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  • Creating a join based on data from other tables...

    - by Workshop Alex
    I'm dealing with a database structure that can be defined as "illogical". It has about 100 different schema's with all different table structures per schema. Only one common factor is a "Version" table in each schema containing about 4 fields. (Thus, there are about 100 Version tables in the database.) There's also another table (view, actually) containing a list of all the schema's in the database that have a version table. I need a stored procedure that walks through all the schema's and selects all data from the Version table, adding the schema name as a fifth field to the result. Basically, this stored procedure is to return a list of all version records per schema. My idea: first walk through the schema list to create one new SQL statements that will JOIN all the schema.version tables into one SQL statement. Then I return the result of that query. How to do this? Or does anyone have a better suggestion? (No, redesigning the structure is NOT an option.)

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  • Displaying a message after adding duplicate records in database

    - by user1770370
    I wrote program in C# winforms and SQL server and LINQ to SQL. I use user control instead of form. In my user control, I put 3 textbox, txtStartNumber, txtEndNumber, txtQuantity. user define value of textboxes, when clicked button, it will insert some records according to the value of txtQuantity. I want to when duplicate number is created, it won't add to database and display message. how do i do? I must write code in code behind or server side? i must set this in store procedure or trigger? private void btnSave_Click(object sender, EventArgs e) { long from = Convert.ToInt64(txt_barcode_f.Text); long to = Convert.ToInt64(txt_barcode_t.Text); long quantity = Convert.ToInt64(to - from); int card_Type_ID=Convert.ToInt32(cmb_BracodeType .SelectedValue); long[] arrCardNum = new long[(to - from)]; arrCardNum[0]=from; for (long i = from; i < to; i++) { for(int j=0; j<(to-from) ;j++) { arrCardNum[j]=from+j; string r = arrCardNum[j].ToString(); sp.SaveCards(r, 2, card_Type_ID, SaveDate, 2); } } } Stored Procedure code. ALTER PROCEDURE dbo.SaveCards @Barcode_Num int ,@Card_Status_ID int ,@Card_Type_ID int ,@SaveDate varchar(10) ,@Save_User_ID int AS BEGIN INSERT INTO [Parking].[dbo].[TBL_Cards] ([Barcode_Num] ,[Card_Status_ID] ,[Card_Type_ID] ,[Save_User_ID]) VALUES (@Barcode_Num ,@Card_Status_ID ,@Card_Type_ID ,@Save_User_ID) END

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  • Can I set NHibernate's default "OrderBy" to be "CreatedDate" not "Id"?

    - by Chris F
    This is an oddball question I figure. Can I get NHibernate to ask SQL to sort data by CreatedDate by default unless I set an OrderBy in my HQL or Criteria? I'm interested in knowing whether this sort can be accomplished at the DB level to avoid bringing in LINQ. The reason is that I use GUIDs for Ids and when I do something like this: Sheet sheet = sheetRepository.Get(_someGUID); IList<SheetLineItems> lineItems = sheet.LineItems; to fetch all of the lineItems, they come back in whatever arbitrary way that SQL sorts that fetch, which I figure is GUID. At some point I'll add ordinals to my line items, but for now, I just want to use CreatedDate as the sort criteria. I don't want to be forced to do: IList<SheetLineItem> lineItems = sheetLineItemRepository.GetAll(_sheetGUID); and then writing that method to sort by CreatedDate. I figure if everything is just sorted on CreatedDate by default, that would be fine, unless specifically requested otherwise.

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  • Duplicate information from sql result

    - by puddleJumper
    I looked in about 18 other posts on here an most people are asking how to delete the records not just hide them. So my problem: I have a database with staff members who are associated with locations. Many of the staff members are associated with more than one location. What I want to do is to only display the first location listed in the mysql result and skip over the others. I have the sql query linking the tables together and it works aside from it showing the same information for those staff members that are in those other locations multiple times so example would be like this: This is the sql statement I have currently SELECT staff_tbl.staffID, staff_tbl.firstName, staff_tbl.middleInitial, staff_tbl.lastName, location_tbl.locationID, location_tbl.staffID, officelocations_tbl.locationID, officelocations_tbl.officeName, staff_title_tbl.title_ID, staff_title_tbl.staff_ID, titles_tbl.titleID, titles_tbl.titleName FROM staff_tbl INNER JOIN location_tbl ON location_tbl.staffID = staff_tbl.staffID INNER JOIN officelocations_tbl ON location_tbl.locationID = officelocations_tbl.locationID INNER JOIN staff_title_tbl ON staff_title_tbl.staff_ID = staff_tbl.staffID INNER JOIN titles_tbl ON staff_title_tbl.title_ID = titles_tbl.titleID and my php is <?php do { ?> <tr> <td><?php echo $row_rs_Staff_Info['firstName']; ?>&nbsp; <?php echo $row_rs_Staff_Info['lastName']; ?></td> <td><?php echo $row_rs_Staff_Info['titleName']; ?>&nbsp; </td> <td><?php echo $row_rs_Staff_Info['officeName']; ?>&nbsp; </td> </tr> <?php } while ($row_mysqlResult = mysql_fetch_assoc($rs_mysqlResult)); ?> What I would like to know is there a way using php to select only the first entry listed for each person and display that and just skip over the other two. I was thinking it could be done by possibly adding the staffID's to an array and if they are in there to skip over the next one listed in the staff_title_tbl but wasn't quite sure how to write it that way. Any help would be great thank you in advance.

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  • How can I add two projects. Visual Studio 2008

    - by masfenix
    I just created a project so my Solution Explorer looks like this: But I want to add another project which is related to this project but it's going to be a class library and it's going to output a DLL that I could use in any other project. So how can I create a "solution" with multiple projects?

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  • Database PK-FK design for future-effective-date entries?

    - by Scott Balmos
    Ultimately I'm going to convert this into a Hibernate/JPA design. But I wanted to start out from purely a database perspective. We have various tables containing data that is future-effective-dated. Take an employee table with the following pseudo-definition: employee id INT AUTO_INCREMENT ... data fields ... effectiveFrom DATE effectiveTo DATE employee_reviews id INT AUTO_INCREMENT employee_id INT FK employee.id Very simplistic. But let's say Employee A has id = 1, effectiveFrom = 1/1/2011, effectiveTo = 1/1/2099. That employee is going to be changing jobs in the future, which would in theory create a new row, id = 2 with effectiveFrom = 7/1/2011, effectiveTo = 1/1/2099, and id = 1's effectiveTo updated to 6/30/2011. But now, my program would have to go through any table that has a FK relationship to employee every night, and update those FK to reference the newly-effective employee entry. I have seen various postings in both pure SQL and Hibernate forums that I should have a separate employee_versions table, which is where I would have all effective-dated data stored, resulting in the updated pseudo-definition below: employee id INT AUTO_INCREMENT employee_versions id INT AUTO_INCREMENT employee_id INT FK employee.id ... data fields ... effectiveFrom DATE effectiveTo DATE employee_reviews id INT AUTO_INCREMENT employee_id INT FK employee.id Then to get any actual data, one would have to actually select from employee_versions with the proper employee_id and date range. This feels rather unnatural to have this secondary "versions" table for each versioned entity. Anyone have any opinions, suggestions from your own prior work, etc? Like I said, I'm taking this purely from a general SQL design standpoint first before layering in Hibernate on top. Thanks!

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  • How do i force a file to be deleted? Windows server 2008

    - by acidzombie24
    On my site a user may upload a file (pic, zip, audio, video, whatever). He then may decide to replace it with a newer revision. This user may upload a file, make a post then decide to put up a new revision replacing the old (lets say its a large zip or tar.gz file). Theres a good chance people may be downloading it if he sent out an email or even im for the home user. Problem. I need to replace the file and people may be downloading and it may be some minutes before it is deleted. I dont want my code to stall until i cant delete or check every second to see if its unused (especially bad if another user can start and he takes long creating a cycle). How do i delete the file while users are downloading the file? i dont care if they stop i just care that the file can be replaced and new downloads are the new revision.

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  • Error in value of default parameter [Bug in Visual C++ 2008?]

    - by HellBoy
    I am facing following issue while trying to use template in my code I have some C++ code which i call from C functions. Problem is I am getting different values in the following code for statement 1 and 2. Type id : unsigned int statement 1 : 4 statement 2 : 1 C++ Code : template <typename T> void func(T* value, unsigned int len = sizeof(T)) { cout << "Type id : " << typeid(T).name() << endl; cout << "statement 1 " << sizeof(T) << endl; cout << "statement 2 " << len << endl; } template <typename T> void func1(T data) { T val = data; func(&val); } C Code : void test(void *ptr, unsigned int len) { switch(len) { case 1: func1(*(static_cast<uint32_t *>(ptr)) break; } } This happens only on windows. On Linux it works fine.

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  • How to check data in a column separated by a colon (:)

    - by tonsils
    Hi, I have an Oracle database column, say col1, that has the following values: Col1 (A:B:C) I now need to come along and add to this Col1, only if it doesn’t exist, additional values but unsure how to go about checking to see if Col1 already contains these values. Scenario might be as follows: 1) Need to add B => Outcome=> check Col1 – B exists, do not add. 2) Need to add A:C => Outcome=> check Col1 – A and C exists, do not add. 3) Need to add C:D => Outcome=> check Col1 – C exists but D doesn’t, do not add C but need to add D 4) Need to add G => Outcome=> check Col1 – G doesn’t, need to add G Using Oracle sql or pl/sql I am unsure how to go about processing the above to ensure whether items exist or don’t exist and whether to add or not to add to Col1 Hoping someone can assist with a means of checking the data based on the above. Thanks

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  • UPDATE Table SET Field

    - by davlyo
    This is my Very first Post! Bear with me. I have an Update Statement that I am trying to understand how SQL Server handles it. UPDATE a SET a.vField3 = b.vField3 FROM tableName a INNER JOIN tableName b ON a.vField1 = b.vField1 AND b.nField2 = a.nField2 – 1 This is my query in its simplest form. vField1 is a Varchar nField2 is an int (autonumber) vField3 is a Varchar I have left the WHERE clause out so understand there is logic that otherwise makes this a nessessity. Say vField1 is a Customer Number and that Customer has 3 records The value in nField2 is 1, 2, and 3 consecutively. vField3 is a Status When the Update comes to a.nField2 = 1 there is no a.nField2 -1 so it continues When the Update comes to a.nField2 = 2, b.nField2 = 1 When the Update comes to a.nField2 = 3, b.nField2 = 2 So when the Update is on a.nField2 = 2, alias b reflects what is on the line prior (b.nField2 = 1) And it SETs the Varchar Value of a.vField3 = b.vField3 When the Update is on a.nField2 = 3, alias b reflects what is on the line prior (b.nField2 = 2) And it (should) SET the Varchar Value of a.vField3 = b.vField3 When the process is complete –the Second of three records looks as expected –hence the value in vField3 of the second record reflects the value in vField3 from the First record However, vField3 of the Third record does not reflect the value in vField3 from the Second record. I think this demonstrates that SQL Server may be producing a transaction of some sort and then an update. Question: How can I get the DB to Update after each transaction so I can reference the values generated by each transaction?

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  • What does Postgres do when BEGIN is run on a connection in autocommit mode?

    - by DNS
    I'm trying to better understand the concept of 'autocommit' when working with a Postgres (psycopg) connection. Let's say I have a fresh connection, set its isolation level to ISOLATION_LEVEL_AUTOCOMMIT, then run this SQL directly, without using the cursor begin/rollback methods (as an exercise; not saying I actually want to do this): INSERT A INSERT B BEGIN INSERT C INSERT D ROLLBACK What happens to INSERTs C & D? Is autocommit is purely an internal setting in psycopg that affects how it issues BEGINs? In that case, the above SQL is unafected; INSERTs A & B are committed as soon as they're done, while C & D are run in a transaction and rolled back. What isolation level is that transaction run under? Or is autocommit a real setting on the connection itself? In that case, how does it affect the handling of BEGIN? Is it ignored, or does it override the autocommit setting to actually start a transaction? What isolation level is that transaction run under? Or am I completely off-target?

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  • How do you get the solution directory in C# (VS 2008) in code?

    - by IsaacB
    Hi, Got an annoying problem here. I've got an NHibernate/Forms application I'm working through SVN. I made some of my own controls, but when I drag and drop those (or view some form editors where I have already dragged and dropped) onto some of my other controls, Visual studio decides it needs to execute some of the code I wrote, including the part that looks for hibernate.cfg.xml. I have no idea why this is, but (sometimes!) when it executes the code during my form load or drag and drop it switches the current directory to C:\program files\vs 9.0\common7\ide, and then nhibernate throws an exception that it can't find hibernate.cfg.xml, because I'm searching for that in a relative path. Now, I don't want to hard code the location of hibernate.cfg.xml, or just copy hibernate.cfg.xml to the ide directory (which will work). I want a solution that gets the solutions directory while the current directory is common7\ide. Something that will let someone view my forms in the designer on a fresh checkout to an arbitrary directory on an arbitrary machine. And no, I'm not about to load the controls in code. I have so many controls within controls that it is a nightmare to line everything up without it. I tried a pre build event that made a file that has the solution directory in it, but of course how can I find that from common7\ide? All the projects files need to be in the solution directory because of svn. Thanks for your help guys, I've already spent a few hours fiddling with this in vain.

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  • Are there design-time watch windows for Visual Studio 2008/2010?

    - by Jeff
    There are many times when I need to test a little snippet of .net code but rebuilding and publishing the entire project or writing a suite of unit tests just seems like overkill. For example, I am writing a regular expression right now and I want to see if it the pattern is matching on the right parts. I could go and find a million other utilities that do that sort of thing, but that is not exactly my point. FireBug has an exact analogue to what I want - the FireBug console. There is a text box where the user can enter some JavaScript and FireBug will execute it on the spot and display the return value. I would love to be able to enter something like (new Regex("b+")).Replace("abc", "x") and see the results without having to do all the overhead. Does VS have anything like this?

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  • How to define a history chart in crystal reports .net (2008)?

    - by hp
    Hi, I want to display a Bar Chart in a Report that shows the sum of a measure grouped by month for the last 24 month. The months that do not have any tuples do not show up in the graph. I do not want that. I want exactly 24 groups/bars that are 0 if there are no tuples. What is the best way to do this? thanks

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  • dm_exec_query_stats returning stale data?

    - by VoiceOfUnreason
    I've been testing my app on a SQL Server 2005 database, and am trying to establish a preliminary picture of the query performance using sys.dm_exec_query_stats. Problem: there's a particular query that I'm interested in, because total_elapsed_time and last_elapsed_time are both large numbers. When I tickle my app to invoke that query (this runs successfully), then refresh my view of the stats, I find that 1) execution_count has incremented (expected) 2) last_execution_time has updated to now (expected) 3) last_elapsed_time is still a large value (not expected - I anticipated a new value) 4) total_elapsed_time is unchanged (contradiction?) If last_elapsed_time refers to the execution that happened @ last_execution_time, then the total_elapsed_time should have increased? This documentation: http://msdn.microsoft.com/en-us/library/ms189741(SQL.90).aspx tells me that last_execution_time is the last time the plan was executed, and last_elapsed_time comes from the "most recently executed plan", but doesn't tell me why those might be different. The query itself is uncomplicated (SELECT/WHERE/ORDER BY - parameters appearing in the where clause, but no clever operations), the table has maybe 25 rows in it right now. Questions: 1) What's the real relationship between execution_count, last_execution_time, and last_elapsed_time? 2) Where is the documentation of this relationship (manual, third party book, blog, bug ticket, stone tablets...) ?

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  • Prevent cached objects to end up in the database with Entity Framework

    - by Dirk Boer
    We have an ASP.NET project with Entity Framework and SQL Azure. A big part of our data only needs to be updated a few times a day, other data is very volatile. The data that barely changes we cache in memory at startup, detach from the context and than use it mainly for reading, drastically lowering the amount of database requests we have to do. The volatile data is requested everytime by a DbContext per Http request. When we do an update to the cached data, we send a message to all instances to catch a fresh version of all the data from the SQL server. So far, so good. Until we introduced a bug that linked one of these 'cached' objects to the 'volatile' data, and did a SaveChanges. Well, that was quite a mess. The whole data tree was added again and again by every update, corrupting the whole database with a whole lot of duplicated data. As a complete hack I added a completely arbitrary column with a UniqueConstraint and some gibberish data on one of the root tables; hopefully failing the SaveChanges() next time we introduce such a bug because it will violate the Unique Constraint. But it is of course hacky, and I'm still pretty scared ;P Are there any better ways to prevent whole tree's of cached objects ending up in the database? More information Project is ASP.NET MVC I cache this data, because it is mainly read only, and this saves a tons of extra database calls per http request

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  • A good(elegant) way to retrieve records with counts.

    - by user93422
    Context: ASP.NET MVC 2.0, C#, SQL Server 2007, IIS7 I have 'scheduledMeetings' table in the database. There is a one-to-many relationship: scheduledMeeting - meetingRegistration So that you could have 10 people registered for a meeting. meetingRegistration has fields Name, and Gender (for example). I have a "calendar view" on my site that shows all coming events, as well as gender count for each event. At the moment I use Linq to Sql to pull the data: var meetings = db.Meetings.Select( m => new { MeetingId = m.Id, Girls = m.Registrations.Count(r => r.Gender == 0), Boys = m.Registrations.Count(r=>r.Gender == 1) }); (actual query is half-a-page long) Because there is anonymous type use going on I cant extract it into a method (since I have several different flavors of calendar view, with different information on each, and I dont want to create new class for each). Any suggestions on how to improve this? Is database view is the answer? Or should I go ahead and create named-type? Any feedback/suggestions are welcome. My DataLayer is huge, I want to trim it, just dont know how. Pointers to a good reading would be good too.

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  • Data Type Not Consistent In MS Access? (Set new field as "TEXT" but system treats it as "Yes/No" field)

    - by user3522506
    I already have an SQL command that will insert any string in the field. But it doesn't accept any string, giving me "No value given for one or more required parameters". But if my string is "Yes" or "No", it will update successfully. And in MS Access, will appear as 0 or -1 even though I set the field as text even in the beginning. Could there be any configuration I have made in my MS Access 2007? con = New OleDbConnection(cs) con.Open() Dim cb As String = "Update FS_Expenses set FS_Date=#" & dtpDate2.Text & "#,SupplierID='" & txtSupplierID.Text & "', TestField=" & Label1.Text & " where ID=" & txtID2.Text & "" cmd = New OleDbCommand(cb) cmd.Connection = con cmd.ExecuteReader() MessageBox.Show("Successfully updated!", "Record", MessageBoxButtons.OK, MessageBoxIcon.Information) con.Close() TestField is already a TEXT data type, Label1.Text value is "StringTest", will give the error. However, set Label1.Text value as = "Yes", SQL will execute successfully. Therefore, field must have not been saved as TEXT.

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  • Categorize data without consolidating?

    - by sqlnoob
    I have a table with about 1000 records and 2000 columns. What I want to do is categorize each row such that all records with equal column values for all columns except 'ID' are given a category ID. My final answer would look like: ID A B C ..... Category ID 1 1 0 3 1 2 2 1 3 2 3 1 0 3 1 4 2 1 3 2 5 4 5 6 3 6 4 5 6 3 where all columns (besides ID) are equal for IDs 1,3 so they get the same category ID and so on. I guess my thought was to just write a SQL query that does a group by on every single column besides 'ID' and assign a number to each group and then join back to my original table. My current input is a text file, and I have SAS, MS Access, and Excel to work with. (I could use proc sql from within SAS). Before I go this route and construct the whole query, I was just wondering if there was a better way to do this? It will take some work just to write the query, and I'm not even sure if it is practical to join on 2000 columns (never tried), so I thought I'd ask for ideas before I got too far down the wrong path. EDIT: I just realized my title doesn't really make sense. What I was originally thinking was "Is there a way I can group by and categorize at the same time without actually consolidating into groups?"

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  • Full-text Indexing Books Online

    - by Most Valuable Yak (Rob Volk)
    While preparing for a recent SQL Saturday presentation, I was struck by a crazy idea (shocking, I know): Could someone import the content of SQL Server Books Online into a database and apply full-text indexing to it?  The answer is yes, and it's really quite easy to do. The first step is finding the installed help files.  If you have SQL Server 2012, BOL is installed under the Microsoft Help Library.  You can find the install location by opening SQL Server Books Online and clicking the gear icon for the Help Library Manager.  When the new window pops up click the Settings link, you'll get the following: You'll see the path under Library Location. Once you navigate to that path you'll have to drill down a little further, to C:\ProgramData\Microsoft\HelpLibrary\content\Microsoft\store.  This is where the help file content is kept if you downloaded it for offline use. Depending on which products you've downloaded help for, you may see a few hundred files.  Fortunately they're named well and you can easily find the "SQL_Server_Denali_Books_Online_" files.  We are interested in the .MSHC files only, and can skip the Installation and Developer Reference files. Despite the .MHSC extension, these files are compressed with the standard Zip format, so your favorite archive utility (WinZip, 7Zip, WinRar, etc.) can open them.  When you do, you'll see a few thousand files in the archive.  We are only interested in the .htm files, but there's no harm in extracting all of them to a folder.  7zip provides a command-line utility and the following will extract to a D:\SQLHelp folder previously created: 7z e –oD:\SQLHelp "C:\ProgramData\Microsoft\HelpLibrary\content\Microsoft\store\SQL_Server_Denali_Books_Online_B780_SQL_110_en-us_1.2.mshc" *.htm Well that's great Rob, but how do I put all those files into a full-text index? I'll tell you in a second, but first we have to set up a few things on the database side.  I'll be using a database named Explore (you can certainly change that) and the following setup is a fragment of the script I used in my presentation: USE Explore; GO CREATE SCHEMA help AUTHORIZATION dbo; GO -- Create default fulltext catalog for later FT indexes CREATE FULLTEXT CATALOG FTC AS DEFAULT; GO CREATE TABLE help.files(file_id int not null IDENTITY(1,1) CONSTRAINT PK_help_files PRIMARY KEY, path varchar(256) not null CONSTRAINT UNQ_help_files_path UNIQUE, doc_type varchar(6) DEFAULT('.xml'), content varbinary(max) not null); CREATE FULLTEXT INDEX ON help.files(content TYPE COLUMN doc_type LANGUAGE 1033) KEY INDEX PK_help_files; This will give you a table, default full-text catalog, and full-text index on that table for the content you're going to insert.  I'll be using the command line again for this, it's the easiest method I know: for %a in (D:\SQLHelp\*.htm) do sqlcmd -S. -E -d Explore -Q"set nocount on;insert help.files(path,content) select '%a', cast(c as varbinary(max)) from openrowset(bulk '%a', SINGLE_CLOB) as c(c)" You'll need to copy and run that as one line in a command prompt.  I'll explain what this does while you run it and watch several thousand files get imported: The "for" command allows you to loop over a collection of items.  In this case we want all the .htm files in the D:\SQLHelp folder.  For each file it finds, it will assign the full path and file name to the %a variable.  In the "do" clause, we'll specify another command to be run for each iteration of the loop.  I make a call to "sqlcmd" in order to run a SQL statement.  I pass in the name of the server (-S.), where "." represents the local default instance. I specify -d Explore as the database, and -E for trusted connection.  I then use -Q to run a query that I enclose in double quotes. The query uses OPENROWSET(BULK…SINGLE_CLOB) to open the file as a data source, and to treat it as a single character large object.  In order for full-text indexing to work properly, I have to convert the text content to varbinary. I then INSERT these contents along with the full path of the file into the help.files table created earlier.  This process continues for each file in the folder, creating one new row in the table. And that's it! 5 SQL Statements and 2 command line statements to unzip and import SQL Server Books Online!  In case you're wondering why I didn't use FILESTREAM or FILETABLE, it's simply because I haven't learned them…yet. I may return to this blog after I figure that out and update it with the steps to do so.  I believe that will make it even easier. In the spirit of exploration, I'll leave you to work on some fulltext queries of this content.  I also recommend playing around with the sys.dm_fts_xxxx DMVs (I particularly like sys.dm_fts_index_keywords, it's pretty interesting).  There are additional example queries in the download material for my presentation linked above. Many thanks to Kevin Boles (t) for his advice on (re)checking the content of the help files.  Don't let that .htm extension fool you! The 2012 help files are actually XML, and you'd need to specify '.xml' in your document type column in order to extract the full-text keywords.  (You probably noticed this in the default definition for the doc_type column.)  You can query sys.fulltext_document_types to get a complete list of the types that can be full-text indexed. I also need to thank Hilary Cotter for giving me the original idea. I believe he used MSDN content in a full-text index for an article from waaaaaaaaaaay back, that I can't find now, and had forgotten about until just a few days ago.  He is also co-author of Pro Full-Text Search in SQL Server 2008, which I highly recommend.  He also has some FTS articles on Simple Talk: http://www.simple-talk.com/sql/learn-sql-server/sql-server-full-text-search-language-features/ http://www.simple-talk.com/sql/learn-sql-server/sql-server-full-text-search-language-features,-part-2/

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  • How do I programatically determine which port a SQL Server is running on?

    - by Ralph Willgoss
    How do I programatically determine which port a SQL Server is running on?/*===== Param ref for xp_readerrorlog ===1. Value of error log file you want to read: 0 = current, 1 = Archive #1, 2 = Archive #2, etc...2. Log file type: 1 or NULL = error log, 2 = SQL Agent log3. Search string 1: String one you want to search for4. Search string 2: String two you want to search for to further refine the results5. Search from start time6. Search to end time7. Sort order for results: N'asc' = ascending, N'desc' = descendingHow many error logs do I have?SMSStudio -> Management -> SQL Server Logs -> (right click) -> configure = see values*/USE MasterGO--  get log countDECLARE @logcount intDROP TABLE #ResultCREATE TABLE #Result (ArchiveNo int, Date datetime, Size int)INSERT INTO #ResultEXEC xp_enumerrorlogsSET @logcount = (SELECT COUNT(*) FROM #Result)-- search logsDECLARE @counter intSET @counter = 0WHILE @counter <= @logcountBEGIN    EXEC xp_readerrorlog @counter, 1, N'Server is listening on', 'any', NULL, NULL, N'asc'    SET @counter = @counter + 1ENDGO

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  • CTP 4 de Juneau disponible : la boite à outils de développement pour SQL Server apporte un nouvel explorateur d'objets pour Visual Studio

    CTP 4 de Juneau disponible : la boite à outils de développement pour SQL Server apporte un nouvel explorateur d'objets pour Visual Studio Microsoft vient de publier une nouvelle version des outils de développement pour SQL Server (SSDT). Encore au stade de CTP 4 T( Community Technology Preview), le SDK pour le gestionnaire de base de données de Microsoft baptisé Juneau, apporte plusieurs améliorations et de nouvelles fonctionnalités pour la prise en charge de Denali. Juneau intègre un explorateur d'objets pour Visual Studio, qui permet d'explorer les tables et les vues de la base de données auquel le développeur est connecté. Dénommée SQL Server Object Explorer (SSOX), cette extension fonctionne de façon simi...

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