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  • MySQL Need help constructing query: join multiple tables into single row

    - by Jed Daniels
    Hello stackoverflowers, Forgive me if this question has been asked and answered, I've searched and found a few that look similar but I'm too much of a novice with SQL to adapt them to my needs. Also forgive me if I don't use the correct terminology, I know it can be annoying when someone asks a question and they don't even know enough to be able to ask for what they need. I'm helping a friend gather some data, and need to perform a query that results in a single row per record, but instead I get multiple rows. Here is an example of what I'm querying right now (simplified, hopefully not too much): SELECT * FROM `table_one` AS t1 INNER JOIN `table_two` AS t2 ON t1.id = t2.id INNER JOIN `table_three` AS t3 ON t1.id = t3.id WHERE 1 The result is: id text number 5 Subtotal 17 5 Tax 3 5 Total 20 What I need is to create a query that results in something more like this: id text number text number text number 5 subtotal 17 Tax 3 Total 20 Any assistance/guidance would be much appreciated. Thanks! --jed

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  • Why is a report, in SSRS, when viewed in preview mode looks different when viewed in print layout mo

    - by Dean
    I have a report that was originally built in report builder and then imported into Visual Studio to add some other formating to it. The report has a header and a body section. In the body section there is a column that shows commission and the commission is subtotaled for each sales person. There is a page break for each sales person as well. When I preview the report, the subtotal appears as it should for each sales person, but when I either look at it in print layout mode or send it to the printer, the subtotal appears in the body section of the next page, which is the next sales person. Why is it behaving like this and how can I fix this? Thanks.

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  • crystal reporting in vs2008

    - by hatem gamil
    hi all i wana ask a question about crystal reporting in vs 2008 lets say i have a report with these data customer_ID Customer_Name Order_amoont Order_Date (#group1 VipCustomer) 1 xyz 3 1/1/2010 2 abc 4 2/2/2010 5 sds 21 3/12/2009 (#Group2 NormalCustomer) 3 tyt 2 3/3/2010 4 ha 4 21/3/2009 i want only to display records where Order_Date year is in 2010 only so i went to the section expert and i added a condintion in suppress formula Year(order_Date)=2010 and i get the result ,,the question is how to count how many vip customers ordered in 2010 only and how many normal customer order in 2010 only ,,then i want the total number of both type of customers to be displayed to have a report like that:: customer_ID Customer_Name Order_amoont Order_Date (#group1 VipCustomer) 1 xyz 3 1/1/2010 2 abc 4 2/2/2010 subtotal 2 (#Group2 NormalCustomer) 3 tyt 2 3/3/2010 subtotal 1 total 3 thnx

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  • counting fields based on group in crystal report

    - by hatem gamil
    hi all i wana ask a question about crystal reporting in vs 2008 lets say i have a report with these data customer_ID Customer_Name Order_amoont Order_Date (#group1 VipCustomer) 1 xyz 3 1/1/2010 2 abc 4 2/2/2010 5 sds 21 3/12/2009 (#Group2 NormalCustomer) 3 tyt 2 3/3/2010 4 ha 4 21/3/2009 i want only to display records where Order_Date year is in 2010 only so i went to the section expert and i added a condintion in suppress formula Year(order_Date)=2010 and i get the result ,,the question is how to count how many vip customers ordered in 2010 only and how many normal customer order in 2010 only ,,then i want the total number of both type of customers to be displayed to have a report like that:: customer_ID Customer_Name Order_amoont Order_Date (#group1 VipCustomer) 1 xyz 3 1/1/2010 2 abc 4 2/2/2010 subtotal 2 (#Group2 NormalCustomer) 3 tyt 2 3/3/2010 subtotal 1 total 3 thnx

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  • Zend Framework PartialLoop - questions

    - by Ian Warner
    Hi Ok dealing with Partial Loops I want to do several things Perhaps pass in extra variables - seen it done like this echo $this-partialLoop('Loop.phtml', array('data' = $data, 'var1' = foo)); But this does not seem to work - I can not extra the data using $this-var $this-data-var or $data-var not sure how to access the data in the loop Sutotals for columns - need a way of resetting variables or passing in a default value - linked to the above I suppose ie $subtotal += rowTotal; In the view that calls the partial I would like to get access to the subtotal values generated so I can display these in another table below. Any help appreciated the docs on partialLoop seems incomplete. Ian

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  • SQL Server: How to remove empty lines in SSMS?

    - by atricapilla
    I have many .sql files with lots of empty lines e.g. WITH cteTotalSales (SalesPersonID, NetSales) AS ( SELECT SalesPersonID, ROUND(SUM(SubTotal), 2) FROM Sales.SalesOrderHeader WHERE SalesPersonID IS NOT NULL GROUP BY SalesPersonID ) SELECT sp.FirstName + ' ' + sp.LastName AS FullName, sp.City + ', ' + StateProvinceName AS Location, ts.NetSales FROM Sales.vSalesPerson AS sp INNER JOIN cteTotalSales AS ts ON sp.BusinessEntityID = ts.SalesPersonID ORDER BY ts.NetSales DESC Is ther a way to remove these empty lines in SQL Server Management Studio? This is what I would like to have: WITH cteTotalSales (SalesPersonID, NetSales) AS ( SELECT SalesPersonID, ROUND(SUM(SubTotal), 2) FROM Sales.SalesOrderHeader WHERE SalesPersonID IS NOT NULL GROUP BY SalesPersonID ) SELECT sp.FirstName + ' ' + sp.LastName AS FullName, sp.City + ', ' + StateProvinceName AS Location, ts.NetSales FROM Sales.vSalesPerson AS sp INNER JOIN cteTotalSales AS ts ON sp.BusinessEntityID = ts.SalesPersonID ORDER BY ts.NetSales DESC

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  • C++ run error: pointer being freed was not allocated

    - by Dale Reves
    I'm learning c++ and am working on a program that keeps giving me a 'pointer being freed was not allocated' error. It's a grocery store program that inputs data from a txt file, then user can enter item# & qty. I've read through similar questions but what's throwing me off is the 'pointer' issue. I would appreciate if someone could take a look and help me out. I'm using Netbeans IDE 7.2 on a Mac. I'll just post the whole piece I have so far. Thx. #include <iostream> #include <fstream> #include <string> #include <vector> using namespace std; class Product { public: // PLU Code int getiPluCode() { return iPluCode; } void setiPluCode( int iTempPluCode) { iPluCode = iTempPluCode; } // Description string getsDescription() { return sDescription; } void setsDescription( string sTempDescription) { sDescription = sTempDescription; } // Price double getdPrice() { return dPrice; } void setdPrice( double dTempPrice) { dPrice = dTempPrice; } // Type..weight or unit int getiType() { return iType; } void setiType( int iTempType) { iType = iTempType; } // Inventory quantity double getdInventory() { return dInventory; } void setdInventory( double dTempInventory) { dInventory = dTempInventory; } private: int iPluCode; string sDescription; double dPrice; int iType; double dInventory; }; int main () { Product paInventory[21]; // Create inventory array Product paPurchase[21]; // Create customer purchase array // Constructor to open inventory input file ifstream InputInventory ("inventory.txt", ios::in); //If ifstream could not open the file if (!InputInventory) { cerr << "File could not be opened" << endl; exit (1); }//end if int x = 0; while (!InputInventory.eof () ) { int iTempPluCode; string sTempDescription; double dTempPrice; int iTempType; double dTempInventory; InputInventory >> iTempPluCode >> sTempDescription >> dTempPrice >> iTempType >> dTempInventory; paInventory[x].setiPluCode(iTempPluCode); paInventory[x].setsDescription(sTempDescription); paInventory[x].setdPrice(dTempPrice); paInventory[x].setiType(iTempType); paInventory[x].setdInventory(dTempInventory); x++; } bool bQuit = false; //CREATE MY TOTAL VARIABLE HERE! int iUserItemCount; do { int iUserPLUCode; double dUserAmount; double dAmountAvailable; int iProductIndex = -1; //CREATE MY SUBTOTAL VARIABLE HERE! while(iProductIndex == -1) { cout<<"Please enter the PLU Code of the product."<< endl; cin>>iUserPLUCode; for(int i = 0; i < 21; i++) { if(iUserPLUCode == paInventory[i].getiPluCode()) { dAmountAvailable = paInventory[i].getdInventory(); iProductIndex = i; } } //PLU code entry validation if(iProductIndex == -1) { cout << "You have entered an invalid PLU Code."; } } cout<<"Enter the quantity to buy.\n"<< "There are "<< dAmountAvailable << "available.\n"; cin>> dUserAmount; while(dUserAmount > dAmountAvailable) { cout<<"That's too many, please try again"; cin>>dUserAmount; } paPurchase[iUserItemCount].setiPluCode(iUserPLUCode);// Array of objects function calls paPurchase[iUserItemCount].setdInventory(dUserAmount); paPurchase[iUserItemCount].setdPrice(paInventory[iProductIndex].getdPrice()); paInventory[iProductIndex].setdInventory( paInventory[iProductIndex].getdInventory() - dUserAmount ); iUserItemCount++; cout <<"Are you done purchasing items? Enter 1 for yes and 0 for no.\n"; cin >> bQuit; //NOTE: Put Amount * quantity for subtotal //NOTE: Put code to update subtotal (total += subtotal) // NOTE: Need to create the output txt file! }while(!bQuit); return 0; }

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  • ASP.NET MVC 2 Model Binding for a Collection

    - by nmarun
    Yes, my yet another post on Model Binding (previous one is here), but this one uses features presented in MVC 2. How I got to writing this blog? Well, I’m on a project where we’re doing some MVC things for a shopping cart. Let me show you what I was working with. Below are my model classes: 1: public class Product 2: { 3: public int Id { get; set; } 4: public string Name { get; set; } 5: public int Quantity { get; set; } 6: public decimal UnitPrice { get; set; } 7: } 8:   9: public class Totals 10: { 11: public decimal SubTotal { get; set; } 12: public decimal Tax { get; set; } 13: public decimal Total { get; set; } 14: } 15:   16: public class Basket 17: { 18: public List<Product> Products { get; set; } 19: public Totals Totals { get; set;} 20: } The view looks as below:  1: <h2>Shopping Cart</h2> 2:   3: <% using(Html.BeginForm()) { %> 4: 5: <h3>Products</h3> 6: <% for (int i = 0; i < Model.Products.Count; i++) 7: { %> 8: <div style="width: 100px;float:left;">Id</div> 9: <div style="width: 100px;float:left;"> 10: <%= Html.TextBox("ID", Model.Products[i].Id) %> 11: </div> 12: <div style="clear:both;"></div> 13: <div style="width: 100px;float:left;">Name</div> 14: <div style="width: 100px;float:left;"> 15: <%= Html.TextBox("Name", Model.Products[i].Name) %> 16: </div> 17: <div style="clear:both;"></div> 18: <div style="width: 100px;float:left;">Quantity</div> 19: <div style="width: 100px;float:left;"> 20: <%= Html.TextBox("Quantity", Model.Products[i].Quantity)%> 21: </div> 22: <div style="clear:both;"></div> 23: <div style="width: 100px;float:left;">Unit Price</div> 24: <div style="width: 100px;float:left;"> 25: <%= Html.TextBox("UnitPrice", Model.Products[i].UnitPrice)%> 26: </div> 27: <div style="clear:both;"><hr /></div> 28: <% } %> 29: 30: <h3>Totals</h3> 31: <div style="width: 100px;float:left;">Sub Total</div> 32: <div style="width: 100px;float:left;"> 33: <%= Html.TextBox("SubTotal", Model.Totals.SubTotal)%> 34: </div> 35: <div style="clear:both;"></div> 36: <div style="width: 100px;float:left;">Tax</div> 37: <div style="width: 100px;float:left;"> 38: <%= Html.TextBox("Tax", Model.Totals.Tax)%> 39: </div> 40: <div style="clear:both;"></div> 41: <div style="width: 100px;float:left;">Total</div> 42: <div style="width: 100px;float:left;"> 43: <%= Html.TextBox("Total", Model.Totals.Total)%> 44: </div> 45: <div style="clear:both;"></div> 46: <p /> 47: <input type="submit" name="Submit" value="Submit" /> 48: <% } %> .csharpcode, .csharpcode pre { font-size: small; color: black; font-family: consolas, "Courier New", courier, monospace; background-color: #ffffff; /*white-space: pre;*/ } .csharpcode pre { margin: 0em; } .csharpcode .rem { color: #008000; } .csharpcode .kwrd { color: #0000ff; } .csharpcode .str { color: #006080; } .csharpcode .op { color: #0000c0; } .csharpcode .preproc { color: #cc6633; } .csharpcode .asp { background-color: #ffff00; } .csharpcode .html { color: #800000; } .csharpcode .attr { color: #ff0000; } .csharpcode .alt { background-color: #f4f4f4; width: 100%; margin: 0em; } .csharpcode .lnum { color: #606060; } .csharpcode, .csharpcode pre { font-size: small; color: black; font-family: consolas, "Courier New", courier, monospace; background-color: #ffffff; /*white-space: pre;*/ } .csharpcode pre { margin: 0em; } .csharpcode .rem { color: #008000; } .csharpcode .kwrd { color: #0000ff; } .csharpcode .str { color: #006080; } .csharpcode .op { color: #0000c0; } .csharpcode .preproc { color: #cc6633; } .csharpcode .asp { background-color: #ffff00; } .csharpcode .html { color: #800000; } .csharpcode .attr { color: #ff0000; } .csharpcode .alt { background-color: #f4f4f4; width: 100%; margin: 0em; } .csharpcode .lnum { color: #606060; } Nothing fancy, just a bunch of div’s containing textboxes and a submit button. Just make note that the textboxes have the same name as the property they are going to display. Yea, yea, I know. I’m displaying unit price as a textbox instead of a label, but that’s beside the point (and trust me, this will not be how it’ll look on the production site!!). The way my controller works is that initially two dummy products are added to the basked object and the Totals are calculated based on what products were added in what quantities and their respective unit price. So when the page loads in edit mode, where the user can change the quantity and hit the submit button. In the ‘post’ version of the action method, the Totals get recalculated and the new total will be displayed on the screen. Here’s the code: 1: public ActionResult Index() 2: { 3: Product product1 = new Product 4: { 5: Id = 1, 6: Name = "Product 1", 7: Quantity = 2, 8: UnitPrice = 200m 9: }; 10:   11: Product product2 = new Product 12: { 13: Id = 2, 14: Name = "Product 2", 15: Quantity = 1, 16: UnitPrice = 150m 17: }; 18:   19: List<Product> products = new List<Product> { product1, product2 }; 20:   21: Basket basket = new Basket 22: { 23: Products = products, 24: Totals = ComputeTotals(products) 25: }; 26: return View(basket); 27: } 28:   29: [HttpPost] 30: public ActionResult Index(Basket basket) 31: { 32: basket.Totals = ComputeTotals(basket.Products); 33: return View(basket); 34: } .csharpcode, .csharpcode pre { font-size: small; color: black; font-family: consolas, "Courier New", courier, monospace; background-color: #ffffff; /*white-space: pre;*/ } .csharpcode pre { margin: 0em; } .csharpcode .rem { color: #008000; } .csharpcode .kwrd { color: #0000ff; } .csharpcode .str { color: #006080; } .csharpcode .op { color: #0000c0; } .csharpcode .preproc { color: #cc6633; } .csharpcode .asp { background-color: #ffff00; } .csharpcode .html { color: #800000; } .csharpcode .attr { color: #ff0000; } .csharpcode .alt { background-color: #f4f4f4; width: 100%; margin: 0em; } .csharpcode .lnum { color: #606060; } That’s that. Now I run the app, I see two products with the totals section below them. I look at the view source and I see that the input controls have the right ID, the right name and the right value as well. 1: <input id="ID" name="ID" type="text" value="1" /> 2: <input id="Name" name="Name" type="text" value="Product 1" /> 3: ... 4: <input id="ID" name="ID" type="text" value="2" /> 5: <input id="Name" name="Name" type="text" value="Product 2" /> .csharpcode, .csharpcode pre { font-size: small; color: black; font-family: consolas, "Courier New", courier, monospace; background-color: #ffffff; /*white-space: pre;*/ } .csharpcode pre { margin: 0em; } .csharpcode .rem { color: #008000; } .csharpcode .kwrd { color: #0000ff; } .csharpcode .str { color: #006080; } .csharpcode .op { color: #0000c0; } .csharpcode .preproc { color: #cc6633; } .csharpcode .asp { background-color: #ffff00; } .csharpcode .html { color: #800000; } .csharpcode .attr { color: #ff0000; } .csharpcode .alt { background-color: #f4f4f4; width: 100%; margin: 0em; } .csharpcode .lnum { color: #606060; } So just as a regular user would do, I change the quantity value of one of the products and hit the submit button. The ‘post’ version of the Index method gets called and I had put a break-point on line 32 in the above snippet. When I hovered my mouse on the ‘basked’ object, happily assuming that the object would be all bound and ready for use, I was surprised to see both basket.Products and basket.Totals were null. Huh? A little research and I found out that the reason the DefaultModelBinder could not do its job is because of a naming mismatch on the input controls. What I mean is that when you have to bind to a custom .net type, you need more than just the property name. You need to pass a qualified name to the name property of the input control. I modified my view and the emitted code looked as below: 1: <input id="Product_Name" name="Product.Name" type="text" value="Product 1" /> 2: ... 3: <input id="Product_Name" name="Product.Name" type="text" value="Product 2" /> 4: ... 5: <input id="Totals_SubTotal" name="Totals.SubTotal" type="text" value="550" /> .csharpcode, .csharpcode pre { font-size: small; color: black; font-family: consolas, "Courier New", courier, monospace; background-color: #ffffff; /*white-space: pre;*/ } .csharpcode pre { margin: 0em; } .csharpcode .rem { color: #008000; } .csharpcode .kwrd { color: #0000ff; } .csharpcode .str { color: #006080; } .csharpcode .op { color: #0000c0; } .csharpcode .preproc { color: #cc6633; } .csharpcode .asp { background-color: #ffff00; } .csharpcode .html { color: #800000; } .csharpcode .attr { color: #ff0000; } .csharpcode .alt { background-color: #f4f4f4; width: 100%; margin: 0em; } .csharpcode .lnum { color: #606060; } Now, I update the quantity and hit the submit button and I see that the Totals object is populated, but the Products list is still null. Once again I went: ‘Hmm.. time for more research’. I found out that the way to do this is to provide the name as: 1: <%= Html.TextBox(string.Format("Products[{0}].ID", i), Model.Products[i].Id) %> 2: <!-- this will be rendered as --> 3: <input id="Products_0__ID" name="Products[0].ID" type="text" value="1" /> .csharpcode, .csharpcode pre { font-size: small; color: black; font-family: consolas, "Courier New", courier, monospace; background-color: #ffffff; /*white-space: pre;*/ } .csharpcode pre { margin: 0em; } .csharpcode .rem { color: #008000; } .csharpcode .kwrd { color: #0000ff; } .csharpcode .str { color: #006080; } .csharpcode .op { color: #0000c0; } .csharpcode .preproc { color: #cc6633; } .csharpcode .asp { background-color: #ffff00; } .csharpcode .html { color: #800000; } .csharpcode .attr { color: #ff0000; } .csharpcode .alt { background-color: #f4f4f4; width: 100%; margin: 0em; } .csharpcode .lnum { color: #606060; } It was only now that I was able to see both the products and the totals being properly bound in the ‘post’ action method. Somehow, I feel this is kinda ‘clunky’ way of doing things. Seems like people at MS felt in a similar way and offered us a much cleaner way to solve this issue. The simple solution is that instead of using a Textbox, we can either use a TextboxFor or an EditorFor helper method. This one directly spits out the name of the input property as ‘Products[0].ID and so on. Cool right? I totally fell for this and changed my UI to contain EditorFor helper method. At this point, I ran the application, changed the quantity field and pressed the submit button. Of course my basket object parameter in my action method was correctly bound after these changes. I let the app complete the rest of the lines in the action method. When the page finally rendered, I did see that the quantity was changed to what I entered before the post. But, wait a minute, the totals section did not reflect the changes and showed the old values. My status: COMPLETELY PUZZLED! Just to recap, this is what my ‘post’ Index method looked like: 1: [HttpPost] 2: public ActionResult Index(Basket basket) 3: { 4: basket.Totals = ComputeTotals(basket.Products); 5: return View(basket); 6: } .csharpcode, .csharpcode pre { font-size: small; color: black; font-family: consolas, "Courier New", courier, monospace; background-color: #ffffff; /*white-space: pre;*/ } .csharpcode pre { margin: 0em; } .csharpcode .rem { color: #008000; } .csharpcode .kwrd { color: #0000ff; } .csharpcode .str { color: #006080; } .csharpcode .op { color: #0000c0; } .csharpcode .preproc { color: #cc6633; } .csharpcode .asp { background-color: #ffff00; } .csharpcode .html { color: #800000; } .csharpcode .attr { color: #ff0000; } .csharpcode .alt { background-color: #f4f4f4; width: 100%; margin: 0em; } .csharpcode .lnum { color: #606060; } A careful debug confirmed that the basked.Products[0].Quantity showed the updated value and the ComputeTotals() method also returns the correct totals. But still when I passed this basket object, it ended up showing the old totals values only. I began playing a bit with the code and my first guess was that the input controls got their values from the ModelState object. For those who don’t know, the ModelState is a temporary storage area that ASP.NET MVC uses to retain incoming attempted values plus binding and validation errors. Also, the fact that input controls populate the values using data taken from: Previously attempted values recorded in the ModelState["name"].Value.AttemptedValue Explicitly provided value (<%= Html.TextBox("name", "Some value") %>) ViewData, by calling ViewData.Eval("name") FYI: ViewData dictionary takes precedence over ViewData's Model properties – read more here. These two indicators led to my guess. It took me quite some time, but finally I hit this post where Brad brilliantly explains why this is the preferred behavior. My guess was right and I, accordingly modified my code to reflect the following way: 1: [HttpPost] 2: public ActionResult Index(Basket basket) 3: { 4: // read the following posts to see why the ModelState 5: // needs to be cleared before passing it the view 6: // http://forums.asp.net/t/1535846.aspx 7: // http://forums.asp.net/p/1527149/3687407.aspx 8: if (ModelState.IsValid) 9: { 10: ModelState.Clear(); 11: } 12:   13: basket.Totals = ComputeTotals(basket.Products); 14: return View(basket); 15: } .csharpcode, .csharpcode pre { font-size: small; color: black; font-family: consolas, "Courier New", courier, monospace; background-color: #ffffff; /*white-space: pre;*/ } .csharpcode pre { margin: 0em; } .csharpcode .rem { color: #008000; } .csharpcode .kwrd { color: #0000ff; } .csharpcode .str { color: #006080; } .csharpcode .op { color: #0000c0; } .csharpcode .preproc { color: #cc6633; } .csharpcode .asp { background-color: #ffff00; } .csharpcode .html { color: #800000; } .csharpcode .attr { color: #ff0000; } .csharpcode .alt { background-color: #f4f4f4; width: 100%; margin: 0em; } .csharpcode .lnum { color: #606060; } What this does is that in the case where your ModelState IS valid, it clears the dictionary. This enables the values to be read from the model directly and not from the ModelState. So the verdict is this: If you need to pass other parameters (like html attributes and the like) to your input control, use 1: <%= Html.TextBox(string.Format("Products[{0}].ID", i), Model.Products[i].Id) %> .csharpcode, .csharpcode pre { font-size: small; color: black; font-family: consolas, "Courier New", courier, monospace; background-color: #ffffff; /*white-space: pre;*/ } .csharpcode pre { margin: 0em; } .csharpcode .rem { color: #008000; } .csharpcode .kwrd { color: #0000ff; } .csharpcode .str { color: #006080; } .csharpcode .op { color: #0000c0; } .csharpcode .preproc { color: #cc6633; } .csharpcode .asp { background-color: #ffff00; } .csharpcode .html { color: #800000; } .csharpcode .attr { color: #ff0000; } .csharpcode .alt { background-color: #f4f4f4; width: 100%; margin: 0em; } .csharpcode .lnum { color: #606060; } Since, in EditorFor, there is no direct and simple way of passing this information to the input control. If you don’t have to pass any such ‘extra’ piece of information to the control, then go the EditorFor way. The code used in the post can be found here.

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  • Should I map a domain object to a view model using an optional constructor?

    - by Byron Sommardahl
    I'd like to be able to map a domain model to a view model by newing up a view model and passing in the contributing domain model as a parameter (like the code below). My motivation is to keep from re-using mapping code AND to provide a simple way to map (not using automapper yet). A friend says the view model should not know anything about the "payment" domain model that's being passed into the optional constructor. What do you think? public class LineItemsViewModel { public LineItemsViewModel() { } public LineItemsViewModel(IPayment payment) { LineItemColumnHeaders = payment.MerchantContext.Profile.UiPreferences.LineItemColumnHeaders; LineItems = LineItemDomainToViewModelMapper.MapToViewModel(payment.LineItems); ConvenienceFeeAmount = payment.ConvenienceFee.Fee; SubTotal = payment.PaymentAmount; Total = payment.PaymentAmount + payment.ConvenienceFee.Fee; } public IEnumerable<Dictionary<int, string>> LineItems { get; set; } public Dictionary<int, string> LineItemColumnHeaders { get; set; } public decimal SubTotal { get; set; } public decimal ConvenienceFeeAmount { get; set; } public decimal Total { get; set; } }

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  • define keys in multidimensional array from csv

    - by mourique
    I want to compare two arrays, one coming from a shoppingcart and the other one parsed from a csv-file. The array from the shopping cart looks like this: Array ( [0] => Array ( [id] => 7 [qty] => 1 [price] => 07.39 [name] => walkthebridge [subtotal] => 7.39 ) [1] => Array ( [id] => 2 [qty] => 1 [price] => 07.39 [name] => milkyway [subtotal] => 7.39 ) ) The array from my csv-file however looks like this Array ( [0] => Array ( [0] => 1 [1] => walkthebridge [2] => 07.39 ) [1] => Array ( [0] => 2 [1] => milkyway [2] => 07.39 ) ) and is build using this code $checkitems = array(); $file = fopen('checkitems.csv', 'r'); while (($result = fgetcsv($file)) !== false) { $checkitems[] = $result; } fclose($file); how can i get the keys in the second array to match those in the first one? ( So that 0 would be id, and 1 would be name and so on) thanks in advance

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  • How to track auto-generated id's in select-insert statement

    - by k rey
    I have two tables detail and head. The detail table will be written first. Later, the head table will be written. The head is a summary of the detail table. I would like to keep a reference from the detail to the head table. I have a solution but it is not elegant and requires duplicating the joins and filters that were used during summation. I am looking for a better solution. The below is an example of what I currently have. In this example, I have simplified the table structure. In the real world, the summation is very complex. -- Preparation create table #detail ( detail_id int identity(1,1) , code char(4) , amount money , head_id int null ); create table #head ( head_id int identity(1,1) , code char(4) , subtotal money ); insert into #detail ( code, amount ) values ( 'A', 5 ); insert into #detail ( code, amount ) values ( 'A', 5 ); insert into #detail ( code, amount ) values ( 'B', 2 ); insert into #detail ( code, amount ) values ( 'B', 2 ); -- I would like to somehow simplify the following two queries insert into #head ( code, subtotal ) select code, sum(amount) from #detail group by code update #detail set head_id = h.head_id from #detail d inner join #head h on d.code = h.code -- This is the desired end result select * from #detail Desired end result of detail table: detail_id code amount head_id 1 A 5.00 1 2 A 5.00 1 3 B 2.00 2 4 B 2.00 2

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  • Have Excel's Correlation Function Respect Filtering

    - by Dave
    I've got a cell that's using the CORREL function to return the correlation of two rows of data in my spreadsheet. The issue is that I'd like this to update based on the filter that I have applied. I'm using the SUBTOTAL function to do this for other functions such as SUM and AVERAGE. How can I get my correlation function to do the same thing and respect the filter that I have applied?

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  • Cannot add namespace prefix to children using XSL

    - by Erdal
    I checked many answers here and I think I am almost there. One thing that is bugging me (and for some reason my peer needs it) follows: I have the following input XML: <?xml version="1.0" encoding="utf-8"?> <MyRoot> <MyRequest CompletionCode="0" CustomerID="9999999999"/> <List TotalList="1"> <Order CustomerID="999999999" OrderNo="0000000001" Status="Shipped"> <BillToAddress ZipCode="22221"/> <ShipToAddress ZipCode="22222"/> <Totals Tax="0.50" SubTotal="10.00" Shipping="4.95"/> </Order> </List> <Errors/> </MyRoot> I was asked to produce this: <ns:MyNewRoot xmlns:ns="http://schemas.foo.com/response" xmlns:N1="http://schemas.foo.com/request" xmlns:N2="http://schemas.foo.com/details"> <N1:MyRequest CompletionCode="0" CustomerID="9999999999"/> <ns:List TotalList="1"> <N2:Order CustomerID="999999999" Level="Preferred" Status="Shipped"> <N2:BillToAddress ZipCode="22221"/> <N2:ShipToAddress ZipCode="22222"/> <N2:Totals Tax="0.50" SubTotal="10.00" Shipping="4.95"/> </N2:Order> </ns:List> <ns:Errors/> </ns:MyNewRoot> Note the children of the N2:Order also needs N2: prefix as well as the ns: prefix for the rest of the elements. I use the XSL transformation below: <xsl:stylesheet version="1.0" xmlns:xsl="http://www.w3.org/1999/XSL/Transform"> <xsl:output omit-xml-declaration="yes" indent="yes"/> <xsl:template match="@* | node()"> <xsl:copy> <xsl:apply-templates select="@* | node()"/> </xsl:copy> </xsl:template> <xsl:template match="/MyRoot"> <MyNewRoot xmlns="http://schemas.foo.com/response" xmlns:N1="http://schemas.foo.com/request" xmlns:N2="http://schemas.foo.com/details"> <xsl:apply-templates/> </MyNewRoot> </xsl:template> <xsl:template match="/MyRoot/MyRequest"> <xsl:element name="N1:{name()}" namespace="http://schemas.foo.com/request"> <xsl:copy-of select="namespace::*"/> <xsl:apply-templates select="@* | node()"/> </xsl:element> </xsl:template> <xsl:template match="/MyRoot/List/Order"> <xsl:element name="N2:{name()}" namespace="http://schemas.foo.com/details"> <xsl:copy-of select="namespace::*"/> <xsl:apply-templates select="@* | node()"/> </xsl:element> </xsl:template> </xsl:stylesheet> This one doesn't process the ns (I couldn't figure this out). When I process thru the above the XSL transformation with AltovaXML I end up with below: <MyNewRoot xmlns="http://schemas.foo.com/response" xmlns:N1="http://schemas.foo.com/request" xmlns:N2="http://schemas.foo.com/details"> <N1:MyRequest CompletionCode="0" CustomerID="9999999999"/> <List xmlns="" TotalList="1"> <N2:Order CustomerID="999999999" Level="Preferred" Status="Shipped"> <BillToAddress ZipCode="22221"/> <ShipToAddress ZipCode="22222"/> <Totals Tax="0.50" SubTotal="10.00" Shipping="4.95"/> </N2:Order> </List> <Errors/> </MyNewRoot> Note that N2: prefix for the children of Order is not there after the XSL transformation. Also additional xmlns="" in the Order header (for some reason). I couldn't figure out putting the ns: prefix for the rest of the elements (like Errors and List). First of all, why would I need to put the prefix for the children if the parent already has it. Doesn't the parent namespace dictate the children nodes/attribute namespaces? Secondly, I want to add the prefixes in the above XML as expected, how can I do that with XSL?

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  • count specific values in a multidimensional array

    - by user1680701
    I have an odd set of arrays that I need to count how many times specific values show in the results. Currently I have this bit of code. $nested_arrays = shopp_orders( '2011-11-30 00:00:00', '2012-11-30 12:59:59', false, '', 2 ); print_r($nested_arrays); This code pulls multiple arrays (serialized data) from the database and outputs like this Array ( [30] => Purchase Object ( [purchased] => Array ( ) [columns] => Array ( ) [message] => Array ( ) [data] => Array ( ) [invoiced] => [authorized] => [captured] => [refunded] => [voided] => [balance] => 0 [downloads] => [shipable] => [shipped] => [stocked] => [_position:DatabaseObject:private] => 0 [_properties:DatabaseObject:private] => Array ( ) [_ignores:DatabaseObject:private] => Array ( [0] => _ ) [_map:protected] => Array ( ) [_table] => wp_shopp_demo_shopp_purchase [_key] => id [_datatypes] => Array ( [id] => int [customer] => int [shipping] => int [billing] => int [currency] => int [ip] => string [firstname] => string [lastname] => string [email] => string [phone] => string [company] => string [card] => string [cardtype] => string [cardexpires] => date [cardholder] => string [address] => string [xaddress] => string [city] => string [state] => string [country] => string [postcode] => string [shipname] => string [shipaddress] => string [shipxaddress] => string [shipcity] => string [shipstate] => string [shipcountry] => string [shippostcode] => string [geocode] => string [promos] => string [subtotal] => float [freight] => float [tax] => float [total] => float [discount] => float [fees] => float [taxing] => list [txnid] => string [txnstatus] => string [gateway] => string [paymethod] => string [shipmethod] => string [shipoption] => string [status] => int [data] => string [secured] => string [created] => date [modified] => date ) [_lists] => Array ( [taxing] => Array ( [0] => exclusive [1] => inclusive ) ) [id] => 30 [customer] => 12 [shipping] => 23 [billing] => 23 [currency] => 0 [ip] => 24.125.58.205 [firstname] => test [lastname] => test [email] => [email protected] [phone] => 1234567890 [company] => [card] => 1111 [cardtype] => Visa [cardexpires] => 1420070400 [cardholder] => test [address] => 123 Any Street [xaddress] => [city] => Danville [state] => VA [country] => US [postcode] => 24541 [shipname] => [shipaddress] => 123 Any Street [shipxaddress] => [shipcity] => Danville [shipstate] => VA [shipcountry] => US [shippostcode] => 24541 [geocode] => [promos] => Array ( ) [subtotal] => 49.37 [freight] => 9.98 [tax] => 9.874 [total] => 69.22 [discount] => 0 [fees] => 0 [taxing] => exclusive [txnid] => [txnstatus] => authed [gateway] => TestMode [paymethod] => credit-card-test-mode [shipmethod] => ItemRates-0 [shipoption] => Fast Shipping [status] => 0 [secured] => [created] => 1354096946 [modified] => 1354096946 ) [29] => Purchase Object ( [purchased] => Array ( ) [columns] => Array ( ) [message] => Array ( ) [data] => Array ( ) [invoiced] => [authorized] => [captured] => [refunded] => [voided] => [balance] => 0 [downloads] => [shipable] => [shipped] => [stocked] => [_position:DatabaseObject:private] => 0 [_properties:DatabaseObject:private] => Array ( ) [_ignores:DatabaseObject:private] => Array ( [0] => _ ) [_map:protected] => Array ( ) [_table] => wp_shopp_demo_shopp_purchase [_key] => id [_datatypes] => Array ( [id] => int [customer] => int [shipping] => int [billing] => int [currency] => int [ip] => string [firstname] => string [lastname] => string [email] => string [phone] => string [company] => string [card] => string [cardtype] => string [cardexpires] => date [cardholder] => string [address] => string [xaddress] => string [city] => string [state] => string [country] => string [postcode] => string [shipname] => string [shipaddress] => string [shipxaddress] => string [shipcity] => string [shipstate] => string [shipcountry] => string [shippostcode] => string [geocode] => string [promos] => string [subtotal] => float [freight] => float [tax] => float [total] => float [discount] => float [fees] => float [taxing] => list [txnid] => string [txnstatus] => string [gateway] => string [paymethod] => string [shipmethod] => string [shipoption] => string [status] => int [data] => string [secured] => string [created] => date [modified] => date ) [_lists] => Array ( [taxing] => Array ( [0] => exclusive [1] => inclusive ) ) [id] => 29 [customer] => 13 [shipping] => 26 [billing] => 25 [currency] => 0 [ip] => 70.176.223.40 [firstname] => Bryan [lastname] => Crawford [email] => [email protected] [phone] => 4802323049 [company] => ggg [card] => 1111 [cardtype] => Visa [cardexpires] => 1356998400 [cardholder] => ggg [address] => 1300 W Warner Rd [xaddress] => [city] => Gilbert [state] => AZ [country] => US [postcode] => 85224 [shipname] => [shipaddress] => 1300 W Warner Rd [shipxaddress] => [shipcity] => Gilbert [shipstate] => AZ [shipcountry] => US [shippostcode] => 85224 [geocode] => [promos] => Array ( ) [subtotal] => 29.95 [freight] => 9.98 [tax] => 0 [total] => 39.93 [discount] => 0 [fees] => 0 [taxing] => exclusive [txnid] => [txnstatus] => authed [gateway] => TestMode [paymethod] => credit-card-test-mode [shipmethod] => ItemRates-0 [shipoption] => Fast Shipping [status] => 0 [secured] => [created] => 1353538691 [modified] => 1353538691 ) ) This is order data from only two orders. I need to count how many times each state, each city, shipmethod, etc occur in the array. I tried the following but it only counted the 2 large arrays. function count_nested_array_keys(array &$a, array &$res=array()) { $i = 0; foreach ($a as $key=>$value) { if (is_array($value)) { $i += count_nested_array_keys($value, &$res); } else { if(!isset($res[$key])) $res[$key] = 0; $res[$key]++; $i++; } } return $i; } $total_item_count = count_nested_array_keys($nested_arrays, $count_per_key); echo "count per key: ", print_r($count_per_key), "\n"; If someone could show me how to count how many times each state value occurs, example, VA = 2 NC = 1 I can take it from there. Thank You.

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  • casting, converting, and input from textbox controls

    - by Matt
    Working on some .aspx.cs code and decided I would forget how to turn a textbox value into a useable integer or decimal. Be warned I'm pretty new to .asp. Wish I could say the same for c sharp. So the value going into my textbox (strawberryp_textbox) is "1" which I presume I can access with the .text property. Which I then parse into a int. The Error reads Format Exception was unhandled by user code. My other question is can I do operations on a session variable? protected void submit_order_button_Click(object sender, EventArgs e) { int strawberryp; int strawberrys; decimal money1 = decimal.Parse(moneybox1.Text); decimal money2 = decimal.Parse(moneybox2.Text); decimal money3 = decimal.Parse(moneybox3.Text); decimal money4 = decimal.Parse(moneybox4.Text); decimal money5 = decimal.Parse(moneybox5.Text); strawberryp = int.Parse(strawberryp_Textbox.Text); //THE PROBLEM RIGHT HERE! strawberrys = int.Parse(strawberrys_Textbox.Text); // Needs fixed int strawberryc = int.Parse(strawberryc_Textbox.Text); //fix int berryp = int.Parse(berryp_Textbox.Text); //fix int raspberryp = int.Parse(raspberryp_Textbox.Text); /fix decimal subtotal = (money1 * strawberryp) + (money2 * strawberrys) + (money3 * strawberryc) + (money4 * berryp) + (money5 * raspberryp); //check to see if you can multiply decimal and int to get a deciaml!! Session["passmysubtotal"] = subtotal; //TextBox2.Text; (strawberryp_Textbox.Text);//TextBox4.Text; add_my_order_button.Enabled = true; add_my_order_button.Visible = true; submit_order_button.Enabled = false; submit_order_button.Visible = false; strawberryp_Textbox.ReadOnly = false; strawberrys_Textbox.ReadOnly = false; strawberryc_Textbox.ReadOnly = false; berryp_Textbox.ReadOnly = false; raspberryp_Textbox.ReadOnly = false; Response.Redirect("reciept.aspx"); } Thanks for the help

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  • How to change a function/formula in a whole column where I also have empty cells

    - by Zvi
    I have a column with a formula/function that has other cells as parameters. However in the column, every few rows I have a subtotal and blanks, for readability. Now I decided to change the formula/function but I can not do copy+paste on the whole column because of the subtotals/blank cells, and I can not do change+replace because there are parameters in the functions that uses other cells and thus it is different in each cell in the column. For example, if the formula is =if(A5>24,1,"") and I want to change it to =AA_userfn(A5,B5) Any idea how to change it easily? currently I copy+paste few rows at a time, but that is tedious. Maybe a Sub that will go all over the column (the column number as an input parameter) and looks for =if(, and then replaces it with =aa_userfn(Ax, By) where Ax and By are calculated based on the position of the cell currently changed in reference to the previous values in that cell. Any ideas will be welcomed

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  • Word table copy/drag formulae like Excel

    - by tumchaaditya
    I am inserting formulae into a word table to get subtotals for rows and columns and a grand total. My problem is, I have got large number of rows and I don't want to enter the formulae manually in each cell. I cannot use =SUM(LEFT) because the subtotal does not have all the columns. So, is there any way to drag the formulae like we do in excel(bottom right corner of selected cell)? I cannot send the table to excel and copy it back because it would ruin the formatting which took a lot of my time.

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  • Wpf datagrid row not updating when binded collection updated?

    - by RAJ K
    I have product class class Products { public int ProductID { get; set; } public int Quantity { get; set; } public string Description { get; set; } public decimal Price { get; set; } public decimal SubTotal { get; set; } } public List<Products> ProductsList = new List<Products>(); I have binded this "ProductList" to wpf datagrid. This datagrid shows item already in collection (before DataGrid.DataContext applied) but not showing new item added. I am using List< instead of ObservableCollection< because I want to update items if user changes quantity. I don't know how to do that using ObservableCollection<. Some code will help thanks

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  • Excel / VB - How do I loop through each row/column and do formatting based on the value?

    - by Johnny 5
    Here's what I need to do: 1) Loop through every cell in a worksheet 2) Make formatting changes (bold, etc) to fields relative to each field based on the value What I mean is that if a field has a value of "foo", I want to make the field that is (-1, -3) from it bold, etc. I tried to do this with the following script with no luck. Thanks Johnny Pseudo Code to Explain: For Each Cell in WorkSheet If Value of Cell is 'Subtotal' Make the cell 2 cells to the left and 1 cell up from here bold and underlined End If End ForEach The Failed Macro (I don't really know VB at all): Sub Macro2() ' ' ' Dim rnArea As Range Dim rnCell As Range Set rnArea = Range("J1:J2000") For Each rnCell In rnArea With rnCell If Not IsError(rnCell.Value) Then Select Case .Value Case "000 Total" ActiveCell.Offset(-1, -3).Select ActiveCell.Font.Underline = XlUnderlineStyle.xlUnderlineStyleSingleAccounting End Select End If End With Next End Sub

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  • Help replace this SQL cursor with better code

    - by user318573
    Can anyone give me a hand improving the performance of this cursor logic from SQL 2000. It runs great in SQl2005 and SQL2008, but takes at least 20 minutes to run in SQL 2000. BTW, I would never choose to use a cursor, and I didn't write this code, just trying to get it to run faster. Upgrading this client to 2005/2008 is not an option in the immediate future. ------------------------------------------------------------------------------- ------- Rollup totals in the chart of accounts hierarchy ------------------------------------------------------------------------------- DECLARE @B_SubTotalAccountID int, @B_Debits money, @B_Credits money, @B_YTDDebits money, @B_YTDCredits money DECLARE Bal CURSOR FAST_FORWARD FOR SELECT SubTotalAccountID, Debits, Credits, YTDDebits, YTDCredits FROM xxx WHERE AccountType = 0 AND SubTotalAccountID Is Not Null and (abs(credits)+abs(debits)+abs(ytdcredits)+abs(ytddebits)<>0) OPEN Bal FETCH NEXT FROM Bal INTO @B_SubTotalAccountID, @B_Debits, @B_Credits, @B_YTDDebits, @B_YTDCredits --For Each Active Account WHILE @@FETCH_STATUS = 0 BEGIN --Loop Until end of subtotal chain is reached WHILE @B_SubTotalAccountID Is Not Null BEGIN UPDATE xxx2 SET Debits = Debits + @B_Debits, Credits = Credits + @B_Credits, YTDDebits = YTDDebits + @B_YTDDebits, YTDCredits = YTDCredits + @B_YTDCredits WHERE GLAccountID = @B_SubTotalAccountID SET @B_SubTotalAccountID = (SELECT SubTotalAccountID FROM xxx2 WHERE GLAccountID = @B_SubTotalAccountID) END FETCH NEXT FROM Bal INTO @B_SubTotalAccountID, @B_Debits, @B_Credits, @B_YTDDebits, @B_YTDCredits END CLOSE Bal DEALLOCATE Bal

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  • Selecting multiple columns and rows for formatting - Excel

    - by Joyce
    I have a report which I used the command subtotals. Aesthetically, I just want to make these subtotal rows (columns A to P) filled with color, be in Bold and have a surrounding border. There are hundreds of totals generated in my report. And they do not have a recurring row position. So basically in order for it to look good, I do it manually per row. Is there a faster way? Thanks!

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  • Sub reports find the sub total and grand total of each sub report in the main report

    - by sonia
    i want to find the grand total from sub report subtotal. i have three subreports. 1. itemreport 2.laborreport 3. machine report. i have find total of that reports using shared variable. like using formula: shared numbervar totalitem=sum({storedprocedrename.columnname}) i have done dis in all the sbreports. now i m want the grand total of all these. i have written the formula in main report is: shared numbervar totalitem; // same variable used in subreport item shared numbervar labtotal; // same variable sed in subreport labor shared numbervar machinetotal; // same variable used in subreport machine numbervar total; total=totalitem+labtotal+machinetotal; total but it is not giving correct result.. it is not giving result in correct format plz tell me code of main report in detail.. thanks

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  • Invalid function declaration. DevC++

    - by user69514
    Why do I get invalid function declaration when I compile the code in DevC++ in Windows, but when I compile it in CodeBlocks on Linux it works fine. #include <iostream> #include <vector> using namespace std; //structure to hold item information struct item{ string name; double price; }; //define sandwich, chips, and drink struct item sandwich{"Sandwich", 3.00}; **** error is here ***** struct item chips{"Chips", 1.50}; **** error is here ***** struct item drink{"Large Drink", 2.00}; **** error is here ***** vector<item> cart; //vector to hold the items double total = 0.0; //total const double tax = 0.0825; //tax //gets item choice from user char getChoice(){ cout << "Select an item:" << endl; cout << "S: Sandwich. $3.00" << endl; cout << "C: Chips. $1.50" << endl; cout << "D: Drink. $2.00" << endl; cout << "X: Cancel. Start over" << endl; cout << "T: Total" << endl; char choice; cin >> choice; return choice; } //displays current items in cart and total void displayCart(){ cout << "\nCart:" << endl; for(unsigned int i=0; i<cart.size(); i++){ cout << cart.at(i).name << ". $" << cart.at(i).price << endl; } cout << "Total: $" << total << endl << endl; } //adds item to the cart void addItem(struct item bought){ cart.push_back(bought); total += bought.price; displayCart(); } //displays the receipt, items, prices, subtotal, taxes, and total void displayReceipt(){ cout << "\nReceipt:" << endl; cout << "Items: " << cart.size() << endl; for(unsigned int i=0; i<cart.size(); i++){ cout << (i+1) << ". " << cart.at(i).name << ". $" << cart.at(i).price << endl; } cout << "----------------------------" << endl; cout << "Subtotal: $" << total << endl; double taxes = total*tax; cout << "Tax: $" << taxes << endl; cout << "Total: $" << (total + taxes) << endl; } int main(){ //sentinel to stop the loop bool stop = false; char choice; while (stop == false ){ choice = getChoice(); //add sandwich if( choice == 's' || choice == 'S' ){ addItem(sandwich); } //add chips else if( choice == 'c' || choice == 'C' ){ addItem(chips); } //add drink else if( choice == 'd' || choice == 'D' ){ addItem(drink); } //remove everything from cart else if( choice == 'x' || choice == 'X' ){ cart.clear(); total = 0.0; cout << "\n***** Transcation Canceled *****\n" << endl; } //calcualte total else if( choice == 't' || choice == 'T' ){ displayReceipt(); stop = true; } //or wront item picked else{ cout << choice << " is not a valid choice. Try again\n" << endl; } }//end while loop return 0; //end of program }

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  • SQL Server Query Slow from PHP, but FAST from SQL Mgt Studio - WHY???

    - by Ray
    I have a fast running query (sub 1 sec) when I execute the query in SQL Server Mgt Studio, but when I run the exact same query in PHP (on the same db instace) using FreeTDS v8, mssql_query(), it takes much longer (70+ seconds). The tables I'm hitting have an index on a date field that I'm using in the Where clause. Could it be that PHP's mssql functions aren't utilizing the index? I have also tried putting the query inside a stored procedure, then executing the SP from PHP - the same results in time difference occurs. I have also tried adding a WITH ( INDEX( .. ) ) clause on the table where that has the date index, but no luck either. Here's the query: SELECT 1 History, h.CUSTNMBR CustNmbr, CONVERT(VARCHAR(10), h.ORDRDATE, 120 ) OrdDate, h.SOPNUMBE OrdNmbr, h.SUBTOTAL OrdTotal, h.CSTPONBR PONmbr, h.SHIPMTHD Shipper, h.VOIDSTTS VoidStatus, h.BACHNUMB BatchNmbr, h.MODIFDT ModifDt FROM SOP30200 h WITH (INDEX (AK2SOP30200)) WHERE h.SOPTYPE = 2 AND h.DOCDATE >= DATEADD(dd, -61, GETDATE()) AND h.VOIDSTTS = 0 AND h.MODIFDT = CONVERT(VARCHAR(10), DATEADD(dd, -1*@daysAgo, GETDATE()) , 120 ) ;

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