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  • Porting Oracle Procedure to PostgreSQL

    - by Grasper
    I am porting an Oracle function into Postgres PGPLSQL.. I have been using this guide: http://www.postgresql.org/docs/8.1/static/plpgsql.html CREATE OR REPLACE PROCEDURE DATA_UPDATE (mission NUMBER, task NUMBER) AS BEGIN IF mission IS NOT NULL THEN UPDATE MISSION_OBJECTIVE MO SET (MO.MO_TKR_TOTAL_OFF_SCHEDULED, MO.MO_TKR_TOTAL_RECEIVERS) = (SELECT NVL(SUM(RR.TRQ_FUEL_OFFLOAD),0), NVL(SUM(RR.TRQ_NUMBER_RECEIVERS),0) FROM REFUELING_REQUEST RR, MISSION_REQUEST_PAIRING MRP WHERE MO.MSN_INT_ID = MRP.MSN_INT_ID AND MO.MO_INT_ID = MRP.MO_INT_ID AND MRP.REQ_INT_ID = RR.REQ_INT_ID) WHERE MO.MSN_INT_ID = mission AND MO.MO_INT_ID = task ; END IF ; COMMIT ; END ; I've got it this far: CREATE OR REPLACE FUNCTION DATA_UPDATE (NUMERIC, NUMERIC) RETURNS integer as ' DECLARE mission ALIAS for $1; task ALIAS for $2; BEGIN IF mission IS NOT NULL THEN UPDATE MISSION_OBJECTIVE MO SET (MO.MO_TKR_TOTAL_OFF_SCHEDULED, MO.MO_TKR_TOTAL_RECEIVERS) = (SELECT COALESCE(SUM(RR.TRQ_FUEL_OFFLOAD),0), COALESCE(SUM(RR.TRQ_NUMBER_RECEIVERS),0) FROM REFUELING_REQUEST RR, MISSION_REQUEST_PAIRING MRP WHERE MO.MSN_INT_ID = MRP.MSN_INT_ID AND MO.MO_INT_ID = MRP.MO_INT_ID AND MRP.REQ_INT_ID = RR.REQ_INT_ID) WHERE MO.MSN_INT_ID = mission AND MO.MO_INT_ID = task ; END IF; COMMIT; END; ' LANGUAGE plpgsql; This is the error I get: ERROR: syntax error at or near "SELECT" LINE 1: ...OTAL_OFF_SCHEDULED, MO.MO_TKR_TOTAL_RECEIVERS) = (SELECT COA... I do not know why this isn't working... any ideas?

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  • Hash Join require Full Table Scan

    - by Pedro Magalhaes
    So, I want to know if to make a Hash Join between two tables is necessary to make a full table scan on the collumns? If i want to join COL1 wiht COL2, and COL1 is smaller, the It makes a full scan in COL1 creating a Hashmap then makes a full scan in COL2 using the sabe hash function. Is this correct?

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  • Optimize mysql table ?

    - by fabien-barbier
    Here is my actual table schema (I'm using Mysql) : Table experiment : code(int) sample_1_id sample_2_id ... until ... sample_12_id rna_1_id rna_2_id ... until ... rna_12_id experiment_start How can I optimize both part : sample_n_id and rna_n_id (all are bigint(20) and allow null=true) ? About values : we can have : ex : sample_1_id = 2 , Sample_2_id = 5 , ... Note : values can be updated. Ideas ? Thanks.

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  • SQL replicaton - collecting data

    - by Cicik
    Hi, I have master SQL server with DB Central and a lot of satellite SQL servers with DB Client. I need to collect data from log tables(LogTable) on Client(each client has own ID in log table) to one big table on Central(LogTableCentral). Data must go only from Client to Central On each Client I want to have only data for this Client I need solution with minimal amount of work on client side because of count of clients Central is MS SQL server Enterprise, Clients are MS SQL server 2005, 2008 Thanks a lot EDIT: data can be collected periodically(for example: every day at 01:00)

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  • Can someone describe the nested set model from a C#/LINQ perspective?

    - by Chad
    I know the nested set model doesn't pertain to the C# language or LINQ directly... it's what I'm using to develop my web app. For hierarchical data (categories with sub-categories in my case), I'm currently using something similar to the Adjacency List model. At the moment, I've only got 2 levels of categories, but I'd like to take it further and allow for n levels of categories using the nested set model. I'm not quite clear on how to use it in a C# context. Here's the article I'm reading on the nested set model. Though this article cleared up my confusion some, I still have a big ?? in my head: - Is inserting, updating or deleting categories tedious? It looks like the left and right numbers would require re-numbering... what would the LINQ queries look like for the following scenarios? Delete a child node (re-number all node's left/right values) Delete a parent node (what do you do with the orphans?) Move a child node to a different parent node (renumber again) If my understanding is correct, at all times the child node's left/right values will always be between the parent node's left/right values, am I correct? Seems easy enough, if only the categories were static... most likely I need to spend more time to get my head around the concept. Any help is greatly appreciated!

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  • autoincrement in access sql is not working

    - by Thunder
    how can i create a table with autoincrement in access.Here is what i have been doing but not working. CREATE TABLE People_User_Master( Id INTEGER primary key AUTOINCREMENT , Name varchar(50) , LastName varchar(50) , Userid varchar(50) unique , Email varchar(50) , Phone varchar(50) , Pw varchar(50) , fk_Group int , Address varchar(150) )

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  • Inserting Rows in Relationship using a Strongly Typed DataSet

    - by Manuel Faux
    I'm using ADO.NET with a strongly typed dataset in C# (.NET 3.5). I want to insert a new row to two tables which are related in an 1:n relation. The table Attachments holds the primary key part of the relation and the table LicenseAttachments holds the foreign key part. AttachmentsDataSet.InvoiceRow invoice; // Set to a valid row, also referenced in InvoiceAttachments AttachmentsDataSet.AttachmentsRow attachment; attachment = attachmentsDataSet.Attachments.AddAttachmentsRow("Name", "Description"); attachmentsDataSet.InvoiceAttachments.AddInvoiceAttachmentsRow(invoice, attachment); Of course when I first update the InvoicesAttachments table, I'll get a foreign key violation from the SQL server, so I tried updating the Attachments table first, which will create the rows, but will remove the attachment association in the InvoiceAttachments table. Why? How do I solve this problem?

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  • e-shop implementation: Status for Orders?

    - by Guillermo
    Hello Again my fellow programmers out there, I'm designing and programming from scratch a online shop. It has a Module to manage "Orders" that are recieved via the frontend. I'm needing to have a status to know whats happening with an order in s certain moment, let's say the statuses are: Pending Payment Confirmed - Awaiting shipment Shipped Cancelled My question is a simple one, but is very important to decide on the store design, and is: What would you do so store this status: Would you create a column for it in the Orders table or would you just "calculate" the status of each order depending if payments has been recieved or shipments has been made for every order? (except I suppose for a is_cancelled column) What would be the best approach to model this kind of problem? PD: I even wish in the future to have these statuses configurable buy other clientes using the same software..

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  • Pervasive SQL german Umlauts Problem

    - by cordellcp3
    Hi there, I'm using the Pervasive SQL - ADO.NET 3.5 DataProvider for retrieving data out of the PSQL DB and I've noticed that the german umlauts (äöüÄÖÜ etc.) are not represented correctly in the PSQLDataReader, but in the Pervasive Control Center (similar to the sql management studio) the umlauts are all correct. Is there anything similar to the TSQL "SET LANGUAGE"-command? I havn't found something like that for Pervasive SQL. Googling this issue wasn't successful at all, too. Although I did find some tips with a file called upper.alt or collate.cfg, but don't know how to use this files and I coudn`t find them in my installation. (I'm totally new to Pervasive...) I hope that someone on here could help me with that. Thanks in advance

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  • Problem performance datawarehouse with lots of indexes

    - by Lieven Cardoen
    Our product takes tests of some 350 candidates at the same time. At the end of the test, results for each candidate are moved to a datawarehouse full of indexes on it. For each test there's some 400 records to be entered in datawarehouse. So 400 x 350 is a lot of records. If there are not much records in the datawarehouse, all goes well. But if there are already lots of records in the datawarehouse, then a lot of inserts fail... Is there a way to have indexes that are only rebuild at the end of the day or isn't that the real problem? Or how would you solve this?

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  • Re-using aggregate level formulas in SQL - any good tactics?

    - by Cade Roux
    Imagine this case, but with a lot more component buckets and a lot more intermediates and outputs. Many of the intermediates are calculated at the detail level, but a few things are calculated at the aggregate level: DECLARE @Profitability AS TABLE ( Cust INT NOT NULL ,Category VARCHAR(10) NOT NULL ,Income DECIMAL(10, 2) NOT NULL ,Expense DECIMAL(10, 2) NOT NULL ) ; INSERT INTO @Profitability VALUES ( 1, 'Software', 100, 50 ) ; INSERT INTO @Profitability VALUES ( 2, 'Software', 100, 20 ) ; INSERT INTO @Profitability VALUES ( 3, 'Software', 100, 60 ) ; INSERT INTO @Profitability VALUES ( 4, 'Software', 500, 400 ) ; INSERT INTO @Profitability VALUES ( 5, 'Hardware', 1000, 550 ) ; INSERT INTO @Profitability VALUES ( 6, 'Hardware', 1000, 250 ) ; INSERT INTO @Profitability VALUES ( 7, 'Hardware', 1000, 700 ) ; INSERT INTO @Profitability VALUES ( 8, 'Hardware', 5000, 4500 ) ; SELECT Cust ,Profit = SUM(Income - Expense) ,Margin = SUM(Income - Expense) / SUM(Income) FROM @Profitability GROUP BY Cust SELECT Category ,Profit = SUM(Income - Expense) ,Margin = SUM(Income - Expense) / SUM(Income) FROM @Profitability GROUP BY Category SELECT Profit = SUM(Income - Expense) ,Margin = SUM(Income - Expense) / SUM(Income) FROM @Profitability Notice how the same formulae have to be used at the different aggregation levels. This results in code duplication. I have thought of using UDFs (either scalar or table valued with an OUTER APPLY, since many of the final results may share intermediates which have to be calculated at the aggregate level), but in my experience the scalar and multi-statement table-valued UDFs perform very poorly. Also thought about using more dynamic SQL and applying the formulas by name, basically. Any other tricks, techniques or tactics to keeping these kinds of formulae which need to be applied at different levels in sync and/or organized?

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  • HOWTO - Compare a date string to datetime in SQL Server?

    - by Guy
    In SQL Server I have a DATETIME column which includes a time element. Example: '14 AUG 2008 14:23:019' What is the best method to only select the records for a particular day, ignoring the time part? Example: (Not safe, as it does not match the time part and returns no rows) DECLARE @p_date DATETIME SET @p_date = CONVERT( DATETIME, '14 AUG 2008', 106 ) SELECT * FROM table1 WHERE column_datetime = @p_date Note: Given this site is also about jotting down notes and techniques you pick up and then forget, I'm going to post my own answer to this question as DATETIME stuff in MSSQL is probably the topic I lookup most in SQLBOL. Update Clarified example to be more specific. Edit Sorry, But I've had to down-mod WRONG answers (answers that return wrong results). @Jorrit: WHERE (date>'20080813' AND date<'20080815') will return the 13th and the 14th. @wearejimbo: Close, but no cigar! badge awarded to you. You missed out records written at 14/08/2008 23:59:001 to 23:59:999 (i.e. Less than 1 second before midnight.)

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  • Which MySQL Frontend shows foreign rows?

    - by Jeremy Rudd
    I once came across a MySQL Frontend app that displayed foreign linked rows within the parent row, if for instance the Events table has a foreign key to the Students table: Student ID Name DOB -- ---- --------- [+] 22 Bob 25-1-1984 [-] 21 Jane 25-1-1982 Event ID Student-ID Name Time -- ---------- ---- --------- 1 21 Event A 05:50 1 21 Event B 17:20 [+] 20 Jack 25-1-1980

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  • Datamapper, defining your own object methods, how?

    - by Dublinclontarf
    So lets say I have a class like below class List include DataMapper::Resource property :id, Serial property :username, String def self.my_username return self[:username] end end list=List.create(:username=>,'jim') list.my_username When I run this it tells me that the method cannot be found, and on more investigation that you can only define class methods(not object methods) and that class methods don't have access to objects data. Is there any way to have these methods included as object methods and get access to object data? I'm using Ruby 1.8.6 and the latest version of datamapper.

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  • Data store for capturing votes & aggregating them

    - by Nathan de Vries
    I'm interested in using Node.js as a socket server for stream-based communication with tens of thousands of clients. Clients will be sending votes for particular pieces of content, and receiving near-realtime updates of aggregated vote tallies from the server. The datastore needs to support: Storing the votes Summarising the votes in near-realtime Preventing multiple votes within an arbitrary time period (e.g. clients can only vote once for a piece of content every 1 minute) Something that already has client libraries for Node.js would be preferable.

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  • How can I speed up queries against tables I cannot add indexes to?

    - by RenderIn
    I access several tables remotely via DB Link. They are very normalized and the data in each is effective-dated. Of the millions of records in each table, only a subset of ~50k are current records. The tables are internally managed by a commercial product that will throw a huge fit if I add indexes or make alterations to its tables in any way. What are my options for speeding up access to these tables?

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  • how to effectively modify index

    - by daedlus
    Hej everyone, problem : I am looking for right way to convert an index from clustered to non-clustered Description : I have a table as below in sybase db: dbo.UserLog Id | UserId |time | .... This is hash partitioned using UserId. Currently it has 2 indexes UserId : non-clustered time: clustered This table has about 20 million records. I now want to make UserId as clustered index and time as non-clustered index. is it correct to user alter index to change from clustered to non-clustered or do i drop index and recreate. does the fact that userId is used in hash partitioning have any implications to this? To me alter seems way to go but I have not yet tried this.

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  • When NOT to use Cassandra?

    - by JimJim
    There has been a lot of talk related to Cassandra lately. Twitter, Digg, Facebook, etc all use it. When does it make sense to: use Cassandra, not use Cassandra, and use a RDMS instead of Cassandra.

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  • B- trees, B+ trees difference

    - by dta
    In a B- tree you can store both keys and data in the internal/leaf nodes. But in a B+ tree you have to store the data in the leaf nodes only. Is there any advantage of doing the above in a B+ tree? Why not use B- trees instead of B+ trees everywhere? As intuitively they seem much faster. I mean why do you need to replicate the key(data) in a B+ tree?

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  • Empty data problem - data layer or DAL?

    - by luckyluke
    I designing the new App now and giving the following question a lot of thought. I consume a lot of data from the warehouse, and the entities have a lot of dictionary based values (currency, country, tax-whatever data) - dimensions. I cannot be assured though that there won't be nulls. So I am thinking: create an empty value in each of teh dictionaries with special keyID - ie. -1 do the ETL (ssis) do the correct stuff and insert -1 where it needs to let the DAL know that -1 is special (Static const whatever thing) don't care in the code to check for nullness of dictionary entries because THEY will always have a value But maybe I should be thinking: import data AS IS let the DAL do the thinking using empty record Pattern still don't care in the code because business layer will have what it needs from DAL. I think is more of a approach thing but maybe i am missing something important here... What do You think? Am i clear? Please don't confuse it with empty record problem. I do use emptyCustomer think all the time and other defaults too.

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  • ASP.NET MVC 2: How to write this Linq SQL as a Dynamic Query (using strings)?

    - by Dr. Zim
    Skip to the "specific question" as needed. Some background: The scenario: I have a set of products with a "drill down" filter (Query Object) populated with DDLs. Each progressive DDL selection will further limit the product list as well as what options are left for the DDLs. For example, selecting a hammer out of tools limits the Product Sizes to only show hammer sizes. Current setup: I created a query object, sent it to a repository, and fed each option to a SQL "table valued function" where null values represent "get all products". I consider this a good effort, but far from DDD acceptable. I want to avoid any "programming" in SQL, hopefully doing everything with a repository. Comments on this topic would be appreciated. Specific question: How would I rewrite this query as a Dynamic Query? A link to something like 101 Linq Examples would be fantastic, but with a Dynamic Query scope. I really want to pass to this method the field in quotes "" for which I want a list of options and how many products have that option. (from p in db.Products group p by p.ProductSize into g select new Category { PropertyType = g.Key, Count = g.Count() }).Distinct(); Each DDL option will have "The selection (21)" where the (21) is the quantity of products that have that attribute. Upon selecting an option, all other remaining DDLs will update with the remaining options and counts.

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