Search Results

Search found 21433 results on 858 pages for 'query execution plans'.

Page 10/858 | < Previous Page | 6 7 8 9 10 11 12 13 14 15 16 17  | Next Page >

  • Trigger local program execution from browser

    - by DroidIn.net
    First and foremost: I know it's not right or even good thing to do but my current customer will not cave in. So here's what he is asking for (this is for in-house-behind-a-firewall-etc project). In the web report I need to supply a link which points to the executable script that lives on the universally mapped location (network file server). When user clicks on it it is expected to run on the local client starting local executable which should be pre-installed on the client's box. It should be agnostic to OS (Windows or Linux) and the browser used. Customer doesn't mind to click on angry pop-up alerts but he wants to do it once per client browser (or at minimum - session). QUESTION: Will trusted Java applet be able to do it? Or is the any other (better, simpler) ways of achieving the same? ActiveX control is out of question

    Read the article

  • SQL-Server: Is there an equivalent of a trigger for general stored procedure execution

    - by Arj
    Hi All, Hope you can help. Is there a way to reliably detect when a stored proc is being run on SQL Server without altering the SP itself? Here's the requirement. We need to track users running reports from our enterprise data warehouse as the core product we use doesn't allow for this. Both core product reports and a slew of in-house ones we've added all return their data from individual stored procs. We don't have a practical way of altering the parts of the product webpages where reports are called from. We also can't change the stored procs for the core product reports. (It would be trivial to add a logging line to the start/end of each of our inhouse ones). What I'm trying to find therefore, is whether there's a way in SQL Server (2005 / 2008) to execute a logging stored proc whenever any other stored procedure runs, without altering those stored procedures themselves. We have general control over the SQL Server instance itself as it's local, we just don't want to change the product stored procs themselves. Any one have any ideas? Is there a kind of "stored proc executing trigger"? Is there an event model for SQL Server that we can hook custom .Net code into? (Just to discount it from the start, we want to try and make a change to SQL Server rather than get into capturing the report being run from the products webpages etc) Thoughts appreciated Thanks

    Read the article

  • How Does Differential Execution Work?

    - by Brian
    I've seen a few mentions of this on SO, but staring at Wikipedia and at an MFC dynamic dialog demo did nothing to enlighten me. Can someone please explain this? Learning a fundamentally different concept sounds nice. Edit: I think I'm getting a better feel for it. I guess I just didn't look at the source code carefully enough the first time. I have mixed feelings about DE at this point. On the one hand, it can make certain tasks considerably easier. On the other hand, getting it up and running (i.e. setting it up in your language of choice) is not easy (I'm sure it would be if I understood it better)...though I guess the toolbox for it need only be made once, then expanded as necessary. I think in order to really understand it, I'll probably need to try implimenting it in another language.

    Read the article

  • C# Step by Step Execution

    - by Sheldon
    Hi. I'm building an app that uses and scanner API and a image to other format converter. I have a method (actually a click event) that do this: private void ButtonScan&Parse_Click(object sender, EventArgs e) { short scan_result = scanner_api.Scan(); if (scan_result == 1) parse_api.Parse(); // This will check for a saved image the scanner_api stores on disk, and then convert it. } The problem is that the if condition (scan_result == 1) is evaluated inmediatly, so it just don't work. How can I force the CLR to wait until the API return the convenient result. NOTE Just by doing something like: private void ButtonScan&Parse_Click(object sender, EventArgs e) { short scan_result = scanner_api.Scan(); MessageBox.Show("Result = " + scan_result); if (scan_result == 1) parse_api.Parse(); // This will check for a saved image the scanner_api stores on disk, and then convert it. } It works and display the results. Is there a way to do this, how? Thank you very much!

    Read the article

  • Too many Bind query (cache) denied, DNS attack?

    - by Jake
    Once Bind crashed and I did: tail -f /var/log/messages I see a massive number of logs every second. Is this a DNS attack? or is there something wrong? Sometimes I see a domain in logs like this: dOmAin.com (upper and lower). As you see there is only one single domain in the logs with different IPs Oct 10 02:21:26 mail named[20831]: client 74.125.189.18#38921: query (cache) 'ns1.domain2.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 192.221.144.171#38833: query (cache) 'domain.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 74.125.189.17#42428: query (cache) 'ns2.domain2.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 192.221.146.27#37899: query (cache) 'domain.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 193.203.82.66#39263: query (cache) 'domain.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 8.0.16.170#59723: query (cache) 'domain.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 80.169.197.66#32903: query (cache) 'dOmAin.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 134.58.60.1#47558: query (cache) 'domain.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 192.221.146.34#47387: query (cache) 'domain.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 8.0.16.8#59392: query (cache) 'domain.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 74.125.189.19#64395: query (cache) 'domain.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 217.72.163.3#42190: query (cache) 'domain.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 83.146.21.252#22020: query (cache) 'domain.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 192.221.146.116#57342: query (cache) 'domain.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 193.203.82.66#52020: query (cache) 'domain.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 8.0.16.72#64317: query (cache) 'domain.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 80.169.197.66#31989: query (cache) 'dOmAin.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 74.125.189.18#47436: query (cache) 'ns2.domain2.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 74.125.189.16#44005: query (cache) 'ns1.domain2.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 85.132.31.10#50379: query (cache) 'domain.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 94.241.128.3#60106: query (cache) 'domain.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 85.132.31.10#59118: query (cache) 'domain.com/A/IN' denied Oct 10 02:21:26 mail named[20831]: client 212.95.135.78#27811: query (cache) 'domain.com/A/IN' denied /etc/resolv.conf ; generated by /sbin/dhclient-script nameserver 4.2.2.4 nameserver 8.8.4.4 Bind config: // generated by named-bootconf.pl options { directory "/var/named"; /* * If there is a firewall between you and nameservers you want * to talk to, you might need to uncomment the query-source * directive below. Previous versions of BIND always asked * questions using port 53, but BIND 8.1 uses an unprivileged * port by default. */ // query-source address * port 53; allow-transfer { none; }; allow-recursion { localnets; }; //listen-on-v6 { any; }; notify no; }; // // a caching only nameserver config // controls { inet 127.0.0.1 allow { localhost; } keys { rndckey; }; }; zone "." IN { type hint; file "named.ca"; }; zone "localhost" IN { type master; file "localhost.zone"; allow-update { none; }; }; zone "0.0.127.in-addr.arpa" IN { type master; file "named.local"; allow-update { none; }; };

    Read the article

  • Slow INFORMATION_SCHEMA query

    - by Thomas
    We have a .NET Windows application that runs the following query on login to get some information about the database: SELECT t.TABLE_NAME, ISNULL(pk_ccu.COLUMN_NAME,'') PK, ISNULL(fk_ccu.COLUMN_NAME,'') FK FROM INFORMATION_SCHEMA.TABLES t LEFT JOIN INFORMATION_SCHEMA.TABLE_CONSTRAINTS pk_tc ON pk_tc.TABLE_NAME = t.TABLE_NAME AND pk_tc.CONSTRAINT_TYPE = 'PRIMARY KEY' LEFT JOIN INFORMATION_SCHEMA.CONSTRAINT_COLUMN_USAGE pk_ccu ON pk_ccu.CONSTRAINT_NAME = pk_tc.CONSTRAINT_NAME LEFT JOIN INFORMATION_SCHEMA.TABLE_CONSTRAINTS fk_tc ON fk_tc.TABLE_NAME = t.TABLE_NAME AND fk_tc.CONSTRAINT_TYPE = 'FOREIGN KEY' LEFT JOIN INFORMATION_SCHEMA.CONSTRAINT_COLUMN_USAGE fk_ccu ON fk_ccu.CONSTRAINT_NAME = fk_tc.CONSTRAINT_NAME Usually this runs in a couple seconds, but on one server running SQL Server 2000, it is taking over four minutes to run. I ran it with the execution plan enabled, and the results are huge, but this part caught my eye (it won't let me post an image): http://img35.imageshack.us/i/plank.png/ I then updated the statistics on all of the tables that were mentioned in the execution plan: update statistics sysobjects update statistics syscolumns update statistics systypes update statistics master..spt_values update statistics sysreferences But that didn't help. The index tuning wizard doesn't help either, because it doesn't let me select system tables. There is nothing else running on this server, so nothing else could be slowing it down. What else can I do to diagnose or fix the problem on that server?

    Read the article

  • Optimizing MySQL update query

    - by Jernej Jerin
    This is currently my MySQL UPDATE query, which is called from program written in Java: String query = "UPDATE maxday SET DatePressureREL = (SELECT Date FROM ws3600 WHERE PressureREL = (SELECT MAX" + "(PressureREL) FROM ws3600 WHERE Date >= '" + Date + "') AND Date >= '" + Date + "' ORDER BY Date DESC LIMIT 1), " + "PressureREL = (SELECT PressureREL FROM ws3600 WHERE PressureREL = (SELECT MAX(PressureREL) FROM ws3600 " + "WHERE Date >= '" + Date + "') AND Date >= '" + Date + "' ORDER BY Date DESC LIMIT 1), ..."; try { s.execute(query); } catch (SQLException e) { System.out.println("SQL error"); } catch(Exception e) { e.printStackTrace(); } Let me explain first, what does it do. I have two tables, first is ws3600, which holds columns (Date, PressureREL, TemperatureOUT, Dewpoint, ...). Then I have second table, called maxday, which holds columns like DatePressureREL, PressureREL, DateTemperatureOUT, TemperatureOUT,... Now as you can see from an example, I update each column, the question is, is there a faster way? I am asking this, because I am calling MAX twice, first to find the Date for that value and secondly to find the actual value. Now I know that I could write like that: SELECT Date, PressureREL FROM ws3600 WHERE PressureREL = (SELECT MAX(PressureREL) FROM ws3600 WHERE Date >= '" + Date + "') AND Date >= '" + Date + "' ORDER BY Date DESC LIMIT 1 That way I get the Date of the max and the max value at the same time and then update with those values the data in maxday table. But the problem of this solution is, that I have to execute many queries, which as I understand takes alot more time compared to executing one long mysql query because of overhead in sending each query to the server. If there is no better way, which solution beetwen this two should I choose. The first, which only takes one query but is very unoptimized or the second which is beter in terms of optimization, but needs alot more queries which probably means that the preformance gain is lost because of overhead in sending each query to the server?

    Read the article

  • Mysql - What's wrong with the query...?

    - by SpikETidE
    Hi everybody.... I am trying to query a database to find the following If a customer searches for a hotel in a city between dates A and B, find and return the hotels in which rooms are free between the two dates. There will be more than one room in each room type(i.e. 5 Rooms in type A, 10 rooms in Type B etc) and we have to query the db to find only those hotels in which there is atleast one room free in atleast one type. This is my table structure.... **Structure for table 'reservations'** reservation_id hotel_id room_id customer_id payment_id no_of_rooms check_in_date check_out_date reservation_date **Structure for table 'hotels'** hotel_id hotel_name hotel_description hotel_address hotel_location hotel_country hotel_city hotel_type hotel_stars hotel_image hotel_deleted **Structure for table 'rooms'** room_id hotel_id room_name max_persons total_rooms room_price room_image agent_commision room_facilities service_tax vat city_tax room_description room_deleted And this is my query $city_search = '15'; $check_in_date = '29-03-2010'; $check_out_date = '31-03-2010'; $dateFormat_check_in = "DATE_FORMAT('$reservations.check_in_date','%d-%m-%Y')"; $dateFormat_check_out = "DATE_FORMAT('$reservations.check_out_date','%d-%m-%Y')"; $dateCheck = "$dateFormat_check_in >= '$check_in_date' AND $dateFormat_check_out <= '$check_out_date'"; $query = "SELECT $rooms.room_id, $rooms.room_name, $rooms.max_persons, $rooms.room_price, $hotels.hotel_id, $hotels.hotel_name, $hotels.hotel_stars, $hotels.hotel_type FROM $hotels,$rooms,$reservations WHERE $hotels.hotel_city = '$city_search' AND $hotels.hotel_id = $rooms.hotel_id AND $hotels.hotel_deleted = '0' AND $rooms.room_deleted = '0' AND $rooms.total_rooms - (SELECT SUM($reservations.no_of_rooms) as tot FROM $reservations WHERE $dateCheck GROUP BY $reservations.room_id) > '0'"; The number of rooms already reserved in each room type in each hotel will be stored in the reservations table... The thing is the query doesn't return any result at all...even though it should if i calculate it myself manually... I tried running the sub-query alone and i don't get any result... And i have lost quite some amount of hair trying to de-bug this query from yesterday... What's wrong with this...? Or is there a better way to do what i mentioned above...? Thanks for your time... Edit : Code edited to remove an bud... thanks to

    Read the article

  • Change date in a SQL query to reference a cell in Excel

    - by Adil
    I have the following code that returns the needed data into excel and manually changing the date will change the returned data; however, I'd like to reference a cell with a formula that will make the query a bit more user friendly. I've tried using my limited knowledge of referencing a cell but none have worked. This information is in cell A1 and the query is placed in cell A2 with the following equation: =wwQuery("STKAP03", $A$1) SET QUOTED_IDENTIFIER OFF SELECT * FROM OPENQUERY(INSQL, "SELECT DateTime, [40_MOTORS.MI436423.CIN], [40_MOTORS.MI436425.CIN] FROM WideHistory WHERE [40_MOTORS.MI436423.CIN] IS NOT NULL AND wwRetrievalMode = 'Delta' AND wwVersion = 'Latest' AND DateTime >='20120409 07:00:00' These two dates/times I'd like to reference cells on a different sheet AND DateTime <= '20120416 07:00:00'")

    Read the article

  • Output problem in mysql query in MFC program

    - by D.Gaughan
    Im currently working on a small MFC program that outputs data from a mysql database. I can get output when im using an sql statement that does not contain any variable eg. select album from Artists; but when i try to use a variable the program compiles but i get no output eg. mysql_perform_query(conn,select album from Artists where artists = '"+m_search_edit"'") Here is the function for mysql_perform_query: MYSQL_RES* mysql_perform_query(MYSQL *conn, const char* query) { // send the query to the database if (mysql_query(conn, query)) { // printf("MySQL query error : %s\n", mysql_error(conn)); // exit(1); } return mysql_use_result(conn); } And here is the code block for outputting the data: struct connection_details mysqlD; mysqlD.server = "www.freesqldatabase.com"; // where the mysql database is mysqlD.user = "**********"; // the root user of mysql mysqlD.password = "***********"; // the password of the root user in mysql mysqlD.database = "***************"; // the databse to pick // connect to the mysql database conn = mysql_connection_setup(mysqlD); CStringA query; query.Format("select album from Artists where artist = '%s'", CT2CA(m_search_edit)); res = mysql_perform_query(conn, query); //res = mysql_perform_query (conn, "select distinct artist from Artists"); while((row = mysql_fetch_row(res)) != NULL){ CString str; UpdateData(); str = ("%s\n", row[0]); UpdateData(FALSE); m_list_control.AddString(str); } The m_search_edit variable is the variable for an edit box. I am using Visual Studio 2008 with one copy of this program unicode and one nonunicode, I also have a version built with VC++ 6. Any tips on how I can get output from the databse using the m_search_edit variable??

    Read the article

  • SQL SERVER – Fix: Error: File cannot be loaded because the execution of scripts is disabled on this system. Please see “get-help about_signing” for more details

    - by pinaldave
    Yesterday I formatted my computer and did fresh install as it was due from long time. After the fresh install when I tried to install Semantic Search application using powershell, I was stopped by following error. File cannot be loaded because the execution of scripts is disabled on this system. Please see “get-help about_signing” for more details Fix/Solution/Workaround: The solution is very simple. Open the Powershell window and type following two lines and everything will fine right after that. Set-ExecutionPolicy Unrestricted Set-ExecutionPolicy RemoteSigned Again, this is I have done for my environment where I am very careful what I will run. You can change the policy back to original restricted policy if you want to restrict future execution of the powershell scripts. Simple – isn’t it? Well all complex looking problems are very simple to solve. Reference: Pinal Dave (http://blog.SQLAuthority.com) Filed under: Pinal Dave, PostADay, SQL, SQL Authority, SQL Error Messages, SQL Query, SQL Scripts, SQL Server, SQL Tips and Tricks, T SQL, Technology Tagged: Powershell

    Read the article

  • Dynamically select field names in a query with Spring JDBCTemplate

    - by Francesco
    Hi, I have a problem with parameters replacing by Spring JdbcTemplate. I have this query : <bean id="fixQuery" class="java.lang.String"> <constructor-arg type="java.lang.String" value="select fa.id, fi.? from fix_ambulation fa left join fix_i18n fi on fa.translation_id = fi.id order by name" /> And this method : public List<FixAmbulation> readFixAmbulation(String locale) throws Exception { List<FixAmbulation> ambulations = this.getJdbcTemplate().query( fixQuery, new Object[] {locale.toLowerCase()}, ParameterizedBeanPropertyRowMapper .newInstance(FixAmbulation.class)); return ambulations; } And I'd like to have the ? filled with the string representing the locale the user is using. So if the user is brasilian I'd send him the column pt_br from the table fix_i18n, otherwise if he's american I'd send him the column en_us. What I get from this method is a PostgreSQL exception org.postgresql.util.PSQLException: ERROR: syntax error at or near "$1" If I replace fi.? with just ? (the column name of the locale is unique, so if I run this query in the database it works just fine) what I get is that every object returned from method has the string locale into the field name. I.e. in name field I have "en_us". The only way to have it working I found was to change the method into : public List<FixAmbulation> readFixAmbulation(String locale) throws Exception { String query = "select fa.id, fi." + locale.toLowerCase() + " as name " + fixQuery; this.log.info("QUERY : " + query); List<FixAmbulation> ambulations = this.getJdbcTemplate().query( query, ParameterizedBeanPropertyRowMapper .newInstance(FixAmbulation.class)); return ambulations; } and setting fixQuery to : <bean id="fixQuery" class="java.lang.String"> <constructor-arg type="java.lang.String" value=" from telemedicina.fix_ambulation fa left join telemedicina.fix_i18n fi on fa.translation_id = fi.id order by name" /> </bean> My DAO extends Spring JdbcDaoSupport and works just fine for all other queries. What am I doing wrong?

    Read the article

  • Linq to LLBLGen query problem

    - by Jeroen Breuer
    Hello, I've got a Stored Procedure and i'm trying to convert it to a Linq to LLBLGen query. The query in Linq to LLBGen works, but when I trace the query which is send to sql server it is far from perfect. This is the Stored Procedure: ALTER PROCEDURE [dbo].[spDIGI_GetAllUmbracoProducts] -- Add the parameters for the stored procedure. @searchText nvarchar(255), @startRowIndex int, @maximumRows int, @sortExpression nvarchar(255) AS BEGIN SET @startRowIndex = @startRowIndex + 1 SET @searchText = '%' + @searchText + '%' -- SET NOCOUNT ON added to prevent extra result sets from -- interfering with SELECT statements. SET NOCOUNT ON; -- This is the query which will fetch all the UmbracoProducts. -- This query also supports paging and sorting. WITH UmbracoOverview As ( SELECT ROW_NUMBER() OVER( ORDER BY CASE WHEN @sortExpression = 'productName' THEN umbracoProduct.productName WHEN @sortExpression = 'productCode' THEN umbracoProduct.productCode END ASC, CASE WHEN @sortExpression = 'productName DESC' THEN umbracoProduct.productName WHEN @sortExpression = 'productCode DESC' THEN umbracoProduct.productCode END DESC ) AS row_num, umbracoProduct.umbracoProductId, umbracoProduct.productName, umbracoProduct.productCode FROM umbracoProduct INNER JOIN product ON umbracoProduct.umbracoProductId = product.umbracoProductId WHERE (umbracoProduct.productName LIKE @searchText OR umbracoProduct.productCode LIKE @searchText OR product.code LIKE @searchText OR product.description LIKE @searchText OR product.descriptionLong LIKE @searchText OR product.unitCode LIKE @searchText) ) SELECT UmbracoOverview.UmbracoProductId, UmbracoOverview.productName, UmbracoOverview.productCode FROM UmbracoOverview WHERE (row_num >= @startRowIndex AND row_num < (@startRowIndex + @maximumRows)) -- This query will count all the UmbracoProducts. -- This query is used for paging inside ASP.NET. SELECT COUNT (umbracoProduct.umbracoProductId) AS CountNumber FROM umbracoProduct INNER JOIN product ON umbracoProduct.umbracoProductId = product.umbracoProductId WHERE (umbracoProduct.productName LIKE @searchText OR umbracoProduct.productCode LIKE @searchText OR product.code LIKE @searchText OR product.description LIKE @searchText OR product.descriptionLong LIKE @searchText OR product.unitCode LIKE @searchText) END This is my Linq to LLBLGen query: using System.Linq.Dynamic; var q = ( from up in MetaData.UmbracoProduct join p in MetaData.Product on up.UmbracoProductId equals p.UmbracoProductId where up.ProductCode.Contains(searchText) || up.ProductName.Contains(searchText) || p.Code.Contains(searchText) || p.Description.Contains(searchText) || p.DescriptionLong.Contains(searchText) || p.UnitCode.Contains(searchText) select new UmbracoProductOverview { UmbracoProductId = up.UmbracoProductId, ProductName = up.ProductName, ProductCode = up.ProductCode } ).OrderBy(sortExpression); //Save the count in HttpContext.Current.Items. This value will only be saved during 1 single HTTP request. HttpContext.Current.Items["AllProductsCount"] = q.Count(); //Returns the results paged. return q.Skip(startRowIndex).Take(maximumRows).ToList<UmbracoProductOverview>(); This is my Initial expression to process: value(SD.LLBLGen.Pro.LinqSupportClasses.DataSource`1[Eurofysica.DB.EntityClasses.UmbracoProductEntity]).Join(value(SD.LLBLGen.Pro.LinqSupportClasses.DataSource`1[Eurofysica.DB.EntityClasses.ProductEntity]), up => up.UmbracoProductId, p => p.UmbracoProductId, (up, p) => new <>f__AnonymousType0`2(up = up, p = p)).Where(<>h__TransparentIdentifier0 => (((((<>h__TransparentIdentifier0.up.ProductCode.Contains(value(Eurofysica.BusinessLogic.BLL.Controllers.UmbracoProductController+<>c__DisplayClass1).searchText) || <>h__TransparentIdentifier0.up.ProductName.Contains(value(Eurofysica.BusinessLogic.BLL.Controllers.UmbracoProductController+<>c__DisplayClass1).searchText)) || <>h__TransparentIdentifier0.p.Code.Contains(value(Eurofysica.BusinessLogic.BLL.Controllers.UmbracoProductController+<>c__DisplayClass1).searchText)) || <>h__TransparentIdentifier0.p.Description.Contains(value(Eurofysica.BusinessLogic.BLL.Controllers.UmbracoProductController+<>c__DisplayClass1).searchText)) || <>h__TransparentIdentifier0.p.DescriptionLong.Contains(value(Eurofysica.BusinessLogic.BLL.Controllers.UmbracoProductController+<>c__DisplayClass1).searchText)) || <>h__TransparentIdentifier0.p.UnitCode.Contains(value(Eurofysica.BusinessLogic.BLL.Controllers.UmbracoProductController+<>c__DisplayClass1).searchText))).Select(<>h__TransparentIdentifier0 => new UmbracoProductOverview() {UmbracoProductId = <>h__TransparentIdentifier0.up.UmbracoProductId, ProductName = <>h__TransparentIdentifier0.up.ProductName, ProductCode = <>h__TransparentIdentifier0.up.ProductCode}).OrderBy( => .ProductName).Count() Now this is how the queries look like that are send to sql server: Select query: Query: SELECT [LPA_L2].[umbracoProductId] AS [UmbracoProductId], [LPA_L2].[productName] AS [ProductName], [LPA_L2].[productCode] AS [ProductCode] FROM ( [eurofysica].[dbo].[umbracoProduct] [LPA_L2] INNER JOIN [eurofysica].[dbo].[product] [LPA_L3] ON [LPA_L2].[umbracoProductId] = [LPA_L3].[umbracoProductId]) WHERE ( ( ( ( ( ( ( ( [LPA_L2].[productCode] LIKE @ProductCode1) OR ( [LPA_L2].[productName] LIKE @ProductName2)) OR ( [LPA_L3].[code] LIKE @Code3)) OR ( [LPA_L3].[description] LIKE @Description4)) OR ( [LPA_L3].[descriptionLong] LIKE @DescriptionLong5)) OR ( [LPA_L3].[unitCode] LIKE @UnitCode6)))) Parameter: @ProductCode1 : String. Length: 2. Precision: 0. Scale: 0. Direction: Input. Value: "%%". Parameter: @ProductName2 : String. Length: 2. Precision: 0. Scale: 0. Direction: Input. Value: "%%". Parameter: @Code3 : String. Length: 2. Precision: 0. Scale: 0. Direction: Input. Value: "%%". Parameter: @Description4 : String. Length: 2. Precision: 0. Scale: 0. Direction: Input. Value: "%%". Parameter: @DescriptionLong5 : String. Length: 2. Precision: 0. Scale: 0. Direction: Input. Value: "%%". Parameter: @UnitCode6 : String. Length: 2. Precision: 0. Scale: 0. Direction: Input. Value: "%%". Count query: Query: SELECT TOP 1 COUNT(*) AS [LPAV_] FROM (SELECT [LPA_L2].[umbracoProductId] AS [UmbracoProductId], [LPA_L2].[productName] AS [ProductName], [LPA_L2].[productCode] AS [ProductCode] FROM ( [eurofysica].[dbo].[umbracoProduct] [LPA_L2] INNER JOIN [eurofysica].[dbo].[product] [LPA_L3] ON [LPA_L2].[umbracoProductId] = [LPA_L3].[umbracoProductId]) WHERE ( ( ( ( ( ( ( ( [LPA_L2].[productCode] LIKE @ProductCode1) OR ( [LPA_L2].[productName] LIKE @ProductName2)) OR ( [LPA_L3].[code] LIKE @Code3)) OR ( [LPA_L3].[description] LIKE @Description4)) OR ( [LPA_L3].[descriptionLong] LIKE @DescriptionLong5)) OR ( [LPA_L3].[unitCode] LIKE @UnitCode6))))) [LPA_L1] Parameter: @ProductCode1 : String. Length: 2. Precision: 0. Scale: 0. Direction: Input. Value: "%%". Parameter: @ProductName2 : String. Length: 2. Precision: 0. Scale: 0. Direction: Input. Value: "%%". Parameter: @Code3 : String. Length: 2. Precision: 0. Scale: 0. Direction: Input. Value: "%%". Parameter: @Description4 : String. Length: 2. Precision: 0. Scale: 0. Direction: Input. Value: "%%". Parameter: @DescriptionLong5 : String. Length: 2. Precision: 0. Scale: 0. Direction: Input. Value: "%%". Parameter: @UnitCode6 : String. Length: 2. Precision: 0. Scale: 0. Direction: Input. Value: "%%". As you can see no sorting or paging is done (like in my Stored Procedure). This is probably done inside the code after all the results are fetched. This costs a lot of performance! Does anybody know how I can convert my Stored Procedure to Linq to LLBLGen the proper way?

    Read the article

  • Date problem in MYSQL Query

    - by davykiash
    Am looking for a query to sum values in a particular time duration say an year or a particular month in an year using MYSQL syntax.Note that my transaction_date column stores daily amount transacted. Am example of a query that returns total sales in an year query would look something like this SELECT SUM(transaction_amount) WHERE transaction_date = (YEAR) Am example of a query that returns total sales in an particular month and year would look something like this SELECT SUM(transaction_amount) WHERE transaction_date = (YEAR)(MONTH) How achievable is this?

    Read the article

  • File system query

    - by Balaji
    Is there an easy way to query data in file system? We are storing data in File system (instead of database) Is there a way to query the content of the file system? The data in the file system is stored in xml format. since the data is growing day by day we are finding it difficult to query the content of the files in the file system. Can anyone suggest what could be the tool/method to query the data in the existing file system?

    Read the article

  • converting linq query to icollection

    - by bergin
    Hi there. I need to take the results of a query: var query = from m in db.SoilSamplingSubJobs where m.order_id == id select m; and prepare as an ICollection so that I can have something like ICollection<SoilSamplingSubJob> subjobs at the moment I create a list, which isnt appropriate to my needs: query.ToList(); what do I do - is it query.ToIcollection() ?

    Read the article

  • Drawbacks of Dynamic Query in Sqlserver 2005 ?

    - by KuldipMCA
    I have using the many dynamic Query in my database for the procedures because my filter is not fix so i have taken @filter as parameter and pass in the procedure. Declare @query as varchar(8000) Declare @Filter as varchar(1000) set @query = 'Select * from Person.Address where 1=1 and ' + @Filter exec(@query) Like that my filter contain any Field from the table for comparison. It will affect my performance or not ? is there any alternate way to achieve this type of things

    Read the article

  • WordPress SQL Query on Category/Terms

    - by mroggle
    Hi, i am modifying a plugin slightly to meet my needs, and need to change this query to return post ID's of just one category. I know it has something to do with INNER JOIN, but cant get the query right. Here is the original query $query = "SELECT ID as PID FROM $wpdb->posts"; $results = $wpdb->get_results($querydetails,ARRAY_A);

    Read the article

  • Improve long mysql query

    - by John Adawan
    I have a php mysql query like this $query = "SELECT * FROM articles FORCE INDEX (articleindex) WHERE category='$thiscat' and did>'$thisdid' and mid!='$thismid' and status='1' and group='$thisgroup' and pid>'$thispid' LIMIT 10"; As optimization, I've indexed all the parameters in articleindex and I use force index to force mysql to use the index, supposedly for faster processing. But it seems that this query is still quite slow and it's causing a jam and maxing out the max mysql connection limit. Let's discuss how we can improve on such long query.

    Read the article

  • Improve long mysql query

    - by John Adawan
    I have a php mysql query like this $query = "SELECT * FROM articles FORCE INDEX (articleindex) WHERE category='$thiscat' and did>'$thisdid' and mid!='$thismid' and status='1' and group='$thisgroup' and pid>'$thispid' LIMIT 10"; As optimization, I've indexed all the parameters in articleindex and I use force index to force mysql to use the index, supposedly for faster processing. But it seems that this query is still quite slow and it's causing a jam and maxing out the max mysql connection limit. Let's discuss how we can improve on such long query.

    Read the article

  • running same query in different databases

    - by user316833
    I wrote a query that I want to run in several access databases. I have 1000+ access databases with the same tables (same names, same fields). So far, I have been manually copying this query from a txt file to the sql view in the access query design screen for each database and then run it. I did not need to change the query language - everything is the same for the 1000 databases. Is there a way to automate this?

    Read the article

  • Grails query not using GORM

    - by Tihom
    What is the best way to query for something without using GORM in grails? I have query that doesn't seem to fit in the GORM model, the query has a subquery and a computed field. I posted on stackoverflow already with no response so I decided to take a different approach. I want to query for something not using GORM within a grails application. Is there an easy way to get the connection and go through the result set?

    Read the article

  • A Query to remove relationships that do not belong [closed]

    - by Segfault
    In a SQL Server 2008 R2 database, given this schema: AgentsAccounts _______________ AgentID int UNIQUE AccountID FinalAgents ___________ AgentID I need to create a query that does this: For each AgentID 'final' in FinalAgents remove all of the OTHER AgentID's from AgentsAccounts that have the same AccountID as 'final'. So if the tables have these rows before the query: AgentsAccounts AgentID AccountID 1 A 2 A 3 B 4 B FinalAgents 1 3 then after the query the AgentsAccounts table will look like this: AgentsAccounts AgentID AccountID 1 A 3 B What T-SQL query will delete the correct rows without using a curosr?

    Read the article

  • Oracle BI Server Modeling, Part 1- Designing a Query Factory

    - by bob.ertl(at)oracle.com
      Welcome to Oracle BI Development's BI Foundation blog, focused on helping you get the most value from your Oracle Business Intelligence Enterprise Edition (BI EE) platform deployments.  In my first series of posts, I plan to show developers the concepts and best practices for modeling in the Common Enterprise Information Model (CEIM), the semantic layer of Oracle BI EE.  In this segment, I will lay the groundwork for the modeling concepts.  First, I will cover the big picture of how the BI Server fits into the system, and how the CEIM controls the query processing. Oracle BI EE Query Cycle The purpose of the Oracle BI Server is to bridge the gap between the presentation services and the data sources.  There are typically a variety of data sources in a variety of technologies: relational, normalized transaction systems; relational star-schema data warehouses and marts; multidimensional analytic cubes and financial applications; flat files, Excel files, XML files, and so on. Business datasets can reside in a single type of source, or, most of the time, are spread across various types of sources. Presentation services users are generally business people who need to be able to query that set of sources without any knowledge of technologies, schemas, or how sources are organized in their company. They think of business analysis in terms of measures with specific calculations, hierarchical dimensions for breaking those measures down, and detailed reports of the business transactions themselves.  Most of them create queries without knowing it, by picking a dashboard page and some filters.  Others create their own analysis by selecting metrics and dimensional attributes, and possibly creating additional calculations. The BI Server bridges that gap from simple business terms to technical physical queries by exposing just the business focused measures and dimensional attributes that business people can use in their analyses and dashboards.   After they make their selections and start the analysis, the BI Server plans the best way to query the data sources, writes the optimized sequence of physical queries to those sources, post-processes the results, and presents them to the client as a single result set suitable for tables, pivots and charts. The CEIM is a model that controls the processing of the BI Server.  It provides the subject areas that presentation services exposes for business users to select simplified metrics and dimensional attributes for their analysis.  It models the mappings to the physical data access, the calculations and logical transformations, and the data access security rules.  The CEIM consists of metadata stored in the repository, authored by developers using the Administration Tool client.     Presentation services and other query clients create their queries in BI EE's SQL-92 language, called Logical SQL or LSQL.  The API simply uses ODBC or JDBC to pass the query to the BI Server.  Presentation services writes the LSQL query in terms of the simplified objects presented to the users.  The BI Server creates a query plan, and rewrites the LSQL into fully-detailed SQL or other languages suitable for querying the physical sources.  For example, the LSQL on the left below was rewritten into the physical SQL for an Oracle 11g database on the right. Logical SQL   Physical SQL SELECT "D0 Time"."T02 Per Name Month" saw_0, "D4 Product"."P01  Product" saw_1, "F2 Units"."2-01  Billed Qty  (Sum All)" saw_2 FROM "Sample Sales" ORDER BY saw_0, saw_1       WITH SAWITH0 AS ( select T986.Per_Name_Month as c1, T879.Prod_Dsc as c2,      sum(T835.Units) as c3, T879.Prod_Key as c4 from      Product T879 /* A05 Product */ ,      Time_Mth T986 /* A08 Time Mth */ ,      FactsRev T835 /* A11 Revenue (Billed Time Join) */ where ( T835.Prod_Key = T879.Prod_Key and T835.Bill_Mth = T986.Row_Wid) group by T879.Prod_Dsc, T879.Prod_Key, T986.Per_Name_Month ) select SAWITH0.c1 as c1, SAWITH0.c2 as c2, SAWITH0.c3 as c3 from SAWITH0 order by c1, c2   Probably everybody reading this blog can write SQL or MDX.  However, the trick in designing the CEIM is that you are modeling a query-generation factory.  Rather than hand-crafting individual queries, you model behavior and relationships, thus configuring the BI Server machinery to manufacture millions of different queries in response to random user requests.  This mass production requires a different mindset and approach than when you are designing individual SQL statements in tools such as Oracle SQL Developer, Oracle Hyperion Interactive Reporting (formerly Brio), or Oracle BI Publisher.   The Structure of the Common Enterprise Information Model (CEIM) The CEIM has a unique structure specifically for modeling the relationships and behaviors that fill the gap from logical user requests to physical data source queries and back to the result.  The model divides the functionality into three specialized layers, called Presentation, Business Model and Mapping, and Physical, as shown below. Presentation services clients can generally only see the presentation layer, and the objects in the presentation layer are normally the only ones used in the LSQL request.  When a request comes into the BI Server from presentation services or another client, the relationships and objects in the model allow the BI Server to select the appropriate data sources, create a query plan, and generate the physical queries.  That's the left to right flow in the diagram below.  When the results come back from the data source queries, the right to left relationships in the model show how to transform the results and perform any final calculations and functions that could not be pushed down to the databases.   Business Model Think of the business model as the heart of the CEIM you are designing.  This is where you define the analytic behavior seen by the users, and the superset library of metric and dimension objects available to the user community as a whole.  It also provides the baseline business-friendly names and user-readable dictionary.  For these reasons, it is often called the "logical" model--it is a virtual database schema that persists no data, but can be queried as if it is a database. The business model always has a dimensional shape (more on this in future posts), and its simple shape and terminology hides the complexity of the source data models. Besides hiding complexity and normalizing terminology, this layer adds most of the analytic value, as well.  This is where you define the rich, dimensional behavior of the metrics and complex business calculations, as well as the conformed dimensions and hierarchies.  It contributes to the ease of use for business users, since the dimensional metric definitions apply in any context of filters and drill-downs, and the conformed dimensions enable dashboard-wide filters and guided analysis links that bring context along from one page to the next.  The conformed dimensions also provide a key to hiding the complexity of many sources, including federation of different databases, behind the simple business model. Note that the expression language in this layer is LSQL, so that any expression can be rewritten into any data source's query language at run time.  This is important for federation, where a given logical object can map to several different physical objects in different databases.  It is also important to portability of the CEIM to different database brands, which is a key requirement for Oracle's BI Applications products. Your requirements process with your user community will mostly affect the business model.  This is where you will define most of the things they specifically ask for, such as metric definitions.  For this reason, many of the best-practice methodologies of our consulting partners start with the high-level definition of this layer. Physical Model The physical model connects the business model that meets your users' requirements to the reality of the data sources you have available. In the query factory analogy, think of the physical layer as the bill of materials for generating physical queries.  Every schema, table, column, join, cube, hierarchy, etc., that will appear in any physical query manufactured at run time must be modeled here at design time. Each physical data source will have its own physical model, or "database" object in the CEIM.  The shape of each physical model matches the shape of its physical source.  In other words, if the source is normalized relational, the physical model will mimic that normalized shape.  If it is a hypercube, the physical model will have a hypercube shape.  If it is a flat file, it will have a denormalized tabular shape. To aid in query optimization, the physical layer also tracks the specifics of the database brand and release.  This allows the BI Server to make the most of each physical source's distinct capabilities, writing queries in its syntax, and using its specific functions. This allows the BI Server to push processing work as deep as possible into the physical source, which minimizes data movement and takes full advantage of the database's own optimizer.  For most data sources, native APIs are used to further optimize performance and functionality. The value of having a distinct separation between the logical (business) and physical models is encapsulation of the physical characteristics.  This encapsulation is another enabler of packaged BI applications and federation.  It is also key to hiding the complex shapes and relationships in the physical sources from the end users.  Consider a routine drill-down in the business model: physically, it can require a drill-through where the first query is MDX to a multidimensional cube, followed by the drill-down query in SQL to a normalized relational database.  The only difference from the user's point of view is that the 2nd query added a more detailed dimension level column - everything else was the same. Mappings Within the Business Model and Mapping Layer, the mappings provide the binding from each logical column and join in the dimensional business model, to each of the objects that can provide its data in the physical layer.  When there is more than one option for a physical source, rules in the mappings are applied to the query context to determine which of the data sources should be hit, and how to combine their results if more than one is used.  These rules specify aggregate navigation, vertical partitioning (fragmentation), and horizontal partitioning, any of which can be federated across multiple, heterogeneous sources.  These mappings are usually the most sophisticated part of the CEIM. Presentation You might think of the presentation layer as a set of very simple relational-like views into the business model.  Over ODBC/JDBC, they present a relational catalog consisting of databases, tables and columns.  For business users, presentation services interprets these as subject areas, folders and columns, respectively.  (Note that in 10g, subject areas were called presentation catalogs in the CEIM.  In this blog, I will stick to 11g terminology.)  Generally speaking, presentation services and other clients can query only these objects (there are exceptions for certain clients such as BI Publisher and Essbase Studio). The purpose of the presentation layer is to specialize the business model for different categories of users.  Based on a user's role, they will be restricted to specific subject areas, tables and columns for security.  The breakdown of the model into multiple subject areas organizes the content for users, and subjects superfluous to a particular business role can be hidden from that set of users.  Customized names and descriptions can be used to override the business model names for a specific audience.  Variables in the object names can be used for localization. For these reasons, you are better off thinking of the tables in the presentation layer as folders than as strict relational tables.  The real semantics of tables and how they function is in the business model, and any grouping of columns can be included in any table in the presentation layer.  In 11g, an LSQL query can also span multiple presentation subject areas, as long as they map to the same business model. Other Model Objects There are some objects that apply to multiple layers.  These include security-related objects, such as application roles, users, data filters, and query limits (governors).  There are also variables you can use in parameters and expressions, and initialization blocks for loading their initial values on a static or user session basis.  Finally, there are Multi-User Development (MUD) projects for developers to check out units of work, and objects for the marketing feature used by our packaged customer relationship management (CRM) software.   The Query Factory At this point, you should have a grasp on the query factory concept.  When developing the CEIM model, you are configuring the BI Server to automatically manufacture millions of queries in response to random user requests. You do this by defining the analytic behavior in the business model, mapping that to the physical data sources, and exposing it through the presentation layer's role-based subject areas. While configuring mass production requires a different mindset than when you hand-craft individual SQL or MDX statements, it builds on the modeling and query concepts you already understand. The following posts in this series will walk through the CEIM modeling concepts and best practices in detail.  We will initially review dimensional concepts so you can understand the business model, and then present a pattern-based approach to learning the mappings from a variety of physical schema shapes and deployments to the dimensional model.  Along the way, we will also present the dimensional calculation template, and learn how to configure the many additivity patterns.

    Read the article

< Previous Page | 6 7 8 9 10 11 12 13 14 15 16 17  | Next Page >