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  • Time calculations with MySQL TIMEDIFF

    - by Oli
    Hi there, I have the following table: mysql> SELECT id,start1,stop1,start2,stop2 FROM times; +----+---------------------+---------------------+---------------------+---------------------+ | id | start1 | stop1 | start2 | stop2 | +----+---------------------+---------------------+---------------------+---------------------+ | 4 | 2010-04-23 08:05:00 | 2010-04-23 12:15:00 | 2010-04-23 12:45:00 | 2010-04-23 16:50:00 | | 2 | 2010-04-26 09:30:00 | 2010-04-26 12:10:00 | 2010-04-26 12:50:00 | 2010-04-26 16:50:00 | | 7 | 2010-04-28 08:45:00 | 2010-04-28 11:45:00 | 2010-04-28 13:10:00 | 2010-04-28 17:29:00 | | 6 | 2010-04-27 09:30:00 | 2010-04-27 12:15:00 | 2010-04-27 12:55:00 | 2010-04-27 18:44:00 | +----+---------------------+---------------------+---------------------+---------------------+ I want to sum total worktime and the difference to the "needed work hours". It works pretty well with the statement below, but for unknown reasons it doesn't work for id 6. start*/stop* fields are in format datetime. SELECT *, TIME_FORMAT(TIMEDIFF(totaltime,'08:24'),'%H:%i') AS diff, totaltime > '08:24' AS redorgreen FROM ( SELECT DATE_FORMAT(start1,'%a %e. %M %Y') AS date, TIME_FORMAT(SUM(TIMEDIFF(stop1,start1) + TIMEDIFF(stop2,start2)),'%H:%i') AS totaltime, TIME_FORMAT(start1,'%H:%i') AS start1, TIME_FORMAT(stop1,'%H:%i') AS stop1, TIME_FORMAT(start2,'%H:%i') AS start2, TIME_FORMAT(stop2,'%H:%i') AS stop2, id as id FROM times GROUP BY id ASC ) AS somethingwedontneed; This is the result: select id, TIME_FORMAT(SUM(TIMEDIFF(stop1,start1) + TIMEDIFF(stop2,start2)),'%H:%i') AS totaltime from times group by id; +----+-----------+ | id | totaltime | +----+-----------+ | 2 | 06:40 | | 4 | 08:15 | | 6 | NULL | | 7 | 07:19 | +----+-----------+ Thanks in advance for every hint.

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  • What is preferred method for searching table data using stored procedure?

    - by Mourya
    I have a customer table with Cust_Id, Name, City and search is based upon any or all of the above three. Which one Should I go for ? Dynamic SQL: declare @str varchar(1000) set @str = 'Select [Sno],[Cust_Id],[Name],[City],[Country],[State] from Customer where 1 = 1' if (@Cust_Id != '') set @str = @str + ' and Cust_Id = ''' + @Cust_Id + '''' if (@Name != '') set @str = @str + ' and Name like ''' + @Name + '%''' if (@City != '') set @str = @str + ' and City like ''' + @City + '%''' exec (@str) Simple query: select [Sno],[Cust_Id],[Name],[City],[Country],[State] from Customer where (@Cust_Id = '' or Cust_Id = @Cust_Id) and (@Name = '' or Name like @Name + '%') and (@City = '' or City like @City + '%') Which one should I prefer (1 or 2) and what are advantages? After going through everyone's suggestion , here is what i finally got. DECLARE @str NVARCHAR(1000) DECLARE @ParametersDefinition NVARCHAR(500) SET @ParametersDefinition = N'@InnerCust_Id varchar(10), @InnerName varchar(30),@InnerCity varchar(30)' SET @str = 'Select [Sno],[Cust_Id],[Name],[City],[Country],[State] from Customer where 1 = 1' IF(@Cust_Id != '') SET @str = @str + ' and Cust_Id = @InnerCust_Id' IF(@Name != '') SET @str = @str + ' and Name like @InnerName' IF(@City != '') SET @str = @str + ' and City like @InnerCity' -- ADD the % symbol for search based upon the LIKE keyword SELECT @Name = @Name + '%', @City = @City+ '%' EXEC sp_executesql @str, @ParametersDefinition, @InnerCust_Id = @Cust_Id, @InnerName = @Name, @InnerCity = @City; References : http://blogs.lessthandot.com/index.php/DataMgmt/DataDesign/changing-exec-to-sp_executesql-doesn-t-p http://msdn.microsoft.com/en-us/library/ms175170.aspx

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  • PHP: Need a double check on an error in this small code

    - by Josh K
    I have this simple Select box that is suppose to store the selected value in a hidden input, which can then be used for POST (I am doing it this way to use data from disabled drop down menus) <body> <?php $Z = $_POST[hdn]; ?> <form id="form1" name="form1" method="post" action="test.php"> <select name="whatever" id="whatever" onchange="document.getElementById('hdn').value = this.value"> <option value="1">1Value</option> <option value="2">2Value</option> <option value="3">3Value</option> <option value="4">4Value</option> </select> <input type="hidden" name ='hdn' id="hdn" /> <input type="submit" id='submit' /> <?php echo "<p>".$Z."</p>"; ?> </form> </body> The echo call works for the last 3 options (2,3,4) but if I select the first one it doesnt output anything, and even if i change first one it still doesnt output anything. Can someone explain to me whats going on, I think it might be a syntax issue.

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  • How to get values from SQL query made by php?

    - by Ole Jak
    So I made a query like this global $connection; $query = "SELECT * FROM streams "; $streams_set = mysql_query($query, $connection); confirm_query($streams_set); in my DB there are filds ID, UID, SID, TIME (all INT type exept time) So I am triing to print query relult into form <form> <select class="multiselect" multiple="multiple" name="SIDs"> <?php global $connection; $query = "SELECT * FROM streams "; $streams_set = mysql_query($query, $connection); confirm_query($streams_set); $streams_count = mysql_num_rows($streams_set); for ($count=1; $count <= $streams_count; $count++) { echo "<option value=\"{$count}\""; echo ">{$count}</option>"; } ?> </select> <br/> <input type="submit" value="Submit Form"/> </form> How to print out as "option" "values" SID's from my sql query?

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  • The best way to return related data in a SQL statement

    - by Darvis Lombardo
    I have a question on the best method to get back to a piece of data that is in a related table on the other side of a many-to-many relationship table. My first method uses joins to get back to the data, but because there are multiple matching rows in the relationship table, I had to use a TOP 1 to get a single row result. My second method uses a subquery to get the data but this just doesn't feel right. So, my question is, which is the preferred method, or is there a better method? The script needed to create the test tables, insert data, and run the two queries is below. Thanks for your advice! Darvis -------------------------------------------------------------------------------------------- -- Create Tables -------------------------------------------------------------------------------------------- DECLARE @TableA TABLE ( [A_ID] [int] IDENTITY(1,1) NOT NULL, [Description] [varchar](50) NULL) DECLARE @TableB TABLE ( [B_ID] [int] IDENTITY(1,1) NOT NULL, [A_ID] [int] NOT NULL, [Description] [varchar](50) NOT NULL) DECLARE @TableC TABLE ( [C_ID] [int] IDENTITY(1,1) NOT NULL, [Description] [varchar](50) NOT NULL) DECLARE @TableB_C TABLE ( [B_ID] [int] NOT NULL, [C_ID] [int] NOT NULL) -------------------------------------------------------------------------------------------- -- Insert Test Data -------------------------------------------------------------------------------------------- INSERT INTO @TableA VALUES('A-One') INSERT INTO @TableA VALUES('A-Two') INSERT INTO @TableA VALUES('A-Three') INSERT INTO @TableB (A_ID, Description) VALUES(1,'B-One') INSERT INTO @TableB (A_ID, Description) VALUES(1,'B-Two') INSERT INTO @TableB (A_ID, Description) VALUES(1,'B-Three') INSERT INTO @TableB (A_ID, Description) VALUES(2,'B-Four') INSERT INTO @TableB (A_ID, Description) VALUES(2,'B-Five') INSERT INTO @TableB (A_ID, Description) VALUES(3,'B-Six') INSERT INTO @TableC VALUES('C-One') INSERT INTO @TableC VALUES('C-Two') INSERT INTO @TableC VALUES('C-Three') INSERT INTO @TableB_C (B_ID, C_ID) VALUES(1, 1) INSERT INTO @TableB_C (B_ID, C_ID) VALUES(2, 1) INSERT INTO @TableB_C (B_ID, C_ID) VALUES(3, 1) -------------------------------------------------------------------------------------------- -- Get result - method 1 -------------------------------------------------------------------------------------------- SELECT TOP 1 C.*, A.Description FROM @TableC C JOIN @TableB_C BC ON BC.C_ID = C.C_ID JOIN @TableB B ON B.B_ID = BC.B_ID JOIN @TableA A ON B.A_ID = A.A_ID WHERE C.C_ID = 1 -------------------------------------------------------------------------------------------- -- Get result - method 2 -------------------------------------------------------------------------------------------- SELECT C.*, (SELECT A.Description FROM @TableA A WHERE EXISTS (SELECT * FROM @TableB_C BC JOIN @TableB B ON B.B_ID = BC.B_ID WHERE BC.C_ID = C.C_ID AND B.A_ID = A.A_ID)) FROM @TableC C WHERE C.C_ID = 1

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  • jquery: i have to use parseInt() even when deal with numbers, why?

    - by Syom
    i have the following script <select id="select1"> <option value="1">1day</option> <option value="2">2day</option> <option value="3">3day</option> </select> <select id="select2"> <option value="1">1day</option> <option value="2">2day</option> <option value="3">3day</option> </select> and jquery $("#select2").change(function() { var max_value = parseInt($("#select2 :selected").val()); var min_value = parseInt($("#select1 :selected").val()); if(max_value < min_value) { $("#select1").val($(this).val()); } }); and now, what i can't understand anyway - if values of option elements are integer numbers, why i have to use parseInt()? in some cases it doesn't work without parseInt(). Thanks

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  • Querying for a unique value based on the aggregate of another value while grouping on a third value

    - by Justin Swartsel
    So I know this problem isn't a new one, but I'm trying to wrap my head around it and understand the best way to deal with scenarios like this. Say I have a hypothetical table 'X' that looks like this: GroupID ID (identity) SomeDateTime -------------------------------------------- 1 1000 1/1/01 1 1001 2/2/02 1 1002 3/3/03 2 1003 4/4/04 2 1004 5/5/05 I want to query it so the result set looks like this: ---------------------------------------- 1 1002 3/3/03 2 1004 5/5/05 Basically what I want is the MAX SomeDateTime value grouped by my GroupID column. The kicker is that I DON'T want to group by the ID column, I just want to know the 'ID' that corresponds to the MAX SomeDateTime. I know one pseudo-solution would be: ;WITH X1 as ( SELECT MAX(SomeDateTime) as SomeDateTime, GroupID FROM X GROUP BY GroupID ) SELECT X1.SomeDateTime, X1.GroupID, X2.ID FROM X1 INNER JOIN X as X2 ON X.DateTime = X2.DateTime But this doesn't solve the fact that a DateTime might not be unique. And it seems sloppy to join on a DateTime like that. Another pseudo-solution could be: SELECT X.GroupID, MAX(X.ID) as ID, MAX(X.SomeDateTime) as SomeDateTime FROM X GROUP BY X.GroupID But there are no guarantees that ID will actually match the row that SomeDateTime comes from. A third less useful option might be: SELECT TOP 1 X.GroupID, X.ID, X.SomeDateTime FROM X WHERE X.GroupID = 1 ORDER BY X.SomeDateTime DESC But obviously that only works with a single, known, GroupID. I want to be able to join this result set on GroupID and/or ID. Does anyone know of any clever solutions? Any good uses of windowing functions? Thanks!

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  • Problem in data binding in NSString?

    - by Rajendra Bhole
    Hi, I selecting the row of the table. The text of the row i stored in the application delegate object as a NSString. That NSString i want to retrieving or binding in SELECT statement of SQLite query, For that i written code in the TableView Class (void)tableView:(UITableView *)tableView didSelectRowAtIndexPath:(NSIndexPath *)indexPath { selectedText = [appDelegate.categoryArray objectAtIndex:indexPath.row]; appDelegate.selectedTextOfRow = selectedText; ListOfPrayersViewController *listVC = [[ListOfPrayersViewController alloc] init]; [self.navigationController pushViewController:listVC animated:YES]; [listVC release]; } and database class class code is. + (void) getDuas:(NSString *)dbPath{ if(sqlite3_open([dbPath UTF8String], &database) == SQLITE_OK){ SalahAppDelegate *appDelegate = (SalahAppDelegate *)[[UIApplication sharedApplication] delegate]; NSString *categoryTextForQuery =[NSString stringWithFormat:@"SELECT Category FROM Prayer WHERE Category ='%s'", appDelegate.selectedTextOfRow ]; NSLog(@"The Text %@", categoryTextForQuery); //const char *sqlQuery1 = (char *)categoryTextForQuery; //const char *sqlQuery = "SELECT Category FROM Prayer WHERE Category = 'Invocations for the beginning of the prayer'"; sqlite3_stmt *selectstmt; if(sqlite3_prepare_v2(database, [categoryTextForQuery UTF8String], -1, &selectstmt, NULL) == SQLITE_OK){ appDelegate.duasArray =[[NSMutableArray alloc] init]; while(sqlite3_step(selectstmt) == SQLITE_ROW){ NSString *dua = [[NSString alloc] initWithCString:(char *)sqlite3_column_text(selectstmt,0) encoding:NSASCIIStringEncoding]; Prayer *prayerObj = [[Prayer alloc] initwithDuas:dua]; prayerObj.DuaName = dua; [appDelegate.duasArray addObject:prayerObj]; } } } } The code is comes out of loop on the statement or starting the loop of the while(sqlite3_step(selectstmt) == SQLITE_ROW) Why? How i bind the table selected text in SELECT statement of sqlite?

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  • SQL -- How is DISTINCT so fast without an index?

    - by Jonathan
    Hi, I have a database with a table called 'links' with 600 million rows in it in SQLite. There are 2 columns in the database - a "src" column and a "dest" column. At present there are no indices. There are a fair number of common values between src and dest, but also a fair number of duplicated rows. The first thing I'm trying to do is remove all the duplicate rows, and then perform some additional processing on the results, however I've been encountering some weird issues. Firstly, SELECT * FROM links WHERE src=434923 AND dest=5010182. Now this returns one result fairly quickly and then takes quite a long time to run as I assume it's performing a tablescan on the rest of the 600m rows. However, if I do SELECT DISTINCT * FROM links, then it immediately starts returning rows really quickly. The question is: how is this possible?? Surely for each row, the row must be compared against all of the other rows in the table, but this would require a tablescan of the remaining rows in the table which SHOULD takes ages! Any ideas why SELECT DISTINCT is so much quicker than a standard SELECT?

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  • Data mixing SQL Server

    - by Pythonizo
    I have three tables and a range of two dates: Services ServicesClients ServicesClientsDone @StartDate @EndDate Services: ID | Name 1 | Supervisor 2 | Monitor 3 | Manufacturer ServicesClients: IDServiceClient | IDClient | IDService 1 | 1 | 1 2 | 1 | 2 3 | 2 | 2 4 | 2 | 3 ServicesClientsDone: IDServiceClient | Period 1 | 201208 3 | 201210 Period = YYYYMM I need to insert into ServicesClientsDone the months range from @StartDate up @EndDate. I have also a temporary table (#Periods) with the following list: Period 201208 201209 201210 The query I need is to give me back the following list: IDServiceClient | Period 1 | 201209 1 | 201210 2 | 201208 2 | 201209 2 | 201210 3 | 201208 3 | 201209 4 | 201208 4 | 201209 4 | 201210 Which are client services but the ranks of the temporary table, not those who are already inserted This is what i have: Table periods: DECLARE @i int DECLARE @mm int DECLARE @yyyy int, DECLARE @StartDate datetime DECLARE @EndDate datetime set @EndDate = (SELECT GETDATE()) set @StartDate = (SELECT DATEADD(MONTH, -3,GETDATE())) CREATE TABLE #Periods (Period int) set @i = 0 WHILE @i <= DATEDIFF(MONTH, @StartDate , @EndDate ) BEGIN SET @mm= DATEPART(MONTH, DATEADD(MONTH, @i, @FechaInicio)) SET @yyyy= DATEPART(YEAR, DATEADD(MONTH, @i, @FechaInicio)) INSERT INTO #Periods (Period) VALUES (CAST(@yyyy as varchar(4)) + RIGHT('00'+CONVERT(varchar(6), @mm), 2)) SET @i = @i + 1; END Relation between ServicesClients and Services: SELECT s.Name, sc.IDClient FROM Services JOIN ServicesClients AS sc ON sc.IDService = s.ID Services already done and when: SELECT s.Name, scd.Period FROM Services JOIN ServicesClients AS sc ON sc.IDService = s.ID JOIN ServicesClientsDone AS scd ON scd.IDServiceClient = sc.IDServiceClient

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  • Query table value aliasing in Oracle SQL

    - by Strata
    I have a homework assignment in SQL for Oracle 10g where I have to apply union to two different select statements, to return two columns. I need the values of each cell under vendor_state to indicate CA and every other value in another state to return "Outside CA", to indicate they're elsewhere. I applied the union and produced the two columns and the listings for CA, but many other state IDs were listed and I couldn't find an explanation for how to change the actual values in the query itself. Eventually, I stumbled on an answer, but I can't explain why this works. The code is as follows: SELECT vendor_name, vendor_state FROM vendors WHERE vendor_state IN 'CA' UNION SELECT vendor_name, 'Outside CA' AS vendor_state FROM vendors WHERE vendor_state NOT IN 'CA' ORDER BY vendor_name This gives me the exact answer I need, but I don't know why the aliasing in the second select statement can behave this way....no explanation is given in my textbook and nothing I've read indicates that column aliasing can be done like this. But, by switching the column name and the alias value, I have replaced the value being returned rather than the column name itself...I'm not complaining about the result, but it would help if I knew how I did it.

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  • How can I combine a LINQ query with an IQueryable<Guid>

    - by John
    I have a LINQ query that uses 1 table + a large number of views. I'd like to be able to write something like this: IQueryable<Guid> mostViewedWriters; switch (datePicker) { case DatePicker.Last12Hours: mostViewedWriters = from x in context.tempMostViewed12Hours select x.GuidId; break; case DatePicker.Last24Hours: mostViewedWriters = from x in context.tempMostViewed12Hours select x.GuidId; break; case DatePicker.Last36Hours: mostViewedWriters = from x in context.tempMostViewed12Hours select x.GuidId; break; } var query = from x1 in context.Articles join x2 in context.Authors on x1.AuthorId == x2.AuthorId join x3 in mostViewedWriters on x2.AuthorId == x3.Id select new { x2.AuthorName, x1.ArticleId, x1.ArticleTitle }; The above C# is pseudo-code written to protect the innocent (me). The gist of the question is this: I have a query that is related to the results of a view. That view, however, could be one of many different views. All the views return the same data type. I thought that I might be able to create an IQueryable that would contain the Ids that I need and use that query. Alas, that effort has stalled.

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  • MS SQL: How to get the newest date in a table with several equal keys

    - by Qohelet
    Unfortunately my knowledge related to statements like "group by" and "having" is quite limited, so hopefully you can help me: I have a view -here's an excerpt- (if we have some Europeans here - it's v021 of Winline/Mesonic): ID | Artikelbezeichnung1 | Bez2 | mesoyear _____________________________________________________________________ 1401MA70 | Marga ,Saracena grigio,1S,33,3/33,3 | Marazzi | 1344 1401MA70 | Marga ,Saracena grigio,1S,33,3/33,3 | Marazzi | 1356 1401MA70 | Marga ,Saracena grigio,1S,33,3/33,3 | Marazzi | 1356 1401MA71 | Marga ,Saracena beige,1S,33,3/33,3 | Marazzi | 1344 1401MA71 | Marga ,Saracena beige,1S,33,3/33,3 | Marazzi | 1356 1401MA71 | Marga ,Saracena beige,1S,33,3/33,3 | Marazzi | 1356 2401CR13 | Crista,Mahon rojo,1S,33,3/33,3 | Cristacer | 1332 2401CR13 | Crista,Mahon rojo,1S,33,3/33,3 | Cristacer | 1344 So the ID is not unique and I just need the one with the highest val in "mesoyear". My fist solution was: Select c015 as ID, c003 as Artikelbezeichnung1, c074 as Bez2, mesoyear from CWLDATEN_91.dbo.v021 group by c015 having mesoyear = max(mesoyear) But this doesn't work at all... Msg 8121, Level 16, State 1, Line 8 Column 'CWLDATEN_91.dbo.v021.mesoyear' is invalid in the HAVING clause because it is not contained in either an aggregate function or the GROUP BY clause. So I just removed the "having" statement and it went "better": Msg 8120, Level 16, State 1, Line 2 Column 'CWLDATEN_91.dbo.v021.c003' is invalid in the select list because it is not contained in either an aggregate function or the GROUP BY clause. So I tried to remove the error just by adding things to the "group by". And it worked. Select c015 as ID, c003 as Artikelbezeichnung1, c074 as Bez2, max(mesoyear) from CWLDATEN_91.dbo.v021 group by c015,c003,c074 gives me exactly what I want. But the correct Select contains about 24 columns and some calculations as well. The problem can't be solved just by adding all the columns to the "group by"...? Can someone please help me to find a proper command? Thank you!

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  • jquery indexOf problem with IE

    - by user441365
    Hi, I have a multiple select field and a jquery function that checks for a change in the select. the function looks for the value "Other", and if it's selected then displays an extra text field. This is all working fine in chrome and FF, but for some reason IE throws an error on the indexOf function "Object doesn't support this property or method". Any help would be much appreciated. Here's the code: <select name="test" multiple="multiple" id="test"> <option value="one">one</option> <option value="two">two</option> <option selected="selected" value="Other">Other</option> </select> <input name="Name_Other" type="text" id="Name_Other" class="OtherDisplay" /> $.toggleOther = function (dd, txtOther) { if ($(dd).val() == null || $(dd).val().indexOf("Other") != 1) $(txtOther).hide(); $(dd).change(function () { var sel = $(this).val(); if (sel != null && sel.indexOf("Other") != -1) { $(txtOther).show(); } else { $(txtOther).hide(); } }); } $.toggleOther("#test", ".OtherDisplay");

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  • jquery - how to get number from a string with mixture of letters and number

    - by Alex
    How do I use JQuery to get number from the drop down select? <select aria-invalid="false" id="RatePercent" class="wpcf7-form-control wpcf7-select ratePercent" name="RatePercent"> <option value="">---</option> <option value="Floating-6.5%">Floating-6.5%</option> <option value="6 Months-5.65%">6 Months-5.65%</option> <option value="1 Year-5.85%">1 Year-5.85%</option> <option value="18 Months-5.99%">18 Months-5.99%</option> <option value="2 Years-6.19%">2 Years-6.19%</option> <option value="3 Years-6.85%">3 Years-6.85%</option> <option value="4 Years-7.19%">4 Years-7.19%</option> <option value="5 Years-7.40%">5 Years-7.40%</option> </select> If you choose 1 Year-5.85%, it returns '5.85', instead of '1 Year-5.85%'?

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  • MySql - JSON data not showing in html

    - by Ramzie
    I'm trying to create a drop down list from a MySql. The php is successfully fetching the data from the MySql. But my problem is the data is not showing on the drop down list in my HTML page? json_mysql_data2.php header("Content-Type: application/json"); require_once("con.php"); $i=0; $jsonData = array(); foreach ($conn_db->query("SELECT customerID FROM customers WHERE furniture='33' ") as $result){ $i++; $jsonData["article".$i]=$result['customerID']; } echo json_encode($jsonData); myJS.js $(document).ready(function(){ var ddlist = document.getElementById("ddlist"); var hr = new XMLHttpRequest(); hr.open("GET", "json_mysql_data2.php", true); hr.setRequestHeader("Content-type", "application/x-www-form-urlencoded"); hr.onreadystatechange = function() { if(hr.readyState == 4 && hr.status == 200) { var d = JSON.parse(hr.responseText); for(var o in d){ if(d[o].title){ ddlist.innerHTML += '</option><option value='+d[o].title+'</option>'; } } } } hr.send("null"); ddlist.innerHTML = "Loading Customer ID...."; }); html <script src="myJS.js" type="text/javascript"></script> </head> <body> <div class="dlist"> Customer ID: <select id='EmpLst' name="dwlist" onchange='document.getElementById("val1").value = this.value;'><option value="">SELECT STUDENT ID</option> <div id="ddlist"></div> </select> </div>

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  • Analytic functions – they’re not aggregates

    - by Rob Farley
    SQL 2012 brings us a bunch of new analytic functions, together with enhancements to the OVER clause. People who have known me over the years will remember that I’m a big fan of the OVER clause and the types of things that it brings us when applied to aggregate functions, as well as the ranking functions that it enables. The OVER clause was introduced in SQL Server 2005, and remained frustratingly unchanged until SQL Server 2012. This post is going to look at a particular aspect of the analytic functions though (not the enhancements to the OVER clause). When I give presentations about the analytic functions around Australia as part of the tour of SQL Saturdays (starting in Brisbane this Thursday), and in Chicago next month, I’ll make sure it’s sufficiently well described. But for this post – I’m going to skip that and assume you get it. The analytic functions introduced in SQL 2012 seem to come in pairs – FIRST_VALUE and LAST_VALUE, LAG and LEAD, CUME_DIST and PERCENT_RANK, PERCENTILE_CONT and PERCENTILE_DISC. Perhaps frustratingly, they take slightly different forms as well. The ones I want to look at now are FIRST_VALUE and LAST_VALUE, and PERCENTILE_CONT and PERCENTILE_DISC. The reason I’m pulling this ones out is that they always produce the same result within their partitions (if you’re applying them to the whole partition). Consider the following query: SELECT     YEAR(OrderDate),     FIRST_VALUE(TotalDue)         OVER (PARTITION BY YEAR(OrderDate)               ORDER BY OrderDate, SalesOrderID               RANGE BETWEEN UNBOUNDED PRECEDING                         AND UNBOUNDED FOLLOWING),     LAST_VALUE(TotalDue)         OVER (PARTITION BY YEAR(OrderDate)               ORDER BY OrderDate, SalesOrderID               RANGE BETWEEN UNBOUNDED PRECEDING                         AND UNBOUNDED FOLLOWING),     PERCENTILE_CONT(0.95)         WITHIN GROUP (ORDER BY TotalDue)         OVER (PARTITION BY YEAR(OrderDate)),     PERCENTILE_DISC(0.95)         WITHIN GROUP (ORDER BY TotalDue)         OVER (PARTITION BY YEAR(OrderDate)) FROM Sales.SalesOrderHeader ; This is designed to get the TotalDue for the first order of the year, the last order of the year, and also the 95% percentile, using both the continuous and discrete methods (‘discrete’ means it picks the closest one from the values available – ‘continuous’ means it will happily use something between, similar to what you would do for a traditional median of four values). I’m sure you can imagine the results – a different value for each field, but within each year, all the rows the same. Notice that I’m not grouping by the year. Nor am I filtering. This query gives us a result for every row in the SalesOrderHeader table – 31465 in this case (using the original AdventureWorks that dates back to the SQL 2005 days). The RANGE BETWEEN bit in FIRST_VALUE and LAST_VALUE is needed to make sure that we’re considering all the rows available. If we don’t specify that, it assumes we only mean “RANGE BETWEEN UNBOUNDED PRECEDING AND CURRENT ROW”, which means that LAST_VALUE ends up being the row we’re looking at. At this point you might think about other environments such as Access or Reporting Services, and remember aggregate functions like FIRST. We really should be able to do something like: SELECT     YEAR(OrderDate),     FIRST_VALUE(TotalDue)         OVER (PARTITION BY YEAR(OrderDate)               ORDER BY OrderDate, SalesOrderID               RANGE BETWEEN UNBOUNDED PRECEDING                         AND UNBOUNDED FOLLOWING) FROM Sales.SalesOrderHeader GROUP BY YEAR(OrderDate) ; But you can’t. You get that age-old error: Msg 8120, Level 16, State 1, Line 5 Column 'Sales.SalesOrderHeader.OrderDate' is invalid in the select list because it is not contained in either an aggregate function or the GROUP BY clause. Msg 8120, Level 16, State 1, Line 5 Column 'Sales.SalesOrderHeader.SalesOrderID' is invalid in the select list because it is not contained in either an aggregate function or the GROUP BY clause. Hmm. You see, FIRST_VALUE isn’t an aggregate function. None of these analytic functions are. There are too many things involved for SQL to realise that the values produced might be identical within the group. Furthermore, you can’t even surround it in a MAX. Then you get a different error, telling you that you can’t use windowed functions in the context of an aggregate. And so we end up grouping by doing a DISTINCT. SELECT DISTINCT     YEAR(OrderDate),         FIRST_VALUE(TotalDue)              OVER (PARTITION BY YEAR(OrderDate)                   ORDER BY OrderDate, SalesOrderID                   RANGE BETWEEN UNBOUNDED PRECEDING                             AND UNBOUNDED FOLLOWING),         LAST_VALUE(TotalDue)             OVER (PARTITION BY YEAR(OrderDate)                   ORDER BY OrderDate, SalesOrderID                   RANGE BETWEEN UNBOUNDED PRECEDING                             AND UNBOUNDED FOLLOWING),     PERCENTILE_CONT(0.95)          WITHIN GROUP (ORDER BY TotalDue)         OVER (PARTITION BY YEAR(OrderDate)),     PERCENTILE_DISC(0.95)         WITHIN GROUP (ORDER BY TotalDue)         OVER (PARTITION BY YEAR(OrderDate)) FROM Sales.SalesOrderHeader ; I’m sorry. It’s just the way it goes. Hopefully it’ll change the future, but for now, it’s what you’ll have to do. If we look in the execution plan, we see that it’s incredibly ugly, and actually works out the results of these analytic functions for all 31465 rows, finally performing the distinct operation to convert it into the four rows we get in the results. You might be able to achieve a better plan using things like TOP, or the kind of calculation that I used in http://sqlblog.com/blogs/rob_farley/archive/2011/08/23/t-sql-thoughts-about-the-95th-percentile.aspx (which is how PERCENTILE_CONT works), but it’s definitely convenient to use these functions, and in time, I’m sure we’ll see good improvements in the way that they are implemented. Oh, and this post should be good for fellow SQL Server MVP Nigel Sammy’s T-SQL Tuesday this month.

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  • SQL Azure Reporting Limited CTP Arrived

    - by Shaun
    It’s about 3 months later when I registered the SQL Azure Reporting CTP on the Microsoft Connect after TechED 2010 China. Today when I checked my mailbox I found that the SQL Azure team had just accepted my request and sent the activation code over to me. So let’s have a look on the new SQL Azure Reporting.   Concept The SQL Azure Reporting provides cloud-based reporting as a service, built on SQL Server Reporting Services and SQL Azure technologies. Cloud-based reporting solutions such as SQL Azure Reporting provide many benefits, including rapid provisioning, cost-effective scalability, high availability, and reduced management overhead for report servers; and secure access, viewing, and management of reports. By using the SQL Azure Reporting service, we can do: Embed the Visual Studio Report Viewer ADO.NET Ajax control or Windows Form control to view the reports deployed on SQL Azure Reporting Service in our web or desktop application. Leverage the SQL Azure Reporting SOAP API to manage and retrieve the report content from any kinds of application. Use the SQL Azure Reporting Service Portal to navigate and view the reports deployed on the cloud. Since the SQL Azure Reporting was built based on the SQL Server 2008 R2 Reporting Service, we can use any tools we are familiar with, such as the SQL Server Integration Studio, Visual Studio Report Viewer. The SQL Azure Reporting Service runs as a remote SQL Server Reporting Service just on the cloud rather than on a server besides us.   Establish a New SQL Azure Reporting Let’s move to the windows azure deveploer portal and click the Reporting item from the left side navigation bar. If you don’t have the activation code you can click the Sign Up button to send a requirement to the Microsoft Connect. Since I already recieved the received code mail I clicked the Provision button. Then after agree the terms of the service I will select the subscription for where my SQL Azure Reporting CTP should be provisioned. In this case I selected my free Windows Azure Pass subscription. Then the final step, paste the activation code and enter the password of our SQL Azure Reporting Service. The user name of the SQL Azure Reporting will be generated by SQL Azure automatically. After a while the new SQL Azure Reporting Server will be shown on our developer portal. The Reporting Service URL and the user name will be shown as well. We can reset the password from the toolbar button.   Deploy Report to SQL Azure Reporting If you are familiar with SQL Server Reporting Service you will find this part will be very similar with what you know and what you did before. Firstly we open the SQL Server Business Intelligence Development Studio and create a new Report Server Project. Then we will create a shared data source where the report data will be retrieved from. This data source can be SQL Azure but we can use local SQL Server or other database if it opens the port up. In this case we use a SQL Azure database located in the same data center of our reporting service. In the Credentials tab page we entered the user name and password to this SQL Azure database. The SQL Azure Reporting CTP only available at the North US Data Center now so that the related SQL Server and hosted service might be better to select the same data center to avoid the external data transfer fee. Then we create a very simple report, just retrieve all records from a table named Members and have a table in the report to list them. In the data source selection step we choose the shared data source we created before, then enter the T-SQL to select all records from the Member table, then put all fields into the table columns. The report will be like this as following In order to deploy the report onto the SQL Azure Reporting Service we need to update the project property. Right click the project node from the solution explorer and select the property item. In the Target Server URL item we will specify the reporting server URL of our SQL Azure Reporting. We can go back to the developer portal and select the reporting node from the left side, then copy the Web Service URL and paste here. But notice that we need to append “/reportserver” after pasted. Then just click the Deploy menu item in the context menu of the project, the Visual Studio will compile the report and then upload to the reporting service accordingly. In this step we will be prompted to input the user name and password of our SQL Azure Reporting Service. We can get the user name from the developer portal, just next to the Web Service URL in the SQL Azure Reporting page. And the password is the one we specified when created the reporting service. After about one minute the report will be deployed succeed.   View the Report in Browser SQL Azure Reporting allows us to view the reports which deployed on the cloud from a standard browser. We copied the Web Service URL from the reporting service main page and appended “/reportserver” in HTTPS protocol then we will have the SQL Azure Reporting Service login page. After entered the user name and password of the SQL Azure Reporting Service we can see the directories and reports listed. Click the report will launch the Report Viewer to render the report.   View Report in a Web Role with the Report Viewer The ASP.NET and Windows Form Report Viewer works well with the SQL Azure Reporting Service as well. We can create a ASP.NET Web Role and added the Report Viewer control in the default page. What we need to change to the report viewer are Change the Processing Mode to Remote. Specify the Report Server URL under the Server Remote category to the URL of the SQL Azure Reporting Web Service URL with “/reportserver” appended. Specify the Report Path to the report which we want to display. The report name should NOT include the extension name. For example my report was in the SqlAzureReportingTest project and named MemberList.rdl then the report path should be /SqlAzureReportingTest/MemberList. And the next one is to specify the SQL Azure Reporting Credentials. We can use the following class to wrap the report server credential. 1: private class ReportServerCredentials : IReportServerCredentials 2: { 3: private string _userName; 4: private string _password; 5: private string _domain; 6:  7: public ReportServerCredentials(string userName, string password, string domain) 8: { 9: _userName = userName; 10: _password = password; 11: _domain = domain; 12: } 13:  14: public WindowsIdentity ImpersonationUser 15: { 16: get 17: { 18: return null; 19: } 20: } 21:  22: public ICredentials NetworkCredentials 23: { 24: get 25: { 26: return null; 27: } 28: } 29:  30: public bool GetFormsCredentials(out Cookie authCookie, out string user, out string password, out string authority) 31: { 32: authCookie = null; 33: user = _userName; 34: password = _password; 35: authority = _domain; 36: return true; 37: } 38: } And then in the Page_Load method, pass it to the report viewer. 1: protected void Page_Load(object sender, EventArgs e) 2: { 3: ReportViewer1.ServerReport.ReportServerCredentials = new ReportServerCredentials( 4: "<user name>", 5: "<password>", 6: "<sql azure reporting web service url>"); 7: } Finally deploy it to Windows Azure and enjoy the report.   Summary In this post I introduced the SQL Azure Reporting CTP which had just available. Likes other features in Windows Azure, the SQL Azure Reporting is very similar with the SQL Server Reporting. As you can see in this post we can use the existing and familiar tools to build and deploy the reports and display them on a website. But the SQL Azure Reporting is just in the CTP stage which means It is free. There’s no support for it. Only available at the North US Data Center. You can get more information about the SQL Azure Reporting CTP from the links following SQL Azure Reporting Limited CTP at MSDN SQL Azure Reporting Samples at TechNet Wiki You can download the solutions and the projects used in this post here.   Hope this helps, Shaun All documents and related graphics, codes are provided "AS IS" without warranty of any kind. Copyright © Shaun Ziyan Xu. This work is licensed under the Creative Commons License.

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  • Sync Your Pidgin Profile Across Multiple PCs with Dropbox

    - by Matthew Guay
    Pidgin is definitely our favorite universal chat client, but adding all of your chat accounts to multiple computers can be frustrating.  Here’s how you can easily transfer your Pidgin settings to other computers and keep them in sync using Dropbox. Getting Started Make sure you have both Pidgin and Dropbox installed on any computers you want to sync.  To sync Pidgin, you need to: Move your Pidgin profile folder on your first computer to Dropbox Create a symbolic link from the new folder in Dropbox to your old profile location Delete the default pidgin profile on your other computer, and create a symbolic link from your Dropbox Pidgin profile to the default Pidgin profile location This sounds difficult, but it’s actually easy if you follow these steps.  Here we already had all of our accounts setup in Pidgin in Windows 7, and then synced this profile with an Ubuntu and a XP computer with fresh Pidgin installs.  Our instructions for each OS are based on this, but just swap the sync order if your main Pidgin install is in XP or Ubuntu. Please Note:  Please make sure Pidgin isn’t running on your computer while you are making the changes! Sync Your Pidgin Profile from Windows 7 Here is Pidgin with our accounts already setup.  Our Pidgin profile has a Gtalk, MSN Messenger, and Facebook Chat account, and lots of log files. Let’s move this profile to Dropbox to keep it synced.  Exit Pidgin, and then enter %appdata% in the address bar in Explorer or press Win+R and enter %appdata%.  Select the .purple folder, which is your Pidgin profiles and settings folder, and press Ctrl+X to cut it. Browse to your Dropbox folder, and press Ctrl+V to paste the .purple folder there. Now we need to create the symbolic link.  Enter  “command” in your Start menu search, right-click on the Command Prompt shortcut, and select “Run as administrator”. We can now use the mklink command to create a symbolic link to the .purple folder.  In Command Prompt, enter the following and substitute username for your own username. mklink /D “C:\Users\username\Documents\My Dropbox\.purple” “C:\Users\username\AppData\Roaming\.purple” And that’s it!  You can open Pidgin now to make sure it still works as before, with your files being synced with Dropbox. Please Note:  These instructions work the same for Windows Vista.  Also, if you are syncing settings from another computer to Windows 7, then delete the .purple folder instead of cutting and pasting it, and reverse the order of the file paths when creating the symbolic link. Add your Pidgin Profile to Ubuntu Our Ubuntu computer had a clean install of Pidgin, so we didn’t need any of the information in its settings.  If you’ve run Pidgin, even without creating an account, you will need to first remove its settings folder.  Open your home folder, and click View, and then “Show Hidden Files” to see your settings folders. Select the .purple folder, and delete it. Now, to create the symbolic link, open Terminal and enter the following, substituting username for your username: ln –s /home/username/Dropbox/.purple /home/username/ Open Pidgin, and you will see all of your accounts that were on your other computer.  No usernames or passwords needed; everything is setup and ready to go.  Even your status is synced; we had our status set to Away in Windows 7, and it automatically came up the same in Ubuntu. Please Note: If your primary Pidgin account is in Ubuntu, then cut your .purple folder and paste it into your Dropbox folder instead.  Then, when creating the symbolic link, reverse the order of the folder paths. Add your Pidgin Profile to Windows XP In XP we also had a clean install of Pidgin.  If you’ve run Pidgin, even without creating an account, you will need to first remove its settings folder.  Click Start, the Run, and enter %appdata%. Delete your .purple folder. XP does not include a way to create a symbolic link, so we will use the free Junction tool from Sysinternals.  Download Junction (link below) and unzip the folder. Open Command Prompt (click Start, select All Programs, then Accessories, and select Command Prompt), and enter cd followed by the path of the folder where you saved Junction.   Now, to create the symbolic link, enter the following in Command Prompt, substituting username with your username. junction –d “C:\Documents and Settings\username\Application Data\.purple” “C:\Documents and Settings\username\My Documents\My Dropbox\.purple” Open Pidgin, and you will see all of your settings just as they were on your other computer.  Everything’s ready to go.   Please Note: If your primary Pidgin account is in Windows XP, then cut your .purple folder and paste it into your Dropbox folder instead.  Then, when creating the symbolic link, reverse the order of the folder paths. Conclusion This is a great way to keep all of your chat and IM accounts available from all of your computers.  You can easily access logs from chats you had on your desktop from your laptop, or if you add a chat account on your work computer you can use it seamlessly from your home computer that evening.  Now Pidgin is the universal chat client that is always ready whenever and wherever you need it! Links Downlaod Pidgin Download and signup for Dropbox Download Junction for XP Similar Articles Productive Geek Tips Add "My Dropbox" to Your Windows 7 Start MenuUse Multiple Firefox Profiles at the Same TimeEasily Add Facebook Chat to PidginPut Your Pidgin Buddy List into the Windows Vista SidebarBackup and Restore Firefox Profiles Easily TouchFreeze Alternative in AutoHotkey The Icy Undertow Desktop Windows Home Server – Backup to LAN The Clear & Clean Desktop Use This Bookmarklet to Easily Get Albums Use AutoHotkey to Assign a Hotkey to a Specific Window Latest Software Reviews Tinyhacker Random Tips DVDFab 6 Revo Uninstaller Pro Registry Mechanic 9 for Windows PC Tools Internet Security Suite 2010 Download Free iPad Wallpapers at iPad Decor Get Your Delicious Bookmarks In Firefox’s Awesome Bar Manage Photos Across Different Social Sites With Dropico Test Drive Windows 7 Online Download Wallpapers From National Geographic Site Spyware Blaster v4.3

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  • How to pass XML to DB using XMLTYPE

    - by James Taylor
    Probably not a common use case but I have seen it pop up from time to time. The question how do I pass XML from a queue or web service and insert it into a DB table using XMLTYPE.In this example I create a basic table with the field PAYLOAD of type XMLTYPE. I then take the full XML payload of the web service and insert it into that database for auditing purposes.I use SOA Suite 11.1.1.2 using composite and mediator to link the web service with the DB adapter.1. Insert Database Objects Normal 0 false false false MicrosoftInternetExplorer4 /* Style Definitions */ table.MsoNormalTable {mso-style-name:"Table Normal"; mso-tstyle-rowband-size:0; mso-tstyle-colband-size:0; mso-style-noshow:yes; mso-style-parent:""; mso-padding-alt:0in 5.4pt 0in 5.4pt; mso-para-margin:0in; mso-para-margin-bottom:.0001pt; mso-pagination:widow-orphan; font-size:10.0pt; font-family:"Times New Roman"; mso-ansi-language:#0400; mso-fareast-language:#0400; mso-bidi-language:#0400;} --Create XML_EXAMPLE_TBL Normal 0 false false false MicrosoftInternetExplorer4 /* Style Definitions */ table.MsoNormalTable {mso-style-name:"Table Normal"; mso-tstyle-rowband-size:0; mso-tstyle-colband-size:0; mso-style-noshow:yes; mso-style-parent:""; mso-padding-alt:0in 5.4pt 0in 5.4pt; mso-para-margin:0in; mso-para-margin-bottom:.0001pt; mso-pagination:widow-orphan; font-size:10.0pt; font-family:"Times New Roman"; mso-ansi-language:#0400; mso-fareast-language:#0400; mso-bidi-language:#0400;} CREATE TABLE XML_EXAMPLE_TBL (PAYLOAD XMLTYPE); Normal 0 false false false MicrosoftInternetExplorer4 /* Style Definitions */ table.MsoNormalTable {mso-style-name:"Table Normal"; mso-tstyle-rowband-size:0; mso-tstyle-colband-size:0; mso-style-noshow:yes; mso-style-parent:""; mso-padding-alt:0in 5.4pt 0in 5.4pt; mso-para-margin:0in; mso-para-margin-bottom:.0001pt; mso-pagination:widow-orphan; font-size:10.0pt; font-family:"Times New Roman"; mso-ansi-language:#0400; mso-fareast-language:#0400; mso-bidi-language:#0400;} --Create procedure LOAD_TEST_XML Normal 0 false false false MicrosoftInternetExplorer4 /* Style Definitions */ table.MsoNormalTable {mso-style-name:"Table Normal"; mso-tstyle-rowband-size:0; mso-tstyle-colband-size:0; mso-style-noshow:yes; mso-style-parent:""; mso-padding-alt:0in 5.4pt 0in 5.4pt; mso-para-margin:0in; mso-para-margin-bottom:.0001pt; mso-pagination:widow-orphan; font-size:10.0pt; font-family:"Times New Roman"; mso-ansi-language:#0400; mso-fareast-language:#0400; mso-bidi-language:#0400;} CREATE or REPLACE PROCEDURE load_test_xml (xmlFile in CLOB) IS   BEGIN     INSERT INTO xml_example_tbl (payload) VALUES (XMLTYPE(xmlFile));   --Handle the exceptions EXCEPTION   WHEN OTHERS THEN     raise_application_error(-20101, 'Exception occurred in loadPurchaseOrder procedure :'||SQLERRM || ' **** ' || xmlFile ); END load_test_xml; / 2. Creating New SOA Project TestXMLTYPE in JDeveloperIn JDeveloper either create a new Application or open an existing Application you want to put this work.Under File -> New -> SOA Tier -> SOA Project   Provide a name for the Project, e.g. TestXMLType Choose Empty Composite When selected Empty Composite click Finish.3. Create Database Connection to Stored ProcedureA Blank composite will be displayed. From the Component Palette drag a Database Adapter to the  External References panel. and configure the Database Adapter Wizard to connect to the DB procedure created above.Provide a service name InsertXML Select a Database connection where you installed the table and procedure above. If it doesn't exist create a new one. Select Call a Stored Procedure or Function then click NextChoose the schema you installed your Procedure in step 1 and query for the LOAD_TEST_XML procedure.Click Next for the remaining screens until you get to the end, then click Finish to complete the database adapter wizard.4. Create the Web Service InterfaceDownload this sample schema that will be used as the input for the web service. It does not matter what schema you use this solution will work with any. Feel free to use your own if required. singleString.xsd Drag from the component palette the Web Service to the Exposed Services panel on the component.Provide a name InvokeXMLLoad for the service, and click the cog icon.Click the magnify glass for the URL to browse to the location where you downloaded the xml schema above.  Import the schema file by selecting the import schema iconBrowse to the location to where you downloaded the singleString.xsd above.Click OK for the Import Schema File, then select the singleString node of the imported schema.Accept all the defaults until you get back to the Web Service wizard screen. The click OK. This step has created a WSDL based on the schema we downloaded earlier.Your composite should now look something like this now.5. Create the Mediator Routing Rules Drag a Mediator component into the middle of the Composite called ComponentsGive the name of Route, and accept the defaultsLink the services up to the Mediator by connecting the reference points so your Composite looks like this.6. Perform Translations between Web Service and the Database Adapter.From the Composite double click the Route Mediator to show the Map Plan. Select the transformation icon to create the XSLT translation file.Choose Create New Mapper File and accept the defaults.From the Component Palette drag the get-content-as-string component into the middle of the translation file.Your translation file should look something like thisNow we need to map the root element of the source 'singleString' to the XMLTYPE of the database adapter, applying the function get-content-as-string.To do this drag the element singleString to the left side of the function get-content-as-string and drag the right side of the get-content-as-string to the XMLFILE element of the database adapter so the mapping looks like this. You have now completed the SOA Component you can now save your work, deploy and test.When you deploy I have assumed that you have the correct database configurations in the WebLogic Console based on the connection you setup connecting to the Stored Procedure. 7. Testing the ApplicationOpen Enterprise Manager and navigate to the TestXMLTYPE Composite and click the Test button. Load some dummy variables in the Input Arguments and click the 'Test Web Service' buttonOnce completed you can run a SQL statement to check the install. In this instance I have just used JDeveloper and opened a SQL WorksheetSQL Statement Normal 0 false false false MicrosoftInternetExplorer4 /* Style Definitions */ table.MsoNormalTable {mso-style-name:"Table Normal"; mso-tstyle-rowband-size:0; mso-tstyle-colband-size:0; mso-style-noshow:yes; mso-style-parent:""; mso-padding-alt:0in 5.4pt 0in 5.4pt; mso-para-margin:0in; mso-para-margin-bottom:.0001pt; mso-pagination:widow-orphan; font-size:10.0pt; font-family:"Times New Roman"; mso-ansi-language:#0400; mso-fareast-language:#0400; mso-bidi-language:#0400;} select * from xml_example_tbl; Result, you should see the full payload in the result.

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  • VS 2010 Debugger Improvements (BreakPoints, DataTips, Import/Export)

    - by ScottGu
    This is the twenty-first in a series of blog posts I’m doing on the VS 2010 and .NET 4 release.  Today’s blog post covers a few of the nice usability improvements coming with the VS 2010 debugger.  The VS 2010 debugger has a ton of great new capabilities.  Features like Intellitrace (aka historical debugging), the new parallel/multithreaded debugging capabilities, and dump debuging support typically get a ton of (well deserved) buzz and attention when people talk about the debugging improvements with this release.  I’ll be doing blog posts in the future that demonstrate how to take advantage of them as well.  With today’s post, though, I thought I’d start off by covering a few small, but nice, debugger usability improvements that were also included with the VS 2010 release, and which I think you’ll find useful. Breakpoint Labels VS 2010 includes new support for better managing debugger breakpoints.  One particularly useful feature is called “Breakpoint Labels” – it enables much better grouping and filtering of breakpoints within a project or across a solution.  With previous releases of Visual Studio you had to manage each debugger breakpoint as a separate item. Managing each breakpoint separately can be a pain with large projects and for cases when you want to maintain “logical groups” of breakpoints that you turn on/off depending on what you are debugging.  Using the new VS 2010 “breakpoint labeling” feature you can now name these “groups” of breakpoints and manage them as a unit. Grouping Multiple Breakpoints Together using a Label Below is a screen-shot of the breakpoints window within Visual Studio 2010.  This lists all of the breakpoints defined within my solution (which in this case is the ASP.NET MVC 2 code base): The first and last breakpoint in the list above breaks into the debugger when a Controller instance is created or released by the ASP.NET MVC Framework. Using VS 2010, I can now select these two breakpoints, right-click, and then select the new “Edit labels…” menu command to give them a common label/name (making them easier to find and manage): Below is the dialog that appears when I select the “Edit labels” command.  We can use it to create a new string label for our breakpoints or select an existing one we have already defined.  In this case we’ll create a new label called “Lifetime Management” to describe what these two breakpoints cover: When we press the OK button our two selected breakpoints will be grouped under the newly created “Lifetime Management” label: Filtering/Sorting Breakpoints by Label We can use the “Search” combobox to quickly filter/sort breakpoints by label.  Below we are only showing those breakpoints with the “Lifetime Management” label: Toggling Breakpoints On/Off by Label We can also toggle sets of breakpoints on/off by label group.  We can simply filter by the label group, do a Ctrl-A to select all the breakpoints, and then enable/disable all of them with a single click: Importing/Exporting Breakpoints VS 2010 now supports importing/exporting breakpoints to XML files – which you can then pass off to another developer, attach to a bug report, or simply re-load later.  To export only a subset of breakpoints, you can filter by a particular label and then click the “Export breakpoint” button in the Breakpoints window: Above I’ve filtered my breakpoint list to only export two particular breakpoints (specific to a bug that I’m chasing down).  I can export these breakpoints to an XML file and then attach it to a bug report or email – which will enable another developer to easily setup the debugger in the correct state to investigate it on a separate machine.  Pinned DataTips Visual Studio 2010 also includes some nice new “DataTip pinning” features that enable you to better see and track variable and expression values when in the debugger.  Simply hover over a variable or expression within the debugger to expose its DataTip (which is a tooltip that displays its value)  – and then click the new “pin” button on it to make the DataTip always visible: You can “pin” any number of DataTips you want onto the screen.  In addition to pinning top-level variables, you can also drill into the sub-properties on variables and pin them as well.  Below I’ve “pinned” three variables: “category”, “Request.RawUrl” and “Request.LogonUserIdentity.Name”.  Note that these last two variable are sub-properties of the “Request” object.   Associating Comments with Pinned DataTips Hovering over a pinned DataTip exposes some additional UI within the debugger: Clicking the comment button at the bottom of this UI expands the DataTip - and allows you to optionally add a comment with it: This makes it really easy to attach and track debugging notes: Pinned DataTips are usable across both Debug Sessions and Visual Studio Sessions Pinned DataTips can be used across multiple debugger sessions.  This means that if you stop the debugger, make a code change, and then recompile and start a new debug session - any pinned DataTips will still be there, along with any comments you associate with them.  Pinned DataTips can also be used across multiple Visual Studio sessions.  This means that if you close your project, shutdown Visual Studio, and then later open the project up again – any pinned DataTips will still be there, along with any comments you associate with them. See the Value from Last Debug Session (Great Code Editor Feature) How many times have you ever stopped the debugger only to go back to your code and say: $#@! – what was the value of that variable again??? One of the nice things about pinned DataTips is that they keep track of their “last value from debug session” – and you can look these values up within the VB/C# code editor even when the debugger is no longer running.  DataTips are by default hidden when you are in the code editor and the debugger isn’t running.  On the left-hand margin of the code editor, though, you’ll find a push-pin for each pinned DataTip that you’ve previously setup: Hovering your mouse over a pinned DataTip will cause it to display on the screen.  Below you can see what happens when I hover over the first pin in the editor - it displays our debug session’s last values for the “Request” object DataTip along with the comment we associated with them: This makes it much easier to keep track of state and conditions as you toggle between code editing mode and debugging mode on your projects. Importing/Exporting Pinned DataTips As I mentioned earlier in this post, pinned DataTips are by default saved across Visual Studio sessions (you don’t need to do anything to enable this). VS 2010 also now supports importing/exporting pinned DataTips to XML files – which you can then pass off to other developers, attach to a bug report, or simply re-load later. Combined with the new support for importing/exporting breakpoints, this makes it much easier for multiple developers to share debugger configurations and collaborate across debug sessions. Summary Visual Studio 2010 includes a bunch of great new debugger features – both big and small.  Today’s post shared some of the nice debugger usability improvements. All of the features above are supported with the Visual Studio 2010 Professional edition (the Pinned DataTip features are also supported in the free Visual Studio 2010 Express Editions)  I’ll be covering some of the “big big” new debugging features like Intellitrace, parallel/multithreaded debugging, and dump file analysis in future blog posts.  Hope this helps, Scott P.S. In addition to blogging, I am also now using Twitter for quick updates and to share links. Follow me at: twitter.com/scottgu

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  • ASP.NET MVC 3 Hosting :: Rolling with Razor in MVC v3 Preview

    - by mbridge
    Razor is an alternate view engine for asp.net MVC.  It was introduced in the “WebMatrix” tool and has now been released as part of the asp.net MVC 3 preview 1.  Basically, Razor allows us to replace the clunky <% %> syntax with a much cleaner coding model, which integrates very nicely with HTML.  Additionally, it provides some really nice features for master page type scenarios and you don’t lose access to any of the features you are currently familiar with, such as HTML helper methods. First, download and install the ASP.NET MVC Preview 1.  You can find this at http://www.microsoft.com/downloads/details.aspx?FamilyID=cb42f741-8fb1-4f43-a5fa-812096f8d1e8&displaylang=en. Now, follow these steps to create your first asp.net mvc project using Razor: 1. Open Visual Studio 2010 2. Create a new project.  Select File->New->Project (Shift Control N) 3. You will see the list of project types which should look similar to what’s shown:   4. Select “ASP.NET MVC 3 Web Application (Razor).”  Set the application name to RazorTest and the path to c:projectsRazorTest for this tutorial. If you select accidently select ASPX, you will end up with the standard asp.net view engine and template, which isn’t what you want. 5. For this tutorial, and ONLY for this tutorial, select “No, do not create a unit test project.”  In general, you should create and use a unit test project.  Code without unit tests is kind of like diet ice cream.  It just isn’t very good. Now, once we have this done, our brand new project will be created.    In all likelihood, Visual Studio will leave you looking at the “HomeController.cs” class, as shown below: Immediately, you should notice one difference.  The Index action used to look like: public ActionResult Index () { ViewData[“Message”] = “Welcome to ASP.Net MVC!”; Return View(); } While this will still compile and run just fine, ASP.Net MVC 3 has a much nicer way of doing this: public ActionResult Index() { ViewModel.Message = “Welcome to ASP.Net MVC!”; Return View(); } Instead of using ViewData we are using the new ViewModel object, which uses the new dynamic data typing of .Net 4.0 to allow us to express ourselves much more cleanly.  This isn’t a tutorial on ALL of MVC 3, but the ViewModel concept is one we will need as we dig into Razor. What comes in the box? When we create a project using the ASP.Net MVC 3 Template with Razor, we get a standard project setup, just like we did in ASP.NET MVC 2.0 but with some differences.  Instead of seeing “.aspx” view files and “.ascx” files, we see files with the “.cshtml” which is the default razor extension.  Before we discuss the details of a razor file, one thing to keep in mind is that since this is an extremely early preview, intellisense is not currently enabled with the razor view engine.  This is promised as an updated before the final release.  Just like with the aspx view engine, the convention of the folder name for a set of views matching the controller name without the word “Controller” still stands.  Similarly, each action in the controller will usually have a corresponding view file in the appropriate view directory.  Remember, in asp.net MVC, convention over configuration is key to successful development! The initial template organizes views in the following folders, located in the project under Views: - Account – The default account management views used by the Account controller.  Each file represents a distinct view. - Home – Views corresponding to the appropriate actions within the home controller. - Shared – This contains common view objects used by multiple views.  Within here, master pages are stored, as well as partial page views (user controls).  By convention, these partial views are named “_XXXPartial.cshtml” where XXX is the appropriate name, such as _LogonPartial.cshtml.  Additionally, display templates are stored under here. With this in mind, let us take a look at the index.cshtml file under the home view directory.  When you open up index.cshtml you should see 1:   @inherits System.Web.Mvc.WebViewPage 2:  @{ 3:          View.Title = "Home Page"; 4:       LayoutPage = "~/Views/Shared/_Layout.cshtml"; 5:   } 6:  <h2>@View.Message</h2> 7:  <p> 8:     To learn more about ASP.NET MVC visit <a href="http://asp.net/mvc" title="ASP.NET MVC     9:    Website">http://asp.net/mvc</a>. 10:  </p> So looking through this, we observe the following facts: Line 1 imports the base page that all views (using Razor) are based on, which is System.Web.Mvc.WebViewPage.  Note that this is different than System.Web.MVC.ViewPage which is used by asp.net MVC 2.0 Also note that instead of the <% %> syntax, we use the very simple ‘@’ sign.  The View Engine contains enough context sensitive logic that it can even distinguish between @ in code and @ in an email.  It’s a very clean markup.  Line 2 introduces the idea of a code block in razor.  A code block is a scoping mechanism just like it is in a normal C# class.  It is designated by @{… }  and any C# code can be placed in between.  Note that this is all server side code just like it is when using the aspx engine and <% %>.  Line 3 allows us to set the page title in the client page’s file.  This is a new feature which I’ll talk more about when we get to master pages, but it is another of the nice things razor brings to asp.net mvc development. Line 4 is where we specify our “master” page, but as you can see, you can place it almost anywhere you want, because you tell it where it is located.  A Layout Page is similar to a master page, but it gains a bit when it comes to flexibility.  Again, we’ll come back to this in a later installment.  Line 6 and beyond is where we display the contents of our view.  No more using <%: %> intermixed with code.  Instead, we get to use very clean syntax such as @View.Message.  This is a lot easier to read than <%:@View.Message%> especially when intermixed with html.  For example: <p> My name is @View.Name and I live at @View.Address </p> Compare this to the equivalent using the aspx view engine <p> My name is <%:View.Name %> and I live at <%: View.Address %> </p> While not an earth shaking simplification, it is easier on the eyes.  As  we explore other features, this clean markup will become more and more valuable.

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  • Replication Services as ETL extraction tool

    - by jorg
    In my last blog post I explained the principles of Replication Services and the possibilities it offers in a BI environment. One of the possibilities I described was the use of snapshot replication as an ETL extraction tool: “Snapshot Replication can also be useful in BI environments, if you don’t need a near real-time copy of the database, you can choose to use this form of replication. Next to an alternative for Transactional Replication it can be used to stage data so it can be transformed and moved into the data warehousing environment afterwards. In many solutions I have seen developers create multiple SSIS packages that simply copies data from one or more source systems to a staging database that figures as source for the ETL process. The creation of these packages takes a lot of (boring) time, while Replication Services can do the same in minutes. It is possible to filter out columns and/or records and it can even apply schema changes automatically so I think it offers enough features here. I don’t know how the performance will be and if it really works as good for this purpose as I expect, but I want to try this out soon!” Well I have tried it out and I must say it worked well. I was able to let replication services do work in a fraction of the time it would cost me to do the same in SSIS. What I did was the following: Configure snapshot replication for some Adventure Works tables, this was quite simple and straightforward. Create an SSIS package that executes the snapshot replication on demand and waits for its completion. This is something that you can’t do with out of the box functionality. While configuring the snapshot replication two SQL Agent Jobs are created, one for the creation of the snapshot and one for the distribution of the snapshot. Unfortunately these jobs are  asynchronous which means that if you execute them they immediately report back if the job started successfully or not, they do not wait for completion and report its result afterwards. So I had to create an SSIS package that executes the jobs and waits for their completion before the rest of the ETL process continues. Fortunately I was able to create the SSIS package with the desired functionality. I have made a step-by-step guide that will help you configure the snapshot replication and I have uploaded the SSIS package you need to execute it. Configure snapshot replication   The first step is to create a publication on the database you want to replicate. Connect to SQL Server Management Studio and right-click Replication, choose for New.. Publication…   The New Publication Wizard appears, click Next Choose your “source” database and click Next Choose Snapshot publication and click Next   You can now select tables and other objects that you want to publish Expand Tables and select the tables that are needed in your ETL process In the next screen you can add filters on the selected tables which can be very useful. Think about selecting only the last x days of data for example. Its possible to filter out rows and/or columns. In this example I did not apply any filters. Schedule the Snapshot Agent to run at a desired time, by doing this a SQL Agent Job is created which we need to execute from a SSIS package later on. Next you need to set the Security Settings for the Snapshot Agent. Click on the Security Settings button.   In this example I ran the Agent under the SQL Server Agent service account. This is not recommended as a security best practice. Fortunately there is an excellent article on TechNet which tells you exactly how to set up the security for replication services. Read it here and make sure you follow the guidelines!   On the next screen choose to create the publication at the end of the wizard Give the publication a name (SnapshotTest) and complete the wizard   The publication is created and the articles (tables in this case) are added Now the publication is created successfully its time to create a new subscription for this publication.   Expand the Replication folder in SSMS and right click Local Subscriptions, choose New Subscriptions   The New Subscription Wizard appears   Select the publisher on which you just created your publication and select the database and publication (SnapshotTest)   You can now choose where the Distribution Agent should run. If it runs at the distributor (push subscriptions) it causes extra processing overhead. If you use a separate server for your ETL process and databases choose to run each agent at its subscriber (pull subscriptions) to reduce the processing overhead at the distributor. Of course we need a database for the subscription and fortunately the Wizard can create it for you. Choose for New database   Give the database the desired name, set the desired options and click OK You can now add multiple SQL Server Subscribers which is not necessary in this case but can be very useful.   You now need to set the security settings for the Distribution Agent. Click on the …. button Again, in this example I ran the Agent under the SQL Server Agent service account. Read the security best practices here   Click Next   Make sure you create a synchronization job schedule again. This job is also necessary in the SSIS package later on. Initialize the subscription at first synchronization Select the first box to create the subscription when finishing this wizard Complete the wizard by clicking Finish The subscription will be created In SSMS you see a new database is created, the subscriber. There are no tables or other objects in the database available yet because the replication jobs did not ran yet. Now expand the SQL Server Agent, go to Jobs and search for the job that creates the snapshot:   Rename this job to “CreateSnapshot” Now search for the job that distributes the snapshot:   Rename this job to “DistributeSnapshot” Create an SSIS package that executes the snapshot replication We now need an SSIS package that will take care of the execution of both jobs. The CreateSnapshot job needs to execute and finish before the DistributeSnapshot job runs. After the DistributeSnapshot job has started the package needs to wait until its finished before the package execution finishes. The Execute SQL Server Agent Job Task is designed to execute SQL Agent Jobs from SSIS. Unfortunately this SSIS task only executes the job and reports back if the job started succesfully or not, it does not report if the job actually completed with success or failure. This is because these jobs are asynchronous. The SSIS package I’ve created does the following: It runs the CreateSnapshot job It checks every 5 seconds if the job is completed with a for loop When the CreateSnapshot job is completed it starts the DistributeSnapshot job And again it waits until the snapshot is delivered before the package will finish successfully Quite simple and the package is ready to use as standalone extract mechanism. After executing the package the replicated tables are added to the subscriber database and are filled with data:   Download the SSIS package here (SSIS 2008) Conclusion In this example I only replicated 5 tables, I could create a SSIS package that does the same in approximately the same amount of time. But if I replicated all the 70+ AdventureWorks tables I would save a lot of time and boring work! With replication services you also benefit from the feature that schema changes are applied automatically which means your entire extract phase wont break. Because a snapshot is created using the bcp utility (bulk copy) it’s also quite fast, so the performance will be quite good. Disadvantages of using snapshot replication as extraction tool is the limitation on source systems. You can only choose SQL Server or Oracle databases to act as a publisher. So if you plan to build an extract phase for your ETL process that will invoke a lot of tables think about replication services, it would save you a lot of time and thanks to the Extract SSIS package I’ve created you can perfectly fit it in your usual SSIS ETL process.

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  • Connect to running web role on Azure using Remote Desktop Connection and VS2012

    - by Magnus Karlsson
    We want to be able to collect IntelliTrace information from our running app and also use remote desktop to connect to the IIS and look around(probably debugging). 1. Create certificate 1.1 Right-click the cloud project (marked in red) and select “Configure remote desktop”. 1.2 In the drop down list of certificates, choose <create> at the bottom. 1.3. Follow the instructions, you can set it up with default values. 1.4 When done. Choose the certificate and click “Copy to File…” as seen in the left of the picture above. 1.5. Save the file with any name you want. Now we will save it to local storage to be able to import it to our solution through the azure configuration manager in step 3. 2. Save certificate to local storage Now we need to attach it to our local certificate storage to be able to reach it from our confiuguration manager in visual studio. Microsoft provides the following steps for doing this: http://support.microsoft.com/kb/232137 In order to view the Certificates store on the local computer, perform the following steps: Click Start, and then click Run. Type "MMC.EXE" (without the quotation marks) and click OK. Click Console in the new MMC you created, and then click Add/Remove Snap-in. In the new window, click Add. Highlight the Certificates snap-in, and then click Add. Choose the Computer option and click Next. Select Local Computer on the next screen, and then click OK. Click Close , and then click OK. You have now added the Certificates snap-in, which will allow you to work with any certificates in your computer's certificate store. You may want to save this MMC for later use. Now that you have access to the Certificates snap-in, you can import the server certificate into you computer's certificate store by following these steps: Open the Certificates (Local Computer) snap-in and navigate to Personal, and then Certificates. Note: Certificates may not be listed. If it is not, that is because there are no certificates installed. Right-click Certificates (or Personal if that option does not exist.) Choose All Tasks, and then click Import. When the wizard starts, click Next. Browse to the PFX file you created containing your server certificate and private key. Click Next. Enter the password you gave the PFX file when you created it. Be sure the Mark the key as exportable option is selected if you want to be able to export the key pair again from this computer. As an added security measure, you may want to leave this option unchecked to ensure that no one can make a backup of your private key. Click Next, and then choose the Certificate Store you want to save the certificate to. You should select Personal because it is a Web server certificate. If you included the certificates in the certification hierarchy, it will also be added to this store. Click Next. You should see a summary of screen showing what the wizard is about to do. If this information is correct, click Finish. You will now see the server certificate for your Web server in the list of Personal Certificates. It will be denoted by the common name of the server (found in the subject section of the certificate). Now that you have the certificate backup imported into the certificate store, you can enable Internet Information Services 5.0 to use that certificate (and the corresponding private key). To do this, perform the following steps: Open the Internet Services Manager (under Administrative Tools) and navigate to the Web site you want to enable secure communications (SSL/TLS) on. Right-click on the site and click Properties. You should now see the properties screen for the Web site. Click the Directory Security tab. Under the Secure Communications section, click Server Certificate. This will start the Web Site Certificate Wizard. Click Next. Choose the Assign an existing certificate option and click Next. You will now see a screen showing that contents of your computer's personal certificate store. Highlight your Web server certificate (denoted by the common name), and then click Next. You will now see a summary screen showing you all the details about the certificate you are installing. Be sure that this information is correct or you may have problems using SSL or TLS in HTTP communications. Click Next, and then click OK to exit the wizard. You should now have an SSL/TLS-enabled Web server. Be sure to protect your PFX files from any unwanted personnel. Image of a typical MMC.EXE with the certificates up.   3. Import the certificate to you visual studio project. 3.1 Now right click your equivalent to the MvcWebRole1 (as seen in the first picture under the red oval) and choose properties. 3.2 Choose Certificates. Right click the ellipsis to the right of the “thumbprint” and you should be able to select your newly created certificate here. After selecting it- save the file.   4. Upload the certificate to your Azure subscription. 4.1 Go to the azure management portal, click the services menu icon to the left and choose the service. Click Upload in the bottom menu.     5. Connect to server. Since I tried to use account settings(have to use another name) we have to set up a new name for the connection. No biggie. 5.1 Go to azure management portal, select your service and in the bottom menu, choose “REMOTE”. This will display the configuration for remote connection. It will actually change your ServiceConfiguration.cscfg file. After you change It here it might be good to choose download and replace the one in your project. Set a name that is not your windows azure account name and not Administrator. 5.2 Goto visual studio, click Server Explorer. Choose as selected in the picture below and click “COnnect using remote desktop”.   5.2 You will now be able to log in with the name and password set up in step 5.1. and voila! Windows server 2012, IIS and other nice stuff!   To do this one I’ve been using http://msdn.microsoft.com/en-us/library/windowsazure/ff683671.aspx where you can collect some of this information and additional one.

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  • Exalogic 2.0.1 Tea Break Snippets - Creating a ModifyJeOS VirtualBox

    - by The Old Toxophilist
    Following on from my previous blog entry "Modifying the Base Template" I decided to put together a quick blog to show how to create a small VirtualBox, guest, that can be used to execute the ModifyJeOS and hence edit you templates. One of the main advantages of this is that Templates can be created away from the Exalogic Environment. For the Guest OS I chose OEL 6u3 and decided to create it as a basic server because I did not require a graphical interface but it's a simple change to create it with a GUI. Required Software Virtual Box. Oracle Enterprise Linux. Creating the VM I'll assume that the reader is experienced with Virtual Box and installing OEL and hence will make this section brief. Create VirtualBox Guest Create a new VirtualBox Guest and select oracle Linux 64 bit. Follow through the create process and select Dynamic Disk Size and the default 12GB disk size. The actual image will be a lot smaller than this but the OEL install will fail with insufficient disk space if you attempt a smaller size. Once the guest has been created attach the previously downloaded OEL 6u3 iso to the cd drive and start the guest. Install OEL On starting the guest the system will boot off the associated OEL 6u3 iso and take you through the standard installation process. Select all the appropriate information but when you reach the installation type select Basic Server because we do not need that additional packages and only need to access through the command line interface. Complete the installation and reboot the Guest. At this point we now have a basic OEL server running. Installing Guest Add-ons Before we can easily access the Guest we will need to add the VirtualBox guest add-ons. These will provide better keyboard and mouse integration and allow access the shared folders on the host machine. Before we can do this we will need to do the following: Enable Networking. Install additional rpms.  To enable the networking (eth0), that appears to be disabled by default, we can execute: ifup eth0 This will start the eth0 connection but once the Guest is rebooted the network will be down again. To resolve this you will need to edit the /etc/sysconfig/network-scripts/ifcfg-eth0 file and change the ONBOOT parameter to "yes". Now we have enabled the network we will need to install a number of addition rpm. First we will need to configure the yum repository as follows: [ol6_latest] name=Oracle Linux $releasever Latest ($basearch) baseurl=http://public-yum.oracle.com/repo/OracleLinux/OL6/latest/$basearch/ gpgkey=http://public-yum.oracle.com/RPM-GPG-KEY-oracle-ol6 gpgcheck=1 enabled=1 [ol6_ga_base] name=Oracle Linux $releasever GA installation media copy ($basearch) baseurl=http://public-yum.oracle.com/repo/OracleLinux/OL6/0/base/$basearch/ gpgkey=http://public-yum.oracle.com/RPM-GPG-KEY-oracle-ol6 gpgcheck=1 enabled=0 [ol6_u1_base] name=Oracle Linux $releasever Update 1 installation media copy ($basearch) baseurl=http://public-yum.oracle.com/repo/OracleLinux/OL6/1/base/$basearch/ gpgkey=http://public-yum.oracle.com/RPM-GPG-KEY-oracle-ol6 gpgcheck=1 enabled=0 [ol6_u2_base] name=Oracle Linux $releasever Update 2 installation media copy ($basearch) baseurl=http://public-yum.oracle.com/repo/OracleLinux/OL6/2/base/$basearch/ gpgkey=http://public-yum.oracle.com/RPM-GPG-KEY-oracle-ol6 gpgcheck=1 enabled=0 [ol6_u3_base] name=Oracle Linux $releasever Update 3 installation media copy ($basearch) baseurl=http://public-yum.oracle.com/repo/OracleLinux/OL6/3/base/$basearch/ gpgkey=http://public-yum.oracle.com/RPM-GPG-KEY-oracle-ol6 gpgcheck=1 enabled=0 [ol6_UEK_latest] name=Latest Unbreakable Enterprise Kernel for Oracle Linux $releasever ($basearch) baseurl=http://public-yum.oracle.com/repo/OracleLinux/OL6/UEK/latest/$basearch/ gpgkey=http://public-yum.oracle.com/RPM-GPG-KEY-oracle-ol6 gpgcheck=1 enabled=1 [ol6_UEK_base] name=Unbreakable Enterprise Kernel for Oracle Linux $releasever ($basearch) baseurl=http://public-yum.oracle.com/repo/OracleLinux/OL6/UEK/base/$basearch/ gpgkey=http://public-yum.oracle.com/RPM-GPG-KEY-oracle-ol6 gpgcheck=1 enabled=0 Once the repository has been edited we will need to execute the following yum commands: yum update yum install gcc yum install kernel-uek-devel yum install kernel-devel yum install createrepo At this point we now have all the additional packages required to install the VirtualBox Guest Add-ons. So select Devices->InstallGuest Additions on you running guest: This will simply place the VirtualBoxGuestAdditions.iso in the virtual cd and we will need to execute the following before we can run them. mkdir /media/cdrom mount -t iso9660 -o ro /dev/cdrom /media/cdrom cd /media/cdrom/ ls ./VBoxLinuxAdditions.run This will initiate the install and kernel rebuild. What you will notice is that during the installation a Failed will be displayed but this is simply because we have no graphical components. At this point we the installation will also have added the vboxsf group to the system and to access any shared folders we will create our user will need to be a member of this group an so the next stage is to add the root user to this group as follows: usermod -G vboxsf root cat /etc/group cat /etc/passwd init 0 Now simply shutdown the guest and add the Shared folder within your guests settings. Install ModifyJeOS Once the shared folder has been added restart the guest and change directory into the shared folder (/media/sf_<folder name>). For the next step I am assuming the ModifyJeOS rpms are located in the shared folder. We can simply execute: rpm -ivh ovm-modify-jeos-1.1.0-17.el5.noarch.rpm # Test with modifyjeos Using ModifyJeOS I have a modified MountSystemImg.sh script that should be copied into the /root/bin directory (you may need to create this) and from here it can be executed from any location: MountSystemImg.sh #!/bin/sh # The script assumes it's being run from the directory containing the System.img # Export for later i.e. during unmount export LOOP=`losetup -f` export SYSTEMIMG=/mnt/elsystem export TEMPLATEDIR=`pwd` # Make Temp Mount Directory mkdir -p $SYSTEMIMG # Create Loop for the System Image losetup $LOOP System.img kpartx -a $LOOP mount /dev/mapper/`basename $LOOP`p2 $SYSTEMIMG #Change Dir into mounted Image cd $SYSTEMIMG echo "######################################################################" echo "### ###" echo "### Starting Bash shell for editing. When completed log out to ###" echo "### Unmount the System.img file. ###" echo "### ###" echo "######################################################################" echo bash cd ~ cd $TEMPLATEDIR umount $SYSTEMIMG kpartx -d $LOOP losetup -d $LOOP rm -rf $SYSTEMIMG This script will simple create a mount directory, mount the System.img and then start a new shell in the mounted directory. On exiting the shell it will unmount the System.img. It only requires that you execute the script in the directory containing the System.img. These can be created under the mounted shared directory. In the example below I have extracted the Base template within the shared folder and then renamed it OEL_40GB_ROOT before changing into that directory and executing the script.

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