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  • SQL Server Querying An XML Field

    - by Gavin Draper
    I have a table that contains some meta data in an XML field. For example <Meta> <From>[email protected]</From> <To> <Address>[email protected]</Address> <Address>[email protected]</Address> </To> <Subject>ESubject Goes Here</Subject> </Meta> I want to then be able to query this field to return the following results From To Subject [email protected] [email protected] Subject Goes Here [email protected] [email protected] Subject Goes Here I've written the following query SELECT MetaData.query('data(/Meta/From)') AS [From], MetaData.query('data(/Meta/To/Address)') AS [To], MetaData.query('data(/Meta/Subject)') AS [Subject] FROM Documents However this only returns one record for that XML field. It combines both the 2 addresses into one result. Is it possible for split these on to separate records? The result I'm getting is From To Subject [email protected] [email protected] [email protected] Subject Goes Here Thanks Gav

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  • Asynchronous SQL Operations

    - by Paul Hatcherian
    I've got a problem I'm not sure how best to solve. I have an application which updates a database in response to ad hoc requests. One request in particular is quite common. The request is an update that by itself is quite simple, but has some complex preconditions. For this request the business layer first requests a set of data from the data layer. The business logic layer evaluated the data from the database and parameters from the request, from this the action to be performed is determined, and the request's response message(s) are created. The business layer now executes the actual update command that is the purpose of the request. This last step is the problem, this command is dependent on the state of the database, which might have changed since the business logic ran. Locking down the data read in this operation across several round-trips to the database doesn't seem like a good idea either. Is there a 'best-practice' way to accomplish something like this? Thanks!

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  • Stored Procedure - forcing execution order

    - by meepmeep
    I have a stored procedure that itself calls a list of other stored procedures in order: CREATE PROCEDURE [dbo].[prSuperProc] AS BEGIN EXEC [dbo].[prProc1] EXEC [dbo].[prProc2] EXEC [dbo].[prProc3] --etc END However, I sometimes have some strange results in my tables, generated by prProc2, which is dependent on the results generated by prProc1. If I manually execute prProc1, prProc2, prProc3 in order then everything is fine. It appears that when I run the top-level procedure, that Proc2 is being executed before Proc1 has completed and committed its results to the db. It doesn't always go wrong, but it seems to go wrong when Proc1 has a long execution time (in this case ~10s). How do I alter prSuperProc such that each procedure only executes once the preceding procedure has completed and committed? Transactions?

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  • Copy data from one SQL Server database table to the other

    - by lucky
    I don't know how to copy table data from one server - database - table TO other sever - database - table. If it is with in the same server and different databases, i have used the following SELECT * INTO DB1..TBL1 FROM DB2..TBL1 (to copy with table structure and data) INSERT INTO DB1..TBL1(F1, F2) SELECT F1, F2 FROM DB2..TBL1 (copy only data) Now my question is copy the data from SERVER1 -- DB1-- TBL1 to SERVER2 -- DB2 --TBL2

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  • Trigger on database using a web application and a winform application

    - by Michael
    Hello all, Situation: I have a web application which shows errors and where you can accept those error messages. I also have a service, which checks errors from a system and sets the error messages in the database. When I accept an error in the web application, i would like the service to know which error message has been accepted, so that it can do some other actions. My guess is that this could be done through some sort of trigger, but i can't figure out how. Can anyone help me with this?

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  • SQL server db and printing confusion.

    - by RAJ K
    I have billing application based on C# WPF, Screenshot is here. as you can see there is a datagrid, programmatically binded. this datagrid contains lists of item going to be billed. So when user reaches "Print memo" part (in stack panel 2) i have to update listed items in stock table and insert entries in sales table and finally print the memo. I want to know is there any speedy way to so because as user gives print command I have to clear datagrid which holds product lists and start accepting new lists. if you could provide few code or link, will be really helpful.. thanks.........

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  • Options on installations of sql server 2008 express?

    - by ray247
    I'm installing sqlserver 2008 express and I have a couple of questions, by default on the collation, it has SQL_Latin1_General_CP1_CI_AS I'm just wondering which collation I should choose so that it can store all languages, English, Asian etc. also this is a brand new installation on a brand new box, should I use Default Instance or a Named Instance. Thank you, Ray.

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  • Question on SQL Grouping

    - by Lijo
    Hi Team, I am trying to achieve the following without using sub query. For a funding, I would like to select the latest Letter created date and the ‘earliest worklist created since letter created’ date for a funding. FundingId Leter (1, 1/1/2009 )(1, 5/5/2009) (1, 8/8/2009) (2, 3/3/2009) FundingId WorkList (1, 5/5/2009 ) (1, 9/9/2009) (1, 10/10/2009) (2, 2/2/2009) Expected Result - FundingId Leter WorkList (1, 8/8/2009, 9/9/2009) I wrote a query as follows. It has a bug. It will omit those FundingId for which the minimum WorkList date is less than latest Letter date (even though it has another worklist with greater than letter created date). CREATE TABLE #Funding( [Funding_ID] [int] IDENTITY(1,1) NOT NULL, [Funding_No] [int] NOT NULL, CONSTRAINT [PK_Center_Center_ID] PRIMARY KEY NONCLUSTERED ([Funding_ID] ASC) ) ON [PRIMARY] CREATE TABLE #Letter( [Letter_ID] [int] IDENTITY(1,1) NOT NULL, [Funding_ID] [int] NOT NULL, [CreatedDt] [SMALLDATETIME], CONSTRAINT [PK_Letter_Letter_ID] PRIMARY KEY NONCLUSTERED ([Letter_ID] ASC) ) ON [PRIMARY] CREATE TABLE #WorkList( [WorkList_ID] [int] IDENTITY(1,1) NOT NULL, [Funding_ID] [int] NOT NULL, [CreatedDt] [SMALLDATETIME], CONSTRAINT [PK_WorkList_WorkList_ID] PRIMARY KEY NONCLUSTERED ([WorkList_ID] ASC) ) ON [PRIMARY] SELECT F.Funding_ID, Funding_No, MAX (L.CreatedDt), MIN(W.CreatedDt) FROM #Funding F INNER JOIN #Letter L ON L.Funding_ID = F.Funding_ID LEFT OUTER JOIN #WorkList W ON W.Funding_ID = F.Funding_ID GROUP BY F.Funding_ID,Funding_No HAVING MIN(W.CreatedDt) MAX (L.CreatedDt) How can I write a correct query without using subquery? Please help Thanks Lijo

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  • Which mysql construct is faster?

    - by Olaseni
    SELECT ..WHERE COL IN(A,B) or SELECT ... WHERE (COL = A or COL = B) I'm trying to find out what are the differences between the two constructs? Would there be significant performance gains either way if utilized on resultsets that are nearing the 1 million mark?

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  • Forcing LINQ to SQL to make one single call for all child rows

    - by zaph0d
    Let say I have a method (example taken from another post): public IQueryable<CityBlock> GetCityBlocks(){ var results = from o in db.city_blocks let buildings = GetBuildingsOnBlock(o.block_id) //returns Iqueryable select new CityBlock { BuildingsOnBlock = buildings, BlockOwner = o.block_owner }; return results; } In the calling method I add Skip() and Take() methods plus some filtering and then do a ToList(). The trouble is that I am getting dozens of database calls - one for all the city blocks and then a separate one for each building. Is there a way that I can refactor this code to just make two calls: one for the city blocks and one for all the buildings

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  • Sql (partial) search in a list and get matched fields

    - by qods
    I have two tables, I want to search TermID in Table-A through TermID in Table-B and If there is a termID like in Table-A and then want to get result table as shown below. TermIDs are in different length. There is no search pattern to search with "like %" TermIDs in Table-A are part of the TermIDs in Table-B Regards, Table-A ID TermID 101256666 126006230 101256586 126006231 101256810 126006233 101256841 126006238 101256818 126006239 101256734 1190226408 101256809 1190226409 101256585 1200096999 101256724 1200096997 101256748 1200097005 Table-B TermNo TermID 14 8990010901190226366F 16 8990010901190226374F 15 8990010901190226382F 18 8990010901190226408F 19 8990010901190226416F 11 8990010901200096981F 10 8990010901200096999F 12 8990010901200097005F 13 8990010901200097013F 17 8990010901260062337F As a result I want to get this table; Result Table -TableA.ID TableA.TermID TableB.TermNo A.ID A.TermID B.TermNo 101256734 1190226408 18 101256585 1200096999 10 101256748 1200097005 12

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  • C# SQL create table IF it doesn't already exist

    - by jakesankey
    Hey, I am trying to put a little logic into my C# app that will create a table called Import, IF it doesn't already exist.. here is my code, it doesn't seem to work tho. con.Open(); using (SqlCommand cmd = con.CreateCommand()) { cmd.CommandText = @" IF (EXISTS (SELECT * FROM INFORMATION_SCHEMA.TABLES WHERE TABLE_SCHEMA = 'RX_CMMData' AND TABLE_NAME = 'Import')) BEGIN CREATE TABLE Import ( RowId integer PRIMARY KEY NOT NULL, PartNumber varchar(200) NOT NULL, CMMNumber varchar(200) NOT NULL, Date varchar(200) NOT NULL, FeatType varchar(200) NOT NULL, FeatName varchar(200) NOT NULL, Value varchar(200) NOT NULL, Actual decimal, Nominal decimal, Dev decimal, TolMin decimal, TolPlus decimal, OutOfTol decimal, FileName varchar(200) NOT NULL ); END"; cmd.ExecuteNonQuery(); } con.Close();

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  • T-SQL Getting duplicate rows returned

    - by cBlaine
    The following code section is returning multiple columns for a few records. SELECT a.ClientID,ltrim(rtrim(c.FirstName)) + ' ' + case when c.MiddleName <> '' then ltrim(rtrim(c.MiddleName)) + '. ' else '' end + ltrim(rtrim(c.LastName)) as ClientName, a.MISCode, b.Address, b.City, dbo.ClientGetEnrolledPrograms(CONVERT(int,a.ClientID)) as Abbreviation FROM ClientDetail a JOIN Address b on(a.PersonID = b.PersonID) JOIN Person c on(a.PersonID = c.PersonID) LEFT JOIN ProgramEnrollments d on(d.ClientID = a.ClientID and d.Status = 'Enrolled' and d.HistoricalPKID is null) LEFT JOIN Program e on(d.ProgramID = e.ProgramID and e.HistoricalPKID is null) WHERE a.MichiganWorksData=1 I've isolated the issue to the ProgramEnrollments table. This table holds one-to-many relationships where each ClientID can be enrolled in many programs. So for each program a client is enrolled in, there is a record in the table. The final result set is therefore returning a row for each row in the ProgramEnrollments table based on these joins. I presume my join is the issue but I don't see the problem. Thoughts/Suggestions? Thanks, Chuck

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  • Is there a set based solution for this problem?

    - by NYSystemsAnalyst
    We have a table set up as follows: |ID|EmployeeID|Date |Category |Hours| |1 |1 |1/1/2010 |Vacation Earned|2.0 | |2 |2 |2/12/2010|Vacation Earned|3.0 | |3 |1 |2/4/2010 |Vacation Used |1.0 | |4 |2 |5/18/2010|Vacation Earned|2.0 | |5 |2 |7/23/2010|Vacation Used |4.0 | The business rules are: Vacation balance is calculated by vacation earned minus vacation used. Vacation used is always applied against the oldest vacation earned amount first. We need to return the rows for Vacation Earned that have not been offset by vacation used. If vacation used has only offset part of a vacation earned record, we need to return that record showing the difference. For example, using the above table, the result set would look like: |ID|EmployeeID|Date |Category |Hours| |1 |1 |1/1/2010 |Vacation Earned|1.0 | |4 |2 |5/18/2010|Vacation Earned|1.0 | Note that record 2 was eliminated because it was completely offset by used time, but records 1 and 4 were only partially used, so they were calculated and returned as such. The only way we have thought of to do this is to get all of the vacation earned records in a temporary table. Then, get the total vacation used and loop through the temporary table, deleting the oldest record and subtracting that value from the total vacation used until the total vacation used is zero. We could clean it up for when the remaining vacation used is only part of the oldest vacation earned record. This would leave us with just the outstanding vacation earned records. This works, but it is very inefficient and performs poorly. Also, the performance will just degrade over time as more and more records are added. Are there any suggestions for a better solution, preferable set based? If not, we'll just have to go with this.

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  • SQL: count days in date range?

    - by John Isaacks
    I have a query like this: SELECT COUNT(*) AS amount FROM daily_individual_tracking WHERE sales = 'YES' AND daily_individual_tracking_date BETWEEN '2010-01-01' AND '2010-03-31' I am selected from a date range. Is there a way to also get the total days in the date range?

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  • pl/sql creating a function with parameterized cursor with return date

    - by user3134365
    create or replace FUNCTION get_next_sch_date(cert_id VARCHAR2,test_id VARCHAR2) RETURN DATE AS CURSOR next_sch_date(pb_id number,test_no varchar2) IS SELECT Sch_Controls,PBY_FRQ,START_AFTER__CAL_DAYS,PBY_DUE_BY,PBY_NEXT_SCH_TEST_DATE FROM ms_cmp_plan_pby WHERE pby_id=pb_id AND test_plan_id=test_no; l_new_date DATE; l_new_sch number; sch_ctrl VARCHAR2(100); pb_frq VARCHAR2(100); start_days NUMBER; due_days NUMBER; test_date DATE; pb_id NUMBER; test_no NUMBER; BEGIN OPEN next_sch_date(pb_id,test_no); loop FETCH next_sch_date INTO sch_ctrl,pb_frq,start_days,due_days,test_date; SELECT DISTINCT pby_rec_id INTO l_new_sch FROM ms_cmp_assignment_log WHERE ASSIGNMENT_ID=cert_id AND PLAN_ID=test_id; exit; end loop; CLOSE next_sch_date; RETURN l_new_date; Exception WHEN others THEN RETURN NULL; end; this is my function but i dont getting excepted result

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  • Create a complex SQL query?

    - by mazzzzz
    Hey guys, I have a program that allows me to run queries against a large database. I have two tables that are important right now, Deposits and withdraws. Each contains a history of every user. I need to take each table, add up every deposit and withdraws (per user), then subtract the withdraws from the deposits. I then need to return every user whos result is negative (aka they withdrew more then they deposited). Is this possible in one query? Example: Deposit Table: |ID|UserName|Amount| |1 | Use1 |100.00| |2 | Use1 |50.00 | |3 | Use2 |25.00 | |4 | Use1 | 5.00 | WithDraw Table: |ID|UserName|Amount| |2 | Use2 | 5.00 | |1 | Use1 |100.00| |4 | Use1 | 5.00 | |3 | Use2 |25.00 | So then the result would output: |OverWithdrawers| | Use2 | Is this possible (I sure don't know how to do it)? Thanks for any help, Max

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  • sql trigger inserting row into two tables

    - by allen
    I was looking for a way to create a trigger that would insert the same row into two tables with the same values. For example, a new row is inserted into pushNotificationQueue as soon as that is inserted, I would like that same exact row to be inserted into messages. I tried this CREATE TRIGGER add_to_messages after insert on mbb_pushNotificationQueue FOR EACH ROW insert into mbb_messages select * from mbb_pushNotificationQueue the only problem with that is that it goes through and adds entries that have already been previously added.

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  • Call stored proc using xml output from a table

    - by user263097
    Under a tight deadline and I know I can figure this out eventually but I don't have much time to do it on my own. I have a table that has columns for customer id and account number among many other additional columns. There could be many accounts for a single customer (Many rows with the same customer id but different account number). For each customer in the table I need to call a stored procedure and pass data from my table as xml in the following format. Notice that the xml is for all of the customers accounts. <Accounts> <Account> <AccountNumber>12345</AccountNumber> <AccountStatus>Open</AccountStatus> </Account> <Account> <AccountNumber>54321</AccountNumber> <AccountStatus>Closed</AccountStatus> </Account> </Accounts> So I guess I need help with 2 things. First, how to get the data in this xml format. I assuming I'll use some variation of FOR XML. The other thing is how do I group by customer id and then call a sproc for each customer id?

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  • Codeigniter - Active record - sql - complex join

    - by Jack
    I have a function that retrieves all tags from a table: function global_popular_tags() { $this->db->select('tags.*, COUNT(tags.id) AS count'); $this->db->from('tags'); $this->db->join('tags_to_work', 'tags.id = tags_to_work.tag_id'); $this->db->group_by('tags.id'); $this->db->order_by('count', 'desc'); $query = $this->db->get()->result_array(); return $query; } I have another table called 'work'. The 'work' table has a 'draft' column with values of either 1 or 0. I want the COUNT(tags.id) to take into account whether the work with the specific tag is in draft mode (1) or not. Say there are 10 pieces of work tagged with, for example, 'design'. The COUNT will be 10. But 2 of these pieces of work are in draft mode, so the COUNT should really be 8. How do I manage this?

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