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  • Passing data from one database to another database table (Access) (C#)

    - by SAMIR BHOGAYTA
    string conString = "Provider=Microsoft.Jet.OLEDB.4.0 ;Data Source=Backup.mdb;Jet OLEDB:Database Password=12345"; OleDbConnection dbconn = new OleDbConnection(); OleDbDataAdapter dAdapter = new OleDbDataAdapter(); OleDbCommand dbcommand = new OleDbCommand(); try { if (dbconn.State == ConnectionState.Closed) dbconn.Open(); string selQuery = "INSERT INTO [Master] SELECT * FROM [MS Access;DATABASE="+ "\\Data.mdb" + ";].[Master]"; dbcommand.CommandText = selQuery; dbcommand.CommandType = CommandType.Text; dbcommand.Connection = dbconn; int result = dbcommand.ExecuteNonQuery(); } catch(Exception ex) {}

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  • SQL SERVER – Integration Services Balanced Data Distributor – SSIS Balanced Data Distributor

    - by pinaldave
    Microsoft SSIS Balanced Data Distributor (BDD) is a new SSIS transform. This transform takes a single input and distributes the incoming rows to one or more outputs uniformly via multithreading. The transform takes one pipeline buffer worth of rows at a time and moves it to the next output in a round robin fashion. It’s balanced and synchronous so if one of the downstream transforms or destinations is slower than the others, the rest of the pipeline will stall so this transform works best if all of the outputs have identical transforms and destinations. Download SQL Server Integration Services Balanced Data Distributor Reference: Pinal Dave (http://blog.SQLAuthority.com) Filed under: PostADay, SQL, SQL Authority, SQL Documentation, SQL Download, SQL Query, SQL Server, SQL Tips and Tricks, T SQL, Technology

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  • Yes, you can benefit from both data and backup compression

    - by AaronBertrand
    Earlier today, MSSQLTips posted a backup compression tip by Thomas LaRock ( blog | twitter ). In that article, Tom states: "If you are already compressing data then you will not see much benefit from backup compression." I don't want to argue with a rock star, and I will concede that he may be right in some scenarios. Nonetheless, I tweeted that "it depends;" Thomas then asked for "an example where you have data comp and you also see a large benefit from backup comp?" My initial reaction came about...(read more)

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  • Update/Insert With ADF Web Service Data Control

    - by shay.shmeltzer
    The Web service data control (WSDC) in ADF is a powerful feature that allows you to easily build a UI on top of WS interfaces exposed by other systems. However when you drag a WSDC to a page you usually get a set of output components where the data is shown. So how would you actually do an update operation on those values? The answer is that you need a call to another method in your WSDC that does the update - but what if you want to pass to it the actual values that you get from the get method you invoked before? Here is a demo showing how to do that: The two tricks that are shown here are: Changing the properties of items in the DC to be updateable - this gives you inputText fields instead of outputText fields. And passing the currentRow.dataProvider to the update method (and choosing the right iterator for this).

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  • Start your journey into Big Data with the Oracle Academy today!

    - by KLaker
     Big Data has the power to change the way we work, live, and think. The datafication of everything will create unprecedented demand for data scientists, software developers and engineers who can derive value from unstructured data to transform the world. The Oracle Academy Big Data Resource Guide is a collection of articles, videos, and other resources organized to help you gain a deeper understanding of the exciting field of Big Data. To start your journey visit the Oracle Academy website here: https://academy.oracle.com/oa-web-big-data.html. This landing pad will guide through the whole area of big data using the following structure: What is “Big Data” Engineered Systems Integration Database and Data Analytics Advanced Information Supplemental Information This is great resource packed with must-see videos and must-read whitepapers and blog posts by industry leaders.  Enjoy Technorati Tags: Big Data, Data Warehousing, Oracle, Training

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  • Moving large amounts of data between shared hosts

    - by Bryan M.
    I recently acquired a client who is a photographer and was interested in moving web hosts since his current host had threatened to throw him off due to CPU spiking. The migration went fairly easily, with about 350MBs of website and media files. Then I discovered about 60GBs of client galleries he had failed to mention. I am unable to move this much data myself, since I'm capping out at about 20kb/s on the FTP connection. Has anyone encountered a situation where they needed to migrate this much data between cheap hosting? Should we contact the hosting companies about this (he is moving from Westhost to MediaTemple)?

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  • Data Warehouse Workshop

    - by Davide Mauri
    I’m really really pleased to announce that it’s possible to register to the Data Warehouse Workshop that I and Thomas Kejser developed togheter.  Several months ago we decided to join forces in order to create a workshop that would contain not only the theoretical stuff, but also the experience we both have and all the best practices and lesson learned that can make the difference between a success and a failure when building a Data Warehouse. The first sheduled date is 7 February in Kista (Sweden): http://www.eventzilla.net/web/event?eventid=2138965081 and until 30th November there is the Super Early Bird to save more the 100€ (150$). The workshop will be very similar to the one I delivered at PASS Summit summit, with some extra technical stuff since it’s one hour longer. In addition to that for this first version both me and Thomas will be present, so it’s a great change  to make sure you super-charge your DW/BI project with insights that aren’t available anywhere else! If you’re into the BI field and you live in Europe, don’t miss this opportunity!

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  • What do I need to know about Data Structures and Algorithms in the "real" world

    - by Ray T Champion
    I just finished the data structures and algorithms course in school , I took it during the summer so 6wks course vs a 16 wk course during the regular semester. So not only was the course hard but it was really really really fast. My question is what do I need to know about data structures in the real world? I understand what they do and how they work, for the most part, but I had a real tough time coding them , I wouldn't be able to write the code for a binary tree class or a balanced tree class from scratch .... Is that bad? should I retake it , or is knowledge of how they work sufficient, without being able to write the classes from scratch?

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  • Coherence Data Guarantees for Data Reads - Basic Terminology

    - by jpurdy
    When integrating Coherence into applications, each application has its own set of requirements with respect to data integrity guarantees. Developers often describe these requirements using expressions like "avoiding dirty reads" or "making sure that updates are transactional", but we often find that even in a small group of people, there may be a wide range of opinions as to what these terms mean. This may simply be due to a lack of familiarity, but given that Coherence sits at an intersection of several (mostly) unrelated fields, it may be a matter of conflicting vocabularies (e.g. "consistency" is similar but different in transaction processing versus multi-threaded programming). Since almost all data read consistency issues are related to the concept of concurrency, it is helpful to start with a definition of that, or rather what it means for two operations to be concurrent. Rather than implying that they occur "at the same time", concurrency is a slightly weaker statement -- it simply means that it can't be proven that one event precedes (or follows) the other. As an example, in a Coherence application, if two client members mutate two different cache entries sitting on two different cache servers at roughly the same time, it is likely that one update will precede the other by a significant amount of time (say 0.1ms). However, since there is no guarantee that all four members have their clocks perfectly synchronized, and there is no way to precisely measure the time it takes to send a given message between any two members (that have differing clocks), we consider these to be concurrent operations since we can not (easily) prove otherwise. So this leads to a question that we hear quite frequently: "Are the contents of the near cache always synchronized with the underlying distributed cache?". It's easy to see that if an update on a cache server results in a message being sent to each near cache, and then that near cache being updated that there is a window where the contents are different. However, this is irrelevant, since even if the application reads directly from the distributed cache, another thread update the cache before the read is returned to the application. Even if no other member modifies a cache entry prior to the local near cache entry being updated (and subsequently read), the purpose of reading a cache entry is to do something with the result, usually either displaying for consumption by a human, or by updating the entry based on the current state of the entry. In the former case, it's clear that if the data is updated faster than a human can perceive, then there is no problem (and in many cases this can be relaxed even further). For the latter case, the application must assume that the value might potentially be updated before it has a chance to update it. This almost aways the case with read-only caches, and the solution is the traditional optimistic transaction pattern, which requires the application to explicitly state what assumptions it made about the old value of the cache entry. If the application doesn't want to bother stating those assumptions, it is free to lock the cache entry prior to reading it, ensuring that no other threads will mutate the entry, a pessimistic approach. The optimistic approach relies on what is sometimes called a "fuzzy read". In other words, the application assumes that the read should be correct, but it also acknowledges that it might not be. (I use the qualifier "sometimes" because in some writings, "fuzzy read" indicates the situation where the application actually sees an original value and then later sees an updated value within the same transaction -- however, both definitions are roughly equivalent from an application design perspective). If the read is not correct it is called a "stale read". Going back to the definition of concurrency, it may seem difficult to precisely define a stale read, but the practical way of detecting a stale read is that is will cause the encompassing transaction to roll back if it tries to update that value. The pessimistic approach relies on a "coherent read", a guarantee that the value returned is not only the same as the primary copy of that value, but also that it will remain that way. In most cases this can be used interchangeably with "repeatable read" (though that term has additional implications when used in the context of a database system). In none of cases above is it possible for the application to perform a "dirty read". A dirty read occurs when the application reads a piece of data that was never committed. In practice the only way this can occur is with multi-phase updates such as transactions, where a value may be temporarily update but then withdrawn when a transaction is rolled back. If another thread sees that value prior to the rollback, it is a dirty read. If an application uses optimistic transactions, dirty reads will merely result in a lack of forward progress (this is actually one of the main risks of dirty reads -- they can be chained and potentially cause cascading rollbacks). The concepts of dirty reads, fuzzy reads, stale reads and coherent reads are able to describe the vast majority of requirements that we see in the field. However, the important thing is to define the terms used to define requirements. A quick web search for each of the terms in this article will show multiple meanings, so I've selected what are generally the most common variations, but it never hurts to state each definition explicitly if they are critical to the success of a project (many applications have sufficiently loose requirements that precise terminology can be avoided).

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  • Can data classes contain methods for validation?

    - by Arturas M
    OK, say I have a data class for a user: public class User { private String firstName; private String lastName; private long personCode; private Date birthDate; private Gender gender; private String email; private String password; Now let's say I want to validate email, whether names are not empty, whether birth date is in normal range, etc. Can I put that validation method in this class together with data? Or should it be in UserManager which in my case handles the lists of these users?

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  • Data structure for file search

    - by poly
    I've asked this question before and I got a few answers/idea, but I'm not sure how to implement them. I'm building a telecom messaging solution. Currently, I'm using a database to save my transaction/messages for the network stack I've built, and as you know it's slower than using a data structure (hash, linkedlist, etc...). My problem is that the data can be really huge, and it won't fit in the memory. I was thinking of saving the records in a file and the a key and line number in a hash, then if I want to access some record then I can get the line number from the hash, and get it from the file. I don't know how efficient is this; I think the database is doing a way better job than this on my behalf. Please share whatever you have in mind.

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  • Syncing two sheets, while being able to hide different data

    - by Joshua
    I'm pretty new to excel- so please bear with me. I have created a spreadsheet to organize gear by serial numbers and by who has it. This list is getting updated multiple times daily as gear shuffles regularly. I have gear that is assigned and unassigned. On the main sheet I have all the data, the way I want it to be organized. What I'm trying to do is duplicate this sheet, so that both sheets automatically keep the same data at all times, but on the first sheet I can hide all the unassigned gear, and view only the assigned gear, and then be able to narrow it down in groups using the hide function heavily. On the second sheet I want to be able to hide all of the assigned gear, and all the columns of gear that have no unassigned gear. End result will be that as gear is moved between individuals or is unassigned entirely, I make that adjustment on one sheet and the data stays the same on both, but the way I view that same sheet is different on both. If I'm making no sense just let me know and I'll try to explain again more clearly. Thanks

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  • Isolating test data in acceptance tests

    - by Matt Phillips
    I'm looking for guidance on how to keep my acceptance tests isolated. Right now the issue I'm having with being able to run the tests in parallel is the database records that are manipulated in the tests. I've written helpers that take care of doing inserts and deletes before tests are executed, to make sure the state is correct. But now I can't run them in parallel against the same database without uniquely generating the test data fields for each test. For example. Testing creating a row i'll delete everything where column A = foo and column B = bar Then I'll navigate through the UI in the test and create a record with column A = foo and column B = bar. Testing that a duplicate row is not allowed to be created. I'll insert a row with column A = foo and column B = bar and then use the UI to try and do the exact same thing. This will display an error message in the UI as expected. These tests work perfectly when ran separately and serially. But I can't run them at the same time for fear that one will create or delete a record the other is expecting. Any tips on how to structure them better so they can be run in parallel?

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  • Scrambling Sensitive Data in E-Business Suite Release 12 Cloned Environments

    - by Elke Phelps (Oracle Development)
    Securing the Oracle E-Business Suite includes protecting the underlying E-Business data in production and non-production databases.  While steps can be taken to provide a secure configuration to limit EBS access, a better approach to protecting non-production data is simply to scramble (mask) the data in the non-production copy.  You can use the Oracle Data Masking Pack with Oracle Enterprise Manager today to scramble sensitive data in cloned environments. Due to data dependencies, scrambling E-Business Suite data is not a trivial task.  The data needs to be scrubbed in such a way that allows the application to continue to function.  Using the Data Masking Pack in E-Business Suite environments is now easier with the release of new set of templates for E-Business Suite databases: Oracle E-Business Suite Release 12.1.3 Template for Data Masking Pack (Patch13898999) This template works with the Oracle Data Masking Pack and Oracle Enterprise Manager to obscure sensitive E-Business Suite information that is copied from production to non-production environments.  Is there a charge for this? Yes. You must purchase licenses for Oracle Enterprise Manager and the Oracle Data Masking Pack plug-in. The Oracle E-Business Suite 12.1.3 Template for the Data Masking Pack is included with the Oracle Data Masking Pack license.  You can contact your Oracle account manager for more details about licensing. What does data masking do in E-Business Suite environments? Application data masking does the following: De-identify the data:  Scramble identifiers of individuals, also known as personally identifiable information or PII.  Examples include information such as name, account, address, location, and driver's license number. Mask sensitive data:  Mask data that, if associated with personally identifiable information (PII), would cause privacy concerns.  Examples include compensation, health and employment information.   Maintain data validity:  Provide a fully functional application. How can EBS customers use data masking? The Oracle E-Business Suite Template for Data Masking Pack can be used in situations where confidential or regulated data needs to be shared with other non-production users who need access to some of the original data, but not necessarily every table.  Examples of non-production users include internal application developers or external business partners such as offshore testing companies, suppliers or customers.  The Oracle E-Business Suite Template for Data Masking Pack is applied to a non-production environment with the Enterprise Manager Grid Control Data Masking Pack.  When applied, the Oracle E-Business Suite Template for Data Masking Pack will create an irreversibly scrambled version of your production database for development and testing.   References For additional information on the Oracle E-Business Suite Template for Data Masking Pack please refer to the following: Masking Sensitive Data for Non-production Use in the Oracle Enterprise Manager Concepts 11g Using the Oracle E-Business Suite, Release 12.1.3 Template for the Data Masking Pack, Note 1437485.1 Related Articles Webcast Replay Available: E-Business Suite Data Protection Oracle E-Business Suite Plug-in 4.0 Released for OEM 11g (11.1.0.1)

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  • E-Business Suite 12.1.3 Data Masking Certified with Enterprise Manager 12c

    - by Elke Phelps (Oracle Development)
    Following up on our prior announcement for EM 11g, we're pleased to announce the certification of the E-Business Suite 12.1.3 Data Masking Template for the Data Masking Pack with Enterprise Manager Cloud Control 12c. You can use the Oracle Data Masking Pack with Oracle Enterprise Manager Grid Control 12c to scramble sensitive data in cloned E-Business Suite environments.  Due to data dependencies, scrambling E-Business Suite data is not a trivial task.  The data needs to be scrubbed in such a way that allows the application to continue to function.  You may scramble data in E-Business Suite cloned environments with EM12c using the following template: E-Business Suite 12.1.3 Data Masking Template for Data Masking Pack with EM12c (Patch 14407414) What does data masking do in E-Business Suite environments? Application data masking does the following: De-identify the data:  Scramble identifiers of individuals, also known as personally identifiable information or PII.  Examples include information such as name, account, address, location, and driver's license number. Mask sensitive data:  Mask data that, if associated with personally identifiable information (PII), would cause privacy concerns.  Examples include compensation, health and employment information.   Maintain data validity:  Provide a fully functional application. How can EBS customers use data masking? The Oracle E-Business Suite Template for Data Masking Pack can be used in situations where confidential or regulated data needs to be shared with other non-production users who need access to some of the original data, but not necessarily every table.  Examples of non-production users include internal application developers or external business partners such as offshore testing companies, suppliers or customers.  The template works with the Oracle Data Masking Pack and Oracle Enterprise Manager to obscure sensitive E-Business Suite information that is copied from production to non-production environments. The Oracle E-Business Suite Template for Data Masking Pack is applied to a non-production environment with the Enterprise Manager Grid Control Data Masking Pack.  When applied, the Oracle E-Business Suite Template for Data Masking Pack will create an irreversibly scrambled version of your production database for development and testing.  What's new with EM 12c? Some of the execution steps may also be performed with EM Command Line Interface (EM CLI).  Support of EM CLI is a new feature with the E-Business Suite Release 12.1.3 template for EM 12c.  Is there a charge for this? Yes. You must purchase licenses for the Oracle Data Masking Pack plug-in. The Oracle E-Business Suite 12.1.3 Template for the Data Masking Pack is included with the Oracle Data Masking Pack license.  You can contact your Oracle account manager for more details about licensing. References Additional details and requirements are provided in the following My Oracle Support Note: Using Oracle E-Business Suite Release 12.1.3 Template for the Data Masking Pack with Oracle Enterprise Manager 12.1.0.2 Data Masking Tool (Note 1481916.1) Masking Sensitive Data in the Oracle Database Real Application Testing User's Guide 11g Release 2 (11.2) Related Articles Scrambling Sensitive Data in E-Business Suite

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  • Patterns for a tree of persistent data with multiple storage options?

    - by Robin Winslow
    I have a real-world problem which I'll try to abstract into an illustrative example. So imagine I have data objects in a tree, where parent objects can access children, and children can access parents: // Interfaces interface IParent<TChild> { List<TChild> Children; } interface IChild<TParent> { TParent Parent; } // Classes class Top : IParent<Middle> {} class Middle : IParent<Bottom>, IChild<Top> {} class Bottom : IChild<Middle> {} // Usage var top = new Top(); var middles = top.Children; // List<Middle> foreach (var middle in middles) { var bottoms = middle.Children; // List<Bottom> foreach (var bottom in bottoms) { var middle = bottom.Parent; // Access the parent var top = middle.Parent; // Access the grandparent } } All three data objects have properties that are persisted in two data stores (e.g. a database and a web service), and they need to reflect and synchronise with the stores. Some objects only request from the web service, some only write to it. Data Mapper My favourite pattern for data access is Data Mapper, because it completely separates the data objects themselves from the communication with the data store: class TopMapper { public Top FetchById(int id) { var top = new Top(DataStore.TopDataById(id)); top.Children = MiddleMapper.FetchForTop(Top); return Top; } } class MiddleMapper { public Middle FetchById(int id) { var middle = new Middle(DataStore.MiddleDataById(id)); middle.Parent = TopMapper.FetchForMiddle(middle); middle.Children = BottomMapper.FetchForMiddle(bottom); return middle; } } This way I can have one mapper per data store, and build the object from the mapper I want, and then save it back using the mapper I want. There is a circular reference here, but I guess that's not a problem because most languages can just store memory references to the objects, so there won't actually be infinite data. The problem with this is that every time I want to construct a new Top, Middle or Bottom, it needs to build the entire object tree within that object's Parent or Children property, with all the data store requests and memory usage that that entails. And in real life my tree is much bigger than the one represented here, so that's a problem. Requests in the object In this the objects request their Parents and Children themselves: class Middle { private List<Bottom> _children = null; // cache public List<Bottom> Children { get { _children = _children ?? BottomMapper.FetchForMiddle(this); return _children; } set { BottomMapper.UpdateForMiddle(this, value); _children = value; } } } I think this is an example of the repository pattern. Is that correct? This solution seems neat - the data only gets requested from the data store when you need it, and thereafter it's stored in the object if you want to request it again, avoiding a further request. However, I have two different data sources. There's a database, but there's also a web service, and I need to be able to create an object from the web service and save it back to the database and then request it again from the database and update the web service. This also makes me uneasy because the data objects themselves are no longer ignorant of the data source. We've introduced a new dependency, not to mention a circular dependency, making it harder to test. And the objects now mask their communication with the database. Other solutions Are there any other solutions which could take care of the multiple stores problem but also mean that I don't need to build / request all the data every time?

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  • Weird duplicate IE div.

    - by Kyle Sevenoaks
    Here's a weird bug I've found, IE8 is duplicating my div, but only a part of it. How it looks in IE8: And here's how it's meant to look in FF: And the HTML: <div id="roundbigbox"> <p id="pro">Produkter</p> <table id="cart"> <div id="titles"> <div id="thinlinecopy"></div> <div id="varekodetext"> <p>Varekode</p> </div> <div id="produkttext"> <p>Produkt</p> </div> <div id="pristext"> <p>Pris</p> </div> <div id="antalltext"> <p>Antall</p> </div> <div id="pristotaltext"> <p>Pris total</p> </div> <div id="sletttext"> <p>Slett</p></div> <div id="thinline"></div> </div> ...content... <div class="delete"> <a id="slett" href="/order/delete/1329?return=" title="Slett"><!--Slett--></a> </div> </div> CSS for FF: d iv #roundbigbox { background-image:url(../../upload/EW_p_og_L.png); background-position:top center; background-repeat:no-repeat; padding:5px; padding-top:10px; padding-bottom:0px; width:760px; height:1%; border-width:1px; border-color:#dddddd; border-radius:10px; -moz-border-radius:10px; -webkit-border-radius:10px; z-index:1; position:relative; overflow:hidden; margin:0; margin-bottom:10px; } CSS for IE: div #roundbigbox { background-image:url(../../upload/EW_p_og_L.png); background-position:top center; background-repeat:no-repeat; padding:5px; padding-right:50px; padding-top:10px; padding-bottom:-20px; width:760px; height:1%; border-width:1px; border-color:#dddddd; z-index:1; position:relative; overflow:hidden; margin:0; margin-bottom:10px; } What could cause such a weird bug? It's not duplicated in the HTML. I am stumped! Thanks for any responses.

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  • C# - Data Clustering approach

    - by Brett
    Hi all, I am writing a program in C# in which I have a set of 200 points displayed on an image. However, the points tend to cluster in various regions, and I am looking to find a way to "cluster." In other words, maybe draw a circle/ellipse around the clustered points. Has anyone seen any way to do this? I have heard about K-means clustering, but I am not sure how to implement it in C#. Any favorite implementations out there? Cheers, Brett

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  • Finding duplicate files by content across multiple directories

    - by gagneet
    I have downloaded some files from the internet related to a particular topic. Now I wish to check if the files have any duplicates. The issue is that the names of the files would be different, but the content may match. Is there any way to implement some code, which will iterate through the multiple folders and inform which of the files are duplicates?

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  • Log4net duplicate logging entires

    - by user210713
    I recently switched out log4net logging from using config files to being set up programmatically. This has resulted in the nhiberate entries getting repeated 2 or sometimes 3 times. Here's the code. It uses a string which looks something like this "logger1|debug,logger2|info" private void SetupLog4netLoggers() { IAppender appender = GetAppender(); SetupRootLogger(appender); foreach (string logger in Loggers) { CommaStringList parts = new CommaStringList(logger, '|'); if (parts.Count != 2) continue; AddLogger(parts[0], parts[1], appender); } log.Debug("Log4net has been setup"); } private IAppender GetAppender() { RollingFileAppender appender = new RollingFileAppender(); appender.File = LogFile; appender.AppendToFile = true; appender.MaximumFileSize = MaximumFileSize; appender.MaxSizeRollBackups = MaximumBackups; PatternLayout layout = new PatternLayout(PATTERN); layout.ActivateOptions(); appender.Layout = layout; appender.ActivateOptions(); return appender; } private void SetupRootLogger(IAppender appender) { Hierarchy hierarchy = (Hierarchy)LogManager.GetRepository(); hierarchy.Root.RemoveAllAppenders(); hierarchy.Root.AddAppender(appender); hierarchy.Root.Level = GetLevel(RootLevel); hierarchy.Configured = true; log.Debug("Root logger setup, level[" + RootLevel + "]"); } private void AddLogger(string name, string level, IAppender appender) { Logger logger = LogManager.GetRepository().GetLogger(name)as Logger; if (logger == null) return; logger.Level = GetLevel(level); logger.Additivity = false; logger.RemoveAllAppenders(); logger.AddAppender(appender); log.Debug("logger[" + name + "] added, level[" + level + "]"); } And here's an example of what we see in our logs... 2010-05-06 15:50:39,781 [1] DEBUG NHibernate.Impl.SessionImpl - running ISession.Dispose() 2010-05-06 15:50:39,781 [1] DEBUG NHibernate.Impl.SessionImpl - closing session 2010-05-06 15:50:39,781 [1] DEBUG NHibernate.AdoNet.AbstractBatcher - running BatcherImpl.Dispose(true) 2010-05-06 15:50:39,796 [1] DEBUG NHibernate.Impl.SessionImpl - running ISession.Dispose() 2010-05-06 15:50:39,796 [1] DEBUG NHibernate.Impl.SessionImpl - closing session 2010-05-06 15:50:39,796 [1] DEBUG NHibernate.AdoNet.AbstractBatcher - running BatcherImpl.Dispose(true) 2010-05-06 15:50:39,796 [1] DEBUG NHibernate.Impl.SessionImpl - running ISession.Dispose() 2010-05-06 15:50:39,796 [1] DEBUG NHibernate.Impl.SessionImpl - closing session 2010-05-06 15:50:39,796 [1] DEBUG NHibernate.AdoNet.AbstractBatcher - running BatcherImpl.Dispose(true) Any hints welcome.

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  • Linq duplicate removal with a twist

    - by Danthar
    I got a list that contains al the status items of each order. The problem that i have is that i need to remove all the items of which the status - logdate combination is not the highest. e.g var inputs = new List<StatusItem>(); //note that the 3th id is simply a modifier that adds that amount of secs //to the current datetime, to make testing easier inputs.Add(new StatusItem(123, 30, 1)); inputs.Add(new StatusItem(123, 40, 2)); inputs.Add(new StatusItem(123, 50, 3)); inputs.Add(new StatusItem(123, 40, 4)); inputs.Add(new StatusItem(123, 50, 5)); inputs.Add(new StatusItem(100, 20, 6)); inputs.Add(new StatusItem(100, 30, 7)); inputs.Add(new StatusItem(100, 20, 8)); inputs.Add(new StatusItem(100, 30, 9)); inputs.Add(new StatusItem(100, 40, 10)); inputs.Add(new StatusItem(100, 50, 11)); inputs.Add(new StatusItem(100, 40, 12)); var l = from i in inputs group i by i.internalId into cg select from s in cg group s by s.statusId into sg select sg.OrderByDescending(n => n.date).First() ; This creates a list that returnes me the following: order 123 status 30 date 4/9/2010 6:44:21 PM order 123 status 40 date 4/9/2010 6:44:24 PM order 123 status 50 date 4/9/2010 6:44:25 PM order 100 status 20 date 4/9/2010 6:44:28 PM order 100 status 30 date 4/9/2010 6:44:29 PM order 100 status 40 date 4/9/2010 6:44:32 PM order 100 status 50 date 4/9/2010 6:44:31 PM This is ALMOST correct. However that last line which has status 50 needs to be filtered out as well because it was overruled by status 40 in the historylist. U can tell by the fact that its date is lower then the "last" status-item with the status 40. I was hoping someone could give me some pointers because im stuck.

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  • Avoiding Duplicate Data in DB (for use with Rails)

    - by ants
    I have five tables that I am trying to get to work nicely together but may need some help. I have three main tables: accounts members and roles. With two join tables account_members and account_member_roles. The accounts and members table are joined by account_members (fk account_id and member_id) table. The other 2 tables are the problem (roles and account_member_roles). A member of an account can have more than one role and I have the account_member_roles (fk account_member_id and role_id) table joining the account_members join table and the roles table. That seems logical but can you have a relationship with a join table? What I'd like to be able to do is when creaeting an account, for instance, I would like @account.save to include the roles and update the account_member_roles table neatly ..... but through the account_members join table. I've tried ..... accept_nested_attributes_for :members, :account_member_roles in the account.rb but I get ..... ActiveRecord::HasManyThroughCantAssociateThroughHasManyReflection (Cannot modify association 'Account#account_member_roles' because the source reflection class 'AccountMemberRole' is associated to 'AccountMember' via :has_many.) upon trying to save a record. Any advice on how I should approach this? CIA -ants

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  • Create Duplicate Records on SELECT for Calendar Date Range

    - by peterallcdn
    Hey all, I've built a pretty shnazzy calendar system but there is one tweak that I need to make so that I'm completely happy with it. My calendar has three tables: calevents - The calendared event. caldates - The occurrences and date-range of each occurrence for each event. calcats - The categories that can be applied to an event. The short: For each calevent, there can be many caldates, one for each occurrence of calevent. So a calevent that repeats weekly and spans 3 days might have caldates like this: date_id date_eid date_start date_end 2 37 2010-06-21 2010-06-23 3 37 2010-06-28 2010-06-30 7 37 2010-07-05 2010-07-07 9 37 2010-07-12 2010-07-14 What I want to do, is when selecting all the caldates for a specified month such as 2010-06, to return not just the two records above, but instead a record for each date in the range of date_start and date_end for each caldate. So if I searched for 2010-06, I would get: date_id date_eid date_start date_end date_day 2 37 2010-06-21 2010-06-23 2010-06-21 2 37 2010-06-21 2010-06-23 2010-06-22 2 37 2010-06-21 2010-06-23 2010-06-23 3 37 2010-06-28 2010-06-30 2010-06-28 3 37 2010-06-28 2010-06-30 2010-06-29 3 37 2010-06-28 2010-06-30 2010-06-30 The Long: The reason I want to do this, is so when displaying a list of events(calevents) for a specified month, an occurrence(caldates) of that event will be displayed for EACH of the days it spans. I could do this with php by looping through each day of the current month and displaying a copy of each caldate if the month day falls between date_start and date_end. But doing it this way will prevent me from using record pagination if needed. For example, if for a specified month the following caldates were returned: date_id date_eid date_start date_end 2 37 2010-06-21 2010-06-27 94 53 2010-06-09 2010-07-08 Doing record pagination would see this as only 2 records("rows"). But looping through them with PHP would generate 29 "rows". So, I figure if I use mysql to create each row instead of PHP, I can achieve the same thing AND still be able to use pagination if a month has a lot of events/dates. As far as performance goes, I'm not sure which option is more efficient. Both would send the same amount of info to the browser, so it's really only the work required to generate the info that matters. My current query which fetches all the occurrences for a specified month, and to make things just a little more complicated... joins them with their event and category, looks like this: $sql_to_execute = " SELECT date_id, date_eid, date_start, date_end, event_id, event_title, event_category, event_private, event_location, SUBSTRING_INDEX(event_detailsstripped, ' ', 40) AS event_detailsstripped, event_time, event_starttime, event_endtime, event_active, cat_colour FROM ( caldates LEFT JOIN calevents ON caldates.date_eid = calevents.event_id ) LEFT JOIN calcats ON calevents.event_category = calcats.cat_id WHERE date_start <= '".mysql_real_escape_string($dbi_list_end_date)."' AND date_end >= '".mysql_real_escape_string($dbi_list_start_date)."' ".$dbi_category." ORDER BY date_start ASC "; Any help or advice would be greatly appreciated! Thanks, Peter

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