have a Hibernate (3.3.1) mapping of a map using a three-way join table: @Entity public class SiteConfiguration extends ConfigurationSet { @ManyToMany @MapKeyManyToMany(joinColumns=@JoinColumn(name="SiteTypeInstallationId")) @JoinTable( name="SiteConfig_InstConfig", joinColumns = @JoinColumn(name="SiteConfigId"), inverseJoinColumns = @JoinColumn(name="InstallationConfigId") ) Map<SiteTypeInstallation, InstallationConfiguration> installationConfigurations = new HashMap<SiteTypeInstallation, InstallationConfiguration>(); ... } The underlying table (in Oracle 11g) is: Name Null Type ------------------------------ -------- ---------- SITECONFIGID NOT NULL NUMBER(19) SITETYPEINSTALLATIONID NOT NULL NUMBER(19) INSTALLATIONCONFIGID NOT NULL NUMBER(19) The key entity used to have a three-column primary key in the database, but is now redefined as: @Entity public class SiteTypeInstallation implements IdResolvable { @Id @GeneratedValue(generator="SiteTypeInstallationSeq", strategy= GenerationType.SEQUENCE) @SequenceGenerator(name = "SiteTypeInstallationSeq", sequenceName = "SEQ_SiteTypeInstallation", allocationSize = 1) long id; @ManyToOne @JoinColumn(name="SiteTypeId") SiteType siteType; @ManyToOne @JoinColumn(name="InstalationRoleId") InstallationRole role; @ManyToOne @JoinColumn(name="InstallationTypeId") InstType type; ... } The table for this has a primary key 'Id' and foreign key constraints+indexes for each of the other columns: Name Null Type ------------------------------ -------- ---------- SITETYPEID NOT NULL NUMBER(19) INSTALLATIONROLEID NOT NULL NUMBER(19) INSTALLATIONTYPEID NOT NULL NUMBER(19) ID NOT NULL NUMBER(19) For some reason, Hibernate thinks the key of the map is composite, even though it isn't, and gives me this error: org.hibernate.MappingException: Foreign key (FK1A241BE195C69C8:SiteConfig_InstConfig [SiteTypeInstallationId])) must have same number of columns as the referenced primary key (SiteTypeInstallation [SiteTypeId,InstallationRoleId]) If I remove the annotations on installationConfigurations and make it transient, the error disappears. I am very confused why it thinks SiteTypeInstallation has a composite key at all when @Id is clearly defining a simple key, and doubly confused why it picks exactly just those two columns. Any idea why this happens? Is it possible that JBoss (5.0 EAP) + Hibernate somehow remembers a mistaken idea of the primary key across server restarts and code redeployments? Thanks in advance, -Lars

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  • Copy and paste between sheets in a workbook with VBA code

    - by Hannah
    Trying to write a macro in VBA for Excel to look at the value in a certain column from each row of data in a list and if that value is "yes" then it copies and pastes the entire row onto a different sheet in the same workbook. Let's name the two sheets "Data" and "Final". I want to have the sheets referenced so it does not matter which sheet I have open when it runs the code. I was going to use a Do loop to cycle through the rows on the one data sheet until it finds there are no more entries, and if statements to check the values. I am confused about how to switch from one sheet to the next. How do I specifically reference cells in different sheets? Here is the pseudocode I had in mind: Do while DataCells(x,1).Value <> " " for each DataCells(x,1).Value="NO" if DataCells(x,2).Value > DataCells(x,3).Value or _ DataCells(x,4).Value < DataCells(x,5).Value 'Copy and paste/insert row x from Data to Final sheet adding a new 'row for each qualifying row else x=x+1 end else if DataCells(x,1).Value="YES" Loop 'copy and paste entire row to a third sheet 'continue this cycle until all rows in the data sheet are examined

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  • SQL Server compare table entries for update

    - by Dave
    I have a trade table with several million rows. Each row represents the version of a trade. If I'm given a possibly new trade I compare it to the latest version in the trade table. If it has changed I add a new version, otherwise I do nothing. In order to compare the 2 trades I read the version from the trade table into my application. This doesn't work well when I'm given 10s of thousands of possibly new trades. Even batching reads to read in a 1000 trades at once and compare them the whole process can take several minutes. All the time is spent in the DB. I'm trying to find a way to compare the possibly new trades to the ones in the trade table without so much I/O. What I've come up with so far is adding a hash column to each row in the trade table. The hash is of all the trade fields. Then when I'm given possibly new trades I compute their hash, put the values into a temporary table, then find ones that are different. This feels very hacky. Is there a better way of doing it? Thanks

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  • Improve Log Exceptions

    - by Jaider
    I am planning to use log4net in a new web project. In my experience, I see how big the log table can get, also I notice that errors or exceptions are repeated. For instance, I just query a log table that have more than 132.000 records, and I using distinct and found that only 2.500 records are unique (~2%), the others (~98%) are just duplicates. so, I came up with this idea to improve logging. Having a couple of new columns: counter and updated_dt, that are updated every time try to insert same record. If want to track the user that cause the exception, need to create a user_log or log_user table, to map N-N relationship. Create this model may made the system slow and inefficient trying to compare all these long text... Here the trick, we should also has a hash column of binary of 16 or 32, that hash the message and the exception, and configure an index on it. We can use HASHBYTES to help us. I am not an expert in DB, but I think that will made the faster way to locate a similar record. And because hashing doesn't guarantee uniqueness, will help to locale those similar record much faster and later compare by message or exception directly to make sure that are unique. This is a theoretical/practical solution, but will it work or bring more complexity? what aspects I am leaving out or what other considerations need to have? the trigger will do the job of insert or update, but is the trigger the best way to do it?

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  • JMeter CSV Data Set is corrupting Japanese strings stored as proper UTF-8, I get Question Marks instead

    - by Mark Bennett
    I read in search terms from a simple text file to send to a search engine. It works fine in English, but gives me ???? for any Japanese text. Text with mixed English and Japanese does show the English text, so I know it's reading it. What I'm seeing: Input text: Snow Leopard ??????????????? Turns into: Snow Leopard ??????????????? This is in my POST field of an HTTP. If I set JMeter to encode the data, it just puts in the percent sequence for question marks. Interesting note: In the example above there are 15 Japanese characters, and then 15 question marks, so at some point it's being seen as full characters and not just bytes. About the Data: The CSV file is very simple in structure. There's only one field / one column, which I name TERM, and later use as ${TERM} I don't really need full CSV because it's only one string per line. There's no commas or quotes. When I run the Unix "file" command on the file, it says UTF-8 text. I've also verified it in command line and graphical mode on two machines. JMeter CSV Dataset Config: Filename: japanese-searches.csv File encoding: UTF-8 (also tried without) Variable names: TERM Delimiter: , Allow Quoted Data: False (I also tried True, different, but still wrong) Recycle at EOF: True Stop at EOF: False Staring mode: All threads A few things I've tried: Tried Allow quoted Data. It changed to other strange characters. -Dfile.encoding=UTF-8 Tried encoding the POST, but it just turned into a bunch of %nn for question marks And I'm not sure how "debug" just after the each line of the CSV is read in. I think it's corrupted right away, but I'm not sure. If it's only mangled when I reference it, then instead of ${TERM} perhaps there's some other "to bytes" function call. I'll start checking into that. I haven't done anything with the JMeter functions yet.

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  • Oracle SQL: ROLLUP not summing correctly

    - by tommy-o-dell
    Hi guys, Rollup seems to be working correcly to count the number of units, but not the number of trains. Any idea what could be causing that? The output from the query looks like this. The sum of the Units column in yellow is 53 but the rollup is showing 51. The number of units adds up correctly though... And here's the oracle SQL query... select t.year, t.week, decode(t.mine_id,NULL,'PF',t.mine_id) as mine_id, decode(t.product,Null,'LF',t.product) as product, decode(t.mine_id||'-'||t.product,'-','PF',t.mine_id||'-'||t.product) as code, count(distinct t.tpps_train_id) as trains, count(1) as units from ( select trn.mine_code as mine_id, trn.train_tpps_id as tpps_train_id, round((con.calibrated_weight_total - con.empty_weight_total),2) as tonnes from widsys.train trn INNER JOIN widsys.consist con USING (train_record_id) where trn.direction = 'N' and (con.calibrated_weight_total-con.empty_weight_total) > 10 and trn.num_cars > 10 and con.consist_no not like '_L%' ) w, ( select to_char(td.datetime_act_comp_dump-7/24, 'IYYY') as year, to_char(td.datetime_act_comp_dump-7/24, 'IW') as week, td.mine_code as mine_id, td.train_id as tpps_train_id, pt.product_type_code as product from tpps.train_details td inner join tpps.ore_products op using (ore_product_key) inner join tpps.product_types pt using (product_type_key) where to_char(td.datetime_act_comp_dump-7/24, 'IYYY') = 2010 and to_char(td.datetime_act_comp_dump-7/24, 'IW') = 12 order by td.datetime_act_comp_dump asc ) t where w.mine_id = t.mine_id and w.tpps_train_id = t.tpps_train_id having t.product is not null or t.mine_id is null group by t.year, t.week, rollup( t.mine_id, t.product)

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  • WPF data-bound ComboBox only shows first item of ItemsSource list

    - by Mark
    Hi all, I'm sure I'm doing something stupid but for the life of me I can't think of right now. I have a ComboBox that is data-bound to a list of Layout objects. The list is initially empty but things are added over time. When the list is updated by the model the first time, this update reflects properly in the ComboBox. However, subsequent updates never show up in the ComboBox even though I can see that the list itself contains these items. Since the first update works, I know the data-binding is OK - so what am I doing wrong here? Here's the XAML (abridged): <Grid HorizontalAlignment="Stretch"> <ComboBox ItemsSource="{Binding Path=SavedLayouts, diagnostics:PresentationTraceSources.TraceLevel=High}" DisplayMemberPath="Name" SelectedValuePath="Name" SelectedItem="{Binding LoadLayout}" Height="25" Grid.Row="1" Grid.Column="0"></ComboBox> </Grid> And the related part of the model: public IList<Layout> SavedLayouts { get { return _layouts; } } public Layout SaveLayout( String data_ ) { Layout theLayout = new Layout( SaveLayoutName ); _layouts.Add( theLayout ); try { return theLayout; } finally { PropertyChangedEventHandler handler = PropertyChanged; if( handler != null ) { handler( this, new PropertyChangedEventArgs( "SavedLayouts" ) ); } } } And finally, the layout class (abridged): public class Layout { public String Name { get; private set; } } In the output window, I can see the update occurring: System.Windows.Data Warning: 91 : BindingExpression (hash=64564967): Got PropertyChanged event from TickerzModel (hash=43624632) System.Windows.Data Warning: 97 : BindingExpression (hash=64564967): GetValue at level 0 from TickerzModel (hash=43624632) using RuntimePropertyInfo(SavedLayouts): List`1 (hash=16951421 Count=11) System.Windows.Data Warning: 76 : BindingExpression (hash=64564967): TransferValue - got raw value List`1 (hash=16951421 Count=11) System.Windows.Data Warning: 85 : BindingExpression (hash=64564967): TransferValue - using final value List`1 (hash=16951421 Count=11) But I get do not get this 11th item in the ComboBox. Any ideas?

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  • NHibernate One to One Foreign Key ON DELETE CASCADE

    - by xll
    I need to implement One-to-one association between Project and ProjecSettings using fluent NHibernate: public class ProjectMap : ClassMap<Project> { public ProjectMap() { Id(x => x.Id) .UniqueKey(MapUtils.Col<Project>(x => x.Id)) .GeneratedBy.HiLo("NHHiLoIdentity", "NextHiValue", "1000", string.Format("[EntityName] = '[{0}]'", MapUtils.Table<Project>())) .Not.Nullable(); HasOne(x => x.ProjectSettings) .PropertyRef(x => x.Project); } } public class ProjectSettingsMap : ClassMap<ProjectSettings> { public ProjectSettingsMap() { Id(x => x.Id) .UniqueKey(MapUtils.Col<ProjectSettings>(x => x.Id)) .GeneratedBy.HiLo("NHHiLoIdentity", "NextHiValue", "1000", string.Format("[EntityName] = '[{0}]'", MapUtils.Table<ProjectSettings>())); References(x => x.Project) .Column(MapUtils.Ref<ProjectSettings, Project>(p => p.Project, p => p.Id)) .Unique() .Not.Nullable(); } } This results in the following sql for Project Settings: CREATE TABLE ProjectSettings ( Id bigint PRIMARY KEY NOT NULL, Project_Project_Id bigint NOT NULL UNIQUE, /* Foreign keys */ FOREIGN KEY (Project_Project_Id) REFERENCES Project() ON DELETE NO ACTION ON UPDATE NO ACTION ); What I am trying to achieve is to have ON DELETE CASCADE for the FOREIGN KEY (Project_Project_Id), so that when the project is deleted through sql query, it's settings are deleted too. How can I achieve this ? EDIT: I know about Cascade.Delete() option, but it's not what I need. Is there any way to intercept the FK statement generation?

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  • Getting the most recent post based on date

    - by camcim
    Hi guys, How do I go about displaying the most recent post when I have two tables, both containing a column called creation_date This would be simple if all I had to do was get the most recent post based on posts created_on value however if a post contains replies I need to factor this into the equation. If a post has a more recent reply I want to get the replies created_on value but also get the posts post_id and subject. The posts table structure: CREATE TABLE `posts` ( `post_id` bigint(20) unsigned NOT NULL auto_increment, `cat_id` bigint(20) NOT NULL, `user_id` bigint(20) NOT NULL, `subject` tinytext NOT NULL, `comments` text NOT NULL, `created_on` datetime NOT NULL, `status` varchar(10) NOT NULL default 'INACTIVE', `private_post` varchar(10) NOT NULL default 'PUBLIC', `db_location` varchar(10) NOT NULL, PRIMARY KEY (`post_id`) ) ENGINE=MyISAM DEFAULT CHARSET=latin1 AUTO_INCREMENT=7 ; The replies table structure: CREATE TABLE `replies` ( `reply_id` bigint(20) unsigned NOT NULL auto_increment, `post_id` bigint(20) NOT NULL, `user_id` bigint(20) NOT NULL, `comments` text NOT NULL, `created_on` datetime NOT NULL, `notify` varchar(5) NOT NULL default 'YES', `status` varchar(10) NOT NULL default 'INACTIVE', `db_location` varchar(10) NOT NULL, PRIMARY KEY (`reply_id`) ) ENGINE=MyISAM DEFAULT CHARSET=latin1 AUTO_INCREMENT=5 ; Here is my query so far. I've removed my attempt of extracting the dates. $strQuery = "SELECT posts.post_id, posts.created_on, replies.created_on, posts.subject "; $strQuery = $strQuery."FROM posts ,replies "; $strQuery = $strQuery."WHERE posts.post_id = replies.post_id "; $strQuery = $strQuery."AND posts.cat_id = '".$row->cat_id."'";

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  • Rails Model inheritance in forms

    - by Tiago
    I'm doing a reporting system for my app. I created a model ReportKind for example, but as I can report a lot of stuff, I wanted to make different groups of report kinds. Since they share a lot of behavior, I'm trying to use inheritance. So I have the main model: model ReportKind << ActiveRecord::Base end and created for example: model UserReportKind << ReportKind end In my table report_kinds I've the type column, and until here its all working. My problem is in the forms/controllers. When I do a ReportKind.new, my form is build with the '*report_kind*' prefix. If a get a UserReportKind, even through a ReportKind.find, the form will build the 'user_report_kind' prefix. This mess everything in the controllers, since sometimes I'll have params[:report_kind], sometimes params[:user_report_kind], and so on for every other inheritance I made. Is there anyway to force it to aways use the 'report_kind' prefix? Also I had to force the attribute 'type' in the controller, because it didn't get the value direct from the form, is there a pretty way to do this? Routing was another problem, since it was trying to build routes based in the inherited models names. I overcome that by adding the other models in routes pointing to the same controller.

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  • Build and test on 2.2.1 iPod Touch with XCode 3.2.2?

    - by slewis
    I've just installed Xcode 3.2.2 with iPhone SDK 3.2 Beta 5 (Snow Leopard) This version of Xcode didn't come with any iPhone SDKs older than 3.0. But I want to create an app that runs on all devices from iPhone OS 2.2.1 - 3.1.3. I managed to add older SDKs into Xcode by downloading iPhone 3.1.3 with Xcode 3.1.4 and installing each 2.x SDK from the 'Packages' folder in the .dmg. So now I can select 2.2.1 as 'iPhone OS Deployment Target' and the 'Base SDK' as 3.1.3, and the app will build (thus letting me use 3.1.3 APIs with conditional coding whilst still running on 2.2.1 devices). But the problem is the app will not install and run on my 2.2.1 iPod Touch. Instead, Xcode tells me 'No provisioned iPhone OS device is connected'. If I bring up the Organizer, in the left column, the iPod Touch has an orange sphere next to it, instead of green, and clicking on this reveals: 'The version of iPhone OS on “iPod touch” is too old for use with this version of the iPhone SDK. Please restore the device to a version of the OS listed below' I'm not sure how to get this version of the SDK to support 2.2.1. (It needs to be this download of XCode/iPhone SDK because I also want it to be a universal binary so it runs on the iPad with a minimum of fuss).

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  • Need a workaround to filter on related model and aggregated fields in Django

    - by parxier
    I opened a ticket for this problem. In a nutshell here is my model: class Plan(models.Model): cap = models.IntegerField() class Phone(models.Model): plan = models.ForeignKey(Plan, related_name='phones') class Call(models.Model): phone = models.ForeignKey(Phone, related_name='calls') cost = models.IntegerField() I want to run a query like this one: Phone.objects.annotate(total_cost=Sum('calls__cost')).filter(total_cost__gte=0.5*F('plan__cap')) Unfortunately Django generates bad SQL: SELECT "app_phone"."id", "app_phone"."plan_id", SUM("app_call"."cost") AS "total_cost" FROM "app_phone" INNER JOIN "app_plan" ON ("app_phone"."plan_id" = "app_plan"."id") LEFT OUTER JOIN "app_call" ON ("app_phone"."id" = "app_call"."phone_id") GROUP BY "app_phone"."id", "app_phone"."plan_id" HAVING SUM("app_call"."cost") >= 0.5 * "app_plan"."cap" and errors with: ProgrammingError: column "app_plan.cap" must appear in the GROUP BY clause or be used in an aggregate function LINE 1: ...."plan_id" HAVING SUM("app_call"."cost") >= 0.5 * "app_plan".... Is there any workaround apart from running raw SQL?

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  • ASP:GridView does not show data with ObjectdataSource

    - by Kashif
    I have been trying to bind a DataGrid with ObjectDataSource having custom paging but no output is display on my usercontrol. Here is the code I am using <asp:GridView ID="GridView1" runat="server" AutoGenerateColumns="False" DataKeyNames="LeadId" DataSourceID="dsBuyingLead1" AllowPaging="True"> <Columns> <asp:BoundField DataField="Subject" HeaderText="Subject" ReadOnly="True" /> <asp:BoundField DataField="ExpiryDate" HeaderText="ExpiryDate" ReadOnly="True" /> </Columns> </asp:GridView> <asp:ObjectDataSource ID="dsBuyingLead1" runat="server" EnablePaging="True" DataObjectTypeName="Modules.SearchBuyingLeadInfo" OldValuesParameterFormatString="original_{0}" SelectMethod="GetAllBuyingLeads" StartRowIndexParameterName="startRow" MaximumRowsParameterName="maximumRows" SelectCountMethod="GetAllBuyingLeadsCount" TypeName="Modules.SearchController"> <SelectParameters> <asp:QueryStringParameter Name="searchText" QueryStringField="q" Type="String" /> </SelectParameters> </asp:ObjectDataSource> Here are my methods from SearchController class: [DataObjectMethod(DataObjectMethodType.Select)] public static long GetAllBuyingLeadsCount(string searchText) { return DataProvider.Instance().GetAllBuyingLeadsCount(searchText); } [DataObjectMethod(DataObjectMethodType.Select)] public static List<SearchBuyingLeadInfo> GetAllBuyingLeads (string searchText, int startRow, int maximumRows) { List<SearchBuyingLeadInfo> l = CBO.FillCollection<SearchBuyingLeadInfo> ( DataProvider.Instance() .GetAllBuyingLeadswithText(searchText, startRow, maximumRows) ); return l; } Where SearchBuyingLeadInfo is my Data Access Object class I have verified by setting up break points that both GetAllBuyingLeadsCount and GetAllBuyingLeads return non-zero values but unfortunately nothing is displayed on the grid. Only the column headers are displayed. Can anyone tell me what am I missing?

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  • LinQ XML mapping to a generic type

    - by Manuel Navarro
    I´m trying to use an external XML file to map the output from a stored procedure into an instance of a class. The problem is that my class is of a generic type: public class MyValue<T> { public T Value { get; set; } } Searching through a lot of blogs an articles I've managed to get this: <?xml version="1.0" encoding="utf-8" ?> <Database Name="" xmlns="http://schemas.microsoft.com/linqtosql/mapping/2007"> <Table Name="MyValue" Member="MyNamespace.MyValue`1" > <Type Name="MyNamespace.MyValue`1"> <Column Name="Category" Member="Value" DbType="VarChar(100)" /> </Type> </Table> <Function Method="GetResourceCategories" Name="myprefix_GetResourceCategories" > <ElementType Name="MyNamespace.MyValue`1"/> </Function> </Database> The MyNamespace.MyValue`1 trick works fine, and the class is recognized. I expect four rows from the stored procedure, and I'm getting four MyValue<string> instances, but the big problem is that the property Value for the all four instances is null. The property is not getting mapped and I don't really get why. Maybe worth noting that the property Value is generic, and that when the mapping is done using attributes it works perfect. Anyone have a clue? BTW the method GetResourceCategories: public ISingleResult<MyValue<string>> GetResourceCategories() { IExecuteResult result = this.ExecuteMethodCall( this, (MethodInfo)MethodInfo.GetCurrentMethod()); return (ISingleResult<MyValue<string>>)result.ReturnValue; }

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  • most efficient method of turning multiple 1D arrays into columns of a 2D array

    - by Ty W
    As I was writing a for loop earlier today, I thought that there must be a neater way of doing this... so I figured I'd ask. I looked briefly for a duplicate question but didn't see anything obvious. The Problem: Given N arrays of length M, turn them into a M-row by N-column 2D array Example: $id = [1,5,2,8,6] $name = [a,b,c,d,e] $result = [[1,a], [5,b], [2,c], [8,d], [6,e]] My Solution: Pretty straight forward and probably not optimal, but it does work: <?php // $row is returned from a DB query // $row['<var>'] is a comma separated string of values $categories = array(); $ids = explode(",", $row['ids']); $names = explode(",", $row['names']); $titles = explode(",", $row['titles']); for($i = 0; $i < count($ids); $i++) { $categories[] = array("id" => $ids[$i], "name" => $names[$i], "title" => $titles[$i]); } ?> note: I didn't put the name = value bit in the spec, but it'd be awesome if there was some way to keep that as well.

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  • String or binary data would be truncated -- Heisenberg problem

    - by harpo
    When you get this error, the first thing you ask is, which column? Unfortunately, SQL Server is no help here. So you start doing trial and error. Well, right now I have a statement like: INSERT tbl (A, B, C, D, E, F, G) SELECT A, B * 2, C, D, E, q.F, G FROM tbl ,othertable q WHERE etc etc Note that Some values are modified or linked in from another table, but most values are coming from the original table, so they can't really cause truncation going back to the same field (that I know of). Eliminating fields one at a time eventually makes the error go away, if I do it cumulatively, but — and here's the kicker — it doesn't matter which fields I eliminate. It's as if SQL Server is objecting to the total length of the row, which I doubt, since there are only about 40 fields in all, and nothing large. Anyone ever seen this before? Thanks. UPDATE: I have also done "horizontal" testing, by filtering out the SELECT, with much the same result. In other words, if I say WHERE id BETWEEN 1 AND 100: Error WHERE id BETWEEN 1 AND 50: No error WHERE id BETWEEN 50 AND 100: No error I tried many combinations, and it cannot be limited to a single row.

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  • Button Template does not render Image clearly.

    - by Akash Kava
    Here is my button template, <Microsoft_Windows_Themes:ButtonChrome x:Name="Chrome" Background="{TemplateBinding Background}" BorderBrush="{TemplateBinding BorderBrush}" RenderDefaulted="{TemplateBinding IsDefaulted}" RenderMouseOver="{TemplateBinding IsMouseOver}" RenderPressed="{TemplateBinding IsPressed}"> <Grid> <Grid.ColumnDefinitions> <ColumnDefinition Width="Auto"/> <ColumnDefinition/> </Grid.ColumnDefinitions> <Image Source="{TemplateBinding ImageSource}" RenderOptions.BitmapScalingMode="NearestNeighbor" SnapsToDevicePixels="True" HorizontalAlignment="Center" VerticalAlignment="Center" Stretch="None" /> <ContentPresenter Grid.Column="1" HorizontalAlignment="{TemplateBinding HorizontalContentAlignment}" Margin="{TemplateBinding Padding}" VerticalAlignment="{TemplateBinding VerticalContentAlignment}" SnapsToDevicePixels="{TemplateBinding SnapsToDevicePixels}" RecognizesAccessKey="True"/> </Grid> </Microsoft_Windows_Themes:ButtonChrome> Now you can see as per this question My Images are blurry on StackOverflow I tried .. RenderOptions.BitmapScalingMode="NearestNeighbor" On all levels, grid, chrome .. and tried various combinations of SnapsToDevicePixels but images just wont show up correctly. I set Stretch=None, image is aligned at center, still why it stretches automatically? here is the output and its very frustrating. Actual size of the image is 16x16 but I some how figured out by using Windows Maginifier that no matter what I do, the image is actually trying to render as 20x20, for the bigger images its even cropping the right most and bottom part. I think image should be rendered correctly 16x16 when Stretch=None, can anyone clarify whats problem here?

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  • Object reference not set to an instance of an object

    - by MBTHQ
    Can anyone help with the following code? I'm trying to get data from the database colum to the datagridview... I'm getting error over here "Dim sql_1 As String = "SELECT * FROM item where item_id = '" + DataGridView_stockout.CurrentCell.Value.ToString() + "'"" Private Sub DataGridView_stockout_CellMouseClick(ByVal sender As Object, ByVal e As System.Windows.Forms.DataGridViewCellMouseEventArgs) Handles DataGridView_stockout.CellMouseClick Dim i As Integer = Stock_checkDataSet1.Tables(0).Rows.Count > 0 Dim thiscur_stok As New System.Data.SqlClient.SqlConnection("Data Source=MBTHQ\SQLEXPRESS;Initial Catalog=stock_check;Integrated Security=True") ' Sql Query Dim sql_1 As String = "SELECT * FROM item where item_id = '" + DataGridView_stockout.CurrentCell.Value.ToString() + "'" ' Create Data Adapter Dim da_1 As New SqlDataAdapter(sql_1, thiscur_stok) ' Fill Dataset and Get Data Table da_1.Fill(Stock_checkDataSet1, "item") Dim dt_1 As DataTable = Stock_checkDataSet1.Tables("item") If i >= DataGridView_stockout.Rows.Count Then 'MessageBox.Show("Sorry, DataGridView_stockout doesn't any row at index " & i.ToString()) Exit Sub End If If 1 >= Stock_checkDataSet1.Tables.Count Then 'MessageBox.Show("Sorry, Stock_checkDataSet1 doesn't any table at index 1") Exit Sub End If If i >= Stock_checkDataSet1.Tables(1).Rows.Count Then 'MessageBox.Show("Sorry, Stock_checkDataSet1.Tables(1) doesn't any row at index " & i.ToString()) Exit Sub End If If Not Stock_checkDataSet1.Tables(1).Columns.Contains("os") Then 'MessageBox.Show("Sorry, Stock_checkDataSet1.Tables(1) doesn't any column named 'os'") Exit Sub End If 'DataGridView_stockout.Item("cs_stockout", i).Value = Stock_checkDataSet1.Tables(0).Rows(i).Item("os") Dim ab As String = Stock_checkDataSet1.Tables(0).Rows(i)(0).ToString() End Sub I keep on getting the error saying "Object reference not set to an instance of an object" I dont know where I'm going wrong. Help really appreciated!!

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  • How to get the second sub element of every element in a list in R

    - by PaulHurleyuk
    I know I've come across this problem before, but I'm having a bit of a mental block at the moment. and as I can't find it on SO, I'll post it here so I can find it next time. I have a dataframe that contains a field representing an ID label. This label has two parts, an alpha prefix and a numeric suffix. I want to split it apart and create two new fields with these values in. structure(list(lab = c("N00", "N01", "N02", "B00", "B01", "B02", "Z21", "BA01", "NA03")), .Names = "lab", row.names = c(NA, -9L ), class = "data.frame") df$pre<-strsplit(df$lab, "[0-9]+") df$suf<-strsplit(df$lab, "[A-Z]+") Which gives lab pre suf 1 N00 N , 00 2 N01 N , 01 3 N02 N , 02 4 B00 B , 00 5 B01 B , 01 6 B02 B , 02 7 Z21 Z , 21 8 BA01 BA , 01 9 NA03 NA , 03 So, the first strsplit works fine, but the second gives a list, each having two elements, an empty string and the result I want, and stuffs them both into the dataframe column. How can I select the second sub-element from each element of the list ? (or, is there a better way to do this) Thanks Paul.

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  • Flushing writes in buffer of Memory Controller to DDR device

    - by Rohit
    At some point in my code, I need to push the writes in my code all the way to the DIMM or DDR device. My requirement is to ensure the write reaches the row,ban,column of the DDR device on the DIMM. I need to read what I've written to the main memory. I do not want caching to get me the value. Instead after writing I want to fetch this value from main memory(DIMM's). So far I've been using Intel's x86 instruction wbinvd(write back and invalidate cache). However this means the caches and TLB are flushed. Write-back requests go to the main memory. However, there is a reasonable amount of time this data might reside in the write buffer of the Memory Controller( Intel calls it integrated memory controller or IMC). The Memory Controller might take some more time depending on the algorithm that runs in the Memory Controller to handle writes. Is there a way I force all existing or pending writes in the write buffer of the memory controller to the DRAM devices ?? What I am looking for is something more direct and more low-level than wbinvd. If you could point me to right documents or specs that describe this I would be grateful. Generally, the IMC has a several registers which can be written or read from. From looking at the specs for that for the chipset I could not find anything useful. Thanks for taking the time to read this.

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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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