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  • What is the performance penalty of XML data type in SQL Server when compared to NVARCHAR(MAX)?

    - by Piotr Owsiak
    I have a DB that is going to keep log entries. One of the columns in the log table contains serialized (to XML) objects and a guy on my team proposed to go with XML data type rather than NVARCHAR(MAX). This table will have logs kept "forever" (archiving some very old entries may be considered in the future). I'm a little worried about the CPU overhead, but I'm even more worried that DB can grow faster (FoxyBOA from the referenced question got 70% bigger DB when using XML). I have read this question http://stackoverflow.com/questions/514827/microsoft-sql-server-2005-2008-xml-vs-text-varchar-data-type and it gave me some ideas but I am particulairly interrested in clarification on whether the DB size increases or decreases. Can you please share your insight/experiences in that matter. BTW. I don't currently have any need to depend on XML features within SQL Server (there's nearly zero advantage to me in the specific case). Ocasionally log entries will be extracted, but I prefer to handle the XML using .NET (either by writing a small client or using a function defined in a .NET assembly).

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  • Regular expression for finding non-breaking string names in code and then breaking them up for SQL q

    - by Rob Segal
    I am trying to devlop a regex for finding camel case strings in several code files I am working with so I can break them up into separate words for use in a SQL query. I have strings of the form... EmailAddress FirstName MyNameIs And I want them like this... Email Address First Name My Name Is An example SQL query which I currently have is... select FirstName, MyNameIs from MyTables I need the queries in the form... select FirstName as 'First Name', MyNameIs as 'My Name Is' from MyTables Any time a new capital letter appears that should be a new grouping which I can pick out of the matched string. I currently have the following regex... ([A-Z][a-z]+)+ Which does match the cases I have shown above but when I want to perform a replace I need to define groups. Currently I have tried... (([A-Z])([a-z]+))+ Which sort of works. It will pick out "Address" as the first grouping from "EmailAddress" as opposed to "Email" which is what I was expecting. No doubt there is something I'm misunderstanding here so any help is greatly appreciated.

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  • 80% off for SQL Azure!

    - by Hugo Kornelis
    I have spent the last three days at SQLBits X in London – a truly great experience! There were lots of quality sessions, but I also enjoyed meeting new people and catching up with old friends. One of these friends (and I hope he’s still a friend after I post this) is Buck Woody . Not only a great and humorous speaker, but also a very nice fellow – for those who don’t mind being teased every now and then. When we were chatting, he told me that he was planning to announce a special access code to allow...(read more)

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  • SQL Is it possible to setup a column that will contain a value dependent on another column?

    - by Wesley
    I have a table (A) that lists all bundles created off a machine in a day. It lists the date created and the weight of the bundle. I have an ID column, a date column, and a weight column. I also have a table (B) that holds the details related to that machine for the day. In that table (B), I want a column that lists a sum of weights from the other table (A) that the dates match on. So if the machine runs 30 bundles in a day, I'll have 30 rows in table (A) all dated the same day. In table (B) I'll have 1 row detailing other information about the machine for the day plus the column that holds the total bundle weight created for the day. Is there a way to make the total column in table (B) automatically adjust itself whenever a row is added to table (A)? Is this possible to do in the table schema itself rather than in an SQL statement each time a bundle is added? If it's not, what sort of SQL statement do I need? Wes

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  • How do you get subversion diff summary to ignore mergeinfo properties?

    - by tolomea
    I have subversion 1.6.5 client and 1.5.4 server. And I mostly only care about diffs on fully repository paths, not working copies. When diffing branches ones that have been merged already show up as identical except for the mergeinfo properties. This is a touch annoying for a human who has to then look through the changes looking for anything that might be a real change. However it's somewhat worse in out use case as we have scripts that run around checking on the merge state of various things and the mergeinfo properties cause them to highlight a lot of things as being out of sync when they aren't. Is there a way to get the diff summary to ignore the mergeinfo properties?

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  • subversion merge back to trunk

    - by Berryl
    I set up a branch several weeks ago. When some changes were made to the trunk, SVN was committing to the branch, and not the trunk. The changes were minor and applicable to the branch anyway, so I assumed this is how the branch should work. Now that the branch work is finished, I merged back the branch back to my working trunk, assuming SVN would replace the old trunk with the new branch in the repository as well. That is not the case though. My repository trunk is out of date. I would like to make the repository trunk be same as the branch and then delete the branch. How can I do this? Cheers, Berryl Note: I am using tortoise / visualvsn client.

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  • Approaching events #mstc11 #ppws #sqlbits

    - by Marco Russo (SQLBI)
    The spring season is always full of events and I’m just preparing for a number of them. First of all, we are getting very good interest for the PowerPivot Workshop in Copenhagen on 21-22 March 2011. Tomorrow (Friday March 4) will be the last day to take advantage of the Early Bird rate for this date. We will also participate to an evening meeting of local user groups on March 21 in Copenhagen, more news about this in the next few days. Other scheduled dates are in Dublin (28-29 March 2011) and in...(read more)

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  • How to force rebase when same changes applied to both branches manually?

    - by Dmitry
    My repository looks like: X - Y- A - B - C - D - E branch:master \ \ \ \ merge master -> release \ \ M --- BCDE --- N branch:release Here "M - BCDE - N" are manually (unfortunately!) applied changes approximately same as separate commits "A - B - C - D - E" (but seems GIT does not know that these changes are the same). I'd like to rebase and get the following structure: X - Y- A - B - C - D - E branch:master \ * branch:release I.e. I want to make branch:release to be exactly the same as branch:master and fork it from the master's HEAD. But when I run "git rebase master" sitting at the branch release, GIT reports about lots of conflicts and refuces rebasing. How could I solve this? Other explaination of this: I'd like to "re-create" branch:release from scratch from master's HEAD. And there are a lot of other people who had already made "git pull" for the branch:release, so I cannot use git reset + git push -f.

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  • How can I map stored procedure result into a custom class with linq-to-sql?

    - by Remnant
    I have a stored procedure that returns a result set (4 columns x n Rows). The data is based on multiple tables within my database and provides a summary for each department within a corporate. Here is sample: usp_GetDepartmentSummary DeptName EmployeeCount Male Female HR 12 5 7 etc... I am using linq-to-sql to retrieve data from my database (nb - have to use sproc as it is something I have inherited). I would like to call the above sproc and map into a department class: public class Department { public string DeptName {get; set;} public int EmployeeCount {get; set;} public int MaleCount {get; set;} public int FemaleCount {get; set;} } In VS2008, I can drag and drop my sproc onto the methods pane of the linq-to-sql designer. When I examine the designer.cs the return type for this sproc is defined as: ISingleResult<usp_GetDepartmentSummaryResult> What I would like to do is amend this somehow so that it returns a Department type so that I can pass the results of the sproc as a strongly typed view: <% foreach (var dept in Model) { %> <ul> <li class="deptname"><%= dept.DeptName %></li> <li class="deptname"><%= dept.EmployeeCount %></li> etc... Any ideas how to achieve this? NB - I have tried amending the designer.cs and dbml xml file directly but with limited success. I admit to being a little out of my depth when it comes to updating those files directly and I am not sure it is best practice? Would be good to get some diretion. Thanks much

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  • A graph-based tuple merge?

    - by user1644030
    I have paired values in tuples that are related matches (and technically still in CSV files). Neither of the paired values are necessarily unique. tupleAB = (A####, B###), (A###, B###), (A###, B###)... tupleBC = (B####, C###), (B###, C###), (B###, C###)... tupleAC = (A####, C###), (A###, C###), (A###, C###)... My ideal output would be a dictionary with a unique ID and a list of "reinforced" matches. The way I try to think about it is in a graph-based context. For example, if: tupleAB[x] = (A0001, B0012) tupleBC[y] = (B0012, C0230) tupleAC[z] = (A0001, C0230) This would produce: output = {uniquekey0001, [A0001, B0012, C0230]} Ideally, this would also be able to scale up to more than three tuples (for example, adding a "D" match that would result in an additional three tuples - AD, BD, and CD - and lists of four items long; and so forth). In regards to scaling up to more tuples, I am open to having "graphs" that aren't necessarily fully connected, i.e., every node connected to every other node. My hunch is that I could easily filter based on the list lengths. I am open to any suggestions. I think, with a few cups of coffee, I could work out a brute force solution, but I thought I'd ask the community if anyone was aware of a more elegant solution. Thanks for any feedback.

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  • SUM of metric for normalized logical hierarchy

    - by Alex254
    Suppose there's a following table Table1, describing parent-child relationship and metric: Parent | Child | Metric (of a child) ------------------------------------ name0 | name1 | a name0 | name2 | b name1 | name3 | c name2 | name4 | d name2 | name5 | e name3 | name6 | f Characteristics: 1) Child always has 1 and only 1 parent; 2) Parent can have multiple children (name2 has name4 and name5 as children); 3) Number of levels in this "hierarchy" and number of children for any given parent are arbitrary and do not depend on each other; I need SQL request that will return result set with each name and a sum of metric of all its descendants down to the bottom level plus itself, so for this example table the result would be (look carefully at name1): Name | Metric ------------------ name1 | a + c + f name2 | b + d + e name3 | c + f name4 | d name5 | e name6 | f (name0 is irrelevant and can be excluded). It should be ANSI or Teradata SQL. I got as far as a recursive query that can return a SUM (metric) of all descendants of a given name: WITH RECURSIVE temp_table (Child, metric) AS ( SELECT root.Child, root.metric FROM table1 root WHERE root.Child = 'name1' UNION ALL SELECT indirect.Child, indirect.metric FROM temp_table direct, table1 indirect WHERE direct.Child = indirect.Parent) SELECT SUM(metric) FROM temp_table; Is there a way to turn this query into a function that takes name as an argument and returns this sum, so it can be called like this? SELECT Sum_Of_Descendants (Child) FROM Table1; Any suggestions about how to approach this from a different angle would be appreciated as well, because even if the above way is implementable, it will be of poor performance - there would be a lot of iterations of reading metrics (value f would be read 3 times in this example). Ideally, the query should read a metric of each name only once.

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  • SQL Deprecation event uses depracted feature

    - by simonsabin
    Something mildly amusing for a monday morning. The Deprecation Event Class uses the ntext data type which is a deprecated feature. To have a look yourself go to http://msdn.microsoft.com/en-us/library/ms178053.aspx Yeh I know its profiler that is using ntext, still made me smile.

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  • Merge Multple Worksheets From Multple Workbooks

    - by Droter
    Hi, I have found multiple posts on merging data but I am still running into some problems. I have multiple files with multiple sheets. Example 2007-01.xls...2007-12.xls in each of these files are daily data on sheets labeled 01, 02, 03 ..... There are other sheets in the file so I can't just loop through all worksheets. I need to combine the daily data into monthly data, then all of the monthly data points into yearly. On the monthly data I need it to be added to the bottom of the page. I have added the file open changes for Excel 2007 Here is what I have so far: Sub RunCodeOnAllXLSFiles() Dim lCount As Long Dim wbResults As Workbook Dim wbMaster As Workbook Application. ScreenUpdating = False Application.DisplayAlerts = False Application.EnableEvents = False On Error Resume Next Set wbMaster = ThisWorkbook Dim oWbk As Workbook Dim sFil As String Dim sPath As String sPath = "C:\Users\test\" 'location of files ChDir sPath sFil = Dir("*.xls") 'change or add formats Do While sFil <> "" 'will start LOOP until all files in folder sPath have been looped through Set oWbk = Workbooks.Open(sPath & "\" & sFil) 'opens the file Set oWbk = Workbooks.Open(sPath & "\" & sFil) Sheets("01").Select ' HARD CODED FIRST DAY Range("B6:F101").Select 'AREA I NEED TO COPY Range("B6:F101").Copy wbMaster.Activate Workbooks("wbMaster").ActiveSheet.Range("B65536").End(xlUp)(2).PasteSpecial Paste:=xlValues Application.CutCopyMode = False oWbk.Close True 'close the workbook, saving changes sFil = Dir Loop ' End of LOOP On Error Goto 0 Application.ScreenUpdating = True Application.DisplayAlerts = True Application.EnableEvents = True End Sub Right now it can find the files and open them up and get to the right worksheet but when it tries to copy the data nothing is copied over. Thanks for your help, Matt

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  • Distributed version control systems merge easiness details

    - by Idsa
    I have just read Joel's blogpost concerning distributed version control systems and can't understand the main idea. He says that SVN thinks in terms of versions while Mercurial thinks in terms of changes. And, according to Joel, it solves merging problems. I heard this idea several times and still haven't conceived it. As I know, SVN's merging mechanism is based on changes (diffs) too. So what is the difference? I have no experience with distributed version control systems but I actively use SVN branching/merging and had no serious problems with it. Of course there are merging conflicts sometimes (when one piece of code was changed in both branches). But I see no way how this problem can be solved automatically by some kind of control version system.

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  • Move SQL Server transaction log to another disk

    - by Jim Lahman
    When restoring a database backup, by default, SQL Server places the database files in the master database file directory.  In this example, that location is in L:\MSSQL10.CHTL\MSSQL\DATA as shown by the issuance of sp_helpfile   Hence, the restored files for the database CHTL_L2_DB are in the same directory     Per SQL Server best practices, the log file should be on its own disk drive so that the database and log file can operate in a sequential manner and perform optimally. The steps to move the log file is as follows: Record the location of the database files and the transaction log files Note the future destination of the transaction log file Get exclusive access to the database Detach from the database Move the log file to the new location Attach to the database Verify new location of transaction log Record the location of the database file To view the current location of the database files, use the system stored procedure, sp_helpfile 1: use chtl_l2_db 2: go 3:   4: sp_helpfile 5: go   Note the future destination of the transaction log file The future destination of the transaction log file will be located in K:\MSSQLLog   Get exclusive access to the database To get exclusive access to the database, alter the database access to single_user.  If users are still connected to the database, remove them by using with rollback immediate option.  Note:  If you had a pane connected to the database when the it is placed into single_user mode, then you will be presented with a reconnection dialog box. 1: alter database chtl_l2_db 2: set single_user with rollback immediate 3: go Detach from the database   Now detach from the database so that we can use windows explorer to move the transaction log file 1: use master 2: go 3:   4: sp_detach_db 'chtl_l2_db' 5: go   After copying the transaction log file re-attach to the database 1: use master 2: go 3:   4: sp_attach_db 'chtl_l2_db', 5: 'L:\MSSQL10.CHTL\MSSQL\DATA\CHTL_L2_DB.MDF', 6: 'K:\MSSQLLog\CHTL_L2_DB_4.LDF', 7: 'L:\MSSQL10.CHTL\MSSQL\DATA\CHTL_L2_DB_1.NDF', 8: 'L:\MSSQL10.CHTL\MSSQL\DATA\CHTL_L2_DB_2.NDF', 9: 'L:\MSSQL10.CHTL\MSSQL\DATA\CHTL_L2_DB_3.NDF' 10: GO

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  • What arguments to use to explain why a SQL DB is far better then a flat file

    - by jamone
    The higher ups in my company were told by good friends that flat files are the way to go, and we should switch from MS SQL server to them for everything we do. We have over 300 servers and hundreds of different databases. From just the few I'm involved with we have 10 billion records in quite a few of them with upwards of 100k new records a day and who knows how many updates... Me and a couple others need to come up with a response saying why we shouldn't do this. Most of our stuff is ASP.NET with some legacy ASP. We thought that making a simple console app that tests/times the same interactions between a flat file (stored on the network) and SQL over the network doing large inserts, searches, updates etc along with things like network disconnects randomly. This would show them how bad flat files can be espically when you are dealing with millions of records. What things should I use in my response? What should I do with my demo code to illustrate this? My sort list so far: Security Concurent access Performance with large ammounts of data Ammount of time to do such a massive rewrite/switch Lack of transactions PITA to map relational data to flat files I fear that this will be a great post on the Daily WTF someday if I can't stop it now.

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  • Generate and merge data with python multiprocessing

    - by Bobby
    I have a list of starting data. I want to apply a function to the starting data that creates a few pieces of new data for each element in the starting data. Some pieces of the new data are the same and I want to remove them. The sequential version is essentially: def create_new_data_for(datum): """make a list of new data from some old datum""" return [datum.modified_copy(k) for k in datum.k_list] data = [some list of data] #some data to start with #generate a list of new data from the old data, we'll reduce it next newdata = [] for d in data: newdata.extend(create_new_data_for(d)) #now reduce the data under ".matches(other)" reduced = [] for d in newdata: for seen in reduced: if d.matches(seen): break #so we haven't seen anything like d yet seen.append(d) #now reduced is finished and is what we want! I want to speed this up with multiprocessing. I was thinking that I could use a multiprocessing.Queue for the generation. Each process would just put the stuff it creates on, and when the processes are reducing the data, they can just get the data from the Queue. But I'm not sure how to have the different process loop over reduced and modify it without any race conditions or other issues. What is the best way to do this safely? or is there a different way to accomplish this goal better?

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  • SQL Server 2008 R2: StreamInsight changes at RTM: AdvanceTimeSettings

    - by Greg Low
    For those that have worked with the earlier versions of the simulator that Bill Chesnut and I constructed for the Metro content (the Highway Simulator), changes are also required to how AdvanceTimeSettings are specified. The AdapterAdvanceTimeSettings value is now generated by binding an AdvanceTimeGenerationSettings (that is based on your adapter configuration) with an AdvanceTimePolicy setting. public class TollPointInputFactory : ITypedInputAdapterFactory < TollPointInputConfig >, ITypedDeclareAdvanceTimeProperties...(read more)

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  • Use ini/appconfig file or sql server file to store user config?

    - by h2g2java
    I know that the preference for INI or appconfig XML is their human readability. Let's say user preferences stored for my app are hierarchical and numbers about a thousand items and it would be really confusing for a user to edit an INI to change things anyway. I have always been using a combination of INI with appconfig. I am leaning towards using sql server db file, now. Every time the user changes a preference while using the app, it would be stored into the db file - that's my line of thought. I am also thinking that such a config db file could move around with the app too, just like an INI. Before I do that, any advice 1. If there are any disadvantages against using a db file over INI or appconfig. 2. If a shop uses mysql or oracle, do you think your colleagues would lift up their pro-mysql or pro-oracle eyebrow questioning why you would use sql server technology in a mysql or oracle shop? I mean, I am just using it like an INI file or app.config anyway, right?

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  • Merging 3 apps - 2.msi and 1.exe

    - by Netguy
    EXACT duplicate of Combining three MSI into a single installer Hi Guys , I am having 3 files - Alky for Applications.msi ( which make Vista Apps work on XP) 2. Windows VIsta sidebar.exe ( Which make that VIsta sidebar work on XP) *3.Gadget Extractor.ms*i ( A part of number 2) Now , the problem is that all the 3 applications are installers and I want to merge them to 1 installer . So please tell me what should I do and I also want to remove some content( normal files) from 2. Note: I do NOT want to bind the files , so that 3 installers start at the same time. I want to make them into one The Person who is able to help me gets a VPS with cPanel with RL/TF allowed :D

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  • SELECT TOP 1

    - by Derek Dieter
    There are many good uses of the SELECT TOP 1 method of querying. Essentially, the select top 1 method is used to find the min or max record for a particular value. There is some debate as to whether this is the ‘correct’ method of querying, however it should be known that this [...]

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  • SQLU Professional Development Week: The Difference Between Your Business and Community Presence

    - by andyleonard
    Introduction Proto-earth , dinosaurs , and the days when your personal and business profiles were separate and distinct. What do these things all have in common? They are all in the past. Background Checks Corporate background checks now routinely include a search for social media profiles, forum posts, and blogs. As professionals are learning, the things you say and do in your "off-work hours" can and will be used against you - even after you're hired and have been doing the job awhile . One point?...(read more)

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  • How In-Memory Database Objects Affect Database Design: Hybrid Code

    - by drsql
    In my first attempts at building my code, I strictly went with either native or on-disk code. I specifically wrote the on-disk code to only use features that worked in-memory. This lead to one majorly silly bit of code, used to create system assigned key values. How would I create a customer number that was unique. We can’t use the Max(value) + 1 approach because it will be very hideous with MVCC isolation levels, since 100 connections might see the same value, leading to lots of duplication. You...(read more)

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  • Merge changes when a file on a branch has split into two files on the master

    - by carleeto
    This is basically the result of a massive class C on the master having been refactored down the line into two smaller classes, C1 and C2. C was then made a subclass of C2 and cut down to a skeletal version for backward compatibility. So from that point on, master contained C, C1 and C2. On that master commit git said C was renamed to C1. The branch was last updated before this happened. (All C++ code, if it helps to visualize the files involved) Obviously, when I tried a rebase of the branch onto master, there were conflicts that needed to be resolved. As usual, I used mergetool. So now the mergetool comes up with the following: On Local, I have the skeletal version of C. Base and Remote have a bunch of changes to C. Because the skeletal version of C exists on Local, I conclude that the changes from Base and Remote should actually go into C1, leaving C alone. My question is, how do I do this?

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