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  • Is any tool can help create/fix a table into normal form?

    - by WuYi
    Hi,I know the importance of being normal in database design. But many people always lives with broken windows. Is any tool can help create/fix a table to normal form? I mean to force developer create table in normal form, or help to check if the table being normal base on existed data within the table. Thanks……

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  • How do I mysql select with aliases from another table?

    - by Rob
    I'm working with a CMS system where I cannot control database column names. And I've got two related tables: Table: content +------------+----------+----------+----------+----------+ | content_id | column_1 | column_2 | column_3 | column_4 | +------------+----------+----------+----------+----------+ | 1 | stuff | junk | text | info | | 2 | trash | blah | what | bio | +------------+----------+----------+----------+----------+ Table: column_names +------------+-------------+ | column_id | column_name | +------------+-------------+ | 1 | good_text | | 2 | bad_text | | 3 | blue_text | | 4 | red_text | +------------+-------------+ What I'd like to do here is select from the first table, but select the columns AS the column_name from the second table. So my result would look like: +------------+-----------+----------+-----------+----------+ | content_id | good_text | bad_text | blue_text | red_text | +------------+-----------+----------+-----------+----------+ | 1 | stuff | junk | text | info | | 2 | trash | blah | what | bio | +------------+-----------+----------+-----------+----------+

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  • Can you define values in a SQL statement that you can join/union, but are not stored in a table outs

    - by Mervyn
    I'm trying to create a query and need to join against something that I can define values in without creating a table. I'll attempt to describe what I'm trying to do: table1 is joined on field a with table2 (titles for FK in table 1) - Table1 has values outside of what exists in table2 - I want to add an additional 'table' to be unioned with table2 and then joined with table 1 Thanks

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  • Configure TFS portal afterwards

    Update #1 January 8th, 2010: There is an updated post on this topic for Beta 2: http://www.ewaldhofman.nl/post/2009/12/10/Configure-TFS-portal-afterwards-Beta-2.aspx Update #2 October 10th, 2010: In the new Team Foundation Server Power Tools September 2010, there is now a command to create a portal. tfpt addprojectportal   Add or move portal for an existing team project Usage: tfpt addprojectportal /collection:uri                              /teamproject:"project name"                              /processtemplate:"template name"                              [/webapplication:"webappname"]                              [/relativepath:"pathfromwebapp"]                              [/validate]                              [/verbose] /collection Required. URL of Team Project Collection. /teamproject Required. Specifies the name of the team project. /processtemplate Required. Specifies that name of the process template. /webapplication The name of the SharePoint Web Application. Must also specify relativepath. /relativepath The path for the site relative to the root URL for the SharePoint Web Application. Must also specify webapplication. /validate Specifies that the user inputs are to be validated. If specified, only validation will be done and no portal setting will be changed. /verbose Switches on the verbose mode. I created a new Team Project in TFS 2010 Beta 1 and choose not to configure SharePoint during the creation of the Team Project. Of course I found out fairly quickly that a portal for TFS is very useful, especially the Iteration and the Product backlog workbooks and the dashboard reports. This blog describes how you can configure the sharepoint portal afterwards. Update: September 9th, 2009 Adding the portal afterwards is much easier as described below. Here are the steps Step 1: Create a new temporary project (with a SharePoint site for it). Open the Team Explorer Right click in the Team Explorer the root node (i.e. the project collection) Select "New team project" from the menu Walk throught he wizard and make sure you check the option to create the portal (which is by default checked) Step 2: Disable the site for the new project Open the Team Explorer Select the team project you created in step 1 In the menu click on Team -> Show Project Portal. In the menu click on Team -> Team Project Settings -> Portal Settings... The following dialog pops up Uncheck the option "Enable team project portal" Confirm the dialog with OK Step 3: Enable the site for the original one. Point it to the newly created site. Open the Team Explorer Select the team project you want to add the portal to In the menu open Team -> Team Project Settings -> Portal Settings... The same dialog as in step 2 pops up Check the option "Enable team project portal" Click on the "Configure URL" button The following dialog pops up   In the dialog select in the combobox of the web application the TFS server Enter in the Relative site path the text "sites/[Project Collection Name]/[Team Project Name created in step 1]" Confirm the "Specify an existing SharePoint Site" with OK Check the "Reports and dashboards refer to data for this team project" option Confirm the dialog "Project Portal Settings" with OK Step 4: Delete the temporary project you created. In Beta 1, I have found no way to delete a team project. Maybe it will be available in TFS 2010 Beta 2. Original post Step 1: Create new portal site Go to the sharepoint site of your project collection (/sites//default.aspx">/sites//default.aspx">http://<servername>/sites/<project_collection_name>/default.aspx) Click on the Site Actions at the left side of the screen and choose the option Site Settings In the site settings, choose the Sites and workspaces option Create a new site Enter the values for the Title, the description, the site address. And choose for the TFS2010 Agile Dashboard as template. Create the site, by clicking on the Create button Step 2: Integrate portal site with team project Open Visual Studio Open the Team Explorer (View -> Team Explorer) Select in the Team Explorer tool window the Team Project for which you are create a new portal Open the Project Portal Settings (Team -> Team Project Settings -> Portal Setings...) Check the Enable team project portal checkbox Click on Configure URL... You will get a new dialog as below Enter the url to the TFS server in the web application combobox And specify the relative site path: sites/<project collection>/<site name> Confirm with OK Check in the Project Portal Settings dialog the checkbox "Reports and dashboards refer to data for this team project" Confirm the settings with OK (this takes a while...) When you now browse to the portal, you will see that the dashboards are now showing up with the data for the current team project. Step 3: Download process template To get a copy of the documents that are default in a team project, we need to have a fresh set of files that are not attached to a team project yet. You can do that with the following steps. Start the Process Template Manager (Team -> Team Project Collection Settings -> Process Template Manager...) Choose the Agile process template and click on download Choose a folder to download Step 4: Add Product and Iteration backlog Go to the Team Explorer in Visual Studio Make sure the team project is in the list of team projects, and expand the team project Right click the Documents node, and choose New Document Library Enter "Shared Documents", and click on Add Right click the Shared Documents node and choose Upload Document Go the the file location where you stored the process template from step 3 and then navigate to the subdirectory "Agile Process Template 5.0\MSF for Agile Software Development v5.0\Windows SharePoint Services\Shared Documents\Project Management" Select in the Open Dialog the files "Iteration Backlog" and "Product Backlog", and click Open Step 5: Bind Iteration backlog workbook to the team project Right click on the "Iteration Backlog" file and select Edit, and confirm any warning messages Place your cursor in cell A1 of the Iteration backlog worksheet Switch to the Team ribbon and click New List. Select your Team Project and click Connect From the New List dialog, select the Iteration Backlog query in the Workbook Queries folder. The final step is to add a set of document properties that allow the workbook to communicate with the TFS reporting warehouse. Before we create the properties we need to collect some information about your project. The first piece of information comes from the table created in the previous step.  As you collect these properties, copy them into notepad so they can be used in later steps. Property How to retrieve the value? [Table name] Switch to the Design ribbon and select the Table Name value in the Properties portion of the ribbon [Project GUID] In the Visual Studio Team Explorer, right click your Team Project and select Properties.  Select the URL value and copy the GUID (long value with lots of characters) at the end of the URL [Team Project name] In the Properties dialog, select the Name field and copy the value [TFS server name] In the Properties dialog, select the Server Name field and copy the value [UPDATE] I have found that this is not correct: you need to specify the instance of your SQL Server. The value is used to create a connection to the TFS cube. Switch back to the Iteration Backlog workbook. Click the Office button and select Prepare – Properties. Click the Document Properties – Server drop down and select Advanced Properties. Switch to the Custom tab and add the following properties using the values you collected above. Variable name Value [Table name]_ASServerName [TFS server name] [Table name]_ASDatabase tfs_warehouse [Table name]_TeamProjectName [Team Project name] [Table name]_TeamProjectId [Project GUID] Click OK to close the properties dialog. It is possible that the Estimated Work (Hours) is showing the #REF! value. To resolve that change the formula with: =SUMIFS([Table name][Original Estimate]; [Table name][Iteration Path];CurrentIteration&"*";[Table name][Area Path];AreaPath&"*";[Table name][Work Item Type]; "Task") For example =SUMIFS(VSTS_ab392b55_6647_439a_bae4_8c66e908bc0d[Original Estimate]; VSTS_ab392b55_6647_439a_bae4_8c66e908bc0d[Iteration Path];CurrentIteration&"*";VSTS_ab392b55_6647_439a_bae4_8c66e908bc0d[Area Path];AreaPath&"*";VSTS_ab392b55_6647_439a_bae4_8c66e908bc0d[Work Item Type]; "Task") Also the Total Remaining Work in the Individual Capacity table may contain #REF! values. To resolve that change the formula with: =SUMIFS([Table name][Remaining Work]; [Table name][Iteration Path];CurrentIteration&"*";[Table name][Area Path];AreaPath&"*";[Table name][Assigned To];[Team Member];[Table name][Work Item Type]; "Task") For example =SUMIFS(VSTS_ab392b55_6647_439a_bae4_8c66e908bc0d[Remaining Work]; VSTS_ab392b55_6647_439a_bae4_8c66e908bc0d[Iteration Path];CurrentIteration&"*";VSTS_ab392b55_6647_439a_bae4_8c66e908bc0d[Area Path];AreaPath&"*";VSTS_ab392b55_6647_439a_bae4_8c66e908bc0d[Assigned To];[Team Member];VSTS_ab392b55_6647_439a_bae4_8c66e908bc0d[Work Item Type]; "Task") Save and close the workbook. Step 6: Bind Product backlog workbook to the team project Repeat the steps for binding the Iteration backlog for thiw workbook too. In the worksheet Capacity, the formula of the Storypoints might be missing. You can resolve it with: =IF([Iteration]="";"";SUMIFS([Table name][Story Points];[Table name][Iteration Path];[Iteration]&"*")) Example =IF([Iteration]="";"";SUMIFS(VSTS_487f1e4c_db30_4302_b5e8_bd80195bc2ec[Story Points];VSTS_487f1e4c_db30_4302_b5e8_bd80195bc2ec[Iteration Path];[Iteration]&"*"))

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  • How to make a table structure for products to be available for both wholesale and retail?

    - by kmy
    Ignoring the different column details like colors, shapes, and sizes, I already have an idea of dealing with that, I'm more interested in dealing with retail pricing, whole pricing (with or without a table), and possibly discount. If anything, I want to know what I should also take account for. Will it just be adding a quantity column, two pricing cols, and two discount columns, and a quantity limit? If I were to add a pricing table it would be inserted as a json file, would this be a bad idea? Please give any insight about this.

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  • Where should I put a method that returns a list of active entries of a table?

    - by darga33
    I have a class named GuestbookEntry that maps to the properties that are in the database table named "guestbook". Very simple! Originally, I had a static method named getActiveEntries() that retrieved an array of all GuestbookEntry objects. Each row in the guestbook table was an object that was added to that array. Then while learning how to properly design PHP classes, I learned some things: Static methods are not desirable. Separation of Concerns Single Responsibility Principle If the GuestbookEntry class should only be responsible for managing single guestbook entries then where should this getActiveEntries() method most properly go? Update: I am looking for an answer that complies with the SOLID acronym principles and allows for test-ability. That's why I want to stay away from static calls/standard functions. DAO, repository, ...? Please explain as though your explanation will be part of "Where to Locate FOR DUMMIES"... :-)

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  • Microsoft fait un pas de plus vers la démocratisation de Surface, en dévoilant une nouvelle mouture de sa table tactile

    Microsoft fait un pas de plus vers la démocratisation de Surface, en dévoilant une nouvelle mouture de sa table tactile Mise à jour du 06.01.2011 par Katleen Souvenez-vous de la Surface, cette table basse tactile développée par Microsoft que nous vous présentions en novembre 2009. L'objet était déjà très intéressant, mais connaissait quelques lenteurs et était plutôt massif (ceux qui l'ont déjà déplacé s'en souviennent assurément). En plus de cela, le joujou était extrêmement coûteux, de quoi vous faire dire que son acquisition, ça ne sera même pas dans dix ou vingt ans (sans les intérêts). Microsoft nourrissait déjà à l'époque l'espoir de voir un jour sa technologie plus accessible. Et la firme semble emprunter ce chemin.

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  • Can it be a good idea to create a new table for each client of a webapp?

    - by Will
    This is semi-hypothetical, and as I've no experience in dealing with massive database tables, I have no idea if this is horrible for some reason. On to the situation: Imagine a web based application - lets say accounting software - which has 20,000 clients and each client has 1000+ entries in a table. That's 20 million rows which I know can certainly slow down complex queries. In a case like this, does it make more sense to create a new table in the database for each client? How do databases react to having 20k (or more!) tables?

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  • Trying to import SQL file in a xampp server returns error

    - by Victor_J_Martin
    I have done a ER diagram in Mysql Workbench, and I am trying load in my server with phpMyAdmin, but it returns me the next error: Error SQL Query: -- ----------------------------------------------------- -- Table `BDA`.`UG` -- ----------------------------------------------------- CREATE TABLE IF NOT EXISTS `BDA`.`UG` ( `numero_ug` INT NOT NULL, `nombre` VARCHAR(45) NOT NULL, `segunda_firma_autorizada` VARCHAR(45) NOT NULL, `fecha_creacion` DATE NOT NULL, `nombre_depto` VARCHAR(140) NOT NULL, `dni` INT NOT NULL, `anho_contable` INT NOT NULL, PRIMARY KEY (`numero_ug`), INDEX `nombre_depto_idx` (`nombre_depto` ASC), INDEX `dni_idx` (`dni` ASC), INDEX `anho_contable_idx` (`anho_contable` ASC), CONSTRAINT `nombre_depto` FOREIGN KEY (`nombre_depto`) REFERENCES `BDA`.`Departamento` (`nombre_depto`) ON DELETE NO ACTION ON UPDATE NO ACTION, CONSTRAINT `dni` FOREIGN KEY (`dni`) REFERENCES `BDA`.`Trabajador` (`dni`) ON DELETE NO ACTION ON UPDATE NO ACTION, CONSTRAINT `anho_contable` FOREIGN KEY (`anho_contable`) REFERENCES `BDA`.`Capitulo_Contable` (`anho_contable`) [...] MySQL said: Documentation #1022 - Can't write; duplicate key in table 'ug' I export the result of the diagram from Mysql Workbench to a SQL file, and this file is what I'm trying to upload. This is the file. I can not find the duplicate key. SET @OLD_UNIQUE_CHECKS=@@UNIQUE_CHECKS, UNIQUE_CHECKS=0; SET @OLD_FOREIGN_KEY_CHECKS=@@FOREIGN_KEY_CHECKS, FOREIGN_KEY_CHECKS=0; SET @OLD_SQL_MODE=@@SQL_MODE, SQL_MODE='TRADITIONAL,ALLOW_INVALID_DATES'; CREATE SCHEMA IF NOT EXISTS `BDA` DEFAULT CHARACTER SET utf8 COLLATE utf8_general_ci ; USE `BDA` ; -- ----------------------------------------------------- -- Table `BDA`.`Departamento` -- ----------------------------------------------------- CREATE TABLE IF NOT EXISTS `BDA`.`Departamento` ( `nombre_depto` VARCHAR(140) NOT NULL, `area_depto` VARCHAR(140) NOT NULL, PRIMARY KEY (`nombre_depto`)) ENGINE = InnoDB; -- ----------------------------------------------------- -- Table `BDA`.`Trabajador` -- ----------------------------------------------------- CREATE TABLE IF NOT EXISTS `BDA`.`Trabajador` ( `dni` INT NOT NULL, `direccion` VARCHAR(140) NOT NULL, `nombre` VARCHAR(45) NOT NULL, `apellidos` VARCHAR(140) NOT NULL, `fecha_nacimiento` DATE NOT NULL, `fecha_contrato` DATE NOT NULL, `titulacion` VARCHAR(140) NULL, `nombre_depto` VARCHAR(45) NOT NULL, PRIMARY KEY (`dni`), INDEX `nombre_depto_idx` (`nombre_depto` ASC), CONSTRAINT `nombre_depto` FOREIGN KEY (`nombre_depto`) REFERENCES `BDA`.`Departamento` (`nombre_depto`) ON DELETE NO ACTION ON UPDATE NO ACTION) ENGINE = InnoDB; -- ----------------------------------------------------- -- Table `BDA`.`Capitulo_Contable` -- ----------------------------------------------------- CREATE TABLE IF NOT EXISTS `BDA`.`Capitulo_Contable` ( `anho_contable` INT NOT NULL, `numero_ug` INT NOT NULL, `debe` DOUBLE NOT NULL, `haber` DOUBLE NOT NULL, PRIMARY KEY (`anho_contable`), INDEX `numero_ug_idx` (`numero_ug` ASC), CONSTRAINT `numero_ug` FOREIGN KEY (`numero_ug`) REFERENCES `BDA`.`UG` (`numero_ug`) ON DELETE NO ACTION ON UPDATE NO ACTION) ENGINE = InnoDB; -- ----------------------------------------------------- -- Table `BDA`.`UG` -- ----------------------------------------------------- CREATE TABLE IF NOT EXISTS `BDA`.`UG` ( `numero_ug` INT NOT NULL, `nombre` VARCHAR(45) NOT NULL, `segunda_firma_autorizada` VARCHAR(45) NOT NULL, `fecha_creacion` DATE NOT NULL, `nombre_depto` VARCHAR(140) NOT NULL, `dni` INT NOT NULL, `anho_contable` INT NOT NULL, PRIMARY KEY (`numero_ug`), INDEX `nombre_depto_idx` (`nombre_depto` ASC), INDEX `dni_idx` (`dni` ASC), INDEX `anho_contable_idx` (`anho_contable` ASC), CONSTRAINT `nombre_depto` FOREIGN KEY (`nombre_depto`) REFERENCES `BDA`.`Departamento` (`nombre_depto`) ON DELETE NO ACTION ON UPDATE NO ACTION, CONSTRAINT `dni` FOREIGN KEY (`dni`) REFERENCES `BDA`.`Trabajador` (`dni`) ON DELETE NO ACTION ON UPDATE NO ACTION, CONSTRAINT `anho_contable` FOREIGN KEY (`anho_contable`) REFERENCES `BDA`.`Capitulo_Contable` (`anho_contable`) ON DELETE NO ACTION ON UPDATE NO ACTION) ENGINE = InnoDB; -- ----------------------------------------------------- -- Table `BDA`.`Cliente` -- ----------------------------------------------------- CREATE TABLE IF NOT EXISTS `BDA`.`Cliente` ( `cif_cliente` INT NOT NULL, `nombre_cliente` VARCHAR(140) NOT NULL, PRIMARY KEY (`cif_cliente`)) ENGINE = InnoDB; -- ----------------------------------------------------- -- Table `BDA`.`Ingreso` -- ----------------------------------------------------- CREATE TABLE IF NOT EXISTS `BDA`.`Ingreso` ( `id` INT NOT NULL, `concepto` VARCHAR(45) NOT NULL, `importe` DOUBLE NOT NULL, `fecha` DATE NOT NULL, `cif_cliente` INT NOT NULL, `numero_ug` INT NOT NULL, PRIMARY KEY (`id`), INDEX `cif_cliente_idx` (`cif_cliente` ASC), INDEX `numero_ug_idx` (`numero_ug` ASC), CONSTRAINT `cif_cliente` FOREIGN KEY (`cif_cliente`) REFERENCES `BDA`.`Cliente` (`cif_cliente`) ON DELETE NO ACTION ON UPDATE NO ACTION, CONSTRAINT `numero_ug` FOREIGN KEY (`numero_ug`) REFERENCES `BDA`.`UG` (`numero_ug`) ON DELETE NO ACTION ON UPDATE NO ACTION) ENGINE = InnoDB; -- ----------------------------------------------------- -- Table `BDA`.`Proveedor` -- ----------------------------------------------------- CREATE TABLE IF NOT EXISTS `BDA`.`Proveedor` ( `cif_proveedor` INT NOT NULL, `nombre_proveedor` VARCHAR(140) NOT NULL, PRIMARY KEY (`cif_proveedor`)) ENGINE = InnoDB; -- ----------------------------------------------------- -- Table `BDA`.`Gasto` -- ----------------------------------------------------- CREATE TABLE IF NOT EXISTS `BDA`.`Gasto` ( `id` INT NOT NULL, `concepto` VARCHAR(45) NOT NULL, `importe` DOUBLE NOT NULL, `fecha` DATE NOT NULL, `factura` INT NOT NULL, `cif_proveedor` INT NOT NULL, `numero_ug` INT NOT NULL, PRIMARY KEY (`id`), INDEX `cif_proveedor_idx` (`cif_proveedor` ASC), INDEX `numero_ug_idx` (`numero_ug` ASC), CONSTRAINT `cif_proveedor` FOREIGN KEY (`cif_proveedor`) REFERENCES `BDA`.`Proveedor` (`cif_proveedor`) ON DELETE NO ACTION ON UPDATE NO ACTION, CONSTRAINT `numero_ug` FOREIGN KEY (`numero_ug`) REFERENCES `BDA`.`UG` (`numero_ug`) ON DELETE NO ACTION ON UPDATE NO ACTION) ENGINE = InnoDB; SET SQL_MODE=@OLD_SQL_MODE; SET FOREIGN_KEY_CHECKS=@OLD_FOREIGN_KEY_CHECKS; SET UNIQUE_CHECKS=@OLD_UNIQUE_CHECKS; Thanks for your advices.

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  • How to recursively delete some xml elements using XSLT

    - by Monomachus
    Hi, So I got this situation which sucks. I have an XML like this <table border="1" cols="200 100pt 200"> <tr> <td>isbn</td> <td>title</td> <td>price</td> </tr> <tr> <td /> <td /> <td> <span type="champsimple" id="9b297fb5-d12b-46b1-8899-487a2df0104e" categorieid="a1c70692-0427-425b-983c-1a08b6585364" champcoderef="01f12b93-b4c5-401b-9da1-c9385d77e43f"> [prénom] </span> <span type="champsimple" id="e103a6a5-d1be-4c34-8a54-d234179fb4ea" categorieid="a1c70692-0427-425b-983c-1a08b6585364" champcoderef="01f12b93-b4c5-401b-9da1-c9385d77e43f">[nom]</span> <span></span> </td> </tr> <tr></tr> <tr> <td></td> <td>Phill It in</td> </tr> <tr> <table id="cas1"> <tr> <td ></td> <td >foo</td> </tr> <tr> <td >bar</td> <td >boo</td> </tr> </table> </tr> <tr> <table id="cas2"> <tr> <td ></td> <td >foo</td> </tr> <tr> <td ></td> <td >boo</td> </tr> </table> </tr> <tr> <table id="cas3"> <tr> <td >bar</td> <td ></td> </tr> <tr> <td >foo</td> <td >boo</td> </tr> </table> </tr> <tr> <table id="cas4"> <tr> <td /> <td /> </tr> <tr> <td>foo</td> <td>boo</td> </tr> </table> </tr> <table id="cas4"> <tr> <td /> <td /> </tr> <tr> <td>foo</td> <td>boo</td> </tr> </table> <tr> <td /> <td /> </tr> </table> Now the question is how would I recursively delete all empty td, tr and table elements? Now I use this XSLT <xsl:stylesheet version="1.0" xmlns:xsl="http://www.w3.org/1999/XSL/Transform"> <xsl:output omit-xml-declaration="yes" indent="yes"/> <xsl:strip-space elements="*" /> <xsl:template match="node()|@*"> <xsl:copy> <xsl:apply-templates select="node()|@*"/> </xsl:copy> </xsl:template> <xsl:template match="td[not(node())]" /> <xsl:template match="tr[not(node())]" /> <xsl:template match="table[not(node())]" /> </xsl:stylesheet> But it doesn't do very well. After I delete td, a tr becomes empty but it doesn't handle that. Too bad. See the table element with "cas4". <table border="1" cols="200 100pt 200"> <tr> <td>isbn</td> <td>title</td> <td>price</td> </tr> <tr> <td> <span type="champsimple" id="9b297fb5-d12b-46b1-8899-487a2df0104e" categorieid="a1c70692-0427-425b-983c-1a08b6585364" champcoderef="01f12b93-b4c5-401b-9da1-c9385d77e43f"> [prénom] </span> <span type="champsimple" id="e103a6a5-d1be-4c34-8a54-d234179fb4ea" categorieid="a1c70692-0427-425b-983c-1a08b6585364" champcoderef="01f12b93-b4c5-401b-9da1-c9385d77e43f">[nom]</span> <span /> </td> </tr> <tr> <td>Phill It in</td> </tr> <tr> <table id="cas1"> <tr> <td>foo</td> </tr> <tr> <td>bar</td> <td>boo</td> </tr> </table> </tr> <tr> <table id="cas2"> <tr> <td>foo</td> </tr> <tr> <td>boo</td> </tr> </table> </tr> <tr> <table id="cas3"> <tr> <td>bar</td> </tr> <tr> <td>foo</td> <td>boo</td> </tr> </table> </tr> <tr> <table id="cas4"> <tr /> <tr> <td>foo</td> <td>boo</td> </tr> </table> </tr> <table id="cas4"> <tr /> <tr> <td>foo</td> <td>boo</td> </tr> </table> <tr /> </table> How would you solve this problem?

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  • Want to improve my simple site/db backup script with auto removal of old backups.

    - by Robert Robb
    I have the following simple script for backing up my website files and db. The script is run each day via a cron job. #!/bin/sh NOW=$(date +"%Y-%m-%d") mysqldump --opt -h localhost -u username -p'password' dbname > /path/to/folder/backup/db-backup-$NOW.sql gzip -f /path/to/folder/backup/db-backup-$NOW.sql tar czf /path/to/folder/backup/web-backup-$NOW.tgz /path/to/folder/web/content/ It works great, but I don't want loads of old backups clogging my system. How can I modify the script to remove any backups older than a week when the script is run?

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  • Race condition firing events in AS3

    - by crispclean
    Hello I have some troubles firing and removing events in the right chronicle order. The code below gives the following output: save poster into db, and dispatch event calling service, dispatch event removed = false calling service, dispatch event removed = false calling service, dispatch event removed = true save poster into db, and dispatch event save poster into db, and dispatch event of course this should be more something like: save poster into db, and dispatch event calling service, dispatch event removed = true save poster into db, and dispatch event calling service, dispatch event removed = true save poster into db, and dispatch event calling service, dispatch event removed = true Can someone help me with this? I'm running out of ideas on how to tackle this. thx! for(var i:int = 0;i< 3;i++){ createPoster(); } function createPoster(){ Main.db.savePoster(); Main.db.addEventListener(Config.evt_SAVEPOSTER_READY, callService); } function callService(){ Main.db.removeEventListener(Config.evt_SAVEPOSTER_READY, callService); }

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  • How do i keep my DB and lucene in sync?

    - by acidzombie24
    So i can have a transaction in sql. But i am sure its not a good idea to wait in the middle of a transaction for lucene to finish also i am unsure if lucene is permanently saved in the DB until i do something there. Whats the best way to keep my DB and lucene in sync? I am thinking of adding a lucene_queue in my sql db and everytime i make a change i add it into the queue (removing older queue if any) and delete it once it is done. Is this the best way? Also i am unsure how to make lucene permanently keep the changes i made and how frequent i can/should do it.

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  • MySQL INSERT data does not get stored in proper db, only temporary?

    - by greye
    I'm having trouble with MySQL or Python and can't seem to isolate the problem. INSERTs only seem to last the run of the script and are not stored in the database. I have this script: import MySQLdb db = MySQLdb.connect(host="localhost", user="user", passwd="password", db="example") dbcursor = db.cursor() dbcursor.execute("select * from tablename") temp = dbcursor.fetchall() print 'before: '+str(temp) dbcursor.execute('INSERT INTO tablename (data1, data2, data3) VALUES ("1", "a", "b")') dbcursor.execute("select * from tablename") temp = dbcursor.fetchall() print 'after: '+str(temp) The first time I run it I get the expected output: >>> before: () after: ((1L, 'a', 'b'),) The problem is that if I run it again, the before comes out empty when it should already have the entry in it and the after doesn't break (data 1 is primary key). >>> before: () after: ((1L, 'a', 'b'),) >>> before: () after: ((1L, 'a', 'b'),) >>> before: () after: ((1L, 'a', 'b'),) If I try running the insert command twice in the same script it will break ("Duplicate entry for PRIMARY KEY") Any idea what might be happening here?

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  • Connecting to MSSQL Express in silverlight 4 appl, the db doesn't shows up in Management Studio Expr

    - by Gabriel
    I'm using MSSQLExpress named instance in my Silverlight 4 application. The database located in the web application data folder. I attached the db via VS2010. The program works, but the db doesn't show up in Management Studio Express. If I delete the connection from within VS2010, and Try to attach to db via Management Studio Express, on writes, that the database with same the name already exists. Why the database connected via VS2010 doesn't show up in Management Studio Express? Thanks in advance Gabor

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  • mysql_close(): supplied argument is not a valid MySQL-Link resource

    - by Illes Peter
    Here's what I'm trying to do: I've got a db.php file that does all the db manipulation. It has 2 static methods, connect and deconnect. In my other file i simply use db::connect() and db::deconnect(). The mysql_close($con) in the deconnect method just doesn't know who $con is. Since I don't want to instantiate my class static is the only way to go. Declaring 'private $con' in class db doesn't seem to have an effect. Any ideas? class db { public static function connect() { $dbData = parse_ini_file($_SERVER['DOCUMENT_ROOT'].'/config.ini'); $con = mysql_connect($dbData['host'],$dbData['user'],$dbData['pass']); $db = mysql_select_db($dbData['db']); if ((!$con) || (!$db)) return 0; else return 1; } public static function deconnect() { mysql_close($con); } }

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  • Why I cannot create DB in MySQL throw PHP?

    - by Roman
    I have this code: $link = mysql_connect("localhost", "ctman", "blablabla"); if ( ! $link ) die ("I cannot connect to MySQL.<br>\n"); else print "Connection is established.<br>\n"; // Create the "ct" database. mysql_query("create database ct", $link) or die("I cannot create the DB: ".mysql_error()."<br>\n"); And I get this error message: I cannot create the DB: Access denied for user 'ctmanager'@'%' to database 'ct' Does anybody have any idea why I cannot create a DB and why I have '@%' symbols in the error message?

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  • How do I check for Existence of a Record in GAE

    - by VDev
    I am trying to create a simple view in Django & GAE, which will check if the user has a profile entity and prints a different message for each case. I have the program below, but somehow GAE always seem to return a object. My program is below import datetime from django.http import HttpResponse, HttpResponseRedirect from google.appengine.api import users from google.appengine.ext import db from models import Profile import logging #from accounts.views import profile # Create your views here. def login_view(request): user = users.get_current_user() profile = db.GqlQuery("SELECT * FROM Profile WHERE account = :1", users.get_current_user()) logging.info(profile) logging.info(user) if profile: return HttpResponse("Congratulations Your profile is already created.") else: return HttpResponse("Sorry Your profile is NOT created.") My model object is Profile defined as follows: class Profile(db.Model): first_name = db.StringProperty() last_name = db.StringProperty() gender = db.StringProperty(choices=set(["Male", "Female"])) account = db.UserProperty(required = True) friends = db.ListProperty(item_type=users.User) last_login = db.DateTimeProperty(required=True) Thanks for the help.

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  • Plotting Tweets from DB in Ruby, grouping by hour.

    - by plotti
    Hey guys I've got a couple of issues with my code. I was wondering that I am plotting the results very ineffectively, since the grouping by hour takes ages the DB is very simple it contains the tweets, created date and username. It is fed by the twitter gardenhose. Thanks for your help ! require 'rubygems' require 'sequel' require 'gnuplot' DB = Sequel.sqlite("volcano.sqlite") tweets = DB[:tweets] def get_values(keyword,tweets) my_tweets = tweets.filter(:text.like("%#{keyword}%")) r = Hash.new start = my_tweets.first[:created_at] my_tweets.each do |t| hour = ((t[:created_at]-start)/3600).round r[hour] == nil ? r[hour] = 1 : r[hour] += 1 end x = [] y = [] r.sort.each do |e| x << e[0] y << e[1] end [x,y] end keywords = ["iceland", "island", "vulkan", "volcano"] values = {} keywords.each do |k| values[k] = get_values(k,tweets) end Gnuplot.open do |gp| Gnuplot::Plot.new(gp) do |plot| plot.terminal "png" plot.output "volcano.png" plot.data = [] values.each do |k,v| plot.data << Gnuplot::DataSet.new([v[0],v[1]]){ |ds| ds.with = "linespoints" ds.title = k } end end end

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  • MVC 1.0 + EF: Does db.EntitySet.where(something) still return all rows in table?

    - by Dale
    In a repository, I do this: public AgenciesDonor FindPrimary(Guid donorId) { return db.AgenciesDonorSet.Include("DonorPanels").Include("PriceAdjustments").Include("Donors").First(x => x.Donors.DonorId == donorId && x.IsPrimary); } then down in another method in the same repository, this: AgenciesDonor oldPrimary = this.FindPrimary(donorId); In the debugger, the resultsview shows all records in that table, but: oldPrimary.Count(); is 1 (which it should be). Why am I seeing all table entries retrieved, and not just 1? I thought row filtering was done in the DB. If db.EntitySet really does fetch everything to the client, what's the right way to keep the client data-lite using EF? Fetching all rows won't scale for what I'm doing.

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  • Why does schema.rb change (in the eyes of Git) when just running rake db:migrate?!

    - by erskingardner
    This is a little general I know, but it's been bugging the hell out of me. I've been working on lots of rails projects remotely with Git and every time I do a git pull and see that there is some sort of data change (migration, or schema.rb change) I do a rake db:migrate. These generally run fine and I can continue working. But if you do a git pull and then git status, your working directory is clean (obviously) then do a rake db:migrate (obviously when there are changes) and another git status and all the sudden your db/schema.rb has changed. I have been just doing a git checkout immediately to reset back to the latest committed version of the schema.rb file, but why should this be necessary?! What is rails doing? Updating a timestamp? I can't seem to figure out what the diff is but maybe I'm just missing something?

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  • How can I create a sample SQLLite DB for my iPhone app?

    - by Dr Dork
    I'm diving in to iPhone development and I'm building an iPhone app that uses the Core Data framework and my first task will be to get the model setup with a few that will display it. Thus far, I have the model defined and my Managed Object Files created, but I don't have a database with any sample data. What's a quick way to create a DB that conforms to my schema? Are there any tools that can generate a sample DB using my schemas? Is there a good tool I can use to directly manipulate the data in DB for testing purposes? Thanks in advance for your help! I'm going to continue researching this question right now.

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  • How to avoid Foreign Keys constraints for all tables in DB truncate ?

    - by eugeneK
    Hi, for designing purposes i need to truncate all DB which has lots of FK's. I cannot use DELETE command simply because some tables set with Identity of TinyInts and contain about 150 items. this is a query ( truncate all tables in selected DB ) i'm trying to run Declare @t varchar (1024) Declare tbl_cur cursor for select TABLE_NAME from INFORMATION_SCHEMA.TABLES WHERE TABLE_TYPE = 'BASE TABLE' OPEN tbl_cur FETCH NEXT from tbl_cur INTO @t WHILE @@FETCH_STATUS = 0 BEGIN EXEC ('TRUNCATE TABLE '+ @t) FETCH NEXT from tbl_cur INTO @t END CLOSE tbl_cur DEALLOCATE tbl_Cur What the best and easiest way to achieve truncate on DB with many FK's ?

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  • Does beginTransaction in Hibernate allocate a new DB connection?

    - by illscience
    Hi folks - Just wondering if beginning a new transaction in Hibernate actually allocates a connection to the DB? I'm concerned b/c our server begins a new transaction for each request received, even if that request doesn't interact with the DB. We're seeing DB connections as a major bottleneck, so I'm wondering if I should take the time narrow the scope of my transactions. Searched everywhere and haven't been able to find a good answer. The very simple code is here: SessionFactory sessionFactory = (SessionFactory) Context.getContext().getBean("sessionFactory"); sessionFactory.getCurrentSession().beginTransaction(); sessionFactory.getCurrentSession().setFlushMode(FlushMode.AUTO); thanks very much! a

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  • SQL SERVER – Using expressor Composite Types to Enforce Business Rules

    - by pinaldave
    One of the features that distinguish the expressor Data Integration Platform from other products in the data integration space is its concept of composite types, which provide an effective and easily reusable way to clearly define the structure and characteristics of data within your application.  An important feature of the composite type approach is that it allows you to easily adjust the content of a record to its ultimate purpose.  For example, a record used to update a row in a database table is easily defined to include only the minimum set of columns, that is, a value for the key column and values for only those columns that need to be updated. Much like a class in higher level programming languages, you can also use the composite type as a way to enforce business rules onto your data by encapsulating a datum’s name, data type, and constraints (for example, maximum, minimum, or acceptable values) as a single entity, which ensures that your data can not assume an invalid value.  To what extent you use this functionality is a decision you make when designing your application; the expressor design paradigm does not force this approach on you. Let’s take a look at how these features are used.  Suppose you want to create a group of applications that maintain the employee table in your human resources database. Your table might have a structure similar to the HumanResources.Employee table in the AdventureWorks database.  This table includes two columns, EmployeID and rowguid, that are maintained by the relational database management system; you cannot provide values for these columns when inserting new rows into the table. Additionally, there are columns such as VacationHours and SickLeaveHours that you might choose to update for all employees on a monthly basis, which justifies creation of a dedicated application. By creating distinct composite types for the read, insert and update operations against this table, you can more easily manage this table’s content. When developing this application within expressor Studio, your first task is to create a schema artifact for the database table.  This process is completely driven by a wizard, only requiring that you select the desired database schema and table.  The resulting schema artifact defines the mapping of result set records to a record within the expressor data integration application.  The structure of the record within the expressor application is a composite type that is given the default name CompositeType1.  As you can see in the following figure, all columns from the table are included in the result set and mapped to an identically named attribute in the default composite type. If you are developing an application that needs to read this table, perhaps to prepare a year-end report of employees by department, you would probably not be interested in the data in the rowguid and ModifiedDate columns.  A typical approach would be to drop this unwanted data in a downstream operator.  But using an alternative composite type provides a better approach in which the unwanted data never enters your application. While working in expressor  Studio’s schema editor, simply create a second composite type within the same schema artifact, which you could name ReadTable, and remove the attributes corresponding to the unwanted columns. The value of an alternative composite type is even more apparent when you want to insert into or update the table.  In the composite type used to insert rows, remove the attributes corresponding to the EmployeeID primary key and rowguid uniqueidentifier columns since these values are provided by the relational database management system. And to update just the VacationHours and SickLeaveHours columns, use a composite type that includes only the attributes corresponding to the EmployeeID, VacationHours, SickLeaveHours and ModifiedDate columns. By specifying this schema artifact and composite type in a Write Table operator, your upstream application need only deal with the four required attributes and there is no risk of unintentionally overwriting a value in a column that does not need to be updated. Now, what about the option to use the composite type to enforce business rules?  If you review the composition of the default composite type CompositeType1, you will note that the constraints defined for many of the attributes mirror the table column specifications.  For example, the maximum number of characters in the NationaIDNumber, LoginID and Title attributes is equivalent to the maximum width of the target column, and the size of the MaritalStatus and Gender attributes is limited to a single character as required by the table column definition.  If your application code leads to a violation of these constraints, an error will be raised.  The expressor design paradigm then allows you to handle the error in a way suitable for your application.  For example, a string value could be truncated or a numeric value could be rounded. Moreover, you have the option of specifying additional constraints that support business rules unrelated to the table definition. Let’s assume that the only acceptable values for marital status are S, M, and D.  Within the schema editor, double-click on the MaritalStatus attribute to open the Edit Attribute window.  Then click the Allowed Values checkbox and enter the acceptable values into the Constraint Value text box. The schema editor is updated accordingly. There is one more option that the expressor semantic type paradigm supports.  Since the MaritalStatus attribute now clearly specifies how this type of information should be represented (a single character limited to S, M or D), you can convert this attribute definition into a shared type, which will allow you to quickly incorporate this definition into another composite type or into the description of an output record from a transform operator. Again, double-click on the MaritalStatus attribute and in the Edit Attribute window, click Convert, which opens the Share Local Semantic Type window that you use to name this shared type.  There’s no requirement that you give the shared type the same name as the attribute from which it was derived.  You should supply a name that makes it obvious what the shared type represents. In this posting, I’ve overviewed the expressor semantic type paradigm and shown how it can be used to make your application development process more productive.  The beauty of this feature is that you choose when and to what extent you utilize the functionality, but I’m certain that if you opt to follow this approach your efforts will become more efficient and your work will progress more quickly.  As always, I encourage you to download and evaluate expressor Studio for your current and future data integration needs. Reference: Pinal Dave (http://blog.SQLAuthority.com) Filed under: CodeProject, Pinal Dave, PostADay, SQL, SQL Authority, SQL Documentation, SQL Query, SQL Server, SQL Tips and Tricks, SQLServer, T SQL, Technology

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