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  • Populate JOIN into a list in one database query

    - by axio
    I am trying to get the records from the 'many' table of a one-to-many relationship and add them as a list to the relevant record from the 'one' table. I am also trying to do this in a single database request. Code derived from http://stackoverflow.com/questions/1580199/linq-to-sql-populate-join-result-into-a-list almost achieves the intended result, but makes one database request per entry in the 'one' table which is unacceptable. That failing code is here: var res = from variable in _dc.GetTable<VARIABLE>() select new { x = variable, y = variable.VARIABLE_VALUEs }; However if I do a similar query but loop through all the results, then only a single database request is made. This code achieves all goals: var res = from variable in _dc.GetTable<VARIABLE>() select variable; List<GDO.Variable> output = new List<GDO.Variable>(); foreach (var v2 in res) { List<GDO.VariableValue> values = new List<GDO.VariableValue>(); foreach (var vv in v2.VARIABLE_VALUEs) { values.Add(VariableValue.EntityToGDO(vv)); } output.Add(EntityToGDO(v2)); output[output.Count - 1].VariableValues = values; } However the latter code is ugly as hell, and it really feels like something that should be do-able in a single linq query. So, how can this be done in a single linq query that makes only a single database query? In both cases the table is set to preload using the following code: _dc = _db.CreateLinqDataContext(); var loadOptions = new DataLoadOptions(); loadOptions.LoadWith<VARIABLE>(v => v.VARIABLE_VALUEs); _dc.LoadOptions = loadOptions; I am using .NET 3.5, and the database back-end was generated using SqlMetal.

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  • Why are my bound parameters all identical (using Linq)?

    - by Scott Stafford
    When I run this snippet of code: string[] words = new string[] { "foo", "bar" }; var results = from row in Assets select row; foreach (string word in words) { results = results.Where(row => row.Name.Contains(word)); } I get this SQL: -- Region Parameters DECLARE @p0 VarChar(5) = '%bar%' DECLARE @p1 VarChar(5) = '%bar%' -- EndRegion SELECT ... FROM [Assets] AS [t0] WHERE ([t0].[Name] LIKE @p0) AND ([t0].[Name] LIKE @p1) Note that @p0 and @p1 are both bar, when I wanted them to be foo and bar. I guess Linq is somehow binding a reference to the variable word rather than a reference to the string currently referenced by word? What is the best way to avoid this problem? (Also, if you have any suggestions for a better title for this question, please put it in the comments.) Note that I tried this with regular Linq also, with the same results (you can paste this right into Linqpad): string[] words = new string[] { "f", "a" }; string[] dictionary = new string[] { "foo", "bar", "jack", "splat" }; var results = from row in dictionary select row; foreach (string word in words) { results = results.Where(row => row.Contains(word)); } results.Dump(); Dumps: bar jack splat

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  • Cannot perform an ORDERBY against my EF4 data

    - by Jaxidian
    I have a query hitting EF4 using STEs and I'm having an issue with user-defined sorting. In debugging this, I have removed the dynamic sorting and am hard-coding it and I still have the issue. If I swap/uncomment the var results = xxx lines in GetMyBusinesses(), my results are not sorted any differently - they are always sorting it ascendingly. FYI, Name is a varchar(200) field in SQL 2008 on my Business table. private IQueryable<Business> GetMyBusinesses(MyDBContext CurrentContext) { var myBusinesses = from a in CurrentContext.A join f in CurrentContext.F on a.FID equals f.id join b in CurrentContext.Businesses on f.BID equals b.id where a.PersonID == 52 select b; var results = from r in myBusinesses orderby "Name" ascending select r; //var results = from r in results // orderby "Name" descending // select r; return results; } private PartialEntitiesList<Business> DoStuff() { var myBusinesses = GetMyBusinesses(); var myBusinessesCount = GetMyBusinesses().Count(); Results = new PartialEntitiesList<Business>(myBusinesses.Skip((PageNumber - 1)*PageSize).Take(PageSize).ToList()) {UnpartialTotalCount = myBusinessesCount}; return Results; } public class PartialEntitiesList<T> : List<T> { public PartialEntitiesList() { } public PartialEntitiesList(int capacity) : base(capacity) { } public PartialEntitiesList(IEnumerable<T> collection) : base(collection) { } public int UnpartialTotalCount { get; set; } }

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  • Oracle Insert via Select from multiple tables where one table may not have a row

    - by Mikezx6r
    I have a number of code value tables that contain a code and a description with a Long id. I now want to create an entry for an Account Type that references a number of codes, so I have something like this: insert into account_type_standard (account_type_Standard_id, tax_status_id, recipient_id) ( select account_type_standard_seq.nextval, ts.tax_status_id, r.recipient_id from tax_status ts, recipient r where ts.tax_status_code = ? and r.recipient_code = ?) This retrieves the appropriate values from the tax_status and recipient tables if a match is found for their respective codes. Unfortunately, recipient_code is nullable, and therefore the ? substitution value could be null. Of course, the implicit join doesn't return a row, so a row doesn't get inserted into my table. I've tried using NVL on the ? and on the r.recipient_id. I've tried to force an outer join on the r.recipient_code = ? by adding (+), but it's not an explicit join, so Oracle still didn't add another row. Anyone know of a way of doing this? I can obviously modify the statement so that I do the lookup of the recipient_id externally, and have a ? instead of r.recipient_id, and don't select from the recipient table at all, but I'd prefer to do all this in 1 SQL statement.

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  • ASP.NET DynamicData: Whats happening during an update?

    - by Jens A.
    I am using ASP.NET DynamicData (based on LINQ to SQL) on my site for basic scaffolding. On one table I have added additional properties, that are not stored in the table, but are retrieved from somewhere else. (Profile information for a user account, in this case). They are displayed just fine, but when editing these values and pressing "Update", they are not changed. Here's what the properties look like, the table is the standard aspnet_Users table: public String Address { get { UserProfile profile = UserProfile.GetUserProfile(UserName); return profile.Address; } set { UserProfile profile = UserProfile.GetUserProfile(UserName); profile.Address = value; profile.Save(); } } When I fired up the debugger, I've noticed that for each update the set accessor is called three times. Once with the new value, but on a newly created instance of user, then once with the old value, again on an new instance, and finally with the old value on the existing instance. Wondering a bit, I checked with the properties created by the designer, and they, too, are called three times in (almost) the same fashion. The only difference is, that the last call contains the new value for the property. I am a bit stumped here. Why three times, and why are my new properties behaving differently? I'd be grateful for any help on that matter! =)

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  • INSERT INTO ...SELECT syntax error in join operator

    - by user1477356
    I'm trying to write a shopping basket into a order + orderline in a sql database from C# asp.net. the orderline will contain a ordernumber, total price, productid, quantity etc. for every item in the basket. The order itself will contain the ordernumber as primary key and will be linked to the different lines through it. Everything worked fine yesterday, but now as i tried to use a SELECT command in the insert into statement to get things more dynamic i'm getting the above described syntax error. Does anybody know what's wrong with this statement: INSERT INTO [order] (klant_id,totaalprijs,btw,subtotaal,verzendkosten) SELECT klant.id , SUM(orderregel.totaalprijs) , SUM(orderregel.btw) , SUM(orderregel.totaalprijs) - SUM(orderregel.btw) , 7.50 FROM orderregel INNER JOIN klant ON [order].klant_id = klant.id WHERE klant.username = 'jerry' GROUP BY id; the ordernumber in the "order" table is on autonumber, in the asp codebehind there is a for each which handles the lines being written for every product, there's an index set on 0 outside of this loop and is heightened with 1 every end of it. The executenonquery of the order is only executed once at the beginning of the first loop and the lines are added after with MAX(ordernumber) as ordernumber. I hope i have provided enough information and somebody is capable of helping me. Thanks in advance!

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  • Handling nulls in Datawarehouse

    - by rrydman
    I'd like to ask your input on what the best practice is for handling null or empty data values when it pertains to data warehousing and SSIS/SSAS. I have several fact and dimension tables that contain null values in different rows. Specifics: 1) What is the best way to handle null date/times values? Should I make a 'default' row in my time or date dimensions and point SSIS to the default row when there is a null found? 2) What is the best way to handle nulls/empty values inside of dimension data. Ex: I have some rows in an 'Accounts' dimensions that have empty (not NULL) values in the Account Name column. Should I convert these empty or null values inside the column to a specific default value? 3) Similar to point 1 above - What should I do if I end up with a Facttable row that has no record in one of the dimension columns? Do I need default dimension records for each dimension in case this happens? 4) Any suggestion or tips in regards to how to handle these operation in Sql server integration services (SSIS)? Best data flow configurations or best transformation objects to use would be helpful. Thanks :-)

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  • List all foreign key constraints that refer to a particular column in a specific table

    - by Sid
    I would like to see a list of all the tables and columns that refer (either directly or indirectly) a specific column in the 'main' table via a foreign key constraint that has the ON DELETE=CASCADE setting missing. The tricky part is that there would be an indirect relationships buried across up to 5 levels deep. (example: ... great-grandchild- FK3 = grandchild = FK2 = child = FK1 = main table). We need to dig up the leaf tables-columns, not just the very 1st level. The 'good' part about this is that execution speed isn't of concern, it'll be run on a backup copy of the production db to fix any relational issues for the future. I did SELECT * FROM sys.foreign_keys but that gives me the name of the constraint - not the names of the child-parent tables and the columns in the relationship (the juicy bits). Plus the previous designer used short, non-descriptive/random names for the FK constraints, unlike our practice below The way we're adding constraints into SQL Server: ALTER TABLE [dbo].[UserEmailPrefs] WITH CHECK ADD CONSTRAINT [FK_UserEmailPrefs_UserMasterTable_UserId] FOREIGN KEY([UserId]) REFERENCES [dbo].[UserMasterTable] ([UserId]) ON DELETE CASCADE GO ALTER TABLE [dbo].[UserEmailPrefs] CHECK CONSTRAINT [FK_UserEmailPrefs_UserMasterTable_UserId] GO The comments in this SO question inpire this question.

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  • How can you exclude a large number of records in a cross db query using LINQ2SQL?

    - by tap
    So here is my situation: I have a vendor supplied DB we cannot modify and a custom db that imports data from the vendor app and acts on it. Once records are imported form the vendor app, they cannot appear on the list of records to be imported. Also we only want to display the 250 most recent records that have not been imported. What I originally started with was select the list of ids that have been imported from the custom db, and then query the vendor db, using the list of ids in a .Where(x = !idList.Contains(x.Id)) clause on the remote query. This worked up until we broke 2100 records imported into the custom db, as 2100 is the limit on the number of parameters that can be passed into SQL. After finding out this was the actual problem and not the 'invalid buffer'/'severe error' ADO.Net reported, my solution was to remove the first 2000 ids in the remote query, and then remove the remaining records in the local query. Having to pull back a large number of irrelevant records, just to exclude them, so I can get the correct 250 records seems very inelegant. Is there a better way to do this, short of doing a cross db stored procedure? Thanks in advance.

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  • Timestamps and Intervals: NUMTOYMINTERVAL SYSTDATE CALCULATION SQL QUERY

    - by MeachamRob
    I am working on a homework problem, I'm close but need some help with a data conversion I think. Or sysdate - start_date calculation The question is: Using the EX schema, write a SELECT statement that retrieves the date_id and start_date from the Date_Sample table (format below), followed by a column named Years_and_Months_Since_Start that uses an interval function to retrieve the number of years and months that have elapsed between the start_date and the sysdate. (Your values will vary based on the date you do this lab.) Display only the records with start dates having the month and day equal to Feb 28 (of any year). DATE_ID START_DATE YEARS_AND_MONTHS_SINCE_START 2 Sunday , February 28, 1999 13-8 4 Monday , February 28, 2005 7-8 5 Tuesday , February 28, 2006 6-8 Our EX schema that refers to this question is simply a Date_Sample Table with two columns: DATE_ID NUMBER NOT Null START_DATE DATE I Have written this code: SELECT date_id, TO_CHAR(start_date, 'Day, MONTH DD, YYYY') AS start_date , NUMTOYMINTERVAL((SYSDATE - start_date), 'YEAR') AS years_and_months_since_start FROM date_sample WHERE TO_CHAR(start_date, 'MM/DD') = '02/28'; But my Years and months since start column is not working properly. It's getting very high numbers for years and months when the date calculated is from 1999-ish. ie, it should be 13-8 and I'm getting 5027-2 so I know it's not correct. I used NUMTOYMINTERVAL, which should be correct, but don't think the sysdate-start_date is working. Data Type for start_date is simply date. I tried ROUND but maybe need some help to get it right. Something is wrong with my calculation and trying to figure out how to get the correct interval there. Not sure if I have provided enough information to everyone but I will let you know if I figure it out before you do. It's a question from Murach's Oracle and SQL/PL book, chapter 17 if anyone else is trying to learn that chapter. Page 559.

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  • formmail to email in database

    - by aarontb
    Here's what I need to setup...and I am not well versed in PHP/SQL...but this is what I'm trying to do. On the New User database, I will have a section where they can have information sent to their phone using the provider's default e-mail to text msg (i.e. [email protected].) New User: Input number: ______________(2225551212 format, no hyphens, etc.) Select Provider: (Drop-down menu with proper @provider.ext...) Then the formmail, when sent, if for specific user will get ($phone".@."$provider); or something like that and send a preset message like: $user."requested information on ".$product."on".$date." at ".$time."."; Is this possible? The $user, $product, $date, $time all are generated directly from the most recent input page for a database. Is this possible? Please help!

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  • Using multiple Qt (SQL) Models

    - by radix07
    I have a near real-time application that I am using Qt and an SQLite database to run. I am curious if it is safe to have two separate models access a database at once. I know 2 separate views can access a model just fine, but I can't find any document addressing this. I also realize that SQLite is thread safe for reading, so I don't see a real issue to doing this from the SQLite part of things... Basically I want to use a QSqlTableModel to do the real-time read and write in the background and at the same time use a QSqlQueryModel to give the user desired data. Since I may be doing lots of filtering in the background using the table model I can't use it as the main view as well. I have gotten this to work for the most part, but am not sure if this is the best way to do this. If the models act like multiple SQL queries I don't believe this should be an issue, but I would like to know from someone I bit more knowledgeable about this stuff since this is pretty new to me. Thanks

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  • Most efficient way to make an activity log

    - by Nathan
    I am making a "recent activity" tab to profiles on my site and I also am going to have a log for moderators to see everything that happens on the site. This would require making an activity log of some sort. I just don't know what would be better. I have 2 options: Make a table called "activity" and then every time someone does something, add a record to it with the type of action, user id, timestamp, etc. Problem: table could get very long. Join all 3 tables (questions, answers, answer_comments) and then somehow show all these on the page in the order in which the action was taken. Problem: this would be extremely hard because I have no clue how I could make it say "John commented on an answer on Question Title Here" by just joining 3 tables. Does anyone know of a better way of making an activity log in this situation? I am using PHP and MySQL. If this is either too inefficient or hard I will probably just forget the Recent Activity tab on profiles but I still need an activity log for moderators. Here's some SQL that I started making for option 2, but this would not work because there is no way of detecting whether the action is a comment, question, or answer when I echo the info in a while loop: SELECT q.*, a.*, ac.* FROM questions q JOIN answers a ON a.questionid = q.qid JOIN answer_comments ac ON c.answerid = a.ans_id WHERE q.user = $userid AND a.userid = $userid AND ac.userid = $userid ORDER BY q.created DESC, a.created DESC, ac.created DESC Thanks in advance for any help!

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  • Can a second stored procedure doing the same thing finish before first one?

    - by evanmortland
    Hello, I have an audit record table that I am writing to. I am connecting to MyDb, which has a stored procedure called 'CreateAudit', which is a passthrough stored procedure to another database on the same machine called 'CreatedAudit' as well. I call the CreateAudit stored procedure from my application, using subsonic as the DAL. The first time I call it, I call it with the following (pseudocode): Result = CreateAudit(recordId, "Opened") Right after that, I call: Result2 = CreateAudit(recordId, "Closed") In my second stored procedure it is supposed to mark the record that was created by the CreateAudit(recordId, "Opened") with a status of closed. It works great if I run them independently of one another, but when they run in sequence in the application, the record is not marked as "Closed". When I run SQL profiler I see that both queries ran, and if I copy the queries out and run them from query analyzer the record gets marked as closed 100% of the time! When I run it from the application, about once every 20 times or so, the record is successfully marked closed - the other 19 times nothing happens, but I do not get an error! Is it possible for the .NET app to skip over the ouput from the first stored procedure and start executing the second stored procedure before the record in the first is created? When I add a "WAITFOR DELAY '00:00:00:003'" to the top of my stored procedure, the record is also closed 100% of the time. My head is spinning, any ideas why this is happening! Thanks for any responses, very interested in hearing how this can happen.

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  • php import larg table to phpmyadmin database

    - by safaali
    hi, I am so worry :( I dropped one of the tables from the database accidentally. fortunately, I have back-up. (I have used the "Auto backup for mysql") The back-up of the table is stored as .txt file (56 Megabytes) on my PC. I tried to import it by PhpMyAdmin and the import failed because the file is too large to import. then I uploaded the file to /home/tablebk directory. I have some experiences in php. I know that I would import it with this code, but i don't know the sql statment for this import. what is have to put as $line variable? please help me :( :( <?php $dbhost = 'localhost'; $dbuser = 'mysite'; $dbpw = 'password'; $dbname = 'databasename'; $file = @fopen('country.txt', 'r'); if ($file) { while (!feof($file)) { $line = trim(fgets($file)); $flag = mysql_query($line); if (isset($flag)) { echo 'Insert Successfully<br />'; } else { echo mysql_error() . '<br/>'; } flush(); } fclose($file); } echo '<br />End of File'; ?>

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  • when to use Hibernate vs. Simple ResultSets for small application

    - by luke
    I just started working on upgrading a small component in a distributed java application. The main application is a rather complicated applet/servlet combo running on JBoss and it extensively uses Hibernate for its DataAccess. The component i am working on however is very a very straightforward data importing service. Basically the workflow is Listen for a network event Parse the data packet, extract a set of identifiers Map the identifier set to a primary key in our database Parse the rest of the packet and insert items in a related table using the foreign key found in step 3 Repeat in the previous version of this component it used a hibernate based DAL, that is no longer usable for a variety of reasons (in particular it is EOL), so I am in charge of replacing the Data Access layer for this component. So on the one hand I think i should use Hibernate because that's what the rest of the application does, but on the other i think i should just use regular java.sql.* classes because my requirements are really straightforward and aren't expected to change any time soon. So my question is (and i understand it is subjective) at what point do you think that the added complexity of using an ORM tool (in terms of configuration, dependencies...) is worth it? UPDATE due to the way the DataAccesLayer for the main application was written (weird dependencies) i cannot easily use it, i would have to implement it myself.

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  • How to do a partial database backup and restore?

    - by Workshop Alex
    Simple problem. I'm working on a single SQL Server database which is shared between several offices. Each office has their own schema inside this database, thus dividing the database in logical pieces. (Plus one schema that is shared between multiple offices.) The database is stored on a dedicated server and we use a single database to keep the backup/restore procedure easier. The problem, however, is that the Accounting Office might be modifying a lot of data and then the Secretary Office makes a mistake which requires restoration of a backup. Unfortunately, restoring the backup means that Accounting will lose their recently added data. So, the alternative solution is by restoring the backup into a new database, remove the data from the old accounting schema and move the data for accounting only from the backup top the original database. This is the current solution and it's time-consuming and error-prone. So, is there a way to make backups of a single schema, possibly through code? And then to restore just that schema, probably through code too?

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  • Reporting Services Sum of Inner Group in Outer Group

    - by Spoonybard
    I have a report in Reporting Services 2008 using ASP.net 3.5 and SQL Server 2008. The report has 2 groupings and a detail row. This is the current format: Outer Group Inner Group Detail Row The Detail Row represents an item on a receipt and a receipt can have multiple items. Each receipt was paid with a certain payment method. So the Outer Group is grouped by payment type, the Inner Group is grouped by the receipt's ID, and the Detail Row is each item for the given receipt. My raw data result set has two important columns: The Amount Received and the Amount Applied. The Amount Received is how much money in total was collected for all the items on the receipt. The Amount Applied is how much money each item got from the total Amount Received. Sample Result Set: ReceiptID Item ItemID AmountReceived AmountApplied Payment Method ------------------------------------------------------------------------------------------ 1 Book 1 $200.00 $40.00 Cash 1 CD 2 $200.00 $20.00 Cash 1 Software 3 $200.00 $100.00 Cash 1 Backpack 4 $200.00 $40.00 Cash The Inner Group displays the AmountReceived correctly as $200. However, the Outer Group displays the AmountReceived as $800, because I believe that it is going off each detail row which in this case is a count of 4 items. What I want is to see in the Outer Group that the Amount Received is $200. I tried restricting the scope in my SUM function to be the Inner Group, but I get the error "The scope parameter must be set to a string constant that is equal to either the name of a containing group, the name of a containing data region, or the name of a dataset." Does anyone have any suggestions on how to solve this issue? Thanks.

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  • How to query an XML File with E4X in AS3?

    - by yens resmann
    I need to archive a database-driven flash as3 website. I exported a table to xml so now i have something like this: <RECORDS> <RECORD> <id>home</id> <msg>bodytext</msg> <type>0</type> <lastEditDate>0000/0/0 00:00:00</lastEditDate> <lastAccessDate>2009/6/17 11:37:21</lastAccessDate> <timesAccessed>855</timesAccessed> </RECORD> <RECORD> <id>contact</id> <msg>contact body text</msg> <type>0</type> <lastEditDate>0000/0/0 00:00:00</lastEditDate> <lastAccessDate>2010/5/6 20:40:46</lastAccessDate> <timesAccessed>831</timesAccessed> </RECORD> </RECORDS> Now I would like to select the RECORD where id is set to home. In SQL: SELECT * FROM table WHERE id='home' How can i do the same thing with E4X for AS3 ?

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  • Query syntax error selecting from 3 tables

    - by Toni Michel Caubet
    Given info about an object: id, user_id, group_id Given info about an user: id_user, id_loc I need to get i one query: The name of the user (in table users) The name of the location of the user (in table locs) The name of the group of the object (in table groups) I am trying like this: SELECT usuarios.first_name as username, usuarios.id as userid, usuarios.avatar as useravatar, usuarios.id_loc, locs.name as locname, groups.name as groupname FROM usuarios,groups,locs WHRE usuarios.id_loc = locs.id AND usuarios.id = 1 AND group.id = LIMIT 1 having an error saying 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 'AND locs.id = 3 LIMIT 1' at line 3 What am i doing wrong? can i do this in one query? -EDIT- This is the query generator code (php+mysql): $query_loc_group_user = 'SELECT usuarios.first_name as username, usuarios.id as userid, usuarios.avatar as useravatar, usuarios.id_loc, locs.name as locname, groups.name as groupname FROM usuarios,groups,locs WHRE usuarios.id_loc = locs.id AND usuarios.id = '.$this->id_user.' AND group.id = '.$this->id_group.' LIMIT 1'; In case it helps, i am trying to do in one query this function get_info(){ $info; $result = cache_query('SELECT first_name,last_name,avatar FROM usuarios WHERE id = '.$this->id_user); foreach($result as $extra){ $info['username'] = $extra['first_name'].' '.$extra['last_name']; $info['avatar'] = $extra['avatar']; } $result1 = cache_query('SELECT name FROM locs WHERE id = '.$this->id_user); foreach($result1 as $extra){ $info['locname'] = $extra['name']; } $result2 = cache_query('SELECT name FROM locs WHERE id = '.$this->id_user); foreach($result2 as $extra){ $info['groupname'] = $extra['name']; } return $info; }

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  • Logic in the db for maintaining a points system relationship?

    - by MarcusBooster
    I'm making a little web based game and need to determine where to put logic that checks the integrity of some underlying data in the sql database. Each user keeps track of points assigned to him, and points are awarded by various tasks. I keep a record of each task transaction to make sure they're not repeated, and to keep track of the value of the task at the time of completion, since an individual award level my fluctuate over time. My schema looks like this so far: create table player ( player_ID serial primary key, player_Points int not null default 0 ); create table task ( task_ID serial primary key, task_PointsAwarded int not null ); create table task_list ( player_ID int references player(player_ID), task_ID int references task(task_ID), when_completed timestamp default current_timestamp, point_value int not null, --not fk because task value may change later constraint pk_player_task_id primary key (player_ID, task_ID) ); So, the player.player_Points should be the total of all his cumulative task points in the task_list. Now where do I put the logic to enforce this? Should I do away with player.player_Points altogether and do queries every time I want to know the total score? Which seems wasteful since I'll be doing that query a lot over the course of a game. Or, put a trigger in the task_list that automatically updates the player.player_Points? Is that too much logic to have in the database and should just maintain this relationship in the application? Thanks.

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  • Is it possible in SQLAlchemy to filter by a database function or stored procedure?

    - by Rico Suave
    We're using SQLalchemy in a project with a legacy database. The database has functions/stored procedures. In the past we used raw SQL and we could use these functions as filters in our queries. I would like to do the same for SQLAlchemy queries if possible. I have read about the @hybrid_property, but some of these functions need one or more parameters, for example; I have a User model that has a JOIN to a bunch of historical records. These historical records for this user, have a date and a debit and credit field, so we can look up the balance of a user at a specific point in time, by doing a SUM(credit) - SUM(debit) up until the given date. We have a database function for that called dbo.Balance(user_id, date_time). I can use this to check the balance of a user at a given point in time. I would like to use this as a criterium in a query, to select only users that have a negative balance at a specific date/time. selection = users.filter(coalesce(Users.status, 0) == 1, coalesce(Users.no_reminders, 0) == 0, dbo.pplBalance(Users.user_id, datetime.datetime.now()) < -0.01).all() This is of course a non-working example, just for you to get the gist of what I'd like to do. The solution looks to be to use hybrd properties, but as I mentioned above, these only work without parameters (as they are properties, not methods). Any suggestions on how to implement something like this (if it's even possible) are welcome. Thanks,

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  • best way to avoid sql injection

    - by aauser
    I got similar domain model 1) User. Every user got many cities. @OneToMany(targetEntity=adv.domain.City.class...) 2) City. Every city got many districts @OneToMany(targetEntity=adv.domain.Distinct.class) 3) Distintc My goal is to delete distinct when user press delete button in browser. After that controller get id of distinct and pass it to bussiness layer. Where method DistinctService.deleteDistinct(Long distinctId) should delegate deliting to DAO layer. So my question is where to put security restrictions and what is the best way to accomplish it. I want to be sure that i delete distinct of the real user, that is the real owner of city, and city is the real owner of distinct. So nobody exept the owner can't delete ditinct using simple url like localhost/deleteDistinct/5. I can get user from httpSession in my controller and pass it to bussiness layer. After that i can get all cities of this user and itrate over them to be sure, that of the citie.id == distinct.city_id and then delete distinct. But it's rather ridiculous in my opinion. Also i can write sql query like this ... delete from t_distinct where t_distinct.city_id in (select t_city.id from t_city left join t_user on t_user.id = t_city.owner_id where t_user.id = ?) and t_distinct.id = ? So what is the best practice to add restrictions like this. I'm using Hibernate, Spring, Spring MVC by the way.. Thank you

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  • Cannot locate record in delphi ADO query

    - by Danatela
    I can't locate any record in TADOQuery using PK. First, I was trying to use standard Locate method: PPUQuery.Locate('ID', SpPlansQuery['PPONREC'], []); It always returns False, but manual search (passing the whole query matching ID with given PPONREC which is really slow) finds the desired row. I tried using loPartialKey and switched CursorLocation of query to clUseServer, but it didn't help. Next, I tried to filter my PPUQuery: PPUQuery.Filter := 'ID = ' + VarToStr(SpPlansQuery['PPONREC']); PPUQuery.Filtered := True; PPUQuery.First; But after that the PPUQuery.Eof is True and PPUQuery.RecordCount equals 0. Underlying database is Oracle 9 and the ID is of type INTEGER and is PK of table TPORDER_CMK. PPUQuery.SQL is: SELECT tp.*, la.*, lm.*, ld.*, ld1.*, to_cmk.* FROM ppu_plan.tporder_cmk tp JOIN PPU_PLAN.LARTICLES la ON TP.ARTICLE = LA.ID JOIN PPU_PLAN.LMATERIAL lm ON TP.MATERIAL = lm.id JOIN PPU_PLAN.LCADEP ld ON TP.CADEP = LD.ID JOIN PPU_PLAN.LCADEP ld1 ON TP.PRODUCER = LD1.ID JOIN PPU_PLAN.TORDER_CMK to_cmk ON TP.order_id=TO_cmk.ID WHERE TP.PLAN_ID = :pplan_id What should I try next and how to solve this problem?

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  • Is there a way to restart a cursor? Oracle

    - by Solid1Snake1
    I am trying to do something such as: for(int i = 0; i<10; i++) { for(int j = 0; j<10; j++) { Blah; } } //As you can see each time that there is a different i, j starts at 0 again. Using cursors in Oracle. But if I'm correct, after I fetch all rows from a cursor, it will not restart. Is there a way to do this? Here is my sql: CREATE OR REPLACE PROCEDURE SSACHDEV.SyncTeleappWithClientinfo as teleCase NUMBER; CURSOR TeleAppCursor is Select distinct(casenbr) from TeleApp; CURSOR ClientInfoCursor is Select casenbr from clientinfo where trim(cashwithappyn) is null; BEGIN open TeleAppCursor; open ClientInfoCursor; LOOP fetch TeleAppCursor into teleCase; EXIT when TeleAppCursor%NOTFOUND; LOOP fetch ClientInfoCursor into clientCase; EXIT when ClientInfoCursor%NOTFOUND; if clientCase = teleCase then update ClientInfo set cashwithappyn = (select cashwithappyn from teleapp where casenbr = clientCase) where casenbr = clientCase; break; end if; END LOOP; END LOOP; END; I did check online and was unable to find anything on this.

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