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  • Client to server data upload

    - by RickBowden
    I'm trying to design a system similar to the traditional server monitoring systems like MOM, Tivoli, Open View, where an agent will record data and then upload it to a central database once a day, but them also be able to send immediate alerts back to the server. I'm not sure what the best methodology might be for this. I've started looking at Microsoft sync services but I'm not sure if it will fit my needs. I'm using VS2008 and C#. Does anyone have any experience or ideas about how I should go about this task?

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  • excel:mysql: rs.Update not working

    - by every_answer_gets_a_point
    i am updating a table using an ODBC connection from excel to mysql unfortunately the only column that gets updated is this one: .Fields("instrument") = "NA" where i am assigning variables to .Fields, it is putting NULL values!! what is going on here? here's the code Option Explicit Dim oConn As ADODB.Connection Private Sub ConnectDB() Set oConn = New ADODB.Connection oConn.Open "DRIVER={MySQL ODBC 5.1 Driver};" & _ "SERVER=localhost;" & _ "DATABASE=employees;" & _ "USER=root;" & _ "PASSWORD=pas;" & _ "Option=3" End Sub Function esc(txt As String) esc = Trim(Replace(txt, "'", "\'")) End Function Private Sub InsertData() Dim dpath, atime, rtime, lcalib, aname, rname, bstate, instrument As String Dim rs As ADODB.Recordset Set rs = New ADODB.Recordset ConnectDB With wsBooks rs.Open "batchinfo", oConn, adOpenKeyset, adLockOptimistic, adCmdTable Worksheets.Item("Report 1").Select dpath = Trim(Range("B2").Text) atime = Trim(Range("B3").Text) rtime = Trim(Range("B4").Text) lcalib = Trim(Range("B5").Text) aname = Trim(Range("B6").Text) rname = Trim(Range("B7").Text) bstate = Trim(Range("B8").Text) ' instrument = GetInstrFromXML(wbBook.FullName) With rs .AddNew ' create a new record ' add values to each field in the record .Fields("datapath") = dpath .Fields("analysistime") = atime .Fields("reporttime") = rtime .Fields("lastcalib") = lcalib .Fields("analystname") = aname .Fields("reportname") = rname .Fields("batchstate") = bstate .Fields("instrument") = "NA" .Update ' stores the new record End With ' get the last id Set rs = oConn.Execute("SELECT @@identity", , adCmdText) 'MsgBox capture_id rs.Close Set rs = Nothing End With End Sub

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  • SSRS run SQL/DataSet conditionally

    - by MikeTWebb
    Hello.... I have an SSRS report that contains several subreports. The user has the ability to select/deselect which subreports they want to produce using several Boolean parameters. If a subreport is deselected then it is not rendered by setting the Visibility property. However, the DataSet associated with the de-selected subreport still executes causing the execution time to take longer than expected. Is there any way to tell a dataset on a subreport or Tablix not to execute based on a Parameter selection? Thanks

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  • How to differentiate two tables

    - by Nemat
    I have two tables and I want to get all records from one table that are different from the records in second table. Eg.: if we have four records in the first table like A,B,C,D and three records in the second table thats A,B,C then the answer of query should be D. I have tried "EXCEPT" operator but it doesn't work fine. Kindly help me in writing correct query for the given problem.

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  • C#: ExecuteNonQuery() returns -1 when execute the stored procedure

    - by user1122359
    I'm trying to execute stored procedure in Visual Studio. Its given below. CREATE PROCEDURE [dbo].[addStudent] @stuName varchar(50), @address varchar(100), @tel varchar(15), @etel varchar(15), @nic varchar (10), @dob date AS BEGIN SET NOCOUNT ON; DECLARE @currentID INT DECLARE @existPerson INT SET @existPerson = (SELECT p_ID FROM Student WHERE s_NIC = @nic); IF @existPerson = null BEGIN INSERT INTO Person (p_Name, p_RegDate, p_Address, p_Tel, p_EmergeNo, p_Valid, p_Userlevel) VALUES (@stuName, GETDATE(), @address, @tel, @etel, 0, 'Student' ); SET @currentID = (SELECT MAX( p_ID) FROM Person); INSERT INTO Student (p_ID, s_Barcode, s_DOB, s_NIC) VALUES (@currentID , NULL, @dob, @nic); return 0; END ELSE return -1; END Im doing so by using this code below. SqlConnection con = new SqlConnection(); Connect conn = new Connect(); con = conn.getConnected(); con.Open(); cmd = new SqlCommand("addStudent", con); cmd.CommandType = CommandType.StoredProcedure; cmd.Parameters.Add("@stuName", SqlDbType.VarChar).Value = nameTxt.Text.ToString(); cmd.Parameters.Add("@address", SqlDbType.VarChar).Value = addressTxt.Text.ToString(); cmd.Parameters.Add("@tel", SqlDbType.VarChar).Value = telTxt.Text.ToString(); cmd.Parameters.Add("@etel", SqlDbType.VarChar).Value = emerTxt.Text.ToString(); cmd.Parameters.Add("@nic", SqlDbType.VarChar).Value = nicTxt.Text.ToString(); cmd.Parameters.Add("@dob", SqlDbType.DateTime).Value = dobTime.Value.ToString("MM-dd-yyyy"); int n = cmd.ExecuteNonQuery(); MessageBox.Show(n.ToString()); But it returns me -1. I tried this stored procedure by entering the same values I captured from debugging. It was successful. What can be the possible error? Thanks a lot!

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  • need to read data from oracle database with many conditions

    - by randeepsp
    hi! i have 3 tables A,B and C. table A has column employee_name,id table B is the main table and has columns id,os version. table c has the columns id,package id and package version. i want to query the count of employee_name where the id of table a and c are matched with id of table b(which is the main table). i should also get the names of employees grouped by the os version they have and also the package version.

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  • Search by nvarchar

    - by ziks
    Hi all. I have this problem. In table I have column which is nvarcar type. and row in this column is row1= 1;6 row2 = 12 row3 =6;5;67 etc... I try to search this column. for example when i send 1 i try to get only row1. I use LIKE but in result set I get row1 and row2. How can I achieved this, any help is appreciated. Tnx...

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  • Notification 7 Days Before Payment PHP No Error Message

    - by user1858672
    So I have PHP script running on cron daily. It is suppose to check the date and send an email if it is 7 days before any payments as a reminder. I haven't used PHP in a long time so sorry if the way I did it was ridiculous or something. Thanks a lot. I would say what the problem is but I don't get any error message or anything.. <?php mysqli_connect("xxxxxx", "xxxxxxx", "xxxxxxxxx") or die(mysqli_error()); mysqli_select_db("xxxxxxxxx") or die(mysqli_error()); //Retrieve original payment dates and enter them into an array $result = mysqli_query("SELECT DateCreated FROM UserTable"); $payment_dates = mysqli_fetch_array($result); //Puts original payment date into month-day format $md_payment_dates = substr($payment_dates, 5); //Gets todays date in m-d format and adds 7 days to it $due_date = mktime(0, 0, 0, date("m"), date("d")+7); //Checks if any payment days match today's date. If there are none it script will stop. if (count(preg_grep($due_date, $md_payment_dates)) > 0) { //Retrieves usernames of users that have an invoice due. $users_to_pay = mysqli_fetch_array("SELECT Username IN UserTable WHERE DateCreated = $date"); //Notifies you via email $to = "[email protected]"; $subject = "7 Day Payment Reminder"; $message = "Hi, <br /> The following owe a payment in 7 days : " + $users_to_pay ".<br/> Their payments are due on " + $md_payment_dates " of this year."; mail($to, $subject, $message); exit(); }else{ exit(); } ?>

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  • Database design

    - by Hadad
    Hello, I've a system, that have two types of users (Companies and individuals).all types have a shared set of properties but they differ in another. What is the best design merge all in one table that allows null for unmatched properties, or separate them in two tables related to a basic table with a one to one relationship. Thanks.

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  • MYSQL: COUNT with GROUP BY, LEFT JOIN and WHERE clause doesn't return zero values

    - by Paul Norman
    Hi guys, thanks in advance for any help on this topic! I'm sure this has a very simply answer, but I can't seem to find it (not sure what to search on!). A standard count / group by query may look like this: SELECT COUNT(`t2`.`name`) FROM `table_1` `t1` LEFT JOIN `table_2` `t2` ON `t1`.`key_id` = `t2`.`key_id` GROUP BY `t1`.`any_col` and this works as expected, returning 0 if no rows are found. So does: SELECT COUNT(`t2`.`name`) FROM `table_1` `t1` LEFT JOIN `table_2` `t2` ON `t1`.`key_id` = `t2`.`key_id` WHERE `t1`.`another_column` = 123 However: SELECT COUNT(`t2`.`name`) FROM `table_1` `t1` LEFT JOIN `table_2` `t2` ON `t1`.`key_id` = `t2`.`key_id` WHERE `t1`.`another_column` = 123 GROUP BY `t1`.`any_col` only works if there is at least one row in table_1 and fails miserably returning an empty result set if there are zero rows. I would really like this to return 0! Anyone enlighten me on this? Beer can be provided in exchange if you are in London ;-)

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  • How can I find days between different paired rows?

    - by Anthony
    I've been racking my brain about how to do this in one query without PHP code. In a nutshell, I have a table that records email activity. For the sake of this example, here is the data: recipient_id activity date 1 delivered 2011-08-30 1 open 2011-08-31 2 delivered 2011-08-30 3 delivered 2011-08-24 3 open 2011-08-30 3 open 2011-08-31 The goal: I want to display to users a single number that tells how many recipients open their email within 24 hours. E.G. "Users that open their email within 24 hours: 13 Readers" In the case of the sample data, above, the value would be "1". (Recipient one was delivered an email and opened it the next day. Recipient 2 never opened it and recipient 3 waited 5 days.) Can anyone think of a way to express the goal in a single query? Reminder: In order to count, the person must have a 'delivered' tag and at least one 'open' tag. Each 'open' tag only counts once per recipient.

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  • Adding Related Entities without using navigation properties

    - by Barisa Puter
    I have the following classes, set for testing: public class Company { [DatabaseGenerated(DatabaseGeneratedOption.Identity)] public int Id { get; set; } public string Name { get; set; } } public class Employee { [DatabaseGenerated(DatabaseGeneratedOption.Identity)] public int Id { get; set; } public string Name { get; set; } public int CompanyId { get; set; } public virtual Company Company { get; set; } } public class EFTestDbContext : DbContext { public DbSet<Employee> Employees { get; set; } public DbSet<Company> Companies { get; set; } } For the sake of testing, I wanted to insert one company and one employee for that company with single SaveChanges call, like this: Company company = new Company { Name = "Sample company" }; context.Companies.Add(company); // ** UNCOMMENTED FOR TEST 2 //Company company2 = new Company //{ // Name = "Some other company" //}; //context.Companies.Add(company2); Employee employee = new Employee { Name = "Hans", CompanyId = company.Id }; context.Employees.Add(employee); context.SaveChanges(); Even though I am not using navigational properties, but instead I've made relation over Id, this somehow mysteriously worked - employee was saved with proper foreign key to company which got updated from 0 to real value, which made me go ?!?! Some hidden C# feature? Then I've decided to add more code, which is commented in the snippet above, making it to be inserting of 2 x Company entity and 1 x Employee entity, and then I got exception: Unable to determine the principal end of the 'CodeLab.EFTest.Employee_Company' relationship. Multiple added entities may have the same primary key. Does this mean that in cases where foreign key is 0, and there is a single matching entity being inserted in same SaveChanges transaction, Entity Framework will assume that foreign key should be for that matching entity? In second test, when there are two entities matching the relation type, Entity Framework throws an exception as it is not able to figure out to which of the Companies Employee should be related to.

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  • Access database query locks ability to edit table?

    - by Sattvic
    I created a query in Microsoft Access like the one below: SELECT Deliverables.ID, Deliverables.Title, Deliverables.Summary, Deliverables.Header_Code, Deliverables.Header_Code.Value, Deliverables.Sort_order, Deliverables.Pillar, Deliverables.Pillar.Value, Deliverables.Misc_ID FROM Deliverables WHERE (((Deliverables.Pillar.Value)="Link Building")); But my problem is that this query locks my fields and I cannot make changes to the table using the query view. Any suggestions? I am using Microsoft Access 2007

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  • Oracle - truncating a global temporary table

    - by superdario
    I am processing large amounts of data in iterations, each and iteration processes around 10-50 000 records. Because of such large number of records, I am inserting them into a global temporary table first, and then process it. Usually, each iteration takes 5-10 seconds. Would it be wise to truncate the global temporary table after each iteration so that each iteration can start off with an empty table? There are around 5000 iterations.

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  • Does the order of the columns in a SELECT statement make a difference?

    - by Frank Computer
    This question was inspired by a previous question posted on SO, "Does the order of the WHERE clause make a differnece?". Would it improve a SELECT statement's performance if the the columns used in the WHERE section are placed at the begining of the SELECT statement? example: SELECT customer.id, transaction.id, transaction.efective_date, transaction.a, [...] FROM customer, transaction WHERE customer.id = transaction.id; I do know that limiting the list of columns to only the needed ones in a SELECT statement improves performance as opposed to using SELECT * because the current list is smaller.

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  • Select Query Joined on Two Fields?

    - by btollett
    I've got a few tables in an access database: ID | LocationName 1 | Location1 2 | Location2 ID | LocationID | Date | NumProductsDelivered 1 | 1 | 12/10 | 3 2 | 1 | 01/11 | 2 3 | 1 | 02/11 | 2 4 | 2 | 11/10 | 1 5 | 2 | 12/10 | 1 ID | LocationID | Date | NumEmployees | EmployeeType 1 | 1 | 12/10 | 10 | 1 (=Permanent) 2 | 1 | 12/10 | 3 | 2 (=Temporary) 3 | 1 | 12/10 | 1 | 3 (=Support) 4 | 2 | 10/10 | 1 | 1 5 | 2 | 11/10 | 2 | 1 6 | 2 | 11/10 | 1 | 2 7 | 2 | 11/10 | 1 | 3 8 | 2 | 12/10 | 2 | 1 9 | 2 | 12/10 | 1 | 3 What I want to do is pass in the LocationID as a parameter and get back something like the following table. So, if I pass in 2 as my LocationID, I should get: Date | NumProductsDelivered | NumPermanentEmployees | NumSupportEmployees 10/10 | | 1 | 11/10 | 1 | 2 | 1 12/10 | 1 | 2 | 1 It seems like this should be a pretty simple query. I really don't even need the first table except as a way to fill in the combo box on the form from which the user chooses which location they want a report for. Unfortunately, everything I've done has resulted in me getting a lot more data than I should be getting. My confusion is in how to set up the join (presumably that's what I'm looking for here) given that I want both the date and locationID to be the same for each row in the result set. Any help would be much appreciated. Thanks.

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  • Query returning an ascending group number

    - by Dougman
    I have a query like below that has groups (COL1) and that group's values (COL2). select col1, col2 from (select 'A' col1, 1 col2 from dual union all select 'A' col1, 2 col2 from dual union all select 'B' col1, 1 col2 from dual union all select 'B' col1, 2 col2 from dual union all select 'C' col1, 1 col2 from dual union all select 'C' col1, 2 col2 from dual ) order by col1, col2; The output of this query looks like: COL1 COL2 ---- ---- A 1 A 2 B 1 B 2 C 1 C 2 What I need is a query that will return an ordered number increasing for each different group (COL1). It seems like there would be a simple way to accomplish this (maybe with analytics) but for some reason it is escaping me. GRPNUM COL1 COL2 ------ ---- ---- 1 A 1 1 A 2 2 B 1 2 B 2 3 C 1 3 C 2 I am running Oracle 10gR2.

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  • Centralizing / Abstracting MSSQL Data from Multiple Tables / Databases

    - by davemackey
    If one has a number of databases (due to separate application front-ends) that provide a complete picture - for example a CRM, accounting, and product database - what methods are available to centralize/abstract this data for easy reporting? Essentially, I'm wondering if there is a way to automatically pull data from multiple databases into a central repository that is continuously updated from the three databases and which can be used for reporting? I'm also open to alternative best practice suggestions?

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