Search Results

Search found 63114 results on 2525 pages for 'set identity insert'.

Page 313/2525 | < Previous Page | 309 310 311 312 313 314 315 316 317 318 319 320  | Next Page >

  • Why does using Collections.emptySet() with generics work in assignment but not as a method parameter

    - by Karl von L
    So, I have a class with a constructor like this: public FilterList(Set<Integer> labels) { ... } and I want to construct a new FilterList object with an empty set. Following Joshua Bloch's advice in his book Effective Java, I don't want to create a new object for the empty set; I'll just use Collections.emptySet() instead: FilterList emptyList = new FilterList(Collections.emptySet()); This gives me an error, complaining that java.util.Set<java.lang.Object> is not a java.util.Set<java.lang.Integer>. OK, how about this: FilterList emptyList = new FilterList((Set<Integer>)Collections.emptySet()); This also gives me an error! Ok, how about this: Set<Integer> empty = Collections.emptySet(); FilterList emptyList = new FilterList(empty); Hey, it works! But why? After all, Java doesn't have type inference, which is why you get an unchecked conversion warning if you do Set<Integer> foo = new TreeSet() instead of Set<Integer> foo = new TreeSet<Integer>(). But Set<Integer> empty = Collections.emptySet(); works without even a warning. Why is that?

    Read the article

  • Updating multiple tables with LinqToSql in one unit of work

    - by zsharp
    Table 1: int ID-a(pk) Table 2: int ID-a(pk), int ID-b(pk) Table 3: int ID-b(pk), string C I have the data to insert into Table 1. But I do not have the ID-a, which is autogenerated. I have many string C to insert in Table 3. I am trying to insert row into Table 1, get the ID-a to insert in Table 2 along with the ID-b that is auto-Generated in Table 3 when I submit each string C, all in one submission to db. Right now I am calling dc.SubmitChanges twice in same call. Is it efficient to have to submit changes twice on same DataContext or can this be combined further?

    Read the article

  • How can I import the System.Linq namespace to Boo?

    - by OmiD Rezaei
    When I try to import the System.Linq namespace to Boo compiler, I get this error: Boo.Lang.Compiler.CompilerError: Namespace 'System.Linq' not found, maybe you forgot to add an assembly reference? I use "Rhino.DSL.dll" and my DSL engine code is here: public class MyDslEngine : DslEngine { protected override void CustomizeCompiler(BooCompiler compiler, CompilerPipeline pipeline, string[] urls) { pipeline.Insert(1, new AnonymousBaseClassCompilerStep(typeof(DslBase), "Prepare", "System.Linq", "Azarakhsh.Framework.Repository" //it's my repository framework )); pipeline.Insert(2, new UseSymbolsStep()); pipeline.Insert(3, new RunScriptCompilerStep()); } }

    Read the article

  • Displaying tree path of record in SQL Server 2005

    - by jskiles1
    An example of my tree table is: ([id] is an identity) [id], [parent_id], [path] 1, NULL, 1 2, 1, 1-2 3, 1, 1-3 4, 3, 1-3-4 My goal is to query quickly for multiple rows of this table and view the full path of the node from its root, through its superiors, down to itself. The ultimate question is, should I generate this path on inserts and maintain it in its own column or generate this path on query to save disk space? I guess it depends if this table is write heavy or read heavy. I've been contemplating several approaches to using the "path" characteristic of this parent/child relationship and I just can't seem to settle on one. This "path" is simply for display purposes and serves absolutely no purpose other than that. Here is what I have done to implement this "path." AFTER INSERT TRIGGER - requires passing a NULL path to the insert and updating the path for the record at the inserted rows identity INSTEAD OF INSERT TRIGGER - does not require insert to have NULL path passed, but does require the trigger to insert with a NULL path and updating the path for the record at SCOPE_IDENTITY() STORED PROCEDURE - requiring all inserts into this table to be done through the stored procedure implementing the trigger logic VIEW - requires building the path in the view 1 and 2 seem annoying if massive amounts of data are entered at once. 3 seems annoying because all inserts must go through the procedure in order to have a valid path populated. 1, 2, and 3 require maintaining a path column on the table. 4 removes all the limitations of the above but require the view to perform the path logic and requires use of the view if a path is to be displayed. I have successfully implemented all of the above approaches and I'm mainly looking for some advice. Am I way off the mark here or are any of the above acceptable? Each has it's advantages and disadvantages.

    Read the article

  • How come checkbox state is not always passed along to PHP script?

    - by George Edison
    I have an HTML form: <form action='process.php' method='post'> <input type='checkbox' name='check_box_1' /> Check me!<br> </form> Here is a section from the PHP script process.php: echo (isset($_POST['check_box_1']))?'Set':'Not set'; The output of the script when the checkbox is set is Set But when the checkbox is not set, the output is: Not set Why is this? This seems like a very poor design because my PHP script checks a number of $_POST variables to make sure they were passed along to the script. When the $_POST['check_box_1'] value is not set, then how do I know whether the script failed to pass along the value or the checkbox was just not set?

    Read the article

  • Transactional isolation level needed for safely incrementing ids

    - by Knut Arne Vedaa
    I'm writing a small piece of software that is to insert records into a database used by a commercial application. The unique primary keys (ids) in the relevant table(s) are sequential, but does not seem to be set to "auto increment". Thus, I assume, I will have to find the largest id, increment it and use that value for the record I'm inserting. In pseudo-code for brevity: id = select max(id) from some_table id++ insert into some_table values(id, othervalues...) Now, if another thread started the same transaction before the first one finished its insert, you would get two identical ids and a failure when trying to insert the last one. You could check for that failure and retry, but a simpler solution might be setting an isolation level on the transaction. For this, would I need SERIALIZABLE or a lower level? Additionally, is this, generally, a sound way of solving the problem? Are the any other ways of doing it?

    Read the article

  • Hibernate won't save into database

    - by Blitzkr1eg
    I mapped some classes to some tables with hibernate in java, i set hibernate to show SQL, it opens the session, it show that id does the SQL, it closes the session but there are no modifications to the database. Entity public class Profesor implements Comparable<Profesor> { private int id; private String nume; private String prenume; private int departament_id; private Set<Disciplina> listaDiscipline; //the teacher gives some courses} public class Disciplina implements Comparable<Disciplina>{ //the course class private int id; private String denumire; private String syllabus; private String schNotare; private Set<Lectie> lectii; private Set<Tema> listaTeme; private Set<Grup> listaGrupuri; // the course gets teached/assigmened to some groups of students private Set<Assignment> listAssignments;} Mapping <hibernate-mapping default-cascade="all"> <class name="model.Profesor" table="devgar_scoala.profesori"> <id name="id" column="id"> <generator class="increment"/> </id> <set name="listaDiscipline" table="devgar_scoala.`profesori-discipline`"> <key column="Profesori_id" /> <many-to-many class="model.Disciplina" column="Discipline_id" /> </set> <property name="nume" column="Nume" type="string" /> <property name="prenume" column="Prenume" type="string" /> <property name="departament_id" column="Departamente_id" type="integer" /> </class> <class name="model.Grup" table="devgar_scoala.grupe"> <id name="id" unsaved-value="0"> <generator class="increment"/> </id> <set name="listaStudenti" table="devgar_scoala.`studenti-grupe`"> <key column="Grupe_id" /> <many-to-many column="Studenti_nrMatricol" class="model.Student" /> </set> <property name="nume" column="Grupa" type="string"/> <property name="programStudiu" column="progStudii_id" type="integer" /> </class> <class name="model.Disciplina" table="devgar_scoala.discipline" > <id name="id" > <generator class="increment"/> </id> <property name="denumire" column="Denumire" type="string"/> <property name="syllabus" type="string" column="Syllabus"/> <property name="schNotare" type="string" column="SchemaNotare"/> <set name="listaGrupuri" table="devgar_scoala.`Discipline-Grupe`"> <key column="Discipline_id" /> <many-to-many column="Grupe_id" class="model.Grup" /> </set> <set name="lectii" table="devgar_scoala.lectii"> <key column="Discipline_id" not-null="true"/> <one-to-many class="model.Lectie" /> </set> </class> The only 'funny' thing is that the Profesor object gets loaded not with/by Hibernate but with manual classic SQL Java. Thats why i save the Profesor object like this p - the manually loaded Profesor object Profesor p2 = (Profesor) session.merge(p); session.saveOrUpdate(p2); //flush session of course After this i get in the Java console: Hibernate: insert into devgar_scoala.grupe (Grupa, progStudii_id, id) values (?, ?, ?) but when i look into the database there are no new rows in the table Grupe (the Groups table)

    Read the article

  • need help building a stored procedure that takes rows from one table into another.

    - by MyHeadHurts
    alright i built this stored procedure to take the columns from a stagging table and copy them into my other table, but if these four columns are duplicates it wont insert the rows, works fine. however, what i want to do is if only the tour, taskname and deptdate are the same, then i will update the rest of the information. and if all four columns are the same dont instert. INSERT INTO dashboardtasks1 SELECT [tour], [taskname], [deptdate], [tasktype], [desc], [duedate], [compdate], [comments], [agent], [compby], [graceperiod] FROM staggingtasks WHERE NOT EXISTS(SELECT * FROM dashboardtasks1 WHERE (staggingtasks.tour=dashboardtasks1.tour and staggingtasks.taskname=dashboardtasks1.taskname and staggingtasks.deptdate=dashboardtasks1.deptdate and staggingtasks.duedate=dashboardtasks1.duedate ) ) i saw something like this INSERT INTO table (a,b,c) VALUES (1,2,3) ON DUPLICATE KEY UPDATE c=c+1; UPDATE table SET c=c+1 WHERE a=1; but how could i do it if my stated 3 columns are the samed then update? or is there a way to do this with an if statement and use 2 different queries, but how would my if statement work would it check if the row exists in the table i am uploading to and then run the insert statement? or what if i did something like IF EXISTS (SELECT * FROM dashboardtasks WHERE staggingtasks.tour=dashboardtasks.tour and staggingtasks.taskname=dashboardtasks.taskname and staggingtasks.deptdate=dashboardtasks.deptdate ) begin UPDATE [dashboardtasks] SET [tour] = staggingtasks.tour, [taskname] = staggingtasks.taskname, [deptdate] = staggingtasks.deptdate, [tasktype] = staggingtasks.tasktype, [desc] = staggingtasks.desc, [duedate] = staggingtasks.duedate, [compdate] = staggingtasks.compdate, [comments] = staggingtasks.comments, [agent] = staggingtasks.agent, [compby] = staggingtasks.compby, [graceperiod] = staggingtasks.graceperiod end else EXISTS (SELECT * FROM dashboardtasks WHERE staggingtasks.tour=dashboardtasks.tour and staggingtasks.taskname=dashboardtasks.taskname and staggingtasks.deptdate=dashboardtasks.deptdate and staggingtasks.duedate=dashboardtasks.duedate ) begin INSERT INTO dashboardtasks1 SELECT [tour], [taskname], [deptdate], [tasktype], [desc], [duedate], [compdate], [comments], [agent], [compby], [graceperiod] FROM staggingtasks WHERE NOT EXISTS(SELECT * FROM dashboardtasks1 WHERE (staggingtasks.tour=dashboardtasks1.tour and staggingtasks.taskname=dashboardtasks1.taskname and staggingtasks.deptdate=dashboardtasks1.deptdate and staggingtasks.duedate=dashboardtasks1.duedate ) ) end end

    Read the article

  • Why is my Extension Method not showing up in my test class?

    - by Robert Harvey
    I created an extension method called HasContentPermission on the System.Security.Principal.IIdentity interface: namespace System.Security.Principal { public static bool HasContentPermission (this IIdentity itentity, int contentID) { // I do stuff here return result; } } And I call it like this: bool hasPermission = User.Identity.HasPermission(contentID); Works like a charm. Now I want to unit test it. To do that, all I really need to do is call the extension method directly, so: using System.Security.Principal; namespace MyUnitTests { [TestMethod] public void HasContentPermission_PermissionRecordExists_ReturnsTrue() { IIdentity identity; bool result = identity.HasContentPermission(... But HasContentPermission won't intellisense. I tried creating a stub class that inherits from IIdentity, but that didn't work either. Why? Or am I going about this the wrong way?

    Read the article

  • SCD2 + Merge Statement + MSSQL

    - by Nev_Rahd
    I am trying work out with MERGE statment to Insert / Update Dimension Table of Type SCD2 My source is a Table var to Merge with Dimension table. My Merget statement is throwing an error as: The target table 'DM.DATA_ERROR.ERROR_DIMENSION' of the INSERT statement cannot be on either side of a (primary key, foreign key) relationship when the FROM clause contains a nested INSERT, UPDATE, DELETE, or MERGE statement. Found reference constraint 'FK_ERROR_DIMENSION_to_AUDIT_CreatedBy'. My Merge Statement: DECLARE @DATAERROROBJECT AS [ERROR_DIMENSION] INSERT INTO DM.DATA_ERROR.ERROR_DIMENSION SELECT ERROR_CODE, DATA_STREAM_ID, [ERROR_SEVERITY], DATA_QUALITY_RATING, ERROR_LONG_DESCRIPTION, ERROR_DESCRIPTION, VALIDATION_RULE, ERROR_TYPE, ERROR_CLASS, VALID_FROM, VALID_TO, CURR_FLAG, CREATED_BY_AUDIT_SK, UPDATED_BY_AUDIT_SK FROM (MERGE DM.DATA_ERROR.ERROR_DIMENSION ED USING @DATAERROROBJECT OBJ ON(ED.ERROR_CODE = OBJ.ERROR_CODE AND ED.DATA_STREAM_ID = OBJ.DATA_STREAM_ID) WHEN NOT MATCHED THEN INSERT VALUES( OBJ.ERROR_CODE ,OBJ.DATA_STREAM_ID ,OBJ.[ERROR_SEVERITY] ,OBJ.DATA_QUALITY_RATING ,OBJ.ERROR_LONG_DESCRIPTION ,OBJ.ERROR_DESCRIPTION ,OBJ.VALIDATION_RULE ,OBJ.ERROR_TYPE ,OBJ.ERROR_CLASS ,GETDATE() ,'9999-12-13' ,'Y' ,1 ,1 ) WHEN MATCHED AND ED.CURR_FLAG = 'Y' AND ( ED.[ERROR_SEVERITY] <> OBJ.[ERROR_SEVERITY] OR ED.[DATA_QUALITY_RATING] <> OBJ.[DATA_QUALITY_RATING] OR ED.[ERROR_LONG_DESCRIPTION] <> OBJ.[ERROR_LONG_DESCRIPTION] OR ED.[ERROR_DESCRIPTION] <> OBJ.[ERROR_DESCRIPTION] OR ED.[VALIDATION_RULE] <> OBJ.[VALIDATION_RULE] OR ED.[ERROR_TYPE] <> OBJ.[ERROR_TYPE] OR ED.[ERROR_CLASS] <> OBJ.[ERROR_CLASS] ) THEN UPDATE SET ED.CURR_FLAG = 'N', ED.VALID_TO = GETDATE() OUTPUT $ACTION ACTION_OUT, OBJ.ERROR_CODE ERROR_CODE, OBJ.DATA_STREAM_ID DATA_STREAM_ID, OBJ.[ERROR_SEVERITY] [ERROR_SEVERITY], OBJ.DATA_QUALITY_RATING DATA_QUALITY_RATING, OBJ.ERROR_LONG_DESCRIPTION ERROR_LONG_DESCRIPTION, OBJ.ERROR_DESCRIPTION ERROR_DESCRIPTION, OBJ.VALIDATION_RULE VALIDATION_RULE, OBJ.ERROR_TYPE ERROR_TYPE, OBJ.ERROR_CLASS ERROR_CLASS, GETDATE() VALID_FROM, '9999-12-31' VALID_TO, 'Y' CURR_FLAG, 555 CREATED_BY_AUDIT_SK, 555 UPDATED_BY_AUDIT_SK ) AS MERGE_OUT WHERE MERGE_OUT.ACTION_OUT = 'UPDATE'; What am i doing wrong ?

    Read the article

  • Concatenate SQL script from Powershell

    - by Jeff Meatball Yang
    I have a bunch of (50+) XML files in a directory that I would like to insert into a SQL server 2008 table. How can I create a SQL script from the command prompt or Powershell that will let me insert the files into a simple table with the following schema: XMLDataFiles ( xmlFileName varchar(255) , content xml ) All I need is for something to generate a script with a bunch of insert statements. Right now, I'm contemplating writing a silly little .NET console app to write the SQL script. Thanks.

    Read the article

  • After Trigger execute before constraint check in oracle

    - by satakare
    Hi, I have After Insert/Update trigger on Table T1 which get the referential data for Col1 from T2 and does some work and insert it into another table. The col1 is FK to Table T2. When user insert the incorrect or non existing value into the Col1 and if trigger is disabled I am getting constraint error that is fine. But when trigger is enabled and user insert the wrong value in Col1 trigger is getting fired and shows the 'no data found' error message. Actually I am expecting the table to throw constraint error, but trigger is throwing it. Please let me know your comments about this trigger behaviour.

    Read the article

  • Problem understanding treesort in Haskell

    - by Jerry
    I am trying to figure out how exactly does treesort from here work (I understand flatten, insert and foldr). I suppose what's being done in treesort is applying insert for each element on the list thus generating a tree and then flattening it. The only problem I can't overcome here is where the list (that is the argument of the function) is hiding (because it is not written anywhere as an argument except for the function type declaration). One more thing: since dot operator is function composition, why is it an error when I change: treesort = flatten . foldr insert Leaf to treesort = flatten( foldr insert Leaf )?

    Read the article

  • Building Stored Procedure to group data into ranges with roughly equal results in each bucket

    - by Len
    I am trying to build one procedure to take a large amount of data and create 5 range buckets to display the data. the buckets ranges will have to be set according to the results. Here is my existing SP GO /****** Object: StoredProcedure [dbo].[sp_GetRangeCounts] Script Date: 03/28/2010 19:50:45 ******/ SET ANSI_NULLS ON GO SET QUOTED_IDENTIFIER ON GO ALTER PROCEDURE [dbo].[sp_GetRangeCounts] @idMenu int AS declare @myMin decimal(19,2), @myMax decimal(19,2), @myDif decimal(19,2), @range1 decimal(19,2), @range2 decimal(19,2), @range3 decimal(19,2), @range4 decimal(19,2), @range5 decimal(19,2), @range6 decimal(19,2) SELECT @myMin=Min(modelpropvalue), @myMax=Max(modelpropvalue) FROM xmodelpropertyvalues where modelPropUnitDescriptionID=@idMenu set @myDif=(@myMax-@myMin)/5 set @range1=@myMin set @range2=@myMin+@myDif set @range3=@range2+@myDif set @range4=@range3+@myDif set @range5=@range4+@myDif set @range6=@range5+@myDif select @myMin,@myMax,@myDif,@range1,@range2,@range3,@range4,@range5,@range6 select t.range as myRange, count(*) as myCount from ( select case when modelpropvalue between @range1 and @range2 then 'range1' when modelpropvalue between @range2 and @range3 then 'range2' when modelpropvalue between @range3 and @range4 then 'range3' when modelpropvalue between @range4 and @range5 then 'range4' when modelpropvalue between @range5 and @range6 then 'range5' end as range from xmodelpropertyvalues where modelpropunitDescriptionID=@idmenu) t group by t.range order by t.range This calculates the min and max value from my table, works out the difference between the two and creates 5 buckets. The problem is that if there are a small amount of very high (or very low) values then the buckets will appear very distorted - as in these results... range1 2806 range2 296 range3 75 range5 1 Basically I want to rebuild the SP so it creates buckets with equal amounts of results in each. I have played around with some of the following approaches without quite nailing it... SELECT modelpropvalue, NTILE(5) OVER (ORDER BY modelpropvalue) FROM xmodelpropertyvalues - this creates a new column with either 1,2,3,4 or 5 in it ROW_NUMBER()OVER (ORDER BY modelpropvalue) between @range1 and @range2 ROW_NUMBER()OVER (ORDER BY modelpropvalue) between @range2 and @range3 or maybe i could allocate every record a row number then divide into ranges from this?

    Read the article

  • Copying single files into a folder that changes name every time the batch file is executed

    - by Daniel Jochem
    Can you please help, I am using this to put the text files made by the batch file into the folder created by the batch file as well. but my problem is that the name is changed of the new folder every time because it is named by the date and time it was created. This is the code: @echo off for /F " tokens=1,2,3* delims=/, " %%i IN ('date /T') DO ( set CUR_DAY_OF_WEEK=%%i set CUR_MONTH=%%j set CUR_DAY=%%k set CUR_YEAR=%%l) for /F " tokens=1,2,3* delims=:, " %%i IN ('time /T') DO ( set CUR_HOUR=%%i set CUR_MIN=%%j set AM_PM=%%k) if not exist E:\Private goto :F cd E:\Private md "E:\Private\%CUR_HOUR%.%CUR_MIN%%AM_PM% %j%%CUR_MONTH%-%CUR_DAY%-%CUR_YEAR%" goto :start :F if not exist F:\Private goto :G cd F:\Private md "F:\Private\%CUR_HOUR%.%CUR_MIN%%AM_PM% %j%%CUR_MONTH%-%CUR_DAY%-%CUR_YEAR%" goto :start :G cd G:\Private md "G:\Private\%CUR_HOUR%.%CUR_MIN%%AM_PM% %j%%CUR_MONTH%-%CUR_DAY%-%CUR_YEAR%" goto :start :start start /min A /stext A.txt start /min B /stext B.txt start /min C /stext C.txt start /min D /stext D.txt (As the directory (E:-G:) changes, how can I check all without an error? And once that is found, then put all these text files into the date folder.

    Read the article

  • Different behaviour using unidirectional or bidirectional relation

    - by sinuhepop
    I want to persist a mail entity which has some resources (inline or attachment). First I related them as a bidirectional relation: @Entity public class Mail extends BaseEntity { @OneToMany(mappedBy = "mail", cascade = CascadeType.ALL, orphanRemoval = true) private List<MailResource> resource; private String receiver; private String subject; private String body; @Temporal(TemporalType.TIMESTAMP) private Date queued; @Temporal(TemporalType.TIMESTAMP) private Date sent; public Mail(String receiver, String subject, String body) { this.receiver = receiver; this.subject = subject; this.body = body; this.queued = new Date(); this.resource = new ArrayList<>(); } public void addResource(String name, MailResourceType type, byte[] content) { resource.add(new MailResource(this, name, type, content)); } } @Entity public class MailResource extends BaseEntity { @ManyToOne(optional = false) private Mail mail; private String name; private MailResourceType type; private byte[] content; } And when I saved them: Mail mail = new Mail("[email protected]", "Hi!", "..."); mail.addResource("image", MailResourceType.INLINE, someBytes); mail.addResource("documentation.pdf", MailResourceType.ATTACHMENT, someOtherBytes); mailRepository.save(mail); Three inserts were executed: INSERT INTO MAIL (ID, BODY, QUEUED, RECEIVER, SENT, SUBJECT) VALUES (?, ?, ?, ?, ?, ?) INSERT INTO MAILRESOURCE (ID, CONTENT, NAME, TYPE, MAIL_ID) VALUES (?, ?, ?, ?, ?) INSERT INTO MAILRESOURCE (ID, CONTENT, NAME, TYPE, MAIL_ID) VALUES (?, ?, ?, ?, ?) Then I thought it would be better using only a OneToMany relation. No need to save which Mail is in every MailResource: @Entity public class Mail extends BaseEntity { @OneToMany(cascade = CascadeType.ALL, orphanRemoval = true) @JoinColumn(name = "mail_id") private List<MailResource> resource; ... public void addResource(String name, MailResourceType type, byte[] content) { resource.add(new MailResource(name, type, content)); } } @Entity public class MailResource extends BaseEntity { private String name; private MailResourceType type; private byte[] content; } Generated tables are exactly the same (MailResource has a FK to Mail). The problem is the executed SQL: INSERT INTO MAIL (ID, BODY, QUEUED, RECEIVER, SENT, SUBJECT) VALUES (?, ?, ?, ?, ?, ?) INSERT INTO MAILRESOURCE (ID, CONTENT, NAME, TYPE) VALUES (?, ?, ?, ?) INSERT INTO MAILRESOURCE (ID, CONTENT, NAME, TYPE) VALUES (?, ?, ?, ?) UPDATE MAILRESOURCE SET mail_id = ? WHERE (ID = ?) UPDATE MAILRESOURCE SET mail_id = ? WHERE (ID = ?) Why this two updates? I'm using EclipseLink, will this behaviour be the same using another JPA provider as Hibernate? Which solution is better?

    Read the article

  • Distribute budget over for ranked components in SQL

    - by Lee
    Assume I have a budget of $10 (any integer) and I want to distribute it over records which have rank field with varying needs. Example: rank Req. Fulfilled? 1 $3 Y 2 $4 Y 3 $2 Y 4 $3 N Those ranks from 1 to 3 should be fulfilled because they are within budget. whereas, the one ranked 4 should not. I want an SQL query to solve that. Below is my initial script: CREATE TABLE budget ( id VARCHAR (32), budget INTEGER, PRIMARY KEY (id)); CREATE TABLE component ( id VARCHAR (32), rank INTEGER, req INTEGER, satisfied BOOLEAN, PRIMARY KEY (id)); INSERT INTO budget (id,budget) VALUES ('1',10); INSERT INTO component (id,rank,req) VALUES ('1',1,3); INSERT INTO component (id,rank,req) VALUES ('2',2,4); INSERT INTO component (id,rank,req) VALUES ('3',3,2); INSERT INTO component (id,rank,req) VALUES ('4',4,3); Thanks in advance for your help. Lee

    Read the article

  • MySQL Trigger with dynamic table name

    - by Thomas
    I've look around a bit and can't quite find an answer to my problem: I want a trigger to execute after an insert on a table and to take that data that is being inserted and do two things Create a new table from the client id and partner id Insert the 'data' that just was inserted into the new table I am fairly new to the Stored procedures and triggers so I came up with this but am having difficulty debugging it: delimiter $$ CREATE TRIGGER trg_creas_insert BEFORE INSERT ON tracking.creas for each row BEGIN DECLARE @tableName varchar(40); DECLARE @createStmnt mediumtext; SET @tableName = concat('crea_','_', NEW.idClient_crea,'_',NEW.idPartenaire_crea); SET @createStmnt = concat('CREATE TABLE IF NOT EXISTS', @tableName, '( `data_crea` mediumtext NOT NULL ) ENGINE=MyISAM AUTO_INCREMENT=29483330 DEFAULT CHARSET=utf8 PACK_KEYS=0'); PREPARE stmt FROM @createStmnt; EXECUTE stmt; INSERT INTO @tableName (data_crea) values (NEW.data_crea); END$$ delimiter ; Thoughts?

    Read the article

  • How do I get a delete trigger working using fluent API in CTP5?

    - by user668472
    I am having trouble getting referential integrity dialled down enough to allow my delete trigger to fire. I have a dependent entity with three FKs. I want it to be deleted when any of the principal entities is deleted. For principal entities Role and OrgUnit (see below) I can rely on conventions to create the required one-many relationship and cascade delete does what I want, ie: Association is removed when either principal is deleted. For Member, however, I have multiple cascade delete paths (not shown here) which SQL Server doesn't like, so I need to use fluent API to disable cascade deletes. Here is my (simplified) model: public class Association { public int id { get; set; } public int roleid { get; set; } public virtual Role role { get; set; } public int? memberid { get; set; } public virtual Member member { get; set; } public int orgunitid { get; set; } public int OrgUnit orgunit { get; set; } } public class Role { public int id { get; set; } public virtual ICollection<Association> associations { get; set; } } public class Member { public int id { get; set; } public virtual ICollection<Association> associations { get; set; } } public class Organization { public int id { get; set; } public virtual ICollection<Association> associations { get; set; } } My first run at fluent API code looks like this: protected override void OnModelCreating(System.Data.Entity.ModelConfiguration.ModelBuilder modelBuilder) { DbDatabase.SetInitializer<ConfDB_Model>(new ConfDBInitializer()); modelBuilder.Entity<Member>() .HasMany(m=>m.assocations) .WithOptional(a=>a.member) .HasForeignKey(a=>a.memberId) .WillCascadeOnDelete(false); } My seed function creates the delete trigger: protected override void Seed(ConfDB_Model context) { context.Database.SqlCommand("CREATE TRIGGER MemberAssocTrigger ON dbo.Members FOR DELETE AS DELETE Assocations FROM Associations, deleted WHERE Associations.memberId = deleted.id"); } PROBLEM: When I run this, create a Role, a Member, an OrgUnit, and an Association tying the three together all is fine. When I delete the Role, the Association gets cascade deleted as I expect. HOWEVER when I delete the Member I get an exception with a referential integrity error. I have tried setting ON CASCADE SET NULL because my memberid FK is nullable but SQL complains again about multiple cascade paths, so apparently I can cascade nothing in the Member-Association relationship. To get this to work I must add the following code to Seed(): context.Database.SqlCommand("ALTER TABLE dbo.ACLEntries DROP CONSTRAINT member_aclentries"); As you can see, this drops the constraint created by the model builder. QUESTION: this feels like a complete hack. Is there a way using fluent API for me to say that referential integrity should NOT be checked, or otherwise to get it to relax enough for the Member delete to work and allow the trigger to be fired? Thanks in advance for any help you can offer. Although fluent APIs may be "fluent" I find them far from intuitive.

    Read the article

  • Copying contents of a MySQL table to a table in another (local) database

    - by Philip Eve
    I have two MySQL databases for my site - one is for a production environment and the other, much smaller, is for a testing/development environment. Both have identical schemas (except when I am testing something I intend to change, of course). A small number of the tables are for internationalisation purposes: TransLanguage - non-English languages TransModule - modules (bundles of phrases for translation, that can be loaded individually by PHP scripts) TransPhrase - individual phrases, in English, for potential translation TranslatedPhrase - translations of phrases that are submitted by volunteers ChosenTranslatedPhrase - screened translations of phrases. The volunteers who do translation are all working on the production site, as they are regular users. I wanted to create a stored procedure that could be used to synchronise the contents of four of these tables - TransLanguage, TransModule, TransPhrase and ChosenTranslatedPhrase - from the production database to the testing database, so as to keep the test environment up-to-date and prevent "unknown phrase" errors from being in the way while testing. My first effort was to create the following procedure in the test database: CREATE PROCEDURE `SynchroniseTranslations` () LANGUAGE SQL NOT DETERMINISTIC MODIFIES SQL DATA SQL SECURITY DEFINER BEGIN DELETE FROM `TransLanguage`; DELETE FROM `TransModule`; INSERT INTO `TransLanguage` SELECT * FROM `PRODUCTION_DB`.`TransLanguage`; INSERT INTO `TransModule` SELECT * FROM `PRODUCTION_DB`.`TransModule`; INSERT INTO `TransPhrase` SELECT * FROM `PRODUCTION_DB`.`TransPhrase`; INSERT INTO `ChosenTranslatedPhrase` SELECT * FROM `PRODUCTION_DB`.`ChosenTranslatedPhrase`; END When I try to run this, I get an error message: "SELECT command denied to user 'username'@'localhost' for table 'TransLanguage'". I also tried to create the procedure to work the other way around (that is, to exist as part of the data dictionary for the production database rather than the test database). If I do it that, way, I get an identical message except it tells me I'm denied the DELETE command rather than SELECT. I have made sure that my user has INSERT, DELETE, SELECT, UPDATE and CREATE ROUTINE privileges on both databases. However, it seems as though MySQL is reluctant to let this user exercise its privileges on both databases at the same time. How come, and is there a way around this?

    Read the article

  • How do I get the Jetty 6 FileServerXml example to work?

    - by Norm
    I have followed along with the Tutorial and the examples. Yet I always get this error when I copy and paste the code: Exception in thread "main" java.lang.NullPointerException at net.test.FileServerXml.main(FileServerXml.java:13) In Eclipse I have the directory structured as such: package net.test -FileServerXml.java -fileserver.xml -index.html FileServerXml.java package net.test; import org.mortbay.jetty.Server; import org.mortbay.resource.Resource; import org.mortbay.xml.XmlConfiguration; public class FileServerXml { public static void main(String[] args) throws Exception { Resource fileserver_xml = Resource.newSystemResource("fileserver.xml"); XmlConfiguration configuration = new XmlConfiguration(fileserver_xml.getInputStream()); Server server = (Server)configuration.configure(); server.start(); server.join(); } } ` fileserver.xml `<?xml version="1.0"?> <Call name="addConnector"> <Arg> <New class="org.eclipse.jetty.server.nio.SelectChannelConnector"> <Set name="port">8080</Set> </New> </Arg> </Call> <Set name="handler"> <New class="org.eclipse.jetty.server.handler.HandlerList"> <Set name="handlers"> <Array type="org.eclipse.jetty.server.Handler"> <Item> <New class="org.eclipse.jetty.server.handler.ResourceHandler"> <Set name="directoriesListed">true</Set> <Set name="welcomeFiles"> <Array type="String"><Item>index.html</Item></Array> </Set> <Set name="resourceBase">.</Set> </New> </Item> <Item> <New class="org.eclipse.jetty.server.handler.DefaultHandler"> </New> </Item> </Array> </Set> </New> </Set> ` Thanks for your input. Norm

    Read the article

  • MVC Entity Framework Model not returning correct data

    - by quagland
    Hi, Run into a strange problem while writing an ASP.NET MVC site. I have a view in my SQL Server database that returns a few date ranges. The view works fine when running the query in SSMS. When the view data is returned by the Entity Framework Model, It returns the correct number of rows but some of the rows are duplicated. Here is an example of what I have done: SQL Server code: CREATE TABLE [dbo].[A]( [ID] [int] NOT NULL, [PhID] [int] NULL, [FromDate] [datetime] NULL, [ToDate] [datetime] NULL, CONSTRAINT [PK_A] PRIMARY KEY CLUSTERED ([ID] ASC)) ON [PRIMARY] go CREATE TABLE [dbo].[B]( [PhID] [int] NOT NULL, [FromDate] [datetime] NULL, [ToDate] [datetime] NULL, CONSTRAINT [PK_B] PRIMARY KEY CLUSTERED ( [PhID] ASC )) ON [PRIMARY] go CREATE VIEW C as SELECT A.ID, CASE WHEN A.PhID IS NULL THEN A.FromDate ELSE B.FromDate END AS FromDate, CASE WHEN A.PhID IS NULL THEN A.ToDate ELSE B.ToDate END AS ToDate FROM A LEFT OUTER JOIN B ON A.PhID = B.PhID go INSERT INTO B (PhID, FromDate, ToDate) VALUES (100, '20100615', '20100715') INSERT INTO A (ID, PhID, FromDate, ToDate) VALUES (1, NULL, '20100101', '20100201') INSERT INTO A (ID, PhID, FromDate, ToDate) VALUES (1, 100, '20100615', '20100715') INSERT INTO B (PhID, FromDate, ToDate) VALUES (101, '20101201', '20101231') INSERT INTO A (ID, PhID, FromDate, ToDate) VALUES (2, NULL, '20100801', '20100901') INSERT INTO A (ID, PhID, FromDate, ToDate) VALUES (2, 101, '20101201', '20101231') So now, if you select all from C, you get 4 separate date ranges In the Entity Framework Model (which I call 'Core'), the view 'C' is added. in MVC Controller: public class HomeController : Controller { public ActionResult Index() { CoreEntities db = new CoreEntities(); var clist = from c in db.C select c; return View(clist.ToList()); } } in MVC View: @model List<RM.Models.C> @{ foreach (RM.Models.C c in Model) { @String.Format("{0:dd-MMM-yyyy}", c.FromDate) <span>-</span> @String.Format("{0:dd-MMM-yyyy}", c.ToDate) <br /> } } When I run all this, it outputs this: 01-Jan-2010 - 01-Feb-2010 01-Jan-2010 - 01-Feb-2010 01-Aug-2010 - 01-Sep-2010 01-Aug-2010 - 01-Sep-2010 When it should do this (this is what the view returns): 01-Jan-2010 - 01-Feb-2010 15-Jun-2010 - 15-Jul-2010 01-Aug-2010 - 01-Sep-2010 01-Dec-2010 - 31-Dec-2010 Also, I've run the SQL profiler over it and according to that, the query being executed is: SELECT [Extent1].[ID] AS [ID], [Extent1].[FromDate] AS [FromDate], [Extent1].[ToDate] AS [ToDate] FROM (SELECT [C].[ID] AS [ID], [C].[FromDate] AS [FromDate], [C].[ToDate] AS [ToDate] FROM [dbo].[C] AS [C]) AS [Extent1] Which returns the correct data So it seems that the entity framework is doing something to the data in the meantime. To me, everything looks fine! Have I missed something? Cheers, Ben

    Read the article

  • How to design a data model that deals with (real) contracts?

    - by Geoffrey
    I was looking for some advice on designing a data model for contract administration. The general life cycle of a contract is thus: Contract is created and in a "draft" state. It is viewable internally and changes may be made. Contract goes out to vendor, status is set to "pending" Contract is rejected by vendor. At this state, nothing can be done to the contract. No statuses may be added to the collection. Contract is accepted by vendor. At this state, nothing can be done to the contract. No statuses may be added to the collection. I obviously want to avoid a situation where the contract is accepted and, say, the amount is changed. Here are my classes: [EnforceNoChangesAfterDraftState] public class VendorContract { public virtual Vendor Vendor { get; set; } public virtual decimal Amount { get; set; } public virtual VendorContact VendorContact { get; set; } public virtual string CreatedBy { get; set; } public virtual DateTime CreatedOn { get; set; } public virtual FileStore Contract { get; set; } public virtual IList<VendorContractStatus> ContractStatus { get; set; } } [EnforceCorrectWorkflow] public class VendorContractStatus { public virtual VendorContract VendorContract { get; set; } public virtual FileStore ExecutedDocument { get; set; } public virtual string Status { get; set; } public virtual string Reason { get; set; } public virtual string CreatedBy { get; set; } public virtual DateTime CreatedOn { get; set; } } I've omitted the filestore class, which is basically a key/value lookup to find the document based on its guid. The VendorContractStatus is mapped as a many-to-one in Nhibernate. I then use a custom validator as described here. If anything but draft is returned in the VendorContractStatus collection, no changes are allowed. Furthermore the VendorContractStatus must follow the correct workflow (you can add a rejected after a pending, but you can't add anything else to the collection if a reject or accepted exists, etc.). All sounds alright? Well a colleague has argued that we should simply add an "IsDraft" bool property to VendorContract and not accept updates if IsDraft is false. Then we should setup a method inside of VendorContractStatus for updating the status, if something gets added after a draft, it sets the IsDraft property of VendorContract to false. I do not like this as it feels like I'm dirtying up the POCOs and adding logic that should persist in the validation area, that no rules should really exist in these classes and they shouldn't be aware of their states. Any thoughts on this and what is the better practice from a DDD perspective? From my view, if in the future we want more complex rules, my way will be more maintainable over the long run. Say we have contracts over a certain amount to be approved by a manager. I would think it would be better to have a one-to-one mapping with a VendorContractApproval class, rather than adding IsApproved properties, but that's just speculation. This might be splitting hairs, but this is the first real gritty enterprise software project we've done. Any advice would be appreciated!

    Read the article

< Previous Page | 309 310 311 312 313 314 315 316 317 318 319 320  | Next Page >