Search Results

Search found 6017 results on 241 pages for 'universal records managem'.

Page 168/241 | < Previous Page | 164 165 166 167 168 169 170 171 172 173 174 175  | Next Page >

  • MySQL - Sort on a calculated value based on two dates

    - by Petter Magnusson
    I have the following problem that needs to be solved in a MySQL query: Fields info - textfield date1 - a date field date2 - a date field offset1 - a text field with a number in the first two positions, example "10-High" offset2 - a text field with a number in the first two positions, example "10-High" I need to sort the records by the calculated "sortvalue" based on the current date (today): If today=date2 then sortvalue=offset1*10+offset2*5+1000 else sortvalue=offset1*10+offset2*5 I have quite good understanding of basic SQL with joins etc, but this I am not even sure if its possible...if it helps I could perhaps live with a single formula giving the same sort of effect as the IFs do....ie. before date1 = low value, after date2 = high value... Rgds PM

    Read the article

  • bad performance from too many caught errors?

    - by Christopher Klein
    I have a large project in C# (.NET 2.0) which contains very large chunks of code generated by SubSonic. Is a try-catch like this causing a horrible performance hit? for (int x = 0; x < identifiers.Count; x++) {decimal target = 0; try { target = Convert.ToDecimal(assets[x + identifiers.Count * 2]); // target % } catch { targetEmpty = true; }} What is happening is if the given field that is being passed in is not something that can be converted to a decimal it sets a flag which is then used further along in the record to determine something else. The problem is that the application is literally throwing 10s of thousands of exceptions as I am parsing through 30k records. The process as a whole takes almost 10 minutes for everything and my overall task is to improve that time some and this seemed like easy hanging fruit if its a bad design idea. Any thoughts would be helpful (be kind, its been a miserable day) thanks, Chris

    Read the article

  • Alternative databases to use when putting IIS Logs into a database using LogParser

    - by Robin Day
    We have run some scripts that use LogParser to dump our IIS logs into a SQL Server database. We can then query this to get simple stats on hits, usage etc. It's also good when linking it to error log databases and performance counter database to compare usage with errors, etc. Having implemented this for just one system and for the last 2-3 weeks we already have a 5GB database with around 10 million records. This is making any queries to this database quite slow and will no doubt cause storage issues if we continue to log as we are. Can anyone suggest any alternative databases that we could use for this data that would be more efficient for such logs? I'd be particularly interested in any experience of Google's BigTable or Amazon's SimbleDB. Are either of these suitable for reporting queries? COUNTs, GROUP BYs, PIVOTs?

    Read the article

  • Convert object to DateRange

    - by user655832
    I'm querying an underlying PostgreSQL database using Pandas 0.8. Pandas is returning the DataFrame properly but the underlying timestamp column in my database is being returned as a generic "object" type in Pandas. As I would eventually like to seasonal normalization of my data I am curious as to how to convert this generic "object" column to something that is appropriate for analysis. Here is my current code to retrieve the data: # get records from db example import pandas.io.sql as psql import psycopg2 # define query to get all subs created this year QRY = """ select i i, i * random() f, case when random() > 0.5 then true else false end t, (current_date - (i*random())::int)::timestamp with time zone tsz from generate_series(1,1000) as s(i) order by 4 ; """ CONN_STRING = "host='localhost' port=5432 dbname='postgres' user='postgres'" # connect to db conn = psycopg2.connect(CONN_STRING) # get some data set index on relid column df = psql.frame_query(QRY, con=conn) print "Row count retrieved: %i" % (len(df),) Thanks for any help you can render. M

    Read the article

  • Constant value.

    - by Harikrishna
    Is there any constant value like if we display it in the datagridview it will not display and if we add it in the decimal value the value remains as it is ? Like what I am doing is, I am making addition of two columns say B,C for the column A like dataTable.Columns["A"].Expression="B+C"; Now problem is when there is any value of column B or C is null then there is no value in the column A because of A=B+C like 1+null is null. And even I can not replace 0 where there is null for the column B or C because I am displaying records of each column A,B and C in the datagridview and I don't want to display value for column which has value null so if I replace 0 where there is null then 0 will be displayed for that column which I don't want. So what should I do for that ? So what is the constant value which I should replace for null value for the column B and C so if value of A remains it is and even that value will not be displayed in the datagridview.

    Read the article

  • Two Tables Serving as one Model in Rails

    - by matsko
    Is is possible in rails to setup on model which is dependant on a join from two tables? This would mean that for the the model record to be found/updated/destroyed there would need to be both records in both database tables linked together in a join. The model would just be all the columns of both tables wrapped together which may then be used for the forms and so on. This way when the model gets created/updated it is just one form variable hash that gets applied to the model? Is this possible in Rails 2 or 3?

    Read the article

  • ASP.NET and SQL server with huge data sets

    - by Jake Petroules
    I am developing a web application in ASP.NET and on one page I am using a ListView with paging. As a test I populated the table it draws from with 6 million rows. The table and a schema-bound view based off it have all the necessary indexes and executing the query in SQL Server Management Studio with SELECT TOP 5 returned in < 1 second as expected. But on the ASP.NET page, with the same query, it seems to be selecting all 6 million rows without any limit. Shouldn't the paging control limit the query to return only N rows rather than the entire data set? How can I use these ASP.NET controls to handle huge data sets with millions of records? Does SELECT [columns] FROM [tablename] quite literally mean that for the ListView, and it doesn't actually inject a TOP <n> and does all the pagination at the application level rather than the database level?

    Read the article

  • WCF large message exception

    - by Saurabh Lalwani
    Hi, I have a web service which is returning data to the desktop application. The problem I am having is, when the web service returns small volume of data everything works fine but when the volume of data is large it throws the following exception: System.Net.WebException: The underlying connection was closed: An unexpected error occurred on a receive. Can it be because it is taking a good 4-5 seconds to fetch all the records from the database and the session times out or something? Also, when I am debugging the web service, I see that this particular method is called twice and it is also returning the correct value both times, but for some reason the desktop application seems to be throwing the aforementioned exception. I found similar posts before on stackoverflow but they did not solve my problem. Can anybody please tell me what's going on in here? Thanks!

    Read the article

  • Sql Calculation And Sort By Date

    - by mahesh
    I have Confusion against utilize If,Else Statement against calculation of stock By date. And sort the same by date. There is real challenge to calculate running total between equal date: If date is equal If date is greater than If date is less than My Table Schema Is: TransID int, Auto Increment Date datetime, Inwards decimal(12,2) Outward decimal(12,2) Suppose If I have Records as Below: TransID Date(DD/MM/YYYY) Inward Outward 1 03/02/2011 100 2 12/04/2010 200 3 03/02/2011 400 Than Result Should be: TransID Date(DD/MM/YYYY) Inward Outward Balance 1 03/02/2011 100 -100 2 12/04/2010 200 -300 3 03/02/2011 400 100 I wants to calculate Inward - outwards = Balance and Balance count as running total as above. but the condition that it should be as per date order How to sort and calculate it by date and transID? What is transact SQL IN SQL_SERVER-2000**?.

    Read the article

  • Soql query to get all related contacts of an account in an opportunity

    - by Prady
    i have SOQL query which queries for some records based on a where condition. select id, name,account.name ... <other fields> from opportunity where eventname__c='Test Event' i also need to get the related contact details for the account in the opportunity. ie i need to add the email ids of contact who all are part of the account in the opportunity. For each opportunity, i need to get all the contacts emailids who are associated with the account in opportunity. I cant really figure out how to approach this. referring the documentation i can get the contact info of a account using the query SELECT Name, ( SELECT LastName FROM Contacts ) FROM Account How can i use this along with opportunity? Thanks

    Read the article

  • LINQ to SQL: Issue with concurrency

    - by Gib
    I’m working on a sandwich ordering app in ASP.NET MVC, C# and LINQ to SQL. The app revolves around the user creating multiple custom-made sandwiches from a selection of ingredients. When it comes to confirming the order I need to know that there’s enough portions of each ingredient to fulfil all the sandwiches in the user’s order before I commit to the DB as it is possible that an ingredient will go out of stock between adding it to their basket and confirming the order. A bit about the database: Ingredient – Stores ingredient details including number of portions Order – Header table for an order, simply stores the order time OrderDetail – Stores a record of each sandwich in an order OrderDetailItem – Stores each ingredient in each sandwich in an order So basically I’m wondering what the best approach to ensuring that before I add records to Order, OrderDetail and OrderDetailItem I can ensure that the order can be met.

    Read the article

  • How to deny payment via PayPal IPN?

    - by Nick
    Hello all, I need to create dynamic 'Pay Now' buttons on my site, and PayPal says the way to do this is via an HTML FORM with preset variables for the price, currency, and item of the purchase. I use PayPal IPN to notify me when a payment has complete. However, what's to stop someone from modifying the query parameters of the Pay Now button to change the price? Some people have told me to redirect the button through a PHP file that sends you to a PayPal payment page with the parameters in place, but the price could just as easily be manipulated in the Web browser's address bar. My question is, how can I deny a payment if the information I receive from PayPal's IPN service is invalid (if the price doesn't match our records)? I'm quite confused and couldn't find any documentation on what I'm looking for. Hopefully, you guys can help. Thanks!

    Read the article

  • Django: Overriding ModelAdmin save_model not working

    - by tufelkinder
    Even after obj.save(), the obj still does not have an id, so I cannot access or manipulate the m2m records. Just keep getting a "instance needs to have a primary key value before a many-to-many relationship can be used" error. def save_model(self, request, obj, form, change): obj.save() # this doesn't work super(Table2Admin, self).save_model(request, obj, form, change) # still doesn't save for tb1 in obj.table1.all: tb1_obj = ThroughTable.objects.get(table1=bk, table2=obj) # do other stuff What am I doing wrong? Why do I need to do to save this model?

    Read the article

  • Access DoCmd.OpenForm Not Working

    - by user961743
    Looking for a second set of eyes to figure out my problem with an Access form filter. I created a search form, when filled in, appends search criteria to a string variable (strQuery) that is put in place to the [WhereCondition] for opening a form. However, when the script is ran, nothing comes up except for a filtered form with no records. Here is the line that opens the form: DoCmd.OpenForm "ADD_NEW_NCMR", , , strQuery Before the line is ran, strQuery equals: 1=1 AND [NCMR].[NCMR_NUM] = '12-129' The form name, and table.column combination are all correct. In fact, using the DCount function returns the result of 1, which is correct for this query, and returns the correct number for other queries as well. This makes me think that there is nothing wrong with the where condition. DCount("[NCMR_NUM]", "NCMR", strQuery)

    Read the article

  • php cache zend framework

    - by msaif
    server side is PHP + zend framework. problem: i have huge of data appox 5000 records and no of columns are 5 in input.txt file. i like to read all data into memory only once and send some data to the every browser request. but if i update that input.txt file then updated data must be auto synchronized to that memory location. so i need to solve that problem by using memory caching technique.but caching technique has expire time.but if input.txt is updated before cache expire then i need to auto synchronize to that memory location. now i am using zend framework 1.10.is it possible in zend framework. can anybody give me some line of code of zendfrmawork i have no option to use memchached server(distributed). Only zend framwork.

    Read the article

  • Can a .csv file be used as a data source in Visual Studio 2008?

    - by Kevin
    I'm pretty new to C# and Visual Studio. I'm writing a small program that will read a .csv file and then write the records read to a SQL Server database table. I can manually parse the .csv file, but I was wondering if it is possible to somehow "describe" the .csv file to Visual Studio so that I can use it as a data source? I should mention that the first two lines in the .csv file contain header information and the following lines are the actual comma-delimited data. Also, I should mention that this program is a stand-alone console program with no user interface.

    Read the article

  • How to control order of assignment for new identity column in mssql ?

    - by alpav
    I have a table with CreateDate datetime field default(getdate()) that does not have any identity column. I would like to add identity(1,1) field that would reflect same order of existing records as CreateDate field (order by would give same results). How can I do that ? I guess if I create clustered key on CreateDate field and then add identity column it will work (not sure if it's guaranteed), is there a good/better way ? I am interested in sql 2005, but I guess the answer will be the same for sql 2008, sql 2000.

    Read the article

  • ObservableCollection Implementation

    - by wpfwannabe
    I know I am missing something obvious but I can't seem to implement ObservableCollection in my class below. IE it won't show up in intellsense. Can someone please let me know what I am missing. using System; using System.Collections.Generic; using System.Linq; using System.Text; using System.Collections; using System.Collections.ObjectModel; using System.Reflection; using System.ComponentModel; namespace MyBTOList { public class InventoryListBTO : List<InventoryBTO> { /// <summary> /// Get all inventory records from local database /// </summary> /// <returns></returns> public static InventoryListBTO GetAllInventoryRecords() { return GetInventoryListBO(Inventory.GetAllInventoryRecordsDb()); } } public class InventoryBTO : INotifyPropertyChanged { }

    Read the article

  • The width of a list that contains an embedded matrix grows unexpectedly

    - by Greg Lorenz
    I have a report in reporting services 2005 that includes a list with an embedded matrix and am attempting to put a border on the list, however, when I run the report in visual studio the matrix is growing past the end of the page and therefore the boarder is growing with it causing it to grow into the second page. It appears that there was supposedly a fix for this in reporting services 2000 service pack 1 but I am still experianceing the issue in 2005. The list has a details group that limits the records on a row to 4 using the following expression: =ceiling(rownumber("list1")/4), the matrix has a column group that should recycle those based on the rownumber determined by the list using the following expression: =rowNumber("list1_Details_Group") I have also attempted to put the list in a rectangle in hopes to stop the matrix from growing to no avail. How do I effectivly stop the matrix form growing past the space allowed by the list control?

    Read the article

  • How to solve this issue in a URL?

    - by Ayyappan.Anbalagan
    I am working on a billing project. I am passing the invoice number to another aspx page using a query parameter; i.e. /default.aspx?editid=5 is the URL. If I change the editid to 4, then the records also changes. How to solve this issue? Page 1 LinkButton InvoiceEdit = sender as LinkButton; string EditId = InvoiceEdit.CommandArgument.ToString(); Response.Redirect("edit invoice.aspx?EditId=" + EditId); Page 2 String invoiceId = Request.QueryString["InvoiceId"].ToString();

    Read the article

  • A table that has relation to itself issue

    - by Mostafa
    Hi , I've defined table with this schema : CREATE TABLE [dbo].[Codings]( [Id] [int] IDENTITY(1,1) NOT NULL, [ParentId] [int] NULL, [CodeId] [int] NOT NULL, [Title] [nvarchar](50) COLLATE Arabic_CI_AI NOT NULL, CONSTRAINT [PK_Codings] PRIMARY KEY CLUSTERED ( [Id] ASC )WITH (IGNORE_DUP_KEY = OFF) ON [PRIMARY] ) ON [PRIMARY] And fill it up with data like this : Id ParentId CodeId Title ----------- ----------- ----------- ---------- 1 NULL 0 Gender 2 1 1 Male 3 1 2 Female 4 NULL 0 Educational Level 5 4 1 BS 6 4 2 MS 7 4 3 PHD Now , I'm looking for a solution , in order , When i delete a record that is parent ( like Id= 1 or 4 ), It delete all child automatically ( all records that their ParentId is 1 or 4 ) . I supposed i can do it via relation between Id and Parent Id ( and set cascade for delete rule ) , But when i do that in MMS , the Delete Rule or Update Rule in Properties is disabled . My question is , What can i do to accomplish this ? Thank you

    Read the article

  • CakePHP: How do I order results based on a 2-level deep association model?

    - by KcYxA
    I'm hoping I won't need to resort to custom queries. A related question would be: how do I retrieve data so that if an associated model is empty, no record is retrieved at all, as opposed to an empty array for an associated model? As an oversimplified example, say I have the following models: City -- Street -- House How do I sort City results by House numbers? How do I retrieve City restuls that have at least one House in it? I don't want a record with a city name and details and an empty House array as it messes up pagination results. CakePHP retrieves House records belonging to the Street in a separate query, so putting somthing like 'House.number DESC' into the 'order' field of the search query returns a 'field does not exist' error. Any ideas?

    Read the article

  • SQL IDENTITY COLUMN

    - by andreas
    Hey guys i am have an sql table which is basically a statement. Now lest say the records i have in my table have a date and an identity column which is autonumbered and defines the order which the transactions are displayed in the front end to the client. The issue is during an insert some of the data have gone missing and some transactions between two dates are missing. I need to insert the data into the table but i need to insert them between the dates and not at the end of the table.If i do a a normal insert now the data will appear at the end of the table and not at the date i specify because the identity column is autonumbered and cannot be updated. Thanks

    Read the article

  • Where to put conditionals in ANSI-syntax SQL queries

    - by RenderIn
    What's the difference between these two queries? I've been resistant to jumping on the ANSI-syntax bandwagon because I have not been able to unravel various syntactical ambiguities. Is 1) returning the product of the join and only then filtering out those joined records which have weight = 500? And is 2) filtering out those prior to the join? Is 2 bad syntax? Why might I use that? 1: SELECT SOMETHING FROM FOO INNER JOIN BAR ON FOO.NAME = BAR.NAME WHERE BAR.WEIGHT < 500 2: SELECT SOMETHING FROM FOO INNER JOIN BAR ON FOO.NAME = BAR.NAME AND BAR.WEIGHT < 500

    Read the article

  • Thinking of an Inner Join as a Cross Join and then satisfying some condition(s)?

    - by Jian Lin
    It seems like the safest way to think of an Inner Join is to think of it as a Cross Join and then satisfying some condition(s)? Because the equi-join can be obvious, but the non-equi-join can be a bit confusing. But if we always use the Cross Join, and then filter out the ones satisfying the condition, then we get the resulting table. In other words, we can always analyze it by using the first record on the left table, and then go through every single records on the right, and then repeat that for 2nd record on the left, and for the 3rd, 4th, ... etc. So in our mind, we can analyze it using this way, and it is like O(n^2), although what happens in the DBMS maybe that it is a lot faster (when an index is present). Is there another good way to think of it besides this method?

    Read the article

< Previous Page | 164 165 166 167 168 169 170 171 172 173 174 175  | Next Page >