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  • mysql row locking via php

    - by deezee
    I am helping a friend with a web based form that is for their business. I am trying to get it ready to handle multiple users. I have set it up so that just before the record is displayed for editing I am locking the record with the following code. $query = "START TRANSACTION;"; mysql_query($query); $query = "SELECT field FROM table WHERE ID = \"$value\" FOR UPDATE;"; mysql_query($query); (okay that is greatly simplified but that is the essence of the mysql) It does not appear to be working. However, when I go directly to mysql from the command line, logging in with the same user and execute START TRANSACTION; SELECT field FROM table WHERE ID = "40" FOR UPDATE; I can effectively block the web form from accessing record "40" and get the timeout warning. I have tried using BEGIN instead of START TRANSACTION. I have tried doing SET AUTOCOMMIT=0 first and starting the transaction after locking but I cannot seem to lock the row from the PHP code. Since I can lock the row from the command line I do not think there is a problem with how the database is set up. I am really hoping that there is some simple something that I have missed in my reading. FYI, I am developing on XAMPP version 1.7.3 which has Apache 2.2.14, MySQL 5.1.41 and PHP 5.3.1. Thanks in advance. This is my first time posting but I have gleaned alot of knowledge from this site in the past.

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  • What is the effect on LVM snapshot size when a file block is rewritten with it's original contents?

    - by NevilleDNZ
    I'm exploring using LVM snapshot's to off site incremental archives from a snapshot "master" file system. In essence: simply copy across only the files on the "master" that have changed since the last incremental copy to the "archive". Then snapshot the "archive" to retain the incremental. I am a bit puzzled as to the block usage behaviour of the archive's own incremental snapshot. I'm expecting that LVM is not smart enough to know that the "file block" is actually unchanged, and the a new copy will be allocated and written for the fresh "archive" file system. Can anyone confirm this, or point me to a document/page that gives some hints? BTW: the OS hard disk cache, hard disk physical cache and hard disk itself also doesn't need to do any actual "disk writes" as the "disk block" likewise is unnecessary. Any pointers to discussion of this style of optimisation would also be ineresting.

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  • OS X server 10.6 - how to restore default groups?

    - by Zoran Simic
    I've set up my OS X server as an open directory master first, then (experimenting), I've changed it to standalone server, then set it back as an open directory master again. Now, all the default groups I saw before are gone (Domain Administrators, Domain users etc). Do you know how to restore these groups? Note that the groups are gone only from the Workgroup Manager UI. They do seem to be still there otherwise. id -G gives the usual list of groups. If I create an account and makes its primary group 'staff', Workgroup Manager shows all the inherited groups properly (but not on the main list). If I create an account and associate it to a new group I just created, then the account has no inherited groups...

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  • 389 DS Achitecture for Multiple Sites

    - by Kyle Flavin
    I'm looking to deploy 389 Directory in my environment to replace an existing iPlanet installation. I would be using it primarily to store user account data for authentication purposes. I have two physically separate data centers that I would like to share the same directory tree. My initial thinking is to setup 389 DS as follows: -A Master/Consumer in DataCenter A -A Master/Consumer in DataCenter B -Replication agreement between both masters, to mirror the directory tree in both environments. Does this sound like a reasonable approach? Is there a better way to do it? (ie: four masters?) Is there documentation for best practices when setting up 389 DS in situations such as this? Thanks.

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  • LINQ Joins - Performance

    - by Meiscooldude
    I am curious on how exactly LINQ (not LINQ to SQL) is performing is joins behind the scenes in relation to how Sql Server performs joins. Sql Server before executing a query, generates an Execution Plan. The Execution Plan is basically an Expression Tree on what it believes is the best way to execute the query. Each node provides information on whether to do a Sort, Scan, Select, Join, ect. On a 'Join' node in our execution plan, we can see three possible algorithms; Hash Join, Merge Join, and Nested Loops Join. Sql Server will choose which algorithm to for each Join operation based on expected number of rows in Inner and Outer tables, what type of join we are doing (some algorithms don't support all types of joins), whether we need data ordered, and probably many other factors. Join Algorithms: Nested Loop Join: Best for small inputs, can be optimized with ordered inner table. Merge Join: Best for medium to large inputs sorted inputs, or an output that needs to be ordered. Hash Join: Best for medium to large inputs, can be parallelized to scale linearly. LINQ Query: DataTable firstTable, secondTable; ... var rows = from firstRow in firstTable.AsEnumerable () join secondRow in secondTable.AsEnumerable () on firstRow.Field<object> (randomObject.Property) equals secondRow.Field<object> (randomObject.Property) select new {firstRow, secondRow}; SQL Query: SELECT * FROM firstTable fT INNER JOIN secondTable sT ON fT.Property = sT.Property Sql Server might use a Nested Loop Join if it knows there are a small number of rows from each table, a merge join if it knows one of the tables has an index, and Hash join if it knows there are a lot of rows on either table and neither has an index. Does Linq choose its algorithm for joins? or does it always use one?

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  • Session persistence between multiple Rails / Unicorn servers with Redis as session_store on AWS

    - by d_ethier
    I've got 2 nginx EC2 instances pointing to 2 Unicorn EC2 instances in a round robin load balanced configuration. The two nginx instances are being the Elastic Load Balancer. Both Unicorn instances have a Redis session_store configured which is in a master/slave configuration with an Elastic IP attached to the master. I've tried configuring the session stickiness on the load balancer, but sessions are lost on each page refresh. I'm using the redis-store gem for the session_store configuration and redis support. Anyone have any ideas as to why this is not working?

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  • MySQL Stored Procedures : Use a variable as the database name in a cursor declaration

    - by Justin
    I need to use a variable to indicate what database to query in the declaration of a cursor. Here is a short snippet of the code : CREATE PROCEDURE `update_cdrs_lnp_data`(IN dbName VARCHAR(25), OUT returnCode SMALLINT) cdr_records:BEGIN DECLARE cdr_record_cursor CURSOR FOR SELECT cdrs_id, called, calling FROM dbName.cdrs WHERE lrn_checked = 'N'; # Setup logging DECLARE EXIT HANDLER FOR SQLEXCEPTION BEGIN #call log_debug('Got exception in update_cdrs_lnp_data'); SET returnCode = -1; END; As you can see, I'm TRYING to use the variable dbName to indicate in which database the query should occur within. However, MySQL will NOT allow that. I also tried things such as : CREATE PROCEDURE `update_cdrs_lnp_data`(IN dbName VARCHAR(25), OUT returnCode SMALLINT) cdr_records:BEGIN DECLARE cdr_record_cursor CURSOR FOR SET @query = CONCAT("SELECT cdrs_id, called, calling FROM " ,dbName, ".cdrs WHERE lrn_checked = 'N' "); PREPARE STMT FROM @query; EXECUTE STMT; # Setup logging DECLARE EXIT HANDLER FOR SQLEXCEPTION BEGIN #call log_debug('Got exception in update_cdrs_lnp_data'); SET returnCode = -1; END; Of course this doesn't work either as MySQL only allows a standard SQL statement in the cursor declaration. Can anyone think of a way to use the same stored procedure in multiple databases by passing in the name of the db that should be affected?

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  • Nested loops through recursion with usable iterators

    - by narandzasto
    Help! I need to generate a query with loops,but there must be undefinitly numbers of loop or much as many a client wants. I know that it can be done with recursion,but don't know exectly how.One more thing. Notice,please,that I need to use those k,i,j iterators later in "if" condition and I don't know how to catch them. Thanks class Class1 { public void ListQuery() { for (int k = 0; k < listbox1.Count; k++) { for (int i = 0; i < listbox2.Count; i++) { for (int j = 0; j < listbox3.Count; j++) { if (k == listbox1.count-1 && i == listbox2.count-1 && j == listbox3.count-1) { if (!checkbox1) Query += resultset.element1 + "=" + listbox1[k]; if (!checkbox2) Query += resultset.element2 + "=" + listbox1[i]; if (!checkbox3) Query += resultset.element3 + "=" + listbox1[j]; } } } } } }

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  • "remote file operation failed" on Hudson

    - by Aveen
    I am running a Windows slave for Husdon 1.337 (Linux master). When running a project on the Windows node, it fails with the following message: Building remotely on winTestSlave Checking out a fresh workspace because there's no workspace at C:\hudson\***\ejb remote file operation failed It did work yesterday and I have not upgraded Hudson or changed its configurations (or the slave's configurations) in any way. I establish the connection between the slave and the master by running the following command on a cygwim prompt on the slave: java -jar slave.jar -jnlpUrl http://myserver/computer/winTestSlave/slave-agent.jnlp I saw the issue http://issues.hudson-ci.org/browse/HUDSON-5374 and did as instructed in the work-around but that did not work. I also tried with a newer version of slave.jar (version 1.356) but that did not work either. Does anyone please have any idea of how to fix this? I really cannot find more information anywhere else!

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  • Django: DatabaseError column does not exist

    - by Rosarch
    I'm having a problem with Django 1.2.4. Here is a model: class Foo(models.Model): # ... ftw = models.CharField(blank=True) bar = models.ForeignKey(Bar) Right after flushing the database, I use the shell: Python 2.6.6 (r266:84292, Sep 15 2010, 15:52:39) [GCC 4.4.5] on linux2 Type "help", "copyright", "credits" or "license" for more information. (InteractiveConsole) >>> from apps.foo.models import Foo >>> Foo.objects.all() Traceback (most recent call last): File "<console>", line 1, in <module> File "/usr/local/lib/python2.6/dist-packages/django/db/models/query.py", line 67, in __repr__ data = list(self[:REPR_OUTPUT_SIZE + 1]) File "/usr/local/lib/python2.6/dist-packages/django/db/models/query.py", line 82, in __len__ self._result_cache.extend(list(self._iter)) File "/usr/local/lib/python2.6/dist-packages/django/db/models/query.py", line 271, in iterator for row in compiler.results_iter(): File "/usr/local/lib/python2.6/dist-packages/django/db/models/sql/compiler.py", line 677, in results_iter for rows in self.execute_sql(MULTI): File "/usr/local/lib/python2.6/dist-packages/django/db/models/sql/compiler.py", line 732, in execute_sql cursor.execute(sql, params) File "/usr/local/lib/python2.6/dist-packages/django/db/backends/util.py", line 15, in execute return self.cursor.execute(sql, params) File "/usr/local/lib/python2.6/dist-packages/django/db/backends/postgresql_psycopg2/base.py", line 44, in execute return self.cursor.execute(query, args) DatabaseError: column foo_foo.bar_id does not exist LINE 1: ...t_omg", "foo_foo"."ftw", "foo_foo... What am I doing wrong here?

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  • I have a problem with mysql and php

    - by neo skosana
    Hi I have a problem, this is my code: $db = new mysqli("localhost", "root", "", "blah"); $result1 = $db-query("select * from c_register where email = '$eml' and password = '$pass'"); if($result1-fetch_array()) { $auth->createSession(); $_SESSION['user'] = 'client'; promptUser("You have successfully logged in!!!","index.php"); } $db = new mysqli("localhost", "root", "", "blah"); $result2 = $db-query("select * from b_register where email = '$eml' and password = '$pass'"); if($result2-fetch_array()) { $auth->createSession(); $_SESSION['user'] = 'business'; promptUser("You have successfully logged in!!!","index.php"); } $db = new mysqli("localhost", "root", "", "blah"); $result3 = $db-query("select * from g_register where email = '$eml' and password = '$pass'"); if($result3-fetch_array()) { $auth->createSession(); $_SESSION['user'] = 'employee'; promptUser("You have successfully logged in!!!","index.php"); } $db = new mysqli("localhost", "root", "", "blah"); $result4 = $db-query("select * from k_register where email = '$eml' and password = '$pass'"); if($result4-fetch_array()) { $auth->createSession(); $_SESSION['user'] = 'super'; promptUser("You have successfully logged in!!!","index.php"); } else { promptUser("Username/Password do not match. Please try again!!!",""); } Funny enough this code works, but I no that I went about it the wrong way. I am new with php and mysql, so please help. I also tried e.gresult4->free(); for all the variable that save the data, and I got this error: Fatal error: Call to a member function free() on a non-object in...

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  • trigger script on postfix delivery errors

    - by edovino
    I'm trying to get postfix to run a script on soft (4xx) and hard (5xx) delivery errors, but I'm not sure where to start. If I understand things correctly, I could insert (pipe-based) filters in the master.cf file, there's a whole 'milter' infrastructure available, an finally I suppose I could simply grep through the mail.info logs. So - any advice? Should I go the 'handle it via master.cf' route, and if so, what daemon should I intercept? 'bounce'? The grep-the-logs route is probably simplest, but I can't help but feel that there is a better way. Any advice appreciated!

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  • Why NOT use POST method here?

    - by Camran
    I have a classifieds website. In the main page (index) I have several form fields which the user may or may not fill in, in order to specify a detailed search of classifieds. Ex: Category: Cars Price from: 3000 Price to: 10000 Color: Red Area: California The forms' action is set to a php page: <form action='query_sql.php' method='post'> In query_sql.php I fetch the variables like this: category=$_POST['category']; etc etc... Then query MySql: $query="SELECT........WHERE category='$category' etc etc.... $results = mysql_query($query); Then I simply display the results of the query to the user by creating a table which is filled in dynamically depending on the results set. However, according to an answer by Col. Shrapnel in my previous Q I shouldn't use POST here: http://stackoverflow.com/questions/3004754/how-to-hide-url-from-users-when-submitting-this-form The reason I use post is simply to hide the "one-page-word-document" long URL in the browsers adress bar. I am very confused, is it okay to use POST or not? It is working fine both when I use GET or POST now... And it is already on a production server... Btw, in the linked question, I wasn't referring to make URL invisible (or hide it) I just wanted it too look better (which I have accomplished with mod_rewrite). UPDATE: If I use GET, then how should I make the url better looking (beautiful)? Check this previous Q out: http://stackoverflow.com/questions/3000524/how-to-make-this-very-long-url-appear-short

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  • PC cannot see Clonezilla server when using PXE Boot

    - by r2b2
    Hi I have about 15 workstations, all have the same hardware specs so I figured clonezilla is perfect for cloning them. So I followed everything this guide says :cloning groups of school computers That guide above makes it all look easy but when I tried setting up Clonezilla Server Edition on my laptop (Kubuntu 10.10) and configured the master computer for PXE boot, the master computer could not see the Clonezilla server. It just shows 'DHCP...' which seems it trying to grab an IP address but to no avail. Please help. Thanks!

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  • Amazon Product API ResponseGroups and Default results

    - by aboxy
    A. In our application, most of the data we work with is stored as free text .i.e. there is no categorization done as of now. We are using openNLP libraries to make sense of the data(extract keywords/classify) and do a query to Amazon web services to pull the results of the query. We use searchindex=All and keywords=. Results are not always returned and we basically get 'AWS.ECommerceService.NoExactMatches' How to avoid that? 1) Is there a way to specify default results if no match found? e.g. Amazon carousel widget does that if the search query did not return results, it basically show some computer items. 2) Should I batch the request always and add another search criteria to every request? If my first criteria does not pull any results, we can be sure that our 2nd query will always pull results(possibly caching?) Here is one search criteria 'Open Circle Hoop Earrings Polished Stainless Steel Open Circle Hoop Earrings Polished Stainless Steel DiamondShark' This return no results via API. On Amazon site,I get alternative suggestions with some results which are pretty relevant. Is there a way to pull those results? B. We just need a thumbnail image and a title and description for our app. Which responseGroup is appropriate? We are using medium rt now but there is awful lot of information even with that responseGroup. Any help is appreciated. thanks

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  • mysql cluster virtual ip

    - by user225995
    I am new in mysql cluster and mysql cluster and versions are not my choice. I setup four machines. Two of them manager , Two of them data cluster (ndb and mysqld). And i integrate with mysql utilities master/slave configuration. Everything working fine. Mysql version 5.6.17, ndb 7.3.5 , servers ubuntu 14.04. There will be no much transactions. The only important thing is HA. Everythings must be double. My problem is virtual ip. Since I have only one farm which have master slave configuration, how can i do it without proxy? If I must use proxy which proxy is better?

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  • Need help tuning a SQL statement

    - by jeffself
    I've got a table that has two fields (custno and custno2) that need to be searched from a query. I didn't design this table, so don't scream at me. :-) I need to find all records where either the custno or custno2 matches the value returned from a query on the same table based on a titleno. In other words, the user types in 1234 for the titleno. My query searches the table to find the custno associated with the titleno. It also looks for the custno2 for that titleno. Then it needs to do a search on the same table for all other records that have either the custno or custno2 returned in the previous search in the custno or custno2 fields for those other records. Here is what I've come up with: SELECT BILLYR, BILLNO, TITLENO, VINID, TAXPAID, DUEDATE, DATEPIF, PROPDESC FROM TRCDBA.BILLSPAID WHERE CUSTNO IN (select custno from trcdba.billspaid where titleno = '1234' union select custno2 from trcdba.billspaid where titleno = '1234' and custno2 != '') OR CUSTNO2 IN (select custno from trcdba.billspaid where titleno = '1234' union select custno2 from trcdba.billspaid where titleno = '1234' and custno2 != '') The query takes about 5-10 seconds to return data. Can it be rewritten to work faster?

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  • Mysql for update

    - by shantanuo
    MySQL supports "for update" keyword. Here is how I tested that it is working as expected. I opened 2 browser tabs and executed the following commands in one window. mysql> start transaction; Query OK, 0 rows affected (0.00 sec) mysql> select * from myxml where id = 2 for update; .... mysql> update myxml set id = 3 where id = 2 limit 1; Query OK, 1 row affected, 1 warning (0.00 sec) Rows matched: 1 Changed: 1 Warnings: 0 mysql> commit; Query OK, 0 rows affected (0.08 sec) In another window, I started the transaction and tried to take an update lock on the same record. mysql> start transaction; Query OK, 0 rows affected (0.00 sec) mysql> select * from myxml where id = 2 for update; Empty set (43.81 sec) As you can see from the above example, I could not select the record for 43 seconds as the transaction was being processed by another application in the Window No 1. Once the transaction was over, I got to select the record, but since the id 2 was changed to id 3 by the transaction that was executed first, no record was returned. My question is what are the disadvantages of using "for update" syntax? If I do not commit the transaction that is running in window 1 will the record be locked for-ever?

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  • Getting the last User ID in Zend Framework

    - by Ryan Murphy
    Using MySQL query browser, I manually made a table called users and input some date in the fields. I set the primary key to id and set it to auto increment. There are 3 rows, the highest id is 3. I then made the following class in the method directory to call upon the data in the table etc. class Application_Model_DbTable_User extends Zend_Db_Table_Abstract { protected $_name = 'user'; public function getLatestUserId() { $id = $this->getAdapter()->lastInsertId(); return $id; } } In the controller I do the following which gets the value generated by the method and lets the view access it: $usersDbModel = new Application_Model_DbTable_User(); $lastUserId = $usersDbModel->getLatestUserId(); $this->view->lastUserId = $lastUserId; In the view I then echo it to display it to the user: echo $this->lastUserId; However, even though my last id in the users table is 3. It displays 0. I have also tried: public function getLatestUserId() { $sql = 'SELECT max(id) FROM user'; $query = $this->query($sql); $result = $query->fetchAll(); return $result; } But this just throws out a server error. What have I done wrong? Am I missing something? Is there another way of doing this?

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  • Data capture from other sheet into Summary sheet

    - by Hemant
    an Excel workbook which has Summary sheet, Pending and Master Sheet. My requirement is below and try to develop a Macro or VB logic for excel • I want to control this workbook from Summary sheet. o Generate Fault Summary – ? I have set logic but if doesn’t give warning if sheet name is exists , so need to add this logic . ? When we press the Fault Report Summary command button then it copy the master sheet with cell “A6” Name and will hide the Master sheet. Again when you select the another Month name then it will generate the sheet for that month name. o Generate Toll System Uptime ? When I select the sheet name and “Week” then Press the “Enter “Command button then it should get the result from that sheet number . Each sheet number has Month detail in B2 Cell. ? To calculate the Uptime formula for Week wise is • Week-01 = (1680-SUMIFS(L5:L23,B5:B23,"="&B2,B5:B23,"<="&(B2+6)))/1680 • Week-02 =(1680-SUMIFS(L5:L23,B5:B23,"="&(B2+7),B5:B23,"<="&(B2+13)))/1680 • Week-03 =(1680-SUMIFS(L5:L23,B5:B23,"="&(B2+14),B5:B23,"<="&(B2+20)))/1680 • Week-04 =(1680-SUMIFS(L5:L23,B5:B23,"="&(B2+21),B5:B23,"<="&(B2+27)))/1680 • Month =(1680-SUMIFS(L5:L23,B5:B23,"="&(B2),B5:B23,"<="&(DATE(YEAR(B2),1+MONTH(B2),1)-1)))/1680 ? Result should reflect in Summary sheet at B18 cell . o Pending Fault Report Summary ? When segregate the report on its status like which one is open or Close . It is open then it is Pending Fault Report and when it is Close status it means it is closed. ? If any fault which has OPEN status in all sheets(Jan-13,Feb-13,Mar-13….etc) then it should be come as well as in Pending Sheet which ascending date order. ? When it’s status is changed then it should be moved in that month sheet or nearby fault created date. It status is close then it should not be available in pending sheet as it’s status is Closed. ? Each fault has Reported date and we monitor all fault according reported date. ? When we press the Update Fault Report Summary command button then it should update as above logic. ? Some time we export the Pending fault report , so date calendar should be present in Start and End date to Choose the date. When we press the Export command line then it should export the Pending fault report and able to save in Excel,PDF.

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  • Clonezilla , NLite and PCs with different hardware specs

    - by r2b2
    I used Clonezilla to create and restore images from a master computer to other workstations with the same specs. But the problem now is there are new computers whose hardware specs are different than the ones I maintained (mostly the videocard is different). Is it possible to create a customize Windows XP installer using Nlite and integrate all potential videocard and motherboard drivers ? If I then used this NLite ISO to install to a master computer which i will later clone and restore the image to other workstations, will windows xp still pick up the correct driver set? During XP installation, does the installer transfers all the drivers to the computer's harddisk? Thanks! Ryan

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  • Merge computed data from two tables back into one of them

    - by Tyler McHenry
    I have the following situation (as a reduced example). Two tables, Measures1 and Measures2, each of which store an ID, a Weight in grams, and optionally a Volume in fluid onces. (In reality, Measures1 has a good deal of other data that is irrelevant here) Contents of Measures1: +----+----------+--------+ | ID | Weight | Volume | +----+----------+--------+ | 1 | 100.0000 | NULL | | 2 | 200.0000 | NULL | | 3 | 150.0000 | NULL | | 4 | 325.0000 | NULL | +----+----------+--------+ Contents of Measures2: +----+----------+----------+ | ID | Weight | Volume | +----+----------+----------+ | 1 | 75.0000 | 10.0000 | | 2 | 400.0000 | 64.0000 | | 3 | 100.0000 | 22.0000 | | 4 | 500.0000 | 100.0000 | +----+----------+----------+ These tables describe equivalent weights and volumes of a substance. E.g. 10 fluid ounces of substance 1 weighs 75 grams. The IDs are related: ID 1 in Measures1 is the same substance as ID 1 in Measures2. What I want to do is fill in the NULL volumes in Measures1 using the information in Measures2, but keeping the weights from Measures1 (then, ultimately, I can drop the Measures2 table, as it will be redundant). For the sake of simplicity, assume that all volumes in Measures1 are NULL and all volumes in Measures2 are not. I can compute the volumes I want to fill in with the following query: SELECT Measures1.ID, Measures1.Weight, (Measures2.Volume * (Measures1.Weight / Measures2.Weight)) AS DesiredVolume FROM Measures1 JOIN Measures2 ON Measures1.ID = Measures2.ID; Producing: +----+----------+-----------------+ | ID | Weight | DesiredVolume | +----+----------+-----------------+ | 4 | 325.0000 | 65.000000000000 | | 3 | 150.0000 | 33.000000000000 | | 2 | 200.0000 | 32.000000000000 | | 1 | 100.0000 | 13.333333333333 | +----+----------+-----------------+ But I am at a loss for how to actually insert these computed values into the Measures1 table. Preferably, I would like to be able to do it with a single query, rather than writing a script or stored procedure that iterates through every ID in Measures1. But even then I am worried that this might not be possible because the MySQL documentation says that you can't use a table in an UPDATE query and a SELECT subquery at the same time, and I think any solution would need to do that. I know that one workaround might be to create a new table with the results of the above query (also selecting all of the other non-Volume fields in Measures1) and then drop both tables and replace Measures1 with the newly-created table, but I was wondering if there was any better way to do it that I am missing.

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  • Is it possible to reference a linkbotton outside an update panel as the update trigger?

    - by Selase
    I have a page based on a master page and as such i can only see the content place holders i used in the master page showing up in the aspx pages based on the master page. the source code shown below: <%@ Page Title="" Language="C#" MasterPageFile="~/Site.Master" AutoEventWireup="true" CodeBehind="CaseAdmin.aspx.cs" Inherits="Prototype4.CaseAdmin" %> <%@PreviousPageType VirtualPath="~/Account/Login.aspx"%> <asp:Content ID="Content1" ContentPlaceHolderID="HeadContent" runat="server"> </asp:Content> <asp:Content ID="CaseRightNews" ContentPlaceHolderID="RightNewsItem" runat="server"> </asp:Content> <asp:Content ID="CaseLeftNav" ContentPlaceHolderID="LeftNavigation" runat="server"> <div style="margin-top:20px; margin-bottom:20px;"> <p class="actionButton"> <asp:LinkButton ID="OpenCaseLinkButton" runat="server" onclick="OpenCaseLinkButton_Click">Open Case</asp:LinkButton> </p> <p class="actionButton"><asp:LinkButton ID="RegisterExhibitLinkButton" runat="server" onclick="RegisterExhibitLinkButton_Click">Register Exhibit</asp:LinkButton> </p> </div> </asp:Content> <asp:Content ID="CaseMainContnt" ContentPlaceHolderID="MainContent" runat="server"> <asp:ScriptManager ID="ScriptManager" runat="server" /> <asp:UpdatePanel ID="CaseMainCntntUpdatePanel" UpdateMode="Conditional" runat="server"> <Triggers> <asp:AsyncPostBackTrigger ControlID="" eventname="Click"/> </Triggers> <ContentTemplate> <%--Some text here to inform user to click on the open case botton to display open case form--%> </ContentTemplate> </asp:UpdatePanel> <asp:UpdatePanel runat="server" id="UpdatePanel1" updatemode="Conditional"> <Triggers> <asp:AsyncPostBackTrigger ControlID="" eventname="Click"/> </Triggers> <ContentTemplate> <%--some text here to inform users to click on the add exhibit botton to display add exhibit form--%> </ContentTemplate> </asp:UpdatePanel> </asp:Content> the section of the entire page i wish to change upon update is the (this is the main content of the page). for this reason i placed the updatepanel inside the content place holder since it cant be sitting outside and not wrapped in a content place holder. However, the buttons that i wish to apply the trigger that fires the update to, are in another content place holder(). How can i possibly get those buttons to act as the trigger while changing only what appears in the main content area. Plus, i tried getting the updatepanel to work just so i could see if it does the update well but it turned out really bad. i added some linkbottons in the content template area and used them as the triggers for testing reasons. i tested and the changes took over the entire page in contrast to just appearing in the content area. I actually just wanted to load a form that is created in another asp. page into the main content area... I seriously need help with this... Every little help, detail and information is dearly appreciated... thanks so much in advance

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  • Cache layer for MVC - Model or controller?

    - by Industrial
    Hi everyone, I am having some second thoughts about where to implement the caching part. Where is the most appropriate place to implement it, you think? Inside every model, or in the controller? Approach 1 (psuedo-code): // mycontroller.php MyController extends Controller_class { function index () { $data = $this->model->getData(); echo $data; } } // myModel.php MyModel extends Model_Class{ function getData() { $data = memcached->get('data'); if (!$data) { $query->SQL_QUERY("Do query!"); } return $data; } } Approach 2: // mycontroller.php MyController extends Controller_class { function index () { $dataArray = $this->memcached->getMulti('data','data2'); foreach ($dataArray as $key) { if (!$key) { $data = $this->model->getData(); $this->memcached->set($key, $data); } } echo $data; } } // myModel.php MyModel extends Model_Class{ function getData() { $query->SQL_QUERY("Do query!"); return $data; } } Thoughts: Approach 1: No multiget/multi-set. If a high number of keys would be returned, overhead would be caused. Easier to maintain, all database/cache handling is in each model Approach 2: Better performancewise - multiset/multiget is used More code required Harder to maintain Tell me what you think!

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  • Incorrect syntax inserting data into table

    - by SelectDistinct
    I am having some trouble with my update() method. The idea is that the user Provides a recipe name, ingredients, instructions and then selects an image using Filestream. Once the user clicks 'Add Recipe' this will call the update method, however as things stand I am getting an error which is mentioning the contents of the text box: Here is the update() method code: private void updatedata() { // filesteam object to read the image // full length of image to a byte array try { // try to see if the image has a valid path if (imagename != "") { FileStream fs; fs = new FileStream(@imagename, FileMode.Open, FileAccess.Read); // a byte array to read the image byte[] picbyte = new byte[fs.Length]; fs.Read(picbyte, 0, System.Convert.ToInt32(fs.Length)); fs.Close(); //open the database using odp.net and insert the lines string connstr = @"Server=mypcname\SQLEXPRESS;Database=RecipeOrganiser;Trusted_Connection=True"; SqlConnection conn = new SqlConnection(connstr); conn.Open(); string query; query = "insert into Recipes(RecipeName,RecipeImage,RecipeIngredients,RecipeInstructions) values (" + textBox1.Text + "," + " @pic" + "," + textBox2.Text + "," + textBox3.Text + ")"; SqlParameter picparameter = new SqlParameter(); picparameter.SqlDbType = SqlDbType.Image; picparameter.ParameterName = "pic"; picparameter.Value = picbyte; SqlCommand cmd = new SqlCommand(query, conn); cmd.Parameters.Add(picparameter); cmd.ExecuteNonQuery(); MessageBox.Show("Image successfully saved"); cmd.Dispose(); conn.Close(); conn.Dispose(); Connection(); } } catch (Exception ex) { MessageBox.Show(ex.Message); } } Can anyone see where I have gone wrong with the insert into Recipes query or suggest an alternative approach to this part of the code?

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