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  • LINQ aggregate / SUM grouping problem

    - by Chrissi
    I'm having trouble getting my head around converting a traditional SQL aggregate query into a LINQ one. The basic data dump works like so: Dim result = (From i As Models.InvoiceDetail In Data.InvoiceDetails.GetAll Join ih As Models.InvoiceHeader In Data.InvoiceHeaders.GetAll On i.InvoiceHeaderID Equals ih.ID Join p As Models.Product In Data.Products.GetAll On i.ProductID Equals p.ID Join pg As Models.ProductGroup In Data.ProductGroups.GetAll On p.ProductGroupID Equals pg.ID Join gl As Models.GLAccount In Data.GLAccounts.GetAll On pg.GLAccountSellID Equals gl.ID Where (gl.ID = GLID) Select ih.Period,i.ExtendedValue) What I need to really be getting out is ih.Period (a value from 1 to 12) and a corresponding aggregate value for i.ExtendedValue. When I try to Group ih I get errors about i being out of scope/context, and I'm not sure how else to go about it.

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  • SQL Server Import table keeping default values

    - by Chrissi
    I am importing a table from one database to another in SQL Server 2008 by right-clicking the target database and choosing Tasks Import Data... When I import the table I get the column names and types and all the data fine, but I lose the primary key, identity specifications and all the default values that were set in the source table. So now I have to set all the default values for each column again manually. Is there any way to get the default values with the import, or even after with a Query? I am VERY new to this and flailing in the dark, so forgive me if this is a really stupid question...

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  • SQL different joins not making any difference to result

    - by Chrissi
    I'm trying to write a quick (ha!) program to organise some of my financial information. What I ideally want is a query that will return all records with financial information in them from TableA. There should be one row for each month, but in instances where there were no transactions for a month there will be no record. I get results like this: SELECT Period,Year,TotalValue FROM TableA WHERE Year='1997' Result: Period Year TotalValue 1 1997 298.16 2 1997 435.25 4 1997 338.37 8 1997 336.07 9 1997 578.97 11 1997 361.23 By joining on a table (well a View in this instance) which just contains a field Period with values from 1 to 12, I expect to get something like this: SELECT p.Period,a.Year,a.TotalValue FROM Periods AS p LEFT JOIN TableA AS a ON p.Period = a.Period WHERE Year='1997' Result: Period Year TotalValue 1 1997 298.16 2 1997 435.25 3 NULL NULL 4 1997 338.37 5 NULL NULL 6 NULL NULL 7 NULL NULL 8 1997 336.07 9 1997 578.97 10 NULL NULL 11 1997 361.23 12 NULL NULL What I'm actually getting though is the same result no matter how I join it (except CROSS JOIN which goes nuts, but it's really not what I wanted anyway, it was just to see if different joins are even doing anything). LEFT JOIN, RIGHT JOIN, INNER JOIN all fail to provide the NULL records I am expecting. Is there something obvious that I'm doing wrong in the JOIN? Does it matter that I'm joining onto a View?

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