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  • Using CTAS & Exchange Partition Replace IAS for Copying Partition on Exadata

    - by Bandari Huang
    Usage Scenario: Copy data&index from one partition to another partition in a partitioned table. Solution: Create a partition definition Copy data from one partition to another partiton by 'Insert as select (IAS)' Create a nonpartitioned table by 'Create table as select (CTAS)' Convert a nonpartitioned table into a partition of partitoned table by exchangng their data segments. Rebuild unusable index Exchange Partition Convertion Mutual convertion between a partition (or subpartition) and a nonpartitioned table Mutual convertion between a hash-partitioned table and a partition of a composite *-hash partitioned table Mutual convertiton a [range | list]-partitioned table into a partition of a composite *-[range | list] partitioned table. Exchange Partition Usage Scenario High-speed data loading of new, incremental data into an existing partitioned table in DW environment Exchanging old data partitions out of a partitioned table, the data is purged from the partitioned table without actually being deleted and can be archived separately Exchange Partition Syntax ALTER TABLE schema.table EXCHANGE [PARTITION|SUBPARTITION] [partition|subprtition] WITH TABLE schema.table [INCLUDE|EXCLUDING] INDEX [WITH|WITHOUT] VALIDATION UPDATE [INDEXES|GLOBAL INDEXES] INCLUDING | EXCLUDING INDEXES Specify INCLUDING INDEXES if you want local index partitions or subpartitions to be exchanged with the corresponding table index (for a nonpartitioned table) or local indexes (for a hash-partitioned table). Specify EXCLUDING INDEXES if you want all index partitions or subpartitions corresponding to the partition and all the regular indexes and index partitions on the exchanged table to be marked UNUSABLE. If you omit this clause, then the default is EXCLUDING INDEXES. WITH | WITHOUT VALIDATION Specify WITH VALIDATION if you want Oracle Database to return an error if any rows in the exchanged table do not map into partitions or subpartitions being exchanged. Specify WITHOUT VALIDATION if you do not want Oracle Database to check the proper mapping of rows in the exchanged table. If you omit this clause, then the default is WITH VALIDATION.  UPADATE INDEX|GLOBAL INDEX Unless you specify UPDATE INDEXES, the database marks UNUSABLE the global indexes or all global index partitions on the table whose partition is being exchanged. Global indexes or global index partitions on the table being exchanged remain invalidated. (You cannot use UPDATE INDEXES for index-organized tables. Use UPDATE GLOBAL INDEXES instead.) Exchanging Partitions&Subpartitions Notes Both tables involved in the exchange must have the same primary key, and no validated foreign keys can be referencing either of the tables unless the referenced table is empty.  When exchanging partitioned index-organized tables: – The source and target table or partition must have their primary key set on the same columns, in the same order. – If key compression is enabled, then it must be enabled for both the source and the target, and with the same prefix length. – Both the source and target must be index organized. – Both the source and target must have overflow segments, or neither can have overflow segments. Also, both the source and target must have mapping tables, or neither can have a mapping table. – Both the source and target must have identical storage attributes for any LOB columns. 

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  • Output a php multi-dimensional array to a html table

    - by Fireflight
    I have been banging my head against the wall with this one for nearly a week now, and am no closer than I was the first day. I have a form that has 8 columns and a variable number of rows which I need to email to the client in a nicely formatted email. The form submits the needed fields as a multidimensional array. Rough example is below: <input name="order[0][topdiameter]" type="text" id="topdiameter0" value="1" size="5" /> <input name="order[0][bottomdiameter]" type="text" id="bottomdiameter0" value="1" size="5" /> <input name="order[0][slantheight]" type="text" id="slantheight0" value="1" size="5" /> <select name="order[0][fittertype]" id="fittertype0"> <option value="harp">Harp</option> <option value="euro">Euro</option> <option value="bulbclip">Regular</option> </select> <input name="order[0][washerdrop]" type="text" id="washerdrop0" value="1" size="5" /> <select name="order[0][fabrictype]" id="fabrictype"> <option value="linen">Linen</option> <option value="pleated">Pleated</option> </select> <select name="order[0][colours]" id="colours0"> <option value="beige">Beige</option> <option value="white">White</option> <option value="eggshell">Eggshell</option> <option value="parchment">Parchment</option> </select> <input name="order[0][quantity]" type="text" id="quantity0" value="1" size="5" /> This form is formatted in a table, and rows can be added to it dynamically. What I've been unable to do is get a properly formatted table out of the array. This is what I'm using now (grabbed from the net). <?php if (isset($_POST["submit"])) { $arr= $_POST['order'] echo '<table>'; foreach($arr as $arrs) { echo '<tr>'; foreach($arrs as $item) { echo "<td>$item</td>"; } echo '</tr>'; } echo '</table>; }; ?> This works perfectly for a single row of data. If I try submitting 2 or more rows from the form then one of the columns disappears. I'd like the table to be formatted as: | top | Bottom | Slant | Fitter | Washer | Fabric | Colours | Quantity | ------------------------------------------------------------------------ |value| value | value | value | value | value | value | value | with additional rows as needed. But, I can't find any examples that will generate that type of table! It seems like this should be something fairly straightforward, but I just can't locate an example that works the way I need it too.

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  • jQuery table replace

    - by Happy
    We have a table: <table> <tr> <td width="10">1</td> <td>text 1</td> </tr> <tr> <td width="10">2</td> <td>text 2</td> </tr> <tr> <td width="10">3</td> <td>text 3</td> </tr> <tr> <td width="10">4</td> <td>text 4</td> </tr> <tr> <td width="10">5</td> <td>text 5</td> </tr> <tr> <td width="10">6</td> <td>text 6</td> </tr> <tr> <td width="10">7</td> <td>text 7</td> </tr> <tr> <td width="10">8</td> <td>text 8</td> </tr> <tr> <td width="10">9</td> <td>text 9</td> </tr> <tr> <td width="10">10</td> <td>text 10</td> </tr> </table> We update this table by throwing into each <tr> 3 <td>, each <td> with width="10" attribute must be deleted. It must look like: <table> <tr> <td>text 1</td> <td>text 2</td> <td>text 3</td> </tr> <tr> <td>text 4</td> <td>text 5</td> <td>text 6</td> </tr> <tr> <td>text 7</td> <td>text 8</td> <td>text 9</td> </tr> <tr> <td>text 10</td> </tr> </table> How can we do this? Thanks.

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  • Finding the definition of a bash function

    - by pythonic metaphor
    I work in an environment that has a lot of legacy shell script magic lying around. One thing used heavy from the command line are bash functions that get sourced from some file included from some file included from some file ... included in my .bash_profile. Is there a way to get the definition or even better the location of the definition of these functions without tracking them down through 5 levels of includes?

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  • Sorting in Pivot Table on how data is summarized, not just the value

    - by user26453
    Often I am creating pivot tables that summarize some count by some category. Let's say I am counting Yes/No responses by some category. I usually add the count field and display it as a "% of row", and then create a pivot chart. However, if I want to sort one of the columns, say "Yes", Excel sorts by the underlying count, not the calculated percentage. Any way around this?

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  • Synergy 1.4.2 Linux server, OSX client, Media/Function key mapping issues

    - by at165dB
    I'm using an Apple bluetooth keybord to control my Linux synergy server. SSH tunneling, Mouse, Keyboard, and Copy&Paste all work. Linux sees all the media/app keys that are on top of the F# keys correctly. However if I press any of those keys while controlling my OSX client, nothing happens on the client. Running synergys with -d DEBUG1 I can see the following keycode info: Pressing the "dim monitor" key that also serves as F1 generates: new mask: 0x2000 event: KeyPress code=232, state=0x0010 new mask: 0x2000 If I press "fn" and the same key, I can see it sending what I'm assuming is an F1: event: KeyPress code=67, state=0x0010 onKeyDown id=61374 mask=0x2000 button=0x0043 send key down to "foo.cisco.com" id=61374, mask=0x2000, button=0x0043 new mask: 0x2000 event: KeyRelease code=67, state=0x0010 onKeyUp id=61374 mask=0x2000 button=0x0043 send key up to "foo.cisco.com" id=61374, mask=0x2000, button=0x0043 I'm guessing I need to tweak my synergy.conf so that the server sends keys that it currently isn't. I'm also not sure what I need to do to tweak the keys that it is sending, but are not working. Below are all the other keys I'm having issues with. Does anyone have any idea how I can enable their functionality? brighten monitor: new mask: 0x2000 event: KeyPress code=233, state=0x0010 new mask: 0x2000 expose: new mask: 0x2000 event: KeyPress code=128, state=0x0010 new mask: 0x2000 dashboard: new mask: 0x2000 event: KeyPress code=212, state=0x0010 new mask: 0x2000 dim keyboard: new mask: 0x2000 event: KeyPress code=237, state=0x0010 new mask: 0x2000 brighten keyboard: new mask: 0x2000 event: KeyPress code=238, state=0x0010 new mask: 0x2000 rewind: event: KeyPress code=173, state=0x0010 onKeyDown id=57521 mask=0x2000 button=0x00ad send key down to "foo.cisco.com" id=57521, mask=0x2000, button=0x00ad new mask: 0x2000 event: KeyRelease code=173, state=0x0010 onKeyUp id=57521 mask=0x2000 button=0x00ad send key up to "foo.cisco.com" id=57521, mask=0x2000, button=0x00ad play/pause: event: KeyPress code=172, state=0x0010 onKeyDown id=57523 mask=0x2000 button=0x00ac send key down to "foo.cisco.com" id=57523, mask=0x2000, button=0x00ac new mask: 0x2000 event: KeyRelease code=172, state=0x0010 onKeyUp id=57523 mask=0x2000 button=0x00ac send key up to "foo.cisco.com" id=57523, mask=0x2000, button=0x00ac fastforward: event: KeyPress code=171, state=0x0010 onKeyDown id=57520 mask=0x2000 button=0x00ab send key down to "foo.cisco.com" id=57520, mask=0x2000, button=0x00ab new mask: 0x2000 event: KeyRelease code=171, state=0x0010 onKeyUp id=57520 mask=0x2000 button=0x00ab send key up to "foo.cisco.com" id=57520, mask=0x2000, button=0x00ab mute: event: KeyPress code=121, state=0x0010 onKeyDown id=57517 mask=0x2000 button=0x0079 send key down to "foo.cisco.com" id=57517, mask=0x2000, button=0x0079 new mask: 0x2000 event: KeyRelease code=121, state=0x0010 onKeyUp id=57517 mask=0x2000 button=0x0079 send key up to "foo.cisco.com" id=57517, mask=0x2000, button=0x0079 volume down: onKeyDown id=57518 mask=0x2000 button=0x007a send key down to "foo.cisco.com" id=57518, mask=0x2000, button=0x007a new mask: 0x2000 event: KeyRelease code=122, state=0x0010 onKeyUp id=57518 mask=0x2000 button=0x007a send key up to "foo.cisco.com" id=57518, mask=0x2000, button=0x007a volume up: event: KeyPress code=123, state=0x0010 onKeyDown id=57519 mask=0x2000 button=0x007b send key down to "foo.cisco.com" id=57519, mask=0x2000, button=0x007b new mask: 0x2000 event: KeyRelease code=123, state=0x0010 onKeyUp id=57519 mask=0x2000 button=0x007b send key up to "foo.cisco.com" id=57519, mask=0x2000, button=0x007b eject: event: KeyPress code=169, state=0x0010 onKeyDown id=57345 mask=0x2000 button=0x00a9 send key down to "foo.cisco.com" id=57345, mask=0x2000, button=0x00a9 new mask: 0x2000 event: KeyRelease code=169, state=0x0010 onKeyUp id=57345 mask=0x2000 button=0x00a9 send key up to "foo.cisco.com" id=57345, mask=0x2000, button=0x00a9

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  • Is this way of using Excel 2007 Pivot table for BI scalable ?

    - by Sim
    Hi all, Background: We need to consolidate sales data across the country to do analysis Our Internet connection/IT expertise/IT investment is not quite strong, therefore full BI solution is out of question I tried several SaaS BI solution (GoodData, ZohoReports) and while they're good, they seem not to fully support what we need We're looking at 'bout 2 millions record for every 2 months My current approach Our (10) sites currently gathers data from all their branches and consolidate them into 1 Excel file with Pivot table and embed source data In HQ, I will request 10 sites to send back those Excel files periodically We will import those Excel to our MSSQL server There will be a master Excel file, that will also have the same pivot table (as those came from site Excel file), and datasource is the MSSQL server More details For testing, I currently use MSSQL 2008 Express on my laptop So far, I imported our transactions for the past 2 months and there are 2 millions+ row in 1 table in MSSQL (we just use 1 table, corresponding to our common pivot table structure). DB size is ~ 600 MB In the master Excel file, if not including the source data, it's just < 10MB. Including the source data will increase the size to 60 MB (so I supposed Office 2007 automatically zip the data ?) I try using the Pivot (drag-and-drop fields) and the performance so far is OK (my laptop specs: C2D T7200, 3GB RAM, Windows XP) So my question is : If we're looking at full year transaction (roughly 15 millions rows in MSSQL 2008 Express, 3.6 GB in size), is there any issue with that 15 million rows in 1 table in SQL Express ? Is there any performance issue with the pivot table at that time ? Can it still embed the source data ? (I google-ed but didn't find the maximum size of source data Excel 2007 can embed) Any other suggestions on how we can better do this ? Given that we can't afford the full BI solution, any light-weight/budget/SaaS BI that you can recommend ? Thanks

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  • Fill a table from a RAND based formula in Excel 2010

    - by Greg Reynolds
    I am trying to do a Monte Carlo simulation using Excel, but a lot of the tutorials I have found are either for older versions of the product, or are not quite what I am after. A simple example of the kind of think I am after is: Cell A1 contains the formula to simulate (for example int(6*rand())+1 to simulate rolling a dice). I have 10 rows of "Trials". What I want is to somehow point each row at a different calculation of the formula in A1. So I would end up with something like Trial Value 1 2 2 5 3 6 4 2 5 1 6 3 7 2 8 4 9 2 10 1 I have tried playing with some of the "What-if Analysis" tools, but I am a bit lost.

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  • Function key emulator for Dell inspiron 6400 on external keyboard

    - by hardik988
    I have a 3 year old Dell inspiron 6400 with windows 7 and ubuntu 9.10 dual boot. I messed up my Laptop keyboard and hence my Fn key is not working and I need it to activate the wireless whose activation combination is Fn+F2. Is there any way I can emulate the Fn key or get my wireless to start in windows or ubuntu ? My bios has an option for Fn key emulation but that only supports external PS/2 keyboards and my laptop doesn't have a ps/2 slot. Any ideas would be appreciated ..

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  • Excel wizardness needed - Group By, Sort, Count function help

    - by Chris
    Riddle me this: You have 3 part numbers with the same part name xyz, each with a quantity of 10 items. The items can be picked during the day or week, therefore changing the amount of items on hand. I know I need to use the group by, sort, count and perhaps sumif formulas to have a running count of the number of items on hand at the end of each day (which could be positive or negative). Help? it wont let me add an image because i'm a new user. 'Oops! Your edit couldn't be submitted because: * we're sorry, but as a spam prevention mechanism, new users aren't allowed to post images. Earn more than 10 reputation to post images. '

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  • Pivot Table grand total across columns

    - by Jon
    I'm using Excel 2010 and Power Pivot. I'm trying to calculate confidence and velocity for a development team. I'm extracting some information from our time and defect system each day and building a data set. What I need to do with Excel is do the calculations. So each day I add to my data set 1 row per task in the current project, estimate for that task and the time spent on that task. What I want to calculate is the estimate/actual for each task but also for each person. The trouble is that each day the actual is cumulative so I need to pick out the maximum value for each task. The estimate should remain unchanged. I can make this work at the task level with a calculated measure (=MAX(worked)/MAX(estimate)) but I don't know how to total this up for a person. I need the sum of the max worked for each task. So a dataset might look like: Name Task Estimate Worked N1 T1 3 1 N2 T2 3 1 N3 T3 4 1 N1 T1 3 2 N2 T4 5 1 N3 T3 4 2 N1 T5 1 2 N2 T6 2 3 N3 T7 3 2 What I want to see is for task T1 2 days were worked against an estimate of 3 days - so 2/3. For person N1 I want to see that they worked a total of 4 days against an estimate of 4 days so 4/4. For person N2 they worked 5 days for an estimate of 10 days. Any ideas on how I can achieve this?

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  • Function key emulator for Dell inspiron 6400 on external keyboard

    - by hardik988
    I have a 3 year old Dell inspiron 6400 with windows 7 and ubuntu 9.10 dual boot. I messed up my Laptop keyboard and hence my Fn key is not working and I need it to activate the wireless whose activation combination is Fn+F2. Is there any way I can emulate the Fn key or get my wireless to start in windows or ubuntu ? My bios has an option for Fn key emulation but that only supports external PS/2 keyboards and my laptop doesn't have a ps/2 slot. Any ideas would be appreciated ..

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  • Excel: Look up function for combinations of cells in a single column

    - by Rebecca
    I'm looking to find the number of times a certain combination of values appears in a single column, I was hoping to do this in Excel but I'm starting to think it may not be possible. As an example, I have a list that looks like a longer vertical version of this: F1 F3 F2 F4 F1 F3 F4 F1 F3 F4 F1 F3 F4 And I want to know how many times a specific order (say F1 F3 F4) occurs, in this example 3 times (in my case the lookup sequences are 8 cells long). Is there a way to run over the whole column and identify the instances where this combination of cells occurs? I'm running Excel 2008 for Mac. Many thanks!

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  • Calculating the number of occasions with a set period sumproduct function

    - by user158056
    =SUMPRODUCT((F16:F274=("A")) *(F17:F275<>("A"))) +SUMPRODUCT((F16:F274=("AH")) *(F17:F275<>("AH"))) +SUMPRODUCT((F16:F274=("AU")) *(F17:F275<>("AU"))) +SUMPRODUCT((F16:F274=("AHU"))*(F17:F275<>("AHU"))) I am using the above formula to add the number of occasions sickness occurs using the following as a key. It works fine until you get say an A and a AH in the same sickness period. Instead of reporting just one occasion off it reports two. Is there a way I can separate this? Absence A Absence 1/2 AH Absence Unpaid AU Absence 1/2 Unpaid AHU

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  • 100% width table cell

    - by Elvis
    Hello! I have this table layout. I want to align the whole content to the right. So i'm using one cell with width: 100%;. Usually everything looks good and nice. But there is something, which i don't understand. If the content in cell, which has colspan, becomes bigger than normal cell in this column (you can test this by clicking Click to test button), it brakes whole layout. This happens on Chrome, Safari 4 and 5, IE8, but on Opera, FF and IE7 is OK. Any ideas? <!DOCTYPE HTML PUBLIC "-//W3C//DTD HTML 4.01 Transitional//EN" "http://www.w3.org/TR/html4/loose.dtd"> <html> <head> <meta http-equiv="Content-Type" content="text/html; charset=UTF-8"> <title>TEST</title> <style type="text/css"> table { width: 100%; } table td { border: 1px solid black; white-space: nowrap; } .delimiter { width: 100%; } </style> </head> <body> <table> <tr> <td><label>Row 1</label></td> <td>&nbsp;</td> <td><input type="text" value="Field 1" id="field1" size="25"></td> <td><input type="button" value="Click to test" onclick="var o = document.getElementById('field2'); o.size = o.size == 25 ? 50 : 25;"></td> <td class="delimiter">&nbsp;</td> </tr> <tr> <td><label>Row 2</label></td> <td>&nbsp;</td> <td colspan="3"><input type="text" id="field2" value="Field 2" size="25"></td> </tr> </table> </body> </html>

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  • Parse and transform XML with missing elements into table structure

    - by dnlbrky
    I'm trying to parse an XML file. A simplified version of it looks like this: x <- '<grandparent><parent><child1>ABC123</child1><child2>1381956044</child2></parent><parent><child2>1397527137</child2></parent><parent><child3>4675</child3></parent><parent><child1>DEF456</child1><child3>3735</child3></parent><parent><child1/><child3>3735</child3></parent></grandparent>' library(XML) xmlRoot(xmlTreeParse(x)) ## <grandparent> ## <parent> ## <child1>ABC123</child1> ## <child2>1381956044</child2> ## </parent> ## <parent> ## <child2>1397527137</child2> ## </parent> ## <parent> ## <child3>4675</child3> ## </parent> ## <parent> ## <child1>DEF456</child1> ## <child3>3735</child3> ## </parent> ## <parent> ## <child1/> ## <child3>3735</child3> ## </parent> ## </grandparent> I'd like to transform the XML into a data.frame / data.table that looks like this: parent <- data.frame(child1=c("ABC123",NA,NA,"DEF456",NA), child2=c(1381956044, 1397527137, rep(NA, 3)), child3=c(rep(NA, 2), 4675, 3735, 3735)) parent ## child1 child2 child3 ## 1 ABC123 1381956044 NA ## 2 <NA> 1397527137 NA ## 3 <NA> NA 4675 ## 4 DEF456 NA 3735 ## 5 <NA> NA 3735 If each parent node always contained all of the possible elements ("child1", "child2", "child3", etc.), I could use xmlToList and unlist to flatten it, and then dcast to put it into a table. But the XML often has missing child elements. Here is an attempt with incorrect output: library(data.table) ## Flatten: dt <- as.data.table(unlist(xmlToList(x)), keep.rownames=T) setnames(dt, c("column", "value")) ## Add row numbers, but they're incorrect due to missing XML elements: dt[, row:=.SD[,.I], by=column][] column value row 1: parent.child1 ABC123 1 2: parent.child2 1381956044 1 3: parent.child2 1397527137 2 4: parent.child3 4675 1 5: parent.child1 DEF456 2 6: parent.child3 3735 2 7: parent.child3 3735 3 ## Reshape from long to wide, but some value are in the wrong row: dcast.data.table(dt, row~column, value.var="value", fill=NA) ## row parent.child1 parent.child2 parent.child3 ## 1: 1 ABC123 1381956044 4675 ## 2: 2 DEF456 1397527137 3735 ## 3: 3 NA NA 3735 I won't know ahead of time the names of the child elements, or the count of unique element names for children of the grandparent, so the answer should be flexible.

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  • Correct table layout generation with CSS: unexpected cells shift

    - by MrG
    I'm trying to generate a dynamic table using CSS: <html> <head> <style> div.el1, div.el2 { color:white; width:70px;height:70px; border:0px; padding:0px; font-size: 10px; font-family: "Courier"; } div.el1 { background-color: green; } div.el2 { background-color: orange; } div.tablediv { display: table; border:0px; border-spacing:0px; border-collapse:separate; } div.celldiv { display: table-cell; } div.rowdiv { display: table-row; width:auto; } </style> </head> <body> <div class="tablediv"> <div class="rowdiv"> <div class="celldiv"> <div class="el1" id="x1y1">ABC</div> </div> <div class="celldiv"> <div class="el2" id="x1y2"></div> </div> </div> <div class="rowdiv"> <div class="celldiv"> <div class="el1" id="x2y1"></div> </div> <div class="celldiv"> <div class="el1" id="x2y2"></div> </div> </div> </div> </body> </html> The content of body is dynamically generated and should be displayed as a table. Unfortunately, each cell shifts down if it contains data: expected reality --- --- --- --- | | | | | | --- --- |ABC|--- | | | | | | --- --- --- --- | | | --- --- I'm grateful for any help. Many thanks!

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  • SQL SERVER – Size of Index Table for Each Index – Solution 3 – Powershell

    - by pinaldave
    Laerte Junior If you are a Powershell user, the name of the Laerte Junior is not a new name. He is the one man with exceptional knowledge of Powershell. He is not only very knowledgeable, but also very kind and eager to those in need. I have been attempting to setup Powershell for many days, but constantly facing issues. I was not able to get going with this tool. Finally, yesterday I sent email to Laerte in response to his comment posted here. Within 5 minutes, Laerte came online and helped me with the solution. He spend nearly 15 minutes working along with me to solve my problem with installation. And yes, he did resolve it remotely without looking at my screen – What a skilled and exceptional person!! I will soon post a detail note about the issue I faced and resolved with the help of Laerte. Here is his solution to my earlier puzzle in his own words. Read the original puzzle here and Laerte’s solution from here. Hi Pinal, I do not say better, but maybe another approach to enthusiasts in powershell and SQLSPX library would be: 1 – All indexes in all tables and all databases Get-SqlDatabase -sqlserver “Yourserver” | Get-SqlTable | Get-SqlIndex | Format-table Server,dbname,schema,table,name,id,spaceused 2 – All Indexes in all tables and specific database Get-SqlDatabase -sqlserver “Yourserver” “Yourdb” | Get-SqlTable | Get-SqlIndex | Format-table Server,dbname,schema,table,name,id,spaceused 3 – All Indexes in specific table and database Get-SqlDatabase -sqlserver “Yourserver” “Yourdb” | Get-SqlTable “YourTable” | Get-SqlIndex | Format-table Server,dbname,schema,table,name,id,spaceused and to output to txt.. pipe Out-File Get-SqlDatabase -sqlserver “Yourserver” | Get-SqlTable | Get-SqlIndex | Format-table Server,dbname,schema,table,name,id,spaceused | out-file c:\IndexesSize.txt If you have one txt with all your servers, can be for all of them also. Lets say you have all your servers in servers.txt: something like NameServer1 NameServer2 NameServer3 NameServer4 We could Use : foreach ($Server in Get-content c:\temp\servers.txt) { Get-SqlDatabase -sqlserver $Server | Get-SqlTable | Get-SqlIndex | Format-table Server,dbname,schema,table,name,id,spaceused } :) After fixing my issue with Powershell, I ran Laerte‘s second suggestion – “All Indexes in all tables and specific database” and found the following accurate output. Click to Enlarge Reference: Pinal Dave (http://blog.sqlauthority.com) Filed under: Pinal Dave, SQL, SQL Authority, SQL Index, SQL Query, SQL Scripts, SQL Server, SQL Tips and Tricks, T SQL, Technology Tagged: Powershell

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  • SQL SERVER – Size of Index Table for Each Index – Solution 3 – Powershell

    - by pinaldave
    Laerte Junior If you are a Powershell user, the name of the Laerte Junior is not a new name. He is the one man with exceptional knowledge of Powershell. He is not only very knowledgeable, but also very kind and eager to those in need. I have been attempting to setup Powershell for many days, but constantly facing issues. I was not able to get going with this tool. Finally, yesterday I sent email to Laerte in response to his comment posted here. Within 5 minutes, Laerte came online and helped me with the solution. He spend nearly 15 minutes working along with me to solve my problem with installation. And yes, he did resolve it remotely without looking at my screen – What a skilled and exceptional person!! I will soon post a detail note about the issue I faced and resolved with the help of Laerte. Here is his solution to my earlier puzzle in his own words. Read the original puzzle here and Laerte’s solution from here. Hi Pinal, I do not say better, but maybe another approach to enthusiasts in powershell and SQLSPX library would be: 1 – All indexes in all tables and all databases Get-SqlDatabase -sqlserver “Yourserver” | Get-SqlTable | Get-SqlIndex | Format-table Server,dbname,schema,table,name,id,spaceused 2 – All Indexes in all tables and specific database Get-SqlDatabase -sqlserver “Yourserver” “Yourdb” | Get-SqlTable | Get-SqlIndex | Format-table Server,dbname,schema,table,name,id,spaceused 3 – All Indexes in specific table and database Get-SqlDatabase -sqlserver “Yourserver” “Yourdb” | Get-SqlTable “YourTable” | Get-SqlIndex | Format-table Server,dbname,schema,table,name,id,spaceused and to output to txt.. pipe Out-File Get-SqlDatabase -sqlserver “Yourserver” | Get-SqlTable | Get-SqlIndex | Format-table Server,dbname,schema,table,name,id,spaceused | out-file c:\IndexesSize.txt If you have one txt with all your servers, can be for all of them also. Lets say you have all your servers in servers.txt: something like NameServer1 NameServer2 NameServer3 NameServer4 We could Use : foreach ($Server in Get-content c:\temp\servers.txt) { Get-SqlDatabase -sqlserver $Server | Get-SqlTable | Get-SqlIndex | Format-table Server,dbname,schema,table,name,id,spaceused } :) After fixing my issue with Powershell, I ran Laerte‘s second suggestion – “All Indexes in all tables and specific database” and found the following accurate output. Click to Enlarge Reference: Pinal Dave (http://blog.sqlauthority.com) Filed under: Pinal Dave, SQL, SQL Authority, SQL Index, SQL Query, SQL Scripts, SQL Server, SQL Tips and Tricks, T SQL, Technology Tagged: Powershell

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  • Performance considerations for common SQL queries

    - by Jim Giercyk
    Originally posted on: http://geekswithblogs.net/NibblesAndBits/archive/2013/10/16/performance-considerations-for-common-sql-queries.aspxSQL offers many different methods to produce the same results.  There is a never-ending debate between SQL developers as to the “best way” or the “most efficient way” to render a result set.  Sometimes these disputes even come to blows….well, I am a lover, not a fighter, so I decided to collect some data that will prove which way is the best and most efficient.  For the queries below, I downloaded the test database from SQLSkills:  http://www.sqlskills.com/sql-server-resources/sql-server-demos/.  There isn’t a lot of data, but enough to prove my point: dbo.member has 10,000 records, and dbo.payment has 15,554.  Our result set contains 6,706 records. The following queries produce an identical result set; the result set contains aggregate payment information for each member who has made more than 1 payment from the dbo.payment table and the first and last name of the member from the dbo.member table.   /*************/ /* Sub Query  */ /*************/ SELECT  a.[Member Number] ,         m.lastname ,         m.firstname ,         a.[Number Of Payments] ,         a.[Average Payment] ,         a.[Total Paid] FROM    ( SELECT    member_no 'Member Number' ,                     AVG(payment_amt) 'Average Payment' ,                     SUM(payment_amt) 'Total Paid' ,                     COUNT(Payment_No) 'Number Of Payments'           FROM      dbo.payment           GROUP BY  member_no           HAVING    COUNT(Payment_No) > 1         ) a         JOIN dbo.member m ON a.[Member Number] = m.member_no         /***************/ /* Cross Apply  */ /***************/ SELECT  ca.[Member Number] ,         m.lastname ,         m.firstname ,         ca.[Number Of Payments] ,         ca.[Average Payment] ,         ca.[Total Paid] FROM    dbo.member m         CROSS APPLY ( SELECT    member_no 'Member Number' ,                                 AVG(payment_amt) 'Average Payment' ,                                 SUM(payment_amt) 'Total Paid' ,                                 COUNT(Payment_No) 'Number Of Payments'                       FROM      dbo.payment                       WHERE     member_no = m.member_no                       GROUP BY  member_no                       HAVING    COUNT(Payment_No) > 1                     ) ca /********/                    /* CTEs  */ /********/ ; WITH    Payments           AS ( SELECT   member_no 'Member Number' ,                         AVG(payment_amt) 'Average Payment' ,                         SUM(payment_amt) 'Total Paid' ,                         COUNT(Payment_No) 'Number Of Payments'                FROM     dbo.payment                GROUP BY member_no                HAVING   COUNT(Payment_No) > 1              ),         MemberInfo           AS ( SELECT   p.[Member Number] ,                         m.lastname ,                         m.firstname ,                         p.[Number Of Payments] ,                         p.[Average Payment] ,                         p.[Total Paid]                FROM     dbo.member m                         JOIN Payments p ON m.member_no = p.[Member Number]              )     SELECT  *     FROM    MemberInfo /************************/ /* SELECT with Grouping   */ /************************/ SELECT  p.member_no 'Member Number' ,         m.lastname ,         m.firstname ,         COUNT(Payment_No) 'Number Of Payments' ,         AVG(payment_amt) 'Average Payment' ,         SUM(payment_amt) 'Total Paid' FROM    dbo.payment p         JOIN dbo.member m ON m.member_no = p.member_no GROUP BY p.member_no ,         m.lastname ,         m.firstname HAVING  COUNT(Payment_No) > 1   We can see what is going on in SQL’s brain by looking at the execution plan.  The Execution Plan will demonstrate which steps and in what order SQL executes those steps, and what percentage of batch time each query takes.  SO….if I execute all 4 of these queries in a single batch, I will get an idea of the relative time SQL takes to execute them, and how it renders the Execution Plan.  We can settle this once and for all.  Here is what SQL did with these queries:   Not only did the queries take the same amount of time to execute, SQL generated the same Execution Plan for each of them.  Everybody is right…..I guess we can all finally go to lunch together!  But wait a second, I may not be a fighter, but I AM an instigator.     Let’s see how a table variable stacks up.  Here is the code I executed: /********************/ /*  Table Variable  */ /********************/ DECLARE @AggregateTable TABLE     (       member_no INT ,       AveragePayment MONEY ,       TotalPaid MONEY ,       NumberOfPayments MONEY     ) INSERT  @AggregateTable         SELECT  member_no 'Member Number' ,                 AVG(payment_amt) 'Average Payment' ,                 SUM(payment_amt) 'Total Paid' ,                 COUNT(Payment_No) 'Number Of Payments'         FROM    dbo.payment         GROUP BY member_no         HAVING  COUNT(Payment_No) > 1   SELECT  at.member_no 'Member Number' ,         m.lastname ,         m.firstname ,         at.NumberOfPayments 'Number Of Payments' ,         at.AveragePayment 'Average Payment' ,         at.TotalPaid 'Total Paid' FROM    @AggregateTable at         JOIN dbo.member m ON m.member_no = at.member_no In the interest of keeping things in groupings of 4, I removed the last query from the previous batch and added the table variable query.  Here’s what I got:     Since we first insert into the table variable, then we read from it, the Execution Plan renders 2 steps.  BUT, the combination of the 2 steps is only 22% of the batch.  It is actually faster than the other methods even though it is treated as 2 separate queries in the Execution Plan.  The argument I often hear against Table Variables is that SQL only estimates 1 row for the table size in the Execution Plan.  While this is true, the estimate does not come in to play until you read from the table variable.  In this case, the table variable had 6,706 rows, but it still outperformed the other queries.  People argue that table variables should only be used for hash or lookup tables.  The fact is, you have control of what you put IN to the variable, so as long as you keep it within reason, these results suggest that a table variable is a viable alternative to sub-queries. If anyone does volume testing on this theory, I would be interested in the results.  My suspicion is that there is a breaking point where efficiency goes down the tubes immediately, and it would be interesting to see where the threshold is. Coding SQL is a matter of style.  If you’ve been around since they introduced DB2, you were probably taught a little differently than a recent computer science graduate.  If you have a company standard, I strongly recommend you follow it.    If you do not have a standard, generally speaking, there is no right or wrong answer when talking about the efficiency of these types of queries, and certainly no hard-and-fast rule.  Volume and infrastructure will dictate a lot when it comes to performance, so your results may vary in your environment.  Download the database and try it!

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  • Override Javascript Function Based on Passed Parameters

    - by George
    Is it possible to override a function based on the number of parameters that you are passing into it? For instance: function abc(name) { document.write ('My name is' + name); } function abc(name,friend) { document.write ('My name is' + name + 'and my best friend\'s name is' + friend); } So in the HTML if I just called abc(george) it would use the first version of the function, but if I called abc(george,john) it would use the second version. There may be other ways to accomplish the example I used, but I'm just wondering if the concept is sound in javascript.

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  • SQLite table does not exist exception for existing SQLite database (and table)

    - by SK9
    I've followed the instructions given here for introducing an existing SQLite database to your Android app. When I query the table "android_metadata" this is fine. But when I run a similar query on my own table "words" (which has _id for primary integer key) I get a table does not exist exception and the app crashes. Why is that? Code: Cursor c = myDatabase.query("android_metadata", null, null, null, null, null, null, null); works but Cursor c = myDatabase.query("words", null, null, null, null, null, null, null); returns a table does not exist exception. This is how I'm creating the database (the references to paths and filenames are correct): private void copyDatabase() throws IOException{ //Open local db as the input stream InputStream myInput = mContext.getAssets().open(DB_NAME); //Path to the just created empty db String outFileName = DB_PATH + DB_NAME; //Open the empty db as the output stream OutputStream myOutput = new FileOutputStream(outFileName); //Transfer bytes from the inputfile to the outputfile byte[] buffer = new byte[1024]; int length; while ((length = myInput.read(buffer))>0){ myOutput.write(buffer, 0, length); } //Close the streams myOutput.flush(); myOutput.close(); myInput.close(); } (Note: To my eyes, the table is there. I'm looking right at it in my SQLite browser.)

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  • Comparing fields of one table to other fields of another table

    - by chupinette
    Hello! I have a function called add_item which actually inserts values in a field item_name of temporary table called temp having fields temp_id and item_name. I have another table calleed item which consists of fields item_id, item_name, price. I have another table called quotation which consists of fields q_id, item_id,item_name,price. Now I cant figure out how do i compare the item_name from temp to the field item_name from item. And then, insert the values of item in quoatation table. Can anyone guide me please?

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  • Problem with asp.net function syntax (not returning values correctly)

    - by Phil
    I have an active directory search function: Function GetAdInfo(ByVal ADDN As String, ByVal ADCommonName As String, ByVal ADGivenName As String, ByVal ADStaffNum As String, ByVal ADEmail As String, ByVal ADDescription As String, ByVal ADTelephone As String, ByVal ADOffice As String, ByVal ADEmployeeID As String) As String Dim netBIOSname As String = Me.Request.LogonUserIdentity.Name Dim sAMAccountName As String = netBIOSname.Substring(netBIOSname.LastIndexOf("\"c) + 1) Dim defaultNamingContext As String Using rootDSE As DirectoryServices.DirectoryEntry = New DirectoryServices.DirectoryEntry("LDAP://RootDSE") defaultNamingContext = rootDSE.Properties("defaultNamingContext").Value.ToString() End Using Using searchRoot As DirectoryServices.DirectoryEntry = _ New DirectoryServices.DirectoryEntry("LDAP://" + defaultNamingContext, _ "kingkong", "kingkong", DirectoryServices.AuthenticationTypes.Secure) Using ds As DirectoryServices.DirectorySearcher = New DirectoryServices.DirectorySearcher(searchRoot) ds.Filter = String.Format("(&(objectClass=user)(objectCategory=person)(sAMAccountName={0}))", sAMAccountName) Dim sr As DirectoryServices.SearchResult = ds.FindOne() 'If sr.Properties("displayName").Count = 0 Then whatever = string.empty '' (how to check nulls when required) ' End If ADDN = (sr.Properties("displayName")(0).ToString()) ADCommonName = (sr.Properties("cn")(0).ToString()) ADGivenName = (sr.Properties("givenname")(0).ToString()) ADStaffNum = (sr.Properties("sn")(0).ToString()) ADEmail = (sr.Properties("mail")(0).ToString()) ADDescription = (sr.Properties("description")(0).ToString()) ADTelephone = (sr.Properties("telephonenumber")(0).ToString()) ADOffice = (sr.Properties("physicalDeliveryOfficeName")(0).ToString()) ' ADEmployeeID = (sr.Properties("employeeID")(0).ToString()) End Using End Using Return ADDN Return ADCommonName Return ADGivenName Return ADStaffNum Return ADEmail Return ADDescription Return ADTelephone Return ADOffice ' Return ADEmployeeID 'have commented out employee id as i dont have one so it is throwing null errors. ' im not ready to put labels on the frontend or catch this info yet End Function The function appears to work, as when I put a breakpoint at the end, the variables such as ADDN do have the correct values. Then I call the function in my page_load like this: GetAdInfo(ADDN, ADCommonName, ADGivenName, ADStaffnum, ADEmail, ADDescription, ADTelephone, ADOffice, ADEmployeeID) Then I try to response.write out one of the vars to test like this: Response.Write(ADDN) But the value is empty. Please can someone tell me what I am doing wrong. Thanks

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  • Help with dynamic range compression function (audio)

    - by MusiGenesis
    I am writing a C# function for doing dynamic range compression (an audio effect that basically squashes transient peaks and amplifies everything else to produce an overall louder sound). I have written a function that does this (I think): public static void Compress(ref short[] input, double thresholdDb, double ratio) { double maxDb = thresholdDb - (thresholdDb / ratio); double maxGain = Math.Pow(10, -maxDb / 20.0); for (int i = 0; i < input.Length; i += 2) { // convert sample values to ABS gain and store original signs int signL = input[i] < 0 ? -1 : 1; double valL = (double)input[i] / 32768.0; if (valL < 0.0) { valL = -valL; } int signR = input[i + 1] < 0 ? -1 : 1; double valR = (double)input[i + 1] / 32768.0; if (valR < 0.0) { valR = -valR; } // calculate mono value and compress double val = (valL + valR) * 0.5; double posDb = -Math.Log10(val) * 20.0; if (posDb < thresholdDb) { posDb = thresholdDb - ((thresholdDb - posDb) / ratio); } // measure L and R sample values relative to mono value double multL = valL / val; double multR = valR / val; // convert compressed db value to gain and amplify val = Math.Pow(10, -posDb / 20.0); val = val / maxGain; // re-calculate L and R gain values relative to compressed/amplified // mono value valL = val * multL; valR = val * multR; double lim = 1.5; // determined by experimentation, with the goal // being that the lines below should never (or rarely) be hit if (valL > lim) { valL = lim; } if (valR > lim) { valR = lim; } double maxval = 32000.0 / lim; // convert gain values back to sample values input[i] = (short)(valL * maxval); input[i] *= (short)signL; input[i + 1] = (short)(valR * maxval); input[i + 1] *= (short)signR; } } and I am calling it with threshold values between 10.0 db and 30.0 db and ratios between 1.5 and 4.0. This function definitely produces a louder overall sound, but with an unacceptable level of distortion, even at low threshold values and low ratios. Can anybody see anything wrong with this function? Am I handling the stereo aspect correctly (the function assumes stereo input)? As I (dimly) understand things, I don't want to compress the two channels separately, so my code is attempting to compress a "virtual" mono sample value and then apply the same degree of compression to the L and R sample value separately. Not sure I'm doing it right, however. I think part of the problem may the "hard knee" of my function, which kicks in the compression abruptly when the threshold is crossed. I think I may need to use a "soft knee" like this: Can anybody suggest a modification to my function to produce the soft knee curve?

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