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  • Database design for summarized data

    - by holden
    I have a new table I'm going to add to a bunch of other summarized data, basically to take some of the load off by calculating weekly avgs. My question is whether I would be better off with one model over the other. One model with days of the week as a column with an additional column for price or another model as a series of fields for the DOW each taking a price. I'd like to know which would save me in speed and/or headaches? Or at least the trade off. IE. ID OBJECT_ID MON TUE WED THU FRI SAT SUN SOURCE OR ID OBJECT_ID DAYOFWEEK PRICE SOURCE

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  • Following Domain Driven Design with MVVM/WPF

    - by msfanboy
    Hello, I have plain POCOs here and as INotifyPropertyChanged is a Interface for the Views need its implemented in the ViewModel not the Model. Now I want to show validation errors in the View beside every textbox the user typed in data. I do not want to implemented the IDataErrorInfo interface in my Models because lets assume I am not allowed to touch them as they come from another Service/Supplier. I do not want to put my IsCustomerFirstNameLenthValid Method into the Model because I could not have access to it or I just dont want to pollute my Models with interface`s having nothing to do there! How can I validate my naked POCO`s in the ViewModel and forward the results to the View by showing validation errors ?

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  • How do I normalise this database design?

    - by Ian Roke
    I am creating a rowing reporting and statistics system for a client where I have a structure at the moment similar to the following: ----------------------------------------------------------------------------- | ID | Team | Coaches | Rowers | Event | Position | Time | ----------------------------------------------------------------------------- | 18 | TeamName | CoachName1 | RowerName1 | EventName | 1 | 01:32:34 | | | | CoachName2 | RowerName2 | | | | | | | | RowerName3 | | | | | | | | RowerName4 | | | | ----------------------------------------------------------------------------- This is an example row of data but I would like to expand this out to a Rowers table and Coaches table and so on but I don't know how best to then link that back to the Entries table which is what this is. Has anybody got any words of wisdom they could share with me? Update A Team can have any number of Coaches and Rowers, a Rower can be in many Teams (Team A, B, C etc) and a Team can have many Coaches.

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  • DoFactory Architecture Design

    - by Brendan Vogt
    Hi, Has anybody used the Patterns in Action from the Do Factory? I just have a question on the architecture. I always thought that the service must call the repository. In the solution the have ActionService and a repository. Lets say I want to get all the customers then in my controller I would call the repository's GetCustomers method. This will then call ActionService's GetCustomer's method. And then lastly another GetCustomers method is called in the customer data access object. Is this right? Any comments on the way that they implemented things in the Patterns in Action?

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  • Database Design: A proper table design for large number of column values.

    - by Jake
    I wish to perform an experiment many different times. After every trial, I am left with a "large" set of output statistics -- let's say, 1000. I would like to store the outputs of my experiments in a table, but what's the best way...? Option 1 Have a table with 1000 columns. Seems like a bad idea. What if the number of statistics one day exceeds the maximum number of columns? Option 2 Have a table with three columns. Let's say, ID, StatisticType, and StatisticValue. That way, you can have as many statistics as you want. However, reading a single experiments statistics becomes more complicated. Moreover, what if different statistics are different data types?? Any suggestions?

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  • Table Design in mysql

    - by RIDDHI
    Hi everyone, I need to create one table, Description : i need to create table based on schedule like daily, weekly & monthly, columns are like : sno, startdate, enddate, day, scheduletype For example i ll take weekly data, for my point of view : From sunday to saturday (1 - 7 )Id i create.... So lots of posibilities are creates like (1,2)(1,3) ..(1,2,3)....up to n....this twise posibility only but that will created up to 7 posibility in one. so how can i store this posibility in mysql database? If any one have an issue get back to me... Thanks in advanced!!!! Riddhi

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  • Database design to hold multiple iteration measurements

    - by Valder
    Hi All. I am new to sqlite and SQL in general. I am keen to switch from flat-files to sqlite for holding some measurement information. I need a tip on how to better layout the database, since I have zero experience with this. I have a ~10000 unique statistic counters that are collected before and after each test iteration. Max number of iterations are 10, though it could be less. I was thinking the following: CREATE TABLE stat_names(stat_id, stat_name); CREATE TABLE stats_per_iteration(stat_id, before_iter_1, after_iter_1, before_iter_2, after_iter_2, ...); stat_names table would hold mapping of a full counter to a uniq stat_id. stats_per_iteration table would hold mesurement data 1 + 10 * 2 columns. stat_names.stat_id = stats_per_iteration.stat_id OR maybe I should have a separate table for each iteration? Which would results in 1 + 10 tables in database. Thanks!

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  • UI Design - design pattern for city/country drop down? (ASP.NET MVC)

    - by JK
    What is the best way to do a city/country dropdown pair in ASP.NET MVC? I see lots of places with country above city, but that's unnatural: in real life we write city/country. I've used city, then country, but the problem is that the user then has to go backwards after changing the country. The other problem is what do you do about cities/countries not in your list? If city/country are both drop downs, then the user cant type their own city if it is missing. But if you have a dropdown and a textbox, that makes it unwieldy (you end up with 4 controls to enter 2 pieces of data). Are there any examples websites where the city/country dropdown pair are done in a very useable and clear manner?

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  • Import exponetial fixed width format data into Excel

    - by Tom Daniel
    I've received a bunch of text data files consiting of Lots of records (30K/file) of 3 fields each of 5-place numbers in exponential format: s0.nnnnnEsee (where s is +/-, n is a digit and ee is the exponent (always 2 digit). When I open the file in Notepad, the format is perfectly uniform throughout each file, but when I import it to Excel using Data|Import|Fixed Width, many of the data values get messed up, no matter what format (text, exponential, various custom tries) I assign to the cells. Looking at the Notepad version, it appears that leading + signs were replaced with a space in the data file, but the sign of the exponential is always there. This means that some fields begin with a space, and this appears to confuse the Excel import routine. I get the same result in Excel 2003 and 2007. I'm sure there's a straightforward solution (hopefully without a messy VBA routine), but I can't figure out what to try next. :-) To clarify (hopefully), here are some input records and the corresponding text input to Excel: Notepad Excel -0.11311E+01 0.10431E-04 0.27018E-03 -0.11311E 1.0431E-05 2.7018E-04 0.19608E+00-0.81414E-02-0.89553E-02 0.19608E -8.1414E-03 8.9553E-03 etc. Whoopee! Solved my own problem - in the spirit of Jeopardy, now that I've begun the question, here's the answer - Use a different "File Origin" - several other than the default "Unicode UTF..." work fine! What a pain. Hope this helps somebody else avoid a few unpleasant hours! Aloha from Kona, Tom

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  • Recover data from quick formatted DVD-R

    - by Andrii Kalytiiuk
    I need to recover data from quick-formatted DVD-R. Please advise a free of charge option (cheap commercial tools will be ok either). Disk was partially recorded with Windows built in disk recorder and recording most likely was not complete. Afterwards I have inserted partially recorded DVD again and on Windows recorder's message box 'How to use this disk?' selected - 'use for CD/DVD player' and data was completely lost - as new recording session was started. Files of photos were recorded on disk. What I have tried so far: DiskInternals CD-DVD recovery - sees 5 jpg files but can't show preview. Tool is commercial - trial version does not allow to recover files. CDCheck - doesn't see any files and reports errors at attempt to scand DVD CD Recovery Toolbox Free - does not even recognize DVD drive ISO Buster - recognizes two files - one MP3 file for 99% of recorded size and one ARC file for about 100 KB MiniTool Power Data Recovery - Free Edition - does not see any files on DVD Stellar Phoenix CD DVD Data Recovery - does not see any files BinaryBiz Virtual Lab - sees DVD disk but needs license to browse content Please advise how is it possible to recover files from DVD.

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  • .NET app - Should we use SQL Server and duplicate some reference data from an external Oracle DB? Or use Oracle and have a DB link?

    - by Daventry
    We're looking to migrate some existing Excel/Access processes into a new system which will provide the users with a Silverlight frontend to run and view the reports instead of using MS Access. The initial idea was to have SQL Server 2008 as RDBMS. The problem is that we've got some static data such as country codes, counterparties, etc which live in an existing Oracle DB. Since we do not want to duplicate that data (if possible), we were thinking of having a DB link between SQL Server and Oracle, but our firm does not allow that. So the options are either duplicate the data or use Oracle as RDBMS - surprise, the firm does allow DB links between Oracle databases. The initial idea was also to use WCF RIA Services, Entity Framework, etc which we're not sure they play well with Oracle, that's why it was decided to go with SQL Server in the first place. Would you advise to go for Oracle so that we can just link the static data? Or use SQL Server 2008 and replicate it because it's "safer" to stay within the Microsoft land? To use or not to use Entity Framework and WCF RIA Services at all? Regards. UPDATE: Thanks everyone for your answers. Nothing is set in stone yet. We'll try to import the data instead of linking, as if the other DB goes down, our system can still carry on. We're likely to use SQL Server just because most developers are more experienced with it. Even if we used RIA Services, we can swap out the Data Access Layer and use other frameworks such those mentioned below.

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  • Android: ListActivity design - changing the content of the List Adapter

    - by Rob
    Hi, I would like to write a rather simple content application which displays a list of textual items (along with a small pic). I have a standard menu in which each menu item represents a different category of textual items (news, sports, leisure etc.). Pressing a menu item will display a list of textual items of this category. Now, having a separate ListActivity for each category seems like an overkill (or does it?..) Naturally, it makes much more sense to use one ListActivity and replace the data of its adapter when each category is loaded. My concern is when "back" is pressed. The adapter is loaded with items of the current category and now I need to display list of the previous category (and enable clicking on list items too...). Since I have only one activity - I thought of backup and load mechanism in onPause() and onResume() functions as well as making some distinction whether these function are invoked as a result of a "new" event (menu item selected) or by a "back" press. This seems very cumbersome for such a trivial usage... Am I missing something here? Thanks, Rob

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  • Database design grouping contacts by lists and companies

    - by Serge
    Hi, I'm wondering what would be the best way to group contacts by their company. Right now a user can group their contacts by custom created lists but I'd like to be able to group contacts by their company as well as store the contact's position (i.e. Project Manager of XYZ company). Database wise this is what I have for grouping contacts into lists contact [id_contact] [int] PK NOT NULL, [lastName] [varchar] (128) NULL, [firstName] [varchar] (128) NULL, ...... contact_list [id_contact] [int] FK, [id_list] [int] FK, list [id_list] [int] PK [id_user] [int] FK [list_name] [varchar] (128) NOT NULL, [description] [TEXT] NULL Should I implement something similar for grouping contacts by company? If so how would I store the contact's position in that company and how can I prevent data corruption if a user modifies a contact's company name. For instance John Doe changed companies but the other co-workers are still in the old company. I doubt that will happen often (might not even happen at all) but better be safe than sorry. I'm also keeping an audit trail so in a way the contact would still need to be linked to the old company as well as the new one but without confusing what company he's actually working at the moment. I hope that made sense... Has anyone encountered such a problem? UPDATE Would something like this make sense contact_company [id_contact_company] [int] PK [id_contact] [int] FK [id_company] [int] FK [contact_title] [varchar] (128) company [id_company] [int] PK NOT NULL, [company_name] [varchar] (128) NULL, [company_description] [varchar] (300) NULL, [created_date] [datetime] NOT NULL This way a contact can work for more than one company and contacts can be grouped by companies

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  • Flexible design - customizable entity model, UI and workflow

    - by Ngm
    Hi All, I want to achieve the following aspects in the software I am building: 1. Customizable entity model 2. Customizable UI 3. Customizable workflow I have thought about an approach to achieve this, I want you to review this and make suggestions: Entity objects should be plain objects and will hold just data Separate Entity model and DB Schema by using an framework (like NHibernate?). This will allow easy modification of entity objects. Business logic to fetch/modify entities has to be granular enough so that they can be invoked as part of the workflow. Business objects should not hold any state, and hence will contain only static methods The workflow will decide depending upon the "state" of an entity/entities which methods on business object/objects to invoke. The workflow should obtain the results of the processing and then pass on the business objects to the appropriate UI screen. The UI screen has to contain instructions about how to display a given entity/entites. Possibly the UI has to be generated dynamically based on a set of UI instructions. (like XUL) What do you think about this approach? Suggest which existing frameworks (like NHiberante, Window Workflow) fit into this model, so that I will not spend time on coding these frameworks Also suggest is there any asp.net framework that can generate dynamic asp.net ajax pages based on a set of UI instructions (like Mozilla XUL)? I have recently been exploring Apache Ofbiz and was impressed by its ability to customize most areas of the application: UI, workflow, entities. Is there any similar (not necessarily an ERP system) application developed in C#/.Net which offers a similar level of customization? I am looking for examples of applications developed in C# that are highly customizable in terms of UI, Workflow and Entity Model

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  • UI Design, incase of numerous situations

    - by The King
    Hi... I'm creating a web form, where in there are around 12-15 Input Fields... You can have a look at the screen and The request is such that depending on the data the user selects in the Gridview and the DropDown list, the appropriate Textboxes and CheckBoxes needs to be displayed. Some times the conditions are very direct, like when the DDL value is "ABC", get only paid amount from the user. Sometime they are so complex like... IF DDL is "DEF" and Selected GPMS value is between 1000-2000, calculate the values of allowed, paid etc (using some formula) and the focus should be directed to Page No Field, leaving the other fields open incase user wants to edit... There are around 10-15 conditions like this. As this was done through agile, conditions were being added as and when, and wherever it feels appropriate (DDL on change Event, GridView on selecting change event etc... etc..) After completion, now I see the code has become a big chuck, is growing unmanageably... Now, I'm planning to clear this... From you experience, what you think is the best way to handle this. There is a possibility to add more conditions like this in future... Please let me know, incase you need more information. I'm currently developing this app in C# .Net WindowsForms Edit: Currently there are only three items (The Datagrid, the DDL, the OverrideAmt CheckBox) that change the way other fields behave... Almost all of the conditions will fall between the two situations I mentioned... Mostly they belong to "Enabling/Disabling".. "Setting of Values"... and "Changing Focus" or any combination of these.

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  • Schema-less design guidelines for Google App Engine Datastore and other NoSQL DBs

    - by jamesaharvey
    Coming from a relational database background, as I'm sure many others are, I'm looking for some solid guidelines for setting up / designing my datastore on Google App Engine. Are there any good rules of thumb people have for setting up these kinds of schema-less data stores? I understand some of the basics such as denormalizing since you can't do joins, but I was wondering what other recommendations people had. The particular simple example I am working with concerns storing searches and their results. For example I have the following 2 models defined in my Google App Engine app using Python: class Search(db.Model): who = db.StringProperty() what = db.StringProperty() where = db.StringProperty() createDate = db.DateTimeProperty(auto_now_add=True) class SearchResult(db.Model): title = db.StringProperty() content = db.StringProperty() who = db.StringProperty() what = db.StringProperty() where = db.StringProperty() createDate = db.DateTimeProperty(auto_now_add=True) I'm duplicating a bunch of properties between the models for the sake of denormalization since I can't join Search and SearchResult together. Does this make sense? Or should I store a search ID in the SearchResult model and effectively 'join' the 2 models in code when I retrieve them from the datastore? Please keep in mind that this is a simple example. Both models will have a lot more properties and the way I'm approaching this right now, I would put any property I put in the Search model in the SearchResult model as well.

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  • table design for storing large number of rows

    - by hyperboreean
    I am trying to store in a postgresql database some unique identifiers along with the site they have been seen on. I can't really decide which of the following 3 option to choose in order to be faster and easy maintainable. The table would have to provide the following information: the unique identifier which unfortunately it's text the sites on which that unique identifier has been seen The amount of data that would have to hold is rather large: there are around 22 millions unique identifiers that I know of. So I thought about the following designs of the table: id - integer identifier - text seen_on_site - an integer, foreign key to a sites table This approach would require around 22 mil multiplied by the number of sites. id - integer identifier - text seen_on_site_1 - boolean seen_on_site_2 - boolean ............ seen_on_site_n - boolean Hopefully the number of sites won't go past 10. This would require only the number of unique identifiers that I know of, that is around 20 millions, but it would make it hard to work with it from an ORM perspective. one table that would store only unique identifiers, like in: id - integer unique_identifier - text, one table that would store only sites, like in: id - integer site - text and one many to many relation, like: id - integer, unique_id - integer (fk to the table storing identifiers) site_id - integer (fk to sites table) another approach would be to have a table that stores unique identifiers for each site So, which one seems like a better approach to take on the long run?

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  • Table index design

    - by Swoosh
    I would like to add index(s) to my table. I am looking for general ideas how to add more indexes to a table. Other than the PK clustered. I would like to know what to look for when I am doing this. So, my example: This table (let's call it TASK table) is going to be the biggest table of the whole application. Expecting millions records. IMPORTANT: massive bulk-insert is adding data in this table table has 27 columns: (so far, and counting :D ) int x 9 columns = id-s varchar x 10 columns bit x 2 columns datetime x 5 columns INT COLUMNS all of these are INT ID-s but from tables that are usually smaller than Task table (10-50 records max), example: Status table (with values like "open", "closed") or Priority table (with values like "important", "not so important", "normal") there is also a column like "parent-ID" (self - ID) join: all the "small" tables have PK, the usual way ... clustered STRING COLUMNS there is a (Company) column (string!) that is something like "5 characters long all the time" and every user will be restricted using this one. If in Task there are 15 different "Companies" the logged in user would only see one. So there's always a filter on this one. Might be a good idea to add an index to this column? DATE COLUMNS I think they don't index these ... right? Or can / should be?

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  • Advice on Linq to SQL mapping object design

    - by fearofawhackplanet
    I hope the title and following text are clear, I'm not very familiar with the correct terms so please correct me if I get anything wrong. I'm using Linq ORM for the first time and am wondering how to address the following. Say I have two DB tables: User ---- Id Name Phone ----- Id UserId Model The Linq code generator produces a bunch of entity classes. I then write my own classes and interfaces which wrap these Linq classes: class DatabaseUser : IUser { public DatabaseUser(User user) { _user = user; } public Guid Id { get { return _user.Id; } } ... etc } so far so good. Now it's easy enough to find a users phones from Phones.Where(p => p.User = user) but surely comsumers of the API shouldn't need to be writing their own Linq queries to get at data, so I should wrap this query in a function or property somewhere. So the question is, in this example, would you add a Phones property to IUser or not? In other words, should my interface specifically be modelling my database objects (in which case Phones doesn't belong in IUser), or are they actually simply providing a set of functions and properties which are conceptually associated with a User (in which case it does)? There seems drawbacks to both views, but I'm wondering if there is a standard approach to the problem. Or just any general words of wisdom you could share. My first thought was to use extension methods but in fact that doesn't work in this case.

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  • Oracle SQL Developer Data Modeler: What Tables Aren’t In At Least One SubView?

    - by thatjeffsmith
    Organizing your data model makes the information easier to consume. One of the organizational tools provided by Oracle SQL Developer Data Modeler is the ‘SubView.’ In a nutshell, a SubView is a subset of your model. The Challenge: I’ve just created a model which represents my entire ____________ application. We’ll call it ‘residential lending.’ Instead of having all 100+ tables in a single model diagram, I want to break out the tables by module, e.g. appraisals, credit reports, work histories, customers, etc. I’ve spent several hours breaking out the tables to one or more SubViews, but I think i may have missed a few. Is there an easy way to see what tables aren’t in at least ONE subview? The Answer Yes, mostly. The mostly comes about from the way I’m going to accomplish this task. It involves querying the SQL Developer Data Modeler Reporting Schema. So if you don’t have the Reporting Schema setup, you’ll need to do so. Got it? Good, let’s proceed. Before you start querying your Reporting Schema, you might need a data model for the actual reporting schema…meta-meta data! You could reverse engineer the data modeler reporting schema to a new data model, or you could just reference the PDFs in \datamodeler\reports\Reporting Schema diagrams directory. Here’s a hint, it’s THIS one The Query Well, it’s actually going to be at least 2 queries. We need to get a list of distinct designs stored in your repository. For giggles, I’m going to get a listing including each version of the model. So I can query based on design and version, or in this case, timestamp of when it was added to the repository. We’ll get that from the DMRS_DESIGNS table: SELECT DISTINCT design_name, design_ovid, date_published FROM DMRS_designs Then I’m going to feed the design_ovid, down to a subquery for my child report. select name, count(distinct diagram_id) from DMRS_DIAGRAM_ELEMENTS where design_ovid = :dESIGN_OVID and type = 'Table' group by name having count(distinct diagram_id) < 2 order by count(distinct diagram_id) desc Each diagram element has an entry in this table, so I need to filter on type=’Table.’ Each design has AT LEAST one diagram, the master diagram. So any relational table in this table, only having one listing means it’s not in any SubViews. If you have overloaded object names, which is VERY possible, you’ll want to do the report off of ‘OBJECT_ID’, but then you’ll need to correlate that to the NAME, as I doubt you’re so intimate with your designs that you recognize the GUIDs So I’m going to cheat and just stick with names, but I think you get the gist. My Model Of my almost 90 tables, how many of those have I not added to at least one SubView? Now let’s run my report! Voila! My ‘BEER2′ table isn’t in any SubView! It says ’1′ because the main model diagram counts as a view. So if the count came back as ’2′, that would mean the table was in the main model diagram and in 1 SubView diagram. And I know what you’re thinking, what kind of residential lending program would have a table called ‘BEER2?’ Let’s just say, that my business model has some kinks to work out!

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  • Another design-related C++ question

    - by Kotti
    Hi! I am trying to find some optimal solutions in C++ coding patterns, and this is one of my game engine - related questions. Take a look at the game object declaration (I removed almost everything, that has no connection with the question). // Abstract representation of a game object class Object : public Entity, IRenderable, ISerializable { // Object parameters // Other not really important stuff public: // @note Rendering template will never change while // the object 'lives' Object(RenderTemplate& render_template, /* params */) : /*...*/ { } private: // Object rendering template RenderTemplate render_template; public: /** * Default object render method * Draws rendering template data at (X, Y) with (Width, Height) dimensions * * @note If no appropriate rendering method overload is specified * for any derived class, this method is called * * @param Backend & b * @return void * @see */ virtual void Render(Backend& backend) const { // Render sprite from object's // rendering template structure backend.RenderFromTemplate( render_template, x, y, width, height ); } }; Here is also the IRenderable interface declaration: // Objects that can be rendered interface IRenderable { /** * Abstract method to render current object * * @param Backend & b * @return void * @see */ virtual void Render(Backend& b) const = 0; } and a sample of a real object that is derived from Object (with severe simplifications :) // Ball object class Ball : public Object { // Ball params public: virtual void Render(Backend& b) const { b.RenderEllipse(/*params*/); } }; What I wanted to get is the ability to have some sort of standard function, that would draw sprite for an object (this is Object::Render) if there is no appropriate overload. So, one can have objects without Render(...) method, and if you try to render them, this default sprite-rendering stuff is invoked. And, one can have specialized objects, that define their own way of being rendered. I think, this way of doing things is quite good, but what I can't figure out - is there any way to split the objects' "normal" methods (like Resize(...) or Rotate(...)) implementation from their rendering implementation? Because if everything is done the way described earlier, a common .cpp file, that implements any type of object would generally mix the Resize(...), etc methods implementation and this virtual Render(...) method and this seems to be a mess. I actually want to have rendering procedures for the objects in one place and their "logic implementation" - in another. Is there a way this can be done (maybe alternative pattern or trick or hint) or this is where all this polymorphic and virtual stuff sucks in terms of code placement?

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  • Triggering custom events in AJAX callbacks

    - by Sabrina Gelbart
    I'm pretty new to JavaScript, but one of the things that's been frustrating is that our AJAX callbacks have been getting packed with different functionality, making it difficult to keep everything separated and organized. I'm really new to programming, I have a feeling learning MVC a bit more would help me, but for now using custom events seems like it could help me keep my code a lot cleaner and prevent some problems. Here's what I'm talking about: function myAjaxFunction(){ $.post('ajax/test.html', function(data) { $(document).trigger('testDataLoaded',data); }); } function myOtherFunctionThatsDependentUponAjax(){ $(document).one('testDataLoaded', function(data){ alert (data); } } I also don't know if it's ok that I'm triggering document or not... Are there any patterns that look like this that I can read more about? What are the potential problems with this?

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  • Refreshing imported MySQL data with MySQL for Excel

    - by Javier Rivera
    Welcome to another blog post from the MySQL for Excel Team. Today we're going to talk about a new feature included since MySQL for Excel 1.3.0, you can install the latest GA or maintenance version using the MySQL Installer or optionally you can download directly any GA or non-GA version from the MySQL Developer Zone.As some users suggested in our forums we should be maintaining the link between tables and Excel not only when editing data through the Edit MySQL Data option, but also when importing data via Import MySQL Data. Before 1.3.0 this process only provided you with an offline copy of the Table's data into Excel and you had no way to refresh that information from the DB later on. Now, with this new feature we'll show you how easy is to work with the latest available information at all times. This feature is transparent to you (it doesn't require additional steps to work as long as the users had the Create an Excel Table for the imported MySQL table data option enabled. To ensure you have this option checked, click over Advanced Options... after the Import Data dialog is displayed). The current blog post assumes you already know how to import data into excel, you could always take a look at our previous post How To - Guide to Importing Data from a MySQL Database to Excel using MySQL for Excel if you need further reference on that topic. After importing Data from a MySQL Table into Excel, you can refresh the data in 3 ways.1. Simply right click over the range of the imported data, to show the pop-up menu: Click over the Refresh button to obtain the latest copy of the data in the table. 2. Click the Refresh button on the Data ribbon: 3. Click the Refresh All button in the Data ribbon (beware this will refresh all Excel tables in the Workbook): Please take a note of a couple of details here, the first one is about the size of the table. If by the time you refresh the table new columns had been added to it, and you originally have imported all columns, the table will grow to the right. The same applies to rows, if the table has new rows and you did not limit the results , the table will grow to to the bottom of the sheet in Excel. The second detail you should take into account is this operation will overwrite any changes done to the cells after the table was originally imported or previously refreshed: Now with this new feature, imported data remains linked to the data source and is available to be updated at all times. It empowers the user to always be able to work with the latest version of the imported MySQL data. We hope you like this this new feature and give it a try! Remember that your feedback is very important for us, so drop us a message with your comments, suggestions for this or other features and follow us at our social media channels: MySQL on Windows (this) Blog: https://blogs.oracle.com/MySqlOnWindows/ MySQL for Excel forum: http://forums.mysql.com/list.php?172 Facebook: http://www.facebook.com/mysql YouTube channel: https://www.youtube.com/user/MySQLChannel Thanks!

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  • Analyzing data from same tables in diferent db instances.

    - by Oscar Reyes
    Short version: How can I map two columns from table A and B if they both have a common identifier which in turn may have two values in column C Lets say: A --- 1 , 2 B --- ? , 3 C ----- 45, 2 45, 3 Using table C I know that id 2 and 3 belong to the same item ( 45 ) and thus "?" in table B should be 1. What query could do something like that? EDIT Long version ommited. It was really boring/confusing EDIT I'm posting some output here. From this query: select distinct( rolein) , activityin from taskperformance@dm_prod where activityin in ( select activityin from activities@dm_prod where activityid in ( select activityid from activities@dm_prod where activityin in ( select distinct( activityin ) from taskperformance where rolein = 0 ) ) ) I have the following parts: select distinct( activityin ) from taskperformance where rolein = 0 Output: http://question1337216.pastebin.com/f5039557 select activityin from activities@dm_prod where activityid in ( select activityid from activities@dm_prod where activityin in ( select distinct( activityin ) from taskperformance where rolein = 0 ) ) Output: http://question1337216.pastebin.com/f6cef9393 And finally: select distinct( rolein) , activityin from taskperformance@dm_prod where activityin in ( select activityin from activities@dm_prod where activityid in ( select activityid from activities@dm_prod where activityin in ( select distinct( activityin ) from taskperformance where rolein = 0 ) ) ) Output: http://question1337216.pastebin.com/f346057bd Take for instace activityin 335 from first query ( from taskperformance B) . It is present in actvities from A. But is not in taskperformace in A ( but a the related activities: 92, 208, 335, 595 ) Are present in the result. The corresponding role in is: 1

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  • Extract wrong data from a frame in C?

    - by ipkiss
    I am writing a program that reads the data from the serial port on Linux. The data are sent by another device with the following frame format: |start | Command | Data | CRC | End | |0x02 | 0x41 | (0-127 octets) | | 0x03| ---------------------------------------------------- The Data field contains 127 octets as shown and octet 1,2 contains one type of data; octet 3,4 contains another data. I need to get these data. Because in C, one byte can only holds one character and in the start field of the frame, it is 0x02 which means STX which is 3 characters. So, in order to test my program, On the sender side, I construct an array as the frame formatted above like: char frame[254]; frame[0] = 0x02; // starting field frame[1] = 0x41; // command field which is character 'A' ..so on.. And, then On the receiver side, I take out the fields like: char result[254]; // read data read(result); printf("command = %c", result[1]); // get the command field of the frame // get other field's values the command field value (result[1]) is not character 'A'. I think, this because the first field value of the frame is 0x02 (STX) occupying 3 first places in the array frame and leading to the wrong results on the receiver side. How can I correct the issue or am I doing something wrong at the sender side? Thanks all. related questions: http://stackoverflow.com/questions/2500567/parse-and-read-data-frame-in-c http://stackoverflow.com/questions/2531779/clear-data-at-serial-port-in-linux-in-c

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