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  • Could SQL Server 2008 replication be used with NLB to allow unlimited scaling of reporting servers?

    - by John Keranos
    We are currently using transactional replication in SQL Server 2008 to keep a secondary reporting server synchronized with a primary database server. This has been working weel and keeps some of the load off the primary server. Would it be possible to scale this solution to multiple reporting servers? We're expecting an increased load of read-only queries and it would be nice to be able to add reporting servers as needed. The general idea was the following: Each reporting server would use a "pull" subscription to get the data from the primary database publication. These reporting databases could be a couple of minutes behind the primary server without it being an issue. The reporting servers would be NLB'd together. All read-only queries would be directed to the NLB which should spread the load across the servers.

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  • What's beyond c,c++ and data structure?

    - by sagacious
    I have learnt c and c++ programming languages.i have learnt data structure too. Now i'm confused what to do next?my aim is to be a good programmer. i want to go deeper into the field of programming and making the practical applications of what i have learnt. So,the question takes the form-what to do next?Or is there any site where i can see advantage of every language with it's features? sorry,if there's any language error and thanks in advance.

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  • Transaction Replication Publisher failover to Mirror

    Transaction Replication Publisher failover/failback to mirror standby with automatic redirection of the subscriber and client application. Does your database ever get out of sync?SQL Connect is a Visual Studio add-in that brings your databases into your solution. It then makes it easy to keep your database in sync, and commit to your existing source control system. Find out more.

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  • Setting up MySQL Replication for High Availability

    <b>PACKT Publishing: </b>"MySQL Replication has been supported in MySQL for a very long time and is an extremely flexible and powerful technology. Depending on the configuration, you can replicate all databases, selected databases, or even selected tables within a database."

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  • Init Replication From Backup

    One of the great features with SQL Replication is the ability to initialize a subscription from backup instead of from a snapshot. The official use for this is to take a database backup and restore it to a subscriber then replicate any additional changes to the backup. New! SQL Monitor 3.0 Red Gate's multi-server performance monitoring and alerting tool gets results from Day One.Simple to install and easy to use – download a free trial today.

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  • Should I never put a transactional replication distributor on a subscriber server?

    - by Stuart Branham
    What factors into choosing a distribution server for transactional replication? In our topology, we've always had the distributor reside on the publishing server. We rarely generate snapshots and performance is good enough, so this is okay for us today. One of our instances is moving to a cluster, so we need to move the distributor off for resilience/symmetry. Right now our two choices are to use a server physically close to the publishers, or our single subscription server. Our publisher is in our main office, and our subscriber is in a colocation facility off-site which our ISP runs. We have a pretty good line to it. The reason we're even considering the latter is to save work and licensing costs.

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  • Five stars of open data - example and review

    - by Joe
    (there may be a more suited SE site for this question so feel free to shift) I have some data I'd like to make open to the public - It's synatesis of some related data retrived from freedom of infomation requests over the last year. The data itself is at http://www.cs.rhul.ac.uk/home/joseph/domesday/Domesday-Scotland.csv or for fans of Excel, at http://www.cs.rhul.ac.uk/home/joseph/domesday/Domesday-Scotland.xlsx . It's no more than a table with about five columns. I'd like to make this properly open data, so I was looking at the 5 star deployment scheme for Open Data. Much of which is fine but I'm confused towards the end and I could do with an explenation from people who know the answers. So to get achieve the star levels I need: "make your stuff available on the Web (whatever format) under an open license" trival - all I have to do is put the notes up on the page that will give the provance of the data. "make it available as structured data (e.g., Excel instead of image scan of a table)"… done… "use non-proprietary formats (e.g., CSV instead of Excel)" - done… "use URIs to identify things, so that people can point at your stuff" - this is where I start to get a bit hazy - does this mean there should be an URI for every line in the table? "link your data to other data to provide context" - this isn't massively clear to me - does this mean to give the provence of the data? One column of the data I've put out is a link to where the data came from - is that the sort of thing we're looking at? Any and all information and answers welcome… EDIT - or if anyone wants to recommend a place SE or other place to ask the question - that would be cool...

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  • Using a "white list" for extracting terms for Text Mining, Part 2

    - by [email protected]
    In my last post, we set the groundwork for extracting specific tokens from a white list using a CTXRULE index. In this post, we will populate a table with the extracted tokens and produce a case table suitable for clustering with Oracle Data Mining. Our corpus of documents will be stored in a database table that is defined as create table documents(id NUMBER, text VARCHAR2(4000)); However, any suitable Oracle Text-accepted data type can be used for the text. We then create a table to contain the extracted tokens. The id column contains the unique identifier (or case id) of the document. The token column contains the extracted token. Note that a given document many have many tokens, so there will be one row per token for a given document. create table extracted_tokens (id NUMBER, token VARCHAR2(4000)); The next step is to iterate over the documents and extract the matching tokens using the index and insert them into our token table. We use the MATCHES function for matching the query_string from my_thesaurus_rules with the text. DECLARE     cursor c2 is       select id, text       from documents; BEGIN     for r_c2 in c2 loop        insert into extracted_tokens          select r_c2.id id, main_term token          from my_thesaurus_rules          where matches(query_string,                        r_c2.text)>0;     end loop; END; Now that we have the tokens, we can compute the term frequency - inverse document frequency (TF-IDF) for each token of each document. create table extracted_tokens_tfidf as   with num_docs as (select count(distinct id) doc_cnt                     from extracted_tokens),        tf       as (select a.id, a.token,                            a.token_cnt/b.num_tokens token_freq                     from                        (select id, token, count(*) token_cnt                        from extracted_tokens                        group by id, token) a,                       (select id, count(*) num_tokens                        from extracted_tokens                        group by id) b                     where a.id=b.id),        doc_freq as (select token, count(*) overall_token_cnt                     from extracted_tokens                     group by token)   select tf.id, tf.token,          token_freq * ln(doc_cnt/df.overall_token_cnt) tf_idf   from num_docs,        tf,        doc_freq df   where df.token=tf.token; From the WITH clause, the num_docs query simply counts the number of documents in the corpus. The tf query computes the term (token) frequency by computing the number of times each token appears in a document and divides that by the number of tokens found in the document. The doc_req query counts the number of times the token appears overall in the corpus. In the SELECT clause, we compute the tf_idf. Next, we create the nested table required to produce one record per case, where a case corresponds to an individual document. Here, we COLLECT all the tokens for a given document into the nested column extracted_tokens_tfidf_1. CREATE TABLE extracted_tokens_tfidf_nt              NESTED TABLE extracted_tokens_tfidf_1                  STORE AS extracted_tokens_tfidf_tab AS              select id,                     cast(collect(DM_NESTED_NUMERICAL(token,tf_idf)) as DM_NESTED_NUMERICALS) extracted_tokens_tfidf_1              from extracted_tokens_tfidf              group by id;   To build the clustering model, we create a settings table and then insert the various settings. Most notable are the number of clusters (20), using cosine distance which is better for text, turning off auto data preparation since the values are ready for mining, the number of iterations (20) to get a better model, and the split criterion of size for clusters that are roughly balanced in number of cases assigned. CREATE TABLE km_settings (setting_name  VARCHAR2(30), setting_value VARCHAR2(30)); BEGIN  INSERT INTO km_settings (setting_name, setting_value) VALUES     VALUES (dbms_data_mining.clus_num_clusters, 20);  INSERT INTO km_settings (setting_name, setting_value)     VALUES (dbms_data_mining.kmns_distance, dbms_data_mining.kmns_cosine);   INSERT INTO km_settings (setting_name, setting_value) VALUES     VALUES (dbms_data_mining.prep_auto,dbms_data_mining.prep_auto_off);   INSERT INTO km_settings (setting_name, setting_value) VALUES     VALUES (dbms_data_mining.kmns_iterations,20);   INSERT INTO km_settings (setting_name, setting_value) VALUES     VALUES (dbms_data_mining.kmns_split_criterion,dbms_data_mining.kmns_size);   COMMIT; END; With this in place, we can now build the clustering model. BEGIN     DBMS_DATA_MINING.CREATE_MODEL(     model_name          => 'TEXT_CLUSTERING_MODEL',     mining_function     => dbms_data_mining.clustering,     data_table_name     => 'extracted_tokens_tfidf_nt',     case_id_column_name => 'id',     settings_table_name => 'km_settings'); END;To generate cluster names from this model, check out my earlier post on that topic.

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  • Building vs. Buying a Master Data Management Solution

    - by david.butler(at)oracle.com
    Many organizations prefer to build their own MDM solutions. The argument is that they know their data quality issues and their data better than anyone. Plus a focused solution will cost less in the long run then a vendor supplied general purpose product. This is not unreasonable if you think of MDM as a point solution for a particular data quality problem. But this approach carries significant risk. We now know that organizations achieve significant competitive advantages when they deploy MDM as a strategic enterprise wide solution: with the most common best practice being to deploy a tactical MDM solution and grow it into a full information architecture. A build your own approach most certainly will not scale to a larger architecture unless it is done correctly with the larger solution in mind. It is possible to build a home grown point MDM solution in such a way that it will dovetail into broader MDM architectures. A very good place to start is to use the same basic technologies that Oracle uses to build its own MDM solutions. Start with the Oracle 11g database to create a flexible, extensible and open data model to hold the master data and all needed attributes. The Oracle database is the most flexible, highly available and scalable database system on the market. With its Real Application Clusters (RAC) it can even support the mixed OLTP and BI workloads that represent typical MDM data access profiles. Use Oracle Data Integration (ODI) for batch data movement between applications, MDM data stores, and the BI layer. Use Oracle Golden Gate for more real-time data movement. Use Oracle's SOA Suite for application integration with its: BPEL Process Manager to orchestrate MDM connections to business processes; Identity Management for managing users; WS Manager for managing web services; Business Intelligence Enterprise Edition for analytics; and JDeveloper for creating or extending the MDM management application. Oracle utilizes these technologies to build its MDM Hubs.  Customers who build their own MDM solution using these components will easily migrate to Oracle provided MDM solutions when the home grown solution runs out of gas. But, even with a full stack of open flexible MDM technologies, creating a robust MDM application can be a daunting task. For example, a basic MDM solution will need: a set of data access methods that support master data as a service as well as direct real time access as well as batch loads and extracts; a data migration service for initial loads and periodic updates; a metadata management capability for items such as business entity matrixed relationships and hierarchies; a source system management capability to fully cross-reference business objects and to satisfy seemingly conflicting data ownership requirements; a data quality function that can find and eliminate duplicate data while insuring correct data attribute survivorship; a set of data quality functions that can manage structured and unstructured data; a data quality interface to assist with preventing new errors from entering the system even when data entry is outside the MDM application itself; a continuing data cleansing function to keep the data up to date; an internal triggering mechanism to create and deploy change information to all connected systems; a comprehensive role based data security system to control and monitor data access, update rights, and maintain change history; a flexible business rules engine for managing master data processes such as privacy and data movement; a user interface to support casual users and data stewards; a business intelligence structure to support profiling, compliance, and business performance indicators; and an analytical foundation for directly analyzing master data. Oracle's pre-built MDM Hub solutions are full-featured 3-tier Internet applications designed to participate in the full Oracle technology stack or to run independently in other open IT SOA environments. Building MDM solutions from scratch can take years. Oracle's pre-built MDM solutions can bring quality data to the enterprise in a matter of months. But if you must build, at lease build with the world's best technology stack in a way that simplifies the eventual upgrade to Oracle MDM and to the full enterprise wide information architecture that it enables.

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  • Monitoring Active Directory (AD) Replication in Windows Server 2008 R2

    - by Kyle Brandt
    With Active Directory, what is a good way to monitor replication? I have multiple sites and multiple locations, so ideally both replication between sites and within sites would be monitored. I'm not really sure if each DC needs to be monitored, each NTDS connection, or each DC * Each NTDS connection. For the purposes of fitting into a standard alerting methodology, perfmon counters that would allow me to alert if replication was behind X minutes seems like it might be ideal.

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  • Oracle Communications Data Model

    - by jean-pierre.dijcks
    I've mentioned OCDM in previous posts but found the following (see end of the post) podcast on the topic and figured it is worthwhile to spread the news some more. ORetailDM and OCommunicationsDM are the two data models currently available from Oracle. Both are intended to capture: Business best practices and industry knowledge Pre-built advanced analytics intended to predict future events before they happen (like the Churn model shown below) Oracle technology best practices to ensure optimal performance of the model All of this typically comes with a reduced time to implementation, or as the marketing slogan goes, reduced time to value. Here are the links: Podcast on OCDM OTN pages for OCDM and ORDM

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  • Importing data from text file to specific columns using BULK INSERT

    - by Dinesh Asanka
    Bulk insert is much faster than using other techniques such as  SSIS. However, when you are using bulk insert you can’t insert to specific columns. If, for example, there are five columns in a table you should have five values for each record in the text file you are importing from. This is an issue when you are expecting default values to be inserted into tables. Let us say you have table as below: In this table, you are expecting ID, Status and CreatedDate to be updated automatically, so your text file may only have   FirstName  LastName  values as below: Dinesh,Asanka Saman,Liyanage Ruwan,Silva Susantha,Bathige Jude,Peires Sanjeewa,Jayawickrama If you use bulk insert to this table like follows, You will be returned an error: Bulk load data conversion error (type mismatch or invalid character for the specified codepage) for row 1, column 1 (ID). To avoid this you will need to create a view with the columns you are expecting to fill and use bulk insert against it. If you check the table now, you will see table with values in the text file and the default values.

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  • Javascript: Safely upload a client data file

    - by Jeffrey Sweeney
    I'm (still) working on a template-based XML editing program. It's a GUI-based XML editor that only allows users to add certain tags and attributes based off the requirements. You can see the current version here for an idea. Now, I'd like to allow users to upload their own data templates, but I'm concerned about potential XSS hacks. Currently, the template file is in Javascript object literal notation, which unsurprisingly is a security nightmare if the user can upload their own. I was thinking of using XML instead, but is there an even better alternative?

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  • Get aggregated view of data for entire website with Google Analytics

    - by crmpicco
    I have a website (www.ayrshireminis.com), which has three main sections under different directories, these are: /forum /galleries /contact I would like to have an aggregated view of the data for the whole website, but also for each section. What is the recommended approach for doing this? I believe I can create a web property that includes a profile for the entire website and duplicated filtered profiles, each section having an include filter. This is my gut instinct, but i'd like to know if there is another (better) way to do it? Maybe by having one account that includes a profile for the whole site and another profile with an include filter for the individual sections?

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  • Reuse the data CRUD methods in data access layer, but they are updated too quickly

    - by ValidfroM
    I agree that we should put CRUD methods in a data access layer, However, in my current project I have some issues. It is a legacy system, and there are quite a lot CRUD methods in some concrete manager classes. People including me seem to just add new methods to it, rather than reuse the existing methods. Because We don't know whether the existing method is what we need Even if we have source code, do we really need read other's code then make decision? It is updated too quickly. Do not have time get familiar with the DAO API. Back to the question, how do you solve that in your project? If we say "reuse", it really needs to be reusable rather than just an excuse.

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  • Design: How to model / where to store relational data between classes

    - by Walker
    I'm trying to figure out the best design here, and I can see multiple approaches, but none that seems "right." There are three relevant classes here: Base, TradingPost, and Resource. Each Base has a TradingPost which can offer various Resources depending on the Base's tech level. Where is the right place to store the minimum tech level a base must possess to offer any given resource? A database seems like overkill. Putting it in each subclass of Resource seems wrong--that's not an intrinsic property of the Resource. Do I have a mediating class, and if so, how does it work? It's important that I not be duplicating code; that I have one place where I set the required tech level for a given item. Essentially, where does this data belong? P.S. Feel free to change the title; I struggled to come up with one that fits.

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  • Still no detected structured data in Google Webmaster Tools [on hold]

    - by user6211
    Can you give me some suggestions what's wrong with my structured data? Google still cannot read it. It looks like this: <div class="identity"> <div itemscope itemtype="http://schema.org/LocalBusiness"> <a itemprop="url" href="http://MYDOMAIN.co.uk/"><div itemprop="name"><strong>MY_COMPANY</strong></div></a> <div itemprop="address" itemscope itemtype="http://schema.org/PostalAddress"> <span itemprop="streetAddress">MY_ADDRESS</span>, <span itemprop="addressLocality">London</span>, <span itemprop="postalCode">SE5 MY_XYZ</span>, <span itemprop="addressCountry">UK</span> </div> </div> </div>

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  • Consolidating hotels data from various booking sites with different IDs or reference

    - by Victor
    In one of my projects, I have data for hotels, and other booking sites are able to book this hotel. For example: Hotel A - Booking (ID = 4002), Expedia (ID = 123), Priceline (ID = 147) The three booking engines each uses their own Id to reference to Hotel A. I would need to check manually and make the right reference to the hotel. If I have 100,000 hotels, I have to check manually 300,000 (considering 3 booking sites) times? They might provide API, then I can cross check the name, address or latitude/longitude, but if they differ a little bit then I might give the wrong reference to the wrong hotel. I'm sure there are better ways to do this. There are many travel sites out there which do hotel price checking on many booking sites, but how do they do to make sure they are checking the right hotel on these booking sites? Anyone has any experience on this?

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  • Mount external HD ubuntu 12.10

    - by Luigi Tiburzi
    Although it's an abundantly treated matter, I'm unable to find an answer valid for my needs. I had a 12.04 installation of ubuntu and I decided to install the 12.10. I copied (using GParted) the partition where my system was to an external hd where there is a windows partition. Then I installed the newest ubuntu version and now I want to take back some files (for example my .emacs) from that partition but when I try to mount it, it is not found as sdb and if I mount it from /dev/usb/hddev0 I don't get any output, only a blinking cursor, no errors, no output. I even tried to mount it as an ntfs disk but the result was the same. It's like the hd cannot be detected. So how can I access data to that disk? Could I get them from GParted terminal instead of Ubuntu one? Thanks

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  • Using Ubuntu to recover data from a crashed Windows install

    - by user289391
    I was using Windows on my laptop when suddenly the blue screen of death appeared and then laptop restarted and wrote for me this : Intel UNDI, PXE-2.1 (built 083) Copyright (C) 1997-200 Intel Corporation This Product is covered by one or more of the following patents: US5,307459, US5,434,872, US5732,094, US6579,884, US6115,776 and US6,327,625 Realtek PCIe FE Family Controller Series v120 (01/26/10) PXE-M0F: ExitingPXEROM. reboot failed I have Ubuntu on an external disk so I have now booted to that. Two questions: Any theories on what happened? How can I use Ubuntu to recovers my data from Windows install?

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  • disk not accessible

    - by user107044
    i formatted my hard drive yesterday and it was working well even after the formatting. But when I restarted my system again , is is showing that the space is alloted to my files but they are inaccessible. I have even tried to unhide the files and folders, if they got hidden somehow. But nothing works. the hard drive is being shown empty but the properties are saying that it still conatins the data : http://imgur.com/ObjTE in the image, it is showing that the directory has only 1 file of size:4.8 kbps but the space being used by the drive is 11.6 GB. do suggest some solution.

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  • SQL SERVER Data Pages in Buffer Pool Data Stored in MemoryCache

    This will drop all the clean buffers so we will be able to start again from there. Now, run the following script and check the execution plan of the query. Have you ever wondered what types of data are there in your cache? During SQL Server Trainings, I am usually asked if there is any [...]...Did you know that DotNetSlackers also publishes .net articles written by top known .net Authors? We already have over 80 articles in several categories including Silverlight. Take a look: here.

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  • How To - Guide to Importing Data from a MySQL Database to Excel using MySQL for Excel

    - by Javier Treviño
    Fetching data from a database to then get it into an Excel spreadsheet to do analysis, reporting, transforming, sharing, etc. is a very common task among users. There are several ways to extract data from a MySQL database to then import it to Excel; for example you can use the MySQL Connector/ODBC to configure an ODBC connection to a MySQL database, then in Excel use the Data Connection Wizard to select the database and table from which you want to extract data from, then specify what worksheet you want to put the data into.  Another way is to somehow dump a comma delimited text file with the data from a MySQL table (using the MySQL Command Line Client, MySQL Workbench, etc.) to then in Excel open the file using the Text Import Wizard to attempt to correctly split the data in columns. These methods are fine, but involve some degree of technical knowledge to make the magic happen and involve repeating several steps each time data needs to be imported from a MySQL table to an Excel spreadsheet. So, can this be done in an easier and faster way? With MySQL for Excel you can. MySQL for Excel features an Import MySQL Data action where you can import data from a MySQL Table, View or Stored Procedure literally with a few clicks within Excel.  Following is a quick guide describing how to import data using MySQL for Excel. This guide assumes you already have a working MySQL Server instance, Microsoft Office Excel 2007 or 2010 and MySQL for Excel installed. 1. Opening MySQL for Excel Being an Excel Add-In, MySQL for Excel is opened from within Excel, so to use it open Excel, go to the Data tab located in the Ribbon and click MySQL for Excel at the far right of the Ribbon. 2. Creating a MySQL Connection (may be optional) If you have MySQL Workbench installed you will automatically see the same connections that you can see in MySQL Workbench, so you can use any of those and there may be no need to create a new connection. If you want to create a new connection (which normally you will do only once), in the Welcome Panel click New Connection, which opens the Setup New Connection dialog. Here you only need to give your new connection a distinctive Connection Name, specify the Hostname (or IP address) where the MySQL Server instance is running on (if different than localhost), the Port to connect to and the Username for the login. If you wish to test if your setup is good to go, click Test Connection and an information dialog will pop-up stating if the connection is successful or errors were found. 3.Opening a connection to a MySQL Server To open a pre-configured connection to a MySQL Server you just need to double-click it, so the Connection Password dialog is displayed where you enter the password for the login. 4. Selecting a MySQL Schema After opening a connection to a MySQL Server, the Schema Selection Panel is shown, where you can select the Schema that contains the Tables, Views and Stored Procedures you want to work with. To do so, you just need to either double-click the desired Schema or select it and click Next >. 5. Importing data… All previous steps were really the basic minimum needed to drill-down to the DB Object Selection Panel  where you can see the Database Objects (grouped by type: Tables, Views and Procedures in that order) that you want to perform actions against; in the case of this guide, the action of importing data from them. a. From a MySQL Table To import from a Table you just need to select it from the list of Database Objects’ Tables group, after selecting it you will note actions below the list become available; then click Import MySQL Data. The Import Data dialog is displayed; you can see some basic information here like the name of the Excel worksheet the data will be imported to (in the window title), the Table Name, the total Row Count and a 10 row preview of the data meant for the user to see the columns that the table contains and to provide a way to select which columns to import. The Import Data dialog is designed with defaults in place so all data is imported (all rows and all columns) by just clicking Import; this is important to minimize the number of clicks needed to get the job done. After the import is performed you will have the data in the Excel worksheet formatted automatically. If you need to override the defaults in the Import Data dialog to change the columns selected for import or to change the number of imported rows you can easily do so before clicking Import. In the screenshot below the defaults are overridden to import only the first 3 columns and rows 10 – 60 (Limit to 50 Rows and Start with Row 10). If the number of rows to be imported exceeds the maximum number of rows Excel can hold in its worksheet, a warning will be displayed in the dialog, meaning the imported number of rows will be limited by that maximum number (65,535 rows if the worksheet is in Compatibility Mode).  In the screenshot below you can see the Table contains 80,559 rows, but only 65,534 rows will be imported since the first row is used for the column names if the Include Column Names as Headers checkbox is checked. b. From a MySQL View Similar to the way of importing from a Table, to import from a View you just need to select it from the list of Database Objects’ Views group, then click Import MySQL Data. The Import Data dialog is displayed; identically to the way everything looks when importing from a table, the dialog displays the View Name, the total Row Count and the data preview grid. Since Views are really a filtered way to display data from Tables, it is actually as if we are extracting data from a Table; so the Import Data dialog is actually identical for those 2 Database Objects. After the import is performed, the data in the Excel spreadsheet looks like the following screenshot. Note that you can override the defaults in the Import Data dialog in the same way described above for importing data from Tables. Also the Compatibility Mode warning will be displayed if data exceeds the maximum number of rows explained before. c. From a MySQL Procedure Too import from a Procedure you just need to select it from the list of Database Objects’ Procedures group (note you can see Procedures here but not Functions since these return a single value, so by design they are filtered out). After the selection is made, click Import MySQL Data. The Import Data dialog is displayed, but this time you can see it looks different to the one used for Tables and Views.  Given the nature of Store Procedures, they require first that values are supplied for its Parameters and also Procedures can return multiple Result Sets; so the Import Data dialog shows the Procedure Name and the Procedure Parameters in a grid where their values are input. After you supply the Parameter Values click Call. After calling the Procedure, the Result Sets returned by it are displayed at the bottom of the dialog; output parameters and the return value of the Procedure are appended as the last Result Set of the group. You can see each Result Set is displayed as a tab so you can see a preview of the returned data.  You can specify if you want to import the Selected Result Set (default), All Result Sets – Arranged Horizontally or All Result Sets – Arranged Vertically using the Import drop-down list; then click Import. After the import is performed, the data in the Excel spreadsheet looks like the following screenshot.  Note in this example all Result Sets were imported and arranged vertically. As you can see using MySQL for Excel importing data from a MySQL database becomes an easy task that requires very little technical knowledge, so it can be done by any type of user. Hope you enjoyed this guide! Remember that your feedback is very important for us, so drop us a message: MySQL on Windows (this) Blog - https://blogs.oracle.com/MySqlOnWindows/ Forum - http://forums.mysql.com/list.php?172 Facebook - http://www.facebook.com/mysql Cheers!

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  • How do I fix issue causing "incomplete startup packet" log message trying to implement replication in Postgresql?

    - by colour me brad
    I've got two cloud servers running Ubuntu 13.04 and PostgreSQL 9.2. I've primarily used this blog post to aid me in setting things up. However, to do the initial database dump to the slave I'm using pg_start_backup/pg_stop_backup strategy used in this other blog post. I've read through the docs and postgres wikis as well. I ran into several problems I was able to solve, but I can't get past this wretched "the database is starting up" failure. I'm not sure if seeing "cp: cannot stat '/var/lib/postgresql/9.2/archive/00000001000000000000003A': No such file or directory" after "consistent recover state reached" is normal or the first sign of a problem. The searching I've done on "the database is starting up" and "incomplete startup packet" tells me that something is sending empty TCP packets to the slave. The only thing that even knows about the slave is the master, so I'm not sure why it's sending empty packets... Has anyone worked with this and have an idea what might be going wrong? The postgres log on the slave looks like so: 2013-08-26 13:01:38 CDT LOG: entering standby mode 2013-08-26 13:01:38 CDT LOG: restored log file "000000010000000000000039" from archive 2013-08-26 13:01:38 CDT LOG: incomplete startup packet 2013-08-26 13:01:39 CDT LOG: redo starts at 0/39000020 2013-08-26 13:01:39 CDT LOG: consistent recovery state reached at 0/390000E0 cp: cannot stat '/var/lib/postgresql/9.2/archive/00000001000000000000003A': No such file or directory 2013-08-26 13:01:39 CDT LOG: streaming replication successfully connected to primary 2013-08-26 13:01:39 CDT FATAL: the database system is starting up 2013-08-26 13:01:39 CDT FATAL: the database system is starting up 2013-08-26 13:01:40 CDT FATAL: the database system is starting up 2013-08-26 13:01:40 CDT FATAL: the database system is starting up 2013-08-26 13:01:41 CDT FATAL: the database system is starting up 2013-08-26 13:01:42 CDT FATAL: the database system is starting up 2013-08-26 13:01:42 CDT FATAL: the database system is starting up 2013-08-26 13:01:43 CDT FATAL: the database system is starting up 2013-08-26 13:01:43 CDT FATAL: the database system is starting up 2013-08-26 13:01:44 CDT FATAL: the database system is starting up 2013-08-26 13:01:44 CDT FATAL: the database system is starting up 2013-08-26 13:01:44 CDT LOG: incomplete startup packet 2013-08-26 13:03:27 CDT FATAL: the database system is starting up 2013-08-26 13:03:27 CDT FATAL: the database system is starting up 2013-08-26 13:03:30 CDT FATAL: the database system is starting up 2013-08-26 13:03:30 CDT FATAL: the database system is starting up thanks! brad

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  • Excel Conditional Formatting Multiple Data Bars and Data Icons in one cell

    - by wbeard52
    I am using Excel 2007 on a windows machine. I am attempting to place one data bar and one data icon into a cell under the conditional formatting. The issue is that I don't really want to have data icons or data bars for cells that have dates in the future and I only want to have data icons for dates in the at least one month in the past. This is what I have: This is what I want: I am using the EOMONTH function to determine the last day of the month for the conditional formatting calculations. For the data bar the formula is =EOMONTH(Now(), 4) and =EOMONTH(Now(), -1). The data icons formulas are =EOMONTH(Now(), -1) and =EOMONTH(Now(), -2) Is there a way in Excel 2007 to get rid of the data icons for all the dates in the future and lose the data bars when the date has past. Thanks

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