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  • The best practice to setup hierarchy data

    - by eski
    I'm trying to figure out the best practice to setup hierarchy data that i take from a database into some contoller that would show the hierachy. Basicly this would look like a normal tree but when you press the items that are under "chapters" you get a link to another page. I have these tables and this is the way they are connected Period Courses Subjects Chapters I select Period from a DropDownBox and then i want all the courses in that period to line up. Under each course would be the subject and under them are the chapers, typical hierarchy. The tables are linked together with refrences to each other in linear way. I have tried to use treeview to show this, but dont understand how to do it. I though i could use <ul><il> tags and do it at runtime. Reapeter or datalist, possible ? Is it better to do this with databinding in XAML or in code ?

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  • Performing Inner Join for Multiple Columns in the Same Table

    - by frankiefrank
    I have a scenario which I'm a bit stuck on. Let's say I have a survey about colors, and I have one table for the color data, and another for people's answers. tbColors color_code , color_name 1 , 'blue' 2 , 'green' 3 , 'yellow' 4 , 'red' tbAnswers answer_id , favorite_color , least_favorite_color , color_im_allergic_to 1 , 1 , 2 3 2 , 3 , 1 4 3 , 1 , 1 2 4 , 2 , 3 4 For display I want to write a SELECT that presents the answers table but using the color_name column from tbColors. I understand the "most stupid" way to do it naming tbColors three times in the FROM section, using a different alias for each column to replace. How would a non-stupid way look?

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  • linq .net with dynamically generated controls

    - by Stuart
    This is a very strange problem and i really dont have a clue whats causing it. What is supposed to happen is that a call to the BLL then DAL returns some data via a linq SPROC call. The retunred IMultipleResults object is processed and all results stored in a hashtable. The hashtable is stored in session and then the UI layer uses these results to dynamically generate some gridviews. Easy you would think. But if i run the code i dont get any gridviews. If i take out the call to the BLL and DAL the gridviews appear but with nothing in them? Why is it the page renders correctly when i take out the call to get the data? Thanks.

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  • LINQ - if condition

    - by ile
    In code, the commented part is what I need to solve... Is there a way to write such query in LINQ? I need this because I will need sorting based on Status. var result = ( from contact in db.Contacts join user in db.Users on contact.CreatedByUserID equals user.UserID join deal in db.Deals on contact.ContactID equals deal.ContactID into deals orderby contact.ContactID descending select new ContactListView { ContactID = contact.ContactID, FirstName = contact.FirstName, LastName = contact.LastName, Email = contact.Email, Deals = deals.Count(), EstValue = deals.Sum(e => e.EstValue), SalesAgent = user.FirstName + " " + user.LastName, Tasks = 7, // This is critical part if(Deals == 0) Status = "Prospect"; else Status = "Client"; // End of critical part... }) .OrderBy(filterQuery.OrderBy + " " + filterQuery.OrderType) .Where(filterQuery.Status);

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  • How to join two query in SQL (Oracle)

    - by MAHESH A SONI
    How can I join these queries? SELECT RCTDT, SUM(RCTAMOUNT), COUNT(RCTAMOUNT) FROM RECEIPTS4 WHERE RCTDT BETWEEN '01-nov-2009' AND '30-nov-2009' AND RCTTYPE='CA' AND RCTAMOUNT>0 GROUP BY RCTDT --- SELECT RCTDT, SUM(RCTAMOUNT), COUNT(RCTAMOUNT) FROM RECEIPTS4 WHERE RCTDT BETWEEN '01-nov-2009' AND '30-nov-2009' AND RCTTYPE='CQ' AND RCTAMOUNT>0 GROUP BY RCTDT

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  • how to copy from one column to another but with different format

    - by Bob
    I hv a table like this:- Item Model Remarks ----------------------------------------- A 10022009 B 10032006 C 05081997 I need to copy the info from "Model" to "Remarks" with the following format:- Item Model Remarks ----------------------------------------- A 10022009 20090210 B 10032006 20060310 C 05081997 19970805 Thanks

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  • Create a trigger on Oracle Databae that updates the field in a table when a field in onether table i

    - by GigaPr
    Hi, i have two tables Order(id, date, note) and Delivery(Id, Note, Date) I want to create a trigger that updates the date in delivery when the date is updated in Order I was thinking to do something like CREATE OR REPLACE TRIGGER your_trigger_name BEFORE UPDATE ON Order DECLARE BEGIN UPDATE Delivery set date = ??? where id = ??? END; How do i get the date and row id? thanks

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  • Is a primary key automatically an index?

    - by Lieven Cardoen
    If I run Profiler, then it suggests a lot of indexes like this one CREATE CLUSTERED INDEX [_dta_index_Users_c_9_292912115__K1] ON [dbo].[Users] ( [UserId] ASC )WITH (SORT_IN_TEMPDB = OFF, IGNORE_DUP_KEY = OFF, DROP_EXISTING = OFF, ONLINE = OFF) ON [PRIMARY] UserId is the primary key of the table Users. Is this index better than the one already in the table: ALTER TABLE [dbo].[Users] ADD CONSTRAINT [PK_Users] PRIMARY KEY NONCLUSTERED ( [UserId] ASC )WITH (PAD_INDEX = OFF, STATISTICS_NORECOMPUTE = OFF, SORT_IN_TEMPDB = OFF, IGNORE_DUP_KEY = OFF, ONLINE = OFF, ALLOW_ROW_LOCKS = ON, ALLOW_PAGE_LOCKS = ON) ON [PRIMARY]

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  • MySQL - accessing a table sum and compare to another table?

    - by assignment_operator
    This is for a homework assignment. I just plain don't understand how to do it. The instructions for this particular question is: List the branch name for all branches that have at least one book that has at least 4 copies on hand. Where the tables in question are: Branch: BranchName | BranchId Henry Downtown | 1 16 Riverview | 2 Henry On The Hill | 3 Inventory: BookId | BranchId | OnHand 1 | 1 | 2 2 | 3 | 4 3 | 1 | 8 4 | 3 | 1 5 | 1 | 2 6 | 2 | 3 From what I understand, I can get the number of OnHand per branch name with: SELECT BranchName, SUM(OnHand) FROM Branch B, Inventory I WHERE B.BranchId = I.BranchId GROUP BY BranchName; but I don't get how I'd do the comparison between the sum of OnHand per branch and 4. Any help would be appreciated, guys!

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  • multi-row update table with "different" data

    - by kralco626
    I think the best way to explain this is to tell you what I have. I have two tables A and B both have columns Field1 and Field2. However Field 2 is not populated in table B I want to populate field 2 of table B with field 2 of table A where field 1 of table A matches field 1 of table B. something like update tableB set Field2 = tableA.field2 where tablea.field1 = tableb.field1. The reason this may seem so odd and obscure is that I'm tyring to do an inital data load form an old database to a new one. please let me know if you need clarification

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  • Is this use of PreparedStatements in a Thread in JAVA correct?

    - by Gormcito
    I'm still an undergrad just working part time and so I'm always trying to be aware of better ways to do things. Recently I had to write a program for work where the main thread of the program would spawn "task" threads (for each db "task" record) which would perform some operations and then update the record to say that it has finished. Therefore I needed a database connection object and PreparedStatement objects in or available to the ThreadedTask objects. This is roughly what I ended up writing, is creating a PreparedStatement object per thread a waste? I thought static PreparedStatments could create race conditions... Thread A stmt.setInt(); Thread B stmt.setInt(); Thread A stmt.execute(); Thread B stmt.execute(); A´s version never gets execed.. Is this thread safe? Is creating and destroying PreparedStatement objects that are always the same not a huge waste? public class ThreadedTask implements runnable { private final PreparedStatement taskCompleteStmt; public ThreadedTask() { //... taskCompleteStmt = Main.db.prepareStatement(...); } public run() { //... taskCompleteStmt.executeUpdate(); } } public class Main { public static final db = DriverManager.getConnection(...); }

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  • Storing Data as XML BLOB

    - by NBrowne
    Hi, At the moment the team i am working with is looking into the possibility of storing data which is entered by users from a series of input wizard screens as an XML blob in the database. the main reason for this being that i would like to write the input wizard as a component which can be brought into a number of systems without having to bring with it a large table structure. To try to clarify if the wizard has 100 input fields (for example) then if i go with the normal relational db structure then their will be a 1 to 1 relationship so will have 100 columns in database. So to get this working in another system will have to bring the tables,strore procedures etc into the new system. I have a number of reservations about this but i would like peoples opinions?? thanks

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  • Does UNIQ constraint mean also an index on that field(s)?

    - by Gremo
    As title, should i defined a separate index on email column (for searching purposes) or the index is "automatically" added along with UNIQ_EMAIL_USER constraint? CREATE TABLE IF NOT EXISTS `customer` ( `id` int(11) NOT NULL AUTO_INCREMENT, `user_id` int(11) NOT NULL, `first` varchar(255) NOT NULL, `last` varchar(255) NOT NULL, `slug` varchar(255) NOT NULL, `email` varchar(255) NOT NULL, `created_at` datetime NOT NULL, `updated_at` datetime NOT NULL, PRIMARY KEY (`id`), UNIQUE KEY `UNIQ_SLUG` (`slug`), UNIQUE KEY `UNIQ_EMAIL_USER` (`email`,`user_id`), KEY `IDX_USER` (`user_id`) ) ENGINE=InnoDB;

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  • Help Me With This MS-Access Query

    - by yae
    I have 2 tables: "products" and "pieces" PRODUCTS idProd product price PIECES id idProdMain idProdChild quant idProdMain and idProdChild are related with the table: "products". Other considerations is that 1 product can have some pieces and 1 product can be a piece. Price product equal a sum of quantity * price of all their pieces. "Products" table contains all products (p EXAMPLE: TABLE PRODUCTS (idProd - product - price) 1 - Computer - 300€ 2 - Hard Disk - 100€ 3 - Memory - 50€ 4 - Main Board - 100€ 5 - Software - 50€ 6 - CDroms 100 un. - 30€ TABLE PIECES (id - idProdMain - idProdChild - Quant.) 1 - 1 - 2 - 1 2 - 1 - 3 - 2 3 - 1 - 4 - 1 WHAT I NEED? I need update the price of the main product when the price of the product child (piece) is changed. Following the previous example, if I change the price of this product "memory" (is a piece too) to 60€, then product "Computer" will must change his price to 320€ How I can do it using queries? Already I have tried this to obtain the price of the main product, but not runs. This query not returns any value: SELECT Sum(products.price*pieces.quant) AS Expr1 FROM products LEFT JOIN pieces ON (products.idProd = pieces.idProdChild) AND (products.idProd = pieces.idProdChild) AND (products.idProd = pieces.idProdMain) WHERE (((pieces.idProdMain)=5)); MORE INFO The table "products" contains all the products to sell that it is in the shop. The table "pieces" is to take a control of the compound products. To know those who are the products children. For example of compound product: computers. This product is composed by other products (motherboard, hard disk, memory, cpu, etc.)

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  • MySQL "NULL" questions

    - by Camran
    I have a table with several columns. Sometimes some of these column fields may be empty (ie. I won't use them in some cases). My questions: Would it be smart to set them to NULL in phpmyadmin? What does the "NULL" property actually do? Would I gain anything at all by setting them to NULL? Is it possible to use a NULL field the same way even though it is set to null?

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  • how to insert excel-2003 values into SQL2005 database?

    - by vas
    Are there any rules / guidelines for DATA form XLS sheets to be inserted into SQL- DB? I have a group of Excel templates in 2005.Each concerned cell in Excel template is named. When Excel sheets are filled, saved and submitted , the values are transferred to the database. Excel sheets have names for various cells that are to b e filled by the user EX:- for the total number of Milk in the Beginning a given month , there is an Excel Cell Named "mtsBpiPTR180" Total number of Milk in the Ending a given month , there is an Excel Cell Named **"mtsEpiPTR180"** I have added 2 new cells , named "mtsBpiPTR180PA" and "mtsEpiPTR180PA". Now I try to upload the Excel File. But I AM UNABLE TO SEE MY FILLED DATA FROM "mtsBpiPTR180PA" and "mtsEpiPTR180PA" INTO THE RELATED DB/table. The above 2 are empty in the DB/table, even though I have filled them and successfully filed the Excel sheets Now no matter how much I search in the DB/stored procs i am unable to the ACTUAL STORED PROC or how the Data form Excel sheet is inserted into Tables WHERE DATA FROM XLS is inserted into DB. So was wondering:- Are there any rules / guidelines for DATA form XLS sheets to be inserted into SQL- DB?

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  • interesting vba/access question: color rectangles according to data

    - by every_answer_gets_a_point
    i have a datasheet that looks like this: ID name_ 1 2 3 4 1 name1 x 0 0 0 2 name2 0 x 0 0 3 name3 0 0 x 0 4 name4 0 0 0 x i have rectangles on a report that correspond to this datasheet. when the report opens, i need the rectangles to be colored RED according to the data. for example where name1 and there is an x in the 1 column, i need the specific rectangle corresponding to this (name1, 1) to be colored red. here is the result that i will need: x x x x (where x is a rectangle that is RED) perhaps the best place to place this code would be in ON LOAD event of the report, but i am not sure exactly. can you please suggest to me some code that would turn the specified rectangles RED according to the data?

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  • Monitoring Log Shipped Databases

    - by Registered User
    I need a consistent way to monitor databases that are read-only log shipped copies of production databases. In the past I have relied on the following methods: Set the job that restores logs to the database kick off another job as its last step. Set the job that restores logs to the database to insert a record in a control table as its last step. Query the msdb database to check the status of the job that restores logs to the database. Query a control table inside the database itself that gets a value immediately before transaction logs are backed up. Query MAX values from tables inside the database to see if it has recent changes. Although the above methods work, they can't be implemented for every log shipped database that I query for various reasons. What is the best method for monitoring the "data as of" date for a log shipped database?

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  • 2-column table with two foreign keys. Performance/design question.

    - by Emanuel
    Hello everyone! I recently ran into a quite complex problem and after looking around a lot I couldn't find a solution to it. I've found answers to my questions many times before on stackoverflow.com, so I decided to post here. So I'm making a user/group managment system for a web-based project, and I'm storing all related data into a postgreSQL database. This system relies on three tables: USERS GROUPS GROUP_USERS The two first tables simply define all the users and all the groups on the site, and the last table, GROUP_USERS, stores the groups every user is part of. It only has two columns: USER_ID GROUP_ID Since every user can be a member of several groups, I decided to make a separate table for this purpose, rather than storing a comma separated column in the USERS-table. Now, both columns are foreign keys, and I want to make them both primary keys as well, this since each combination of USER_ID and GROUP_ID has to be unique, and if I give them the constraint UNIQUE pgAdmin tells me that each table should have at least one Primary key. But now I am stuck with what seems to be a lot of indexes and relations to a very small table only containing numbers. In the end, I want this table to be as fast as possible, even if containing tens of thousands of rows. Size on disk shouldn't be a problem since its just all numbers anyway, but it feels quite stupid to have a full-sized index refering to a smaller table. Should I stick with my current solution, store comma-separated values in a column in the USERS-table or is there any other solution I should be aware of. PS. I don't want to use an array-column, even if they are supported by postgreSQL. I want to be as generic as possible so I can switch database later on, if necessary. EDIT: I other words, will using a compound primary key and two foreign keys in one table with only two columns have a negative impact on performance rather than the opposite due to the size of the generated index? Thank you!

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