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  • What does transaction.commit() do when the flushmode is set manual in Hibernate?

    - by wei
    Here is a block of code in the Java Persistence with Hibernate book by Christian and Gavin, Session session = getSessionFactory().openSession(); session.setFlushMode(FlushMode.MANUAL); // First step in the conversation session.beginTransaction(); Item item = (Item) session.get(Item.class, new Long(123) ); session.getTransaction().commit(); // Second step in the conversation session.beginTransaction(); Item newItem = new Item(); Long newId = (Long) session.save(newItem); // Triggers INSERT! session.getTransaction().commit(); // Roll back the conversation! session.close();//enter code here I am confused that why the first step and second step need to be wrapped into two separate transactions? Since the flushmode is set manual here, no operations (suppose we ignore the insert here) will hit the database anyway. So why bother with transactions here? thanks

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  • Dynamically Added CheckBox Column is Disabled in GridView

    - by Mark Maslar
    I'm dynamically adding a Boolean column to a DataSet. The DataSet's table is the DataSource for a GridView, which AutoGenerates the columns. Issue: The checkboxes for this dynamically generated column are all disabled. How can I enable them? ds.Tables["Transactions"].Columns.Add("Retry", typeof(System.Boolean)); ds.Tables["Transactions"].Columns["Retry"].ReadOnly = false; In other words, how can I control how GridView generates the CheckBoxes for a Boolean field? (And why does setting ReadOnly to False have no effect?) Thanks!

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  • iPhone In-App Purchase Store Kit error -1003 "Cannot connect to iTunes Store"

    - by Rei
    Hi all- I've been working on adding in-app purchases and was able to create and test in-app purchases using Store Kit (yay!). During testing, I exercised my app in a way which caused the app to crash mid purchase (so I guess the normal cycle of receiving paymentQueue:updatedTransactions and calling finishTransaction was interrupted). Now I am unable to successfully complete any transactions and instead am getting only transactions with transactionState SKPaymentTransactionStateFailed when paymentQueue:updatedTransactions is called. The transaction.error.code is -1003 and the transaction.error.localizedDescription is "Cannot connect to iTunes Store"! I have tried removing all products from iTunesConnect, and rebuilt them using different identifiers but that did not help. I have also tried using the App Store app to really connect to the real App Store and download some apps so I do have connectivity. Finally, I have visited the Settings:Store app to make sure I am signed out of my normal app store account. Any ideas? -Rei

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  • Best solution for reporting database

    - by zzyzx
    Here is the situation: There is a transaction intensive database - used for both routine transactions and reports. I was wondering if I could isolate these two operations and 2 independent databases, so reports could run off of one database and all the transactions could occur in another one. This would improve performance for the OLTP SQL database. I have gone over a few options like, Mirroring, Log shipping, Replication, Snapshots, Clustering - but would like to discuss the best possible strategy for the desired result. Please advise the best solution to implement this strategy, or any other thoughts/suggestion you may have.

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  • Are there any tools to help the user to design a State Machine to be consumed by my application?

    - by kolrie
    When reading this question I remembered there was something I have been researching for a while now and I though Stackoverflow could be of help. I have created a framework that handles applications as state machines. Currently all the state business logic and transactions are handled via Java code. I was looking for some UI implementation that would allow the user to draw the state machines and transactions and generate a file that can later on be consumed by my framework to "run" the workflow according to one or more defined state machines. Ideally I would like to use an open standard like SCXML. The goal as the UI would be to have something like this plugin IBM have for Rational Software Architect: Do you know any editor, plugin or library that would have something similar or at least serve as a good starting point?

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  • Graphical database monitoring tool for debugging

    - by salle55
    I would love a tool that in real-time showed changes in a set of predefined tables in a graphical way, for example different colors on fields that has changed value, added records, deleted records etc. I don't want a list of all transactions (like SQL Server Profiler), instead a clever visualized more graphical approach where you can get a great overview if you are just monitoring a few tables. I realize the visualization would be hard if there is a lot of transactions against the database, but with monitoring on a few tables and a single session during debugging it would be possible. Does something like this exist? I think it would be great for debugging! Preferably for SQL Server and/or MySQL.

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  • better way to write this

    - by ash34
    Hi, I have to create a hash of the form h[:bill] = ["Billy", "NA", 20, "PROJ_A"] by login where 20 is the cumulative number of hours reported by the login for all task transactions returned by the query where each login has multiple reported transactions. Did I do this in a bad way or this seems alright. h = Hash.new Task.find_each(:include => [:user], :joins => :user, :conditions => ["from_date >= ? AND from_date <= ? AND category = ?", Date.today - 30, Date.today + 30, 'PROJ1']) do |t| h[t.login.intern] = [t.user.name, 'NA', h[t.login.intern].nil? ? (t.hrs_per_day * t.num_days) : h[t.login.intern][2] + (t.hrs_day * t.workdays), t.category] end Also if I have to aggregate not just by login but login and category how do I accomplish this? thanks, ash

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  • Should integration testing of DAOs be done in an application server?

    - by HDave
    I have a three tier application under development and am creating integration tests for DAOs in the persistence layer. When the application runs in Websphere or JBoss I expect to use the connection pooling and transaction manager of those application servers. When the application runs in Tomcat or Jetty, we'll be using C3P0 for pooling and Atomikos for transactions. Because of these different subsystems, should the DAO's be tested in a fully configured application server environment or should we handle those concerns when integration testing the service layer? Currently we plan on setting up a simple JDBC data source with non-JTA (i.e. resource-local) transactions for DAO integration testing, thus no application server is involved....but this leaves me wondering about environmental problems we won't uncover.

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  • Consolidate loan, purchase & sale tables into one transaction table.

    - by Frank Computer
    INFORMIX-SE with ISQL 7.3: I have separate tables for Loan, Purchase & Sales transactions. Each tables rows are joined to their respective customer rows by: customer.id [serial] = loan.foreign_id [integer]; = purchase.foreign_id [integer]; = sale.foreign_id [integer]; I would like to consolidate the three tables into one table called "transaction", where a column: transaction.trx_type char(1) {L=Loan, P=Purchase, S=Sale} identifies the transaction type. Each transaction will be assigned a unique transaction number [serial]. Is this a good idea or is it better to keep them in separate tables? Storage space is not a concern, I think it would be easier programming & user-wise to have all types of transactions under one table, whenever possible. This implies denormalization.

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  • SQL IDENTITY COLUMN

    - by andreas
    Hey guys i am have an sql table which is basically a statement. Now lest say the records i have in my table have a date and an identity column which is autonumbered and defines the order which the transactions are displayed in the front end to the client. The issue is during an insert some of the data have gone missing and some transactions between two dates are missing. I need to insert the data into the table but i need to insert them between the dates and not at the end of the table.If i do a a normal insert now the data will appear at the end of the table and not at the date i specify because the identity column is autonumbered and cannot be updated. Thanks

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  • Using a "vo" for joined data?

    - by keithjgrant
    I'm building a small financial system. Because of double-entry accounting, transactions always come in batches of two or more, so I've got a batch table and a transaction table. (The transaction table has batch_id, account_id, and amount fields, and shared data like date and description are relegated to the batch table). I've been using basic vo-type models for each table so far. Because of this table structure structure, though, transactions will almost always be selected with a join on the batch table. So should I take the selected records and splice them into two separate vo objects, or should I create a "shared" vo that contains both batch and transaction data? There are a few cases in which batch records and/or transaction records. Are there possible pitfalls down the road if I have "overlapping" vo classes?

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  • Process every pair in a sequence

    - by Henry Jackson
    I'm looking for a concise way to process every (unordered) pair of elements in a sequence in .NET. I know I can do it with nested foreach loops, but I was looking for something a little more readable. I was imagining something like a modified Any() extension method: IEnumerable<Transaction> transactions = ... if (transactions.AnyPair( (first, second) => first.UniqueID == second.UniqueID)) throw ... Or maybe a foreach-style one: IEnumerable<JigsawPiece> pieces = ... pieces.ForEachPair( (first, second) => { TryFit(first, second); }); This question has been asked for other languages (e.g. see http://stackoverflow.com/questions/942543/operation-on-every-pair-of-element-in-a-list), but I'm looking for a .NET solution.

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  • What about the Sql transaction log

    - by Michel
    Hi, i always thought that the sql transaction log keeps track of all the transactions done in the database so it could help recovering the database file in case of a unexpected power down or something like that So then, in normal usage, when the data is committed and written to disk, it is cleared because all the data is nice and safe in the mdf file. Seeing the ldf file grow and reading some i understand that that is not the case, and it will keep growing, until: you shrink the log. Only at that point all the commited transactions are cleared and the log file is shrinked. I found some sp's who should do this, but also found the theory that you first have to backup the database? That last step doesn't make sense to me, so can anyone tell me of that is correct and if so, why that is?

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  • rails data aggregation

    - by ash34
    Hi, I have to create a hash of the form h[:bill] = ["Billy", "NA", 20, "PROJ_A"] by login where 20 is the cumulative number of hours reported by the login for all task transactions returned by the query where each login has multiple reported transactions. Did I do this in a bad way or this seems alright. h = Hash.new Task.find_each(:include => [:user], :joins => :user, :conditions => ["from_date >= ? AND from_date <= ? AND category = ?", Date.today - 30, Date.today + 30, 'PROJ1']) do |t| h[t.login.intern] = [t.user.name, 'NA', h[t.login.intern].nil? ? (t.hrs_per_day * t.num_days) : h[t.login.intern][2] + (t.hrs_day * t.workdays), t.category] end Also if I have to aggregate this data not just by login but login and category how do I accomplish this? thanks, ash

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  • Does it make sense to use BOTH mongodb and mysql in the same rails application?

    - by Brian Armstrong
    I have a good reason to use mongodb for part of my app. But people generally describe it as not a good fit for "transactional" applications like a bank where transactions have to be exact/consistent, etc. Does it make sense to split the models up in Rails and have some of them use MySql and others mongo? Or will this generally cause more problems than it's worth? I'm not building a banking app or anything, but was thinking it might make sense for my users table or or transactions table (recording revenue) to do that part in MySql.

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  • Why are mainframes still around?

    - by ThaDon
    It's a question you've probably asked or been asked several times. What's so great about Mainframes? The answer you've probably been given is "they are fast" "normal computers can't process as many 'transactions' per second as they do". Jeese, I mean it's not like Google is running a bunch of Mainframes and look how many transactions/sec they do! The question here really is "why?". When I ask this question to the mainframe devs I know, they can't answer, they simply restate "It's fast". With the advent of Cloud Computing, I can't imagine mainframes being able to compete both cost-wise and mindshare-wise (aren't all the Cobol devs going to retire at some point, or will offshore just pickup the slack?). And yet, I know a few companies that still pump out net-new Cobol/Mainframe apps, even for things we could do easily in say .NET and Java. Anyone have a real good answer as to why "The Mainframe is faster", or can point me to some good articles relating to the topic?

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  • Who owes who money optimisation problem

    - by Francis
    Say you have n people, each who owe each other money. In general it should be possible to reduce the amount of transactions that need to take place. i.e. if X owes Y £4 and Y owes X £8, then Y only needs to pay X £4 (1 transaction instead of 2). This becomes harder when X owes Y, but Y owes Z who owes X as well. I can see that you can easily calculate one particular cycle. It helps for me when I think of it as a fully connected graph, with the nodes being the amount each person owes. Problem seems to be NP-complete, but what kind of optimisation algorithm could I make, nevertheless, to reduce the total amount of transactions? Doesn't have to be that efficient, as N is quite small for me.

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  • How should flushing be handled in a doctrine EntityManager instance shared across different services in symfony2?

    - by Jbm
    I have defined several services in symfony 2 which persist changes to the database. These services have the doctrine instance as one of their dependencies: a.given.service: class: Acme\TestBundle\Service\AGivenService arguments: [@doctrine] If I have two different services and both of them persist objects through the EntityManager, which is obtained like this from the doctrine instance: $em = $doctrine->getEntityManager(); Would all services always share the same EntityManager? If so, how should I handle flushing if I wanted to handle all the changes in a single transaction? I have checked this: http://docs.doctrine-project.org/projects/doctrine-orm/en/2.0.x/reference/transactions-and-concurrency.html and it explains how to handle different transactions in a request, but I want to achieve the opposite, which is having different changes in different services handled as a single transaction. Is there a better approach to handle multiple changes in different services? For now my best bet is having a front-end service in charge of calling the other services and doing the flushing afterwards. Backend services would persist objects but would not do any flushing.

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  • Average of a Sum in Mysql query

    - by chupeman
    I am having some problems creating a query that gives me the average of a sum. I read a few examples here in stackoverflow and couldn't do it. Can anyone help me to understand how to do this please? This is the data I have: Basically I need the average transaction value by cashier. I can't run a basic avg because it will take all rows but each transaction can have multiple rows. At the end I want to have: Cashier| Average| 131 | 44.31 |(Which comes from the sum divided by 3 transactions not 5 rows) 130 | 33.15 | etc. This is the query I have to SUM the transactions but don't know how or where to include the AVG function. SELECT `products`.`Transaction_x0020_Number`, Sum(`products`.`Sales_x0020_Value`) AS `SUM of Sales_x0020_Value`, `products`.`Cashier` FROM `products` GROUP BY `products`.`Transaction_x0020_Number`, `products`.`Date`, `products`.`Cashier` HAVING (`products`.`Date` ={d'2010-06-04'}) Any help is appreciated.

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  • Homework - C# - Creating an object instance with a button click

    - by Erica
    I'm new to learning Windows Programming with C#. My current assignment is to create a very simple bank account program: The user enters the accountholder name, account number and beginning balance, then presses a "Continue" button to work with that account by making deposits and withdrawals. I wrote a separate "BankAccount" class with the required data members and methods. I've put the code for the creation of the BankAccount object in the Continue button click event BankAccount currentAccount = new BankAccount(acctName, acctNum, beginningBalance); But that seems to make it local to that method only, and currentAccount is not recognized when I'm programming the click event for the "Record Transactions" (deposits and withdrawals) button. How and where should the creation of the BankAccount object be coded in order for it to be created when the "Continue" button is clicked and also recognized in the "Record Transactions" button click event? Please let me know if any clarification is needed, or if you need to see part or all of my code.

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  • Consolidating separate Loan, Purchase & Sales tables into one transaction table.

    - by Frank Computer
    INFORMIX-SE with ISQL 7.3: I have separate tables for Loan, Purchase & Sales transactions. Each tables rows are joined to their respective customer rows by: customer.id [serial] = loan.foreign_id [integer]; = purchase.foreign_id [integer]; = sale.foreign_id [integer]; I would like to consolidate the three tables into one table called "transaction", where a column "transaction.trx_type" [char(1)] {L=Loan, P=Purchase, S=Sale} identifies the transaction type. Is this a good idea or is it better to keep them in separate tables? Storage space is not a concern, I think it would be easier programming & user=wise to have all types of transactions under one table.

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  • MySQL count/sum fields

    - by Conor H
    Hi There, What I am trying to achieve is a report on daily financial transactions. With my SQL query I would like to count the total number of cash transactions, the total cash value and the same for checks. I only want to do this for a specified date. Here is a snippet of the query that I am having trouble with. These sum and count commands are processing all the data in the table and not for the selected date. (SELECT SUM(amount) FROM TRANSACTION WHERE payment_type.name = 'cash') AS total_cash, (SELECT COUNT(*) FROM TRANSACTION WHERE payment_type.name = 'cash') AS total_cash_transactions Sorry if I havent posted enough detail as I haven't time. If you need more info just ask.. Cheers.

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  • Customers and suppliers database design issue

    - by hectorsq
    I am developing a web application in which I will have customers and suppliers. Initially I thought on using a Customers table and a Suppliers table. Then when I was thinking on bank transactions, I noticed that each transaction needs to refer to a customer or a supplier, so I thought on using a single table named Business in which I will save both customers and suppliers. If I use Customers and Suppliers tables when I want to list the bank transactions I will have to search in both tables to get the company name. If I use a Businesses table I will have to use a business type column, and have the union of possible fields for all businesses types. Any suggestions on the design?

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  • TSQL - create a stored proc inside a transaction statement

    - by Chris L
    I have a sql script that is set to roll to production. I've wrapped the various projects into separate transactions. In each of the transactions we created stored procedures. I'm getting error messages Msg 156, Level 15, State 1, Line 4 Incorrect syntax near the keyword 'procedure'. I created this example script to illustrate Begin Try Begin Transaction -- do a bunch of add/alter tables here -- do a bunch of data manipulation/population here -- create a stored proc create procedure dbo.test as begin select * from some_table end Commit End Try Begin Catch Rollback Declare @Msg nvarchar(max) Select @Msg=Error_Message(); RaisError('Error Occured: %s', 20, 101,@Msg) With Log; End Catch The error seems to imply that I can't create stored procs inside of transaction, but I'm not finding any docs that say otherwise(maybe google isn't being freindly today).

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  • SqlCE Flush Interval - Will the default setting lead to corruption?

    - by NormD
    SqlCE has a parameter set on the Connect String called Flush Interval. It is defined as: The interval time (in seconds) before all committed transactions are flushed to disk. If not specified, the default value is 10. I thought that a committed transaction, by definition, is a transaction that has been flushed to disk, specifically the database file. If a transaction is only stored in RAM then cannot the transaction be easily lost? I thought that transactions were first written to a log file and then applied to the database file itself, so perhaps this parameter could mean the time to wait until the transaction log is applied to the database file? I would have thought that this parameter should be 0.

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