Search Results

Search found 4493 results on 180 pages for 'price comparison'.

Page 31/180 | < Previous Page | 27 28 29 30 31 32 33 34 35 36 37 38  | Next Page >

  • What are the alternatives to fixed-price or time-and-materials contracts for software development?

    - by Fortuity
    Where can I learn more about pros/cons of various pricing models for software development? Proponents of agile methodology suggest approaches such as multi-stage contracts, target cost contracts, target schedule contracts, shared benefit contracts, variable scope contracts (http://poppendieck.com/agilecontracts.htm). I'm looking for opinions, experience, case studies or informed discussion of these approaches.

    Read the article

  • What are the alternatives to fixed-price or time-and-materials contracts for software development?

    - by Fortuity
    Where can I learn more about pros/cons of various pricing models for software development? Proponents of agile methodology suggest approaches such as multi-stage contracts, target cost contracts, target schedule contracts, shared benefit contracts, variable scope contracts (http://poppendieck.com/agilecontracts.htm). I'm looking for opinions, experience, case studies or informed discussion of these approaches.

    Read the article

  • How would you price a dynamic real estate property management website? [closed]

    - by user1217550
    Imagine, hypothetically of course, that you are being commissioned to develop a full-fledged real estate website that includes: 1) a search engine with ajax/json autofill, 2) google maps and geolocation integration, google streetview, 3) user registration, login and account management 4) administrative panels to control data input 5) search results page 6) user statistics 7) property inquiry to allow internal messaging between users How much would you charge? Suppose you are developing the most advanced and specific system in PhP/MySQL, and your total development time is roughly 1500 hours? Any suggestions?

    Read the article

  • Something like a manual refresh is needed angularjs, and a $digest() iterations error

    - by Tony Ennis
    (post edited again, new comments follow this line) I'm changing the title of this posting since it was misleading - I was trying to fix a symptom. I was unable to figure out why the code was breaking with a $digest() iterations error. A plunk of my code worked fine. I was totally stuck, so I decided to make my code a little more Angular-like. One anti-pattern I had implemented was to hide my model behind my controller by adding getters/setters to the controller. I tore all that out and instead put the model into the $scope since I had read that was proper Angular. To my surprise, the $digest() iterations error went away. I do not exactly know why and I do not have the intestinal fortitude to put the old code back and figure it out. I surmise that by involving the controller in the get/put of the data I added a dependency under the hood. I do not understand it. edit #2 ends here. (post edited, see EDIT below) I was working through my first Error: 10 $digest() iterations reached. Aborting! error today. I solved it this way: <div ng-init="lineItems = ctrl.getLineItems()"> <tr ng-repeat="r in lineItems"> <td>{{r.text}}</td> <td>...</td> <td>{{r.price | currency}}</td> </tr </div> Now a new issue has arisen - the line items I'm producing can be modified by another control on the page. It's a text box for a promo code. The promo code adds a discount to the lineItem array. It would show up if I could ng-repeat over ctrl.getLineItems(). Since the ng-repeat is looking at a static variable, not the actual model, it doesn't see that the real line items have changed and thus the promotional discount doesn't get displayed until I refresh the browser. Here's the HTML for the promo code: <input type="text" name="promo" ng-model="ctrl.promoCode"/> <button ng-click="ctrl.applyPromoCode()">apply promo code</button> The input tag is writing the value to the model. The bg-click in the button is invoking a function that will apply the code. This could change the data behind the lineItems. I have been advised to use $scope.apply(...). However, since this is applied as a matter of course by ng-click is isn't going to do anything. Indeed, if I add it to ctrl.applyPromoCode(), I get an error since an .apply() is already in progress. I'm at a loss. EDIT The issue above is probably the result of me fixing of symptom, not a problem. Here is the original HTML that was dying with the 10 $digest() iterations error. <table> <tr ng-repeat="r in ctrl.getLineItems()"> <td>{{r.text}}</td> <td>...</td> <td>{{r.price | currency}}</td> </tr> </table> The ctrl.getLineItems() function doesn't do much but invoke a model. I decided to keep the model out of the HTML as much as I could. this.getLineItems = function() { var total = 0; this.lineItems = []; this.lineItems.push({text:"Your quilt will be "+sizes[this.size].block_size+" squares", price:sizes[this.size].price}); total = sizes[this.size].price; this.lineItems.push({text: threads[this.thread].narrative, price:threads[this.thread].price}); total = total + threads[this.thread].price; if (this.sashing) { this.lineItems.push({text:"Add sashing", price: this.getSashingPrice()}); total = total + sizes[this.size].sashing; } else { this.lineItems.push({text:"No sashing", price:0}); } if(isNaN(this.promo)) { this.lineItems.push({text:"No promo code", price:0}); } else { this.lineItems.push({text:"Promo code", price: promos[this.promo].price}); total = total + promos[this.promo].price; } this.lineItems.push({text:"Shipping", price:this.shipping}); total = total + this.shipping; this.lineItems.push({text:"Order Total", price:total}); return this.lineItems; }; And the model code assembled an array of objects based upon the items selected. I'll abbreviate the class as it croaks as long as the array has a row. function OrderModel() { this.lineItems = []; // Result of the lineItems call ... this.getLineItems = function() { var total = 0; this.lineItems = []; ... this.lineItems.push({text:"Order Total", price:total}); return this.lineItems; }; }

    Read the article

  • How do I use price data in one table for a calculation that is stored in another table?

    - by shane
    I'm still leanring PHP/MySQL but have learned quite a bit thanks to codies on StackOverflow. I'm trying to setup a sort of room reservations system using two tables: SETUP: Room price table: Has, prices for a type room a client may want to rent as well as the dates (day of week) they wish to use it. Pricing varies based on day of the week and per room. I've setup a different table for each room type as each room type carries different pricing for each day of the week. So, There is an Alpha room table, Bravo room, etc. Within Alpha table are headers for the days of the week with pricing pre-entered into the rows. Client info table: Has the name, address, date of room use, etc data for the specific client. EXAMPLE: Alpha-room price table: Sun = $100; Mon = $200; Tue=$300 and so on. Bravo-room price table: Sun = $100; Mon = $200; Tue=$300 and so on. Client data table: ClientName; date-of-room-use; address; day_subtotal; grand_total. QUESTION: I'm trying to find PHP code that will: look at the date of room use in the client data table, look up the associated cost for that date in the specific room pricing table, record that unit cost in the day subtotal of the client data table and sum a grand total in the grand total row of the client data table (assuming the room may be used more than one day by the customer). I know there's something to do with join but I'm finding it difficult to grasp the concept and, if someone can demonstrate using this example, I think I will have a better understanding of how to work this sort of transaction. Thank you ALL in advance for your suggestions or alternatvie approaches.

    Read the article

  • How does Visio 2013 justify the high price tag?

    - by AME
    I am starting a process documentation project at work and am searching for a tool to diagram workflows. I have come across a number of options, some of which are free/open source products, and then there's Microsoft's Visio 2013. How is the steeper price point of Visio justified when compared to free alternatives? Which "power" features make Visio the favorite choice of business analysts and other professionals?

    Read the article

  • Metro: Grouping Items in a ListView Control

    - by Stephen.Walther
    The purpose of this blog entry is to explain how you can group list items when displaying the items in a WinJS ListView control. In particular, you learn how to group a list of products by product category. Displaying a grouped list of items in a ListView control requires completing the following steps: Create a Grouped data source from a List data source Create a Grouped Header Template Declare the ListView control so it groups the list items Creating the Grouped Data Source Normally, you bind a ListView control to a WinJS.Binding.List object. If you want to render list items in groups, then you need to bind the ListView to a grouped data source instead. The following code – contained in a file named products.js — illustrates how you can create a standard WinJS.Binding.List object from a JavaScript array and then return a grouped data source from the WinJS.Binding.List object by calling its createGrouped() method: (function () { "use strict"; // Create List data source var products = new WinJS.Binding.List([ { name: "Milk", price: 2.44, category: "Beverages" }, { name: "Oranges", price: 1.99, category: "Fruit" }, { name: "Wine", price: 8.55, category: "Beverages" }, { name: "Apples", price: 2.44, category: "Fruit" }, { name: "Steak", price: 1.99, category: "Other" }, { name: "Eggs", price: 2.44, category: "Other" }, { name: "Mushrooms", price: 1.99, category: "Other" }, { name: "Yogurt", price: 2.44, category: "Other" }, { name: "Soup", price: 1.99, category: "Other" }, { name: "Cereal", price: 2.44, category: "Other" }, { name: "Pepsi", price: 1.99, category: "Beverages" } ]); // Create grouped data source var groupedProducts = products.createGrouped( function (dataItem) { return dataItem.category; }, function (dataItem) { return { title: dataItem.category }; }, function (group1, group2) { return group1.charCodeAt(0) - group2.charCodeAt(0); } ); // Expose the grouped data source WinJS.Namespace.define("ListViewDemos", { products: groupedProducts }); })(); Notice that the createGrouped() method requires three functions as arguments: groupKey – This function associates each list item with a group. The function accepts a data item and returns a key which represents a group. In the code above, we return the value of the category property for each product. groupData – This function returns the data item displayed by the group header template. For example, in the code above, the function returns a title for the group which is displayed in the group header template. groupSorter – This function determines the order in which the groups are displayed. The code above displays the groups in alphabetical order: Beverages, Fruit, Other. Creating the Group Header Template Whenever you create a ListView control, you need to create an item template which you use to control how each list item is rendered. When grouping items in a ListView control, you also need to create a group header template. The group header template is used to render the header for each group of list items. Here’s the markup for both the item template and the group header template: <div id="productTemplate" data-win-control="WinJS.Binding.Template"> <div class="product"> <span data-win-bind="innerText:name"></span> <span data-win-bind="innerText:price"></span> </div> </div> <div id="productGroupHeaderTemplate" data-win-control="WinJS.Binding.Template"> <div class="productGroupHeader"> <h1 data-win-bind="innerText: title"></h1> </div> </div> You should declare the two templates in the same file as you declare the ListView control – for example, the default.html file. Declaring the ListView Control The final step is to declare the ListView control. Here’s the required markup: <div data-win-control="WinJS.UI.ListView" data-win-options="{ itemDataSource:ListViewDemos.products.dataSource, itemTemplate:select('#productTemplate'), groupDataSource:ListViewDemos.products.groups.dataSource, groupHeaderTemplate:select('#productGroupHeaderTemplate'), layout: {type: WinJS.UI.GridLayout} }"> </div> In the markup above, six properties of the ListView control are set when the control is declared. First the itemDataSource and itemTemplate are specified. Nothing new here. Next, the group data source and group header template are specified. Notice that the group data source is represented by the ListViewDemos.products.groups.dataSource property of the grouped data source. Finally, notice that the layout of the ListView is changed to Grid Layout. You are required to use Grid Layout (instead of the default List Layout) when displaying grouped items in a ListView. Here’s the entire contents of the default.html page: <!DOCTYPE html> <html> <head> <meta charset="utf-8"> <title>ListViewDemos</title> <!-- WinJS references --> <link href="//Microsoft.WinJS.0.6/css/ui-dark.css" rel="stylesheet"> <script src="//Microsoft.WinJS.0.6/js/base.js"></script> <script src="//Microsoft.WinJS.0.6/js/ui.js"></script> <!-- ListViewDemos references --> <link href="/css/default.css" rel="stylesheet"> <script src="/js/default.js"></script> <script src="/js/products.js" type="text/javascript"></script> <style type="text/css"> .product { width: 200px; height: 100px; border: white solid 1px; font-size: x-large; } </style> </head> <body> <div id="productTemplate" data-win-control="WinJS.Binding.Template"> <div class="product"> <span data-win-bind="innerText:name"></span> <span data-win-bind="innerText:price"></span> </div> </div> <div id="productGroupHeaderTemplate" data-win-control="WinJS.Binding.Template"> <div class="productGroupHeader"> <h1 data-win-bind="innerText: title"></h1> </div> </div> <div data-win-control="WinJS.UI.ListView" data-win-options="{ itemDataSource:ListViewDemos.products.dataSource, itemTemplate:select('#productTemplate'), groupDataSource:ListViewDemos.products.groups.dataSource, groupHeaderTemplate:select('#productGroupHeaderTemplate'), layout: {type: WinJS.UI.GridLayout} }"> </div> </body> </html> Notice that the default.html page includes a reference to the products.js file: <script src=”/js/products.js” type=”text/javascript”></script> The default.html page also contains the declarations of the item template, group header template, and ListView control. Summary The goal of this blog entry was to explain how you can group items in a ListView control. You learned how to create a grouped data source, a group header template, and declare a ListView so that it groups its list items.

    Read the article

  • Metro: Grouping Items in a ListView Control

    - by Stephen.Walther
    The purpose of this blog entry is to explain how you can group list items when displaying the items in a WinJS ListView control. In particular, you learn how to group a list of products by product category. Displaying a grouped list of items in a ListView control requires completing the following steps: Create a Grouped data source from a List data source Create a Grouped Header Template Declare the ListView control so it groups the list items Creating the Grouped Data Source Normally, you bind a ListView control to a WinJS.Binding.List object. If you want to render list items in groups, then you need to bind the ListView to a grouped data source instead. The following code – contained in a file named products.js — illustrates how you can create a standard WinJS.Binding.List object from a JavaScript array and then return a grouped data source from the WinJS.Binding.List object by calling its createGrouped() method: (function () { "use strict"; // Create List data source var products = new WinJS.Binding.List([ { name: "Milk", price: 2.44, category: "Beverages" }, { name: "Oranges", price: 1.99, category: "Fruit" }, { name: "Wine", price: 8.55, category: "Beverages" }, { name: "Apples", price: 2.44, category: "Fruit" }, { name: "Steak", price: 1.99, category: "Other" }, { name: "Eggs", price: 2.44, category: "Other" }, { name: "Mushrooms", price: 1.99, category: "Other" }, { name: "Yogurt", price: 2.44, category: "Other" }, { name: "Soup", price: 1.99, category: "Other" }, { name: "Cereal", price: 2.44, category: "Other" }, { name: "Pepsi", price: 1.99, category: "Beverages" } ]); // Create grouped data source var groupedProducts = products.createGrouped( function (dataItem) { return dataItem.category; }, function (dataItem) { return { title: dataItem.category }; }, function (group1, group2) { return group1.charCodeAt(0) - group2.charCodeAt(0); } ); // Expose the grouped data source WinJS.Namespace.define("ListViewDemos", { products: groupedProducts }); })(); Notice that the createGrouped() method requires three functions as arguments: groupKey – This function associates each list item with a group. The function accepts a data item and returns a key which represents a group. In the code above, we return the value of the category property for each product. groupData – This function returns the data item displayed by the group header template. For example, in the code above, the function returns a title for the group which is displayed in the group header template. groupSorter – This function determines the order in which the groups are displayed. The code above displays the groups in alphabetical order: Beverages, Fruit, Other. Creating the Group Header Template Whenever you create a ListView control, you need to create an item template which you use to control how each list item is rendered. When grouping items in a ListView control, you also need to create a group header template. The group header template is used to render the header for each group of list items. Here’s the markup for both the item template and the group header template: <div id="productTemplate" data-win-control="WinJS.Binding.Template"> <div class="product"> <span data-win-bind="innerText:name"></span> <span data-win-bind="innerText:price"></span> </div> </div> <div id="productGroupHeaderTemplate" data-win-control="WinJS.Binding.Template"> <div class="productGroupHeader"> <h1 data-win-bind="innerText: title"></h1> </div> </div> You should declare the two templates in the same file as you declare the ListView control – for example, the default.html file. Declaring the ListView Control The final step is to declare the ListView control. Here’s the required markup: <div data-win-control="WinJS.UI.ListView" data-win-options="{ itemDataSource:ListViewDemos.products.dataSource, itemTemplate:select('#productTemplate'), groupDataSource:ListViewDemos.products.groups.dataSource, groupHeaderTemplate:select('#productGroupHeaderTemplate'), layout: {type: WinJS.UI.GridLayout} }"> </div> In the markup above, six properties of the ListView control are set when the control is declared. First the itemDataSource and itemTemplate are specified. Nothing new here. Next, the group data source and group header template are specified. Notice that the group data source is represented by the ListViewDemos.products.groups.dataSource property of the grouped data source. Finally, notice that the layout of the ListView is changed to Grid Layout. You are required to use Grid Layout (instead of the default List Layout) when displaying grouped items in a ListView. Here’s the entire contents of the default.html page: <!DOCTYPE html> <html> <head> <meta charset="utf-8"> <title>ListViewDemos</title> <!-- WinJS references --> <link href="//Microsoft.WinJS.0.6/css/ui-dark.css" rel="stylesheet"> <script src="//Microsoft.WinJS.0.6/js/base.js"></script> <script src="//Microsoft.WinJS.0.6/js/ui.js"></script> <!-- ListViewDemos references --> <link href="/css/default.css" rel="stylesheet"> <script src="/js/default.js"></script> <script src="/js/products.js" type="text/javascript"></script> <style type="text/css"> .product { width: 200px; height: 100px; border: white solid 1px; font-size: x-large; } </style> </head> <body> <div id="productTemplate" data-win-control="WinJS.Binding.Template"> <div class="product"> <span data-win-bind="innerText:name"></span> <span data-win-bind="innerText:price"></span> </div> </div> <div id="productGroupHeaderTemplate" data-win-control="WinJS.Binding.Template"> <div class="productGroupHeader"> <h1 data-win-bind="innerText: title"></h1> </div> </div> <div data-win-control="WinJS.UI.ListView" data-win-options="{ itemDataSource:ListViewDemos.products.dataSource, itemTemplate:select('#productTemplate'), groupDataSource:ListViewDemos.products.groups.dataSource, groupHeaderTemplate:select('#productGroupHeaderTemplate'), layout: {type: WinJS.UI.GridLayout} }"> </div> </body> </html> Notice that the default.html page includes a reference to the products.js file: <script src=”/js/products.js” type=”text/javascript”></script> The default.html page also contains the declarations of the item template, group header template, and ListView control. Summary The goal of this blog entry was to explain how you can group items in a ListView control. You learned how to create a grouped data source, a group header template, and declare a ListView so that it groups its list items.

    Read the article

  • Amazon EC2 spot instances - is there a catch ?

    - by gareth_bowles
    I needed to start a new EC2 instance today and decided to try out the new spot instances, where you can reduce your instance cost by bidding on the maximum per-hour price you're prepared to pay. Since today's spot price was only 3.5c / hour, compared with 8.5c / hour for an on-demand instance, I was wondering: if I just bid a really high price, say 10c / hour, can I effectively be sure of getting a much cheaper long-running instance than an on-demand instance (since the spot instances are only charged by the current spot price) ? I suppose it's theoretically possible for the spot price to go over the on-demand price, but as far as I can tell from the data on the AWS site, the spot price has always been well below that.

    Read the article

  • Amazon EC2 spot instances - is there a catch ?

    - by gareth_bowles
    I needed to start a new EC2 instance today and decided to try out the new spot instances, where you can reduce your instance cost by bidding on the maximum per-hour price you're prepared to pay. Since today's spot price was only 35c / hour, compared with 85c / hour for an on-demand instance, I was wondering: if I just bid a really high price, say $1 / hour, can I effectively be sure of getting a much cheaper long-running instance than an on-demand instance (since the spot instances are only charged by the current spot price) ? I suppose it's theoretically possible for the spot price to go over the on-demand price, but as far as I can tell from the data on the AWS site, the spot price has always been well below that.

    Read the article

  • C++ reading and writing and writing files

    - by user320950
    Write a program that processes a list of items purchased with a receipt List in itemlist.txt just items different numbers Prices in pricelist.txt have items and prices in them, different # Make file output file that has receipt Print message saying program ran- have not done If item not in pricelist, report error, count errors display at end Don't know how many items or prices Close file and clear because of running many these files many times This program wont write to the files like so the above is what i have to do #include<iostream>`enter code here` #include<fstream> #include<cstdlib> #include<iomanip> using namespace std; int main() { ifstream in_stream; // reads itemlist.txt ofstream out_stream1; // writes in items.txt ifstream in_stream2; // reads pricelist.txt ofstream out_stream3;// writes in plist.txt ifstream in_stream4;// read recipt.txt ofstream out_stream5;// write display.txt double price=' ',curr_total=0.0; int wrong=0; int itemnum=' '; char next; in_stream.open("ITEMLIST.txt", ios::in); // list of avaliable items out_stream1.open("listWititems.txt", ios::out); // list of avaliable items in_stream2.open("PRICELIST.txt", ios::in); out_stream3.open("listWitdollars.txt", ios::out); in_stream4.open("display.txt", ios::in); out_stream5.open("showitems.txt", ios::out); in_stream.setf(ios::fixed); while(!in_stream.eof()) { in_stream >> itemnum; cin.clear(); cin >> next; } out_stream1.setf(ios::fixed); while (!out_stream1.eof()) { out_stream1 << itemnum; cin.clear(); cin >> next; } in_stream2.setf(ios::fixed); in_stream2.setf(ios::showpoint); in_stream2.precision(2); while (!in_stream2.eof()) // reads file to end of file { while((price== (price*1.00)) && (itemnum == (itemnum*1))) { in_stream2 >> itemnum >> price; itemnum++; price++; curr_total= price++; in_stream2 >> curr_total; cin.clear(); // allows more reading cin >> next; return itemnum, price; } } out_stream3.setf(ios::fixed); out_stream3.setf(ios::showpoint); out_stream3.precision(2); while (!out_stream3.eof()) // reads file to end of file { while((price== (price*1.00)) && (itemnum == (itemnum*1))) { out_stream3 << itemnum << price; itemnum++; price++; curr_total= price++; out_stream3 << curr_total; cin.clear(); // allows more reading cin >> next; return itemnum, price; } } in_stream4.setf(ios::fixed); in_stream4.setf(ios::showpoint); in_stream4.precision(2); while (!in_stream4.eof()) { in_stream4 >> itemnum >> price >> curr_total; cin.clear(); cin >> next; } out_stream5.setf(ios::fixed); out_stream5.setf(ios::showpoint); out_stream5.precision(2); out_stream5 <<setw(5)<< " itemnum " <<setw(5)<<" price "<<setw(5)<<" curr_total " <<endl; // sends items and prices to receipt.txt out_stream5 << setw(5) << itemnum << setw(5) <<price << setw(5)<< curr_total; // sends items and prices to receipt.txt out_stream5 << " You have a total of " << wrong++ << " errors " << endl; in_stream.close(); // closing files. out_stream1.close(); in_stream2.close(); out_stream3.close(); in_stream4.close(); out_stream5.close(); system("pause"); }

    Read the article

  • How common are power supply failures in comparison to hard disk failures?

    - by Adrian Grigore
    Hi, My webhost offers two different types of high availability options for dedicated servers: Redundant hard disks (RAID1) Redundant hard disks (RAID1) plus redundant power supply How common is a power supply failure in comparison to hard disk failure? I know it's not possible to know the exact figures without knowing the exact hardware, but ballpark figures are good enough for me at the moment. Thanks, Adrian

    Read the article

  • Are there no downsides to NetApp SAN solutions other than price?

    - by flashkube
    We have pretty much decided on a NetApp solution for our first SAN. Given that, I've been tasked with finding as much reason not to go with NetApp as I can. We like to do this A) so we know what we're getting into and B) so we aren't clouded by the inevitable post vendor demo euphoria. I have scoured the internet for cons and can only find one: price. Have you had a nightmare experience with NetApp that you just want to get off your chest? Please, only people with NetApp experience. Thank you!

    Read the article

  • nested form collection_select new value overwriting previous selected values

    - by bharath
    Nested form <%= nested_form_for(@bill) do |f| %> <p><%= f.link_to_add "Add Product", :bill_line_items %> </p> Partial of bill line items <%= javascript_include_tag 'bill'%> <%= f.hidden_field :bill_id %> <%- prices = Hash[Product.all.map{|p| [p.id, p.price]}].to_json %> <%= f.label :product_id %> <%= f.collection_select :product_id ,Product.all,:id,:name, :class => 'product', :prompt => "Select a Product", input_html: {data: {prices: prices}}%> <br/ > <%= f.label :price, "price"%> <%= f.text_field :price, :size=>20, :class =>"price" %><br/> bill.js jQuery(document).ready(function(){ jQuery('.product').change(function() { var product_id = jQuery(this).val(); var price = eval(jQuery(this).data("prices"))[product_id]; jQuery('.price').val(price); }); }); Rails 3.2 Issue: Second click on Add Product & on selecting the product When we select the second product the price of second product is overwriting on the price of the first selected product. Request help.

    Read the article

  • How to get the last element by date of each "type" in LINQ or TSQL

    - by Mauro
    Imagine to have a table defined as CREATE TABLE [dbo].[Price]( [ID] [int] NOT NULL, [StartDate] [datetime] NOT NULL, [Price] [int] NOT NULL ) where ID is the identifier of an action having a certain Price. This price can be updated if necessary by adding a new line with the same ID, different Price, and a more recent date. So with a set of a data like ID StartDate Price 1 01/01/2009 10 1 01/01/2010 20 2 01/01/2009 10 2 01/01/2010 20 How to obtain a set like the following? 1 01/01/2010 20 2 01/01/2010 20

    Read the article

  • Query Access and VB.NET

    - by yae
    Hi all: I have 2 tables: "products" and "pieces" PRODUCTS idProd product price PIECES id idProdMain idProdChild quant idProdMain and idProdChild are vinculated with the table: "products". Other considerations is that 1 product can have some pieces and 1 product can be a piece. Price product equal a sum of quantity * price of all their pieces. EXAMPLE: TABLE PRODUCTS (idProd - product - price) 1 - Computer - 300€ 2 - Hard Disk - 100€ 3 - Memory - 50€ 4 - Main Board - 100€ 5 - Software - 50€ 6 - CDroms 100 un. - 30€ TABLE PIECES (id - idProdMain - idProdChild - Quant.) 1 - 1 - 2 - 1 2 - 1 - 3 - 2 3 - 1 - 4 - 1 WHAT I NEED? I need update the price of the main product when the price of the product child (piece) is changed. Following the previous example, if I change the price of this product "memory" (is a piece too) to 60€, then product "Computer" will must change his price to 320€ How I can do it using queries? Already I have tried this to obatin the price of the main product, but not runs. This query not returns any value SELECT Sum(products.price*pieces.quant) AS Expr1 FROM products LEFT JOIN pieces ON (products.idProd = pieces.idProdChild) AND (products.idProd = pieces.idProdChild) AND (products.idProd = pieces.idProdMain) WHERE (((pieces.idProdMain)=5));

    Read the article

  • Excel cell references not updating when referenced cells are sorted.

    - by Robert Kerr
    There are two tables, each with 75 entries. Each entry in the 2nd table calls an entry in the first table a parent. One of my 2nd table columns contains the "Parent Price", referencing the Price column in the first table, such as "=E50". Table 1 Id Price 1001 79.25 1002 8.99 1003 24.50 Table 2 Id Price Parent Price 2001 50.00 =B2 2002 2.81 =B3 2003 12.00 =B4 The problem is when I sort the first table, none of the second table's "Parent Price" references are updated, and still point to the =E50 cell, which is no longer the correct parent. I don't want to have to name the cells if possible. What style of formula do I enter in the parent price column so that they properly track the cells in the referenced table?

    Read the article

  • Help Me With This Access Query

    - by yae
    I have 2 tables: "products" and "pieces" PRODUCTS idProd product price PIECES id idProdMain idProdChild quant idProdMain and idProdChild are related with the table: "products". Other considerations is that 1 product can have some pieces and 1 product can be a piece. Price product equal a sum of quantity * price of all their pieces. "Products" table contains all products (p EXAMPLE: TABLE PRODUCTS (idProd - product - price) 1 - Computer - 300€ 2 - Hard Disk - 100€ 3 - Memory - 50€ 4 - Main Board - 100€ 5 - Software - 50€ 6 - CDroms 100 un. - 30€ TABLE PIECES (id - idProdMain - idProdChild - Quant.) 1 - 1 - 2 - 1 2 - 1 - 3 - 2 3 - 1 - 4 - 1 WHAT I NEED? I need update the price of the main product when the price of the product child (piece) is changed. Following the previous example, if I change the price of this product "memory" (is a piece too) to 60€, then product "Computer" will must change his price to 320€ How I can do it using queries? Already I have tried this to obatin the price of the main product, but not runs. This query not returns any value: SELECT Sum(products.price*pieces.quant) AS Expr1 FROM products LEFT JOIN pieces ON (products.idProd = pieces.idProdChild) AND (products.idProd = pieces.idProdChild) AND (products.idProd = pieces.idProdMain) WHERE (((pieces.idProdMain)=5)); MORE INFO The table "products" contains all the products to sell that it is in the shop. The table "pieces" is to take a control of the compound products. To know those who are the products children. For example of compound product: computers. This product is composed by other products (motherboard, hard disk, memory, cpu, etc.)

    Read the article

  • Jqyery Bugs?? Long decimal number after two numbers multiply...

    - by Jerry
    Hi all I am working on a shopping site and I am trying to calculate the subtotal of products. I got my price from a array and quantity from getJSON response array. Two of them multiply comes to my subtotal. I can change the quantity and it will comes out different subtotal. However,when I change the quantity to certain number, the final subtotal is like 259.99999999994 or some long decimal number. I use console.log to check the $price and $qty. Both of them are in the correct format ex..299.99 and 6 quantity.I have no idea what happen. I would appreciate it if someone can help me about it. Here is my Jquery code. $(".price").each(function(index, price){ $price=$(this); //get the product id and the price shown on the page var id=$price.closest('tr').attr('id'); var indiPrice=$($price).html(); //take off $ indiPrice=indiPrice.substring(1) //make sure it is number format var aindiPrice=Number(indiPrice); //push into the array productIdPrice[id]=(aindiPrice); var url=update.php $.getJSON( url, {productId:tableId, //tableId is from the other jquery code which refers to qty:qty}, productId function(responseProduct){ $.each(responseProduct, function(productIndex, Qty){ //loop the return data if(productIdPrice[productIndex]){ //get the price from the previous array we create X Qty newSub=productIdPrice[productIndex]*Number(Qty); //productIdPrice[productIndex] are the price like 199.99 or 99.99 // Qty are Quantity like 9 or 10 or 3 sum+=newSub; newSub.toFixed(2); //try to solve the problem with toFixed but didn't work console.log("id: "+productIdPrice[productIndex]) console.log("Qty: "+Qty); console.log(newSub); **//newSub sometime become XXXX.96999999994** }; Thanks again!

    Read the article

  • Compare rows between 2 tables

    - by arthur
    I am new to SQL and I need to build a database for a grocery store(not real, just a course assignment) i have two fields from two different tables - supplied price - the price that the store buys from the supplier and price that is given to the customers How can I make a constraint that insures that supplied price is lower then the price that is given to the customers? The relevant tables that I have are: CREATE TABLE Supplied_Products( [Supplier ID] Int NOT NULL Foreign Key References Suppliers, [Product ID] Int NOT NULL Foreign Key References Products, Price Float NOT NULL, CHECK (Price0), Constraint PK_Supplied_Products PRIMARY KEY([Supplier ID] ,[Product ID]) ) CREATE TABLE Products( [Product-ID] Int NOT NULL PRIMARY KEY, [Product Name] Varchar(20) NOT NULL, Price Float NOT NULL, [Category-Name] Varchar(20) NOT NULL Foreign Key References Categories, [Weight] Float NOT NULL, [Is Refrigirated] Varchar(1) DEFAULT 'N' CHECK ([Is Refrigirated] in('Y','N')),/* Is Refrigirated can be only Y-yes or N-no*/ CHECK (Price 0) )

    Read the article

  • Jquery Bugs?? Long decimal number after two numbers multiply...

    - by Jerry
    Hi all I am working on a shopping site and I am trying to calculate the subtotal of products. I got my price from a array and quantity from getJSON response array. Two of them multiply comes to my subtotal. I can change the quantity and it will comes out different subtotal. However,when I change the quantity to certain number, the final subtotal is like 259.99999999994 or some long decimal number. I use console.log to check the $price and $qty. Both of them are in the correct format ex..299.99 and 6 quantity.I have no idea what happen. I would appreciate it if someone can help me about it. Here is my Jquery code. $(".price").each(function(index, price){ $price=$(this); //get the product id and the price shown on the page var id=$price.closest('tr').attr('id'); var indiPrice=$($price).html(); //take off $ indiPrice=indiPrice.substring(1) //make sure it is number format var aindiPrice=Number(indiPrice); //push into the array productIdPrice[id]=(aindiPrice); var url=update.php $.getJSON( url, {productId:tableId, //tableId is from the other jquery code which refers to qty:qty}, productId function(responseProduct){ $.each(responseProduct, function(productIndex, Qty){ //loop the return data if(productIdPrice[productIndex]){ //get the price from the previous array we create X Qty newSub=productIdPrice[productIndex]*Number(Qty); //productIdPrice[productIndex] are the price like 199.99 or 99.99 // Qty are Quantity like 9 or 10 or 3 sum+=newSub; newSub.toFixed(2); //try to solve the problem with toFixed but didn't work console.log("id: "+productIdPrice[productIndex]) console.log("Qty: "+Qty); console.log(newSub); **//newSub sometime become XXXX.96999999994** }; Thanks again!

    Read the article

  • PHP: prepared statement, IF statement help needed

    - by JGreig
    I have the following code: $sql = "SELECT name, address, city FROM tableA, tableB WHERE tableA.id = tableB.id"; if (isset($price) ) { $sql = $sql . ' AND price = :price '; } if (isset($sqft) ) { $sql = $sql . ' AND sqft >= :sqft '; } if (isset($bedrooms) ) { $sql = $sql . ' AND bedrooms >= :bedrooms '; } $stmt = $dbh->prepare($sql); if (isset($price) ) { $stmt->bindParam(':price', $price); } if (isset($sqft) ) { $stmt->bindParam(':price', $price); } if (isset($bedrooms) ) { $stmt->bindParam(':bedrooms', $bedrooms); } $stmt->execute(); $result_set = $stmt->fetchAll(PDO::FETCH_ASSOC); What I notice is the redundant multiple IF statements I have. Question: is there any way to clean up my code so that I don't have these multiple IF statements for prepared statements?

    Read the article

  • mysql left join

    - by user1019538
    I have two table one is index and another is the price structure as under table : index : column : trandate ,indexcode Table : price : Column: trandate,symbol,price i want to know the missing price. I issue the query select i.trandate,i.indexcode,p.trandate,p.price from index i left join price p on i.trandate = p.trandate where p.symbol='ABC' and indexcode="New" the above query does not show the null date even though various price in missing in price table. Only reason i understand is that the index table does not have the symbol field that's why...but as per theory if you want to show all the rows of one table and only the match value of another table then use the left or right join query...please anybody can help

    Read the article

< Previous Page | 27 28 29 30 31 32 33 34 35 36 37 38  | Next Page >