Search Results

Search found 830 results on 34 pages for 'dbms xmlschema'.

Page 19/34 | < Previous Page | 15 16 17 18 19 20 21 22 23 24 25 26  | Next Page >

  • How to extract tags from XML

    - by uku
    Hi, I have a simple XML extraction issue that should be solvable with straight PHP and not require any libraries. All I need to do is extract the values of one tag. For example, given the string of XML: <ResultSet xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" ....> <Result>Foo</Result> <Result>Bar</Result> </ResultSet> I just need to put Foo and Bar in an array. What is the easiest way to do this? Thanks!

    Read the article

  • Need help with writing from XML to a SQL Server database (detailed)

    - by fogedi
    I'm a bit of a newbie with XML and WebServices and stuff like that. I'm working on a project using GlassFish OpenESB to schedule a process to get some information from a webservice and then store in a database. The criteria is basically that i have to use GlassFish OpenESB or EJB modules where i can expose webservices or something along those lines, AND i have to use SQL Server 2005. So far I've been able to talk to the webservice: and receive something along those lines <?xml version="1.0" encoding="UTF-8" standalone="no"?> <SOAP-ENV:Envelope xmlns:SOAP-ENV="http://schemas.xmlsoap.org/soap/envelope/" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xsi:schemaLocation="http://schemas.xmlsoap.org/soap/envelope/ http://schemas.xmlsoap.org/soap/envelope/"> <SOAP-ENV:Body> <m:entrypoint_getSettlementsOperationResponse xmlns:m="http://j2ee.netbeans.org/wsdl/BorgunTestBPEL/entrypoint_getSettlements"> <part1> <GetSettlementsByMerchantResponse xmlns="http://Borgun.Services.Gateway/2010/04/Settlement"> <GetSettlementsByMerchantResult xmlns:a="http://schemas.datacontract.org/2004/07/Borgun.Library.Common" xmlns:i="http://www.w3.org/2001/XMLSchema-instance" xmlns:msgns="http://Borgun.Services.Gateway/2010/04/Settlement" xmlns:ns0="http://j2ee.netbeans.org/wsdl/BorgunTestBPEL/entrypoint_getSettlements"> <a:CreditCardSettlement> <a:amexAmount>XXX</a:amexAmount> <a:amount>XXXX</a:amount> <a:batches> <a:CreditCardBatch> <a:batchdate>xxx</a:batchdate> <a:batchnumber>XXXX</a:batchnumber> <a:currencyCode>xxxx</a:currencyCode> <a:merchantnumber>xxxx</a:merchantnumber> <a:settlementRunNumber>xx4</a:settlementRunNumber> <a:settlementdate>2010-04-06T00:00:00</a:settlementdate> <a:slips>2</a:slips> <a:sum>xxxx</a:sum> </a:CreditCardBatch> <a:CreditCardBatch> <a:batchdate>xxx</a:batchdate> <a:batchnumber>xxxxx</a:batchnumber> <a:currencyCode>xxxx</a:currencyCode> <a:merchantnumber>xxxx</a:merchantnumber> <a:settlementRunNumber>xxxx</a:settlementRunNumber> <a:settlementdate>xxxx</a:settlementdate> <a:slips>x</a:slips> <a:sum>xxx</a:sum> </a:CreditCardBatch> </a:batches> <a:commission>xx</a:commission> <a:currencyCode>xxx</a:currencyCode> <a:deduction>-xxx</a:deduction> <a:deductionItems> <a:CrediCardSettlementDeduction> <a:amount>-xxx</a:amount> <a:code>VIÐSKF</a:code> <a:currencyCode>ISK</a:currencyCode> <a:merchantnumber>xxx</a:merchantnumber> <a:settlementrunnumber>xxx</a:settlementrunnumber> <a:text>Afsláttur v/ekorta</a:text> </a:CrediCardSettlementDeduction> <a:CrediCardSettlementDeduction> <a:amount>-335.00</a:amount> <a:code>ÁLAGKREK</a:code> <a:currencyCode>ISK</a:currencyCode> <a:merchantnumber>xxx</a:merchantnumber> <a:settlementrunnumber>xxx</a:settlementrunnumber> <a:text>xxx</a:text> </a:CrediCardSettlementDeduction> </a:deductionItems> </a:CreditCardSettlement> </GetSettlementsByMerchantResult> </GetSettlementsByMerchantResponse> </part1> </m:entrypoint_getSettlementsOperationResponse> </SOAP-ENV:Body> </SOAP-ENV:Envelope> I have access to the SQL Server 2005 server which is remote and i know i can insert into it but given that now i have a one-to-many relationship i want to be able to rollback if something fails. So in short how can I insert from this XML into the DB preferably without manually walking through the XML tree? I'm pretty sure I'm supposed to be able to use Entity and Session Beans or maybe JAXB bindings but I'm simply not being successful. One of the reasons might have something to do with the fact that the soap response contains an array of CreditCardSettlements and each of which contains an array of Batches and DeductionItems It would be best if someone can help me do this via a BPEL in GlassFish OpenESB but any hint at a java solution is much appreciated.

    Read the article

  • How to fix Eclipse validation error "No grammar constraints detected for the document"?

    - by Casey
    Eclipse 3.5.2 is throwing an XML schema warning message: No grammar constraints (DTD or XML schema) detected for the document. The application.xml file: <?xml version="1.0" encoding="UTF-8"?> <application xmlns="http://java.sun.com/xml/ns/javaee" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xsi:schemaLocation="http://java.sun.com/xml/ns/javaee http://java.sun.com/xml/ns/javaee/application_5.xsd" version="5"> </application> I do not want to disable the warning. How can I get Eclipse to correctly validate the XML document?

    Read the article

  • how to write xsd for the following xml?

    - by Venkats
    <?xml version="1.0"?> <datatype xmlns:xs="http://www.w3.org/2001/XMLSchema-instance" xs:noNamespaceSchemaLocation="sampletype.xsd"> <table name="emp"> <columns> <column> <name>emp_id</name> <data_type>int(200) </data_type> </column> </columns> </table> </datatype> Here i generate the xsd for above xml, but it was not correct. can you help me generate the xsd for the xml? thanks in advance.

    Read the article

  • Get REST Call is not returning the string I put in url

    - by wizage
    I have very simple code: using System; using System.Collections.Generic; using System.Linq; using System.Net; using System.Net.Http; using System.Web.Http; namespace Calculator.Controllers { public class CalcController : ApiController { public string Get(string type) { return type; } } } And this is what it returns when I type in http://www.example.com/api/calc/test <string xmlns:i="http://www.w3.org/2001/XMLSchema-instance" xmlns="http://schemas.microsoft.com/2003/10/Serialization/" i:nil="true"/> When I use http://www.example.com/api/calc/?test=test it returns this: <string xmlns="http://schemas.microsoft.com/2003/10/Serialization/">type</string> How to I make it so I can just do the top one instead of the bottom one?

    Read the article

  • Fusion Concepts: Fusion Database Schemas

    - by Vik Kumar
    You often read about FUSION and FUSION_RUNTIME users while dealing with Fusion Applications. There is one more called FUSION_DYNAMIC. Here are some details on the difference between these three and the purpose of each type of schema. FUSION: It can be considered as an Administrator of the Fusion Applications with all the corresponding rights and powers such as owning tables and objects, providing grants to FUSION_RUNTIME.  It is used for patching and has grants to many internal DBMS functions. FUSION_RUNTIME: Used to run the Applications.  Contains no DB objects. FUSION_DYNAMIC: This schema owns the objects that are created dynamically through ADM_DDL. ADM_DDL is a package that acts as a wrapper around the DDL statement. ADM_DDL support operations like truncate table, create index etc. As the above statements indicate that FUSION owns the tables and objects including FND tables so using FUSION to run applications is insecure. It would be possible to modify security policies and other key information in the base tables (like FND) to break the Fusion Applications security via SQL injection etc. Other possibilities would be to write a logon DB trigger and steal credentials etc. Thus, to make Fusion Applications secure FUSION_RUNTIME is granted privileges to execute DMLs only on APPS tables. Another benefit of having separate users is achieving Separation of Duties (SODs) at schema level which is required by auditors. Below are the roles and privileges assigned to FUSION, FUSION_RUNTIME and FUSION_DYNAMIC schema: FUSION It has the following privileges: Create SESSION Do all types of DDL owned by FUSION. Additionally, some specific priveleges on other schemas is also granted to FUSION. EXECUTE ON various EDN_PUBLISH_EVENT It has the following roles: CTXAPP for managing Oracle Text Objects AQ_SER_ROLE and AQ_ADMINISTRATOR_ROLE for managing Advanced Queues (AQ) FUSION_RUNTIME It has the following privileges: CREATE SESSION CHANGE NOTIFICATION EXECUTE ON various EDN_PUBLISH_EVENT It has the following roles: FUSION_APPS_READ_WRITE for performing DML (Select, Insert, Delete) on Fusion Apps tables FUSION_APPS_EXECUTE for performing execute on objects such as procedures, functions, packages etc. AQ_SER_ROLE and AQ_ADMINISTRATOR_ROLE for managing Advanced Queues (AQ) FUSION_DYNAMIC It has following privileges: CREATE SESSION, PROCEDURE, TABLE, SEQUENCE, SYNONYM, VIEW UNLIMITED TABLESPACE ANALYZE ANY CREATE MINING MODEL EXECUTE on specific procedure, function or package and SELECT on specific tables. This depends on the objects identified by product teams that ADM_DDL needs to have access  in order to perform dynamic DDL statements. There is one more role FUSION_APPS_READ_ONLY which is not attached to any user and has only SELECT privilege on all the Fusion objects. FUSION_RUNTIME does not have any synonyms defined to access objects owned by FUSION schema. A logon trigger is defined in FUSION_RUNTIME which sets the current schema to FUSION and eliminates the need of any synonyms.   What it means for developers? Fusion Application developers should be using FUSION_RUNTIME for testing and running Fusion Applications UI, BC and to connect to any SQL front end like SQL *PLUS, SQL Loader etc. For testing ADFbc using AM tester while using FUSION_RUNTIME you may hit the following error: oracle.jbo.JboException: JBO-29000: Unexpected exception caught: java.sql.SQLException, msg=invalid name pattern: FUSION.FND_TABLE_OF_VARCHAR2_255 The fix is to add the below JVM parameter in the Run/Debug client property in the Model project properties -Doracle.jdbc.createDescriptorUseCurrentSchemaForSchemaName=true More details are discussed in this forum thread for it.

    Read the article

  • Running Multiple WebLogic and OSB Domains

    - by jeff.x.davies
    I have any number of OSB domain created on my machine at any point in time. For example, I have different domains for different version of Oracle Service Bus and Oracle SOA Suite. I also have different domains for different purposes. I have a demo domain and another domain for the projects in my blog. Starting with OSB 11g and the Apache Derby server, there is a small "gotcha" if you want to create multiple domains on a devevelopment machine. When you create a new domain for OSB 11g it will use the same database info for all databases and this will cause an error when starting the admin server of the second domain (the first domain doesn't have to be running for this error to occur). Here is an example of the error message in the server console: ####<Mar 8, 2011 2:58:48 PM PST> <Critical> <JTA> <jeff-laptop> <AdminServer> <[ACTIVE] ExecuteThread: '0' for queue: 'weblogic.kernel.Default (self-tuning)'> <<WLS Kernel>> <> <> <1299625128464> <BEA-110482> <A logging last resource failed during initialization. The server cannot boot unless all configured logging last resources (LLRs) initialize. Failing reason: weblogic.transaction.loggingresource.LoggingResourceException: java.sql.SQLException: JDBC LLR, table verify failed for table 'WL_LLR_ADMINSERVER', row 'JDBC LLR Domain//Server' record had unexpected value 'osb11gR1PS3//AdminServer' expected 'OSBCIM//AdminServer'*** ONLY the original domain and server that creates an LLR table may access it *** The solution is to create a database instance for each of your domains and this is very simple to do. After you create a domain using the Configuration Wizard, locate the wlsbjmsrpDataSource-jdbc.xml file that is found under the DOMAIN_HOME/config/jdbc directory. Near the top of the file you will see the following entry: <url>jdbc:derby://localhost:1527/osbexamples;create=true;ServerName=localhost;databaseName=osbexamples</url> You need to modify this entry with a different and unique database name. The easiest way to do this is to substiture the name of your domain. For example: <url>jdbc:derby://localhost:1527/mydomain;create=true;ServerName=localhost;databaseName=mydomain</url> will create a database named mydomain . Now, when you restart the admin server for the domain, it will create the new database for you. Do this for each domain you create on your development machine and you'll have no troubles. The process is much simpler if you are creating a domain using the Configuration Wizard. Simply name the database when you get to the Configure JDBC Component Schema step of the Configuration Wizard, select the OSB JMS Reporting Provider and set the name in the DBMS/Service field to whatever name you like, as shown in Figure 1 below. Figure 1 – Configuring the JDBC Component Schema That is all there is to it. Now you can create as many domains on your leptop or development machine as you like and not have to worry about them conflicting with each other.

    Read the article

  • First Day of Data Integration Track at Oracle OpenWorld 2012

    - by Irem Radzik
    OpenWorld started full speed for us today with a great set of sessions in the Data Integration track. After the exciting keynote session on Oracle Database 12c in the morning; Brad Adelberg, VP of Development for Data Integration products, presented Oracle’s data integration product strategy. His session highlighted the new requirements for data integration to achieve pervasive and continuous access to trusted data. The new requirements and product focus areas presented in this session are: Provide access to any data at any source On premise or on cloud Enable zero downtime operations and maximum performance Leverage real-time data for accurate business insights And ensure high quality data is used across the enterprise During the session Brad walked over how Oracle’s data integration products, Oracle Data Integrator, Oracle GoldenGate, Oracle Enterprise Data Quality, and Oracle Data Service Integrator, deliver on these requirements and how recent product releases build on this strategy. Soon after Brad’s session we heard from a panel of Oracle GoldenGate customers, St. Jude Medical, Equifax, and Bank of America, how they achieved zero downtime operations using Oracle GoldenGate. The panel presented different use cases of GoldenGate, from Active-Active replication to offloading reporting. Especially St. Jude Medical’s implementation, which involves the alert management system for patients that use their pacemakers, reminded me in some cases downtime of mission-critical systems can be a matter of life or death. It is very comforting to hear that GoldenGate delivers highly-reliable continuous availability for life-saving medical systems. In the afternoon, Nick Wagner from the Product Management team and I followed the customer panel with the review of Oracle GoldenGate 11gR2’s New Features.  Many questions we received from audience were about GoldenGate’s new Integrated Capture for Oracle Database and the enhanced Conflict Management features, as well as how GoldenGate compares to Oracle Streams. In addition to giving details on GoldenGate’s unique capability to capture changed data with a direct integration to the Oracle DBMS engine, we reminded the audience that enhancements to Oracle GoldenGate will continue, while Streams will be primarily maintained. Last but not least, Tim Garrod and Ryan Fonnett from Raymond James presented a unified real-time data integration solution using Oracle Data Integrator and GoldenGate for their operational data store (ODS). The ODS supports application services across the enterprise and providing timely data is a critical requirement. In this solution, Oracle GoldenGate does the log-based change data capture for Oracle Data Integrator’s near real-time data integration between heterogeneous systems. As Raymond James’ ODS supports mission-critical services for their advisors, the project team had to set up this integration environment to be highly available. During the session, Ryan and Tim explained how they use ODI to enable automated process execution and “always-on” integration processes. Their presentation included 2 demonstrations that focused on CDC patterns deployed with ODI and the automated multi-instance execution and monitoring. We are very grateful to Tim and Ryan for their very-well prepared presentation at OpenWorld this year. Day 2 (Tuesday) will be also a busy day in our track. In addition to the Fusion Middleware Innovation Awards ceremony at 11:45am at Moscone West 3001, we have the following DI sessions Real-World Operational Reporting Customer Panel 11:45am Moscone West- 3005 Oracle Data Integrator Product Update and Future Strategy 1:15pm Moscone West- 3005 High-volume OLTP with Oracle GoldenGate: Best Practices from Comcast 1:15pm Moscone West- 3005 Everything You need to Know about Monitoring Oracle GoldenGate 5pm Moscone West-3005 If you are at OpenWorld please join us in these sessions. For a full review of data integration track at OpenWorld please see our Focus-On document.

    Read the article

  • Does replace into have a where clause?

    - by Lajos Arpad
    I'm writing an application and I'm using MySQL as DBMS, we are downloading property offers and there were some performance issues. The old architecture looked like this: A property is updated. If the number of affected rows is not 1, then the update is not considered successful, elseway the update query solves our problem. If the update was not successful, and the number of affected rows is more than 1, we have duplicates and we delete all of them. After we deleted duplicates if needed if the update was not successful, an insert happens. This architecture was working well, but there were some speed issues, because properties are deleted if they were not updated for 15 days. Theoretically the main problem is deleting properties, because some properties are alive for months and the indexes are very far from each other (we are talking about 500, 000+ properties). Our host told me to use replace into instead of deleting properties and all deprecated properties should be considered as DEAD. I've done this, but problems started to occur because of syntax error and I couldn't find anywhere an example of replace into with a where clause (I'd like to replace a DEAD property with the new property instead of deleting the old property and insert a new to assure optimization). My query looked like this: replace into table_name(column1, ..., columnn) values(value1, ..., valuen) where ID = idValue Of course, I've calculated idValue and handled everything but I had a syntax error. I would like to know if I'm wrong and there is a where clause for replace into. I've found an alternative solution, which is even better than replace into (using simply an update query) because deletes are happening behind the curtains if I use replace into, but I would like to know if I'm wrong when I say that replace into doesn't have a where clause. For more reference, see this link: http://dev.mysql.com/doc/refman/5.0/en/replace.html Thank you for your answers in advance, Lajos Árpád

    Read the article

  • check RAM,page file, /PAE, /3GB, SQL server memory using powershell

    - by Manjot
    I am a powershell novice. After days of searching.... I have put together a small powershell script (as below) to check page file, /PAE switch, /3GB switch, SQL server max RAM, min RAM. I am running this on 1 server. If I want to run it on many servers (from a .txt) file, How can I change it ? How can I change it to search boot.ini file's contents for a given server? clear $strComputer="." $PageFile=Get-WmiObject Win32_PageFile -ComputerName $strComputer Write-Host "Page File Size in MB: " ($PageFile.Filesize/(1024*1024)) $colItems=Get-WmiObject Win32_PhysicalMemory -Namespace root\CIMv2 -ComputerName $strComputer $total=0 foreach ($objItem in $colItems) { $total=$total+ $objItem.Capacity } $isPAEEnabled =Get-WmiObject Win32_OperatingSystem -ComputerName $strComputer Write-Host "Is PAE Enabled: " $isPAEEnabled.PAEEnabled Write-Host "Is /3GB Enabled: " | Get-Content C:\boot.ini | Select-String "/3GB" -Quiet # how can I change to search boot.ini file's contents on $strComputer $smo = new-object('Microsoft.SqlServer.Management.Smo.Server') $strSQLServer $memSrv = $smo.information.physicalMemory $memMin = $smo.configuration.minServerMemory.runValue $memMax = $smo.configuration.maxServerMemory.runValue ## DBMS Write-Host "Server RAM available: " -noNewLine Write-Host "$memSrv MB" -fore "blue" Write-Host "SQL memory Min: " -noNewLine Write-Host "$memMin MB " Write-Host "SQL memory Max: " -noNewLine Write-Host "$memMax MB" Any comments how this can be improved? Thanks in advance

    Read the article

  • How do I do nested transactions in NHibernate?

    - by Gavin Schultz-Ohkubo
    Can I do nested transactions in NHibernate, and how do I implement them? I'm using SQL Server 2008, so support is definitely in the DBMS. I find that if I try something like this: using (var outerTX = UnitOfWork.Current.BeginTransaction()) { using (var nestedTX = UnitOfWork.Current.BeginTransaction()) { ... do stuff nestedTX.Commit(); } outerTX.Commit(); } then by the time it comes to outerTX.Commit() the transaction has become inactive, and results in a ObjectDisposedException on the session AdoTransaction. Are we therefore supposed to create nested NHibernate sessions instead? Or is there some other class we should use to wrap around the transactions (I've heard of TransactionScope, but I'm not sure what that is)? I'm now using Ayende's UnitOfWork implementation (thanks Sneal). Forgive any naivety in this question, I'm still new to NHibernate. Thanks! EDIT: I've discovered that you can use TransactionScope, such as: using (var transactionScope = new TransactionScope()) { using (var tx = UnitOfWork.Current.BeginTransaction()) { ... do stuff tx.Commit(); } using (var tx = UnitOfWork.Current.BeginTransaction()) { ... do stuff tx.Commit(); } transactionScope.Commit(); } However I'm not all that excited about this, as it locks us in to using SQL Server, and also I've found that if the database is remote then you have to worry about having MSDTC enabled... one more component to go wrong. Nested transactions are so useful and easy to do in SQL that I kind of assumed NHibernate would have some way of emulating the same...

    Read the article

  • Setting up a multi-site CMS, collecting thoughts about the DB schema

    - by Ben Fransen
    Hello all, I'm collecting some thoughts about creating a multisite CMS. In my opinion there are two major approaches. All data is stored into 1 database, giving me the advantage of single point of updates; Seperated databases, so each client has its own database. Giving me the advantage to measure bandwith. Option 1 gives me the disadvantage of measuring bandwith while option is giving me the disadvantage of a single point of update structure. Are there any generic approaches for creating a sort of update system? So my clients can download a small package (maybe a zip with a conf file to tell the updatescript where to put all the files and how to extend the database??) Do you guys have some thougths about the best solution for a situation like this? I have my own webserver, full access to all resources and I'm developing in PHP with MySQL as DBMS. I hope to hear from you and I surely appreciate any effort you make to help me further! Greets from Holland, Ben Fransen

    Read the article

  • Add new types to Go

    - by nevalu
    I'm trying add new types for that been managed/used as in Go core types. To create new types is anything very interesting to validate data before of send it to a non-SQL DBMS or to check data from a form. Go uses univeral constants to define them at global level: var DateType = universe.DefineType("date", universePos, &dateType{}) In this case they're defined to be called from a package like types: var Date = &dateType{} I get these errors: test.go:58: o.lit undefined (cannot refer to unexported field lit) test.go:62: *dateType is not Type missing Pos() token.Position The code is based on: http://github.com/tav/go/blob/master/src/pkg/exp/eval/value.go http://github.com/tav/go/blob/master/src/pkg/exp/eval/type.go package main import ( "exp/eval" "fmt" // "go/token" ) // http://github.com/tav/go/blob/master/src/pkg/exp/eval/value.go type DateValue interface { eval.Value Get(*eval.Thread) string Set(*eval.Thread, string) } /* Date */ type dateV string func (v *dateV) String() string { return fmt.Sprint(*v) } func (v *dateV) Assign(t *eval.Thread, o eval.Value) { *v = dateV(o.(DateValue).Get(t)) } func (v *dateV) Get(*eval.Thread) string { return string(*v) } func (v *dateV) Set(t *eval.Thread, x string) { *v = dateV(x) } // http://github.com/tav/go/blob/master/src/pkg/exp/eval/type.go type Type interface { eval.Type // isDate returns true if this is a date type. isDate() bool } /* Common type */ type commonType struct{} // added func (commonType) isDate() bool { return false } /* Date */ type dateType struct { commonType } // * It should not be an universal constant //var universePos = token.Position{"<universe>", 0, 0, 0} // added //var DateType = universe.DefineType("date", universePos, &dateType{}) var Date = &dateType{} func (t *dateType) compat(o Type, conv bool) bool { t2, ok := o.lit().(*dateType) return ok && t == t2 } func (t *dateType) lit() Type { return t } func (t *dateType) isDate() bool { return true } func (t *dateType) String() string { return "<date>" } func (t *dateType) Zero() eval.Value { res := dateV("") return &res } /* Named types */ /* type NamedType struct { eval.NamedType Def Type }*/ type NamedType struct { // added // token.Position Name string // Underlying type. If incomplete is true, this will be nil. // If incomplete is false and this is still nil, then this is // a placeholder type representing an error. Def Type // True while this type is being defined. incomplete bool methods map[string]eval.Method } func (t *NamedType) isDate() bool { return t.Def.isDate() } /* *********************** */ func main() { print("foo") }

    Read the article

  • Cache Class compilation error using parent-child relationships and cache sql storage

    - by Fred Altman
    I have the global listed below that I'm trying to create a couple of cache classes using sql stoarage for: ^WHEAIPP(1,26,1)=2 ^WHEAIPP(1,26,1,1)="58074^^SMSNARE^58311" 2)="58074^59128^MPHILLIPS^59135" ^WHEAIPP(1,29,1)=2 ^WHEAIPP(1,29,1,1)="58074^^SMSNARE^58311" 2)="58074^59128^MPHILLIPS^59135" ^WHEAIPP(1,93,1)=2 ^WHEAIPP(1,93,1,1)="58884^^SSNARE^58948" 2)="58884^59128^MPHILLIPS^59135" ^WHEAIPP(1,166,1)=2 ^WHEAIPP(1,166,1,1)="58407^^SMSNARE^58420" 2)="58407^59128^MPHILLIPS^59135" ^WHEAIPP(1,324,1)=2 ^WHEAIPP(1,324,1,1)="58884^^SSNARE^58948" 2)="58884^59128^MPHILLIPS^59135" ^WHEAIPP(1,419,1)=3 ^WHEAIPP(1,419,1,1)="59707^^SSNARE^59708" 2)="59707^^MPHILLIPS^59910,58000^^^^" 3)="59707^59981^SSNARE^60117,53241^^^^" The first two subscripts of the global (Hmo and Keen) make a unique entry. The third subscript (Seq) has a property (IppLineCount) which is the number of IppLines in the fourth subscript level (Seq2). I create the class WIppProv below which is the parent class: /// <PRE> /// ============================ /// Generated Class Definition /// Table: WMCA_B_IPP_PROV /// Generated by: FXALTMAN /// Generated on: 05/21/2012 13:46:41 /// Generator: XWESTblClsGenV2 /// ---------------------------- /// </PRE> Class XFXA.MCA.WIppProv Extends (%Persistent, %XML.Adaptor) [ ClassType = persistent, Inheritance = right, ProcedureBlock, StorageStrategy = SQLMapping ] { /// .HMO Property Hmo As %Integer; /// .KEEN Property Keen As %Integer; /// .SEQ Property Seq As %String; Property IppLineCount As %Integer; Index iMaster On (Hmo, Keen, Seq) [ IdKey, Unique ]; Relationship IppLines As XFXA.MCA.WIppProvLine [ Cardinality = many, Inverse = relWIppProv ]; <Storage name="SQLMapping"> <DataLocation>^WHEAIPP</DataLocation> <ExtentSize>1000000</ExtentSize> <SQLMap name="DBMS"> <Data name="IppLineCount"> <Delimiter>"^"</Delimiter> <Node>+0</Node> <Piece>1</Piece> </Data> <Global>^WHEAIPP</Global> <PopulationType>full</PopulationType> <Subscript name="1"> <AccessType>Sub</AccessType> <Expression>{Hmo}</Expression> <LoopInitValue>1</LoopInitValue> </Subscript> <Subscript name="2"> <AccessType>Sub</AccessType> <Expression>{Keen}</Expression> </Subscript> <Subscript name="3"> <AccessType>Sub</AccessType> <LoopInitValue>1</LoopInitValue> <Expression>{Seq}</Expression> </Subscript> <Type>data</Type> </SQLMap> <StreamLocation>^XFXA.MCA.WIppProvS</StreamLocation> <Type>%Library.CacheSQLStorage</Type> </Storage> } This class compiles fine. Next I created the WIppProvLine class listed below and made a parent-child relationship between the two: /// Used to represent a single line of IPP data Class XFXA.MCA.WIppProvLine Extends (%Persistent, %XML.Adaptor) [ ClassType = persistent, Inheritance = right, ProcedureBlock, StorageStrategy = SQLMapping ] { /// .CLM_AMT_ALLOWED node: 0 piece: 6<BR> /// This field should be used in conjunction with the Claim Operator field to /// define a whole claim dollar amount at which a particular claim should be /// flagged with a Pend status. Property ClmAmtAllowed As %String; /// .CLM_LINE_AMT_ALLOWED node: 0 piece: 8<BR> /// This field should be used in conjunction with the Clm Line Operator field to /// define a claim line dollar amount at which a particular claim should be flagged /// with a Pend status. Property ClmLineAmtAllowed As %String; /// .CLM_LINE_OP node: 0 piece: 7<BR> /// A new Table/Column Reference that gives the SIU (Special Investigative Unit) /// the ability to look for claim line dollars above, below, or equal to a set /// amount. Property ClmLineOp As %String; /// .CLM_OP node: 0 piece: 5<BR> /// A new Table/Column Reference that gives the SIU (Special Investigative Unit) /// the ability to look for claim dollars above, below, or equal to a set amount. Property ClmOp As %String; Property EffDt As %Date; Property Hmo As %Integer; /// .IPP_REASON node: 0 piece: 10<BR> /// IPP Reason Code Property IppCode As %Integer; Property Keen As %Integer; /// .LAST_CHG_DT node: 0 piece: 4<BR> /// Last Changed Date Property LastChgDt As %Date; /// .PX_DX_CDE_FLAG node: 0 piece: 9<BR> /// A Flag to indicate whether or not Procedure Codes or Diagnosis Codes are to be /// associated with this SIU Flag Type Entry. If the Flag = Y, then control would /// jump to a new screen where the user can enter the necessary codes. Property PxDxCdeFlag As %String; Property Seq As %String; Property Seq2 As %String; Index iMaster On (Hmo, Keen, Seq, Seq2) [ IdKey, PrimaryKey, Unique ]; /// .TERM_DT node: 0 piece: 2<BR> /// Term Date Property TermDt As %Date; /// .USER_INI node: 0 piece: 3 Property UserIni As %String; Relationship relWIppProv As XFXA.MCA.WIppProv [ Cardinality = one, Inverse = IppLines ]; Index relWIppProvIndex On relWIppProv; //Index NewIndex1 On (RelWIppProv, Seq2) [ IdKey, PrimaryKey, Unique ]; <Storage name="SQLMapping"> <ExtentSize>1000000</ExtentSize> <SQLMap name="DBMS"> <ConditionalWithHostVars></ConditionalWithHostVars> <Data name="ClmAmtAllowed"> <Delimiter>"^"</Delimiter> <Node>+0</Node> <Piece>6</Piece> </Data> <Data name="ClmLineAmtAllowed"> <Delimiter>"^"</Delimiter> <Node>+0</Node> <Piece>8</Piece> </Data> <Data name="ClmLineOp"> <Delimiter>"^"</Delimiter> <Node>+0</Node> <Piece>7</Piece> </Data> <Data name="ClmOp"> <Delimiter>"^"</Delimiter> <Node>+0</Node> <Piece>5</Piece> </Data> <Data name="EffDt"> <Delimiter>"^"</Delimiter> <Node>+0</Node> <Piece>1</Piece> </Data> <Data name="Hmo"> <Delimiter>"^"</Delimiter> <Node>+0</Node> <Piece>11</Piece> </Data> <Data name="IppCode"> <Delimiter>"^"</Delimiter> <Node>+0</Node> <Piece>10</Piece> </Data> <Data name="LastChgDt"> <Delimiter>"^"</Delimiter> <Node>+0</Node> <Piece>4</Piece> </Data> <Data name="PxDxCdeFlag"> <Delimiter>"^"</Delimiter> <Node>+0</Node> <Piece>9</Piece> </Data> <Data name="TermDt"> <Delimiter>"^"</Delimiter> <Node>+0</Node> <Piece>2</Piece> </Data> <Data name="UserIni"> <Delimiter>"^"</Delimiter> <Node>+0</Node> <Piece>3</Piece> </Data> <Global>^WHEAIPP</Global> <Subscript name="1"> <AccessType>Sub</AccessType> <Expression>{Hmo}</Expression> <LoopInitValue>1</LoopInitValue> </Subscript> <Subscript name="2"> <AccessType>Sub</AccessType> <Expression>{Keen}</Expression> <LoopInitValue>1</LoopInitValue> </Subscript> <Subscript name="3"> <AccessType>Sub</AccessType> <Expression>{Seq}</Expression> <LoopInitValue>1</LoopInitValue> </Subscript> <Subscript name="4"> <AccessType>Sub</AccessType> <Expression>{Seq2}</Expression> <LoopInitValue>1</LoopInitValue> </Subscript> <Type>data</Type> </SQLMap> <StreamLocation>^XFXA.MCA.WIppProvLineS</StreamLocation> <Type>%Library.CacheSQLStorage</Type> </Storage> } When I try to compile this one I get the following error: ERROR #5502: Error compiling SQL Table 'XFXA_MCA.WIppProvLine %msg: Table XFXA_MCA.WIppProvLine has the following unmapped (not defined on the data map) fields: relWIppProv' ERROR #5030: An error occurred while compiling class XFXA.MCA.WIppProvLine Detected 1 errors during compilation in 2.745s. What am I doing wrong? Thanks in Advance, Fred

    Read the article

  • MySQL FULLTEXT aggravation

    - by southof40
    Hi - I'm having problems with case-sensitivity in MySQL FULLTEXT searches. I've just followed the FULLTEXT example in the MySQL doco at http://dev.mysql.com/doc/refman/5.1/en/fulltext-boolean.html . I'll post it here for ease of reference ... CREATE TABLE articles ( id INT UNSIGNED AUTO_INCREMENT NOT NULL PRIMARY KEY, title VARCHAR(200), body TEXT, FULLTEXT (title,body) ); INSERT INTO articles (title,body) VALUES ('MySQL Tutorial','DBMS stands for DataBase ...'), ('How To Use MySQL Well','After you went through a ...'), ('Optimizing MySQL','In this tutorial we will show ...'), ('1001 MySQL Tricks','1. Never run mysqld as root. 2. ...'), ('MySQL vs. YourSQL','In the following database comparison ...'), ('MySQL Security','When configured properly, MySQL ...'); SELECT * FROM articles WHERE MATCH (title,body) AGAINST ('database' IN NATURAL LANGUAGE MODE); ... my problem is that the example shows that SELECT returning the first and fifth rows ('..DataBase..' and '..database..') but I only get one row ('database') ! The example doesn't demonstrate what collation the table in the example had but I have ended up with latin1_general_cs on the title and body columns of my example table. My version of MySQL is 5.1.39-log and the connection collation is utf8_unicode_ci . I'd be really grateful is someone could suggest why my experience differs from the example in the manual ! Be grateful for any advice.

    Read the article

  • PHP: tips/resources/patterns for learning to implement a basic ORM

    - by BoltClock
    I've seen various MVC frameworks as well as standalone ORM frameworks for PHP, as well as other ORM questions here; however, most of the questions ask for existing frameworks to get started with, which is not what I'm looking for. (I have also read this SO question but I'm not sure what to make of it, and the answers are vague.) Instead, I figured I'd learn best by getting my hands dirty and actually writing my own ORM, even a simple one. Except I don't really know how to get started, especially since the code I see in other ORMs is so complicated. With my PHP 5.2.x (this is important) MVC framework I have a basic custom database abstraction layer, that has: Very simple methods like connect($host, $user, $pass, $base), query($sql, $binds), etc Subclasses for each DBMS that it supports A class (and respective subclasses) to represent SQL result sets But does not have: Active Record functionality, which I assume is an ORM thing (correct me if I'm wrong) I've read up a little about ORM, and from my understanding they provide a means to further abstract data models from the database itself by representing data as nothing more than PHP-based classes/objects; again, correct me if I am wrong or have missed out in any way. Still, I'd like some simple tips from anyone else who's dabbled more or less with ORM frameworks. Is there anything else I need to take note of, simple example code for me to refer to, or resources I can read? Thanks a lot in advance!

    Read the article

  • What is the best method for updating all changed data in EF 4?

    - by Soul_Master
    I try to create some method that can update any changed data from changed Data object (this object is generated by ASP.NET MVC) to old Data object (this object is retrieved from current data in DBMS) like the following code. public static bool UpdateSomeData(SomeEntities context, SomeModelType changedData) { var oldData = GetSomeModelTypeById(context, changedData.ID); UpdateModel(oldData, changedData); return context.SaveChanges() > 0; } I try to create method for saving any changed data without affects other unchanged data like the following source code. public static void UpdateModel<TModel>(TModel oldData, TModel changedData) { foreach (var pi in typeof(TModel).GetProperties() .Where ( // Ignore Change ID property for security reason x => x.Name.ToUpper() != "ID" && x.CanRead && x.CanWrite && ( // It must be primitive type or Guid x.PropertyType.FullName.StartsWith("System") && !x.PropertyType.FullName.StartsWith("System.Collection") && !x.PropertyType.FullName.StartsWith("System.Data.Entity.DynamicProxies") ) ) { var oldValue = pi.GetValue(oldData, null); var newValue = pi.GetValue(changedData, null); if (!oldValue.Equals(newValue)) { pi.SetValue(oldData, newValue, null); } } } I am not sure about the above method because it is so ugly method for updating data. From recent bug, it realizes me that if you update some property like Navigation Properties (related data from other table), it will remove current record from database. I don't understand why it happened. But it is very dangerous for me. So, do you have any idea for this question to ensure me about updating data from ASP.NET MVC? Thanks,

    Read the article

  • oracle plsql select pivot without dynamic sql to group by

    - by kayhan yüksel
    To whom it may respond to, We would like to use SELECT function with PIVOT option at a 11g r2 Oracle DBMS. Our query is like : "select * from (SELECT o.ship_to_customer_no, ol.item_no,ol.amount FROM t_order o, t_order_line ol WHERE o.NO = ol.order_no and ol.item_no in (select distinct(item_no) from t_order_line)) pivot --xml ( SUM(amount) FOR item_no IN ( select distinct(item_no) as item_no_ from t_order_line));" As can be seen, XML is commented out, if run as PIVOT XML it gives the correct output in XML format, but we are required to get the data as unformatted pivot data, but this sentence throws error : ORA-00936: missing expression Any resolutions or ideas would be welcomed, Best Regards -------------if we can get the result of this to sys_refcursor using execute immediate it will be solved ------------------------ the procedure : PROCEDURE pr_test2 (deneme OUT sys_refcursor) IS v_sql NVARCHAR2 (4000) := ''; TYPE v_items IS TABLE OF NVARCHAR2 (30); v_pivot_items NVARCHAR2 (4000) := ''; BEGIN FOR i IN (SELECT DISTINCT (item_no) AS items FROM t_order_line) LOOP v_pivot_items := ',''' || i.items || '''' || v_pivot_items; END LOOP; v_pivot_items := LTRIM (v_pivot_items, ','); v_sql := 'begin select * from (SELECT o.ship_to_customer_no, ol.item_no,ol.amount FROM t_order o, t_order_line ol WHERE o.NO = ol.order_no and OL.ITEM_NO in (select distinct(item_no) from t_order_line)) pivot --xml ( SUM(amount) FOR item_no IN (' || v_pivot_items || '));end;'; open DENEME for select v_sql from dual; Kayhan YÜKSEL

    Read the article

  • [Database] How to model this one-to-one relation?

    - by pbean
    I have several entities which respresent different types of users who need to be able to log in to a particular system. Additionally, they have different types of information associated with them. For example: a "general user", which has an e-mail address and "admin user", which has a workstation number (note that this a hypothetical case). Both entities also share common properties like first name, surname, address and telephone number. Finally, they naturally need to have a (unique) user name and a password to log in. In the application, the user just has to fill in his user name and password, and the functionality of the application changes slightly according to the type of the user. You can imagine that the username needs to be unique for this work. How should I model this effectively? I can't just create two tables, because then I can't force a unique constaint on the user name. I also can't put them all in just one table, because they have different types of specific information associated to them. I think I might need 3 seperate tables, one for "users" (with user name and password), one for the "general users" and another one for the "admin users", but how would the relations between these work? Or is there another solution? (By the way, the target DBMS is MySQL, so I don't think generalization is supported in the database system itself).

    Read the article

  • What database systems should an startup company consider?

    - by Am
    Right now I'm developing the prototype of a web application that aggregates large number of text entries from a large number of users. This data must be frequently displayed back and often updated. At the moment I store the content inside a MySQL database and use NHibernate ORM layer to interact with the DB. I've got a table defined for users, roles, submissions, tags, notifications and etc. I like this solution because it works well and my code looks nice and sane, but I'm also worried about how MySQL will perform once the size of our database reaches a significant number. I feel that it may struggle performing join operations fast enough. This has made me think about non-relational database system such as MongoDB, CouchDB, Cassandra or Hadoop. Unfortunately I have no experience with either. I've read some good reviews on MongoDB and it looks interesting. I'm happy to spend the time and learn if one turns out to be the way to go. I'd much appreciate any one offering points or issues to consider when going with none relational dbms?

    Read the article

  • What is the corrrect way to increment a field making up part of a composit key

    - by Tr1stan
    I have a bunch of tables whose primary key is made up of the foreign keys of other tables (Composite key). Therefore for example the attributes (as a very cut down version) might look like this: A[aPK, SomeFields] 1:M B[bPK, aFK, SomeFields] 1:M C[cPK, bFK, aFK, SomeFields] as data this could look like: A[aPK, SomeFields]: 1, Foo 2, Bar B[bPK, aFK, SomeFields]: 1, 1, FooData1 2, 1, FooData2 1, 2, BarData1 2, 2, BarData2 C[cPK, bFK, aFK, SomeFields]: 1, 1, 1, FooData1More 2, 1, 1, FooData1More 1, 2, 1, FooData2More 2, 2, 1, FooData2More 1, 1, 2, BarData1More 2, 1, 2, BarData1More 1, 2, 2, BarData2More 2, 2, 2, BarData2More I've got this running in a MSSQL DBMS and I'm looking for the best way to increment the left most column, in each table when a new tuple is added to it. I can't use the Auto Increment Identity Specification option as that has no idea that it is part of a composite key. I also don't want to use any aggregate function such as: MAX(field)+1 as this will have adverse affects with multiple users inputting data, rolling back etc. There might however be a nice trigger based option here, but I'm not sure. This must be a common issue so I'm hoping that someone has a lovely solution. As a side which may or may not affect the answer, I'm using Entity Framework 1.0 as my ORM, within a c# MVC application.

    Read the article

  • QSqlQuery UPDATE/INSERT DateTime with server's time (eg CURRENT_TIMESTAMP)

    - by Skinniest Man
    I am using QSqlQuery to insert data into a MySQL database. Currently all I care about is getting this to work with MySQL, but ideally I'd like to keep this as platform-independent as possible. What I'm after, in the context of MySQL, is to end up with code that effectively executes something like the following query: UPDATE table SET time_field=CURRENT_TIMESTAMP() WHERE id='5' The following code is what I have attempted, but it fails: QSqlQuery query; query.prepare("INSERT INTO table SET time_field=? WHERE id=?"); query.addBindValue("CURRENT_TIMESTAMP()"); query.addBindValue(5); query.exec(); The error I get is: Incorrect datetime value: 'CURRENT_TIMESTAMP()' for column 'time_field' at row 1 QMYSQL3: Unable to execute statement. I am not surprised as I assume Qt is doing some type checking when it binds values. I have dug through the Qt documentation as well as I know how, but I can't find anything in the API designed specifically for supporting MySQL's CURRENT_TIMESTAMP() function, or that of any other DBMS. Any suggestions?

    Read the article

  • Why am I returning empty records when querying in mysql with php?

    - by Brian Bolton
    I created the following script to query a table and return the first 30 results. The query returns 30 results, but they do not have any text or information. Why would this be? The table stores Vietnamese characters. The database is mysql4. Here's the page: http://saomaidanang.com/recentposts.php Here's the code: <?php header( 'Content-Type: text/html; charset=utf-8' ); //CONNECTION INFO $dbms = 'mysql'; $dbhost = 'xxxxx'; $dbname = 'xxxxxxx'; $dbuser = 'xxxxxxx'; $dbpasswd = 'xxxxxxxxxxxx'; $conn = mysql_connect($dbhost, $dbuser, $dbpasswd ) or die('Error connecting to mysql'); mysql_select_db($dbname , $conn); //QUERY $result = mysql_query("SET NAMES utf8"); $cmd = 'SELECT * FROM `phpbb_posts_text` ORDER BY `phpbb_posts_text`.`post_subject` DESC LIMIT 0, 30 '; $result = mysql_query($cmd); ?> <!DOCTYPE HTML PUBLIC "-//W3C//DTD HTML 4.01 Transitional//EN"> <html dir="ltr"> <head> <title>recent posts</title> <meta http-equiv="Content-Type" content="text/html; charset=utf-8" /> </head> <body> <p> <?php //DISPLAY while ($myrow = mysql_fetch_row($result)) { echo 'post subject:'; echo(utf8_encode($myrow ['post_subject'])); echo 'post text:'; echo(utf8_encode($myrow ['post_text'])); } ?> </p> </body>

    Read the article

  • SQL indexes for "not equal" searches

    - by bortzmeyer
    The SQL index allows to find quickly a string which matches my query. Now, I have to search in a big table the strings which do not match. Of course, the normal index does not help and I have to do a slow sequential scan: essais=> \d phone_idx Index "public.phone_idx" Column | Type --------+------ phone | text btree, for table "public.phonespersons" essais=> EXPLAIN SELECT person FROM PhonesPersons WHERE phone = '+33 1234567'; QUERY PLAN ------------------------------------------------------------------------------- Index Scan using phone_idx on phonespersons (cost=0.00..8.41 rows=1 width=4) Index Cond: (phone = '+33 1234567'::text) (2 rows) essais=> EXPLAIN SELECT person FROM PhonesPersons WHERE phone != '+33 1234567'; QUERY PLAN ---------------------------------------------------------------------- Seq Scan on phonespersons (cost=0.00..18621.00 rows=999999 width=4) Filter: (phone <> '+33 1234567'::text) (2 rows) I understand (see Mark Byers' very good explanations) that PostgreSQL can decide not to use an index when it sees that a sequential scan would be faster (for instance if almost all the tuples match). But, here, "not equal" searches are really slower. Any way to make these "is not equal to" searches faster? Here is another example, to address Mark Byers' excellent remarks. The index is used for the '=' query (which returns the vast majority of tuples) but not for the '!=' query: essais=> EXPLAIN ANALYZE SELECT person FROM EmailsPersons WHERE tld(email) = 'fr'; QUERY PLAN ------------------------------------------------------------------------------------------------------------------------------------ Index Scan using tld_idx on emailspersons (cost=0.25..4010.79 rows=97033 width=4) (actual time=0.137..261.123 rows=97110 loops=1) Index Cond: (tld(email) = 'fr'::text) Total runtime: 444.800 ms (3 rows) essais=> EXPLAIN ANALYZE SELECT person FROM EmailsPersons WHERE tld(email) != 'fr'; QUERY PLAN -------------------------------------------------------------------------------------------------------------------- Seq Scan on emailspersons (cost=0.00..27129.00 rows=2967 width=4) (actual time=1.004..1031.224 rows=2890 loops=1) Filter: (tld(email) <> 'fr'::text) Total runtime: 1037.278 ms (3 rows) DBMS is PostgreSQL 8.3 (but I can upgrade to 8.4).

    Read the article

  • Need some clarification on the ANSI/SPARC 3-tier database architecture.

    - by Moonshield
    Hi there, I'm currently revising for a databases exam and looking over some past papers, but there's one question that I'm slightly unsure about and was wondering if someone could offer some assistance. "Describe EACH of the THREE levels of the ANSI SPARC 3 level architecture. Your answer should include the purpose of EACH of the schemas, the level of abstraction they provide and the software tools that would be used to access and support them." As I understand it (although please correct me if I'm wrong): the internal schema specifies the physical storage of the data; the conceptual schema specifies the structure of the database and the domains; and the external schemas are how the database is viewed by "users" (applications, etc.). As for the abstraction, I understand that the conceptual layer means that the physical data storage can be altered without the end user being affected, likewise the The bit that I'm not sure about is what tools are used to access and support each layer. Would the internal schema be handled by the DBMS, the conceptual schema handled by some sort of DDL interpreter and the external schema handled by a DML interpreter (or have I misunderstood what each level does)? Any assistance would be greatly appreciated. Thanks, Moonshield

    Read the article

< Previous Page | 15 16 17 18 19 20 21 22 23 24 25 26  | Next Page >