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  • SQL Pivot table error-using variable gives syntax error

    - by Antoni
    Hi my coworker came to me with this error and now I am hooked and trying to figure it out, hope some of the experts can help us! Thanks so much! When I execute Step6 we get this error: Msg 102, Level 15, State 1, Line 4 Incorrect syntax near '@cols'. --Sample of pivot query --Creating Test Table Step1 CREATE TABLE Product(Cust VARCHAR(25), Product VARCHAR(20), QTY INT) GO -- Inserting Data into Table Step2 INSERT INTO Product(Cust, Product, QTY) VALUES('KATE','VEG',2) INSERT INTO Product(Cust, Product, QTY) VALUES('KATE','SODA',6) INSERT INTO Product(Cust, Product, QTY) VALUES('KATE','MILK',1) INSERT INTO Product(Cust, Product, QTY) VALUES('KATE','BEER',12) INSERT INTO Product(Cust, Product, QTY) VALUES('FRED','MILK',3) INSERT INTO Product(Cust, Product, QTY) VALUES('FRED','BEER',24) INSERT INTO Product(Cust, Product, QTY) VALUES('KATE','VEG',3) GO -- Selecting and checking entires in table Step3 SELECT * FROM Product GO -- Pivot Table ordered by PRODUCT Step4 select * FROM ( SELECT * FROM Product) up PIVOT (SUM(QTY) FOR CUST IN ([FRED], [KATE])) AS pvt ORDER BY PRODUCT GO --dynamic pivot???? Step5 DECLARE @cols NVARCHAR(2000) select @cols = STUFF(( SELECT DISTINCT TOP 100 PERCENT '],[' + b.Cust FROM (select top 100 Cust from tblProduct)b ORDER BY '],[' + b.Cust FOR XML PATH('') ), 1, 2, '') + ']' --Show Step6 SELECT * FROM (SELECT * FROM tblProduct) p PIVOT (SUM(QTY) FOR CUST IN (@cols)) as pvt Order by Product

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  • Displaying tree path of record in SQL Server 2005

    - by jskiles1
    An example of my tree table is: ([id] is an identity) [id], [parent_id], [path] 1, NULL, 1 2, 1, 1-2 3, 1, 1-3 4, 3, 1-3-4 My goal is to query quickly for multiple rows of this table and view the full path of the node from its root, through its superiors, down to itself. The ultimate question is, should I generate this path on inserts and maintain it in its own column or generate this path on query to save disk space? I guess it depends if this table is write heavy or read heavy. I've been contemplating several approaches to using the "path" characteristic of this parent/child relationship and I just can't seem to settle on one. This "path" is simply for display purposes and serves absolutely no purpose other than that. Here is what I have done to implement this "path." AFTER INSERT TRIGGER - requires passing a NULL path to the insert and updating the path for the record at the inserted rows identity INSTEAD OF INSERT TRIGGER - does not require insert to have NULL path passed, but does require the trigger to insert with a NULL path and updating the path for the record at SCOPE_IDENTITY() STORED PROCEDURE - requiring all inserts into this table to be done through the stored procedure implementing the trigger logic VIEW - requires building the path in the view 1 and 2 seem annoying if massive amounts of data are entered at once. 3 seems annoying because all inserts must go through the procedure in order to have a valid path populated. 1, 2, and 3 require maintaining a path column on the table. 4 removes all the limitations of the above but require the view to perform the path logic and requires use of the view if a path is to be displayed. I have successfully implemented all of the above approaches and I'm mainly looking for some advice. Am I way off the mark here or are any of the above acceptable? Each has it's advantages and disadvantages.

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  • Core Data - 'calculated' attributes

    - by nephilim
    I have two entities: A and B A has two properties from and to, both pointing to the B entity. B as a fetched property to A with predicate from == $FETCH_SOURCE or to = $FETCH_SOURCE -- (from) -> A -- (to) -> B <- (As) -- In my application I select a certain B instance, and then show all of its A instances. Now, in my table the columns are bound to an array controller containing the selected A instances. I want to 'merge' the from and to columns. I already know one of the columns will be equal to the selected B instance, so now I'm only interested in the second value. The options I see: create a custom class for the B entity and create a method that returns either value. It should somehow be able to retrieve which B instance is currently selected. create a custom DataSource. Most columns are still using bindings, so then we'd have to access the NSArrayController's array so we're sure we have the right object. create a custom DataSource, remove the NSArrayController and do all the Core Data stuff ourselves. Is there any 'right' way to solve this?

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  • Core Data: Overkill for simple, static UITableView-based iPhone App?

    - by David Foster
    Hello! I have a rather simple iPhone app consisting of numerous views containing a single, grouped table view. These views are held together in navigation controllers which are grouped in a tab bar. Simple stuff. My table views do little more than list text (like "Dog", "Cat" and "Weasel") and this data is being served from a collection of plists. It's perhaps worth mentioning too that these tables are 'static' in the sense that their data is pre-determined and will only ever be amended—and if so, very rarely indeed—by the developer (in this case, moi). This rudimentary approach has reached its limits though, and I think I'm going to need something a bit more relational. I have worked a tad with Core Data in the past, but only with apps whose data is determined by user input. I have four closely related questions: Is Core Data overkill for an app consisting mainly of a selection of simple table views? Do you recommend using Core Data to manage data which is predetermine and extremely unlikely to ever change? Can one lock Core Data down so that its data can't change, thereby relinquishing my responsibility as the developer to handle the editing and saving of the managed object context? How do I go about giving Core Data my predetermined data, and in a format I know that it can work with? Thanks a bunch guys.

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  • Parameter cannot be null error after success save

    - by tigermain
    I am getting the following nhibernate error when saving an entity (via: NHibernateSession.Save(entity);) despite it being persisted to the database fine "Value cannot be null.\r\nParameter name: id" This is my hbm file <?xml version="1.0" encoding="utf-8" ?> <hibernate-mapping xmlns="urn:nhibernate-mapping-2.2" namespace="JeanieMaster.Domain.Entities" assembly="JeanieMaster.Domain"> <class name="ActionLog" table="ActionLog" schema="[DBSVR1].[mydatabase].[dbo]" select-before-update="false" optimistic-lock="none"> <id name="Id" column="ActionLogId" type="Int32"> <generator class="identity"/> </id> <property name="ActionId" type="Int32"/> <many-to-one name="User" class="JeanieUser" column="UserId" /> <many-to-one name="ApplicationProvider" class="ApplicationProvider" column="ApplicationProviderId" /> <many-to-one name="ContentProvider" class="ContentProvider" column="ContentProviderId" /> <many-to-one name="SearchLog" class="SearchLog" column="SearchLogId" /> <property name="Data" type="string"/> <property name="DateCreated" type="DateTime"/> <property name="ActionDuration" type="Double"/> </class> </hibernate-mapping>

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  • Odd 'UNION' behavior in an Oracle SQL query

    - by RenderIn
    Here's my query: SELECT my_view.* FROM my_view WHERE my_view.trial in (select 2 as trial_id from dual union select 3 from dual union select 4 from dual) and my_view.location like ('123-%') When I execute this query it returns results which do not conform to the my_view.location like ('123-%') condition. It's as if that condition is being ignored completely. I can even change it to my_view.location IS NULL and it returns the same results, despite that field being not-nullable. I know this query seems ridiculous with the selects from dual, but I've structured it this way to replicate a problem I have when I use a 'WITH' clause (the results of that query are where the selects from dual inline view are). I can modify the query like so and it returns the expected results: SELECT my_view.* FROM my_view WHERE my_view.trial in (2, 3, 4) and my_view.location like ('123-%') Unfortunately I do not know the trial values up front (they are queried for in a 'WITH' clause) so I cannot structure my query this way. What am I doing wrong? I will say that the my_view view is composed of 3 other views whose results are UNION ALL and each of which retrieve some data over a DB Link. Not that I believe that should matter, but in case it does.

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  • Passing filtering functions to Where() in LINQ-to-SQL

    - by Daniel
    I'm trying to write a set of filtering functions that can be chained together to progressively filter a data set. What's tricky about this is that I want to be able to define the filters in a different context from that in which they'll be used. I've gotten as far as being able to pass a very basic function to the Where() clause in a LINQ statement: filters file: Func<item, bool> returnTrue = (i) => true; repository file: public IQueryable<item> getItems() { return DataContext.Items.Where(returnTrue); } This works. However, as soon as I try to use more complicated logic, the trouble begins: filters file: Func<item, bool> isAssignedToUser = (i) => i.assignedUserId == userId; repository file: public IQueryable<item> getItemsAssignedToUser(int userId) { return DataContext.Items.Where(isAssignedToUser); } This won't even build because userId isn't in the same scope as isAssignedToUser(). I've also tried declaring a function that takes the userId as a parameter: Func<item, int, bool> isAssignedToUser = (i, userId) => i.assignedUserId == userId; The problem with this is that it doesn't fit the function signature that Where() is expecting: Func<item, bool> There must be a way to do this, but I'm at a loss for how. I don't feel like I'm explaining this very well, but hopefully you get the gist. Thanks, Daniel

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  • how to design a schema where the columns of a table are not fixed

    - by hIpPy
    I am trying to design a schema where the columns of a table are not fixed. Ex: I have an Employee table where the columns of the table are not fixed and vary (attributes of Employee are not fixed and vary). Nullable columns in the Employee table itself i.e. no normalization Instead of adding nullable columns, separate those columns out in their individual tables ex: if Address is a column to be added then create table Address[EmployeeId, AddressValue]. Create tables ExtensionColumnName [EmployeeId, ColumnName] and ExtensionColumnValue [EmployeeId, ColumnValue]. ExtensionColumnName would have ColumnName as "Address" and ExtensionColumnValue would have ColumnValue as address value. Employee table EmployeeId Name ExtensionColumnName table ColumnNameId EmployeeId ColumnName ExtensionColumnValue table EmployeeId ColumnNameId ColumnValue There is a drawback is the first two ways as the schema changes with every new attribute. Note that adding a new attribute is frequent. I am not sure if this is the good or bad design. If someone had a similar decision to make, please give an insight on things like foreign keys / data integrity, indexing, performance, reporting etc.

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  • getting data from tableviewcell to 2nd view

    - by chubsta
    I am very new to this and am trying to learn by creating a few little apps for myself. I have a navigation-based app where the user taps the row to select a film title - i then want the second view to show details of the film. Thanks to a very helpful person here i am getting the results of the row pressed as 'rowTitle' as follows : (void)tableView:(UITableView *)tableView didSelectRowAtIndexPath:(NSIndexPath *)indexPath { NSString *key = [keys objectAtIndex:indexPath.section]; NSArray *nameSection = [names objectForKey:key]; NSString *rowTitle = [nameSection objectAtIndex:indexPath.row]; NSLog(@"rowTitle = %@", rowTitle); [tableView deselectRowAtIndexPath:indexPath animated:YES]; I am, however, struggling to make the data at 'rowTitle' available to the 2nd view - basically, if i can get the info - for example rowTitle is "aliens2" - i want to be able to add a new extension to the end of the string returned by 'rowTitle' in order to point to an image (if that makes sense) in the second view... something like tempImageName=[** this is where the info from rowTitle needs to be i suppose**]; tempImageType=@".png"; finalImageName=[tempImageName stringByAppendingString:tempImageType]; does this make sense to anyone (apologies if it doesnt - i know what i want but how to explain it is a little more awkward!) Thanks again for any help anyone can give (and any help as to formatting these questions would be useful too obviously!!)!

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  • Asp.net mvc retriev images from db and display on Page

    - by Trey Carroll
    //Inherits="System.Web.Mvc.ViewPage<FilmFestWeb.Models.ListVideosViewModel>" <h2>ListVideos</h2> <% foreach(BusinessObjects.Video vid in Model.VideoList){%> <div class="videoBox"> <%= Html.Encode(vid.Name) %> <img src="<% vid.ThumbnailImage; %>" /> </div> <%} %> //ListVideosViewModel public class ListVideosViewModel { public IList<Video> VideoList { get; set; } } //Video public class Video { public long VideoId { get; set; } public long TeamId { get; set; } public string Name { get; set; } public string Tags { get; set; } public string TeamMembers { get; set; } public string TranscriptFileName { get; set; } public string VideoFileName { get; set; } public int TotalNumRatings { get; set; } public int CumulativeTotalScore { get; set; } public string VideoUri { get; set; } public Image ThumbnailImage { get; set; } } I am getting the "red x" that I usually associate with image file not found. I have verified that my database table shows <binary data> after the stored proc that uploads the image executes. Any insight or advice would be greatly appreciated.

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  • "The data types text and nvarchar are incompatible in the equal to operator" in SQL Query

    - by kenom
    Why i get this error: The data types text and nvarchar are incompatible in the equal to operator. The field of "username" in database is text type... This is my soruce: <%@ Control Language="C#" AutoEventWireup="true" CodeFile="my_answers.ascx.cs" Inherits="kontrole_login_my_answers" %> <div style=" margin-top:-1280px; float:left;"> <p></p> <div id="question"> Add question </div> </div> <asp:GridView ID="GridView1" runat="server" DataSourceID="SqlDataSource1" > </asp:GridView> <asp:SqlDataSource ID="SqlDataSource1" runat="server" ConnectionString="<%$ ConnectionStrings:estudent_piooConnectionString %>" SelectCommand="SELECT * FROM [question] WHERE ([username] = @fafa)"> <SelectParameters> <asp:QueryStringParameter Name="fafa" QueryStringField="user" Type="String"/> </SelectParameters> </asp:SqlDataSource>

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  • Core Data: Deleting causes 'NSObjectInaccessibleException' from NSOperation with a reference to a deleted object

    - by Bryan Irace
    My application has NSOperation subclasses that fetch and operate on managed objects. My application also periodically purges rows from the database, which can result in the following race condition: An background operation fetches a bunch of objects (from a thread-specific context). It will iterate over these objects and do something with their properties. A bunch of rows are deleted in the main managed object context. The background operation accesses a property on an object that was deleted from the main context. This results in an 'NSObjectInaccessibleException', reason: 'CoreData could not fulfill a fault' Ideally, the objects that are fetched by the NSOperation can be operated on even if one is deleted in the main context. The best way I can think to achieve this is either to: Call [request setReturnsObjectsAsFaults:NO] to ensure that Core Data won't try to fulfill a fault for an object that no longer exists in the main context. The problem here is I may need to access the object's relationships, which (to my understanding) will still be faulted. Iterate through the managed objects up front and copy the properties I will need into separate non-managed objects. The problem here is that (I think) I will need to synchronize/lock this part, in case an object is deleted in the main context before I can finish copying. Am I missing something obvious? It doesn't seem like what I'm trying to accomplish is too out of the ordinary. Thanks for your help.

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  • Core Data: migrating entities with self-referential properties

    - by Dan
    My Core Data model contains an entity, Shape, that has two self-referential relationships, which means four properties. One pair is a one-to-many relationship (Shape.containedBy <- Shape.contains) and the another is a many-to-many relationship (Shape.nextShapes <<- Shape.previousShapes). It all works perfectly in the application, so I don't think self-referencing relationships is a problem in general. However, when it comes to migrating the model to a new version, then Xcode fails to compile the automatically generated mapping model, with this error message: 2009-10-30 17:10:09.387 mapc[18619:607] *** Terminating app due to uncaught exception 'NSInvalidArgumentException', reason: 'Unable to parse the format string "FUNCTION($manager ,'destinationInstancesForSourceRelationshipNamed:sourceInstances:' , 'contains' , $source.contains) == 1"' *** Call stack at first throw: ( 0 CoreFoundation 0x00007fff80d735a4 __exceptionPreprocess + 180 1 libobjc.A.dylib 0x00007fff83f0a313 objc_exception_throw + 45 2 Foundation 0x00007fff819bc8d4 _qfqp2_performParsing + 8412 3 Foundation 0x00007fff819ba79d +[NSPredicate predicateWithFormat:arguments:] + 59 4 Foundation 0x00007fff81a482ef +[NSExpression expressionWithFormat:arguments:] + 68 5 Foundation 0x00007fff81a48843 +[NSExpression expressionWithFormat:] + 155 6 XDBase 0x0000000100038e94 -[XDDevRelationshipMapping valueExpressionAsString] + 260 7 XDBase 0x000000010003ae5c -[XDMappingCompilerSupport generateCompileResultForMappingModel:] + 2828 8 XDBase 0x000000010003b135 -[XDMappingCompilerSupport compileSourcePath:options:] + 309 9 mapc 0x0000000100001a1c 0x0 + 4294973980 10 mapc 0x0000000100001794 0x0 + 4294973332 ) terminate called after throwing an instance of 'NSException' Command /Developer/usr/bin/mapc failed with exit code 6 The 'contains' is the name of one of the self-referential properties. Anyway, the really big problem is that I can't even look at this Mapping Property as Xcode crashes as soon as I select the entity mapping when viewing the mapping model. So I'm a bit lost really where to go from here. I really can't remove the self-referential properties, so I'm thinking I've got manually create a mapping model that compiles? Any ideas? Cheers

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  • Queue Data structure app crash with front() method

    - by Programer
    I am implementing queue data strcutre but my app gets crashed, I know I am doing something wrong with Node pointer front or front() method of queue class #include <iostream> using namespace std; class Node { public: int get() { return object; }; void set(int object) { this->object = object; }; Node * getNext() { return nextNode; }; void setNext(Node * nextNode) { this->nextNode = nextNode; }; private: int object; Node * nextNode; }; class queue{ private: Node *rear; Node *front; public: int dequeue() { int x = front->get(); Node* p = front; front = front->getNext(); delete p; return x; } void enqueue(int x) { Node* newNode = new Node(); newNode->set(x); newNode->setNext(NULL); rear->setNext(newNode); rear = newNode; } int Front() { return front->get(); } int isEmpty() { return ( front == NULL ); } }; main() { queue q; q.enqueue(2); cout<<q.Front(); system("pause"); }

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  • Distinct Value Array for View Controller Index Using Core Data

    - by b.dot
    Hi, I'm trying to create an index representing the first letter value of each record in a Core Data store to be used in a table view controller. I'm using a snippet of the code from Apple's documentation. I would simply like to produce an array or dictionary of distinct values as the result. My store already has the character defined within each record object. Questions: 1) I'm having a problem understanding NSDictionaryResultType. Where does the resulting dictionary object get received so that I can assign it's keys to the view controller? The code seems to only return an array. 2) If I include the line containing NSDictionaryResultType, I get no returns. 3) I realize that I could do this in a loop, but I'm hoping this will work. Thanks! NSEntityDescription *entity = [NSEntityDescription entityForName:@"People" inManagedObjectContext:managedObjectContext]; NSFetchRequest *request = [[NSFetchRequest alloc] init]; [request setEntity:entity]; [request setResultType:NSDictionaryResultType]; // This line causes no no results. [request setReturnsDistinctResults:YES]; [request setPropertiesToFetch :[NSArray arrayWithObject:@"alphabetIndex"]]; NSError *error; NSArray *objects = [managedObjectContext executeFetchRequest:request error:&error];

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  • how to use shared variable using stored procedure in crystal reports

    - by sonia
    i have a parent report and it contains a two sub report. * subreport: item which get all fields from store procedure named spGetReportItem. like ItemName ItemQuantity TotalItemCost ab 4 45 dd 6 98 *subreport: Labour which get all fields from store procedure named spGetReportLabour. like labourName labourQuantity TotalLabourCost ab 44 455 dd 63 986 i want to find the total of totalitemcost and total of totallabourcost and then want grandtotal of totalitemcost and totallabourcost. i have seen many examples on internet in which shared variable is used in the formula bt the problem is that they have used the table but i m fetching data from stored procedure. so how can i access the stored procedure fields for calculation. like i have seen that many have used: shared numbervar total:=sum({tablename.ColumnName}); but i have used stored procedure instead of table so how could i find total of field that resultset returns from stored procedure.. plz give me answer as soon as possible.. i need it urgently. thanks..

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  • return only the last select results from stored procedure

    - by Madalina Dragomir
    The requirement says: stored procedure meant to search data, based on 5 identifiers. If there is an exact match return ONLY the exact match, if not but there is an exact match on the not null parameters return ONLY these results, otherwise return any match on any 4 not null parameters... and so on My (simplified) code looks like: create procedure xxxSearch @a nvarchar(80), @b nvarchar(80)... as begin select whatever from MyTable t where ((@a is null and t.a is null) or (@a = t.a)) and ((@b is null and t.b is null) or (@b = t.b))... if @@ROWCOUNT = 0 begin select whatever from MyTable t where ((@a is null) or (@a = t.a)) and ((@b is null) or (@b = t.b))... if @@ROWCOUNT = 0 begin ... end end end As a result there can be more sets of results selected, the first ones empty and I only need the last one. I know that it is easy to get the only the last result set on the application side, but all our stored procedure calls go through a framework that expects the significant results in the first table and I'm not eager to change it and test all the existing SPs. Is there a way to return only the last select results from a stored procedure? Is there a better way to do this task ?

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  • Remote SQL login page C#

    - by Crazyd22
    Hey, I am trying to create a login page that checks the username and password with the database on the server. The server is located in a different country. This is the code I have so far: #region Building the connection string string Server = "XX.XXX.XX.XX, XXXX"; string Username = "_Username_"; string Password = "_Password_"; string Database = "_Database_"; string ConnectionString = "Data Source=" + Server + ";"; ConnectionString += "User ID=" + Username + ";"; ConnectionString += "Password=" + Password + ";"; ConnectionString += "Initial Catalog=" + Database; #endregion SqlConnection SQLConnection = new SqlConnection(); try { SQLConnection.ConnectionString = ConnectionString; SQLConnection.Open();   // You can get the server version // SQLConnection.ServerVersion } catch (Exception Ex) { // Try to close the connection if (SQLConnection != null) SQLConnection.Dispose();   // Create a (useful) error message string ErrorMessage = "A error occurred while trying to connect to the server."; ErrorMessage += Environment.NewLine; ErrorMessage += Environment.NewLine; ErrorMessage += Ex.Message;   // Show error message (this = the parent Form object) MessageBox.Show(this, ErrorMessage, "Connection error", MessageBoxButtons.OK, MessageBoxIcon.Error);   // Stop here return; } I am getting the error message: Non-negative number required. Parameter name: count I have accepted wildcards on my server and I have no idea what that error means? Any help would be appreciated, Thanks.

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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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  • im unable to validate a login of users ,since if im entering the wrong values my datareader is not getting executed y ?

    - by Salman_Khan
    //code private void glassButton1_Click(object sender, EventArgs e) { if (textBox1.Text == "" || textBox1.Text == "" || comboBox1.SelectedIndex == 0) { Message m = new Message(); m.ShowDialog(); } else { try { con.ConnectionString = "Data source=BLACK-PEARL;Initial Catalog=LIFELINE ;User id =sa; password=143"; con.Open(); SqlCommand cmd = new SqlCommand("Select LoginID,Password,Department from Login where LoginID=@loginID and Password=@Password and Department=@Department", con); cmd.Parameters.Add(new SqlParameter("@loginID", textBox1.Text)); cmd.Parameters.Add(new SqlParameter("@Password", textBox2.Text)); cmd.Parameters.Add(new SqlParameter("@Department", comboBox1.Text)); SqlDataReader dr = cmd.ExecuteReader(); if (dr.Read()) { string Strname = dr[0].ToString(); string StrPass = dr[1].ToString(); string StrDept = dr[2].ToString(); if(dr[2].ToString().Equals(comboBox1.Text)&&dr[0].ToString().Equals(textBox1.Text)&&dr[1].ToString().Equals(textBox2.Text)) { MessageBox.Show("Welcome"); } else { MessageBox.Show("Please Enter correct details"); } } dr.Close(); } catch (Exception ex) { MessageBox.Show("Exception" + ex); } finally { con.Close(); } } }

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  • Reading a C/C++ data structure in C# from a byte array

    - by Chris Miller
    What would be the best way to fill a C# struct from a byte[] array where the data was from a C/C++ struct? The C struct would look something like this (my C is very rusty): typedef OldStuff { CHAR Name[8]; UInt32 User; CHAR Location[8]; UInt32 TimeStamp; UInt32 Sequence; CHAR Tracking[16]; CHAR Filler[12];} And would fill something like this: [StructLayout(LayoutKind.Explicit, Size = 56, Pack = 1)]public struct NewStuff{ [MarshalAs(UnmanagedType.ByValTStr, SizeConst = 8)] [FieldOffset(0)] public string Name; [MarshalAs(UnmanagedType.U4)] [FieldOffset(8)] public uint User; [MarshalAs(UnmanagedType.ByValTStr, SizeConst = 8)] [FieldOffset(12)] public string Location; [MarshalAs(UnmanagedType.U4)] [FieldOffset(20)] public uint TimeStamp; [MarshalAs(UnmanagedType.U4)] [FieldOffset(24)] public uint Sequence; [MarshalAs(UnmanagedType.ByValTStr, SizeConst = 16)] [FieldOffset(28)] public string Tracking;} What is best way to copy OldStuff to NewStuff, if OldStuff was passed as byte[] array? I'm currently doing something like the following, but it feels kind of clunky. GCHandle handle;NewStuff MyStuff;int BufferSize = Marshal.SizeOf(typeof(NewStuff));byte[] buff = new byte[BufferSize];Array.Copy(SomeByteArray, 0, buff, 0, BufferSize);handle = GCHandle.Alloc(buff, GCHandleType.Pinned);MyStuff = (NewStuff)Marshal.PtrToStructure(handle.AddrOfPinnedObject(), typeof(NewStuff));handle.Free(); Is there better way to accomplish this?

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  • stored procedure issue, has to do with my where clause and if statement

    - by MyHeadHurts
    right now my stored procedure is returning 2 different result sets one for @booked and the other for @booked1 if you look closely my query is doing the same thing for each @booked and @booked but one is for a user selected year and the other for the current year. I don't want two different result sets, i want to join the selected year and the current year side by side by SDESCR(which is a column that they have in common) another hurdle i am facing is i am use @mode to decide whether the user wants netsales, sales... so on. I know i need sometype of join but, it isnt working because i have a where statement that says where dyyyy= @yeartoget which won't allow the current year data to work ALTER PROCEDURE [dbo].[test1] @mode varchar(20), @YearToGet int AS SET NOCOUNT ON Declare @Booked Int Set @Booked = CONVERT(int,DateAdd(year, @YearToGet - Year(getdate() + 1), DateAdd(day, DateDiff(day, 1, getdate()), 1) ) ) Declare @Booked1 Int Set @Booked1 = CONVERT(int,DateAdd(year, (year( getdate() )) - Year(getdate() + 1), DateAdd(day, DateDiff(day, 1, getdate()), 1) ) ) If @mode = 'Sales' Select Division, SDESCR, DYYYY, Sum(Case When Booked <= @Booked Then NetAmount End) ASofNetSales, SUM(NetAmount) AS YENetSales, Sum(Case When Booked <= @Booked Then PARTY End) AS ASofPAX, SUM(PARTY) AS YEPAX From dbo.B101BookingsDetails Where DYYYY = @YearToGet Group By SDESCR, DYYYY, Division Order By Division, SDESCR, DYYYY else if @mode = 'netsales' Select Division, SDESCR, DYYYY, Sum(Case When Booked <= @Booked Then NetAmount End) ASofNetSales, SUM(NetAmount) AS YENetSales, Sum(Case When Booked <= @Booked Then PARTY End) AS ASofPAX, SUM(PARTY) AS YEPAX From dbo.B101BookingsDetails Where DYYYY = @YearToGet Group By SDESCR, DYYYY, Division Order By Division, SDESCR, DYYYY If @mode = 'Sales' Select Division, SDESCR, DYYYY, Sum(Case When Booked <= @Booked1 Then NetAmount End) currentNetSales, Sum(Case When Booked <= @Booked1 Then PARTY End) AS currentPAX From dbo.B101BookingsDetails Where DYYYY = (year( getdate() )) Group By SDESCR, DYYYY, Division Order By Division, SDESCR, DYYYY else if @mode = 'netsales' Select Division, SDESCR, DYYYY, Sum(Case When Booked <= @Booked1 Then NetAmount End) currentNetSales, Sum(Case When Booked <= @Booked1 Then PARTY End) AS currentPAX From dbo.B101BookingsDetails Where DYYYY = (year( getdate() )) Group By SDESCR, DYYYY, Division Order By Division, SDESCR, DYYYY Else if @mode = 'Inssales' Select Division, SDESCR, DYYYY, Sum(Case When Booked <= @Booked1 Then InsAmount End) currentInsSales, Sum(Case When Booked <= @Booked1 Then PARTY End) AS currentPAX From dbo.B101BookingsDetails Where DYYYY = (year( getdate() )) Group By SDESCR, DYYYY, Division Order By Division, SDESCR, DYYYY

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  • Update table without using cursor and on date

    - by Muhammad Kashif Nadeem
    Please copy and run following script DECLARE @Customers TABLE (CustomerId INT) DECLARE @Orders TABLE ( OrderId INT, CustomerId INT, OrderDate DATETIME ) DECLARE @Calls TABLE (CallId INT, CallTime DATETIME, CallToId INT, OrderId INT) ----------------------------------------------------------------- INSERT INTO @Customers SELECT 1 INSERT INTO @Customers SELECT 2 ----------------------------------------------------------------- INSERT INTO @Orders SELECT 10, 1, DATEADD(d, -20, GETDATE()) INSERT INTO @Orders SELECT 11, 1, DATEADD(d, -10, GETDATE()) ----------------------------------------------------------------- INSERT INTO @Calls SELECT 101, DATEADD(d, -19, GETDATE()), 1, NULL INSERT INTO @Calls SELECT 102, DATEADD(d, -17, GETDATE()), 1, NULL INSERT INTO @Calls SELECT 103, DATEADD(d, -9, GETDATE()), 1, NULL INSERT INTO @Calls SELECT 104, DATEADD(d, -6, GETDATE()), 1, NULL INSERT INTO @Calls SELECT 105, DATEADD(d, -5, GETDATE()), 1, NULL ----------------------------------------------------------------- I want to update @Calls table and need following results. I am using the following query UPDATE @Calls SET OrderId = ( CASE WHEN (s.CallTime > e.OrderDate) THEN e.OrderId END ) FROM @Calls s INNER JOIN @Orders e ON s.CallToId = e.CustomerId and the result of my query is not what I need. Requirement: As you can see there are two orders. One is on 2010-12-12 and one is on 2010-12-22. I want to update @Calls table with relevant OrderId with respect to CallTime. In short If subsequent Orders are added, and there are further calls then we assume that a new call is associated with the most recent Order Note: This is sample data so this is not the case that I always have two Orders. There might be 10+ Orders and 100+ calls. Note2 I could not find good title for this question. Please change it if you think of any better. Thanks.

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  • Loading Dimension Tables - Methodologies

    - by Nev_Rahd
    Hello, Recently I been working on project, where need to populated Dim Tables from EDW Tables. EDW Tables are of type II which does maintain historical data. When comes to load Dim Table, for which source may be multiple EDW Tables or would be single table with multi level pivoting (on attributes). Mean: There would be 10 records - one for each attribute which need to be pivoted on domain_code to make a single row in Dim. Out of these 10 records there would be some attributes with same domain_code but with different sub_domain_code, which needs further pivoting on subdomain code. Ex: if i got domain code: 01,02, 03 = which are straight pivot on domain code I would also have domain code: 10 with subdomain code / version as 2006,2007,2008,2009 That means I need to split my source table with above attributes into two = one for domain code and other for domain_code + version. so far so good. When it comes to load Dim Table: As per design specs for Dimensions (originally written by third party), what they want is: for every single change in EDW (attribute), it should assemble all the related records (for that NK) mean new one with other attribute values which are current = process them to create a new dim record and insert it. That mean if a single extract contains 100 records updated (one for each NK), it should assemble 100 + (100*9) records to insert / update dim table. How good is this approach. Other way I tried to do is just do a lookup into dim table for that NK get the value's of recent records (attributes which not changed) and insert it and update the current one. What would be the better approach assembling records at source side for one attribute change or looking into dim table's recent record and process it. If this doesn't make sense, would like to elaborate it further. Thanks

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  • Merge computed data from two tables back into one of them

    - by Tyler McHenry
    I have the following situation (as a reduced example). Two tables, Measures1 and Measures2, each of which store an ID, a Weight in grams, and optionally a Volume in fluid onces. (In reality, Measures1 has a good deal of other data that is irrelevant here) Contents of Measures1: +----+----------+--------+ | ID | Weight | Volume | +----+----------+--------+ | 1 | 100.0000 | NULL | | 2 | 200.0000 | NULL | | 3 | 150.0000 | NULL | | 4 | 325.0000 | NULL | +----+----------+--------+ Contents of Measures2: +----+----------+----------+ | ID | Weight | Volume | +----+----------+----------+ | 1 | 75.0000 | 10.0000 | | 2 | 400.0000 | 64.0000 | | 3 | 100.0000 | 22.0000 | | 4 | 500.0000 | 100.0000 | +----+----------+----------+ These tables describe equivalent weights and volumes of a substance. E.g. 10 fluid ounces of substance 1 weighs 75 grams. The IDs are related: ID 1 in Measures1 is the same substance as ID 1 in Measures2. What I want to do is fill in the NULL volumes in Measures1 using the information in Measures2, but keeping the weights from Measures1 (then, ultimately, I can drop the Measures2 table, as it will be redundant). For the sake of simplicity, assume that all volumes in Measures1 are NULL and all volumes in Measures2 are not. I can compute the volumes I want to fill in with the following query: SELECT Measures1.ID, Measures1.Weight, (Measures2.Volume * (Measures1.Weight / Measures2.Weight)) AS DesiredVolume FROM Measures1 JOIN Measures2 ON Measures1.ID = Measures2.ID; Producing: +----+----------+-----------------+ | ID | Weight | DesiredVolume | +----+----------+-----------------+ | 4 | 325.0000 | 65.000000000000 | | 3 | 150.0000 | 33.000000000000 | | 2 | 200.0000 | 32.000000000000 | | 1 | 100.0000 | 13.333333333333 | +----+----------+-----------------+ But I am at a loss for how to actually insert these computed values into the Measures1 table. Preferably, I would like to be able to do it with a single query, rather than writing a script or stored procedure that iterates through every ID in Measures1. But even then I am worried that this might not be possible because the MySQL documentation says that you can't use a table in an UPDATE query and a SELECT subquery at the same time, and I think any solution would need to do that. I know that one workaround might be to create a new table with the results of the above query (also selecting all of the other non-Volume fields in Measures1) and then drop both tables and replace Measures1 with the newly-created table, but I was wondering if there was any better way to do it that I am missing.

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