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  • Can you authenticate into SSAS with AD LDS (ADAM) accounts?

    - by Jaxidian
    I'm very new to AD LDS and experienced but not qualified with SSAS, so my apologies for my ignorances with these. We have a couple implementations where we expose SSAS via an HTTPS proxy (msmdpump.dll) and currently we have a temporary domain setup handling this (where our end-users have a second account+creds to manage because of this = non-ideal). I want to move us towards a more permanent solution which I'm thinking of moving all authentication to AD LDS for our web apps, SSAS, and others. However, SSAS is where I'm concerned about this. I know SSAS requires Windows Authentication and to play nicely, and that this ultimately means Active Directory will be involved. Is there a way to get this done with AD LDS instead of having to use a full AD DS implementation? If so, how?

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  • How to avoid using duplicate savepoint names in nested transactions in nested stored procs?

    - by Gary McGill
    I have a pattern that I almost always follow, where if I need to wrap up an operation in a transaction, I do this: BEGIN TRANSACTION SAVE TRANSACTION TX -- Stuff IF @error <> 0 ROLLBACK TRANSACTION TX COMMIT TRANSACTION That's served me well enough in the past, but after years of using this pattern (and copy-pasting the above code), I've suddenly discovered a flaw which comes as a complete shock. Quite often, I'll have a stored procedure calling other stored procedures, all of which use this same pattern. What I've discovered (to my cost) is that because I'm using the same savepoint name everywhere, I can get into a situation where my outer transaction is partially committed - precisely the opposite of the atomicity that I'm trying to achieve. I've put together an example that exhibits the problem. This is a single batch (no nested stored procs), and so it looks a little odd in that you probably wouldn't use the same savepoint name twice in the same batch, but my real-world scenario would be too confusing to post. CREATE TABLE Test (test INTEGER NOT NULL) BEGIN TRAN SAVE TRAN TX BEGIN TRAN SAVE TRAN TX INSERT INTO Test(test) VALUES (1) COMMIT TRAN TX BEGIN TRAN SAVE TRAN TX INSERT INTO Test(test) VALUES (2) COMMIT TRAN TX DELETE FROM Test ROLLBACK TRAN TX COMMIT TRAN TX SELECT * FROM Test DROP TABLE Test When I execute this, it lists one record, with value "1". In other words, even though I rolled back my outer transaction, a record was added to the table. What's happening is that the ROLLBACK TRANSACTION TX at the outer level is rolling back as far as the last SAVE TRANSACTION TX at the inner level. Now that I write this all out, I can see the logic behind it: the server is looking back through the log file, treating it as a linear stream of transactions; it doesn't understand the nesting/hierarchy implied by either the nesting of the transactions (or, in my real-world scenario, by the calls to other stored procedures). So, clearly, I need to start using unique savepoint names instead of blindly using "TX" everywhere. But - and this is where I finally get to the point - is there a way to do this in a copy-pastable way so that I can still use the same code everywhere? Can I auto-generate the savepoint name on the fly somehow? Is there a convention or best-practice for doing this sort of thing? It's not exactly hard to come up with a unique name every time you start a transaction (could base it off the SP name, or somesuch), but I do worry that eventually there would be a conflict - and you wouldn't know about it because rather than causing an error it just silently destroys your data... :-(

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  • how to localize a table with multiple text entries?

    - by rap-uvic
    Hello, I'm writing a web app which will allow creation of events. An event can have a title as well as a description amongst other things. The app needs to be multilingual. So I have 4 tables for localization: ResourceTypes, ResourceKeys, Resources, and Locales. A resource key can have multiple values in Resources table for different locales. So Resources is a many to many table between ResourceKeys and Locales. So in the event table I want to have a resourceKey for its title as well as a resourceKey for its description. So my question is, is it OK from database-design perspective to have two foreign keys from a table into another table? Has anybody used a better approach in such a scenario?

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  • Firing trigger for bulk insert

    - by Deepa
    ALTER TRIGGER [dbo].[TR_O_SALESMAN_INS] ON [dbo].[O_SALESMAN] AFTER INSERT AS BEGIN -- SET NOCOUNT ON added to prevent extra result sets from -- interfering with SELECT statements. SET NOCOUNT ON; -- Insert statements for trigger here DECLARE @SLSMAN_CD NVARCHAR(20) DECLARE @SLSMAN_NAME NVARCHAR(20) SELECT @SLSMAN_CD = SLSMAN_CD,@SLSMAN_NAME=SLSMAN_NAME FROM INSERTED IF NOT EXISTS(SELECT * FROM O_SALESMAN_USER WHERE SLSMAN_CD = @SLSMAN_CD) BEGIN INSERT INTO O_SALESMAN_USER(SLSMAN_CD, PASSWORD, USER_CD) VALUES(@SLSMAN_CD, @SLSMAN_CD,@SLSMAN_NAME ) END END This is the trigger written for a table(O_SALESMAN) to fetch few columns from it and insert it into one another table(O_SALESMAN_USER). Presently bulk data is getting inserted into O_SALESMAN table through a stored procedure, where as the trigger is getting fired only once and O_SALESMAN_USER is having only one record inserted each time whenever the stored procedure is being executed,i want trigger to run after each and every record that gets inserted into O_SALESMAN such that both tables should have same count which is not happening..so please let me know what can be modified in this Trigger to achieve the same....

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  • Database performance benchmark

    - by pablo
    Any good articles out there comparing Oracle vs SQL Server vs MySql in terms of performance? I'd like to know things like: INSERT performance SELECT performance Scalability under heavy load Based on some real examples in order to gain a better understanding about the different RDBMS.

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  • How to bulk insert from CSV when some fields have new line character?

    - by z-boss
    I have a CSV dump from another DB that looks like this (id, name, notes): 1001,John Smith,15 Main Street 1002,Jane Smith,"2010 Rockliffe Dr. Pleasantville, IL USA" 1003,Bill Karr,2820 West Ave. The last field may contain carriage returns and commas, in which case it is surrounded by double quotes. I use this code to import CSV into my table: BULK INSERT CSVTest FROM 'c:\csvfile.csv' WITH ( FIELDTERMINATOR = ',', ROWTERMINATOR = '\n' ) SQL Server 2005 bulk insert cannot figure out that carriage returns inside quotes are not row terminators. How to overcome?

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  • How to update primary key

    - by slave016
    Here is my problem: I have 2 tables: 1.WORKER, with coloumns |ID|OTHER_STAF| , where ID is primary key, and 2.FIRM, with coloumns |FPK|ID|SOMETHING_ELSE| , where combination FPK and ID make primary key, and also ID is a foreign key referenced to WORKER.ID (not null, and must have same value as in WORKER). I want to make stored procedure UPDATE_ID_WORKER, where I would like to change the value of specific ID in WORKER, and also in all instances of specific value of ID in FIRM. stored procedure: ........ @id .. ???? ........ Thanks for every advice...

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  • Can you create a trigger on a field within a table?

    - by chris
    Is it possible to create a trigger on a field within a table being updated? So if I have: TableA Field1 Field2 .... I want to update a certain value when Field1 is changed. In this instance, I want to update Field2 when Field1 is updated, but don't want to have that change cause another trigger invocation, etc...

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  • MDX Filter a dimention with another dimension

    - by John Hartsock
    To all excuse my ignorance, but im new to MDX below is the query im trying to run SELECT NON EMPTY { [Measures].[Task Burn Down] } ON COLUMNS, NON EMPTY { ([Calendar].[Date].[Date].ALLMEMBERS * [Priority].[Priority Code].[Priority Code].ALLMEMBERS ) } DIMENSION PROPERTIES MEMBER_CAPTION, MEMBER_UNIQUE_NAME ON ROWS FROM ( SELECT ( { Filter([Calendar].[Date].AllMembers, [Calendar].[Date].CurrentMember <= [Sprint].[Sprint].CurrentMember.Properties("Stop Date")) } ) ON COLUMNS FROM ( SELECT ( { [Sprint].[Sprint].AllMembers } ) ON COLUMNS FROM ( SELECT ( { [Team].[Team].AllMembers } ) ON COLUMNS FROM [Backlog2] ) ) ) WHERE ( [Team].[Team].&[27], [Sprint].[Sprint].&[9] ) CELL PROPERTIES VALUE, BACK_COLOR, FORE_COLOR, FORMATTED_VALUE, FORMAT_STRING, FONT_NAME, FONT_SIZE, FONT_FLAGS When I run this I expect to get 1 value for [Measures].[Task Burn Down] for each day of the month. But I only want one month. My Sprint dimension has a stop date and I do not want to return any values after the stop date. What am I doing wrong?

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  • How do I define a Calculated Measure in MDX based on a Dimension Attribute?

    - by ShaneD
    I would like to create a calculated measure that sums up only a specific subset of records in my fact table based on a dimension attribute. Given: Dimension Date LedgerLineItem {Charge, Payment, Write-Off, Copay, Credit} Measures LedgerAmount Relationships * LedgerLineItem is a degenerate dimension of FactLedger If I break down LedgerAmount by LedgerLineItem.Type I can easily see how much is charged, paid, credit, etc, but when I do not break it down by LedgerLineItem.Type I cannot easily add the credit, paid, credit, etc into a pivot table. I would like to create separate calculated measures that sum only specific type (or multiple types) of ledger facts. An example of the desired output would be: | Year | Charged | Total Paid | Amount - Ledger | | 2008 | $1000 | $600 | -$400 | | 2009 | $2000 | $1500 | -$500 | | Total | $3000 | $2100 | -$900 | I have tried to create the calculated measure a couple of ways and each one works in some circumstances but not in others. Now before anyone says do this in ETL, I have already done it in ETL and it works just fine. What I am trying to do as part of learning to understand MDX better is to figure out how to duplicate what I have done in the ETL in MDX as so far I am unable to do that. Here are two attempts I have made and the problems with them. This works only when ledger type is in the pivot table. It returns the correct amount of the ledger entries (although in this case it is identical to [amount - ledger] but when I try to remove type and just get the sum of all ledger entries it returns unknown. CASE WHEN ([Ledger].[Type].currentMember = [Ledger].[Type].&[Credit]) OR ([Ledger].[Type].currentMember = [Ledger].[Type].&[Paid]) OR ([Ledger].[Type].currentMember = [Ledger].[Type].&[Held Money: Copay]) THEN [Measures].[Amount - ledger] ELSE 0 END This works only when ledger type is not in the pivot table. It always returns the total payment amount, which is incorrect when I am slicing by type as I would only expect to see the credit portion under credit, the paid portion, under paid, $0 under charge, etc. sum({([Ledger].[Type].&[Credit]), ([Ledger].[Type].&[Paid]), ([Ledger].[Type].&[Held Money: Copay])}, [Measures].[Amount - ledger]) Is there any way to make this return the correct numbers regardless of whether Ledger.Type is included in my pivot table or not?

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  • Table Valued UDF vs Views

    - by vaibhav
    I have never used UDF in sql server. Today I got to know that we can have functions which can return a table. So I just wanted to know can I use functions in place of views. If yes, which one is the better choice and why

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  • Computed column should result to string

    - by strakastroukas
    Here is a snap of my database. Both col1 and col2 are declared as int. My ComputedColumn currently adds the Columns 1 and 2, as follows... col1 col2 ComputedColumn 1 2 3 4 1 5 Instead of this, my ComputedColumn should join the columns 1 and 2 (includimg the '-' character in the middle) as follows... col1 col2 ComputedColumn 1 2 1-2 4 1 4-1 So, what is the correct syntax?

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  • Refreshing metadata on user functions t-SQL

    - by luckyluke
    I am doing some T-SQL programming and I have some Views defines on my database. The data model is still changing these days and I have some table functions defined. Sometimes i deliberately use select * from MYVIEW in such a table function to return all columns. If the view changes (or table) the function crashes and I need to recompile it. I know it is in general good thing so that it prevents from hell lotta errors but still... Is there a way to write such functions so the dont' blow up in my face everytime I change something on the underlying table? Or maybe I am doing something completely wrong... Thanks for help

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  • Data warehousing in sql server 2008

    - by 3bd
    Hi All: I am new to data warehousing and I am a little confused plz provide some simple steps to create a cube and fill it and make querey on it to know : I have a database with the original data and I have designed the star schema and made appropriate tables I have created an analysis service project in VS 2008 and then I have made the data source -data source view-dimensions - and the cube all that based on the star schema i have created previously now: what should I do to: fill this cube make query on this cube

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  • SQLBrowser will not start

    - by Oliver
    SQL Server 2005 x64 on Windows Server 2003 x64, with multiple instances (default + 2 named). Engineers moved server to a different domain. Since then, cannot get SQLBrowser to start. Still able to query the default instance, and can access named instances by port (TCP:hostname,port#). When on server, can use SSMS to connect to the instances, all is well from that perspective. No errors in the SQL Server logs. As SQLBrowser is starting, an entry in EventViewer.Application says that one of the named instances has an invalid configuration, but I haven't been able to figure out what is invalid. Startup continues, and next message says "The SQLBrowser service was unable to establish SQL instance and connectivity discovery." Next, it enables instance and connectivity discovery support; next, another message about that same named instance having an invalid configuration; then an event says that SQLBrowser has started; last, an event shows the SQLBrowser service has shutdown. I got SQLBrowser to get past the issue with the first named instance by temporarily renaming a registry entry, and now the second named instance can be accessed by name rather than port. Still, cannot access the first named instance by name. Advice?

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  • How to find date ranges in records with consecutive dates and duplicate data

    - by alan s
    There's probably any easy solution for this, but I can't see it. I have a table with consecutive dates and often duplicate associated data for several of these consecutive dates: Date Col1 Col2 5/13/2010 1 A 5/14/2010 1 A 5/15/2010 2 B 5/16/2010 1 A 5/17/2010 1 A 5/18/2010 3 C 5/19/2010 3 C 5/20/2010 3 C Using MS T-SQL, I wish to find the start and end dates for each run of distinct Col1 and Col2 values: StartDate EndDate Col1 Col2 5/13/2010 5/14/2010 1 A 5/15/2010 5/15/2010 2 B 5/16/2010 5/17/2010 1 A 5/18/2010 5/20/2010 3 C Assumptions: There are never any missing dates. Col1 and Col2 are not null. Any ideas - preferably that don't use cursors? Many thanks, -alan

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  • Best Ruby ORM for Wrapping around Legacy MSSQL Database?

    - by Technocrat
    Hi. I found this answer and it sounds like almost exactly what I'm doing. I have heard mixed answers about whether or not datamapper can support mssql through dataobjects. Basically, we have an app that uses a consistently structured database, consistently named tables, etc in MSSQL. We're making all kinds of tools and stuff that have to interact with it, some of them remotely and so I decided that we need to create some common, simple access point to do read/write operations on the MSSQL app since it's API is all C# and other things I despise. Now my question is if anyone has any examples or projects they know of where a ruby ORM can essentially create models for another application's legacy database by defining the conventions of each model's pkeys, fkeys, table names, etc. Sequel is the only ORM I've used with MSSQL but never to do anything quite like this. Any suggestions?

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  • Conditional Update stored proc is firing a trigger always

    - by schar
    I have a stored procedure that says update table1 set value1 = 1 where value1 = 0 and date < getdate() I have a trigger that goes like CREATE TRIGGER NAME ON TABLENAME FOR UPDATE ... if UPDATE(value1) BEGIN --Some code to figure out that this trigger has been called -- the value is always null END Any idea why this trigger is called even when the stored procedure does not update any values?

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