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  • In a SQL GROUP BY query, what value is used for the non-aggregate columns?

    - by Queencity13
    Say I've got the following data back from a SQL query: Lastname Firstname Age Anderson Jane 28 Anderson Lisa 22 Anderson Jack 37 If I want to know the age of the oldest person with the last name Anderson, I can select MAX(Age) and GROUP BY Lastname. But I also want to know the first name of that oldest person. How can I make sure that, when the Firstname values are collapsed into one row by the GROUP BY, I get the Firstname value from the same row where I got the max age?

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  • LINQ-To-SQL and Mapping Table Deletions

    - by Jake
    I have a many-to-many relationship between two tables, let's say Friends and Foods. If a friend likes a food I stick a row into the FriendsFoods table, like this: ID Friend Food 1 'Tom' 'Pizza' FriendsFoods has a Primary Key 'ID', and two non-null foreign keys 'Friend' and 'Food' to the 'Friends' and 'Foods' tables, respectively. Now suppose I have a Friend tom .NET object corresponding to 'Tom', and Tom no longer likes pizza (what is wrong with him?) FriendsFoods ff = tblFriendsFoods.Where(x => x.Friend.Name == 'Tom' && x.Food.Name == 'Pizza').Single(); tom.FriendsFoods.Remove(ff); pizza.FriendsFoods.Remove(ff); If I try to SubmitChanges() on the DataContext, I get an exception because it attempts to insert a null into the Friend and Food columns in the FriendsFoods table. I'm sure I can put together some kind of convoluted logic to track changes to the FriendsFoods table, intercept SubmitChanges() calls, etc to try and get this to work the way I want, but is there a nice, clean way to remove a Many-To-Many relationship with LINQ-To-SQL?

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  • Fraud Detection with the SQL Server Suite Part 1

    - by Dejan Sarka
    While working on different fraud detection projects, I developed my own approach to the solution for this problem. In my PASS Summit 2013 session I am introducing this approach. I also wrote a whitepaper on the same topic, which was generously reviewed by my friend Matija Lah. In order to spread this knowledge faster, I am starting a series of blog posts which will at the end make the whole whitepaper. Abstract With the massive usage of credit cards and web applications for banking and payment processing, the number of fraudulent transactions is growing rapidly and on a global scale. Several fraud detection algorithms are available within a variety of different products. In this paper, we focus on using the Microsoft SQL Server suite for this purpose. In addition, we will explain our original approach to solving the problem by introducing a continuous learning procedure. Our preferred type of service is mentoring; it allows us to perform the work and consulting together with transferring the knowledge onto the customer, thus making it possible for a customer to continue to learn independently. This paper is based on practical experience with different projects covering online banking and credit card usage. Introduction A fraud is a criminal or deceptive activity with the intention of achieving financial or some other gain. Fraud can appear in multiple business areas. You can find a detailed overview of the business domains where fraud can take place in Sahin Y., & Duman E. (2011), Detecting Credit Card Fraud by Decision Trees and Support Vector Machines, Proceedings of the International MultiConference of Engineers and Computer Scientists 2011 Vol 1. Hong Kong: IMECS. Dealing with frauds includes fraud prevention and fraud detection. Fraud prevention is a proactive mechanism, which tries to disable frauds by using previous knowledge. Fraud detection is a reactive mechanism with the goal of detecting suspicious behavior when a fraudster surpasses the fraud prevention mechanism. A fraud detection mechanism checks every transaction and assigns a weight in terms of probability between 0 and 1 that represents a score for evaluating whether a transaction is fraudulent or not. A fraud detection mechanism cannot detect frauds with a probability of 100%; therefore, manual transaction checking must also be available. With fraud detection, this manual part can focus on the most suspicious transactions. This way, an unchanged number of supervisors can detect significantly more frauds than could be achieved with traditional methods of selecting which transactions to check, for example with random sampling. There are two principal data mining techniques available both in general data mining as well as in specific fraud detection techniques: supervised or directed and unsupervised or undirected. Supervised techniques or data mining models use previous knowledge. Typically, existing transactions are marked with a flag denoting whether a particular transaction is fraudulent or not. Customers at some point in time do report frauds, and the transactional system should be capable of accepting such a flag. Supervised data mining algorithms try to explain the value of this flag by using different input variables. When the patterns and rules that lead to frauds are learned through the model training process, they can be used for prediction of the fraud flag on new incoming transactions. Unsupervised techniques analyze data without prior knowledge, without the fraud flag; they try to find transactions which do not resemble other transactions, i.e. outliers. In both cases, there should be more frauds in the data set selected for checking by using the data mining knowledge compared to selecting the data set with simpler methods; this is known as the lift of a model. Typically, we compare the lift with random sampling. The supervised methods typically give a much better lift than the unsupervised ones. However, we must use the unsupervised ones when we do not have any previous knowledge. Furthermore, unsupervised methods are useful for controlling whether the supervised models are still efficient. Accuracy of the predictions drops over time. Patterns of credit card usage, for example, change over time. In addition, fraudsters continuously learn as well. Therefore, it is important to check the efficiency of the predictive models with the undirected ones. When the difference between the lift of the supervised models and the lift of the unsupervised models drops, it is time to refine the supervised models. However, the unsupervised models can become obsolete as well. It is also important to measure the overall efficiency of both, supervised and unsupervised models, over time. We can compare the number of predicted frauds with the total number of frauds that include predicted and reported occurrences. For measuring behavior across time, specific analytical databases called data warehouses (DW) and on-line analytical processing (OLAP) systems can be employed. By controlling the supervised models with unsupervised ones and by using an OLAP system or DW reports to control both, a continuous learning infrastructure can be established. There are many difficulties in developing a fraud detection system. As has already been mentioned, fraudsters continuously learn, and the patterns change. The exchange of experiences and ideas can be very limited due to privacy concerns. In addition, both data sets and results might be censored, as the companies generally do not want to publically expose actual fraudulent behaviors. Therefore it can be quite difficult if not impossible to cross-evaluate the models using data from different companies and different business areas. This fact stresses the importance of continuous learning even more. Finally, the number of frauds in the total number of transactions is small, typically much less than 1% of transactions is fraudulent. Some predictive data mining algorithms do not give good results when the target state is represented with a very low frequency. Data preparation techniques like oversampling and undersampling can help overcome the shortcomings of many algorithms. SQL Server suite includes all of the software required to create, deploy any maintain a fraud detection infrastructure. The Database Engine is the relational database management system (RDBMS), which supports all activity needed for data preparation and for data warehouses. SQL Server Analysis Services (SSAS) supports OLAP and data mining (in version 2012, you need to install SSAS in multidimensional and data mining mode; this was the only mode in previous versions of SSAS, while SSAS 2012 also supports the tabular mode, which does not include data mining). Additional products from the suite can be useful as well. SQL Server Integration Services (SSIS) is a tool for developing extract transform–load (ETL) applications. SSIS is typically used for loading a DW, and in addition, it can use SSAS data mining models for building intelligent data flows. SQL Server Reporting Services (SSRS) is useful for presenting the results in a variety of reports. Data Quality Services (DQS) mitigate the occasional data cleansing process by maintaining a knowledge base. Master Data Services is an application that helps companies maintaining a central, authoritative source of their master data, i.e. the most important data to any organization. For an overview of the SQL Server business intelligence (BI) part of the suite that includes Database Engine, SSAS and SSRS, please refer to Veerman E., Lachev T., & Sarka D. (2009). MCTS Self-Paced Training Kit (Exam 70-448): Microsoft® SQL Server® 2008 Business Intelligence Development and Maintenance. MS Press. For an overview of the enterprise information management (EIM) part that includes SSIS, DQS and MDS, please refer to Sarka D., Lah M., & Jerkic G. (2012). Training Kit (Exam 70-463): Implementing a Data Warehouse with Microsoft® SQL Server® 2012. O'Reilly. For details about SSAS data mining, please refer to MacLennan J., Tang Z., & Crivat B. (2009). Data Mining with Microsoft SQL Server 2008. Wiley. SQL Server Data Mining Add-ins for Office, a free download for Office versions 2007, 2010 and 2013, bring the power of data mining to Excel, enabling advanced analytics in Excel. Together with PowerPivot for Excel, which is also freely downloadable and can be used in Excel 2010, is already included in Excel 2013. It brings OLAP functionalities directly into Excel, making it possible for an advanced analyst to build a complete learning infrastructure using a familiar tool. This way, many more people, including employees in subsidiaries, can contribute to the learning process by examining local transactions and quickly identifying new patterns.

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  • SQL deadlock on delete then bulk insert

    - by StarLite
    I have an issue with a deadlock in SQL Server that I haven't been able to resolve. Basically I have a large number of concurrent connections (from many machines) that are executing transactions where they first delete a range of entries and then re-insert entries within the same range with a bulk insert. Essentially, the transaction looks like this BEGIN TRANSACTION T1 DELETE FROM [TableName] WITH( XLOCK HOLDLOCK ) WHERE [Id]=@Id AND [SubId]=@SubId INSERT BULK [TableName] ( [Id] Int , [SubId] Int , [Text] VarChar(max) COLLATE SQL_Latin1_General_CP1_CI_AS ) WITH(CHECK_CONSTRAINTS, FIRE_TRIGGERS) COMMIT TRANSACTION T1 The bulk insert only inserts items matching the Id and SubId of the deletion in the same transaction. Furthermore, these Id and SubId entries should never overlap. When I have enough concurrent transaction of this form, I start to see a significant number of deadlocks between these statements. I added the locking hints XLOCK HOLDLOCK to attempt to deal with the issue, but they don't seem to be helpling. The canonical deadlock graph for this error shows: Connection 1: Holds RangeX-X on PK_TableName Holds IX Page lock on the table Requesting X Page lock on the table Connection 2: Holds IX Page lock on the table Requests RangeX-X lock on the table What do I need to do in order to ensure that these deadlocks don't occur. I have been doing some reading on the RangeX-X locks and I'm not sure I fully understand what is going on with these. Do I have any options short of locking the entire table here?

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  • Manage Foreign key and Drop downlist for optional field in .NET

    - by Brij
    What is the best way to handle following situation? A dropdown(for master table) is optional in a particular form. But, In database table the field is constrained with foreign key. If user don't select from dropdown then It creates problem because of foreign key. One solution is to create default option in master table and use it in case of blank selection. but in dropdown, we need to handle this to show on top. Is it perfect solution? Is there any other optimized solution for this? Thanks

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  • Comparing RPG to C# and SQL.

    - by Kevin
    In an RPG program (One of IBM's languages on the AS/400) I can "chain" out to a file to see if a record (say, a certain customer record) exists in the file. If it does, then I can update that record instantly with new data. If the record doesn't exist, I can write a new record. The code would look like this: Customer Chain CustFile 71 ;turn on indicator 71 if not found if *in71 ;if 71 is "on" eval CustID = Customer; eval CustCredit = 10000; write CustRecord else ;71 not on, record found. CustCredit = 10000; update CustRecord endif Not being real familiar with SQL/C#, I'm wondering if there is a way to do a random retrieval from a file (which is what "chain" does in RPG). Basically I want to see if a record exists. If it does, update the record with some new information. If it does not, then I want to write a new record. I'm sure it's possible, but not quite sure how to go about doing it. Any advice would be greatly appreciated.

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  • User-Defined Customer Events & their impact (FA Type Profile)

    - by Rajesh Sharma
    CC&B automatically creates field activities when a specific Customer Event takes place. This depends on the way you have setup your Field Activity Type Profiles, the templates within, and associated SP Condition(s) on the template. CC&B uses the service point type, its state and referenced customer event to determine which field activity type to generate.   Customer events available in the base product include: Cut for Non-payment (CNP) Disconnect Warning (DIWA) Reconnect for Payment (REPY) Reread (RERD) Stop Service (STOP) Start Service (STRT) Start/Stop (STSP)   Note the Field values/codes defined for each event.   CC&B comes with a flexibility to define new set of customer events. These can be defined in the Look Up - CUST_EVT_FLG. Values from the Look Up are used on the Field Activity Type Profile Template page.     So what's the use of having user-defined Customer Events? And how will the system detect such events in order to create field activity(s)?   Well, system can only detect such events when you reference a user-defined customer event on a Severance Event Type for an event type Create Field Activities.     This way you can create additional field activities of a specific field activity type for user-defined customer events.   One of our customers adopted this feature and created a user-defined customer event CNPW - Cut for Non-payment for Water Services. This event was then linked on a Field Activity Type Profile and referenced on a Severance Event - CUT FOR NON PAY-W. The associated Severance Process was configured to trigger a reconnection process if it was cancelled (done by defining a Post Cancel Algorithm). Whenever this Severance Event was executed, a specific type of Field Activity was generated for disconnection purposes. The Field Activity type was determined by the system from the Field Activity Type Profile referenced for the SP Type, SP's state and the referenced user-defined customer event. All was working well until the time when they realized that in spite of the Severance Process getting cancelled (when a payment was made); the Post Cancel Algorithm was not executed to start a Reconnection Severance Process for the purpose of generating a reconnection field activity and reconnecting the service.   Basically, the Post Cancel algorithm (if specified on a Severance Process Template) is triggered when a Severance Process gets cancelled because a credit transaction has affected/relieved a Service Agreement's debt.   So what exactly was happening? Now we come to actual question as to what is the impact in having a user-defined customer event.   System defined/base customer events are hard-coded across the entire system. There is an impact even if you remove any customer event entry from the Look Up. User-defined customer events are not recognized by the system anywhere else except in the severance process, as described above.   There are few programs which have routines to first validate the completion of disconnection field activities, which were raised as a result of customer event CNP - Cut for Non-payment in order to perform other associated actions. One such program is the Post Cancel Algorithm, referenced on a Severance Process Template, generally used to reconnect services which were disconnected from other Severance Event, specifically CNP - Cut for Non-Payment. Post cancel algorithm provided by the product - SEV POST CAN does the following (below is the algorithm's description):   This algorithm is called after a severance process has been cancelled (typically because the debt was paid and the SA is no longer eligible to be on the severance process). It checks to see if the process has a completed 'disconnect' event and, if so, starts a reconnect process using the Reconnect Severance Process Template defined in the parameter.    Notice the underlined text. This algorithm implicitly checks for Field Activities having completed status, which were generated from Severance Events as a result of CNP - Cut for Non-payment customer event.   Now if we look back to the customer's issue, we can relate that the Post Cancel algorithm was triggered, but was not able to find any 'Completed' CNP - Cut for Non-payment related field activity. And hence was not able to start a reconnection severance process. This was because a field activity was generated and completed for a customer event CNPW - Cut for Non-payment of Water Services instead.   To conclude, if you introduce new customer events that extend or simulate base customer events, the ones that are included in the base product, ensure that there is no other impact either direct or indirect to other business functions that the application has to offer.  

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  • Subscription website architecture questions + SQL Server & .NET

    - by chopps
    Hey Guys, I have a few questions about the architecture of a subscription service I am about to embark on and I am looking for some feedback on how best to set it up. I won’t have a large amount of customers as Basecamp, maybe a few hundred and was wondering what would be a solid architecture for setting up the customer sites. I’m running SQL Server and .NET on a dedicated machine. Should create a new database for each customer as to have control and isolation of data or keep them all in one database? I am also thinking of creating a sub-domain for each customer as well so modifications can be made to each site as needed. The customer URLs would look like this: https://customer1.foobar.com https://customer2.foobar.com I am going to have the ability to ‘plug-in’ reports that will be uploaded to the site so each customer can customize as needed. Off the top of my head this necessitates having each sub domain on its own code-base for the uploading of these reports. So on the main site the customer would sign up for their new subscription and I would programmatically create a new directory for the customer from the main code base and then create a sub domain pointing to the new directory for the customer and then finally their database. Does this sound about right? Am I on the right track? How do other such sites accomplish the same thing? Thanks for letting me bend your ear for a bit on this.

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  • Updating a Foreign Key constraint with ON DELETE CASCADE not updating?

    - by Alastair Pitts
    We've realised in our SQL Server 2005 DB that some Foreign Keys don't have the On Delete Cascade property set, which is giving us a couple of referential errors when we try and delete some records. Use the Management Studio I scripted the DROP and CREATESQL's, but it seems that the CREATE isn't working correctly. The DROP: USE [FootprintReports] GO IF EXISTS (SELECT * FROM sys.foreign_keys WHERE object_id = OBJECT_ID(N'[dbo].[FK__SUBSCRIPTIONS_Reports]') AND parent_object_id = OBJECT_ID(N'[dbo].[_SUBSCRIPTIONS]')) ALTER TABLE [dbo].[_SUBSCRIPTIONS] DROP CONSTRAINT [FK__SUBSCRIPTIONS_Reports] and the CREATE USE [FootprintReports] GO ALTER TABLE [dbo].[_SUBSCRIPTIONS] WITH CHECK ADD CONSTRAINT [FK__SUBSCRIPTIONS_Reports] FOREIGN KEY([PARAMETER_ReportID]) REFERENCES [dbo].[Reports] ([ID]) ON DELETE CASCADE GO ALTER TABLE [dbo].[_SUBSCRIPTIONS] CHECK CONSTRAINT [FK__SUBSCRIPTIONS_Reports] If I manually change the value of the On Delete in the GUI, after dropping and recreating, the On Delete isn't correctly updated. As a test, I set the Delete rule in the GUI to Set Null. It dropped correctly, and recreated without error. If I got back into the GUI, it is still showing the Set Null as the Delete Rule. Have I done something wrong? or is there another way to edit a constraint to add the ON DELETE CASCADE rule?

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  • SQL Joining Two or More from Table B with Common Data in Table A

    - by Matthew Frederick
    The real-world situation is a series of events that each have two or more participants (like sports teams, though there can be more than two in an event), only one of which is the host of the event. There is an Event db table for each unique event and a Participant db table with unique participants. They are joined together using a Matchup table. They look like this: Event EventID (PK) (other event data like the date, etc.) Participant ParticipantID (PK) Name Matchup EventID (FK to Event table) ParicipantID (FK to Participant) Host (1 or 0, only 1 host = 1 per EventID) What I'd like to get as a result is something like this: EventID ParticipantID where host = 1 Participant.Name where host = 1 ParticipantID where host = 0 Participant.Name where host = 0 ParticipantID where host = 0 Participant.Name where host = 0 ... Where one event has 2 participants and another has 3 participants, for example, the third participant column data would be null or otherwise noticeable, something like (PID = ParticipantID): EventID PID-1(host) Name-1 (host) PID-2 Name-2 PID-3 Name-3 ------- ----------- ------------- ----- ------ ----- ------ 1 7 Lions 8 Tigers 12 Bears 2 11 Dogs 9 Cats NULL NULL I suspect the answer is reasonably straightforward but for some reason I'm not wrapping my head around it. Alternately it's very difficult. :) I'm using MYSQL 5 if that affects the available SQL.

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  • Optimize an SQL statement

    - by kovshenin
    Hey, I'm running WordPress, the database diagram could be found here: http://codex.wordpress.org/Database_Description After doing tonnes of filters and applying some hooks to the core, I'm left with the following query: SELECT SQL_CALC_FOUND_ROWS wp_posts.* FROM wp_posts JOIN wp_postmeta ppmeta_beds ON (ppmeta_beds.post_id = wp_posts.ID AND ppmeta_beds.meta_key = 'pp-general-beds' AND ppmeta_beds.meta_value >= 2) JOIN wp_postmeta ppmeta_baths ON (ppmeta_baths.post_id = wp_posts.ID AND ppmeta_baths.meta_key = 'pp-general-baths' AND ppmeta_baths.meta_value >= 3) JOIN wp_postmeta ppmeta_furnished ON (ppmeta_furnished.post_id = wp_posts.ID AND ppmeta_furnished.meta_key = 'pp-general-furnished' AND ppmeta_furnished.meta_value = 'yes') JOIN wp_postmeta ppmeta_pool ON (ppmeta_pool.post_id = wp_posts.ID AND ppmeta_pool.meta_key = 'pp-facilities-pool' AND ppmeta_pool.meta_value = 'yes') JOIN wp_postmeta ppmeta_pool_type ON (ppmeta_pool_type.post_id = wp_posts.ID AND ppmeta_pool_type.meta_key = 'pp-facilities-pool-type' AND ppmeta_pool_type.meta_value IN ('tennis', 'voleyball', 'basketball', 'fitness')) JOIN wp_postmeta ppmeta_sport ON (ppmeta_sport.post_id = wp_posts.ID AND ppmeta_sport.meta_key = 'pp-facilities-sport' AND ppmeta_sport.meta_value = 'yes') JOIN wp_postmeta ppmeta_sport_type ON (ppmeta_sport_type.post_id = wp_posts.ID AND ppmeta_sport_type.meta_key = 'pp-facilities-sport-type' AND ppmeta_sport_type.meta_value IN ('tennis', 'voleyball', 'basketball', 'fitness')) JOIN wp_postmeta ppmeta_parking ON (ppmeta_parking.post_id = wp_posts.ID AND ppmeta_parking.meta_key = 'pp-facilities-parking' AND ppmeta_parking.meta_value = 'yes') JOIN wp_postmeta ppmeta_parking_type ON (ppmeta_parking_type.post_id = wp_posts.ID AND ppmeta_parking_type.meta_key = 'pp-facilities-parking-type' AND ppmeta_parking_type.meta_value IN ('street', 'off-street', 'garage')) JOIN wp_postmeta ppmeta_garden ON (ppmeta_garden.post_id = wp_posts.ID AND ppmeta_garden.meta_key = 'pp-facilities-garden' AND ppmeta_garden.meta_value = 'yes') JOIN wp_postmeta ppmeta_garden_type ON (ppmeta_garden_type.post_id = wp_posts.ID AND ppmeta_garden_type.meta_key = 'pp-facilities-garden-type' AND ppmeta_garden_type.meta_value IN ('private', 'communal')) JOIN wp_postmeta ppmeta_type ON (ppmeta_type.post_id = wp_posts.ID AND ppmeta_type.meta_key = 'pp-general-type' AND ppmeta_type.meta_value IN ('villa', 'apartment', 'penthouse')) JOIN wp_postmeta ppmeta_status ON (ppmeta_status.post_id = wp_posts.ID AND ppmeta_status.meta_key = 'pp-general-status' AND ppmeta_status.meta_value IN ('off-plan', 'resale')) JOIN wp_postmeta ppmeta_location_type ON (ppmeta_location_type.post_id = wp_posts.ID AND ppmeta_location_type.meta_key = 'pp-location-type' AND ppmeta_location_type.meta_value IN ('beachfront', 'countryside', 'town-center', 'near-the-sea', 'hillside', 'private-resort')) JOIN wp_postmeta ppmeta_price_range ON (ppmeta_price_range.post_id = wp_posts.ID AND ppmeta_price_range.meta_key = 'pp-general-price' AND ppmeta_price_range.meta_value BETWEEN 10000 AND 50000) JOIN wp_postmeta ppmeta_area_range ON (ppmeta_area_range.post_id = wp_posts.ID AND ppmeta_area_range.meta_key = 'pp-general-area' AND ppmeta_area_range.meta_value BETWEEN 50 AND 150) WHERE 1=1 AND (((wp_posts.post_title LIKE '%fdsfsad%') OR (wp_posts.post_content LIKE '%fdsfsad%'))) AND wp_posts.post_type = 'property' AND (wp_posts.post_status = 'publish' OR wp_posts.post_status = 'private') ORDER BY wp_posts.post_date DESC LIMIT 0, 10 It's way too big. Could anybody please show me a way of optimizing all those joins into fewer statements? As you can see they all use the same tables but under different names. I'm not an SQL guru but I think there should be a way, because this is insane ;) Thanks! Update Here's what explain returns: http://twitpic.com/1cd36p

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  • Speed up SQL Server Fulltext Index through Text Duplication of Non-Indexed Columns

    - by Alex
    1) I have the text fields FirstName, LastName, and City. They are fulltext indexed. 2) I also have the FK int fields AuthorId and EditorId, not fulltext indexed. A search on FirstName = 'abc' AND AuthorId = 1 will first search the entire fulltext index for 'abc', and then narrow the resultset for AuthorId = 1. This is bad because it is a huge waste of resources as the fulltext search will be performed on many records that won't be applicable. Unfortunately, to my knowledge, this can't be turned around (narrow by AuthorId first and then fulltext-search the subset that matches) because the FTS process is separate from SQL Server. Now my proposed solution that I seek feedback on: Does it make sense to create another computed column which will be included in the fulltext search which will identify the Author as text (e.g. AUTHORONE). That way I could get rid of the AuthorId restriction, and instead make it part of my fulltext search (a search for 'abc' would be 'abc' and 'AUTHORONE' - all executed as part of the fulltext search). Is this a good idea or not? Why?

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  • Best approach, Dynamic OpenXML in T-SQL

    - by Martin Ongtangco
    hello, i'm storing XML values to an entry in my database. Originally, i extract the xml datatype to my business logic then fill the XML data into a DataSet. I want to improve this process by loading the XML right into the T-SQL. Instead of getting the xml as string then converting it on the BL. My issue is this: each xml entry is dynamic, meaning it can be any column created by the user. I tried using this approach, but it's giving me an error: CREATE PROCEDURE spXMLtoDataSet @id uniqueidentifier, @columns varchar(max) AS BEGIN -- SET NOCOUNT ON added to prevent extra result sets from -- interfering with SELECT statements. SET NOCOUNT ON; DECLARE @name varchar(300); DECLARE @i int; DECLARE @xmlData xml; (SELECT @xmlData = data, @name = name FROM XmlTABLES WHERE (tableID = ISNULL(@id, tableID))); EXEC sp_xml_preparedocument @i OUTPUT, @xmlData DECLARE @tag varchar(1000); SET @tag = '/NewDataSet/' + @name; DECLARE @statement varchar(max) SET @statement = 'SELECT * FROM OpenXML(@i, @tag, 2) WITH (' + @columns + ')'; EXEC (@statement); EXEC sp_xml_removedocument @i END where i pass a dynamically written @columns. For example: spXMLtoDataSet 'bda32dd7-0439-4f97-bc96-50cdacbb1518', 'ID int, TypeOfAccident int, Major bit, Number_of_Persons int, Notes varchar(max)' but it kept on throwing me this exception: Msg 137, Level 15, State 2, Line 1 Must declare the scalar variable "@i". Msg 319, Level 15, State 1, Line 1 Incorrect syntax near the keyword 'with'. If this statement is a common table expression or an xmlnamespaces clause, the previous statement must be terminated with a semicolon.

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  • LINQ to SQL and DataPager

    - by Jonathan S.
    I'm using LINQ to SQL to search a fairly large database and am unsure of the best approach to perform paging with a DataPager. I am aware of the Skip() and Take() methods and have those working properly. However, I'm unable to use the count of the results for the datapager, as they will always be the page size as determined in the Take() method. For example: var result = (from c in db.Customers where c.FirstName == "JimBob" select c).Skip(0).Take(10); This query will always return 10 or fewer results, even if there are 1000 JimBobs. As a result, the DataPager will always think there's a single page, and users aren't able to navigate across the entire result set. I've seen one online article where the author just wrote another query to get the total count and called that. Something like: int resultCount = (from c in db.Customers where c.FirstName == "JimBob" select c).Count(); and used that value for the DataPager. But I'd really rather not have to copy and paste every query into a separate call where I want to page the results for obvious reasons. Is there an easier way to do this that can be reused across multiple queries? Thanks.

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  • Displaying device contacts with an indication that the contact is registered to the app

    - by Prasanna Aarthi
    We are developing a mobile app that needs to pick up device contacts, display them and indicate if the contact has already registered with this app. We have our DB in the server and the app fetches data using web services. What will be the best approach to implement the above scenario taking performance into consideration. Option 1: Every time user opens the app,fetch the contacts and send the list of email addresses to the server, check with the registered email ids and return the list of registered users in the contact list. In this approach whenever user opens the particular page, he needs to wait for few seconds to load data, but the contacts will be the latest from the device. Option 2: First time when the user opens the app, fetch contacts ,send the entire list of contacts and save it in the DB, retrieve list of registered users in the contacts then save this to local DB. From now on, data will be fetched from local DB and displayed. When a new user registers in the app, again check with records in central DB and send list of new users who are in your contacts that have registered to your app. This list will be added to local DB. and the process continues. In this case the new contacts added by user will not be updated in the app but retrieval and display of records would be quick. What would be the correct approach? In case there is a better way of doing this, please let me know.

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  • al32utf8 in oracle and SQL Server and DB2 pulling data

    - by Bob
    I have a non-utf8 oracle database running on 11.1.0.7. We need to support greek characters. So we have two options: use nvarchar, nclob fields for those fields that need greek (it is not all fields). We have tested this and gotten it to work with java coding. convert Oracle to AL32UTF8 database. I am not asking how to do this. I got this from the Oracle Site/Oracle Support. I know what is involved, lossy data, etc, increasing the size of the database. My question is we have users to our system that connect to our database with database links but work on SQL Server and IBM DB2 databases. I do not have access to those databases and I do not have experience with them. If they are not in UTF-8 databases what happens when they pull UTF8 data? I would assume that English/Ascii characters are fine and the greek will end up as junk data. I also ran Oracle Character set scanner (oracle command line utility you use to get info about the affects of a character set conversion). It says that my database will crease in sizez by about 20%. Does this have an affect on users with 3rd party databases? These are customers of our data and there is a limit to how much access I can have to them to run tests. Any information you have would be welcome.

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  • C# and SQL - sub select from a table parameter

    - by Dr.HappyPants
    Below is a code snippet for passing a table as a parameter to a query that can be used in Sql Server 2008. I'm confused though about the "SELECT id.custid FROM @custids id". Why does it use id.custid and @custids id...? private static void datatable_example() { string [] custids = {"ALFKI", "BONAP", "CACTU", "FRANK"}; DataTable custid_list = new DataTable(); custid_list.Columns.Add("custid", typeof(String)); foreach (string custid in custids) { DataRow dr = custid_list.NewRow(); dr["custid"] = custid; custid_list.Rows.Add(dr); } using(SqlConnection cn = setup_connection()) { using(SqlCommand cmd = cn.CreateCommand()) { cmd.CommandText = @"SELECT C.CustomerID, C.CompanyName FROM Northwind.dbo.Customers C WHERE C.CustomerID IN (SELECT id.custid FROM @custids id)"; cmd.CommandType = CommandType.Text; cmd.Parameters.Add("@custids", SqlDbType.Structured); cmd.Parameters["@custids"].Direction = ParameterDirection.Input; cmd.Parameters["@custids"].TypeName = "custid_list_tbltype"; cmd.Parameters["@custids"].Value = custid_list; using (SqlDataAdapter da = new SqlDataAdapter(cmd)) using (DataSet ds = new DataSet()) { da.Fill(ds); PrintDataSet(ds); } } }

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  • Reporting Services SQL Server 2005 File Share Error

    - by NicholasM
    Hi, I have a problem with Reporting Services, on an XP box, trying to save subscription reports onto a Windows 7 box over the network. No matter the permissions or accounts used by reporting services it always comes back with "A logon error occurred when attempting to access the file share. The user account or password is not valid." Since this is saving reports over the network and both admin accounts and open network/file permissions to everyone were both tried so I'm left wondering if this is an issue with Reporting Services 2005 has troubles with Windows 7 over the network. Any help would be appreciated, Thanks.

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  • Help with SQL Join on two tables

    - by bladefist
    I have two tables, one is a table of forum threads. It has a last post date column. Another table has PostID, UserId, and DateViewed. I want to join these tables so I can compare DateViewed and LastPostDate for the current user. However, if they have never viewed the thread, there will not be a row in the 2nd table. This seems easy but I cant wrap my head around it. Advice please. Thanks in advance.

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  • i want to search in sql server with must have parameter in one colunm

    - by sherif4csharp
    hello i am usning c# and ms SQL server 2008 i have table like this id | propertyTypeId | FinishingQualityId | title | Description | features 1 1 2 prop1 propDEsc1 1,3,5,7 2 2 3 prop2 propDEsc2 1,3 3 6 5 prop3 propDEsc3 1 4 5 4 prop4 propDEsc4 3,5 5 4 6 prop5 propDEsc5 5,7 6 4 6 prop6 propDEsc6 and here is my stored code (search in the same table) create stored procdures propertySearch as @Id int = null, @pageSize float , @pageIndex int, @totalpageCount int output, @title nvarchar(150) =null , @propertyTypeid int = null , @finishingqualityid int = null , @features nvarchar(max) = null , -- this parameter send like 1,3 ( for example) begin select row_number () as TempId over( order by id) , id,title,description,propertyTypeId,propertyType.name,finishingQualityId,finishingQuality.Name,freatures into #TempTable from property join propertyType on propertyType.id= property.propertyTypeId join finishingQuality on finishingQuality.id = property.finishingQualityId where property.id = isnull(@id,property.id ) and proprty.PropertyTypeId= isnull(@propertyTypeid,property.propertyTypeId) select totalpageconunt = ((select count(*) from #TempTable )/@pageSize ) select * from #TempTable where tempid between (@pageindex-1)*@pagesize +1 and (@pageindex*@pageSize) end go i can't here filter the table by feature i sent. this table has to many rows i want to add to this stored code to filter data for example when i send 1,3 in features parameter i want to return row number one and two in the example table i write in this post (want to get the data from table must have the feature I send) many thanks for every one helped me and will help

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  • SQL with Regular Expressions vs Indexes with Logical Merging Functions

    - by geeko
    Hello Lads, I am trying to develop a complex textual search engine. I have thousands of textual pages from many books. I need to search pages that contain specified complex logical criterias. These criterias can contain virtually any compination of the following: A: Full words. B: Word roots (semilar to stems; i.e. all words with certain key letters). C: Word templates (in some languages are filled in certain templates to form various part of speech such as adjactives, past/present verbs...). D: Logical connectives: AND/OR/XOR/NOT/IF/IFF and parentheses to state priorities. Now, would it be faster to have the pages' full text in database (not indexed) and search though them all using SQL and Regular Expressions ? Or would it be better to construct indexes of word/root/template-page-location tuples. Hence, we can boost searching for individual words/roots/templates. However, it gets tricky as we interdouce logical connectives into our query. I thought of doing the following steps in such cases: 1: Seperately search for each individual words/roots/templates in the specified query. 2: On priority bases, we merge two result lists (from step 1) at a time depedning on the logical connective For example, if we are searching for "he AND (is OR was)": 1: We shall search for "he", "is" and "was" seperately and get result lists for each word. 2: Merge the result lists of "is" and "was" using the merging function OR-MERGE 3: Merge the merged result list from the OR-MERGE function with the one of "he" using the merging function AND-MERGE The result of step 3 is then returned as the result of the specified query. What do you think gurues ? Which is faster ? Any better ideas ? Thank you all in advance.

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  • SSIS: "Failure inserting into the read-only column <ColumnName>"

    - by Cory
    I have an Excel source going into an OLE DB destination. I'm inserting data into a view that has an INSTEAD OF trigger that handles all inserts. When I try to execute the package I receive this error: "Failure inserting into the read-only column ColumnName" What can I do to let SSIS know that this view is safe to insert into because there is an INSTEAD OF trigger that will handle the insert? EDIT (Additional info): Some more additional info. I have a flat file that is being inserted into a normalized database. My initial problem was how do I take a flat file and insert that data into multiple tables while keeping track of all the primary/foreign key relationships. My solution was to create a VIEW that mimicked the structure of the flat file and then create an INSTEAD OF trigger on that view. In my INSTEAD OF trigger I would handle the logic of maintaining all the relationships between tables My view looks something like this. CREATE VIEW ImportView AS SELECT CONVERT(varchar(100, NULL) AS CustomerName, CONVERT(varchar(100), NULL) AS Address1, CONVERT(varchar(100), NULL) AS Address2, CONVERT(varchar(100), NULL) AS City, CONVERT(char(2), NULL) AS State, CONVERT(varchar(250), NULL) AS ItemOrdered, CONVERT(int, NULL) AS QuantityOrdered ... I will never need to select from this view, I only use it to insert data into it from this flat file I receive. I need someway to tell SQL Server that the fields aren't really read only because there is an INSTEAD OF trigger on this view.

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  • Remove undesired indexed keywords from Sql Server FTS Index

    - by Scott
    Could anyone tell me if SQL Server 2008 has a way to prevent keywords from being indexed that aren't really relevant to the types of searches that will be performed? For example, we have the IFilters for PDF and Word hooked in and our documents are being indexed properly as far as I can tell. These documents, however, have lots of numeric values in them that people won't really be searching for or bring back meaningful results. These are still being indexed and creating lots of entries in the full text catalog. Basically we are trying to optimize our search engine in any way we can and assumed all these unnecessary entries couldn't be helping performance. I want my catalog to consist of alphabetic keywords only. The current iFilters work better than I would be able to write in the time I have but it just has more than I need. This is an example of some of the terms from sys.dm_fts_index_keywords_by_document that I want out: $1,000, $100, $250, 100, 101, 102, 103, 104, 105, 106, 107, 108, 109, 110, 111, 112, 113, 114, 129, 13.1, 14, 14.12, 145, 15, 16.2, 16.4, 18, 18.1, 18.2, 18.3, 18.4, 18.5 These are some examples from the same management view that I think are desirable for keeping and searching on: above, accordingly, accounts, add, addition, additional, additive Any help would be greatly appreciated!

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  • Limitations of User-Defined Customer Events (FA Type Profile)

    - by Rajesh Sharma
    CC&B automatically creates field activities when a specific Customer Event takes place. This depends on the way you have setup your Field Activity Type Profiles, the templates within, and associated SP Condition(s) on the template. CC&B uses the service point type, its state and referenced customer event to determine which field activity type to generate.   Customer events available in the base product include: Cut for Non-payment (CNP) Disconnect Warning (DIWA) Reconnect for Payment (REPY) Reread (RERD) Stop Service (STOP) Start Service (STRT) Start/Stop (STSP)   Note the Field values/codes defined for each event.   CC&B comes with a flexibility to define new set of customer events. These can be defined in the Look Up - CUST_EVT_FLG. Values from the Look Up are used on the Field Activity Type Profile Template page.     So what's the use of having user-defined Customer Events? And how will the system detect such events in order to create field activity(s)?   Well, system can only detect such events when you reference a user-defined customer event on a Severance Event Type for an event type Create Field Activities.     This way you can create additional field activities of a specific field activity type for user-defined customer events.   One of our customers adopted this feature and created a user-defined customer event CNPW - Cut for Non-payment for Water Services. This event was then linked on a Field Activity Type Profile and referenced on a Severance Event - CUT FOR NON PAY-W. The associated Severance Process was configured to trigger a reconnection process if it was cancelled (done by defining a Post Cancel Algorithm). Whenever this Severance Event was executed, a specific type of Field Activity was generated for disconnection purposes. The Field Activity type was determined by the system from the Field Activity Type Profile referenced for the SP Type, SP's state and the referenced user-defined customer event. All was working well until the time when they realized that in spite of the Severance Process getting cancelled (when a payment was made); the Post Cancel Algorithm was not executed to start a Reconnection Severance Process for the purpose of generating a reconnection field activity and reconnecting the service.   Basically, the Post Cancel algorithm (if specified on a Severance Process Template) is triggered when a Severance Process gets cancelled because a credit transaction has affected/relieved a Service Agreement's debt.   So what exactly was happening? Now we come to actual question as to what are limitations in having user-defined customer event.   System defined/base customer events are hard-coded across the entire system. There is an impact even if you remove any customer event entry from the Look Up. User-defined customer events are not recognized by the system anywhere else except in the severance process, as described above.   There are few programs which have routines to first validate the completion of disconnection field activities, which were raised as a result of customer event CNP - Cut for Non-payment in order to perform other associated actions. One such program is the Post Cancel Algorithm, referenced on a Severance Process Template, generally used to reconnect services which were disconnected from other Severance Event, specifically CNP - Cut for Non-Payment. Post cancel algorithm provided by the product - SEV POST CAN does the following (below is the algorithm's description):   This algorithm is called after a severance process has been cancelled (typically because the debt was paid and the SA is no longer eligible to be on the severance process). It checks to see if the process has a completed 'disconnect' event and, if so, starts a reconnect process using the Reconnect Severance Process Template defined in the parameter.    Notice the underlined text. This algorithm implicitly checks for Field Activities having completed status, which were generated from Severance Events as a result of CNP - Cut for Non-payment customer event.   Now if we look back to the customer's issue, we can relate that the Post Cancel algorithm was triggered, but was not able to find any 'Completed' CNP - Cut for Non-payment related field activity. And hence was not able to start a reconnection severance process. This was because a field activity was generated and completed for a customer event CNPW - Cut for Non-payment of Water Services instead.   To conclude, if you introduce new customer events, you should be aware that you don't extend or simulate base customer events, the ones that are included in the base product, as they are further used to provide/validate additional business functions.  

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  • sql foreign keys

    - by Paul Est
    I was create tables with the syntax in phpmyadmin: DROP TABLE IF EXISTS users; DROP TABLE IF EXISTS info; CREATE TABLE users ( user_id int unsigned NOT NULL auto_increment, email varchar(100) NOT NULL default '', pwd varchar(32) NOT NULL default '', isAdmin int(1) unsigned NOT NULL, PRIMARY KEY (user_id) ) TYPE=INNODB; CREATE TABLE info ( info_id int unsigned NOT NULL auto_increment, first_name varchar(100) NOT NULL default '', last_name varchar(100) NOT NULL default '', address varchar(300) NOT NULL default '', zipcode varchar(100) NOT NULL default '', personal_phone varchar(100) NOT NULL default '', mobilephone varchar(100) NOT NULL default '', faxe varchar(100) NOT NULL default '', email2 varchar(100) NOT NULL default '', country varchar(100) NOT NULL default '', sex varchar(1) NOT NULL default '', birth varchar(1) NOT NULL default '', email varchar(100) NOT NULL default '', PRIMARY KEY (info_id), FOREIGN KEY (email) REFERENCES users(email) ON UPDATE CASCADE ON DELETE CASCADE ) TYPE=INNODB; But shows the error "#1064 - You have an error in your SQL syntax; check the manual that corresponds to your MySQL server version for the right syntax to use near 'TYPE=INNODB' at line 11 " If i remove the TYPE=INNODB in the end of create the tables, it will show the error "#1005 - Can't create table 'curriculo.info' (errno: 150) ".

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