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  • How can I use a compound condition in a join in Linq?

    - by Gary McGill
    Let's say I have a Customer table which has a PrimaryContactId field and a SecondaryContactId field. Both of these are foreign keys that reference the Contact table. For any given customer, either one or two contacts may be stored. In other words, PrimaryContactId can never be NULL, but SecondaryContactId can be NULL. If I drop my Customer and Contact tables onto the "Linq to SQL Classes" design surface, the class builder will spot the two FK relationships from the Customer table to the Contact table, and so the generated Customer class will have a Contact field and a Contact1 field (which I can rename to PrimaryContact and SecondaryContact to avoid confusion). Now suppose that I want to get details of all the contacts for a given set of customers. If there was always exactly one contact then I could write something like: from customer in customers join contact in contacts on customer.PrimaryContactId equals contact.id select ... ...which would be translated into something like: SELECT ... FROM Customer INNER JOIN Contact ON Customer.FirstSalesPersonId = Contact.id But, because I want to join on both the contact fields, I want the SQL to look something like: SELECT ... FROM Customer INNER JOIN Contact ON Customer.FirstSalesPersonId = Contact.id OR Customer.SecondSalesPersonId = Contact.id How can I write a Linq expression to do that?

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  • Create table and call it from sql

    - by user1770816
    I have a PL/SQL function which creates a new temporary table. For creating the table I use execute immediate. When I run my function in oracle sql developer everything is ok; the function creates the temp table without errors. But when U use SQL: Select function_name from table_name I get an exceptions: ORA-14552: cannot perform a DDL, commit or rollback inside a query or DML ORA-06512: at "SYSTEM.GET_USERS", line 10 14552. 00000 - "cannot perform a DDL, commit or rollback inside a query or DML " *Cause: DDL operations like creation tables, views etc. and transaction control statements such as commit/rollback cannot be performed inside a query or a DML statement. Update Sorry, write from tablet PC and have problems with format text. My function: CREATE OR REPLACE FUNCTION GET_USERS ( USERID IN VARCHAR2 ) RETURN VARCHAR2 AS request VARCHAR2(520) := 'CREATE GLOBAL TEMPORARY TABLE '; BEGIN request := request || 'temp_table_' || userid || '(user_name varchar2(50), user_id varchar2(20), is_administrator varchar2(5)') || ' ON COMMIT PRESERVE ROWS'; EXECUTE IMMEDIATE (request); RETURN 'true'; END GET_USERS;

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  • JOIN (SELECT DISTINCT [..] substitute

    - by FRKT
    Hello, I'd like to find a substitute for using SELECT DISTINCT in a derived table. Let's say I have three tables: CREATE TABLE `trades` ( `tradeID` int(11) unsigned NOT NULL AUTO_INCREMENT, `employeeID` int(11) unsigned NOT NULL, `corporationID` int(11) unsigned NOT NULL, `profit` int(11) NOT NULL, KEY `tradeID` (`tradeID`), KEY `employeeID` (`employeeID`), KEY `corporationID` (`corporationID`) ) ENGINE=MyISAM DEFAULT CHARSET=latin1 CREATE TABLE `corporations` ( `corporationID` int(11) unsigned NOT NULL AUTO_INCREMENT, `name` varchar(255) NOT NULL, PRIMARY KEY (`corporationID`) ) ENGINE=MyISAM DEFAULT CHARSET=latin1 CREATE TABLE `employees` ( `employeeID` int(11) unsigned NOT NULL AUTO_INCREMENT, `name` varchar(255) NOT NULL, PRIMARY KEY (`employeeID`) ) ENGINE=MyISAM DEFAULT CHARSET=latin1 Let's say I'd like to find out how much profit a specific employee has generated. Simple: SELECT SUM(profit) FROM trades JOIN employees ON trades.employeeID = employees.employeeID AND employees.employeeID = 1; It gets trickier if I'd like to query how much revenue a specific corporation has, however. I cannot simply replicate the aforementioned query, because two or more employees from the same company might be involved in the same trade. This query should do the trick: SELECT SUM(profit) FROM trades JOIN (SELECT DISTINCT tradeID FROM trades WHERE trades.corporationID = 1) ... unfortunately, DISTINCT JOINs seem crazy ineffective. Is there any alternative I can use to determine how much revenue a corporation has, taking into account that a corporation might be listed several times with the same tradeID?

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  • Best practices for (over)using Azure queues

    - by John
    Hi, I'm in the early phases of designing an Azure-based application. One of the things that attracts me to Azure is the scalability, given the variability of the demand I'm likely to expect. As such I'm trying to keep things loosely coupled so I can add instances when I need to. The recommendations I've seen for architecting an application for Azure include keeping web role logic to a minimum, and having processing done in worker roles, using queues to communicate and some sort of back-end store like SQL Azure or Azure Tables. This seems like a good idea to me as I can scale up either or both parts of the application without any issue. However I'm curious if there are any best practices (or if anyone has any experiences) for when it's best to just have the web role talk directly to the data store vs. sending data by the queue? I'm thinking of the case where I have a simple insert to do from the web role - while I could set this up as a message, send it on the queue, and have a worker role pick it up and do the insert, it seems like a lot of double-handling. However I also appreciate that it may be the case that this is better in the long run, in case the web role gets overwhelmed or more complex logic ends up being required for the insert. I realise this might be a case where the answer is "it depends entirely on the situation, check your perf metrics" - but if anyone has any thoughts I'd be very appreciative! Thanks John

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  • filling colors on a map - PHP

    - by jeremy
    I am trying to determine how to fill colors onto a map - such as the "Risk" board game map. I've done this before with HTML tables, by pulling an HTML color code from a SQL table and then just using it to fill the cell the color I want it. But for a non-square map, I'm not sure where to look. I have created a very simple two color map - its white with black borders. My desired result is having the 'regions' on the map shaded with a color, based on data in a sql table (just like the "fill" button in Paint). This looks like what I need: http://php.net/manual/en/function.imagefilltoborder.php and now.. how to define the borders... At the moment I have tried nothing, because the question was: how do I have PHP fill parts of an image? I have tried making an image in Paint, and then scratching my head wondering how to fill parts of it. Having stumbled upon a link, let me focus this a bit more: It appears that with imagefilltoborder that I can put an image on my server, perhaps one that looks like a black and white version of the RISK map - black borders and white everything else. Some questions: Is it correct that the 'border' variable should use the color of my border (whatever value black is) so that the code can "see" where the border is? Is it correct that I'll just need to figure out X,Y coords to begin the fill? Does this work if I have 10 different spots to fill on the map? Can I use varying colors from code or pulled from SQL to assign different colors to those 10 spots, and use 10 different X,Y coords to get them all?

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  • using spring, hibernate and scala, is there a better way to load test data than dbunit?

    - by egervari
    Here are some things I really dislike about dbunit: 1) You cannot specify the exact ordering the inserts because dbunit likes to group your inserts by table name, and not by the order you define them in the XML file. This is a problem when you have records depending on other records in other tables, so you have to disable foreign key constraints during your tests... which actually sucks because these foreign key constraints will get fired in production while your tests won't be aware of them! 2) They seem hellbent on forcing you to use an xml namespace to define your xml... and I honestly can't be bothered to do this. I like the data.xml without any namespace. It works. But they are so hellbent on deprecating it. 3) Creating different xml files is hard on a per test basis, so it actually encourages creating data for your entire app. Unfortunately, this process is a little bloated too once the data grows in size and things get inter tangled. There has got to be a better way to split up your test data into chunks without having to copy/paste a lot of the test data across all of your tests. 4) Keeping track of id references in a big xml file is just impossible. If you have 130 domain classes, it just gets bewildering. This model simply does not scale. Is there something less bloated and better in the Spring/Hibernate space? db unit has worn out its welcome and I'm really looking for something better.

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  • How to write these two queries for a simple data warehouse, using ANSI SQL?

    - by morpheous
    I am writing a simple data warehouse that will allow me to query the table to observe periodic (say weekly) changes in data, as well as changes in the change of the data (e.g. week to week change in the weekly sale amount). For the purposes of simplicity, I will present very simplified (almost trivialized) versions of the tables I am using here. The sales data table is a view and has the following structure: CREATE TABLE sales_data ( sales_time date NOT NULL, sales_amt double NOT NULL ) For the purpose of this question. I have left out other fields you would expect to see - like product_id, sales_person_id etc, etc, as they have no direct relevance to this question. AFAICT, the only fields that will be used in the query are the sales_time and the sales_amt fields (unless I am mistaken). I also have a date dimension table with the following structure: CREATE TABLE date_dimension ( id integer NOT NULL, datestamp date NOT NULL, day_part integer NOT NULL, week_part integer NOT NULL, month_part integer NOT NULL, qtr_part integer NOT NULL, year_part integer NOT NULL, ); which partition dates into reporting ranges. I need to write queries that will allow me to do the following: Return the change in week on week sales_amt for a specified period. For example the change between sales today and sales N days ago - where N is a positive integer (N == 7 in this case). Return the change in change of sales_amt for a specified period. For in (1). we calculated the week on week change. Now we want to know how that change is differs from the (week on week) change calculated last week. I am stuck however at this point, as SQL is my weakest skill. I would be grateful if an SQL master can explain how I can write these queries in a DB agnostic way (i.e. using ANSI SQL).

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  • Mysql slow query: INNER JOIN + ORDER BY causes filesort

    - by Alexander
    Hello! I'm trying to optimize this query: SELECT `posts`.* FROM `posts` INNER JOIN `posts_tags` ON `posts`.id = `posts_tags`.post_id WHERE (((`posts_tags`.tag_id = 1))) ORDER BY posts.created_at DESC; The size of tables is 38k rows, and 31k and mysql uses "filesort" so it gets pretty slow. I tried to use different indexes, no luck. CREATE TABLE `posts` ( `id` int(11) NOT NULL auto_increment, `created_at` datetime default NULL, PRIMARY KEY (`id`), KEY `index_posts_on_created_at` (`created_at`), KEY `for_tags` (`trashed`,`published`,`clan_private`,`created_at`) ) ENGINE=InnoDB AUTO_INCREMENT=44390 DEFAULT CHARSET=utf8 COLLATE=utf8_unicode_ci CREATE TABLE `posts_tags` ( `id` int(11) NOT NULL auto_increment, `post_id` int(11) default NULL, `tag_id` int(11) default NULL, `created_at` datetime default NULL, `updated_at` datetime default NULL, PRIMARY KEY (`id`), KEY `index_posts_tags_on_post_id_and_tag_id` (`post_id`,`tag_id`) ) ENGINE=InnoDB AUTO_INCREMENT=63175 DEFAULT CHARSET=utf8 +----+-------------+------------+--------+--------------------------+--------------------------+---------+---------------------+-------+-----------------------------------------------------------+ | id | select_type | table | type | possible_keys | key | key_len | ref | rows | Extra | +----+-------------+------------+--------+--------------------------+--------------------------+---------+---------------------+-------+-----------------------------------------------------------+ | 1 | SIMPLE | posts_tags | index | index_post_id_and_tag_id | index_post_id_and_tag_id | 10 | NULL | 24159 | Using where; Using index; Using temporary; Using filesort | | 1 | SIMPLE | posts | eq_ref | PRIMARY | PRIMARY | 4 | .posts_tags.post_id | 1 | | +----+-------------+------------+--------+--------------------------+--------------------------+---------+---------------------+-------+-----------------------------------------------------------+ 2 rows in set (0.00 sec) What kind of index I need to define to avoid mysql using filesort? Is it possible when order field is not in where clause?

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  • Selecting random top 3 listings per shop for a range of active advertising shops

    - by GraGra33
    I’m trying to display a list of shops each with 3 random items from their shop, if they have 3 or more listings, that are actively advertising. I have 3 tables: one for the shops – “Shops”, one for the listings – “Listings” and one that tracks active advertisers – “AdShops”. Using the below statement, the listings returned are random however I’m not getting exactly 3 listings (rows) returned per shop. SELECT AdShops.ID, Shops.url, Shops.image_url, Shops.user_name AS shop_name, Shops.title, L.listing_id AS listing_id, L.title AS listing_title, L.price as price, L.image_url AS listing_image_url, L.url AS listing_url FROM AdShops INNER JOIN Shops ON AdShops.user_id = Shops.user_id INNER JOIN Listings AS L ON Shops.user_id = L.user_id WHERE (Shops.is_vacation = 0 AND Shops.listing_count > 2 AND L.listing_id IN (SELECT TOP 3 L2.listing_id FROM Listings AS L2 WHERE L2.listing_id IN (SELECT TOP 100 PERCENT L3.listing_id FROM Listings AS L3 WHERE (L3.user_id = L.user_id) ) ORDER BY NEWID() ) ) ORDER BY Shops.shop_name I’m stumped. Anyone have any ideas on how to fix it? The ideal solution would be one record per store with the 3 listings (and associated data) were in columns and not rows – is this possible?

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  • NHibernate will not insert a record

    - by Brian Beckham
    I have an application that is now 4+ years old that is exhibiting some odd behavior on our latest deployment. The application uses nHibernate for all inserts / updates / selects, etc. We are currently using .NET 2.0, and nHibernate 1.2 (I know, we need to upgrade) This deployment is on Windows 2008 Server x64, IIS 7.5 - what I have seen so far is that the application runs, but is unable to insert or update records in the DB - reads seem fine so far, but writes are a problem. SOME writes actually work, inserts into some small tables, but most never even make it to the DB. Using SQL Profiler, the insert / updates never make it to the server, and turning log4net up to DEBUG, and show_sql true - the select statements appear, but the insert / update statements never make it into the log at all, and never show up at the server. What's even more odd is that the application seems to be oblivious to this - the commandandclose runs without exception (open session in view with an httpmodule), the domain objects come back with uuid's generated, etc. but never get persisted. Certainly an upgrade is due, but I would hate to try it during a deployment, and without time to accurately test the app. Any ideas?

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  • Use of unassigned local variable 'xxx'

    - by Tomislav
    I'm writing a database importer from our competitors to ours database:) I have a code generator which create Methods form import to our database like public void Test_Import_Customer_1() // variables string conn; string sqlSelect; string sqlInsert; int extID; string name; string name2; DateTime date_inserted; sqlSelect="select id,name,date_inserted from table_competitors_1"; oledbreader reader = new GetOledbRader(sqlString,conn); while (reader.read()) { name=left((string)myreader["name"],50); //limitation of my field date_inserted=myreader["date_inserted"]; sqlInsert=string.Format("insert into table(name,name2,date_inserted)values '{0}', '{1}', {2})",name,name2,date_inserted); //here is the problem name2 "Use of unassigned local variable" ExecuteSQL(sqlInsert) } As different companies database has different fields i can not set value to each variable and there is a big number of tables to go one variable to next. like sqlSelect_Company_1 = "select name,date_inserted from table_1"; sqlSelect_Company_2 = "select name,name2 from table_2"; is there a way to override the typing of each variable one by one with default values?

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  • How do I Order on common attribute of two models in the DB?

    - by Will
    If i have two tables Books, CDs with corresponding models. I want to display to the user a list of books and CDs. I also want to be able to sort this list on common attributes (release date, genre, price, etc.). I also have basic filtering on the common attributes. The list will be large so I will be using pagination in manage the load. items = [] items << CD.all(:limit => 20, :page => params[:page], :order => "genre ASC") items << Book.all(:limit => 20, :page => params[:page], :order => "genre ASC") re_sort(items,"genre ASC") Right now I am doing two queries concatenating them and then sorting them. This is very inefficient. Also this breaks down when I use paging and filtering. If I am on page 2 of how do I know what page of each table individual table I am really on? There is no way to determine this information without getting all items from each table. I have though that if I create a new Class called items that has a one to one relationship with either a Book or CD and do something like Item.all(:limit => 20, :page => params[:page], :include => [:books, :cds], :order => "genre ASC") However this gives back an ambiguous error. So can only be refined as Item.all(:limit => 20, :page => params[:page], :include => [:books, :cds], :order => "books.genre ASC") And does not interleave the books and CDs in a way that I want. Any suggestions.

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  • How do I write this SQL statement to get the ad and posting? (PHP/MySQL)

    - by ggfan
    I am a little confused on the logic of how to write this SQL statement. When a user clicks on a tag, say HTML, it would display all the posts with HTML as its tag. (a post can have multiple tags) I have three tables: Posting--posting_id, title, detail, etc tags--tagID, tagname postingtag--posting_id, tagID I want to display all the title of the post and the date added. global $dbc; $tagID=$_GET['tagID']; //the GET is set by URL //part I need help with. I need another WHERE statment to get to the posting table $query = "SELECT p.title,p.date_added, t.tagname FROM posting as p, postingtag as pt, tags as t WHERE t.tagID=$tagID"; $data = mysqli_query($dbc, $query); echo '<table>'; echo '<tr><td><b>Title</b></td><td><b>Date Posted</b></td></tr>'; while ($row = mysqli_fetch_array($data)) { echo '<tr><td>'.$row['title'].'</td>'; echo '<td>'.$row['date_added'].'</td></tr>'; } echo '</table>'; }

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  • Entity Framework one-to-one relationship mapping flattened in code

    - by Josh Close
    I have a table structure like so. Address: AddressId int not null primary key identity ...more columns AddressContinental: AddressId int not null primary key identity foreign key to pk of Address County State AddressInternational: AddressId int not null primary key identity foreign key to pk of Address ProvinceRegion I don't have control over schema, this is just the way it is. Now, what I want to do is have a single Address object. public class Address { public int AddressId { get; set; } public County County { get; set; } public State State { get; set } public ProvinceRegion { get; set; } } I want to have EF pull it out of the database as a single entity. When saving, I want to save the single entity and have EF know to split it into the three tables. How would I map this in EF 4.1 Code First? I've been searching around and haven't found anything that meets my case yet. UPDATE An address record will have a record in Address and one in either AddressContinental or AddressInternational, but not both.

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  • How to Store and Retrieve Images Using SQL Server (Server Management Studio)

    - by Joe Majewski
    I am having difficulties when trying to insert files into a SQL Server database. I'll try to break this down as best as I can: What data type should I be using to store image files (jpeg/png/gif/etc)? Right now my table is using the image data type, but I am curious if varbinary would be a better option. How would I go about inserting the image into the database? Does Microsoft SQL Server Management Studio have any built in functions that allow insertions of files into tables? If so, how is that done? Also, how could this be done through the use of an HTML form with PHP handling the input data and placing it into the table? How would I fetch the image from the table and display it on the page? I understand how to SELECT the cell's contents, but how would I go about translating that into a picture. Would I have to have a header(Content type: image/jpeg)? I have no problem doing any of these things with MySQL, but the SQL Server environment is still new to me, and I am working on a project for my job that requires the use of stored procedures to grab various data. Any and all help is appreciated.

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  • application specific seed data population

    - by user339108
    Env: JBoss, (h2, MySQl, postgres), JPA, Hibernate 3.3.x @Id @GeneratedValue(strategy = IDENTITY) private Integer key; Currently our primary keys are created using the above annotation. We expect to support a large number of users (~million users), what key should be used. Should it be Integer or Long or should I use the unsigned versions of the above declarations. We have a j2ee application which needs to be populated with some seed data on installation. On purchase, the customer creates his own data on top of the application. We just want to make sure that there is enough room to ship, modify or add data for future releases. What would be the best mechanism to support this, we had looked at starting all table identifiers from a certain id (say 1000) but this mandates modifying primary key generation to have table or sequence based generators and we have around ~100 tables. We are not sure if this is the right strategy for this. If we use a signed integer approach for the key, would it make sense to have the seed data as everything starting from 0 and below (i.e -ve numbers), so that all customer specific data will be available on 0 and above (i.e. +ve numbers)

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  • Update table using SSIS

    - by thursdaysgeek
    I am trying to update a field in a table with data from another table, based on a common key. If it were in straight SQL, it would be something like: Update EHSIT set e.IDMSObjID = s.IDMSObjID from EHSIT e, EHSIDMS s where e.SITENUM = s.SITE_CODE However, the two tables are not in the same database, so I'm trying to use SSIS to do the update. Oh, and the sitenum/site_code are varchar in one and nvarchar in the other, so I'll have to do a data conversion so they'll match. How do I do it? I have a data flow object, with the source as EHSIDMS and the destination as EHSIT. I have a data conversion to convert the unicode to non-unicode. But how do I update based on the match? I've tried with the destination, using a SQL Command as the Data Access mode, but it doesn't appear to have the source table. If I just map the field to be updated, how does it limit it based on fields matching? I'm about to export my source table to Excel or something, and then try inputting from there, although it seems that all that would get me would be to remove the data conversion step. Shouldn't there be an update data task or something? Is it one of those Data Flow transformation tasks, and I'm just not figuring out which it is?

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  • Image swaping with click on <tr>

    - by Jonny Sooter
    I've edited this piece of code from the Data Tables Plugin witch makes a tr click able and pops open another tr with details from the clicked tr. This piece of code is the event listener for opening and closing. When "details" are open the img should be images/details_close.png and they are closed the img should be images/details_open.png and have a swap occurring when it opens and closes when clicked. What is happening is there is no swap going on when its open or closed I still only get the "details_open.png". I don't knoe if I'm just not selecting the img tag properly or whats going on. Link to project: http://www2.kent.k12.wa.us/ksd/it/www/mobile/elementary.html $('#example tbody').on('click', 'td', function (e) { var myImage = $(this).find("img"); var nTr = $(this).parents('tr')[0]; if ( oTable.fnIsOpen(nTr) ) { /* This row is already open - close it */ myImage.src = "images/details_open.png"; oTable.fnClose( nTr ); } else { /* Open this row */ myImage.src = "images/details_close.png"; oTable.fnOpen( nTr, fnFormatDetails(oTable, nTr), 'details' ); } } );

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  • transaction handling in dataset based insert/update in c#

    - by user3703611
    I am trying to insert bulk records in a sql server database table using dataset. But i am unable to do transaction handling. Please help me to apply transaction handling in below code. I am using adapter.UpdateCommand.Transaction = trans; but this line give me an error of Object reference not set to an instance of an object. Code: string ConnectionString = "server=localhost\\sqlexpress;database=WindowsApp;Integrated Security=SSPI;"; SqlConnection conn = new SqlConnection(ConnectionString); conn.Open(); SqlTransaction trans = conn.BeginTransaction(IsolationLevel.Serializable); SqlDataAdapter adapter = new SqlDataAdapter("SELECT * FROM Test ORDER BY Id", conn); SqlCommandBuilder builder = new SqlCommandBuilder(adapter); adapter.UpdateCommand.Transaction = trans; // Create a dataset object DataSet ds = new DataSet("TestSet"); adapter.Fill(ds, "Test"); // Create a data table object and add a new row DataTable TestTable = ds.Tables["Test"]; for (int i=1;i<=50;i++) { DataRow row = TestTable.NewRow(); row["Id"] = i; TestTable .Rows.Add(row); } // Update data adapter adapter.Update(ds, "Test"); trans.Commit(); conn.Close();

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  • How to use Transaction in Entity FrameWork?

    - by programmerist
    How to use Transaction in Entity FrameWork? i read some links on Stackoverflow : http://stackoverflow.com/questions/815586/entity-framework-using-transactions-or-savechangesfalse-and-acceptallchanges BUT; i have 3 table so i have 3 entities: CREATE TABLE Personel (PersonelID integer PRIMARY KEY identity not null, Ad varchar(30), Soyad varchar(30), Meslek varchar(100), DogumTarihi datetime, DogumYeri nvarchar(100), PirimToplami float); Go create TABLE Prim (PrimID integer PRIMARY KEY identity not null, PersonelID integer Foreign KEY references Personel(PersonelID), SatisTutari int, Prim float, SatisTarihi Datetime); Go CREATE TABLE Finans (ID integer PRIMARY KEY identity not null, Tutar float); Personel, Prim,Finans my tables. if you look Prim table you can see Prim value float value if i write a textbox not float value my transaction must run. using (TestEntities testCtx = new TestEntities()) { using (TransactionScope scope = new TransactionScope()) { // do someyihng... testCtx.Personel.SaveChanges(); // do someyihng... testCtx.Prim.SaveChanges(); // do someyihng... testCtx.Finans.SaveChanges(); scope .Complete(); success = true; } } How can i do that?

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  • How can I concisely copy multiple SQL rows, with minor modifications?

    - by Steve Jessop
    I'm copying a subset of some data, so that the copy will be independently modifiable in future. One of my SQL statements looks something like this (I've changed table and column names): INSERT Product( ProductRangeID, Name, Weight, Price, Color, And, So, On ) SELECT @newrangeid AS ProductRangeID, Name, Weight, Price, Color, And, So, On FROM Product WHERE ProductRangeID = @oldrangeid and Color = 'Blue' That is, we're launching a new product range which initially just consists of all the blue items in some specified current range, under new SKUs. In future we may change the "blue-range" versions of the products independently of the old ones. I'm pretty new at SQL: is there something clever I should do to avoid listing all those columns, or at least avoid listing them twice? I can live with the current code, but I'd rather not have to come back and modify it if new columns are added to Product. In its current form it would just silently fail to copy the new column if I forget to do that, which should show up in testing but isn't great. I am copying every column except for the ProductRangeID (which I modify), the ProductID (incrementing primary key) and two DateCreated and timestamp columns (which take their auto-generated values for the new row). Btw, I suspect I should probably have a separate join table between ProductID and ProductRangeID. I didn't define the tables. This is in a T-SQL stored procedure on SQL Server 2008, if that makes any difference.

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  • How to do an additional search on archive in rails if record not found, by extending model?

    - by Nick Gorbikoff
    Hello, I was wondering if somebody knows an elegant solution to the following: Suppose I have a table that holds orders, with a bunch of data. So I'm at 1M records, and searches begin to take time. So I want to speed it up by archiving some data that is more than 3 years old - saving it into a table called orders-archive, and then purging them from the orders table. So if we need to research something or customer wants to pull older information - they still can, but 99% of the lookups are done on the orders no older than a year and a half - so there is no reason to keep looking through older data all the time. These move & purge operations can be then croned to be done on a weekly basis. I already did some tests and I know that I will slash my search times by about 4 times. So far so good, right? However I was thinking about how to implement older archival lookups and the only reasonable thing I can think of is some sort of if-else If not found in orders, do a search in orders-archive. However - I have about 20 tables that I want to archive and god knows how many searches / finds are done through out the code, that I don't want to modify. So I was wondering if there is an elegant rails-way solution to this problem, by extending a model somehow? Has anyone dealt with similar case before? Thank you.

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  • How to map a 0..1 to 1 relationship in Entity Framework 3

    - by sako73
    I have two tables, Users, and Address. A the user table has a field that maps to the primary key of the address table. This field can be null. In plain english, Address exist independent of other objects. A user may be associated with one address. In the database, I have this set up as a foreign key relationship. I am attempting to map this relationship in the Entity Framework. I am getting errors on the following code: <Association Name="fk_UserAddress"> <End Role="User" Type="GenesisEntityModel.Store.User" Multiplicity="1"/> <End Role="Address" Type="GenesisEntityModel.Store.Address" Multiplicity="0..1" /> <ReferentialConstraint> <Principal Role="Address"> <PropertyRef Name="addressId"/> </Principal> <Dependent Role="User"> <PropertyRef Name="addressId"/> </Dependent> </ReferentialConstraint> </Association> It is giving a "The Lower Bound of the multiplicity must be 0" error. I would appreciate it if anyone could explain the error, and the best way to solve it. Thanks for any help.

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  • architecture - centraled location for different modules (cms, webapplications, ...) - best practise

    - by NicoJuicy
    Let's just say that i want to create a cms + other online applications. I want them all to integrate into a central location, but they also have to be available seperately (not everyone want's more than the cms solution). Would i create a huge central application that contains all the database, which communicates through a webserice with the "standalone - integrated" modules? Or would i create them seperately and the only thing that the "central" application would do is syncing the information (eg. the cms and another solution can have the same tables (eg. clients or employees). Or do you have another idea? (i know i'm a little vague, but i can't "give" a lot of details because of work - contract). If someone has all the "packages" it should be possible for the central application to integrate all the modules at one place! Or if someone has more than 1 module, it should combine this on the website. What i thought is best, is that the central location contains only the users and their rights (eg. cms - all rights, ...), and the information get synced with every change. (module cms, adding a new client - store locally and send data to the central location, central location - send to modules = table clients updated everywhere) This way it is easy if someone only "bought" a module, they can sync it easily through the complete architecture. I hope i made myself clear!

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  • trouble connecting to MySql DB (PHP)

    - by user332817
    Hi I have the following PHP code to connect to my db. <?php ob_start(); $host="localhost"; // Host name $username="root"; // Mysql username $password=""; // Mysql password $db_name="test"; // Database name $tbl_name="members"; // Table name // Connect to server and select databse. mysql_connect("$host", "$username", "$password")or die("cannot connect"); ?> however I get the following error: Warning: mysql_connect() [function.mysql-connect]: [2002] A connection attempt failed because the connected party did not (trying to connect via tcp://localhost:3306) in C:\Program Files (x86)\EasyPHP-5.3.2i\www\checklogin.php on line 11 Warning: mysql_connect() [function.mysql-connect]: A connection attempt failed because the connected party did not properly respond after a period of time, or established connection failed because connected host has failed to respond. in C:\Program Files (x86)\EasyPHP-5.3.2i\www\checklogin.php on line 11 Fatal error: Maximum execution time of 30 seconds exceeded in C:\Program Files (x86)\EasyPHP-5.3.2i\www\checklogin.php on line 11 I am able to add a db/tables via phpmyadmin but I cant connect using php. here is a screenshot of my phpmyadmin page: http://img294.imageshack.us/img294/1589/sqls.jpg any help would be appreciated, thanks in advance.

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