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  • Fastest way to do mass update

    - by user356004
    Let’s say you have a table with about 5 million records and a nvarchar(max) column populated with large text data. You want to set this column to NULL if SomeOtherColumn = 1 in fastest possible way. The brute force UPDATE does not work very well here because it will create large implicit transaction and take forever. Doing updates in small batches of 50K records at a time works but it’s still taking 47 hrs to complete on beefy 32 core/64GB server. Is there any way to do this update faster? Are there any magic query hints/table options that scarifies something else (like concurrency) in exchange of speed? NOTE: Creating temp table or temp column is not an option because this nvarchar(max) column involves lots of data and so consumes lots of space!

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  • optimizing operating systems to provide maximum informix performance.

    - by Frank Developer
    Are there any Informix-specific guides for optimizing any operating system where an ifx engine is running? For example, in Linux, strip-down to a bare minimum all unecessary binaries, daemons, utilities, tune kernel parameters, optimize raw and cooked devices (hdparm). Someday, maybe, informix can create its own proprietary PICK-like O/S. The general idea is for the OS where ifx sits on have the smallest footprint, lowest overhead impact on ifx and provide optimized ifx performance.

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  • Designing a game database

    - by Ronald
    I'm trying to design a database to record game histories for a game I'm working on. I have 3 different tables: users, gamehistories, and gamescores. Columns for tables: users: uid, displayname, email gamehistories: gid, pubID, start (datetime), end (datetime) gamescores: gid, uid, score I am trying to produce the following result set given a userID (uid): Opponent's displayname, my score, opponent's score, duration Any ideas? Is my design ok? How can I query these tables to get game histories for a given uid?

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  • Membership provider stopped working on using Membership Provider in ASP.Net MVC

    - by Michael Meadows
    I have a production ASP.Net MVC application that has been using the membership service. It has worked fine, up until today. Nothing has changed on the server, but I now have this error: System.Configuration.Provider.ProviderException: The 'System.Web.Security.SqlMembershipProvider' requires a database schema compatible with schema version '1'. However, the current database schema is not compatible with this version. You may need to either install a compatible schema with aspnet_regsql.exe (available in the framework installation directory), or upgrade the provider to a newer version. I checked the asp_schemaversions table, and it looks fine. Please any help would be appreciated.

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  • Convert var to DataTable

    - by cre-johnny07
    I have var item which I want to convert in to a Datatable. How can I do this. var items = (from myObj in this.Context.Orders group myObj by myObj.OrderDate.ToString("yyyy-mm") into ymGroup select new { Date = ymGroup.Key, Start = ymGroup.Min(c => c.OrderId), End = ymGroup.Max(c => c.OrderId) }); I need to convert the items into a DataTable. I don't want to use any foreach loop. How can I do this.?

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  • Sync Framework, Local Database Cache, and my DAL

    - by Refracted Paladin
    I am creating a WPF app that needs to allow users to work in a temporary disconnected state and I plan to use a Local Database Cache. My question's are about my data access layer. Do you typically create the whole DAL to point at the Cache or both and create a switching mechanism? Is Entity's a good way to go for my DAL against the Cache? I am used to L2S but my understanding is that I can't use that against SQLCE, correct? Thanks! PS: Any good resources out there for using Sync, Linq, and WPF? Tutorials, videos, etc?

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  • One check constraint or multiple check constraints?

    - by RenderIn
    Any suggestions on whether fewer check constraints are better, or more? How should they be grouped if at all? Suppose I have 3 columns which are VARCHAR2(1 BYTE), each of which is a 'T'/'F' flag. I want to add a check constraint to each column specifying that only characters IN ('T', 'F') are allowed. Should I have 3 separate check constraints, one for each column: COL_1 IN ('T', 'F') COL_2 IN ('T', 'F') COL_3 IN ('T', 'F') Or a single check constraint: COL_1 IN ('T', 'F') AND COL_2 IN ('T', 'F') AND COL_3 IN ('T', 'F') My thoughts are it is best to keep these three separate, as the columns are logically unrelated to each other. The only case I would have a check constraint that examines more than one column is if there was some relationship between the value in one and the value in another, e.g.: (PARENT_CNT > 0 AND PRIMARY_PARENT IS NOT NULL) OR (PARENT_CNT = 0 AND PRIMARY_PARENT IS NULL)

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  • How To Call a .Net Web Service with Kerberos (or NTML) authentication from Oracle PL/SQL

    - by Niklas
    Hi all, We are calling a .Net webservice from our oracle database using the sys.utl_http package and we have also tested with the sys.utl_dbws package, this works fine when there is no security on the .Net webservice. However, we would like to use sys.utl_http or sys.utl_dbws to call a .Net webservice with Kerberos- or NTLM authentication (we're currently struggling with this). Any hints on how to solve this, is it possible? Thanks//Niklas

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  • Use Any() and Count() in Dynamic Linq

    - by ArpanDesai
    I am trying to write dynamic Linq Library query to fetch record on condition, Customers who has order count is greater than 3 and ShipVia field equal 2. Below is my syntax what i have tried. object[] objArr = new object[10]; objArr[0] = 1; IQueryable<Customer> test = db.Customers.Where("Orders.Count(ShipVia=2)", objArr); and IQueryable<Customer> test = db.Customers.Where("Orders.Any(ShipVia=2).Count()", objArr); But both are not working. In second query Any returns true so it won't work with Count. Suggest me a way to implement this.

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  • Removing an Entity from an EntitySet during Iteration...

    - by Gregorius
    I've got this code... seems nice and elegant, but apparently the framework don't like it when i mess with a collection while iterating through it: foreach (KitGroup kg in ProductToTransfer.KitGroups) { // Remove kit groups that have been excluded by the user if (inKitGroupExclusions != null && inKitGroupExclusions.Contains(kg.KitGroupID)) ProductToTransfer.KitGroups.Remove(kg); else { // Loop through the kit items and do other stuff //... } } The error it throws when it iterates to the 2nd object in the collection is: "EntitySet was modified during enumeration" I know i could create a new collection of KitGroup objects (or even just IDs) that i want to remove, and then another loop afterwards to loop through these, and remove them from the collection, but this just seems like unnecessary extra code... can anybody suggest a more elegant way of achieving the same thing? Cheers Greg

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  • How can I write query to output this format in SQLite?

    - by GivenPie
    I would like to output in this format: e.EE_id e.FNAME e.LNAME SUPer_id s.FNAME s.LNAME --- --------- -------------- --- ------------- ------------------- 1 Ziqiao Li 2 Charlie Li 1 Ziqiao Li 3 George Pee 2 Charlie Li 4 Jason Dee 2 Charlie Li 5 Petey Wee 2 Charlie Li From this table created : I need to display the Primary key and foreign key in the same results while displaying the foreign key name values for the primary key names. Create table Employees( ee_id integer, fname varchar(20), lname varchar(20), super_id integer, Constraint emp_Pk Primary Key (ee_id), Constraint emp_Fk Foreign Key (super_id) references employees (ee_id) ); INSERT INTO Employees VALUES(1,'Charlie','Li',null); INSERT INTO Employees VALUES(2,'Ziqiao','Lee',1); INSERT INTO Employees VALUES(3,'George','Pee',2); INSERT INTO Employees VALUES(4,'Jason','Dee',2); INSERT INTO Employees VALUES(5,'Petey','Wee',2); Select ee_id, fname, lname, super_id from employees; ee_id fname lname super_id ---------- ---------- ---------- ---------- 1 Charlie Li 2 Ziqiao Lee 1 3 George Pee 2 4 Jason Dee 2 5 Petey Wee 2 Do I need to create a view?

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  • Using/Calling a cursor in another cursor - PL/Sql

    - by Cindy
    I have a function with a cursor which returns an ID. I need to get some fields in another cursor using this ID result from the first cursor. So my first cursor is: CREATE OR REPLACE function get_id(id number) CURSOR child_id IS SELECT table1_id FROM table1,child WHERE child_id = id AND table1_id = child_chld_id; Ideally my second cursor should be: cursor grandchild_id is select table1_id from table1,child where child_id = (return value of id from cursor child_id) and table1_id = child_chld_id; How do I do this?

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  • Another rookie question; How to implement Count() here?

    - by Camran
    I have this query: SELECT mt.*, fordon.*, boende.*, elektronik.*, business.*, hem_inredning.*, hobby.* FROM classified mt LEFT JOIN fordon ON fordon.classified_id = mt.classified_id LEFT JOIN boende ON boende.classified_id = mt.classified_id LEFT JOIN elektronik ON elektronik.classified_id = mt.classified_id LEFT JOIN business ON business.classified_id = mt.classified_id LEFT JOIN hem_inredning ON hem_inredning.classified_id = mt.classified_id LEFT JOIN hobby ON hobby.classified_id = mt.classified_id ORDER BY modify_date DESC I need to implement a count here, to just count all rows in combination with the JOINS you see. How should I do this? SELECT COUNT(mt.*, fordon.* etc) FROM ? // This method wont work Thanks

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  • Database warehouse design: fact tables and dimension tables

    - by morpheous
    I am building a poor man's data warehouse using a RDBMS. I have identified the key 'attributes' to be recorded as: sex (true/false) demographic classification (A, B, C etc) place of birth date of birth weight (recorded daily): The fact that is being recorded My requirements are to be able to run 'OLAP' queries that allow me to: 'slice and dice' 'drill up/down' the data and generally, be able to view the data from different perspectives After reading up on this topic area, the general consensus seems to be that this is best implemented using dimension tables rather than normalized tables. Assuming that this assertion is true (i.e. the solution is best implemented using fact and dimension tables), I would like to seek some help in the design of these tables. 'Natural' (or obvious) dimensions are: Date dimension Geographical location Which have hierarchical attributes. However, I am struggling with how to model the following fields: sex (true/false) demographic classification (A, B, C etc) The reason I am struggling with these fields is that: They have no obvious hierarchical attributes which will aid aggregation (AFAIA) - which suggest they should be in a fact table They are mostly static or very rarely change - which suggests they should be in a dimension table. Maybe the heuristic I am using above is too crude? I will give some examples on the type of analysis I would like to carryout on the data warehouse - hopefully that will clarify things further. I would like to aggregate and analyze the data by sex and demographic classification - e.g. answer questions like: How does male and female weights compare across different demographic classifications? Which demographic classification (male AND female), show the most increase in weight this quarter. etc. Can anyone clarify whether sex and demographic classification are part of the fact table, or whether they are (as I suspect) dimension tables.? Also assuming they are dimension tables, could someone elaborate on the table structures (i.e. the fields)? The 'obvious' schema: CREATE TABLE sex_type (is_male int); CREATE TABLE demographic_category (id int, name varchar(4)); may not be the correct one.

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  • WebSharingAppDemo-CEProviderEndToEnd Queries peerProvider for NeedsScope before any files are batche

    - by Don
    I'm building an application based on the WebSharingAppDemo-CEProviderEndToEnd. When I deploy the server portion on a server, the code gives the error "The path is not valid. Check the directory for the database." during the call to NeedsScope() in the CeWebSyncService.cs file. Obviously the server can't access the client's sdf but what is supposed to happen to make this work? The app uses batching to send the data and the batches have to be marshalled across to the temp directory but this problem is occurring before any files have been batched over. There is nothing for the server to look at to determine whether the peerProivider needs scope. What am I missing? public bool NeedsScope() { Log("NeedsSchema: {0}", this.peerProvider.Connection.ConnectionString); SqlCeSyncScopeProvisioning prov = new SqlCeSyncScopeProvisioning(); return !prov.ScopeExists(this.peerProvider.ScopeName, (SqlCeConnection)this.peerProvider.Connection); }

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  • What purpose does “using” serve when used the following way

    - by user287745
    What purpose does “using” serve when used the following way:- ONE EXAMPLE IS THIS, (AN ANSWERER- @richj - USED THIS CODE TO SOLVE A PROBLEM THANKS) private Method(SqlConnection connection) { using (SqlTransaction transaction = connection.BeginTransaction()) { try { // Use the connection here .... transaction.Commit(); } catch { transaction.Rollback(); throw; } } } OTHER EXAMPLE I FOUND WHILE READING ON MICROSOFT SUPPORT SITE public static void ShowSqlException(string connectionString) { string queryString = "EXECUTE NonExistantStoredProcedure"; StringBuilder errorMessages = new StringBuilder(); using (SqlConnection connection = new SqlConnection(connectionString)) { SqlCommand command = new SqlCommand(queryString, connection); try { command.Connection.Open(); command.ExecuteNonQuery(); } catch (SqlException ex) { for (int i = 0; i < ex.Errors.Count; i++) { errorMessages.Append("Index #" + i + "\n" + "Message: " + ex.Errors[i].Message + "\n" + "LineNumber: " + ex.Errors[i].LineNumber + "\n" + "Source: " + ex.Errors[i].Source + "\n" + "Procedure: " + ex.Errors[i].Procedure + "\n"); } Console.WriteLine(errorMessages.ToString()); } } } I AM doing at top of page as using system.data.sqlclient etc so why this using thing in middle of code, What if I omit it (I know the code will work) but what functionality will I be losing

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  • Visual Studio Database Edition (DataDude) error numbers?

    - by E. Wilson
    Is there a list somewhere of all the output message numbers from VSDB Depolyments (VsDbCmd.exe from Visual Studio Database Edition)? For example, TSD01268 = normal action successful TSD01236 = missing referenced file (fail) TSD01237 = missing script file (fail) TSD00566 = deployment script generated to _ The way we are wrapping calls to VsDbCmd.exe means catching the %errorlevel% isn't always reliable so we also like to check the output for certain error conditions. It would be nice to see a consolidated list somewhere.

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  • Firebird sequence-backed ID shorthand

    - by pilcrow
    What do others do to simplify the creation of simple, serial surrogate keys populated by a SEQUENCE (a.k.a. GENERATOR) in Firebird = 2.1? I finc the process comparatively arduous: For example, in PostgreSQL, I simply type: pg> CREATE TABLE tbl ( > id SERIAL NOT NULL PRIMARY KEY, > ... In MySQL, I simply type: my> CREATE TABLE tbl ( > id INT NOT NULL PRIMARY KEY AUTO_INCREMENT, > ... But in Firebird I type: fb> CREATE TABLE tbl ( > id BIGINT NOT NULL PRIMARY KEY, > ... fb> CREATE SEQUENCE tbl_id_seq; fb> SET TERM !!; > CREATE TRIGGER tbl_id_trg FOR tbl > ACTIVE BEFORE INSERT POSITION 0 > AS > BEGIN > IF ((new.id IS NULL) OR (new.id <= 0)) THEN > BEGIN > new.id = GEN_ID(tbl_id_seq, 1); > END > END !! > SET TERM ; !! ... and I get pretty bored by the time I reach trigger definition. However, I routinely make SEQUENCE-backed ID fields for temporary, developement and throw-away tables. What do others do to simplify this? Work with an IDE? Run a pre-processing, in-house perl script over the DDL file? Etc.

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  • Tracking Down a Stack Overflow in My Linq Query

    - by Lazarus
    I've written the following Linq query: IQueryable<ISOCountry> entries = (from e in competitorRepository.Competitors join c in countries on e.countryID equals c.isoCountryCode where !e.Deleted orderby c.isoCountryCode select new ISOCountry() { isoCountryCode = e.countryID, Name = c.Name }).Distinct(); The objective is to retrieve a list of the countries represented by the competitors found in the system. 'countries' is an array of ISOCountry objects explicitly created and returned as an IQueryable (ISOCountry is an object of just two strings, isoCountryCode and Name). Competitors is an IQueryable which is bound to a database table through Linq2SQL though I created the objects from scratch and used the Linq data mapping decorators. For some reason this query causes a stack overflow when the system tries to execute it. I've no idea why, I've tried trimming the Distinct, returning an anonymous type of the two strings, using 'select c', all result in the overflow. The e.CountryID value is populated from a dropdown that was in itself populated from the IQueryable so I know the values are appropriate but even if not I wouldn't expect a stack overflow. Can anyone explain why the overflow is occurring or give good speculation as to why it might be happening? EDIT As requested, code for ISOCountry: public class ISOCountry { public string isoCountryCode { get; set; } public string Name { get; set; } }

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  • Implementing database redundancy with sharded tables

    - by ensnare
    We're looking to implement load balancing by horizontally sharding our tables across a cluster of servers. What are some options to implement live redundancy should a server fail? Would it be effective to do (2) INSERTS instead of one ... one to the target shard, and another to a secondary shard which could be accessed should the primary shard not respond? Or is there a better way? Thanks.

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  • UTF-8 Database Problem

    - by Danten
    I've a MySQL table that has a UTF-8 charset and upon attempting to insert to it via a PHP form, the database gives the following error: PDOStatement::execute(): SQLSTATE[HY000]: General error: 1366 Incorrect string value: '\xE8' for column ... The character in question is 'è', yet I don't see why this should be a problem considering the database and table are set to UTF-8.

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  • DATE lookup table (1990/01/01:2041/12/31)

    - by Frank Developer
    I use a DATE's master table for looking up dates and other values in order to control several events, intervals and calculations within my app. It has rows for every single day begining from 01/01/1990 to 12/31/2041. One example of how I use this lookup table is: A customer pawned an item on: JAN-31-2010 Customer returns on MAY-03-2010 to make an interest pymt to avoid forfeiting the item. If he pays 1 months interest, the employee enters a "1" and the app looks-up the pawn date (JAN-31-2010) in date master table and puts FEB-28-2010 in the applicable interest pymt date. FEB-28 is returned because FEB-31's dont exist! If 2010 were a leap-year, it would've returned FEB-29. If customer pays 2 months, MAR-31-2010 is returned. 3 months, APR-30... If customer pays more than 3 months or another period not covered by the date lookup table, employee manually enters the applicable date. Here's what the date lookup table looks like: { Copyright 1990:2010, Frank Computer, Inc. } { DBDATE=YMD4- (correctly sorted for faster lookup) } CREATE TABLE datemast ( dm_lookup DATE, {lookup col used for obtaining values below} dm_workday CHAR(2), {NULL=Normal Working Date,} {NW=National Holiday(Working Date),} {NN=National Holiday(Non-Working Date),} {NH=National Holiday(Half-Day Working Date),} {CN=Company Proclamated(Non-Working Date),} {CH=Company Proclamated(Half-Day Working Date)} {several other columns omitted} dm_description CHAR(30), {NULL, holiday description or any comments} dm_day_num SMALLINT, {number of elapsed days since begining of year} dm_days_left SMALLINT, (number of remaining days until end of year} dm_plus1_mth DATE, {plus 1 month from lookup date} dm_plus2_mth DATE, {plus 2 months from lookup date} dm_plus3_mth DATE, {plus 3 months from lookup date} dm_fy_begins DATE, {fiscal year begins on for lookup date} dm_fy_ends DATE, {fiscal year ends on for lookup date} dm_qtr_begins DATE, {quarter begins on for lookup date} dm_qtr_ends DATE, {quarter ends on for lookup date} dm_mth_begins DATE, {month begins on for lookup date} dm_mth_ends DATE, {month ends on for lookup date} dm_wk_begins DATE, {week begins on for lookup date} dm_wk_ends DATE, {week ends on for lookup date} {several other columns omitted} ) IN "S:\PAWNSHOP.DBS\DATEMAST"; Is there a better way of doing this or is it a cool method?

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  • Synchronize a client database with the central database

    - by Pavan Kumar
    I need to update existing data or insert new data from client database say DB1 into central database say DB2 both holding same schema and both databases reside in same machine. The updates are not biderectional. I just want changes to be reflected from client(DB1) to server(DB2). How do i achieve this using C# .NET ? Can anyone provide an example ?

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