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  • How to make a sum of total for each id

    - by JetJack
    Using Crystal report 7 I want to view the table 1 and sum of table2 table1 id name 001 raja 002 vijay 003 suresh .... table2 id value 001 100 001 200 001 150 002 200 003 150 003 200 ... I want to display all the rows from table1 and sum(values) from table2. How to do this in crystal report Expected Output id name value 001 raja 450 002 vijay 200 003 suresh 350 .... Note: I add the table field directly to the report, i am not added store procedure or views or query in the report. How to do this. Need Crystal report help

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  • Help Reading Binary Image Data from SQL Server into PHP

    - by Joe Majewski
    I cannot seem to figure out a way to read binary data from SQL server into PHP. I am working on a project where I need to be able to store the image directly in the SQL table, not on the file system. Currently, I have been using a query like this one: INSERT INTO myTable(Document) SELECT * FROM OPENROWSET(BULK N'C:\image.jpg', SINGLE_BLOB) as BLAH This works fine to actually insert the image into the table, but I haven't yet figured a way to retrieve it and get my image back. I am doing this with PHP, and ultimately will have to make a stored procedure out of it, but can anyone enlighten me on a way to get that binary data (varbinary(MAX)) and generate an image on the fly. I expected it to be simple to use a SELECT statement and add a content-type to the headers that indicated it was an image, but it's simply not working. Instead, the page will just display the name of the file, which I have encountered in the past and understand it to be an error with the image data.

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  • Counting multiple entries in a MySQL database?

    - by Aaron
    Hi all, I'm trying to count multiple entries in a MySQL database, I know how to use COUNT(), but the exact syntax I want to get the results I need eludes me. The problem: Table structure: ID, CODE, AUTHOR, COUNTRY, TIMESTAMP. Code, Author and Country overlap many times in the table. I am trying to discover if there is one simple query that can be ran to return (using WHERE clause on COUNTRY) the author field, the code field, and then a final field that counts the number of times the CODE was present in the query result. So, theoretically I could end up with an array like: array('author', 'code', 'codeAppearsNTimes'); Authors also have varying codes associated with them, so I don't want the results merged. I suppose the end result would be: 'This author is associated with this code this many times'. Is this possible with MySQL? Thanks in advance.

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  • SQL Like question

    - by mike
    Is there a way to reverse the SQL Like operator so it searches a field backwards? For example, I have a value in a field that looks like this "Xbox 360 Video Game". If I write a query like below, it returns the result fine. SELECT id FROM table WHERE title like "%Xbox%Game%" However, when I search like this, it doesn't find any results. SELECT id FROM table WHERE title like "%Video%Xbox%" I need it to match in any direction. How can I get around this?

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  • Strange: Planner takes decision with lower cost, but (very) query long runtime

    - by S38
    Facts: PGSQL 8.4.2, Linux I make use of table inheritance Each Table contains 3 million rows Indexes on joining columns are set Table statistics (analyze, vacuum analyze) are up-to-date Only used table is "node" with varios partitioned sub-tables Recursive query (pg = 8.4) Now here is the explained query: WITH RECURSIVE rows AS ( SELECT * FROM ( SELECT r.id, r.set, r.parent, r.masterid FROM d_storage.node_dataset r WHERE masterid = 3533933 ) q UNION ALL SELECT * FROM ( SELECT c.id, c.set, c.parent, r.masterid FROM rows r JOIN a_storage.node c ON c.parent = r.id ) q ) SELECT r.masterid, r.id AS nodeid FROM rows r QUERY PLAN ----------------------------------------------------------------------------------------------------------------------------------------------------------------- CTE Scan on rows r (cost=2742105.92..2862119.94 rows=6000701 width=16) (actual time=0.033..172111.204 rows=4 loops=1) CTE rows -> Recursive Union (cost=0.00..2742105.92 rows=6000701 width=28) (actual time=0.029..172111.183 rows=4 loops=1) -> Index Scan using node_dataset_masterid on node_dataset r (cost=0.00..8.60 rows=1 width=28) (actual time=0.025..0.027 rows=1 loops=1) Index Cond: (masterid = 3533933) -> Hash Join (cost=0.33..262208.33 rows=600070 width=28) (actual time=40628.371..57370.361 rows=1 loops=3) Hash Cond: (c.parent = r.id) -> Append (cost=0.00..211202.04 rows=12001404 width=20) (actual time=0.011..46365.669 rows=12000004 loops=3) -> Seq Scan on node c (cost=0.00..24.00 rows=1400 width=20) (actual time=0.002..0.002 rows=0 loops=3) -> Seq Scan on node_dataset c (cost=0.00..55001.01 rows=3000001 width=20) (actual time=0.007..3426.593 rows=3000001 loops=3) -> Seq Scan on node_stammdaten c (cost=0.00..52059.01 rows=3000001 width=20) (actual time=0.008..9049.189 rows=3000001 loops=3) -> Seq Scan on node_stammdaten_adresse c (cost=0.00..52059.01 rows=3000001 width=20) (actual time=3.455..8381.725 rows=3000001 loops=3) -> Seq Scan on node_testdaten c (cost=0.00..52059.01 rows=3000001 width=20) (actual time=1.810..5259.178 rows=3000001 loops=3) -> Hash (cost=0.20..0.20 rows=10 width=16) (actual time=0.010..0.010 rows=1 loops=3) -> WorkTable Scan on rows r (cost=0.00..0.20 rows=10 width=16) (actual time=0.002..0.004 rows=1 loops=3) Total runtime: 172111.371 ms (16 rows) (END) So far so bad, the planner decides to choose hash joins (good) but no indexes (bad). Now after doing the following: SET enable_hashjoins TO false; The explained query looks like that: QUERY PLAN ------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------- CTE Scan on rows r (cost=15198247.00..15318261.02 rows=6000701 width=16) (actual time=0.038..49.221 rows=4 loops=1) CTE rows -> Recursive Union (cost=0.00..15198247.00 rows=6000701 width=28) (actual time=0.032..49.201 rows=4 loops=1) -> Index Scan using node_dataset_masterid on node_dataset r (cost=0.00..8.60 rows=1 width=28) (actual time=0.028..0.031 rows=1 loops=1) Index Cond: (masterid = 3533933) -> Nested Loop (cost=0.00..1507822.44 rows=600070 width=28) (actual time=10.384..16.382 rows=1 loops=3) Join Filter: (r.id = c.parent) -> WorkTable Scan on rows r (cost=0.00..0.20 rows=10 width=16) (actual time=0.001..0.003 rows=1 loops=3) -> Append (cost=0.00..113264.67 rows=3001404 width=20) (actual time=8.546..12.268 rows=1 loops=4) -> Seq Scan on node c (cost=0.00..24.00 rows=1400 width=20) (actual time=0.001..0.001 rows=0 loops=4) -> Bitmap Heap Scan on node_dataset c (cost=58213.87..113214.88 rows=3000001 width=20) (actual time=1.906..1.906 rows=0 loops=4) Recheck Cond: (c.parent = r.id) -> Bitmap Index Scan on node_dataset_parent (cost=0.00..57463.87 rows=3000001 width=0) (actual time=1.903..1.903 rows=0 loops=4) Index Cond: (c.parent = r.id) -> Index Scan using node_stammdaten_parent on node_stammdaten c (cost=0.00..8.60 rows=1 width=20) (actual time=3.272..3.273 rows=0 loops=4) Index Cond: (c.parent = r.id) -> Index Scan using node_stammdaten_adresse_parent on node_stammdaten_adresse c (cost=0.00..8.60 rows=1 width=20) (actual time=4.333..4.333 rows=0 loops=4) Index Cond: (c.parent = r.id) -> Index Scan using node_testdaten_parent on node_testdaten c (cost=0.00..8.60 rows=1 width=20) (actual time=2.745..2.746 rows=0 loops=4) Index Cond: (c.parent = r.id) Total runtime: 49.349 ms (21 rows) (END) - incredibly faster, because indexes were used. Notice: Cost of the second query ist somewhat higher than for the first query. So the main question is: Why does the planner make the first decision, instead of the second? Also interesing: Via SET enable_seqscan TO false; i temp. disabled seq scans. Than the planner used indexes and hash joins, and the query still was slow. So the problem seems to be the hash join. Maybe someone can help in this confusing situation? thx, R.

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  • privmsg system db schema

    - by Bartek
    I'm making a PM-system on my site. And I want to know ultimate db schema. I have always just used only 1 table. But my users have started complained that the messages in their outbox suddently dissapers =D Thats because if the other users deletes it, the one who sent it wont see it to. So im thinking of making another table with the same fields So im thinking something like this: privmsgs id | to | from | subject | message | date -- -- ---- ------- ------- ---- 1 76 893 blabla. blabla. 20100404 sent_msgs id | to | from | subject | message | date -- -- ---- ------- ------- ---- 1 76 893 blabla. blabla. 20100404 Whatya think? Sorry for my bad english

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  • deselectRowAtIndexPath on an ABPeoplePickerNavigationController

    - by Josh Wright
    I'm showing an ABPeoplePickerNavigationController as a tab in my app. The user clicks a name, then email address, then I do something with the email address. Afterwards, I'd like for the person and property that they selected to fade out (not be highlighted). In a normal table, I'd call deselectRowAtIndexPath. But with the ABPeoplePickerNavCont I don't seem to have access to it's table, nor do I know what indexPath is selected, nor is there an api for deselecting the row. On most apps, ABPeoplePickerNavCont is used modally so it doesn't matter that the row is still highlighted 'cause the whole thing gets dismissed. But in my app it does not get dismissed (just like the contacts tab in the Phone app). Any ideas?

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  • LOAD DATA INFILE not working in mariadb

    - by Haseena
    Iam trying to migrate from mysql to mariadb. On this time I can face an issue with mariadb. When I can trying to load a data file into a table, it shows an error like : SQL Error (29): File 'C:/Documents and Settings/Administrator/Local Settings/Temp/SAMPLE/DATA_TEMP1351761841668/SampleFile0' not found (Errcode: 2) But the file already exists in the path.... Another one point is that the same command successfully works with MySQL. Is MariaDB has any permission issue? Login as Administrator. See below my query : load data infile "'C:/Documents and Settings/Administrator/Local Settings/Temp/SAMPLE/DATA_TEMP1351761841668/SampleFile0" into table SAMPLETABLE; When changing the path loke "C:/SampleFile0", its working properly. From Administrator folder it doesn't working. Can anyone help me in this regard??? Iam a newone in MariaDB.

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  • Two different tables or just one with bool column?

    - by Aidas
    We have two tables: OriginalDocument and ProcessedDocument. In the first one we put an original, not processed document. After it's validated and processed (converted to our xml format and parsed), it's put into Document table. Processed document can be valid or invalid. Which makes more sense: have two different tables for valid and invalid documents or just have one with 'Valid' column? Some of the columns (~5-7) are irrelevant for invalid document. Storing both invalid and valid documents would also make Document table filled with 'NULL' columns (if document is invalid, information like document number, receiver can be unknown). What else should we consider and weigh, when making this decision?

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  • How do I find hash value of a 3D vector ?

    - by brainydexter
    I am trying to perform broad-phase collision detection with a fixed-grid size approach. Thus, for each entity's position: (x,y,z) (each of type float), I need to find which cell does the entity lie in. I then intend to store all the cells in a hash-table and then iterate through to report (if any) collisions. So, here is what I am doing: Grid-cell's position: (int type) (Gx, Gy, Gz) = (x / M, y / M, z / M) where M is the size of the grid. Once, I have a cell, I'd like to add it to a hash-table with its key being a unique hash based on (Gx, Gy, Gz) and the value being the cell itself. Now, I cannot think of a good hash function and I need some help with that. Can someone please suggest me a good hash function? Thanks

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  • MYSQL query to get all entries with specific time, from PHP?

    - by meds
    I'm trying to query a mysql table which places its date in the following format: yyyy-mm-dd hh:mm:ss So it's date and time, and that's all in a single field. Now from php I want to get the time and query the table to only return entries where the date field is less than 24 hours old. I'm having issues with the system because PHPs get time seems to return the values seperately and I'm struggling to figure out how to make it work with mysql queries. This seems fairly simple but I'm quite new to php so sorry if I'm completely missing something..

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  • dump csv from sqlalchemy

    - by afilatun
    For some reason, I want to dump a table from a database (sqlite3) in the form of a csv file. I'm using a python script with elixir (based on sqlalchemy) to modify the database. I was wondering if there is any way to dump the table I use to csv. I've seen sqlalchemy serializer but it doesn't seem to be what I want. Am I doing it wrong? Should I call the sqlite3 python module after closing my sqlalchemy session to dump to a file instead? Or should I use something homemade?

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  • General rule - when to use a model (Codeigniter)

    - by pingu
    Hi guys, I was just curious as to what the rule of thumb was for models. Generally, I use them only for situations where I need to add/edit or update database entries for an object. However, I'm building an app at the moment that has a "config" table which holds various data, such as last updated, which will control when certain features in the app should be displayed. In this instance, I will mostly need to retrieve data from the config table. Is it worth putting these config methods in model? I'm interested to hear how more experienced coders approach the MVC methodology in CI - example pseudo methods (e.g., what methods relating to the same object you'd use in the model and the controller) would be most helpful.

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  • HQL query for entity with max value

    - by Rob
    I have a Hibernate entity that looks like this (accessors ommitted for brevity): @Entity @Table(name="FeatureList_Version") @SecondaryTable(name="FeatureList", pkJoinColumns=@PrimaryKeyJoinColumn(name="FeatureList_Key")) public class FeatureList implements Serializable { @Id @Column(name="FeatureList_Version_Key") private String key; @Column(name="Name",table="FeatureList") private String name; @Column(name="VERSION") private Integer version; } I want to craft an HQL query that retrieves the most up to date version of a FeatureList. The following query sort of works: Select f.name, max(f.version) from FeatureList f group by f.name The trouble is that won't populate the key field, which I need to contain the key of the record with the highest version number for the given FeatureList. If I add f.key in the select it won't work because it's not in the group by or an aggregate and if I put it in the group by the whole thing stops working and it just gives me every version as a separate entity. So, can anybody help?

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  • What does SQL Server execution plan show?

    - by tim
    There is the following code: declare @XmlData xml = '<Locations> <Location rid="1"/> </Locations>' declare @LocationList table (RID char(32)); insert into @LocationList(RID) select Location.RID.value('@rid','CHAR(32)') from @XmlData.nodes('/Locations/Location') Location(RID) insert into @LocationList(RID) select A2RID from tblCdbA2 Table tblCdbA2 has 172810 rows. I have executed the batch in SSMS with “Include Actual execution plan “ and having Profiler running. The plan shows that the first query cost is 88% relative to the batch and the second is 12%, but the profiler says that durations of the first and second query are 17ms and 210 ms respectively, the overall time is 229, which is not 12 and 88.. What is going on? Is there a way how I can determine in the execution plan which is the slowest part of the query?

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  • SQL count NULL cells

    - by Giuseppe
    Dear All, I have the following problem. I have a table in a db, with many columns. I can do different kind of select queries, to show, for example, for each record that satisfies a condition: all cells from columns with names ending in _t0 all cells from columns with names ending in _t1 ... To get the column lists to form the queries I use the information schema. Now, the problem: each query returns a record with a subset of the columns of the big table. This means that I can get a row of (all!) NULLs. How can I ask my query to reject such rows without having to type in explicitely the column names (i.e. by saying where col_1 is not null, col_2 is not null...)? Is it possible? Thanks in advance!!! Sep

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  • How active record is automatically setting up the autoincremental value of ID?

    - by piemesons
    Here this is what we are doing:-- an_order = Order.new an_order.name = "Dave Thomas" an_order.email = "[email protected]" an_order.address = "123 Main St" an_order.pay_type = "check" an_order.save Now it will insert a new row in orders table right. I m having a ID column in that table. Now suppose after inserting this record the value of the ID corresponding to this record is 100. Now how this 100 value came to know? Does the previous value of ID ie 99 (Suppose) is stored somewhere in some variable/file in the ORM layer or before inserting this value a query was fired to know about the last inserted value or database is itself doing that or anything else???

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  • Query to find all the nodes that are two steps away from a particular node.

    - by iecut
    Suppose I have two columns in a table that represents a graph, the first column is a FROMNODE and second one is TONODE. What I would like to know is that how will we find all the nodes that are two steps away from a particular node. Lets suppose I have a node numbered '1' and i would like to know all the nodes that are two steps away from it. I have tried(I am assuming the table name as graph) SELECT FROMNODE FROM GRAPH WHERE TONODE=1 (this is to select all the nodes that are connected to node 1, but I couldn't figure out how would I find all the nodes that are two steps away from node 1??)

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  • Repeating fields in similar database tables

    - by user1738833
    I have been tasked with working on a database that I have never seen before and I'm looking at the DB structure. Some of the central and most heavily queried and joined tables look like virtual duplicates of each other. Here's a massively simplified representation of the situation, with business-sensitive information changed, listing hypothetical table names and fields: TopLevelGroup: PK_TLGroupId, DisplaysXOnBill, DisplaysYOnBill, IsInvoicedForJ, IsInvoicedForK SubGroup: PK_SubGroupId, FK_ParentTopLevelGroupId, DisplaysXOnBill, DisplaysYOnBill, IsInvoicedForJ, IsInvoicedForK SubSubGroup: PK_SubSUbGroupId, FK_ParentSubGroupId, DisplaysXOnBill, DisplaysYOnBill, IsInvoicedForJ, IsInvoicedForK I haven't listed the types of the fields as I don't think it's particularly important to the situation. In addition, it's worth saying that rather than four repeated fields as in the example above, I'm looking at 86 repeated fields. For the most part, those fields genuinely do represent "facts" about the primary table entity, so it's not automatically wrong for that reason. In addition, the "groups" represented here have a property inheritance relationship. If DisplaysXOnBill is NULL in the SubSubGroup, it takes the value of DisplaysXOnBillfrom it's parent, the SubGroup, and so-on up to the TopLevelGroup. Further, the requirements will never require that the model extends beyond three levels, so there is no need for flexibility in that area. Is there a design smell from several tables which describe very similar entities having almost identical fields? If so, what might be a better design of the example above? I'm using the phrase "design smell" to indicate a possible problem. Of course, in any given situation, a particular design might well be the best solution. I'm looking for a more general answer - wondering what might be wrong with this design and what might be the better design were that the case. Possibly related, but not primary questions: Is this database schema in a reasonably normal form (e.g. to 3NF), insofar as can be told from the information I've provided. I can't see a problem with the requirements of 2NF and 3NF, except in their inheriting the requirements of 1NF. Is 1NF satisfied though? Are repeating groups allowed in different tables? Is there a best-practice method for implementing the inheritance relationship in a database as I require? The method above feels clunky to me because any query on the SubSubGroup necessarily needs to join onto the SubGroup and the TopLevelGroup tables to collect inherited facts, which can make even trivial joins requiring facts from the SubSubGroup table rather long-winded. There are, of course, political considerations to making a relatively large change like this. For the purpose of this question, I'm happy to ignore that fact in the interests of keeping the answers ring-fenced to the technical problem.

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  • More Tables or More Databases?

    - by BuckWoody
    I got an e-mail from someone that has an interesting situation. He has 15,000 customers, and he asks if he should have a database for their data per customer. Without a LOT more data it’s impossible to say, of course, but there are some general concepts to keep in mind. Whenever you’re segmenting data, it’s all about boundary choices. You have not only boundaries around how big the data will get, but things like how many objects (tables, stored procedures and so on) that will be involved, if there are any cross-sections of data (do they share location or product information) and – very important – what are the security requirements? From the answer to these types of questions, you now have the choice of making multiple tables in a single database, or using multiple databases. A database carries some overhead – it needs a certain amount of memory for locking and so on. But it has a very clean boundary – everything from objects to security can be kept apart. Having multiple users in the same database is possible as well, using things like a Schema. But keeping 15,000 schemas can be challenging as well. My recommendation in complex situations like this is similar to a post on decisions that I did earlier – I lay out the choices on a spreadsheet in rows, and then my requirements at the top in the columns. I  give each choice a number based on how well it meets each requirement. At the end, the highest number wins. And many times it’s a mix – perhaps this person could segment customers into larger regions or districts or products, in a database. Within that database might be multiple schemas for the customers. Of course, he needs to query across all customers, that becomes another requirement. Share this post: email it! | bookmark it! | digg it! | reddit! | kick it! | live it!

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  • Of transactions and Mongo

    - by Nuri Halperin
    Originally posted on: http://geekswithblogs.net/nuri/archive/2014/05/20/of-transactions-and-mongo-again.aspxWhat's the first thing you hear about NoSQL databases? That they lose your data? That there's no transactions? No joins? No hope for "real" applications? Well, you *should* be wondering whether a certain of database is the right one for your job. But if you do so, you should be wondering that about "traditional" databases as well! In the spirit of exploration let's take a look at a common challenge: You are a bank. You have customers with accounts. Customer A wants to pay B. You want to allow that only if A can cover the amount being transferred. Let's looks at the problem without any context of any database engine in mind. What would you do? How would you ensure that the amount transfer is done "properly"? Would you prevent a "transaction" from taking place unless A can cover the amount? There are several options: Prevent any change to A's account while the transfer is taking place. That boils down to locking. Apply the change, and allow A's balance to go below zero. Charge person A some interest on the negative balance. Not friendly, but certainly a choice. Don't do either. Options 1 and 2 are difficult to attain in the NoSQL world. Mongo won't save you headaches here either. Option 3 looks a bit harsh. But here's where this can go: ledger. See, and account doesn't need to be represented by a single row in a table of all accounts with only the current balance on it. More often than not, accounting systems use ledgers. And entries in ledgers - as it turns out – don't actually get updated. Once a ledger entry is written, it is not removed or altered. A transaction is represented by an entry in the ledger stating and amount withdrawn from A's account and an entry in the ledger stating an addition of said amount to B's account. For sake of space-saving, that entry in the ledger can happen using one entry. Think {Timestamp, FromAccountId, ToAccountId, Amount}. The implication of the original question – "how do you enforce non-negative balance rule" then boils down to: Insert entry in ledger Run validation of recent entries Insert reverse entry to roll back transaction if validation failed. What is validation? Sum up the transactions that A's account has (all deposits and debits), and ensure the balance is positive. For sake of efficiency, one can roll up transactions and "close the book" on transactions with a pseudo entry stating balance as of midnight or something. This lets you avoid doing math on the fly on too many transactions. You simply run from the latest "approved balance" marker to date. But that's an optimization, and premature optimizations are the root of (some? most?) evil.. Back to some nagging questions though: "But mongo is only eventually consistent!" Well, yes, kind of. It's not actually true that Mongo has not transactions. It would be more descriptive to say that Mongo's transaction scope is a single document in a single collection. A write to a Mongo document happens completely or not at all. So although it is true that you can't update more than one documents "at the same time" under a "transaction" umbrella as an atomic update, it is NOT true that there' is no isolation. So a competition between two concurrent updates is completely coherent and the writes will be serialized. They will not scribble on the same document at the same time. In our case - in choosing a ledger approach - we're not even trying to "update" a document, we're simply adding a document to a collection. So there goes the "no transaction" issue. Now let's turn our attention to consistency. What you should know about mongo is that at any given moment, only on member of a replica set is writable. This means that the writable instance in a set of replicated instances always has "the truth". There could be a replication lag such that a reader going to one of the replicas still sees "old" state of a collection or document. But in our ledger case, things fall nicely into place: Run your validation against the writable instance. It is guaranteed to have a ledger either with (after) or without (before) the ledger entry got written. No funky states. Again, the ledger writing *adds* a document, so there's no inconsistent document state to be had either way. Next, we might worry about data loss. Here, mongo offers several write-concerns. Write-concern in Mongo is a mode that marshals how uptight you want the db engine to be about actually persisting a document write to disk before it reports to the application that it is "done". The most volatile, is to say you don't care. In that case, mongo would just accept your write command and say back "thanks" with no guarantee of persistence. If the server loses power at the wrong moment, it may have said "ok" but actually no written the data to disk. That's kind of bad. Don't do that with data you care about. It may be good for votes on a pole regarding how cute a furry animal is, but not so good for business. There are several other write-concerns varying from flushing the write to the disk of the writable instance, flushing to disk on several members of the replica set, a majority of the replica set or all of the members of a replica set. The former choice is the quickest, as no network coordination is required besides the main writable instance. The others impose extra network and time cost. Depending on your tolerance for latency and read-lag, you will face a choice of what works for you. It's really important to understand that no data loss occurs once a document is flushed to an instance. The record is on disk at that point. From that point on, backup strategies and disaster recovery are your worry, not loss of power to the writable machine. This scenario is not different from a relational database at that point. Where does this leave us? Oh, yes. Eventual consistency. By now, we ensured that the "source of truth" instance has the correct data, persisted and coherent. But because of lag, the app may have gone to the writable instance, performed the update and then gone to a replica and looked at the ledger there before the transaction replicated. Here are 2 options to deal with this. Similar to write concerns, mongo support read preferences. An app may choose to read only from the writable instance. This is not an awesome choice to make for every ready, because it just burdens the one instance, and doesn't make use of the other read-only servers. But this choice can be made on a query by query basis. So for the app that our person A is using, we can have person A issue the transfer command to B, and then if that same app is going to immediately as "are we there yet?" we'll query that same writable instance. But B and anyone else in the world can just chill and read from the read-only instance. They have no basis to expect that the ledger has just been written to. So as far as they know, the transaction hasn't happened until they see it appear later. We can further relax the demand by creating application UI that reacts to a write command with "thank you, we will post it shortly" instead of "thank you, we just did everything and here's the new balance". This is a very powerful thing. UI design for highly scalable systems can't insist that the all databases be locked just to paint an "all done" on screen. People understand. They were trained by many online businesses already that your placing of an order does not mean that your product is already outside your door waiting (yes, I know, large retailers are working on it... but were' not there yet). The second thing we can do, is add some artificial delay to a transaction's visibility on the ledger. The way that works is simply adding some logic such that the query against the ledger never nets a transaction for customers newer than say 15 minutes and who's validation flag is not set. This buys us time 2 ways: Replication can catch up to all instances by then, and validation rules can run and determine if this transaction should be "negated" with a compensating transaction. In case we do need to "roll back" the transaction, the backend system can place the timestamp of the compensating transaction at the exact same time or 1ms after the original one. Effectively, once A or B visits their ledger, both transactions would be visible and the overall balance "as of now" would reflect no change.  The 2 transactions (attempted/ reverted) would be visible , since we do actually account for the attempt. Hold on a second. There's a hole in the story: what if several transfers from A to some accounts are registered, and 2 independent validators attempt to compute the balance concurrently? Is there a chance that both would conclude non-sufficient-funds even though rolling back transaction 100 would free up enough for transaction 117 (some random later transaction)? Yes. there is that chance. But the integrity of the business rule is not compromised, since the prime rule is don't dispense money you don't have. To minimize or eliminate this scenario, we can also assign a single validation process per origin account. This may seem non-scalable, but it can easily be done as a "sharded" distribution. Say we have 11 validation threads (or processing nodes etc.). We divide the account number space such that each validator is exclusively responsible for a certain range of account numbers. Sounds cunningly similar to Mongo's sharding strategy, doesn't it? Each validator then works in isolation. More capacity needed? Chop the account space into more chunks. So where  are we now with the nagging questions? "No joins": Huh? What are those for? "No transactions": You mean no cross-collection and no cross-document transactions? Granted - but don't always need them either. "No hope for real applications": well... There are more issues and edge cases to slog through, I'm sure. But hopefully this gives you some ideas of how to solve common problems without distributed locking and relational databases. But then again, you can choose relational databases if they suit your problem.

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  • MySQL: Transactions across multiple threads

    - by Zombies
    Preliminary: I have an application which maintains a thread pool of about 100 threads. Each thread can last about 1-30 seconds before a new task replaces it. When a thread end, that thread almost always will result in inserting 1-3 records into a table, this table is used by all of the threads. Right now, no transactional support exists, but I am trying to add that now. So... Goal I want to implement a transaction for this. The rules for whether or not this transaction commits or rollback reside in the main thread. Basically there is a simple function that will return a boolean. Can I implement a transaction across multiple connections? If not, can multiple threads share the same connection? (Note: there are a LOT of inserts going on here, and that is a requirement).

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  • Using memtables in sql. When is it reasonable and is it safe?

    - by Spiros
    I was just reading an update from a friend's project, mentioning the use of memtables to store data temporatily and then flush to a table on disk. Up to now, I have never faced a situation where I would use a memtable, or a situation where I would think the use of a mem table would be beneficial; so I wonder, when would someone use mem tables? what makes a memtable (appart from access speed) a reasonable choice? and how safe is it, even for temp data? there is always the limitation of available physical memory.

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  • How does void QTableWidget::setItemPrototype ( const QTableWidgetItem * item ) clones objects?

    - by chappar
    QTableWidget::setItemPrototype says following. "The table widget will use the item prototype clone function when it needs to create a new table item. For example when the user is editing in an empty cell. This is useful when you have a QTableWidgetItem subclass and want to make sure that QTableWidget creates instances of your subclass." How does this actually work as you can pass any of the QTableWidgetItem subclass pointer to setItemPrototype and at run time there is no way you can get the size of an object having just pointer to it?

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  • MarkupBuilder using list

    - by tathamr
    I am currently using sql.row("statement") and storing to a list. I then am trying to setup my xml file using MarkupBuilder. Is there a better way than iterating over the list poping off an item and then parsing it to add my different column names and values? What is stored by list entry is ID='X' Period='Yearly' Lengh='test' So the XML would be something similar to: <table name='test'> <row> <column name=ID>X</column> <column name=Period>Yearly</column> <column name=Length>test</column> </row> </table>

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