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  • find and replace app for ms word

    - by kittensatplay
    i program in python. i want to know if a program in python will work for ms word since ms word is not open source. the program basically changes words like ms word already does BUT it changes words based of off a list you write, which from what i know ms word doesnt do. if it does, just let me know. if there is a related program that is needed for a program in python or any language to work with a closed source software, jsut let me know.b also you can link to a phython specific place to ask phython related question if you know of one since im going to have a lot more in the future

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  • How to exclude rows where matching join is in an SQL tree

    - by Greg K
    Sorry for the poor title, I couldn't think how to concisely describe this problem. I have a set of items that should have a 1-to-1 relationship with an attribute. I have a query to return those rows where the data is wrong and this relationship has been broken (1-to-many). I'm gathering these rows to fix them and restore this 1-to-1 relationship. This is a theoretical simplification of my actual problem but I'll post example table schema here as it was requested. item table: +------------+------------+-----------+ | item_id | name | attr_id | +------------+------------+-----------+ | 1 | BMW 320d | 20 | | 1 | BMW 320d | 21 | | 2 | BMW 335i | 23 | | 2 | BMW 335i | 34 | +------------+------------+-----------+ attribute table: +---------+-----------------+------------+ | attr_id | value | parent_id | +---------+-----------------+------------+ | 20 | SE | 21 | | 21 | M Sport | 0 | | 23 | AC | 24 | | 24 | Climate control | 0 | .... | 34 | Leather seats | 0 | +---------+-----------------+------------+ A simple query to return items with more than one attribute. SELECT item_id, COUNT(DISTINCT(attr_id)) AS attributes FROM item GROUP BY item_id HAVING attributes > 1 This gets me a result set like so: +-----------+------------+ | item_id | attributes | +-----------+------------+ | 1 | 2 | | 2 | 2 | | 3 | 2 | -- etc. -- However, there's an exception. The attribute table can hold a tree structure, via parent links in the table. For certain rows, parent_id can hold the ID of another attribute. There's only one level to this tree. Example: +---------+-----------------+------------+ | attr_id | value | parent_id | +---------+-----------------+------------+ | 20 | SE | 21 | | 21 | M Sport | 0 | .... I do not want to retrieve items in my original query where, for a pair of associated attributes, they related like attributes 20 & 21. I do want to retrieve items where: the attributes have no parent for two or more attributes they are not related (e.g. attributes 23 & 34) Example result desired, just the item ID: +------------+ | item_id | +------------+ | 2 | +------------+ How can I join against attributes from items and exclude these rows? Do I use a temporary table or can I achieve this from a single query? Thanks.

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  • How should I manage/declare dependencies between open source C# projects?

    - by munificent
    I've got a game (a roguelike to be specific) in C# that I'm in the process of cleaning up to open source. One step I'd like to take is splitting it into three distinct pieces: A simple package of utility classes, things like 2D arrays, vectors, etc. A terminal UI package that gives you a curses-like display. It depends on 1. The actual game, which uses 1 and 2. Right now, these are all separate projects in the same solution, but I'd kind of like to make them completely separate projects (in the "open source project" sense, not the "visual studio project" use of the term) with their own names and repos. I think, at the very least, #1 is generally useful even if you aren't building game, and I don't want someone to have to build an entire game just to get some handy functions. What I'm not sure about is how to handle the dependencies if I split up the solution. If someone decides they want to sync the game, how should I ensure they also get 1 and 2? Include the built dependent .dlls in the games repo? Just document, "you need these other projects and they must be in a path relative to the game like this". Just leave it all one giant solution and a single repo. Something I'm not thinking of?

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  • Is adding in the header the license type enough to say: "my code is licensed"?

    - by silverfox
    I read on various sites about licenses. I did just put the license type in the header file (in my case a javascript file, open-source): /* * "codeName" "version" * http://officialsite.com/ * * Copyright 2012 "codeName" * Released under the "LICENSE NAME" license * http://officialsite.com/LICENSE NAME */ javascript code ... In the same folder I leave a copy of the license. The listing of the folder looks like this: * codeName.js * LICENSE In the file LICENSE is the full text of the license my code uses. What I cannot find anywhere that says is this is enough to say my code is licensed (the case of open-source). Is something more required?

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  • Converting rows to Columns in SQL

    - by Ram
    I have a table (actually a view, but simplified my example to a table) which gives me some data like this id CompanyName website 1 Google google.com 2 Google google.net 3 Google google.org 4 Google google.in 5 Google google.de 6 Microsoft Microsoft.com 7 Microsoft live.com 8 Microsoft bing.com 9 Microsoft hotmail.com I am looking to convert it to get a result like this CompanyName website1 website2 website3 website 4 website5 website6 ----------- ------------- ---------- ---------- ----------- --------- -------- Google google.com google.net google.org google.in google.de NULL Microsoft Microsoft.com live.com bing.com hotmail.com NULL NULL I have looked into pivot but looks like the record(row values) cannot be dynamic (i.e can only be certain predefined values). Also, if there are more than 6 websites, I want to limit it to the first 6 Dynamic pivot makes sense, but I would have to incorporate it into my view ?? Is there a simpler solution for this ? Here are the SQL scripts CREATE TABLE [dbo].[Company]( [id] [int] NULL, [CompanyName] [varchar](50) NULL, [website] [varchar](50) NULL ) ON [PRIMARY] GO insert into company values (1,'Google','google.com') insert into company values (2,'Google','google.net') insert into company values (3,'Google','google.org') insert into company values (4,'Google','google.in') insert into company values (5,'Google','google.de') insert into company values (6,'Microsoft','Microsoft.com') insert into company values (7,'Microsoft','live.com') insert into company values (8,'Microsoft','bing.com') insert into company values (9,'Microsoft','hotmail.com')

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  • Sql Server Replication: Snapshot vs Merge

    - by Zyphrax
    Background information Let's say I have two database servers, both SQL Server 2008. One is in my LAN (ServerLocal), the other one is on a remote hosting environment (ServerRemote). I have created a database on ServerLocal and have an exact copy of that database on ServerRemote. The database on ServerRemote is part of a web application and I would like to keep it's data up-to-date with the data in the database ServerLocal. ServerLocal is able to communicate with ServerRemote, this is one-way traffic. Communication from ServerRemote to ServerLocal isn't available. Current solution I thought it would be a nice solution to use replication. So I've made ServerLocal a publisher and subscriptions are pushed to the ServerRemote. This works fine, when a snapshot is transfered to ServerRemote the existing data will be purged and the ServerRemote database is once again an exact replica of the database on ServerLocal. The problem Records that exist on ServerRemote that don't exist on ServerLocal are removed. This doesn't matter for most of my tables but in some of my tables I'd like to keep the existing data (aspnet_users for instance), and update the records if necessary. What kind of replication fits my problem?

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  • LINQ-to-SQL - Join, Count

    - by ile
    I have following query: var result = ( from role in db.Roles join user in db.Users on role.RoleID equals user.RoleID where user.CreatedByUserID == userID orderby user.FirstName ascending select new UserViewModel { UserID = user.UserID, PhotoID = user.PhotoID.ToString(), FirstName = user.FirstName, LastName = user.LastName, FullName = user.FirstName + " " + user.LastName, Email = user.Email, PhoneNumber = user.Phone, AccessLevel = role.Name }); Now, I need to modify this query... Other table I have is table Deals. I would like to count how many deals user created last month and last year. I tried something like this: var result = ( from role in db.Roles join user in db.Users on role.RoleID equals user.RoleID //join dealsYear in db.Deals on date.Year equals dealsYear.DateCreated.Year join dealsYear in ( from deal in db.Deals group deal by deal.DateCreated into d select new { DateCreated = d.Key, dealsCount = d.Count() } ) on date.Year equals dealsYear.DateCreated.Year into dYear join dealsMonth in ( from deal in db.Deals group deal by deal.DateCreated into d select new { DateCreated = d.Key, dealsCount = d.Count() } ) on date.Month equals dealsMonth.DateCreated.Month into dMonth where user.CreatedByUserID == userID orderby user.FirstName ascending select new UserViewModel { UserID = user.UserID, PhotoID = user.PhotoID.ToString(), FirstName = user.FirstName, LastName = user.LastName, FullName = user.FirstName + " " + user.LastName, Email = user.Email, PhoneNumber = user.Phone, AccessLevel = role.Name, DealsThisYear = dYear, DealsThisMonth = dMonth }); but here is even syntax not correct. Any idea? Btw, is there any good book of LINQ to SQL with examples?

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  • Best Method For High Data Availability for SQL Server

    - by omatase
    I have a web service that runs 24/7. Periodically it needs to refresh its database with data from another web service. There is a lot of data. It's tens of thousands of rows. (no, I don't mean this is a lot of data for SQL Server, just trying to point out that I expect it to take some time to come down the pipe from the other web service) The data refresh can take between 5 and 10 minutes. The actual data update portion of that is between 1 and 2 minutes. This means the service would be down for all intents and purposes when consumers would be requesting this type of data. I would like to implement a system where data is always available. The only thing that comes to mind is some type of system where I maintain two separate databases. I populate the inactive one, swapping it to active before populating the other one. I'm not sure I know the best way to do this. My current ideas just revolve around two sets of the schema in a single database (using views to access the active set) or two databases each with the same schema. The application would rotate between the two databases. Any suggestions from someone who has done something like this before?

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  • Which isolation level should I use for the following insert-if-not-present transaction?

    - by Steve Guidi
    I've written a linq-to-sql program that essentially performs an ETL task, and I've noticed many places where parallelization will improve its performance. However, I'm concerned about preventing uniquness constraint violations when two threads perform the following task (psuedo code). Record CreateRecord(string recordText) { using (MyDataContext database = GetDatabase()) { Record existingRecord = database.MyTable.FirstOrDefault(record.KeyPredicate()); if(existingRecord == null) { existingRecord = CreateRecord(recordText); database.MyTable.InsertOnSubmit(existingRecord); } database.SubmitChanges(); return existingRecord; } } In general, this code executes a SELECT statement to test for record existance, followed by an INSERT statement if the record doesn't exist. It is encapsulated by an implicit transaction. When two threads run this code for the same instance of recordText, I want to prevent them from simultaneously determining that the record doesn't exist, thereby both attempting to create the same record. An isolation level and explicit transaction will work well, except I'm not certain which isolation level I should use -- Serializable should work, but seems too strict. Is there a better choice?

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  • Get dragged / saved items state back from Sql Server

    - by user571507
    Ok i saw many post's on how to serialize the value of dragged items to get hash and they tell how to save them. Now the question is how do i persist the dragged items the next time when user log's in using the has value that i got eg: <ul class="list"> <li id="id_1"> <div class="item ui-corner-all ui-widget ui-widget-content"> </div> </li> <li id="id_2"> <div class="item ui-corner-all ui-widget ui-widget-content"> </div> </li> <li id="id_3"> <div class="item ui-corner-all ui-widget ui-widget-content"> </div> </li> <li id="id_4"> <div class="item ui-corner-all ui-widget"> </div> </li> </ul> which on serialize will give "id[]=1&id[]=2&id[]=3&id[]=4" Now think that i saved it to Sql server database in a single field called SortOrder. Now how do i get the items to these order again ? the code to make these sort is below,without which people didn't know which library i had used to sort and serialize <script type="text/javascript"> $(document).ready(function() { $(".list li").css("cursor", "move"); $(".list").sortable(); }); </script>

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  • Sql Server 2005 multiple insert with c#

    - by bottlenecked
    Hello. I have a class named Entry declared like this: class Entry{ string Id {get;set;} string Name {get;set;} } and then a method that will accept multiple such Entry objects for insertion into the database using ADO.NET: static void InsertEntries(IEnumerable<Entry> entries){ //build a SqlCommand object using(SqlCommand cmd = new SqlCommand()){ ... const string refcmdText = "INSERT INTO Entries (id, name) VALUES (@id{0},@name{0});"; int count = 0; string query = string.Empty; //build a large query foreach(var entry in entries){ query += string.Format(refcmdText, count); cmd.Parameters.AddWithValue(string.Format("@id{0}",count), entry.Id); cmd.Parameters.AddWithValue(string.Format("@name{0}",count), entry.Name); count++; } cmd.CommandText=query; //and then execute the command ... } } And my question is this: should I keep using the above way of sending multiple insert statements (build a giant string of insert statements and their parameters and send it over the network), or should I keep an open connection and send a single insert statement for each Entry like this: using(SqlCommand cmd = new SqlCommand(){ using(SqlConnection conn = new SqlConnection(){ //assign connection string and open connection ... cmd.Connection = conn; foreach(var entry in entries){ cmd.CommandText= "INSERT INTO Entries (id, name) VALUES (@id,@name);"; cmd.Parameters.AddWithValue("@id", entry.Id); cmd.Parameters.AddWithValue("@name", entry.Name); cmd.ExecuteNonQuery(); } } } What do you think? Will there be a performance difference in the Sql Server between the two? Are there any other consequences I should be aware of? Thank you for your time!

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  • How to write automated tests for SQL queries?

    - by James
    The current system we are adopting at work is to write some extremely complex queries which perform multiple calculations and have multiple joins / sub-queries. I don't think I am experienced enough to say if this is correct or not so I am agreeing and attempting to function with this system as it has clear benefits. The problem we are having at the moment is that the person writing the queries makes a lot of mistakes and assumes everything is correct. We have now assigned a tester to analyse all of the queries but this still proves extremely time consuming and stressful. I would like to know how we could create an automated procedure (without specifically writing it with code if possible as I can work out how to do that the long way) to verify a set of 10+ different inputs, verify the output data and say if the calculations are correct. I know I could write a script using specific data in the database and create a script using c# (the db is SQL Server) and verify all the values coming out but I would like to know what the official "standard" is as my experience is lacking in this area and I would like to improve. I am happy to add more information if required, add a comment if necessary. Thank you. Edit: I am using c#

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  • sql server - framework 4 - IIS 7 weird sort from db to page

    - by ila
    I am experiencing a strange behavior when reading a resultset from database in a calling method. The sort of the rows is different from what the database should return. My farm: - database server: sql server 2008 on a WinServer 2008 64 bit - web server: a couple of load balanced WinServer 2008 64 bit running IIS 7 The application runs on a v4.0 app pool, set to enable 32bit applications Here's a description of the problem: - a stored procedure is called, that returns a resultset sorted on a particular column - I can see thru profiler the call to the SP, if I run the statement I see correct sorting - the calling page gets the results, and before any further elaboration logs the rows immediately after the SP execution - the results are in a completely different order (I cannot even understand if they are sorted in any way) Some details on the Stored Procedure: - it is called by code using a SqlDatAdapter - it has also an output value (a count of the rows) that is read correctly - which sort field is to be used is passed as a parameter - makes use of temp tables to collect data and perform the desired sort Any idea on what I could check? Same code and same database work correctly in a test environment, 32 bit and not load balanced.

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  • SQL with HAVING and temp table not working in Rails

    - by chrisrbailey
    I can't get the following SQL query to work quite right in Rails. It runs, but it fails to do the "HAVING row_number = 1" part, so I'm getting all the records, instead of just the first record from each group. A quick description of the query: it is finding hotel deals with various criteria, and in particular, priortizing them being paid, and then picking the one with the highest dealrank. So, if there are paid deal(s), it'll take the highest one of those (by dealrank) first, if no paid deals, it takes the highest dealrank unpaid deal for each hotel. Using MAX(dealrank) or something similar does not work as a way to pick off the first row of each hotel group, which is why I have the enclosing temptable and the creation of the row_number column. Here's the query: SELECT *, @num := if(@hid = hotel_id, @num + 1, 1) as row_number, @hid := hotel_id as dummy FROM ( SELECT hotel_deals.*, affiliates.cpc, (CASE when affiliates.cpc 0 then 1 else 0 end) AS paid FROM hotel_deals INNER JOIN hotels ON hotels.id = hotel_deals.hotel_id LEFT OUTER JOIN affiliates ON affiliates.id = hotel_deals.affiliate_id WHERE ((hotel_deals.percent_savings = 0) AND (hotel_deals.booking_deadline = ?)) GROUP BY hotel_deals.hotel_id, paid DESC, hotel_deals.dealrank ASC) temptable HAVING row_number = 1 I'm currently using Rails' find_by_sql to do this, although I've also tried putting it into a regular find using the :select, :from, and :having parts (but :having won't get used unless you have a :group as well). If there is a different way to write this query, that'd be good to know too. I am using Rails 2.3.5, MySQL 5.0.x.

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  • Best practice for managing changes to 3rd party open source libraries?

    - by Jeff Knecht
    On a recent project, I had to modify an open source library to address a functional deficiency. I followed the SVN best practice of creating a "vendor source" repository and made my changes there. I also submitted the patch to the mailing list of that project. Unfortunately, the project only has a couple of maintainers and they are very slow to commit updates. At some point, I expect the library to be updated, and I expect that my project will want to use the upgraded library. But now I have a potential problem... I don't know whether my patch will have been applied to this future release of the 3rd party library. I also don't know whether my patch will even still be compatible with the internal implementation of the upgraded components. And in all likelihood, someone else will be maintaining my project by that point. Should I name the library in a special way so it is clear that we made special modifications (eg. commons-lang-2.x-for-my-project.jar)? Should I just document the patch and reference the SVN location and a link to the mailing list item in a README? No option that I can think of seems to be fool-proof in an upgrade scenario. What is the best practice for this?

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  • SQL Server 2008 Stored Proc suddenly returns -1

    - by aaginor
    I use the following stored procedure from my SQL Server 2008 database to return a value to my C#-Program ALTER PROCEDURE [dbo].[getArticleBelongsToCatsCount] @id int AS BEGIN SET NOCOUNT ON; DECLARE @result int; set @result = (SELECT COUNT(*) FROM art_in_cat WHERE child_id = @id); return @result; END I use a SQLCommand-Object to call this Stored Procedure public int ExecuteNonQuery() { try { return _command.ExecuteNonQuery(); } catch (Exception e) { Logger.instance.ErrorRoutine(e, "Text: " + _command.CommandText); return -1; } } Till recently, everything works fine. All of a sudden, the stored procedure returned -1. At first, I suspected, that the ExecuteNonQuery-Command would have caused and Exception, but when stepping through the function, it shows that no Exception is thrown and the return value comes directly from return _command.ExecuteNonQuery(); I checked following parameters and they were as expected: - Connection object was set to the correct database with correct access values - the parameter for the SP was there and contained the right type, direction and value Then I checked the SP via SQLManager, I used the same value for the parameter like the one for which my C# brings -1 as result (btw. I checked some more parameter values in my C' program and they ALL returned -1) but in the manager, the SP returns the correct value. It looks like the call from my C# prog is somehow bugged, but as I don't get any error (it's just the -1 from the SP), I have no idea, where to look for a solution.

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  • convert SQL Server StoredPorcedure to MySql

    - by karthik
    I need to covert the following SP of SQL Server To MySql. I am new to MySql.. Help needed. CREATE PROC InsertGenerator (@tableName varchar(100)) as --Declare a cursor to retrieve column specific information --for the specified table DECLARE cursCol CURSOR FAST_FORWARD FOR SELECT column_name,data_type FROM information_schema.columns WHERE table_name = @tableName OPEN cursCol DECLARE @string nvarchar(3000) --for storing the first half --of INSERT statement DECLARE @stringData nvarchar(3000) --for storing the data --(VALUES) related statement DECLARE @dataType nvarchar(1000) --data types returned --for respective columns SET @string='INSERT '+@tableName+'(' SET @stringData='' DECLARE @colName nvarchar(50) FETCH NEXT FROM cursCol INTO @colName,@dataType IF @@fetch_status<>0 begin print 'Table '+@tableName+' not found, processing skipped.' close curscol deallocate curscol return END WHILE @@FETCH_STATUS=0 BEGIN IF @dataType in ('varchar','char','nchar','nvarchar') BEGIN SET @stringData=@stringData+'''''''''+ isnull('+@colName+','''')+'''''',''+' END ELSE if @dataType in ('text','ntext') --if the datatype --is text or something else BEGIN SET @stringData=@stringData+'''''''''+ isnull(cast('+@colName+' as varchar(2000)),'''')+'''''',''+' END ELSE IF @dataType = 'money' --because money doesn't get converted --from varchar implicitly BEGIN SET @stringData=@stringData+'''convert(money,''''''+ isnull(cast('+@colName+' as varchar(200)),''0.0000'')+''''''),''+' END ELSE IF @dataType='datetime' BEGIN SET @stringData=@stringData+'''convert(datetime,''''''+ isnull(cast('+@colName+' as varchar(200)),''0'')+''''''),''+' END ELSE IF @dataType='image' BEGIN SET @stringData=@stringData+'''''''''+ isnull(cast(convert(varbinary,'+@colName+') as varchar(6)),''0'')+'''''',''+' END ELSE --presuming the data type is int,bit,numeric,decimal BEGIN SET @stringData=@stringData+'''''''''+ isnull(cast('+@colName+' as varchar(200)),''0'')+'''''',''+' END SET @string=@string+@colName+',' FETCH NEXT FROM cursCol INTO @colName,@dataType END

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  • Output columns not in destination table?

    - by lance
    SUMMARY: I need to use an OUTPUT clause on an INSERT statement to return columns which don't exist on the table into which I'm inserting. If I can avoid it, I don't want to add columns to the table to which I'm inserting. DETAILS: My FinishedDocument table has only one column. This is the table into which I'm inserting. FinishedDocument -- DocumentID My Document table has two columns. This is the table from which I need to return data. Document -- DocumentID -- Description The following inserts one row into FinishedDocument. Its OUTPUT clause returns the DocumentID which was inserted. This works, but it doesn't give me the Description of the inserted document. INSERT INTO FinishedDocument OUTPUT INSERTED.DocumentID SELECT DocumentID FROM Document WHERE DocumentID = @DocumentID I need to return from the Document table both the DocumentID and the Description of the matching document from the INSERT. What syntax do I need to pull this off? I'm thinking it's possible only with the one INSERT statement, by tweaking the OUTPUT clause (in a way I clearly don't understand)? Is there a smarter way that doesn't resemble the path I'm going down here? EDIT: SQL Server 2005

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  • Any advices for improvement of skills?

    - by Qwertyu Wertyu
    I've been programming in Java for about 3 months. My current aim is to improve my qualifications in this language. I've read on some forum, that the best way is to take part in some open-source projects. But I have no idea, how to search for ones that corresponds to my current experience. My questions are: 1. Are there some advices on how can I improve my skills? 2. How can I find and join open-source projects that corresponds my experience?

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  • Need help/suggestions for creating fantasy sports scoring databases and queries

    - by MGumbel
    I'm trying to create a website for my friends and I to keep track of fantasy sports scoring. So far, I've been doing the calculations and storage in Excel, which is very tedious. I'm trying to make it more simplified and automated through a SQL database that I can then wrap a web app around to enter daily stat updates. It's premised on our participation in another commercial site where we trade virtual shares of athletes, and thus acquire an "ownership percentage" in each athlete. For instance, if there are 100 shares of AROD, and I own 10 shares, then I own 10%. It then applies this to traditional baseball rotisserie scoring. So, for instance, if AROD has 1 HR today, then his adjusted HR stat would be 1.10. If he also has 2 RBI's, then his adjusted RBI stat today would be 2.20, based on (2 x 1.10)(1 to normalize the stat, and the .10 to represent the ownership percentage). All the stats for my team would then be summed each day and added to my stat history to come to an aggregated total. After that, points are allocated based on the ranking of each participant in each category at the end of the day. E.g. if there are 10 participants, and I have the highest total aggregate number of Adjusted HR's, then I get 10 pts. The points are then summed across the different stat categories to come up with a total point ranking for that day. An added difficulty is that ownership %'s can change on a daily basis. So far, in playing around with different schema, I don't know that having a separate table for each athlete's stats and each player's ownership %'s is the wisest choice. It seems to me that simply having two tables, one that contains the daily stat information for each athlete, and another that shows the ownership % of each player. My friend suggested using a start and end date for each ownership % to represent the potential daily changes in this category. I'm admittedly new to database development, so any suggestions on query code would be appreciated.

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  • Is there an OSS license that works for this:

    - by mattcodes
    Say you started as SaaS service with freemium business model such 37Signals - Basecamp or Dropbox etc.. Is there an OSS license that says that you can use the source code etc.. but you cant release a SaaS based on it, esssentially released in good faith with non-compete expectations. e.g. if 37Signals released the source for highrise, basecamp etc.. someone could start 37signals4lesss.com (albeit once they built the same bit of provisioning logic) and damage the core business model.

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  • SQL Compact performance on device

    - by Ben M
    My SQL Compact database is very simple, with just three tables and a single index on one of the tables (the table with 200k rows; the other two have less than a hundred each). The first time the .sdf file is used by my Compact Framework application on the target Windows Mobile device, the system hangs for well over a minute while "something" is done to the database: when deployed, the DB is 17 megabytes, and after this first usage, it balloons to 24 megs. All subsequent usage is pretty fast, so I'm assuming there's some sort of initialization / index building going on during this first usage. I'd rather not subject the user to this delay, so I'm wondering what this initialization process is and whether it can be performed before deployment. For now, I've copied the "initialized" database back to my desktop for use in the setup project, but I'd really like to have a better answer / solution. I've tried "full compact / repair" in the VS Database Properties dialog, but this made no difference. Any ideas? For the record, I should add that the database is only read from by the device application -- no modifications are made by that code.

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  • Oddities in Linq-to-SQL generated code related to property change/changing events

    - by Lasse V. Karlsen
    I'm working on creating my own Linq-to-Sql generated classes in order to learn the concepts behind it all. I have some questions, if anyone knows the answer to one or more of these I'd be much obliged. The code below, and thus the questions, are from looking at code generated by creating a .DBML file in the Visual Studio 2010 designer, and inspecting the .Designer.cs file afterwards. 1. Why is INotifyPropertyChanging not passing the property name The event raising method is defined like this: protected virtual void SendPropertyChanging() Why isn't the name of the property that is changing passed to the event here? It is defined to be part of the EventArgs descendant that is passed to the event handler, but the method only passes an empty such value to it. 2. Why are the EntitySet<X> attach/detach methods not raising property changed? For an EntitySet<X> reference, the following two methods are generated: private void attach_EmailAddress1s(EmailAddress1 entity) { this.SendPropertyChanging(); entity.Person1 = this; } private void detach_EmailAddress1s(EmailAddress1 entity) { this.SendPropertyChanging(); entity.Person1 = null; } Why isn't SendPropertyChanged also called here? I'm sure I have more questions later, but for now these will suffice :)

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  • All connections in pool are in use

    - by veljkoz
    We currently have a little situation on our hands - it seems that someone, somewhere forgot to close the connection in code. Result is that the pool of connections is relatively quickly exhausted. As a temporary patch we added Max Pool Size = 500; to our connection string on web service, and recycle pool when all connections are spent, until we figure this out. So far we have done this: SELECT SPId FROM MASTER..SysProcesses WHERE DBId = DB_ID('MyDb') and last_batch < DATEADD(MINUTE, -15, GETDATE()) to get SPID's that aren't used for 15 minutes. We're now trying to get the query that was executed last using that SPID with: DBCC INPUTBUFFER(61) but the queries displayed are various, meaning either something on base level regarding connection manipulation was broken, or our deduction is erroneous... Is there an error in our thinking here? Does the DBCC / sysprocesses give results we're expecting or is there some side-effect catch? (for example, connections in pool influence?) (please, stick to what we could find out using SQL since the guys that did the code are many and not all present right now)

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  • Sql Server 2005 Check Constraint not being applied in execution when using variables

    - by DarylS
    Here is some SQL sample code: --Create 2 Sales tables with constraints based on the saledate create table Sales1(SaleDate datetime, Amount money) ALTER TABLE dbo.Sales1 ADD CONSTRAINT CK_Sales1 CHECK (([SaleDate]>='01 May 2010')) GO create table Sales2(SaleDate datetime, Amount money) ALTER TABLE dbo.Sales2 ADD CONSTRAINT CK_Sales2 CHECK (([SaleDate]<'01 May 2010')) GO --Insert some data into Sales1 insert into Sales1 (SaleDate, Amount) values ('02 May 2010', 50) insert into Sales1 (SaleDate, Amount) values ('03 May 2010', 60) GO --Insert some data into Sales2 insert into Sales2 (SaleDate, Amount) values ('30 Mar 2010', 10) insert into Sales2 (SaleDate, Amount) values ('31 Mar 2010', 20) GO --Create a view that combines these 2 tables create VIEW [dbo].[Sales] AS SELECT SaleDate, Amount FROM Sales1 UNION ALL SELECT SaleDate, Amount FROM Sales2 GO --Get the results --Query 1 select * from Sales where SaleDate < '31 Mar 2010' -- if you look at the execution plan this query only looks at Sales2 (Which is good) --Query 2 DECLARE @SaleDate datetime SET @SaleDate = '31 Mar 2010' select * from Sales where SaleDate < @SaleDate -- if you look at the execution plan this query looks at Sales1 and Sales2 (Which is NOT good) Looking at the execution plan you will see that the two queries are differnt. For Query 1 the only table that is accessed is Sales1 (which is good). For Query 2 both tables are accessed (Which is bad). Why are these execution plans different, and how do i get Query 2 to only access the relevant table when variables are used? I have tried to add indexes for the SaleDate column and that does not seem to help.

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