Search Results

Search found 32223 results on 1289 pages for 'sql 2012'.

Page 704/1289 | < Previous Page | 700 701 702 703 704 705 706 707 708 709 710 711  | Next Page >

  • Advanced LINQ Update Statement

    - by user1902490
    I have a data base with Price_old like: Date --- Hour --- Price _____________________________ Jan 1 --- 1 --- $3.0 Jan 1 --- 2 --- $3.1 Jan 1 --- 3 --- $3.3 Jan 1 --- 4 --- $3.15 Jan 2 --- 1 --- $2.95 Jan 2 --- 2 --- $3.2 Jan 2 --- 3 --- $3.05 What I then have is a spreadsheet, with the same structure, that I will be reading into a datatable, I'll call the new datatable Price_New, note that price new may not have all the same date/hours as Price_Old So, I end up with 2 datatables, Price_Old, and Price_New, and what I need to do is update Price_old with the new prices in Price_New, and then commit those new prices to the Database. I am kinda new to LINQ (about 30 mins of experience) and would really appreciate if someone could give me a pointer or two on whether or not this is doing in LINQ and what the best method would be. Thanks

    Read the article

  • Primary key/foreign Key naming convention

    - by Jeremy
    In our dev group we have a raging debate regarding the naming convention for Primary and Foreign Keys. There's basically two schools of thought in our group: 1) Primary Table (Employee) Primary Key is called ID Foreign table (Event) Foreign key is called EmployeeID 2) Primary Table (Employee) Primary Key is called EmployeeID Foreign table (Event) Foreign key is called EmployeeID I prefer not to duplicate the name of the table in any of the columns (So I prefer option 1 above). Conceptually, it is consisted with a lot of the recommended practices in other languages, where you don't use the name of the object in its property names. I think that naming the foreign key EmployeeID (or Employee_ID might be better) tells the reader that it is the ID column of the Employee Table. Some others prefer option 2 where you name the primary key prefixed with the table name so that the column name is the same throughout the database. I see that point, but you now can not visually distinguish a primary key from a foreign key. Also, I think it's redundant to have the table name in the column name, because if you think of the table as an entity and a column as a property or attribute of that entity, you think of it as the ID attribute of the Employee, not the EmployeeID attribute of an employee. I don't go an ask my coworker what his PersonAge or PersonGender is. I ask him what his Age is. So like I said, it's a raging debate and we go on and on and on about it. I'm interested to get some new perspective.

    Read the article

  • Postgresql Altering Table

    - by Jahn
    Is it possible to alter a table to add a new column and make that column a foreign key to another table in a single command in Postgresql? "alter table x add column y id references z(id)" doesn't seem to work as I had hoped.

    Read the article

  • Implementing a 1 to many relationship with SQLite

    - by Patrick
    I have the following schema implemented successfully in my application. The application connects desk unit channels to IO unit channels. The DeskUnits and IOUnits tables are basically just a list of desk/IO units and the number of channels on each. For example a desk could be 4 or 12 channel. CREATE TABLE DeskUnits (Name TEXT, NumChannels NUMERIC); CREATE TABLE IOUnits (Name TEXT, NumChannels NUMERIC); CREATE TABLE RoutingTable (DeskUnitName TEXT, DeskUnitChannel NUMERIC, IOUnitName TEXT, IOUnitChannel NUMERIC); The RoutingTable 'table' then connects each DeskUnit channel to an IOUnit channel. For example the DeskUnit called "Desk1" channel 1 may route to IOunit name "IOUnit1" channel 2, etc. So far I hope this is pretty straightforward and understandable. The problem is, however, this is a strictly 1 to 1 relationship. Any DeskUnit channel can route to only 1 IOUnit channel. Now, I need to implement a 1 to many relationship. Where any DeskUnit channel can connect to multiple IOUnit channels. I realise I may have to rearrange the tables completely, but I am not sure the best way to go about this. I am fairly new to SQLite and databases in general so any help would be appreciated. Thanks Patrick

    Read the article

  • Linq2Sql Best Practices

    - by this. __curious_geek
    I'm recently migrating to Linq2Sql and all my future projects will be using Linq2Sql. Having said that, I researched a lot on how to properly plug-in Linq2Sql in application design. what to put at what layer ? How do you design your repositories and business layer services ? Should I use DTOs over Linq2Sql entities on interaction layer ? what things should I be careful about ? what problems did you face ? I did not find any rock-solid material that really talked about one single thing and everyone have their own opinions. I'm looking forward to your ideas on how to integrate/use Linq2Sql in projects. My priority is maintenance[it should be maintenable and when multiple people work on same project] and scalabilty [it should have scope of evolution]. Thanks.

    Read the article

  • MSSQL in ASP.NET application getting unstable after a certain period

    - by Barslett
    Hello, I have an ASP.NET 2.0 application that I made to keep track of disruption reports about our public transport system. The architecture is pretty straight-forward; an MSSQL Express 2008 database, ADO.NET and a DataSet/DAL with a few methods to access the database. There is a set of .aspx pages for the UI in use by our dispatchers and on our public website, as well as a set of SOAP and REST webservices and an RSS feed. Everything worked just fine for more than a year, until two weeks ago. Now and then, it seems as the database enters an unstable mode, and the application starts responding something right, something wrong. The typical error is that apparently, an empty DataTable is returned to the public disruption overview or to the RSS generator. Thus, the user gets e.g. an empty GridView, but no exception is thrown AFAIK, and nothing is written to the Windows Application log. After a restart of the MSSQL Express service, the situation is back to normal. It has to be said that the situation first time appeared a few days after I made a new minor upgrade of the application. The RSS generator was slightly rewritten, and I added a WCF REST service. But the DAL and the database schema were untouched... Any hints of how we could keep the database stable? It is a bit annoying not to have a clue ;-)

    Read the article

  • any practices ,samples for ERD?

    - by just_name
    Q: I wanna any web sites , any books just for training on ERD and normalization ,, i wanna a lot of samples ,practices,and case studies with recommended answers, to strength myself in database design.and avoid the poor data base design i made . note:i don't need books to explain the concepts , what i need is practices ,examples,case studies with recommended answers. Thanks in advance.

    Read the article

  • How to select all parent objects into DataContext using single LINQ query ?

    - by too
    I am looking for an answer to a specific problem of fetching whole LINQ object hierarchy using single SELECT. At first I was trying to fill as much LINQ objects as possible using LoadOptions, but AFAIK this method allows only single table to be linked in one query using LoadWith. So I have invented a solution to forcibly set all parent objects of entity which of list is to be fetched, although there is a problem of multiple SELECTS going to database - a single query results in two SELECTS with the same parameters in the same LINQ context. For this question I have simplified this query to popular invoice example: public static class Extensions { public static IEnumerable<T> ForEach<T>(this IEnumerable<T> collection, Action<T> func) { foreach(var c in collection) { func(c); } return collection; } } public IEnumerable<Entry> GetResults(AppDataContext context, int CustomerId) { return ( from entry in context.Entries join invoice in context.Invoices on entry.EntryInvoiceId equals invoice.InvoiceId join period in context.Periods on invoice.InvoicePeriodId equals period.PeriodId // LEFT OUTER JOIN, store is not mandatory join store in context.Stores on entry.EntryStoreId equals store.StoreId into condStore from store in condStore.DefaultIfEmpty() where (invoice.InvoiceCustomerId = CustomerId) orderby entry.EntryPrice descending select new { Entry = entry, Invoice = invoice, Period = period, Store = store } ).ForEach(x => { x.Entry.Invoice = Invoice; x.Invoice.Period = Period; x.Entry.Store = Store; } ).Select(x => x.Entry); } When calling this function and traversing through result set, for example: var entries = GetResults(this.Context); int withoutStore = 0; foreach(var k in entries) { if(k.EntryStoreId == null) withoutStore++; } the resulting query to database looks like (single result is fetched): SELECT [t0].[EntryId], [t0].[EntryInvoiceId], [t0].[EntryStoreId], [t0].[EntryProductId], [t0].[EntryQuantity], [t0].[EntryPrice], [t1].[InvoiceId], [t1].[InvoiceCustomerId], [t1].[InvoiceDate], [t1].[InvoicePeriodId], [t2].[PeriodId], [t2].[PeriodName], [t2].[PeriodDateFrom], [t4].[StoreId], [t4].[StoreName] FROM [Entry] AS [t0] INNER JOIN [Invoice] AS [t1] ON [t0].[EntryInvoiceId] = [t1].[InvoiceId] INNER JOIN [Period] AS [t2] ON [t2].[PeriodId] = [t1].[InvoicePeriodId] LEFT OUTER JOIN ( SELECT 1 AS [test], [t3].[StoreId], [t3].[StoreName] FROM [Store] AS [t3] ) AS [t4] ON [t4].[StoreId] = ([t0].[EntryStoreId]) WHERE (([t1].[InvoiceCustomerId]) = @p0) ORDER BY [t0].[InvoicePrice] DESC -- @p0: Input Int (Size = 0; Prec = 0; Scale = 0) [186] -- Context: SqlProvider(Sql2008) Model: AttributedMetaModel Build: 3.5.30729.1 SELECT [t0].[EntryId], [t0].[EntryInvoiceId], [t0].[EntryStoreId], [t0].[EntryProductId], [t0].[EntryQuantity], [t0].[EntryPrice], [t1].[InvoiceId], [t1].[InvoiceCustomerId], [t1].[InvoiceDate], [t1].[InvoicePeriodId], [t2].[PeriodId], [t2].[PeriodName], [t2].[PeriodDateFrom], [t4].[StoreId], [t4].[StoreName] FROM [Entry] AS [t0] INNER JOIN [Invoice] AS [t1] ON [t0].[EntryInvoiceId] = [t1].[InvoiceId] INNER JOIN [Period] AS [t2] ON [t2].[PeriodId] = [t1].[InvoicePeriodId] LEFT OUTER JOIN ( SELECT 1 AS [test], [t3].[StoreId], [t3].[StoreName] FROM [Store] AS [t3] ) AS [t4] ON [t4].[StoreId] = ([t0].[EntryStoreId]) WHERE (([t1].[InvoiceCustomerId]) = @p0) ORDER BY [t0].[InvoicePrice] DESC -- @p0: Input Int (Size = 0; Prec = 0; Scale = 0) [186] -- Context: SqlProvider(Sql2008) Model: AttributedMetaModel Build: 3.5.30729.1 The question is why there are two queries and how can I fetch LINQ objects without such hacks?

    Read the article

  • Ordering by a max or a min from another table

    - by Paul Tomblin
    I have a table that consists of a unique id, and a few other attributes. It holds "schedules". Then I have another table that holds a list of all the times each schedule has or will "fire". This isn't the exact schema, but it's close: create table schedule ( id varchar(40) primary key, attr1 int, attr2 varchar(20) ); create table schedule_times ( id varchar(40) foreign key schedule(id), fire_date date ); I want to query the schedule table, getting the attributes and the next and previous fire_dates, in Java, sometimes ordering on one of the attributes, but sometimes ordering on either previous fire_date or the next fire_date. Ordering by the attributes is easy, I just stick an "order by" into the string while I'm building my prepared statement. I'm not even sure how to go about selecting the last fire_date and the next one in a single query - I know that I can find the next fire_date for a given id by doing a SELECT min(fire_date) FROM schedule_times WHERE id = ? AND fire_date > sysdate; and the similar thing for previous fire_date using max() and fire_date < sysdate. I'm just drawing a blank on how to incorporate that into a single select from the schedule so I can get both next and previous fire_date in one shot, and also how to order by either of those attributes.

    Read the article

  • rookie MySql question about paging; Is one query enough?

    - by Camran
    I have managed to get paging to work, almost. I want to display to the user, total nr of records found, and the currently displayed records. Ex: 4000 found, displaying 0-100. I am testing this with the nr 2 (because I don't have that many records, have like 20). So I am using LIMIT $start, $nr_results; Do I have to make two queries in order to display the results the way I want, one query fetching all records and then make a mysql_num_rows to get all records, then the one with the LIMIT ? I have this: mysql_num_rows($qry_result); $total_pages = ceil($num_total / $res_per_page); //$res_per_page==2 and $num_total = 2 if ($p - 10 < 1) { $pagemin=1; } else { $pagemin = $p - 10; } if ($p + 10 $total_pages) { $pagemax = $total_pages; } else { $pagemax = $p + 10; } Here is the 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 LIMIT 0, 2 Thanks, if you need more input let me know. Basically Q is, do I have to make two queries?

    Read the article

  • what is the question for the query?

    - by Kevinniceguy
    Sorry...I mean what question will be for this query? SELECT SUM(price) FROM Room r, Hotel h WHERE r.hotelNo = h.hotelNo and hotelName = 'Paris Hilton' and roomNo NOT IN (SELECT roomNo FROM Booking b, Hotel h WHERE (dateFrom <= CURRENT_DATE AND dateTo >= CURRENT_DATE) AND b.hotelNo = h.hotelNo AND hotelName = 'Paris Hilton');

    Read the article

  • Creating a [materialised]view from generic data in Oracle/Mysql

    - by Andrew White
    I have a generic datamodel with 3 tables CREATE TABLE Properties ( propertyId int(11) NOT NULL AUTO_INCREMENT, name varchar(80) NOT NULL ) CREATE TABLE Customers ( customerId int(11) NOT NULL AUTO_INCREMENT, customerName varchar(80) NOT NULL ) CREATE TABLE PropertyValues ( propertyId int(11) NOT NULL, customerId int(11) NOT NULL, value varchar(80) NOT NULL ) INSERT INTO Properties VALUES (1, 'Age'); INSERT INTO Properties VALUES (2, 'Weight'); INSERT INTO Customers VALUES (1, 'Bob'); INSERT INTO Customers VALUES (2, 'Tom'); INSERT INTO PropertyValues VALUES (1, 1, '34'); INSERT INTO PropertyValues VALUES (2, 1, '80KG'); INSERT INTO PropertyValues VALUES (1, 2, '24'); INSERT INTO PropertyValues VALUES (2, 2, '53KG'); What I would like to do is create a view that has as columns all the ROWS in Properties and has as rows the entries in Customers. The column values are populated from PropertyValues. e.g. customerId Age Weight 1 34 80KG 2 24 53KG I'm thinking I need a stored procedure to do this and perhaps a materialised view (the entries in the table "Properties" change rarely). Any tips?

    Read the article

  • How can I update a record using a correlated subquery?

    - by froadie
    I have a function that accepts one parameter and returns a table/resultset. I want to set a field in a table to the first result of that recordset, passing in one of the table's other fields as the parameter. If that's too complicated in words, the query looks something like this: UPDATE myTable SET myField = (SELECT TOP 1 myFunctionField FROM fn_doSomething(myOtherField) WHERE someCondition = 'something') WHERE someOtherCondition = 'somethingElse' In this example, myField and myOtherField are fields in myTable, and myFunctionField is a field return by fn_doSomething. This seems logical to me, but I'm getting the following strange error: 'myOtherField' is not a recognized OPTIMIZER LOCK HINTS option. Any idea what I'm doing wrong, and how I can accomplish this? *UPDATE: * Based on Anil Soman's answer, I realized that the function is expecting a string parameter and the field being passed is an integer. I'm not sure if this should be a problem as an explicit call to the function using an integer value works - e.g. fn_doSomething(12345) seems to automatically cast the number to an string. However, I tried to do an explicit cast: UPDATE myTable SET myField = (SELECT TOP 1 myFunctionField FROM fn_doSomething(CAST(myOtherField AS varchar(1000))) WHERE someCondition = 'something') WHERE someOtherCondition = 'somethingElse' Now I'm getting the following error: Line 5: Incorrect syntax near '('.

    Read the article

  • Loading Fact Table + Lookup / UnionAll for SK lookups.

    - by Nev_Rahd
    I got to populate FactTable with 12 lookups to dimension table to get SK's, of which 6 are to different Dim Tables and rest 6 are lookup to same DimTable (type II) doing lookup to same natural key. Ex: PrimeObjectID = lookup to DimObject.ObjectID = get ObjectSK and got other columns which does same OtherObjectID1 = lookup to DimObject.ObjectID = get ObjectSK OtherObjectID2 = lookup to DimObject.ObjectID = get ObjectSK OtherObjectID3 = lookup to DimObject.ObjectID = get ObjectSK OtherObjectID4 = lookup to DimObject.ObjectID = get ObjectSK OtherObjectID5 = lookup to DimObject.ObjectID = get ObjectSK for such multiple lookup how should go in my SSIS package. for now am using lookup / unionall foreach lookup. Is there a better way to this.

    Read the article

  • WPF/.NET data access models - resource recommendations

    - by jasonk
    We're in the early design/prep phases of transferring/updating a rather large "legacy" 3 tier client-server app to a new version. We’re looking at doing WPF over Winforms as it appears to be the direction Microsoft is pushing development of the future and we’d like the maximize the life cycle/span of the apps. That said during the rewrite we’d like to make as many changes to our data access/presentation model to improve performance as much as possible up front as many. I’ve been doing some research along that vein but the vast majority of the resources I've found that discuss WPF focus only simple data tracking apps or focus on the very basics UI design/controls. The few items that even discuss data presentation are fairly elementary in depth. Are there any books/articles/recommended reading/other resources recommended for development related to large enterprise level business apps? Any “gotchas” that should/could be avoided? General advice to minimize the time underwater

    Read the article

  • Django: Grouping by Dates and Servers

    - by TheLizardKing
    So I am trying to emulate google app's status page: http://www.google.com/appsstatus#hl=en but for backups for our own servers. Instead of service names on the left it'll be server names but the dates and hopefully the pagination will be there too. My models look incredibly similar to this: from django.db import models STATUS_CHOICES = ( ('UN', 'Unknown'), ('NI', 'No Issue'), ('IS', 'Issue'), ('NR', 'Not Running'), ) class Server(models.Model): name = models.CharField(max_length=32) def __unicode__(self): return self.name class Backup(models.Model): server = models.ForeignKey(Server) created = models.DateField(auto_now_add=True) modified = models.DateTimeField(auto_now=True) status = models.CharField(max_length=2, choices=STATUS_CHOICES, default='UN') issue = models.TextField(blank=True) def __unicode__(self): return u'%s: %s' % (self.server, self.get_status_display()) My issue is that I am having a hell of a time displaying the information I need. Everyday a little after midnight a cron job will run and add a row for each server for that day, defaulting on status unknown (UN). My backups.html: {% extends "base.html" %} {% block content %} <table> <tr> <th>Name</th> {% for server in servers %} <th>{{ created }}</th> </tr> <tr> <td>{{ server.name }}</td> {% for backup in server.backup_set.all %} <td>{{ backup.get_status_display }}</td> {% endfor %} </tr> {% endfor %} </table> {% endblock content %} This actually works but I do not know how to get the dates to show. Obviously {{ created }} doesn't do anything but the servers don't have create dates. Backups do and because it's a cron job there should only be X number of rows with any particular date (depending on how many servers we are following for that day). Summary I want to create a table, X being server names, Y being dates starting at today while all the cells being the status of a backup. The above model and template should hopefully give you an idea what my thought process but I am willing to alter anything. Basically I am create a fancy excel spreadsheet.

    Read the article

  • About to migrate :string but I'm thinking :text might be better. Performance/Purpose?

    - by Sam
    class CreateScrapes < ActiveRecord::Migration def self.up create_table :scrapes do |t| t.text :saved_characters t.text :sanitized_characters t.string :href t.timestamps end end def self.down drop_table :scrapes end end I'm about to rake db:migrate and I'm think about the attribute type if I should be using text or string. Since saved_characters and sanitized_characters will be arrays with thousands of unicode values, its basically comma delimited data, I'm not sure if `:text' is really the right way to go here. What would you do?

    Read the article

  • Find the highest number of occurences in a column in SQL

    - by Ronnie
    Given this table: Order custName description to_char(price) A desa $14 B desb $14 C desc $21 D desd $65 E dese $21 F desf $78 G desg $14 H desh $21 I am trying to display the whole row where prices have the highest occurances, in this case $14 and $21 I believe there needs to be a subquery. So i started out with this: select max(count(price)) from orders group by price which gives me 3. after some time i didn't think that was helpful. i believe i needed the value 14 and 21 rather the the count so i can put that in the where clause. but I'm stuck how to display that. any help?

    Read the article

  • Postgre database ignoring created index ?!

    - by drasto
    I have an Postgre database and a table called my_table. There are 4 columns in that table (id, column1, column2, column3). The id column is primary key, there are no other constrains or indexes on columns. The table has about 200000 rows. I want to print out all rows which has value of column column2 equal(case insensitive) to 'value12'. I use this: SELECT * FROM my_table WHERE column2 = lower('value12') here is the execution plan for this statement(result of set enable_seqscan=on; EXPLAIN SELECT * FROM my_table WHERE column2 = lower('value12')): Seq Scan on my_table (cost=0.00..4676.00 rows=10000 width=55) Filter: ((column2)::text = 'value12'::text) I consider this to be to slow so I create an index on column column2 for better prerformance of searches: CREATE INDEX my_index ON my_table (lower(column2)) Now I ran the same select: SELECT * FROM my_table WHERE column2 = lower('value12') and I expect it to be much faster because it can use index. However it is not faster, it is as slow as before. So I check the execution plan and it is the same as before(see above). So it still uses sequential scen and it ignores the index! Where is the problem ?

    Read the article

  • Should I catch exceptions thrown when closing java.sql.Connection

    - by jb
    Connection.close() may throw SqlException, but I have always assumed that it is safe to ignore any such exceptions (and I have never seen code that does not ignore them). Normally I would write: try{ connection.close(); }catch(Exception e) {} Or try{ connection.close(); }catch(Exception e) { logger.log(e.getMessage(), e); } The question is: Is it bad practice (and has anyone had problems when ignoring such exeptions). When Connection.close() does throw any exception. If it is bad how should I handle the exception. Comment: I know that discarding exceptions is evil, but I'm reffering only to exceptions thrown when closing a connection (and as I've seen this is fairly common in this case). Does anyone know when Connection.close() may throw anything?

    Read the article

  • What's wrong with this SQL query?

    - by ThinkingInBits
    I have two tables: photographs, and photograph_tags. Photograph_tags contains a column called photograph_id (id in photographs). You can have many tags for one photograph. I have a photograph row related to three tags: boy, stream, and water. However, running the following query returns 0 rows SELECT p.* FROM photographs p, photograph_tags c WHERE c.photograph_id = p.id AND (c.value IN ('dog', 'water', 'stream')) GROUP BY p.id HAVING COUNT( p.id )=3 Is something wrong with this query?

    Read the article

< Previous Page | 700 701 702 703 704 705 706 707 708 709 710 711  | Next Page >