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  • php using wamp server start up error

    - by mathirengasamy
    i try to install moodle web software...i m using wamp server and sqlserver 2005 version. i install php driver for php5.3.0 thread safe version..i just paste that php_sqlsrv_ts.dll driver file into my php ext directory...i include this line extension=php_sqlsrv_ts.dll in my php.ini file... now i restart my wampserver...i m getting this error... PHP Startup: sqlsrv: Unable to initialize module Module compiled with module API=20060613 PHP compiled with module API=20090626 These options need to match get this error also in my apache log file ADODB Error: [Microsoft][ODBC Driver Manager] Data source name not found and no default driver specified please anybody help me..

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  • Two different tables or just one with bool column?

    - by Aidas
    We have two tables: OriginalDocument and ProcessedDocument. In the first one we put an original, not processed document. After it's validated and processed (converted to our xml format and parsed), it's put into Document table. Processed document can be valid or invalid. Which makes more sense: have two different tables for valid and invalid documents or just have one with 'Valid' column? Some of the columns (~5-7) are irrelevant for invalid document. Storing both invalid and valid documents would also make Document table filled with 'NULL' columns (if document is invalid, information like document number, receiver can be unknown). What else should we consider and weigh, when making this decision?

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  • Mysql stored procedure where clause

    - by Mneva skoko
    I am having a problem with this stored procedure: Delimiter // Create procedure(in varchar(50)) Begin Select * from employees where email = eml; End// Delimiter ; I don't get errors when I run this procedure but when i call it in my php script it returns nothing.

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  • Obtaining Current Fiscal Year from Hierarchy with MDX

    - by Robert Iver
    I'm building a report in Reporting Services 2005 based on a SSAS 2005 cube. The basic idea of the report is that they want to see sales for this fiscal year to date vs. last year sales year to date. It sounds simple, but being that this is my first "real" report based on SSAS, I'm having a hell of a time. First, how would one calculate the current fiscal year, quarter, or month. I have a Fiscal Date Hierarchy with all that information in it, but I can't figure out how to say: "Based on today's date, find the current fiscal year, quarter, and month." My second, but slightly smaller problem, is getting last years sales vs. this years sales. I have seen MANY examples on how to do this, but they all assume that you select the date manually. Since this is a report and will run pretty much on it's own, I need a way to insert the "current" fiscal year, quarter, and month into the PERIODSTODATE or PARALLELPERIOD functions to get what I want. So, I'm begging for your help on this one. I have to have this report done by tomorrow monring and I'm beginning to freak out a bit. Thanks in advance.

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  • TSQL: finding unique entries in a single table

    - by pcampbell
    Consider a table or CTE structured like this: Name Num ---- ---- Abc 12 Abc 12 XYZ 70 XYZ 80 Bar 50 Bar 55 Foo 44 Foo 44 Baz 88 The requirement is to determine the Name where multiple different Nums exist. The desired resultset is Name ---- XYZ Bar What TSQL statement would you use to derive this resultset?

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  • Data Modeling of Entity with Attributes

    - by StackOverflowNewbie
    I'm storing some very basic information "data sources" coming into my application. These data sources can be in the form of a document (e.g. PDF, etc.), audio (e.g. MP3, etc.) or video (e.g. AVI, etc.). Say, for example, I am only interested in the filename of the data source. Thus, I have the following table: DataSource Id (PK) Filename For each data source, I also need to store some of its attributes. Example for a PDF would be "numbe of pages." Example for audio would be "bit rate." Example for video would be "duration." Each DataSource will have different requirements for the attributes that need to be stored. So, I have modeled "data source attribute" this way: DataSourceAttribute Id (PK) DataSourceId (FK) Name Value Thus, I would have records like these: DataSource->Id = 1 DataSource->Filename = 'mydoc.pdf' DataSource->Id = 2 DataSource->Filename = 'mysong.mp3' DataSource->Id = 3 DataSource->Filename = 'myvideo.avi' DataSourceAttribute->Id = 1 DataSourceAttribute->DataSourceId = 1 DataSourceAttribute->Name = 'TotalPages' DataSourceAttribute->Value = '10' DataSourceAttribute->Id = 2 DataSourceAttribute->DataSourceId = 2 DataSourceAttribute->Name = 'BitRate' DataSourceAttribute->Value '16' DataSourceAttribute->Id = 3 DataSourceAttribute->DataSourceId = 3 DataSourceAttribute->Name = 'Duration' DataSourceAttribute->Value = '1:32' My problem is that this doesn't seem to scale. For example, say I need to query for all the PDF documents along with thier total number of pages: Filename, TotalPages 'mydoc.pdf', '10' 'myotherdoc.pdf', '23' ... The JOINs needed to produce the above result is just too costly. How should I address this problem?

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  • Arguments for moving from LINQtoSQL to Nhibernate?

    - by sah302
    Backstory: Hi all, I just spent a lot of time reading many of the LINQ vs Nhibernate threads here and on other sites. I work in a small development team of 4 people and we don't even have really any super experienced developers. We work for a small company that has a lot of technical needs but not enough developers to implement them (and hiring more is out of the question right now). Typically our projects (which individually are fairly small) have been coded separately and weren't really layered in anyway, code wasn't re-used, no class libraries, and we just use the LINQtoSQL .dbml files for our pojects, we really don't even use objects but pass around values and stuff, the only time we use objects is when inserting to a database (heck not even querying since you don't need to assign it to a type and can just bind to gridview). Despite all this as I said our company has a lot of technical needs, no one could come to us for a year and we would have plenty of work to implement requested features. Well I have decided to change that a bit first by creating class libraries and actually adding layers to our applications. I am trying to meet these guys halfway by still using LINQtoSQL as the ORM yet and still use VB as the language. However I am finding it a b***h of a time dealing with so many thing in LINQtoSQL that I found easy in Nhibernate (automatic handling of the session, criteria creation easier than expression trees, generic an dynamic querying easier etc.) So... Question: How can I convince my lead developers and other senior programmers that switching to Nhibernate is a good thing? That being in control of our domain objects is a good thing? That being able to implement interfaces is a good? I've tried exlpaining the advantages of this before but it's not understood by them because they've never programmed in a true OO & layered way. Also one of the counter arguments to this I can see is sqlMetal generates those classes automatically and therefore it saves a lot of time. I can't really counter that other than saying spending more time on infrastructure to make it more scalable and flexible is good, but they can't see how. Again, I know the features and advantages (somewhat enough I believe) of each, but I need arguments applicable to my context, hence why I provided the context. I just am not a very good arguer I guess. (Caveat: For all the LINQtoSQL lovers, I may just not be super proficient as LINQ, but I find it very cumbersome that you are required to download some extra library for dynamic queries which don't by default support guid comparisons, and I also find the way of updating entitites to be cumbersome as well in terms of data context managing, so it could just be that I suck hehe.)

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  • An INSERT conditioned on COUNT

    - by Anders Feder
    How can I construct a MySQL INSERT query that only executes if the number of rows satisfying some condition already in the table is less than 20, and fails otherwise? That is, if the table has 18 rows satisfying the condition, then the INSERT should proceed. If the table has 23 rows satisfying the condition, then the INSERT should fail. For atomicity, I need to express this in a single query, so two requests can not INSERT at the same time, each in the 'belief' that only 19 rows satisfy the condition. Thank you.

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  • Adding rows with linq trouble with reference table

    - by Laurence Burke
    I am adding a new address and I know the structure as AddressID = PK and all other entities are non nullable. Now on insert of a new row the addrID Pk is autogened and I am wondering if I would have to get that to create a new row in the referencing table EmployeeAddress or does that automatically get generated also. also I want to be able to repopulate the dropdownlist that lists the current employee's addresses with the newly created address. static uint _curEmpID; protected void btnAdd_Click(object sender, EventArgs e) { if (txtZip.Text != "" && txtAdd1.Text != "" && txtCity.Text != "") { TestDataClassDataContext dc = new TestDataClassDataContext(); Address addr = new Address() { AddressLine1 = txtAdd1.Text, AddressLine2 = txtAdd2.Text, City = txtCity.Text, PostalCode = txtZip.Text, StateProvinceID = Convert.ToInt32(ddlState.SelectedValue) }; dc.Addresses.InsertOnSubmit(addr); lblSuccess.Visible = true; lblErrMsg.Visible = false; dc.SubmitChanges(); // // TODO: insert new row in EmployeeAddress to reference CurEmp to newly created address // SetAddrList(); } else { lblErrMsg.Text = "Invalid Input"; lblErrMsg.Visible = true; } } protected void ddlAddList_SelectedIndexChanged(object sender, EventArgs e) { lblErrMsg.Visible = false; lblSuccess.Visible = false; TestDataClassDataContext dc = new TestDataClassDataContext(); dc.ObjectTrackingEnabled = false; if (ddlAddList.SelectedValue != "-1") { var addr = (from a in dc.Addresses where a.AddressID == Convert.ToInt32(ddlAddList.SelectedValue) select a).FirstOrDefault(); txtAdd1.Text = addr.AddressLine1; txtAdd2.Text = addr.AddressLine2; txtCity.Text = addr.City; txtZip.Text = addr.PostalCode; ddlState.SelectedValue = addr.StateProvinceID.ToString(); btnSubmit.Visible = true; btnAdd.Visible = false; } else { txtAdd1.Text = ""; txtAdd2.Text = ""; txtCity.Text = ""; txtZip.Text = ""; btnAdd.Visible = true; btnSubmit.Visible = false; } } protected void SetAddrList() { TestDataClassDataContext dc = new TestDataClassDataContext(); dc.ObjectTrackingEnabled = false; var addList = from addr in dc.Addresses from eaddr in dc.EmployeeAddresses where eaddr.EmployeeID == _curEmpID && addr.AddressID == eaddr.AddressID select new { AddValue = addr.AddressID, AddText = addr.AddressID, }; ddlAddList.DataSource = addList; ddlAddList.DataValueField = "AddValue"; ddlAddList.DataTextField = "AddText"; ddlAddList.DataBind(); ddlAddList.Items.Add(new ListItem("<Add Address>", "-1")); } OK I am hoping that I did not include too much code. I would really appreciate any other comments about I could otherwise improve this code in any other ways also.

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  • add row to a BindingSource gives different autoincrement value from whats saved into DB

    - by Ruben Trancoso
    I have a DataGridView that shows list of records and when I hit a insert button, a form should add a new record, edit its values and save it. I have a BindingSource bound to a DataGridView. I pass is as a parameter to a NEW RECORD form so // When the form opens it add a new row and de DataGridView display this new record at this time DataRowView currentRow; currentRow = (DataRowView) myBindindSource.AddNew(); when user confirm to save it I do a myBindindSource.EndEdit(); // inside the form and after the form is disposed the new row is saved and the bindingsorce position is updated to the new row DataRowView drv = myForm.CurrentRow; avaliadoTableAdapter.Update(drv.Row); avaliadoBindingSource.Position = avaliadoBindingSource.Find("ID", drv.Row.ItemArray[0]); The problem is that this table has a AUTOINCREMENT field and the value saved may not correspond the the value the bindingSource gives in EDIT TIME. So, when I close and open the DataGridView again the new rowd give its ID based on the available slot in the undelying DB at the momment is was saved and it just ignores the value the BindingSource generated ad EDIT TIME, Since the value given by the binding source should be used by another table as a foreingKey it make the reference insconsistent. There's a way to get the real ID was saved to the database?

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  • Loop Control within a DataflowTask in ETL

    - by Ben
    Hi, Being fairly new to SSIS and the ETL process, I was wondering if there is anyway to loop though a record set within a DataFlowTask and pass each row (deriving parameters from the row) into a Stored Procedure (the next step in the ETL phase). Once i have passed the row into the stored procedure, I want the results from each iteration to be written to a Table. Does anyone know how to do this? Thanks.

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  • Jasper error: Caused by SQLServerException: Transaction (Process ID 58) was deadlocked on thread | c

    - by Saky
    I got the above error in my jasper report mail. The query that is used in the report is quite complicated (for me). Reading different posts I conclude that to solve this the I have to change the query to SET TRANSACTION ISOLATION LEVEL REPEATABLE READ GO BEGIN TRANSACTION ... my query ... COMMIT TRANSACTION ? I wonder if this is the correct way to solve the error and that if it has any side effects? Has it happened to anyone in the Jasper reports? Does anyone know if there is a better solution exist to the problem? (Although that I have not yet tested the above solution, if anyone can give any insight on this will be helpful.)

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  • mysql result set joining existing table

    - by Yang
    is there any way to avoid using tmp table? I am using a query with aggregate function (sum) to generate the sum of each product: the result looks like this: product_name | sum(qty) product_1 | 100 product_2 | 200 product_5 | 300 now i want to join the above result to another table called products. so that i will have a summary like this: product_name | sum(qty) product_1 | 100 product_2 | 200 product_3 | 0 product_4 | 0 product_5 | 300 i know 1 way of doing this is the dump the 1st query result to a temp table then join it with products table. is there a better way?

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  • same table, 1 field to 2 field query

    - by edib
    I have 2 tables: 1st holds employees (of ones in any position) and the 2nd holds manager employee relations with id numbers. I want to write a query like 1st field: name(employee), 2nd field: name(manager) How can I do that?

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  • ORA-01722: invalid number

    - by Lluis Martinez
    I'm getting the infamous invalid number Oracle error. Hibernate is issuing an INSERT with a lot of columns, I want to know just the name of the column giving the problem. Is it possible? I hate Oracle messages, in 15 years they haven't improved a bit (the reason why is beyond my imagination). FYI the insert is this: insert into GEM_INVOICE_HEADER (ENDORSEE_ACCOUNT_ID, INVOICE_CODE, APPROVAL_ORGAN, APROVAL_DATE, APROVAL_REFERENCE, BALANCE_BASE_AMOUNT, BALANCE_DEDUCT_AMOUNT, BALANCE_TOTAL_AMOUNT, BALANCE_VAT_AMOUNT, BALANCE_VAT_DED_AMOUNT, BALANCE_VAT_NOT_DED_AMOUNT, DESCRIPTION, SUPPLIER_INVOICE_NUMBER, INVOICE_DATE, RECEIPT_DATE, MEMO, VAT_INTRACOM, INVOICE_BASE_AMOUNT, INVOICE_VAT_AMOUNT, INVOICE_VAT_DED_AMOUNT, INVOICE_VAT_NOT_DED_AMOUNT, INVOICE_DEDUCT_AMOUNT, INVOICE_TOTAL_AMOUNT, VAT_EXEMPT, RECTIFICATION_SIGN, REASON, LOT, FILE_ID, RETAINED, INSTITUTION_ID, PERIOD_CODE, IS_RECTIFIED, DEFAULT_OFFBUDGET_ACCOUNT, OFFBUDGET_DOC_ID, PHASE_OF_ACCOUNTING, ACCOUNTED_OFF_BUDGET, CANCEL_DOC_ID, BUDGET_TYPE, INVOICE_TYPE, SOURCE_ID, STATE_ID, MANAGER_UNIT_ID, DOCUMENT_TYPE_CODE, ACCOUNTED_DOC_ID, ACCOUNTING_LIST, ENDORSEE_ID, PAYMASTER_ID, SUPPLIER_ID, SUPPLIER_ACCOUNT_ID, PAY_JUSTIFY_ID, PETTY_CASH_ID, DBOID) values (?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?)

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  • Should I commit or rollback a transaction that creates a temp table, reads, then deletes it?

    - by Triynko
    To select information related to a list of hundreds of IDs... rather than make a huge select statement, I create temp table, insert the ids into it, join it with a table to select the rows matching the IDs, then delete the temp table. So this is essentially a read operation, with no permanent changes made to any persistent database tables. I do this in a transaction, to ensure the temp table is deleted when I'm finished. My question is... what happens when I commit such a transaction vs. let it roll it back? Performance-wise... does the DB engine have to do more work to roll back the transaction vs committing it? Is there even a difference since the only modifications are done to a temp table? Related question here, but doesn't answer my specific case involving temp tables: http://stackoverflow.com/questions/309834/should-i-commit-or-rollback-a-read-transaction

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  • Complex LINQ paging algorithm

    - by sharepointmonkey
    We have a list of projects that may or may not have a collection of subprojects. Our report needs to contain all the projects except those that are the parent project of a subproject. I need to page this into pages of, say, 25 rows. But if subprojects appear on that page then ALL the subprojects of that project must appear on the same page. So more than 25 items may appear if necessary. I've got as far as var pagedProjects = db.Projects.Where(x => !x.SubProjects.Any()).Skip( (pageNo -1) * pageSize).Take(pageSize); Obviously, this fails the second part of the requirements. As a further pain in the arse, I need to have a pager control on the report. So I'll need to be able to calculate the total number of pages. I could loop through the whole table of projects but the performance will suffer. Can anybody come up with a paged solution? EDIT - I should probably mention that SubProjects joins back onto Projects via a selfreferencing foreign key so the whole lot comes back as an IQueryable<Project>.

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  • I'm trying to handle the updates on 2 related tables in one DetailsView using Jquery and Linq, and h

    - by Ben Reisner
    Given two related tables (reports, report_fields) where there can be many report_fields entries for each reports entry, I need to allow the user to enter new report_fields, delete existing report_fields, and re-arrange the order. Currently I am using a DetailsView to handle the editing of the reports. I added some logic to handle report_fields, and currently it allows you to succesfully re-arrange the order, but i'm a little stumped as to the best way to add new items, or delete existing items. The basic logic I have is that each report_fields is represented by a . It has a description as the text, and a field for each field in the report_fields table. I use JQuery Sortable to allow the user to re-arrange the LIs. Abbreviated Create Table Statements:(foreign key constraint ignored for brevity) create table report( id integer primary key identity, reportname varchar(250) ) create table report_fields( id integer primary key identity, reportID integer, keyname integer, keyvalue integer, field_order integer ) My abbreviated markup: <asp:DetailsView ...> ... <asp:TemplateField HeaderText="Fields"> <EditItemTemplate> <ul class="MySortable"> <asp:Repeater ID="Repeater1" runat="server" DataSource='<%# Eval("report_fields") %>'> <ItemTemplate> <li> <%# Eval("keyname") %>: <%# Eval("keyvalue") %> <input type="hidden" name="keyname[]" value='<%# Eval("keyname") %>' /> <input type="hidden" name="keyvalue[]" value='<%# Eval("keyvalue") %>' /> </li> </ItemTemplate> </asp:Repeater> </ul> </EditItemTemplate> </asp:TemplateField> </asp:DetailsView> <asp:LinqDataSource ID="LinqDataSource2" onupdating="LinqDataSource2_Updating" table=reports ... /> $(function() { $(".MySortable").sortable({ placeholder: 'MySortable-highlight' }).disableSelection(); }); Code Behind Class: public partial class Administration_AddEditReport protected void LinqDataSource2_Updating(object sender, LinqDataSourceUpdateEventArgs e) { report r = (report)e.NewObject; MyDataContext dc = new MyDataContext(); var fields = from f in dc.report_fields where f.reportID == r.id select f; dc.report_fields.DeleteAllOnSubmit(fields); NameValueCollection nvc = Request.Params; string[] keyname = nvc["keyname[]"].Split(','); string[] keyvalue = nvc["keyvalue[]"].Split(','); for (int i = 0; i < keyname.Length; i++) { report_field rf = new report_field(); rf.reportID = r.id; rf.keyname = keyname[i]; rf.keyvalue = keyvalue[i]; rf.field_order = i; dc.report_fields.InsertOnSubmit(rf); } dc.SubmitChanges(); } }

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  • Struggling to create correct relationships in MS Access

    - by Yandawl
    http://img714.imageshack.us/img714/7820/croppercapture1.png Basically: an award(course) has many units, which can be either optional or core(mandatory), depending on the award. So for example: the unit 'Advanced Software Engineering' maybe a core unit for the award 'Software Engineering BSc' but only an optional unit for the course 'Web Technology BSc'. I've used flags for that purpose. A student is enrolled on an award so I need to get a complete list of core and optional units (bearing in mind that a student chooses 1 out of many possible optional units). Also, these units have events, e.g, a lecture, workshop or seminar, etc. and those events have sessions or instances of events where students enrolled on that particular unit are required to attend, and those attendances are stored in a separate table to form a register. So I need a hierarchy of expanding the tables something like this I guess: Awards - Students - Units - Sessions - Attendances Any help with this would be appreciated... It's blowing my mind and I'm really close to going insane! My tutor didn't spot I'd got it wrong when I showed my original data model to him and it's due in next week! Thank you :D

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  • DataContext Refresh and PropertyChanging & PropertyChanged Events

    - by Scott
    I'm in a situation where I am being informed from an outside source that a particular entity has been altered outside my current datacontext. I'm able to find the entity and call refresh like so MyDataContext.Refresh(RefreshMode.OverwriteCurrentValues, myEntity); and the properties which have been altered on the entity are updated correctly. However neither of the INotifyPropertyChanging INotifyPropertyChanged appear to be raised when the refresh occurs and this leaves my UI displaying incorrect information. I'm aware that Refresh() fails to use the correct property getters and setters on the entity to raise the change notification events, but perhaps there is another way to accomplish the same thing? Am I doing something wrong? Is there a better method than Refresh? If Refresh is the only option, does anyone have a work around?

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  • How do I connect to MSSQL 2008 database in Java with JDBC

    - by shuxer
    I have MSSQL 2008 installed on my local PC, and my Java application needs to connect to a MSSQL database. I am a new to MSSQL and I would like get some help on creating user login for my Java application and getting connection via JDBC. So far I tried to create a user login for my app and used following connection string, but I doesn't work at all. Any help and hint will be appreciated. jdbc:jtds:sqlserver://127.0.0.1:1433/dotcms username="shuxer" password="itarator"

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  • how to connect sqlserver cubes using dotnet(C#)

    - by prince23
    hi. i am new to this cubes concept in sqlserver . i need to connect to cubes and and query and get an result and display that result in grid view any help would be great telling how to connect to an cube, articles on it, code any thing that can help me to achieve the result thank you.

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  • Facebook database design?

    - by Marin
    I have always wondered how Facebook designed the friend <- user relation. I figure the user table is something like this: user_email PK user_id PK password I figure the table with user's data (sex, age etc connected via user email I would assume). How does it connect all the friends to this user? Something like this? user_id friend_id_1 friend_id_2 friend_id_3 friend_id_N Probably not. Because the number of users is unknown and will expand.

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  • Porting join from Oracle to Postgres

    - by Grasper
    INSERT INTO MISSION_OBJECTIVE( MSN_INT_ID, MO_INT_ID, MO_MSN_CLASS_NM, MO_MSN_CLASS_CD, MO_MSN_TYPE, MO_PRIORITY, MO_COMMENT, MO_START_DT, MO_END_DT, ASP_AIRSPACE_NM, MO_OBJ_LOCATION, MO_ALO_LEG_ID, MO_ALO_ARRIVE_LOC) SELECT '1025', '1', 'AIRDROP', 'ADP', 'LAPES', NULL, COALESCE( NULL, ' '), TO_TIMESTAMP( '1002260900', 'YYMMDDHH24MI'), TO_TIMESTAMP( '1002260915', 'YYMMDDHH24MI'), 'TRANSIT ALPHA', 'TRANSIT ALPHA', '1', 'TRANSIT ALPHA' FROM AIRSPACE ASP, apsmain .MISSION_CLASS MC WHERE ASP.ASP_AIRSPACE_NM(+)= 'TRANSIT ALPHA' AND MC.MCS_MISSION_CLASS_NAME= 'AIRDROP' AND 'TRANSIT ALPHA' IS NOT NULL Is that exactly the same as: INSERT INTO MISSION_OBJECTIVE( MSN_INT_ID, MO_INT_ID, MO_MSN_CLASS_NM, MO_MSN_CLASS_CD, MO_MSN_TYPE, MO_PRIORITY, MO_COMMENT, MO_START_DT, MO_END_DT, ASP_AIRSPACE_NM, MO_OBJ_LOCATION, MO_ALO_LEG_ID, MO_ALO_ARRIVE_LOC) SELECT '1025', '1', 'AIRDROP', 'ADP', 'LAPES', NULL, COALESCE( NULL, ' '), TO_TIMESTAMP( '1002260900', 'YYMMDDHH24MI'), TO_TIMESTAMP( '1002260915', 'YYMMDDHH24MI'), 'TRANSIT ALPHA', 'TRANSIT ALPHA', '1', 'TRANSIT ALPHA' FROM AIRSPACE ASP, apsmain .MISSION_CLASS MC WHERE ASP.ASP_AIRSPACE_NM = 'TRANSIT ALPHA' AND MC.MCS_MISSION_CLASS_NAME= 'AIRDROP' AND 'TRANSIT ALPHA' IS NOT NULL I just deleted the (+). The part that is confusing me is that ASP.ASP_AIRSPACE_NM is being right joined to a constant.

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