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  • Problems with utf-8 encoding in php

    - by Addsy
    Hi, Another utf-8 related problem I believe... I am using php to update data in a mysql db then display that data elsewhere in the site. Previously I have run into utf-8 problems before where special characters are displayed as question marks when viewed in a browser but this one seems slightly different. I have a number of records to enter that contain the è character. If I enter this directly in the db then it appears correctly on the page so I take this to mean that utf-8 content is being output correctly. However when I try and update the values in the db through php, then the è character is replaced. What appears instead is & Atilde ; & uml ; (without the spaces) which appears in the browser as è I have the tables in the database set to use UTF-8. I believe this is correct cos, as mentioned, if I update the db through phpMyAdmin, its all ok. Similarly I have set the character encoding for the page which seems to be correct. I am also running the sql statement "SET NAMES 'utf8';" before trying to update the db. Anyone have any other ideas as to where the problem may lie? Many thanks

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  • SQL UNION ALL problem after using UNION ALL more than 10 times

    - by VBGKM
    I'm getting a formatting problem if I use more than 10 UNION ALL statements in my VBA Code. If I use 10 or less everything works great. What I'm trying to do is combine 12 worksheets (Excel 2007). I have a numerical column called SC that turns into string and date if I have more than 10 UNION ALL. If I try to use ROUND with more than 10 UNION ALL my last selection will change all the records by one unit. I'm using Microsoft.ACE.OLEDB.12.0 as my provider and my connection string has worked for several things in my code so far. Is there any limit for UNION ALL statements when using OLEDB? Here is my code. Dim StrOr As String Dim i As Variant Dim Cnt As ADODB.Connection Dim Rs As ADODB.Recordset For i = 1 To 12 StrOr = StrOr & " " & "SELECT SC FROM [" & MonthName(i, True) & "$" & "] UNION ALL" Next StrOr = Left(StrOr, Len(StrOr) - 9) & ";" Call GetADOCnt Call ADORs

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  • mysql to excel generation using php

    - by pmms
    <?php // DB Connection here mysql_connect("localhost","root",""); mysql_select_db("hitnrunf_db"); $select = "SELECT * FROM jos_users "; $export = mysql_query ( $select ) or die ( "Sql error : " . mysql_error( ) ); $fields = mysql_num_fields ( $export ); for ( $i = 0; $i < $fields; $i++ ) { $header .= mysql_field_name( $export , $i ) . "\t"; } while( $row = mysql_fetch_row( $export ) ) { $line = ''; foreach( $row as $value ) { if ( ( !isset( $value ) ) || ( $value == "" ) ) { $value = "\t"; } else { $value = str_replace( '"' , '""' , $value ); $value = '"' . $value . '"' . "\t"; } $line .= $value; } $data .= trim( $line ) . "\n"; } $data = str_replace( "\r" , "" , $data ); if ( $data == "" ) { $data = "\n(0) Records Found!\n"; } header("Content-type: application/octet-stream"); header("Content-Disposition: attachment; filename=your_desired_name.xls"); header("Pragma: no-cache"); header("Expires: 0"); print "$header\n$data"; ?> The code above is used for generating an Excel spreadsheet from a MySQL database, but we are getting following error: The file you are trying to open, 'users.xls', is in a different format than specified by the file extension. Verify that the file is not corrupted and is from a trusted source before opening the file. Do you want to open the file now? What is the problem and how do we fix it?

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  • .NET threading solution for long queries

    - by Eddie
    Senerio We have an application that records incidents. An external database needs to be queried when an incident is approved by a supervisor. The queries to this external database are sometimes taking a while to run. This lag is experienced through the browser. Possible Solution I want to use threading to eliminate the simulated hang to the browser. I have used the Thread class before and heard about ThreadPool. But, I just found BackgroundWorker in this post. MSDN states: The BackgroundWorker class allows you to run an operation on a separate, dedicated thread. Time-consuming operations like downloads and database transactions can cause your user interface (UI) to seem as though it has stopped responding while they are running. When you want a responsive UI and you are faced with long delays associated with such operations, the BackgroundWorker class provides a convenient solution. Is BackgroundWorker the way to go when handling long running queries? What happens when 2 or more BackgroundWorker processes are ran simultaneously? Is it handled like a pool?

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  • how do i execute a stored procedure with vici coolstorage?

    - by lincolnk
    I'm building an app around Vici Coolstorage (asp.net version). I have my classes created and mapped to my database tables and can pull a list of all records fine. I've written a stored procedure where the query jumps across databases that aren't mapped with Coolstorage, however, the fields in the query result map directly to one of my classes. The procedure takes 1 parameter. so 2 questions here: how do i execute the stored procedure? i'm doing this CSParameterCollection collection = new CSParameterCollection(); collection.Add("@id", id); var result = Vici.CoolStorage.CSDatabase.RunQuery("procedurename", collection); and getting the exception "Incorrect syntax near 'procedurename'." (i'm guessing this is because it's trying to execute it as text rather than a procedure?) and also, since the class representing my table is defined as abstract, how do i specify that result should create a list of MyTable objects instead of generic or dynamic or whatever objects? if i try Vici.CoolStorage.CSDatabase.RunQuery<MyTable>(...) the compiler yells at me for it being an abstract class.

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  • How do I define a Calculated Measure in MDX based on a Dimension Attribute?

    - by ShaneD
    I would like to create a calculated measure that sums up only a specific subset of records in my fact table based on a dimension attribute. Given: Dimension Date LedgerLineItem {Charge, Payment, Write-Off, Copay, Credit} Measures LedgerAmount Relationships * LedgerLineItem is a degenerate dimension of FactLedger If I break down LedgerAmount by LedgerLineItem.Type I can easily see how much is charged, paid, credit, etc, but when I do not break it down by LedgerLineItem.Type I cannot easily add the credit, paid, credit, etc into a pivot table. I would like to create separate calculated measures that sum only specific type (or multiple types) of ledger facts. An example of the desired output would be: | Year | Charged | Total Paid | Amount - Ledger | | 2008 | $1000 | $600 | -$400 | | 2009 | $2000 | $1500 | -$500 | | Total | $3000 | $2100 | -$900 | I have tried to create the calculated measure a couple of ways and each one works in some circumstances but not in others. Now before anyone says do this in ETL, I have already done it in ETL and it works just fine. What I am trying to do as part of learning to understand MDX better is to figure out how to duplicate what I have done in the ETL in MDX as so far I am unable to do that. Here are two attempts I have made and the problems with them. This works only when ledger type is in the pivot table. It returns the correct amount of the ledger entries (although in this case it is identical to [amount - ledger] but when I try to remove type and just get the sum of all ledger entries it returns unknown. CASE WHEN ([Ledger].[Type].currentMember = [Ledger].[Type].&[Credit]) OR ([Ledger].[Type].currentMember = [Ledger].[Type].&[Paid]) OR ([Ledger].[Type].currentMember = [Ledger].[Type].&[Held Money: Copay]) THEN [Measures].[Amount - ledger] ELSE 0 END This works only when ledger type is not in the pivot table. It always returns the total payment amount, which is incorrect when I am slicing by type as I would only expect to see the credit portion under credit, the paid portion, under paid, $0 under charge, etc. sum({([Ledger].[Type].&[Credit]), ([Ledger].[Type].&[Paid]), ([Ledger].[Type].&[Held Money: Copay])}, [Measures].[Amount - ledger]) Is there any way to make this return the correct numbers regardless of whether Ledger.Type is included in my pivot table or not?

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  • How would I structure the loop to go through inputs?

    - by dmanexe
    I am attempting to make a loop that will go through an array structured like this: $input[n][checked] $input[n][input] The 2nd input acts as a price multiplier, but doesn't have to exist (field can be blank). I don't think a foreach loop is right because I don't think it handles the inputs from the form in the correct dimensional array order to keep the information together. I have inputs on a form that look like this: <input type="checkbox" name="measure[<?php echo $item->id; ?>][checked]" value="<?php echo $item->id; ?>"> <input class="item_mult" type="text" name="measure[<?php echo $item->id; ?>][input]" /> I am attempting to make the loop go through and act as a multiplier on the input relative to its sibling field. (i.e. input[1][input] would be an integer that I want to retrieve later, grouped with input[1][checked]) <? $field = $this->input->post('measure',true); $totals = array(); foreach($field as $value): if ($value['input'] == TRUE) { $query = $this->db->get_where('items', array('id' => $value['input']))->row(); $totals[] = $query->price; ?> <p><?=$query->name?> - <?=money_format('%(#10n', $query->price)?></p> <?php } else { } endforeach; ?> And finally, the last code to array_sum and print the grand total: <? $grand_total = array_sum($totals); ?> <p><?=money_format('%(#10n', $grand_total)?></p> Eventually, I will need to store these records in a database, so I am sending complete item IDs through, etc.

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  • Which Code Should Go Where in MVC Structure

    - by Oguz
    My problem is in somewhere between model and controller.Everything works perfect for me when I use MVC just for crud (create, read, update, delete).I have separate models for each database table .I access these models from controller , to crud them . For example , in contacts application,I have actions (create, read, update, delete) in controller(contact) to use model's (contact) methods (create, read, update, delete). The problem starts when I try to do something more complicated. There are some complex processes which I do not know where should I put them. For example , in registering user process. I can not just finish this process in user model because , I have to use other models too (sending mails , creating other records for user via other models) and do lots of complex validations via other models. For example , in some complex searching processes , I have to access lots of models (articles, videos, images etc.) Or, sometimes , I have to use apis to decide what I will do next or which database model I will use to record data So where is the place to do this complicated processes. I do not want to do them in controllers , Because sometimes I should use these processes in other controllers too. And I do not want to put these process in models because , I use models as database access layers .May be I am wrong,I want to know . Thank you for your answer .

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  • How to record different authentication types (username / password vs token based) in audit log

    - by RM
    I have two types of users for my system, normal human users with a username / password, and delegation authorized accounts through OAuth (i.e. using a token identifier). The information that is stored for each is quite different, and are managed by different subsytems. They do however interact with the same tables / data within the system, so I need to maintain the audit trail regardless of whether human user, or token-based user modified the data. My solution at the moment is to have a table called something like AuditableIdentity, and then have the two types inheriting off that table (either in the single table, or as two seperate tables with 1 to 1 PK with AuditableIdentity. All operations would use the common AuditableIdentity PK for CreatedBy, ModifiedBy etc columns. There isn't any FK constraint on the audit columns, so any text can go in there, but I want an easy way to easily determine whether it was a human or system that made the change, and joining to the one AuditableIdentity table seems like a clean way to do that? Is there a best practice for this scenario? Is this an appropriate way of approaching the problem - or would you not bother with the common table and just rely on joins (to the two seperate un-related user / token tables) later to determine which user type matches which audit records?

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  • What do these .NET auto-generated table adapter commands do? e.g. UPDATE/INSERT followed by a SELECT

    - by RickL
    I'm working with a legacy application which I'm trying to change so that it can work with SQL CE, whilst it was originally written against SQL Server. The problem I am getting now is that when I try to do dataAdapter.Update, SQL CE complains that it is not expecting the SELECT keyword in the command text. I believe this is because SQL CE does not support batch SELECT statements. The auto-generated table adapter command looks like this... this._adapter.InsertCommand.CommandText = @"INSERT INTO [Table] ([Field1], [Field2]) VALUES (@Value1, @Value2); SELECT Field1, Field2 FROM Table WHERE (Field1 = @Value1)"; What is it doing? It looks like it is inserting new records from the datatable into the database, and then reading that record back from the database into the datatable? What's the point of that? Can I just go through the code and remove all these SELECT statements? Or is there an easier way to solve my problem of wanting to use these data adapters with SQL CE? I cannot regenerate these table adapters, as the people who knew how to have long since left.

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  • How to transfer value from a DropDownList to a property of a serialized model object

    - by Richard77
    Hello, I'm testing some concepts in ASP.NET MVC multisteps (Style Wizards) with a small application which allow me to records organizations in a database. To make things easier, I've a class OrganizationFormModelView that contains an object of class Organization and a property called ParentOrgList of SelectList type. The only purpose of the selectList property is to be used by a DropDownList. I've also serialize OrganizationFormModelView to get the multisteps Wizard effect. In my first view (or first step), I use a dropdownlist helper to assign a value to one of the the Organization's property called ParentOrganization, which draws data from the ParentOrgList. ... <% = Html.DropDownList("Organization.ParentOrganization", Model.ParentOrgList)%> ... The first time the page loads, I'm able to make a choice. And, my choice is reflected in my object Model all along the wizard' steps(see Visual studio in debugging mode). But, when any time I'm redirected back to the first view (first step), I get the following error message: "The ViewData item with the key 'Organization.ParentOrganization' is of type 'System.String' but needs to be of type 'IEnumerable'." Thanks for helping

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  • add row to a BindingSource gives different autoincrement value from whats saved into DB

    - by Ruben Trancoso
    I have a DataGridView that shows list of records and when I hit a insert button, a form should add a new record, edit its values and save it. I have a BindingSource bound to a DataGridView. I pass is as a parameter to a NEW RECORD form so // When the form opens it add a new row and de DataGridView display this new record at this time DataRowView currentRow; currentRow = (DataRowView) myBindindSource.AddNew(); when user confirm to save it I do a myBindindSource.EndEdit(); // inside the form and after the form is disposed the new row is saved and the bindingsorce position is updated to the new row DataRowView drv = myForm.CurrentRow; avaliadoTableAdapter.Update(drv.Row); avaliadoBindingSource.Position = avaliadoBindingSource.Find("ID", drv.Row.ItemArray[0]); The problem is that this table has a AUTOINCREMENT field and the value saved may not correspond the the value the bindingSource gives in EDIT TIME. So, when I close and open the DataGridView again the new rowd give its ID based on the available slot in the undelying DB at the momment is was saved and it just ignores the value the BindingSource generated ad EDIT TIME, Since the value given by the binding source should be used by another table as a foreingKey it make the reference insconsistent. There's a way to get the real ID was saved to the database?

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  • mysql: Average over multiple columns in one row, ignoring nulls

    - by Sai Emrys
    I have a large table (of sites) with several numeric columns - say a through f. (These are site rankings from different organizations, like alexa, google, quantcast, etc. Each has a different range and format; they're straight dumps from the outside DBs.) For many of the records, one or more of these columns is null, because the outside DB doesn't have data for it. They all cover different subsets of my DB. I want column t to be their weighted average (each of a..f have static weights which I assign), ignoring null values (which can occur in any of them), except being null if they're all null. I would prefer to do this with a simple SQL calculation, rather than doing it in app code or using some huge ugly nested if block to handle every permutation of nulls. (Given that I have an increasing number of columns to average over as I add in more outside DB sources, this would be exponentially more ugly and bug-prone.) I'd use AVG but that's only for group by, and this is w/in one record. The data is semantically nullable, and I don't want to average in some "average" value in place of the nulls; I want to only be counting the columns for which data is there. Is there a good way to do this? Ideally, what I want is something like UPDATE sites SET t = AVG(a*a_weight,b*b_weight,...) where any null values are just ignored and no grouping is happening.

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  • CakePHP - hasMany not fetching?

    - by Paolo Bergantino
    Maybe I am just having a slow day, but for the life of me I can't figure out why this is happening. I haven't done CakePHP in a while and I am trying to use the 1.3 version, but this doesn't seem to be working... I have two models: area.php <?php class Area extends AppModel { var $name = 'Area'; var $useTable = 'OR_AREA'; var $primaryKey = 'A_ID'; var $belongsTo = array( 'Building' => array( 'className' => 'Building', 'foreignKey' => 'FK_B_ID', ), 'Facility' => array( 'className' => 'Facility', 'foreignKey' => 'FK_F_ID', ), 'System' => array( 'className' => 'System', 'foreignKey' => 'FK_S_ID', ) ); } ?> building.php <?php class Building extends AppModel { var $name = 'Building'; var $useTable = 'OR_BLDG'; var $primaryKey = 'B_ID'; var $hasMany = array( 'Area' => array( 'className' => 'Area', 'foreignKey' => 'FK_B_ID', ) ); } ?> OR_AREA has a column titled FK_B_ID that refers to the B_ID. If I run something like: $this->Building->find('all', array('recursive' => 2)); I get empty [Area] arrays for all the Buildings even though there are plenty of Areas in the OR_AREA table that are associated to buildings. Not only that, the Query Table doesn't even show CakePHP attempted to find anything but all the records in OR_BLDG. All the more puzzling, if I do: $this->Area->find('all'); I get all the Areas and the [Building] arrays are populated when appropriate. What am I missing?

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  • C#.NET DataGridView - update database

    - by Geo Ego
    I know this is a basic function of the DataGridView, but for some reason, I just can't get it to work. I just want the DataGridView on my Windows form to submit any changes made to it to the database when the user clicks the "Save" button. On form load, I populate the DataGridView and that's working fine. In my save function, I basically have the following (I've trimmed out some of the code around it to get to the point): using (SqlDataAdapter ruleTableDA = new SqlDataAdapter("SELECT rule.fldFluteType AS [Flute], rule.fldKnife AS [Knife], rule.fldScore AS [Score], rule.fldLowKnife AS [Low Knife], rule.fldMatrixScore AS [Matrix Score], rule.fldMatrix AS [Matrix] FROM dbo.tblRuleTypes rule WHERE rule.fldMachine_ID = '1003'", con)) { SqlCommandBuilder commandBuilder = new SqlCommandBuilder(ruleTableDA); DataTable dt = new DataTable(); dt = RuleTable.DataSource as DataTable; ruleTableDA.Fill(dt); ruleTableDA.Update(dt); } Okay, so I edited the code to do the following: build the commands, create a DataTable based on the DataGridView (RuleTable), fill the DataAdapter with the DataTable, and update the database. Now ruleTableDA.Update(dt) is throwing the exception "Concurrency violation: the UpdateCommand affected 0 of the expected 1 records." Thanks very much!

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  • How do I exclude data from local table schema_migrations from being pushed to Heroku DB?

    - by Thierry Lam
    I was able to push my Ruby on Rails app with MySQL(local dev) to the Heroku server along with migrating my model with the command heroku rake db:migrate. I have also read the documentation on Database Import/Export. Is that doc referring to pushing actual data from my local dev DB to whichever Heroku's DB? Do I need to modify anything in the file database.yml to make it happen? I ran the following command: heroku db:push and I am getting the error: Sending data 2 tables, 3 records !!! Caught Server Exception | ETA: --:--:-- Taps Server Error: PGError ERROR: duplicate key value violates unique constraint "unique_schema_migrations" I have 2 tables, one I create for my app and the other schema_migrations. The total number of entries among the 2 tables is 3. I'm also printing the number of entries I have in the table I have created and it's showing 0. Any ideas what I might be missing or what I am doing wrong? EDIT: I figured out the above, Heroku's DB already have schema_migrations the moment I ran migrate. New question: Does anyone know how I can exclude data from a specific table from being pushed to Heroku DB. The table to exclude in this case will be schema_migrations. Not so good solution: I googled around and someone else was having the same issue. He suggested naming the schema_migrations table to zschema_migrations. In this way data from the other tables will be pushed properly until it fails on the last table. It's a pretty bad solution but will do for the time being. A better solution will be to use an existing Rails command which can reset a specific table from a database. I don't think Rake can do that.

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  • Refining data stored in SQLite - how to join several contacts?

    - by Krab
    Problem background Imagine this problem. You have a water molecule which is in contact with other molecules (if the contact is a hydrogen bond, there can be 4 other molecules around my water). Like in the following picture (A, B, C, D are some other atoms and dots mean the contact). A B . . O / \ H H . . C D I have the information about all the dots and I need to eliminate the water in the center and create records describing contacts of A-C, A-D, A-B, B-C, B-D, and C-D. Database structure Currently, I have the following structure in the database: Table atoms: "id" integer PRIMARY KEY, "amino" char(3) NOT NULL, (HOH for water or other value) other columns identifying the atom Table contacts: "acceptor_id" integer NOT NULL, (the atom near to my hydrogen, here C or D) "donor_id" integer NOT NULL, (here A or B) "directness" char(1) NOT NULL, (this should be D for direct and W for water-mediated) other columns about the contact, such as the distance Current solution (insufficient) Now, I'm going through all the contacts which have donor.amino = "HOH". In this sample case, this would select contacts from C and D. For each of these selected contacts, I look up contacts having the same acceptor_id as is the donor_id in the currently selected contact. From this information, I create the new contact. At the end, I delete all contacts to or from HOH. This way, I am obviously unable to create C-D and A-B contacts (the other 4 are OK). If I try a similar approach - trying to find two contacts having the same donor_id, I end up with duplicate contacts (C-D and D-C). Is there a simple way to retrieve all six contacts without duplicates? I'm dreaming about some one page long SQL query which retrievs just these six wanted rows. :-) It is preferable to conserve information about who is donor where possible, but not strictly necessary. Big thanks to all of you who read this question to this point.

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  • Sql Serve - Cascade delete has multiple paths

    - by Anders Juul
    Hi all, I have two tables, Results and ComparedResults. ComparedResults has two columns which reference the primary key of the Results table. My problem is that if a record in Results is deleted, I wish to delete all records in ComparedResults which reference the deleted record, regardless of whether it's one column or the other (and the columns may reference the same Results row). A row in Results may deleted directly or through cascade delete caused by deleting in a third table. Googling this could indicate that I need to disable cascade delete and rewrite all cascade deletes to use triggers instead. Is that REALLY nessesary? I'd be prepared to do much restructuring of the database to avoid this, as my main area is OO programming, and databases should 'just work'. It is hard to see, however, how a restructuring could help as I would just move the problem around... Or am I missing something? I am also a bit at a loss as to why my initial construct should even be a problem for the Sql Server?! Any comments welcome and much appreciated! Anders, Denmark

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  • PHP Post Count in Forum

    - by Chris
    I'm currently desiging a forum application, I considered using a premade but decided against it as it's useful for me to learn some of the techniques. So I've written a fairly full featured forum... great. One of the problems I want to solve is to include user data for each post, at the minute the post table includes the poster ID (obviously) and I added the poster's username at a later date so I didn't have to query the User DB for X number of posts in a thread. However, it's become apparent I now want to do this, usernames don't need to update retrospectively, however avatars, sigs, and especially post counts need to update actively, so data in some form needs keeping up to date somewhere... What would be a good way of implementing this? I obviously don't want to include any more user data on the Posts DB table than necessary, but I'm struggling to find an easy way to do this short of querying the DB for each post in a thread, which is potentially going to create a lot of traffic. How have other people solved this, I've been examining the code on some other open source apps but I can't find what I'm looking for. Is it possible to select multiple records in one query? In which case I could build an array dynamically on each page request (eg 'SQL blah blah' then a for each loop to insert the ID's). Could I join the tables each time? Do I submit a query for each post? Hmm.

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  • TSQL - How to join 1..* from multiple tables in one resultset?

    - by ElHaix
    A location table record has two address id's - mailing and business addressID that refer to an address table. Thus, the address table will contain up to two records for a given addressID. Given a location ID, I need an sproc to return all tbl_Location fields, and all tbl_Address fields in one resultset: LocationID INT, ClientID INT, LocationName NVARCHAR(50), LocationDescription NVARCHAR(50), MailingAddressID INT, BillingAddressID INT, MAddress1 NVARCHAR(255), MAddress2 NVARCHAR(255), MCity NVARCHAR(50), MState NVARCHAR(50), MZip NVARCHAR(10), MCountry CHAR(3), BAddress1 NVARCHAR(255), BAddress2 NVARCHAR(255), BCity NVARCHAR(50), BState NVARCHAR(50), BZip NVARCHAR(10), BCountry CHAR(3) I've started by creating a temp table with the required fields, but am a bit stuck on how to accomplish this. I could do sub-selects for each of the required address fields, but seems a bit messy. I've already got a table-valued-function that accepts an address ID, and returns all fields for that ID, but not sure how to integrate it into my required result. Off hand, it looks like 3 selects to create this table - 1: Location, 2: Mailing address, 3: Billing address. What I'd like to do is just create a view and use that. Any assistance would be helpful. Thanks.

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  • Can I use the auto-generated Linq-to-SQL entity classes in 'disconnected' mode?

    - by Gary McGill
    Suppose I have an automatically-generated Employee class based on the Employees table in my database. Now suppose that I want to pass employee data to a ShowAges method that will print out name & age for a list of employees. I'll retrieve the data for a given set of employees via a linq query, which will return me a set of Employee instances. I can then pass the Employee instances to the ShowAges method, which can access the Name & Age fields to get the data it needs. However, because my Employees table has relationships with various other tables in my database, my Employee class also has a Department field, a Manager field, etc. that provide access to related records in those other tables. If the ShowAges method were to invoke any of those methods, this would cause lots more data to be fetched from the database, on-demand. I want to be sure that the ShowAges method only uses the data I have already fetched for it, but I really don't want to have to go to the trouble of defining a new class which replicates the Employee class but has fewer methods. (In my real-world scenario, the class would have to be considerably more complex than the Employee class described here; it would have several 'joined' classes that do need to be populated, and others that don't). Is there a way to 'switch off' or 'disconnect' the Employees instances so that an attempt to access any property or related object that's not already populated will raise an exception? If not, then I assume that since this must be a common requirement, there might be an already-established pattern for doing this sort of thing?

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  • Delphi Unicode String Type Stored Directly at its Address (or "Unicode ShortString")

    - by Andreas Rejbrand
    I want a string type that is Unicode and that stores the string directly at the adress of the variable, as is the case of the (Ansi-only) ShortString type. I mean, if I declare a S: ShortString and let S := 'My String', then, at @S, I will find the length of the string (as one byte, so the string cannot contain more than 255 characters) followed by the ANSI-encoded string itself. What I would like is a Unicode variant of this. That is, I want a string type such that, at @S, I will find a unsigned 32-bit integer (or a single byte would be enough, actually) containing the length of the string in bytes (or in characters, which is half the number of bytes) followed by the Unicode representation of the string. I have tried WideString, UnicodeString, and RawByteString, but they all appear only to store an adress at @S, and the actual string somewhere else (I guess this has do do with reference counting and such). Update: The most important reason for this is probably that it would be very problematic if sizeof(string) were variable. I suspect that there is no built-in type to use, and that I have to come up with my own way of storing text the way I want (which actually is fun). Am I right? Update I will, among other things, need to use these strings in packed records. I also need manually to read/write these strings to files/the heap. I could live with fixed-size strings, such as <= 128 characters, and I could redesign the problem so it will work with null-terminated strings. But PChar will not work, for sizeof(PChar) = 1 - it's merely an address. The approach I eventually settled for was to use a static array of bytes. I will post my implementation as a solution later today.

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  • How can I export an array from Dynamics AX 2009 via c#?

    - by Steve Homer
    I'm pulling data from Dynamics AX 2009 from c# using the following code snippet. This works fine, except for those cases where the underlying field type is a dimension. I want to be able to "flatten" array types when I return them but can't see any way to do this. Any ideas anyone? axRecord = ax.CreateAxaptaRecord(tableName); axRecord.ExecuteStmt(strQuery); // Loop through the set of retrieved records. using (StreamWriter sw = File.CreateText(path)) { AxaptaObject axDictTable = ax.CreateAxaptaObject("SysDictTable",axRecord.get_Field("tableid")); outputRow = null; List<int> ids = new List<int>(); for (int i = 1; i <= (int)axDictTable.Call("fieldCnt"); i++) { AxaptaObject axDictField = ax.CreateAxaptaObject("DictField", axRecord.get_Field("tableid"), axDictTable.Call("fieldCnt2ID", i)); outputRow += ((string)axDictField.Call("Name")) + ","; ids.Add((int)axDictTable.Call("fieldCnt2ID", i)); } sw.WriteLine(outputRow); while (axRecord.Found) { outputRow = null; foreach(int i in ids) outputRow += axRecord.get_Field(i).ToString().Replace(",", "") + ","; sw.WriteLine(outputRow); axRecord.Next(); } }

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  • archiving strategies and limitations of data in a table

    - by Samuel
    Environment: Jboss, Mysql, JPA, Hibernate Our web application will be catering to a large amount of users (~ 1,000,000) and there are a lots of child table where user specific data are stored (e.g. personal, health, forum contributions ...). What would be the best practice to archive user & user specific information. [a] Would it be wise to move the archived user & user specific information to their respective tables within the same database (e.g. user_archive, user_forum_comments_archive ...) OR [b] Would you just mark the database entries with a flag in the original table(s) and just query only non archived entries. We have a unique constraint on User.loginid, how do you handle this requirement if the users are archived via 1-[a] (i.e if a user with loginid 'samuel' gets moved into the archive table and if a new user gets added with the same name in the original table, how would you prevent this. What would be the best strategy to address the unique key constraints. We have a requirement to selectively archive records and bring it back if necessary, will you rely on database tools are would you handle this via your persistence APIs exposed by the JPA entity model.

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  • How to choose light version of databse system

    - by adopilot
    I am starting one POS (Point of sale) project. Targeting system is going to be written in C# .NET 2 WinForms and as main database server We are going to use MS-SQL Server. As we have a lot of POS devices in chain for one store I will love to have backend local data base system on each POS device. Scenario are following: When main server goes down!! POS application should continue working "off-line" with local database, until connection to main server come up again. Now I am in dilemma which local database is going to be most adoptable for me. Here is some notes for helping me point me in right direction: To be Light "My POS devices art usually old and suffering with performances" To be Free "I have a lot of devices and I do not wont additional cost beside main SQL serer" One day Ill love to try all that port on Mono and Linux OS. Here is what I've researched so far: Simple XML "Light but I am afraid of performance, My main table of items is average of 10K records" SQL-Expres "I am afraid that my POS devices is poor with hardware for SQLExpres, and also hard to install on each device and configure" Less known Advantage Database Server have free distribution of offline ADT system. DBF with extended Library,"Respect for good old DBFs but that era is behind Me with clipper and DBFs" MS Access Sqlite "Mostly like for now, but I am afraid how it is going to pair with MS SQL do they have same Data taypes". I know that in this SO is a lot of subjective data, but at least can someone recommended some others lite database system, or things that I shod most take attention before I choice database.

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