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  • Why is it bad to use boolean flags in databases? And what should be used instead?

    - by David Chanin
    I've been reading through some of guides on database optimization and best practices and a lot of them suggest not using boolean flags at all in the DB schema (ex http://forge.mysql.com/wiki/Top10SQLPerformanceTips). However, they never provide any reason as to why this is bad. Is it a peformance issue? is it hard to index or query properly? Furthermore, if boolean flags are bad, what should you use to store boolean values in a database? Is it better to store boolean flags as an integer and use a bitmask? This seems like it would be less readable.

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  • Database: Storing Dates as Numeric Values

    - by Chin
    I'm considering storing some date values as ints. i.e 201003150900 Excepting the fact that I lose any timezone information, is there anything else I should be concerned about with his solution? Any queries using this column would be simple 'where after or before' type lookups. i.e Where datefield is less than 201103000000 (before March next year). currently the app is using MSSQL2005. Any pointers to pitfalls appreciated.

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  • database is normalized but the following is a problem please help

    - by user287745
    but the prob is there are relations ships which are so huge that after normalizing they have like a 20 primary keys( composite keys) which are really foreign keys but have to be declared as primary keys to identify the relationship uniquely. so please help? is it correct and i apologize to the expert community for not accepting answers, i was not aware that accepting is possible, the TICK MARK is that visible :-)

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  • correct approach to store in database

    - by John
    I'm developing an online website (using Django and Mysql). I have a Tests table and User table. I have 50 tests within the table and each user completes them at their own pace. How do I store the status of the tests in my DB? One idea that came to my mind is to create an additional column in User table. That column containing testid's separated by comma or any other delimiter. userid | username | testscompleted 1 john 1, 5, 34 2 tom 1, 10, 23, 25 Another idea was to create a seperate table to store userid and testid. So, I'll have only 2 columns but thousands of rows (no of tests * no of users) and they will always continue to increase. userid | testid 1 1 1 5 2 1 1 34 2 10

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  • How to map to tables in database PHPMyAdmin

    - by thegrede
    I'm working now on a project which a user can save their own coupon codes on the websites, so I want to know what is the best to do that, Lets say, I have 1 table with the users, like this, userId | firstName | lastName | codeId and then I have a table of the coupon codes, like this, codeId | codeNumber So what I can do is to connect the codeId to userId so when someone saves the coupons goes the codeId from the coupon table into the codeId of the users table, But now what if when a user have multiple coupons what do I do it should be connected to the user? I have 2 options what to do, Option 1, Saving the codeId from coupons table into the codeId of users table like 1,2,3,4,5, Option 2 To make a new row into the coupons table and to connect the user to the code with adding another field in the coupon table userId and putting into it the user which has added the coupon his userId of the users table, So what of the two options is better to do? Thanks you guys.

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  • friendship database schema

    - by Daniel Hertz
    I'm creating a db schema that involves users that can be friends, and I was wondering what the best way to model the ability for these friends to have friendships. Should it be its own table that simply has two columns that each represent a user? Thanks!

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  • Database table relationships: Always also relate to specified value (Linq to SQL in .NET Framework)

    - by sinni800
    I really can not describe my question better in the title. If anyone has suggestions: Please tell! I use the Linq to SQL framework in .NET. I ran into something which could be easily solved if the framework supported this, it would be a lot of extra coding otherwise: I have a n to n relation with a helper table in between. Those tables are: Items, places and the connection table which relates items to places and the other way. One item can be found in many places, so can one place have many items. Now of course there will be many items which will be in ALL places. Now there is a problem: Places can always be added. So I need a place-ID which encompasses ALL places, always. Like maybe a place-id "0". If the helper table has a row with the place-id of zero, this should be visible in all places. In SQL this would be a simple "Where [...] or place-id = 0", but how do I do this in Linq relations? Also, for a little side question: How could I manage "all but this place" kind of exclusions?

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  • Database design - table relationship question

    - by iama
    I am designing schema for a simple quiz application. It has 2 tables - "Question" and "Answer Choices". Question table has 'question ID', 'question text' and 'answer id' columns. "Answer Choices" table has 'question ID', 'answer ID' and 'answer text' columns. With this simple schema it is obvious that a question can have multiple answer choices & hence the need for the answer choices table. However, a question can have only one correct answer and hence the need for the 'answer ID' in the question table. However, this 'answer ID' column in the question table provides a illusion as though there can be multiple questions for a single answer which is not correct. The other alternative to eliminate this illusion is to have another table just for correct answer that will have just 2 columns namely the question ID and the answer ID with a 1-1 relationship between the two tables. However, I think this is redundant. Any recommendation on how best to design this thereby enforcing the rules that a question can have multiple answer choices but only one correct answer? Many Thanks.

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  • Database Modelling - Conceptually different entities with near identical fields

    - by Andrew Shepherd
    Suppose you have two sets of conceptual entities: MarketPriceDataSet which has multiple ForwardPriceEntries PoolPriceForecastDataSet which has multiple PoolPriceForecastEntry Both different child objects have near identical fields: ForwardPriceEntry has StartDate EndDate SimulationItemId ForwardPrice MarketPriceDataSetId (foreign key to parent table) PoolPriceForecastEntry has StartDate EndDate SimulationItemId ForecastPoolPrice PoolPriceForecastDataSetId (foreign key to parent table) If I modelled them as separate tables, the only difference would be the foreign key, and the name of the price field. There has been a debate as to whether the two near identical tables should be merged into one. Options I've thought of to model this is: Just keep them as two independent, separate tables Have both sets in the one table with an additional "type" field, and a parent_id equalling a foreign key to either parent table. This would sacrifice referential integrity checks. Have both sets in the one table with an additional "type" field, and create a complicated sequence of joining tables to maintain referential integrity. What do you think I should do, and why?

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  • Generic version control strategy for select table data within a heavily normalized database

    - by leppie
    Hi Sorry for the long winded title, but the requirement/problem is rather specific. With reference to the following sample (but very simplified) structure (in psuedo SQL), I hope to explain it a bit better. TABLE StructureName { Id GUID PK, Name varchar(50) NOT NULL } TABLE Structure { Id GUID PK, ParentId GUID (FK to Structure), NameId GUID (FK to StructureName) NOT NULL } TABLE Something { Id GUID PK, RootStructureId GUID (FK to Structure) NOT NULL } As one can see, Structure is a simple tree structure (not worried about ordering of children for the problem). StructureName is a simplification of a translation system. Finally 'Something' is simply something referencing the tree's root structure. This is just one of many tables that need to be versioned, but this one serves as a good example for most cases. There is a requirement to version to any changes to the name and/or the tree 'layout' of the Structure table. Previous versions should always be available. There seems to be a few possibilities to tackle this issue, like copying the entire structure, but most approaches causes one to 'loose' referential integrity. Example if one followed this approach, one would have to make a duplicate of the 'Something' record, given that the root structure will be a new record, and have a new ID. Other avenues of possible solutions are looking into how Wiki's handle this or go a lot further and look how proper version control systems work. Currently, I feel a bit clueless how to proceed on this in a generic way. Any ideas will be greatly appreciated. Thanks leppie

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  • Naming of boolean column in database table

    - by Space Cracker
    I have 'Service' table and the following column description as below Is User Verification Required for service ? Is User's Email Activation Required for the service ? Is User's Mobile Activation required for the service ? I Hesitate in naming these columns as below IsVerificationRequired IsEmailActivationRequired IsMobileActivationRequired or RequireVerification RequireEmailActivation RequireMobileActivation I can't determined which way is the best .So, Is one of the above suggested name is the best or is there other better ones ?

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  • Should core application configuration be stored in the database, and if so what should be done to se

    - by Rl
    I'm writing an application around a lot of hierarchical data. Currently the hierarchy is fixed, but it's likely that new items will be added to the hierarchy in the future. (please let them be leaves) My current application and database design is fairly generic and nothing dealing with specific nodes in the hierarchy is hardcoded, with the exception of validation and lookup functions written to retrieve external data from each node's particular database. This pleases me from a design point of view, but I'm nervous at the realization that the entire application rests on a handful of records in the database. I'm also frustrated that I have to enforce certain aspects of data integrity with database triggers rather than by foreign key constraints (an example is where several different nodes in the hierarchy have their own proprietary IDs and I store them in a single column which, when coupled with the node ID can be used to locate the foreign data). I'm starting to wonder whether it may have been appropriate to simply hardcoded these known nodes into the system so that it would be more "type safe" and less generic. How does one know when something should be hardcoded, and when it should be a configuration item? Is it just a cost-benefit analysis of clarity/safety now vs less work later, or am I missing some metric I should be using to determine whether or not this is appropriate. The steps I'm taking to protect these valuable configurations are to add triggers that prevent updates/deletes. The database user that this application uses will only have the ability to manipulate data through stored procedures. What else can I do?

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  • Architecture advice for converting biz app from old school to new school?

    - by Aaron Anodide
    I've got a WinForms business application that evolved over the past few years. It's forms over data with a number custom UI experiences taylored to the business, so I don't think it's a candidate to port to something like SharePoint or re-write in LightSwitch (at least not without significant investment). When I started it in 2009 I was new to this type of development (coming from more low level programming and my RDBMS knowledge was just slightly greater than what I got from school). Thus, when I was confronted with a business model that operates on a strict monthly accounting cycle, I made the unfortunate decision to create a separate database for each accounting period. Also, when I started I knew DataSets, then I learned Linq2Sql, then I learned EntityFramework. The screens are a mix and match of those. Now, after a few years developing this thing by myself I've finally got a small team. Ultimately, I want a web front end (for remote access to more straight up screens with grids of data) and a thick client (for the highly customized interfaces). My question is: can you offer me some broad strokes architecture advice that will help me formulate a battle plan to convert over to a single database and lay the foundations for my future goals at the same time? Here's a screen shot showing how an older screen uses DataSets and a newer screen uses EF (I'm thinking this might make it more real for someone reading the question - I'm willing to add any amount of detail if someone is willing to help).

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  • Upgrading from SQL2000 database to SQL Express 2008 R2

    - by itwb
    Hi, We have a web application which uses a MSSQL 2000 backend database. We are currently paying a ridiculous amount for Shared Hosting, with the database costs alone costing us $150 per month (MSSQL 100mb extra space is $40 per month). Our database size is 896.38 MB I am looking at getting a Virtual Private Server and upgrading the database to a MSSQL2008 Express database. I am aware that the Express version is limited to a 10GB database (with R2), and is constrained to a single CPU. I have also been offered SQL Server 2008 Web Edition for $19/per month, but I cannot find many details on the difference between Express and Web. Any suggestions here? What I would also like to know is: If we upgrade the database to MSSQL 2008 database, is there any issues with possible data transformations in the future? I.e. Is it possible to download and mount it with SQL Server 2008 Standard edition? I'm more concerned about how to get data in and out of the database through SQL Management tools. Are there any other issues that I might face? Thanks, Mike

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  • MySQL root user can't access database

    - by Ed Schofield
    Hi all, We have a MySQL database ('myhours') on a production database server that is accessible to one user ('edsf') only, but not to the root user. The command 'SHOW DATABASES' as the root user does not list the 'myhours' database. The same command as the 'edsf' user lists the database: mysql> SHOW DATABASES; +--------------------+ | Database | +--------------------+ | information_schema | | myhours | +--------------------+ 2 rows in set (0.01 sec) Only the 'edsf' user can access the 'myhours' database with 'USE myhours'. Neither user seems to have permission to grant further permissions for this database. My questions are: Q1. How is it that the root user does not have permission to use the database? How could this have come about? The output of SHOW GRANTS FOR 'root'@'localhost'; looks fine to me: GRANT ALL PRIVILEGES ON *.* TO 'root'@'localhost' IDENTIFIED BY PASSWORD '*xxx' WITH GRANT OPTION Q2. How can I recover this situation to make this database visible to the MySQL root user and grant further permissions on it? Thanks in advance for any help! -- Ed

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  • Getting started with Oracle Database In-Memory Part III - Querying The IM Column Store

    - by Maria Colgan
    In my previous blog posts, I described how to install, enable, and populate the In-Memory column store (IM column store). This weeks post focuses on how data is accessed within the IM column store. Let’s take a simple query “What is the most expensive air-mail order we have received to date?” SELECT Max(lo_ordtotalprice) most_expensive_order FROM lineorderWHERE  lo_shipmode = 5; The LINEORDER table has been populated into the IM column store and since we have no alternative access paths (indexes or views) the execution plan for this query is a full table scan of the LINEORDER table. You will notice that the execution plan has a new set of keywords “IN MEMORY" in the access method description in the Operation column. These keywords indicate that the LINEORDER table has been marked for INMEMORY and we may use the IM column store in this query. What do I mean by “may use”? There are a small number of cases were we won’t use the IM column store even though the object has been marked INMEMORY. This is similar to how the keyword STORAGE is used on Exadata environments. You can confirm that the IM column store was actually used by examining the session level statistics, but more on that later. For now let's focus on how the data is accessed in the IM column store and why it’s faster to access the data in the new column format, for analytical queries, rather than the buffer cache. There are four main reasons why accessing the data in the IM column store is more efficient. 1. Access only the column data needed The IM column store only has to scan two columns – lo_shipmode and lo_ordtotalprice – to execute this query while the traditional row store or buffer cache has to scan all of the columns in each row of the LINEORDER table until it reaches both the lo_shipmode and the lo_ordtotalprice column. 2. Scan and filter data in it's compressed format When data is populated into the IM column it is automatically compressed using a new set of compression algorithms that allow WHERE clause predicates to be applied against the compressed formats. This means the volume of data scanned in the IM column store for our query will be far less than the same query in the buffer cache where it will scan the data in its uncompressed form, which could be 20X larger. 3. Prune out any unnecessary data within each column The fastest read you can execute is the read you don’t do. In the IM column store a further reduction in the amount of data accessed is possible due to the In-Memory Storage Indexes(IM storage indexes) that are automatically created and maintained on each of the columns in the IM column store. IM storage indexes allow data pruning to occur based on the filter predicates supplied in a SQL statement. An IM storage index keeps track of minimum and maximum values for each column in each of the In-Memory Compression Unit (IMCU). In our query the WHERE clause predicate is on the lo_shipmode column. The IM storage index on the lo_shipdate column is examined to determine if our specified column value 5 exist in any IMCU by comparing the value 5 to the minimum and maximum values maintained in the Storage Index. If the value 5 is outside the minimum and maximum range for an IMCU, the scan of that IMCU is avoided. For the IMCUs where the value 5 does fall within the min, max range, an additional level of data pruning is possible via the metadata dictionary created when dictionary-based compression is used on IMCU. The dictionary contains a list of the unique column values within the IMCU. Since we have an equality predicate we can easily determine if 5 is one of the distinct column values or not. The combination of the IM storage index and dictionary based pruning, enables us to only scan the necessary IMCUs. 4. Use SIMD to apply filter predicates For the IMCU that need to be scanned Oracle takes advantage of SIMD vector processing (Single Instruction processing Multiple Data values). Instead of evaluating each entry in the column one at a time, SIMD vector processing allows a set of column values to be evaluated together in a single CPU instruction. The column format used in the IM column store has been specifically designed to maximize the number of column entries that can be loaded into the vector registers on the CPU and evaluated in a single CPU instruction. SIMD vector processing enables the Oracle Database In-Memory to scan billion of rows per second per core versus the millions of rows per second per core scan rate that can be achieved in the buffer cache. I mentioned earlier in this post that in order to confirm the IM column store was used; we need to examine the session level statistics. You can monitor the session level statistics by querying the performance views v$mystat and v$statname. All of the statistics related to the In-Memory Column Store begin with IM. You can see the full list of these statistics by typing: display_name format a30 SELECT display_name FROM v$statname WHERE  display_name LIKE 'IM%'; If we check the session statistics after we execute our query the results would be as follow; SELECT Max(lo_ordtotalprice) most_expensive_order FROM lineorderWHERE lo_shipmode = 5; SELECT display_name FROM v$statname WHERE  display_name IN ('IM scan CUs columns accessed',                        'IM scan segments minmax eligible',                        'IM scan CUs pruned'); As you can see, only 2 IMCUs were accessed during the scan as the majority of the IMCUs (44) in the LINEORDER table were pruned out thanks to the storage index on the lo_shipmode column. In next weeks post I will describe how you can control which queries use the IM column store and which don't. +Maria Colgan

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  • Silverlight 4 with WCF RIA architecture applying DDD

    - by doteneter
    Hello, In my ASP.NET MVC applications I use DDD and it works very well. I'm new to Silverlight development and would like to know how could I apply DDD to build a new architecture. I had a look on WCF RIA Services and what is exposed by default it's the simple CRUD methods. I would like to use MVVM pattern. I thought about general architecture and don't know if what I'm thinking about make sense in Silverlight development. I thought about creating Domain Model on the top of SVC. I would than expose by WCF RIA some operation that deals with aggreates in my Domain Model instead of simple CRUD. What I would aloso expose is the ViewModel entieties that could be used by the view. I don't know if it's make sense, if I'm going in a good direction or if applying DDD in Silverlight 4 development is a good practice. I didn't find much informations on Internet. I'll appreciate if you could point me to some interesting links or if you can give me some hints. Thanks for your help.

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  • Db4o Mvc Application Architecture

    - by Mac
    I am currently testing out Db4o for an asp.net MVC 2 application idea but there are a few things I'm not quite sure on the best way to proceed. I want my application to use guessable routes rather than Id's for referencing my entities but I also think I need Id's of some sort for update scenarios. so for example I want /country/usa instead of /country/1 I may want to change the key name though (not perhaps on a country but on other entities) so am thinking I need an Id to use as the reference to retrieve the object prior to updating it's fields. From other comments it seems like the UUID is a bit long to be using and would prefer to use my own id's anyway for clean separation of concerns. Looking at both the KandaAlpha project I wasn't too keen on some aspects of the design and prefer something more along the lines of S#arp architecture where they use things like the [domainsignature] and EntityWithTypedId, IEntityDuplicateChecker, IHasAssignedId, BaseObject and IValidatable in their entities to control insert/update behaviour which seems cleaner and more extensible, covers validation and is encapsulated well within the core and base repository classes. So would a port of S#arp architecture to Db4o make sense of am I still thinking rmdbs in an oodb world? Also is there a best practice for managing indexes (including Unique ones as above) in Db4o? Should they be model metadata based and loaded using DI in a bootstrapper for example or should they be more loaded more like Automapper.CreateMap? Its a bit of a rambling question I know but any thoughts, ideas or suggested reading material is greatly appreciated. Thanks Mac

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  • Subscription website architecture questions + SQL Server & .NET

    - by chopps
    Hey Guys, I have a few questions about the architecture of a subscription service I am about to embark on and I am looking for some feedback on how best to set it up. I won’t have a large amount of customers as Basecamp, maybe a few hundred and was wondering what would be a solid architecture for setting up the customer sites. I’m running SQL Server and .NET on a dedicated machine. Should create a new database for each customer as to have control and isolation of data or keep them all in one database? I am also thinking of creating a sub-domain for each customer as well so modifications can be made to each site as needed. The customer URLs would look like this: https://customer1.foobar.com https://customer2.foobar.com I am going to have the ability to ‘plug-in’ reports that will be uploaded to the site so each customer can customize as needed. Off the top of my head this necessitates having each sub domain on its own code-base for the uploading of these reports. So on the main site the customer would sign up for their new subscription and I would programmatically create a new directory for the customer from the main code base and then create a sub domain pointing to the new directory for the customer and then finally their database. Does this sound about right? Am I on the right track? How do other such sites accomplish the same thing? Thanks for letting me bend your ear for a bit on this.

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  • ASP.NET MVC application architecture "guidelines"

    - by Joe Future
    I'm looking for some feedback on my ASP.NET MVC based CMS application architecture. Domain Model - depends on nothing but the System classes to define types. For now, mostly anemic. Repository Layer - abstracted data access, only called by the services layer Services Layer - performs business logic on domain models. Exposes view models to the controllers. ViewModelMapper - service that translates back and forth between view models and domain models Controllers - super thin "traffic cop" style functionality that interacts with the service layer and only talks in terms of view models, never domain models My domain model is mostly used as data transfer (DTO) objects and has minimal logic at the moment. I'm finding this is nice because it depends on nothing (not even classes in the services layer). The services layer is a bit tricky... I only want the controllers to have access to viewmodels for ease of GUI programming. However, some of the services need to talk to each other. For example, I have an eventing service that notifies other listener services when content is tagged, when blog posts are created, etc. Currently, the methods that take domain models as inputs or return them are marked internal so they can't be used by the controllers. Sounds like overkill? Not enough abstraction? I'm mainly doing this as a learning exercise in being strict about architecture, not for an actual product, so please no feedback along the lines of "right depends on what you want to do". thanks! Jason

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  • Entity Framework in layered architecture

    - by Kamyar
    I am using a layered architecture with the Entity Framework. Here's What I came up with till now (All the projects Except UI are class library): Entities: The POCO Entities. Completely persistence ignorant. No Reference to other projects. Generated by Microsoft's ADO.Net POCO Entity Generator. DAL: The EDMX (Entity Model) file with the context class. (t4 generated). References: Entities BLL: Business Logic Layer. Will implement repository pattern on this layer. References: Entities, DAL. This is where the objectcontext gets populated: var ctx=new DAL.MyDBEntities(); UI: The presentation layer: ASP.NET website. References: Entities, BLL + a connection string entry to entities in the config file (question #2). Now my three questions: Is my layer discintion approach correct? In my UI, I access BLL as follows: var customerRep = new BLL.CustomerRepository(); var Customer = customerRep.GetByID(myCustomerID); The problem is that I have to define the entities connection string in my UI's web.config/app.config otherwise I get a runtime exception. IS defining the entities connectionstring in UI spoils the layers' distinction? Or is it accesptible in a muli layered architecture. Should I take any additional steps to perform chage tracking, lazy loading, etc (by etc I mean the features that Entity Framework covers in a conventional, 1 project, non POCO code generation)? Thanks and apologies for the lengthy question.

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  • Problems locating Redmine database

    - by zordor
    I have an active redmine but I can not find the database where it is running right now. It should be on PostgreSQL but the database where it should be running is empty. Does anybody have any idea how to check current database used by redmine? Please let me know if you need any extra information. Thank you EDIT: Ok I know the database it is using. On the database.yml I have project_redmine but it is using the database project I dont know why. That database it is used by developers for the actual project. So that is getting me problems of course. I am unable to run it on the right DB (project_redmine) any ideas? :S

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