Search Results

Search found 4921 results on 197 pages for 'django transactions'.

Page 171/197 | < Previous Page | 167 168 169 170 171 172 173 174 175 176 177 178  | Next Page >

  • bulk update/delete entities of different kind in db.run_in_transaction

    - by Ray Yun
    Here goes pseudo code of bulk update/delete entities of different kind in single transaction. Note that Album and Song entities have AlbumGroup as root entity. class AlbumGroup: pass class Album: group = db.ReferenceProperty(reference_class=AlbumGroup,collection_name="albums") class Song: album = db.ReferenceProperty(reference_class=Album,collection_name="songs") def bulk_update_album_group(album_group): updated = [album_group] deleted = [] for album in album_group.albums: updated.append(album) for song in album.songs: if song.is_updated: updated.append(song) if song.is_deleted: deleted.append(song) db.put(updated) db.delete(deleted) a = AlbumGroup.all().filter("...").get() # bulk update/delete album group. for simplicity, album cannot be deleted. db.run_in_transaction(bulk_update_album_group,a) But I met a famous "Only Ancestor Queries in Transactions" error at the iterating reference properties like album.songs or album_group.albums. I guess ancestor() filter does not help because those entities are modified in memory. Should I not to iterate reference property in transaction function and always provide them as function parameters like def bulk_update_album_group(updated,deleted): ??? Is there any good coding pattern for this situation?

    Read the article

  • Store database, good pattern for simultaneous access

    - by dygi
    I am kinda new to database designing so i ask for some advices or some kind of a good pattern. The situation is that, there is one database, few tables and many users. How should i design the database, or / and which types of queries should i use, to make it work, if users can interact with the database simultaneously? I mean, they have access to and can change the same set of data. I was thinking about transactions, but I am not sure, if that is the right / good / the only solution. I will appreciate some google keywords too.

    Read the article

  • JDO Exception in google app engine transaction

    - by Mariselvam
    I am getting the following exception while trying to use transation in app engine datastore. javax.jdo.JDOUserException: Transaction is still active. You should always close your transactions correctly using commit() or rollback(). FailedObject:org.datanucleus.store.appengine.jdo.DatastoreJDOPersistenceManager@12bbe6b at org.datanucleus.jdo.JDOPersistenceManager.close(JDOPersistenceManager.java:277) The following is the code snippet I used : List<String> friendIds = getFriends(userId); Date currentDate = new Date(); PersistenceManager manager = pmfInstance.getPersistenceManager(); try { Transaction trans = manager.currentTransaction(); trans.begin(); for(String friendId : friendIds) { User user = manager.getObjectById(User.class, friendId); if(user != null) { user.setRecoCount(user.getRecoCount() + 1); user.setUpdatedDate(currentDate); manager.makePersistent(user); } } trans.commit(); } finally { manager.close(); }

    Read the article

  • Choosing between assembler and COBOL

    - by Azares Cob
    I have to rewrite and greatly modify parts of a legacy COBOL application. The COBOL source-code is available (around 100.000 lines of copy & pasted code mixed with GOTOs). Some more details on the system: It is a general management system controlling transactions, bank management, customer data and employees of the company I work for. The COBOL-powered database is about 4 Terabytes distributed over 50 old HDDs. (But messing around with them is the sysadmins job) They are using COBOL85 only. Now I have two options: Rewrite and refactor 50% of the old COBOL system, or use X86 assembly. Should I use X86 assembler or COBOL?

    Read the article

  • Crystal report loop

    - by CrystalLearn
    Hi All Master, I have a running total and would like to stop it when condition is match. Eg :- I have STOCK qty 100pcs ; qty are accumulate from Purchase Order Receiving transactions as below : No. Qty Accumulate 1. 20 20 2. 30 50 3. 10 60 4. 40 100 5. 20 120 The running total should stop at no.4, because it have reach the STOCK qty 100. Thanks in advance.

    Read the article

  • Spring + Hibernate session management

    - by toc777
    I have been reading about using Spring with Hibernate and I am really confused about session management. Hopefully someone can clear a few things up for me, First of all I have no idea how sessions are managed when using HibernateTemplate. Is a session opened and closed when you call a method Eg Save() on the template? When you use the find() method, are detached objects returned? I have read the Spring section on transactions but it mostly talks about handling exceptions. I was hoping to find some way of binding a hibernate session to a Spring transaction so that I can commit changes to hibernate objects when the transaction finishes. Is there a way to achieve this?

    Read the article

  • Inserting asyncronously into Oracle, any benefits?

    - by Karl Trumstedt
    I am using ODP.NET for loading data into Oracle. I am bulking inserts into groups of a 1000 rows each call. Is there any performance benefits in calling my load method asynchronously? So say I want to insert 10000 rows, instead of making 10 calls synchronously I make 10 calls asynchronously. My database is using ASSM right now but otherwise plenty of freelists are used of course. The database server has several cores as well. My initial tests seem to point to a performance increase, but maybe there is something I cannot see? Potential deadlock or contention issues? Of course, there is added complexity in handling transactions and such doing my load this way.

    Read the article

  • SSRS Issue: Rounding to nearest .25

    - by D.R.
    I have an SSRS (2008) report that takes in a raw transactions, then groups and totals them. At the "Total" level, I would like to round the final numbers to the nearest .25, however I cannot find a method to do this. According to what I've read, the Round() function in SSRS only rounds to integers. I have found a couple ways to do it in SQL, but the problem is, I want to do all the calculations with the REAL numbers and just round the result so that I don't introduce a significant amount of error from the real numbers. Here's the best SQL solution I could find: dec(round(number * 4, 0)/4,11,2) as Nearest_Qtr Anyone know how I could do the equivalent in the actual SSRS report? Thanks in advance for the help!

    Read the article

  • PHP MYSQL query result "RANKING"

    - by fkessler
    Hi, I need to get a list of users Ranking by points and from my command line (MySQL) is was able to generate the necessary code: SET @rank=0; SELECT rank, iduser, pontos FROM ( SELECT @rank:=@rank+1 AS rank, SUM(points.points) AS pontos, points.iduser, users.name, users.idade FROM points INNER JOIN users ON (points.iduser = users.id) WHERE (users.idade >= %s) AND (users.idade <= %s) GROUP BY points.iduser ORDER BY pontos DESC) AS totals WHERE iduser = %s The problem is that I need this to run on AMFPHP and I´ve tested it in a test PHP file and seems that I can´t use the SET and SELECT in the same "mysql_query". I´ve looked and some used to mysql_query to do this (I´ve tested it and it works), but can I trust this to be effective and error free? Does it work like in MySQL transactions or setting the @rank in a seperated query may cause unexpected results?

    Read the article

  • how do i release the auto increment serial nos that are missing

    - by mmdel
    i have a table with auto increment field and i am using transactions when inserting new data. now i find there are a few serial nos that are missing. suppose the last serial no was 475, now when i insert new row, the serial allotted to it is 481. how do i correct this. table_A fields ID(Auto increment),Name,Address table_B fields ID(Auto increment FK TO table_A ID),Tel,Fax,Email,Salesman table_C fields ID(Auto increment FK TO table_A ID),monthly_commitment mysql_query(BEGIN); $a = mysql_query("INSERT INTO table_A VALUES('','name','address')"); $b = mysql_query("INSERT INTO table_B VALUES('','tel','fax','email','salesman')"); $b = mysql_query("INSERT INTO table_C VALUES('','monthly commitment')"); if(($a) && ($b) && ($c)){mysql_query("COMMIT");} else {mysql_query("ROLLBACK");}

    Read the article

  • iPhone Developer account with someone elses credit card

    - by HappYCrappY
    Hi I wanted to enroll in Apples iPhone developer program the problem is I myself don't own a credit card is it Ok if I use some one else's credit card to sign up... I mean will Apple pay the guy whose credit card I have used or can I specify my Account details for any future transactions & just use this credit card for paying Apple. (& yes I cannot get a credit card, I am currently jobless never ever had a credit card before in my life & credit card companies are very skeptical to give me one.) Thank you

    Read the article

  • How can I seperate my TransactionScope so they don't interfere with each other?

    - by shenku
    I have some business logic that executes within a simple TransactionScope. using (var scope = new TransactionScope()) { // does some logic. // then some more... scope.Complete(); } During execution an ado exception ocurres and the transaction is on it's way to being disposed. In the mean time the exception is captured further upstream, and I try to log it to my database, via another connection. At this point I get another error saying The operation is not valid for the state of the transaction. Eeek! Now I can see I am able to use IsolationLevel, to change the way my transactions interact, but is this the right thing to do? And which should I use?

    Read the article

  • Find similar or "like" text and replace it with other in excel

    - by andreas
    Does anyone know how i can find similar descriptions in excel and replace them with 1 other description is there a wild card? i am. trying to make a pivot chart with a list of transactions and their descriptions and i want to group all my ATM withdrwls but i cant. On the pivot chart they appear as ATM Withdrwal-REF-1234 and each of these "withdrwls" have different reference and as a result they show up as individual items on the chart...how can i group say all my ATM withdrwals as 1 ATM Withrdawl item so that it shows a 1 atm withdrwl item on my pivot chart?

    Read the article

  • Microsoft Access - Enter Parameter Value why?

    - by Jane Doe
    I am encountering a problem for my database. Here is the relationships of the database And tried to do the query for how many transactions have movie "Harry_Potter"? so I used SQL query: SELECT COUNT(td.movie) AS number_of_occurrence, td.transaction_number FROM TransactionDetails td, MovieDetails md WHERE md.movie = Harry_Potter But it asks for Harry_Potter enter parameter value why? The relevant SQL statements are CREATE TABLE TransactionDetails ( transaction_number INTEGER PRIMARY KEY, movie VARCHAR(30) NOT NULL, date_of_transaction DATE NOT NULL, member_number INTEGER NOT NULL ) CREATE TABLE MovieDetails ( movie VARCHAR(30) PRIMARY KEY, movie_type VARCHAR(3) NOT NULL, movie_genre VARCHAR(10) NOT NULL ) ALTER TABLE TransactionDetails ADD CONSTRAINT member_number_fk FOREIGN KEY (member_number) REFERENCES LimelightMemberDetails(member_number); ALTER TABLE TransactionDetails ADD CONSTRAINT transaction_number_drink_fk FOREIGN KEY (transaction_number) REFERENCES DrinkTransactionDetails(transaction_number); ALTER TABLE TransactionDetails ADD CONSTRAINT transaction_number_food_fk FOREIGN KEY (transaction_number) REFERENCES FoodTransactionDetails(transaction_number); ALTER TABLE TransactionDetails ADD CONSTRAINT movie_fk FOREIGN KEY (movie) REFERENCES MovieDetails (movie); Thank you for your help! If there is anything wrong with my database design please let me know! thank you!

    Read the article

  • Why is checking in files called a 'commit'?

    - by Kjetil Klaussen
    The act of checking in files in a source control repository like git, mercurial or svn, is called a commit. Does anyone know the reason behind calling it a commit instead of just check in? English is not my mother tongue, so it might be some linguistic I don't quite get her, but what I'm I actually commiting to? (Hopefully I'm not commiting a crime, but you'll never know.) Is it in the meaning of "to consign for preservation"? Is it related to transactions (commit at the end of a transaction)?

    Read the article

  • Sharepoint lockout

    - by user301751
    Recently a guy from our 3rd line team thought it would be funny to delete my account from AD. This has now been re-added. Everything is back to normal apart from my Access to Sharepoint sites. I am getting "The file exists. (Exception from HRESULT: 0x80070050)" Error on all sites. After some googleing I came across a guy with the same issue and it was an issue with the SID being different from my old account. Since this I deleted my account from Site Administrators and re-added. This would refresh the SID with the new one. I also check on the Content database that the site ID matched using the following transactions and the SIDs match. select s.Id, w.FullUrl from Sites s inner join Webs w on s.RootWebId = w.Id select * from UserInfo where tp_Login='domain\username' and tp_SiteID='' I am now a bit clueless.

    Read the article

  • Stored Procedure - forcing execution order

    - by meepmeep
    I have a stored procedure that itself calls a list of other stored procedures in order: CREATE PROCEDURE [dbo].[prSuperProc] AS BEGIN EXEC [dbo].[prProc1] EXEC [dbo].[prProc2] EXEC [dbo].[prProc3] --etc END However, I sometimes have some strange results in my tables, generated by prProc2, which is dependent on the results generated by prProc1. If I manually execute prProc1, prProc2, prProc3 in order then everything is fine. It appears that when I run the top-level procedure, that Proc2 is being executed before Proc1 has completed and committed its results to the db. It doesn't always go wrong, but it seems to go wrong when Proc1 has a long execution time (in this case ~10s). How do I alter prSuperProc such that each procedure only executes once the preceding procedure has completed and committed? Transactions?

    Read the article

  • Persistent SQL Table lock from C#

    - by Chris
    I'm trying to create a persistent SQL (SQL Server 2005) lock on a table level. I'm not updating/querying the specified table, but I need to prevent a third party application from updating the locked table as a means to prevent transactions from being posted (the table I wish to lock is the key on their transaction that interferes with my processing). From my experience the table is only locked for the time a specific transaction is taking place. Any ideas? The 3rd party developer has logged this feature as an enhancement, but since they are in the middle of rolling out a major release I can expect to wait at least 6 months for this. I know that this isn't a great solution, since their software will fall over but it is of a critical enough nature that we're willing to live with the consequences.

    Read the article

  • Sum up values in SQL once all values are available

    - by James Brown
    I have events flowing into a MySQL database and I need to group and sum the events to transactions and store away into another table. The data looks like: +----+---------+------+-------+ | id | transid | code | value | +----+---------+------+-------+ | 1 | 1 | b | 12 | | 2 | 1 | i | 23 | | 3 | 2 | b | 34 | | 4 | 1 | e | 45 | | 5 | 3 | b | 56 | | 6 | 2 | i | 67 | | 7 | 2 | e | 78 | | 8 | 3 | i | 89 | | 9 | 3 | i | 90 | +----+---------+------+-------+ The events arrive in batches and I would like to create the transaction by summing up the values for each transid, like: select transid, sum(value) from eventtable group by transid; but only after all the events for that transid have arrived. That is determined by the event with the code e (b for the beginning, e for the end and i for varying amount of intermediates). Being a novice in SQL, how could I implement the requirement for the existance of the end code before the summing?

    Read the article

  • Two DomainContext or data sources with WCF RIA - Silverlight page

    - by Mayur Kotlikar
    I am writting a Silverlight Business Application with WCF RIA link. I have 2 databases on same SQL server, Public and Private. The Public database contains a table which is mostly for public access level, like "user" table which has basic user information The Private database contains a table which has "private" information, user bank transactions etc I created 2 ADO.Net entity models, one each for Private and Public database and selected the tables. I also created 2 different domain context services On on Silverlight page, I need to get information from the tables that are across 2 databases, Private and Public as described above. How do I achieve this? I am thinking of some kind of a wrapper that internally gets data from domain services. Whats the best approach?

    Read the article

  • Cross domain secure cookie usage?

    - by asdasda
    I have a website that came with a SSL site for HTTPS but its on a different server. Example being my website: http://example.com my SSL site: http://myhostingcompany.com/~myuseraccount/ So I can do transactions over HTTPS and we have user accounts and everything but it is located on a different domain. The cookie domain is set for that one. Is there a way I can check on my actual site to see if a cookie is set for the other one? And possibly grab its data and auth a user? I think this violates a major principle of security and can't be done for good reasons, but am i wrong? is this possible?

    Read the article

  • Replace Spring.Net IoC with another Container (e.g. Ninject)

    - by Jeffrey Cameron
    Hey all, I'm curious to know if it's possible to replace Spring.Net's built-in IoC container with Ninject. We use Ninject on my team for IoC in our other projects so I would like to continue using that container if possible. Is this possible? Has anyone written a Ninject-Spring.Net Adapter?? Edit I like many parts of the Spring.Net package (the data access, transactions, etc.) but I don't really like the dependency injection container. I would like to replace that with Ninject Thanks

    Read the article

  • Azure Service Bus Scalability

    - by phebbar
    I am trying to understand how can I make Azure Service Bus Topic to be scaleable to handle 10,000 requests/second from more than 50 different clients. I found this article at Microsoft - http://msdn.microsoft.com/en-us/library/windowsazure/hh528527.aspx. This provides lot of good input to scale azure service bus like creating multiple message factories, sending and receiving asynchronously, doing batch send/receive. But all these input are from the publisher and subscriber client perspective. What if the node running the Topic can not handle the huge number of transactions? How do I monitor that? How do I have the Topic running on multiple nodes? Any input on that would be helpful. Also wondering if any one has done any capacity testing with Topic/Queue and I am eager to see those results... Thanks, Prasanna

    Read the article

  • MySQL storage engine dilemma

    - by burntblark
    There are two MySQL database features that I want to use in my application. The first is FULL-TEXT-SEARCH and TRANSACTIONS. Now, the dilemma here is that I cannot get this feature in one storage engine. It's either I use MyIsam (which has the FULL-TEXT-SEARCH feature) or I use InnoDB (which supports the TRANSACTION feature). I can't have both. My question is, is there anyway I can have both features in my application before I am forced to make a choice between the two storage engines.

    Read the article

  • When should one let an application crash because of an exception in Java (design issue)?

    - by JVerstry
    In most cases, it is possible to catch exceptions in Java, even unchecked ones. But, it is not necessarily possible to do something about it (for example out of memory). For other cases, the issue I am trying to solve is a design principle one. I am trying to set-up a design principle or a set of rules indicating when one should give up on an exceptional situation, even if it is detected in time. The objective is trying to not crash the application as much as possible. Has someone already brainstormed and communicated about this? I am looking for specific generic cases and possible solutions, or thumb-rules. UPDATE Suggestions so far: Stop running if data coherency can be compromised Stop running if data can be deleted Stop running if you can't do anything about it (Out of memory...) Stop running if key service is not available or becomes unavailable and cannot be restarted If application must be stopped, degrade as gracefully as possible Use rollbacks in db transactions Log as much relevant information as you can Notify the developers

    Read the article

< Previous Page | 167 168 169 170 171 172 173 174 175 176 177 178  | Next Page >