Search Results

Search found 2836 results on 114 pages for 'mr period'.

Page 42/114 | < Previous Page | 38 39 40 41 42 43 44 45 46 47 48 49  | Next Page >

  • LINQ to SQL - Left Outer Join with multiple join conditions

    - by dan
    I have the following SQL which I am trying to translate to LINQ: SELECT f.value FROM period as p LEFT OUTER JOIN facts AS f ON p.id = f.periodid AND f.otherid = 17 WHERE p.companyid = 100 I have seen the typical implementation of the left outer join (ie. into x from y in x.DefaultIfEmpty() etc.) but am unsure how to introduce the other join condition ('AND f.otherid = 17') EDIT Why is the 'AND f.otherid = 17' condition part of the JOIN instead of in the WHERE clause? Because f may not exist for some rows and I still want these rows to be included. If the condition is applied in the WHERE clause, after the JOIN - then I don't get the behaviour I want. Unfortunately this: from p in context.Periods join f in context.Facts on p.id equals f.periodid into fg from fgi in fg.DefaultIfEmpty() where p.companyid == 100 && fgi.otherid == 17 select f.value seems to be equivalent to this: SELECT f.value FROM period as p LEFT OUTER JOIN facts AS f ON p.id = f.periodid WHERE p.companyid = 100 && AND f.otherid = 17 which is not quite what I'm after.

    Read the article

  • looking for a license key algorithm.

    - by giulio
    There are a lot of questions relating to license keys asked on stackoverflow. But they don't answer this question. Can anyone provide a simple license key algorithm that is technology independent and doesn't required a diploma in mathematics to understand ? The license key algorithm is similar to public key encryption. I just need something simple that can be implemented in any platform .Net/Java and uses simple data like characters. Preferably no byte translations required. So if a person presents a string, a complementary string can be generated that is the authorisation code. Below is a common scenario that it would be used for. Customer downloads s/w which generates a unique key upon initial startup/installation. S/w runs during trial period. At end of trial period an authorisation key is required. Customer goes to designated web-site, enters their code and get authorisation code to enable s/w, after paying :) Don't be afraid to describe your answer as though you're talking to a 5 yr old as I am not a mathemtician. Just need a decent basic algorithm, we're not launching nukes... NB: Please no philosophy on encryption nor who is Diffie-Hellman. I just need a basic solution.

    Read the article

  • How does Subsonic handle connections?

    - by Quintin Par
    In Nhibernate you start a session by creating it during a BeginRequest and close at EndRequest public class Global: System.Web.HttpApplication { public static ISessionFactory SessionFactory = CreateSessionFactory(); protected static ISessionFactory CreateSessionFactory() { return new Configuration() .Configure(Path.Combine(AppDomain.CurrentDomain.BaseDirectory, "hibernate.cfg.xml")) .BuildSessionFactory(); } public static ISession CurrentSession { get{ return (ISession)HttpContext.Current.Items["current.session"]; } set { HttpContext.Current.Items["current.session"] = value; } } protected void Global() { BeginRequest += delegate { CurrentSession = SessionFactory.OpenSession(); }; EndRequest += delegate { if(CurrentSession != null) CurrentSession.Dispose(); }; } } What’s the equivalent in Subsonic? The way I understand, Nhibernate will close all the connections at endrequest. Reason: While trouble shooting some legacy code in a Subsonic project I get a lot of MySQL timeouts,suggesting that the code is not closing the connections MySql.Data.MySqlClient.MySqlException: error connecting: Timeout expired. The timeout period elapsed prior to obtaining a connection from the pool. This may have occurred because all pooled connections were in use and max pool size was reached. Generated: Tue, 11 Aug 2009 05:26:05 GMT System.Web.HttpUnhandledException: Exception of type 'System.Web.HttpUnhandledException' was thrown. --- MySql.Data.MySqlClient.MySqlException: error connecting: Timeout expired. The timeout period elapsed prior to obtaining a connection from the pool. This may have occurred because all pooled connections were in use and max pool size was reached. at MySql.Data.MySqlClient.MySqlPool.GetConnection() at MySql.Data.MySqlClient.MySqlConnection.Open() at SubSonic.MySqlDataProvider.CreateConnection(String newConnectionString) at SubSonic.MySqlDataProvider.CreateConnection() at SubSonic.AutomaticConnectionScope..ctor(DataProvider provider) at SubSonic.MySqlDataProvider.GetReader(QueryCommand qry) at SubSonic.DataService.GetReader(QueryCommand cmd) at SubSonic.ReadOnlyRecord`1.LoadByParam(String columnName, Object paramValue) My connection string is as follows <connectionStrings> <add name="xx" connectionString="Data Source=xx.net; Port=3306; Database=db; UID=dbuid; PWD=xx;Pooling=true;Max Pool Size=12;Min Pool Size=2;Connection Lifetime=60" /> </connectionStrings>

    Read the article

  • looking for a license key algorithm.

    - by giulio
    There are alot of questions relating to license keys asked on stackoverflow. But they don't answer this question. Can anyone provide a simple license key algorithm that is technology independent and doesn't required a diploma in mathematics to understand ? The license key algorithm is similar to public key encryption. I just need something simple that can be implemented in any platform .Net/Java and uses simple data like characters. Written as Pseudo code is perfect. So if a person presents a string, a complementary string can be generated that is the authorisation code. Below is a common scenario that it would be used for. Customer downloads s/w which generates a unique key upon initial startup/installation. S/w runs during trial period. At end of trial period an authorisation key is required. Customer goes to designated web-site, enters their code and get authorisation code to enable s/w, after paying :) Don't be afraid to describe your answer as though you're talking to a 5 yr old as I am not a mathemtician.

    Read the article

  • Sort and limit queryset by comment count and date using queryset.extra() (django)

    - by thornomad
    I am trying to sort/narrow a queryset of objects based on the number of comments each object has as well as by the timeframe during which the comments were posted. Am using a queryset.extra() method (using django_comments which utilizes generic foreign keys). I got the idea for using queryset.extra() (and the code) from here. This is a follow-up question to my initial question yesterday (which shows I am making some progress). Current Code: What I have so far works in that it will sort by the number of comments; however, I want to extend the functionality and also be able to pass a time frame argument (eg, 7 days) and return an ordered list of the most commented posts in that time frame. Here is what my view looks like with the basic functionality in tact: import datetime from django.contrib.comments.models import Comment from django.contrib.contenttypes.models import ContentType from django.db.models import Count, Sum from django.views.generic.list_detail import object_list def custom_object_list(request, queryset, *args, **kwargs): '''Extending the list_detail.object_list to allow some sorting. Example: http://example.com/video?sort_by=comments&days=7 Would get a list of the videos sorted by most comments in the last seven days. ''' try: # this is where I started working on the date business ... days = int(request.GET.get('days', None)) period = datetime.datetime.utcnow() - datetime.timedelta(days=int(days)) except (ValueError, TypeError): days = None period = None sort_by = request.GET.get('sort_by', None) ctype = ContentType.objects.get_for_model(queryset.model) if sort_by == 'comments': queryset = queryset.extra(select={ 'count' : """ SELECT COUNT(*) AS comment_count FROM django_comments WHERE content_type_id=%s AND object_pk=%s.%s """ % ( ctype.pk, queryset.model._meta.db_table, queryset.model._meta.pk.name ), }, order_by=['-count']).order_by('-count', '-created') return object_list(request, queryset, *args, **kwargs) What I've Tried: I am not well versed in SQL but I did try just to add another WHERE criteria by hand to see if I could make some progress: SELECT COUNT(*) AS comment_count FROM django_comments WHERE content_type_id=%s AND object_pk=%s.%s AND submit_date='2010-05-01 12:00:00' But that didn't do anything except mess around with my sort order. Any ideas on how I can add this extra layer of functionality? Thanks for any help or insight.

    Read the article

  • multi-part identifier could not be bound error

    - by vishal Shah
    Here is my query: IF OBJECT_ID('NPWAS1513.dbo.usp_MSPEX_QLK_Billing_Fact_Load') IS NOT NULL DROP PROCEDURE dbo.usp_MSPEX_QLK_Billing_Fact_Load; GO CREATE PROCEDURE usp_MSPEX_QLK_Billing_Fact_Load @create_timestamp datetime, @update_timestamp datetime, @create_user varchar(50), @update_user varchar(50), @dbProdServ varchar(50) AS print 'dbProdServ is:'+ @dbProdServ; print 'current_user is:' +@current_user; DECLARE @sSQL AS VARCHAR(MAX); SET @sSQL = '' SET @sSQL = 'set identity_insert ' + @dbProdServ + '.mspex_qlk_billing_fact ON' EXEC(@sSQL); SET @sSQL = 'INSERT INTO ' + @dbProdServ +'.mspex_qlk_billing_fact (project_id, billing_year, billing_month, billing_month_desc, billing_date_id, projected_bill_amount, billed_year_to_date_amount, billed_inception_to_date_amount, remaining_bill_amount, actual_billed_amount, current_billing_percent, previous_billing_percent, billing_pct_diff, billing_type, final_bill_ind, last_in_progress_date, current_record_ind, load_time_stamp, total_contract_period, contract_period_current_year, partial_bill, create_timestamp, create_user, update_timestamp, update_user) SELECT project_dim.project_id, billing_final_data.billingyear, billing_final_data.billingmonth, billing_final_data.billingmonthdesc, Time_Dim.Time_ID, billing_final_data.projected_bill_amount, billing_final_data.billed_year_todate_amount, billing_final_data.billed_inception_todate_amount, billing_final_data.remaining_bill_amount, billing_final_data.actual_billed_amount, billing_final_data.current_billing_percent, billing_final_data.previous_billing_percent, billing_final_data.billing_pct_diff, billing_final_data.billing_type, billing_final_data.final_bill_ind, billing_final_data.last_in_progress_date, billing_final_data.current_record_ind, billing_final_data.load_time_stamp, billing_final_data.[Total Contract Period], billing_final_data.[Contract Period Current Year], billing_final_data.[Partial Bill],'''+ CAST(@create_timestamp as varchar(max)) + ''',''' + @create_user + ''','''+ CAST(@update_timestamp as varchar(50)) +''','''+ @update_user + ''' FROM '+ @dbProdServ +'.mspex_qlk_project_dim project_dim,'+ @dbProdServ +'.mspex_rpt_billing_final_data billing_final_data,'+ @dbProdServ + '.MSPEX_QLK_Time_Dim Time_Dim WHERE project_dim.myproject_project_uid = billing_final_data.projectuid AND'''+ convert(datetime, cast(billing_final_data.[BillingMonth] as nvarchar(2)) + '''/01/''' + cast(billing_final_data.[billingyear] as nvarchar(4)), 101) +''' + = Time_Dim.Time_Date'; BEGIN TRANSACTION EXEC(@sSQL) COMMIT TRANSACTION I get the error msg: Msg 4104, Level 16, State 1, Procedure usp_MSPEX_QLK_Billing_Fact_Load, Line 23 The multi-part identifier "mspex_rpt_billing_final_data.BillingMonth" could not be bound. Msg 4104, Level 16, State 1, Procedure usp_MSPEX_QLK_Billing_Fact_Load, Line 23 The multi-part identifier "billing_final_data.billingyear" could not be bound. Msg 207, Level 16, State 1, Procedure usp_MSPEX_QLK_Billing_Fact_Load, Line 83 Invalid column name 'BillingMonth'. Msg 207, Level 16, State 1, Procedure usp_MSPEX_QLK_Billing_Fact_Load, Line 84 Invalid column name 'billingyear'. I checked the column names, etc. and things are fine. In fact, I directly dragged the table name and column name to ensure that it is correct. Please help ASAP. Calling me at cell at 630-338-9427 would be great. But an URGENT response is absolutely necessary. Thanks guys.

    Read the article

  • Discover periodic patterns in a large data-set

    - by Miner
    I have a large sequence of tuples on disk in the form (t1, k1) (t2, k2) ... (tn, kn) ti is a monotonically increasing timestamp and ki is a key (assume a fixed length string if needed). Neither ti nor ki are guaranteed to be unique. However, the number of unique tis and kis is huge (millions). n itself is very large (100 Million+) and the size of k (approx 500 bytes) makes it impossible to store everything in memory. I would like to find out periodic occurrences of keys in this sequence. For example, if I have the sequence (1, a) (2, b) (3, c) (4, b) (5, a) (6, b) (7, d) (8, b) (9, a) (10, b) The algorithm should emit (a, 4) and (b, 2). That is a occurs with a period of 4 and b occurs with a period of 2. If I build a hash of all keys and store the average of the difference between consecutive timestamps of each key and a std deviation of the same, I might be able to make a pass, and report only the ones that have an acceptable std deviation(ideally, 0). However, it requires one bucket per unique key, whereas in practice, I might have very few really periodic patterns. Any better ways?

    Read the article

  • gethostbyname fails for local hostname after resuming from hibernate (Vista+7?)

    - by John
    Just wondering if anyone else has spotted this: On some user's machines running our software, occasionally the call to Win32 winsock gethostbyname fails with error code 11004. For the argument to gethostbyname, I'm passing in the result from gethostname. Now the docs say 11004 is WSANO_DATA. None of the descriptions seem to be relevant (it occurs if you pass in an IP6 address, but as I say, I'm passing in a hostname). Even more interesting is that the MSDN suggests that this combination (gethostname followed by gethostbyname) should never fail, not even if there is no IP address (in that case it would just return empty list of IPs). Here is the quote from the gethostname MSDN entry: ...it is guaranteed that the name returned will be successfully parsed by gethostbyname and WSAAsyncGetHostByName. It only ever happens after resuming from hibernate, in that short period when the network is restarting, and only on Vista/7 (well I've only seen it on Vista and 7). One theory I had was that it related to IP6. Maybe for a short period the network reports an IP6 address but not the corresponging IP4 address (I'm pretty sure that all the client machines are dual IP stack, but I could be wrong). I tried to reproduce by turning off my network card (to force no IP addresses) and couldn't reproduce. Anyone seen this before? Any ideas? John

    Read the article

  • How to handle dates that repeat indefinitely

    - by Addsy
    I am implementing a fairly simple calendar on a website using PHP and MySQL. I want to be able to handle dates that repeat indefinitely and am not sure of the best way to do it. For a time limited repeating event it seems to make sense to just add each event within the timeframe into my db table and group them with some form of recursion id. But when there is no limit to how often the event repeats, is it better to a) put records in the db for a specific time frame (eg the next 2 years) and then periodically check and add new records as time goes by - The problem with this is that if someone is looking 3 years ahead, the event won't show up b) not actually have records for each event but instead when i check in my php code for events within a specified time period, calculate wether a repeated event will occur within this time period - The problem with this is that it means there isn't a specific record for each event which i can see being a pain when i then want to associate other info (attendance etc) with that event. It also seems like it might be a bit slow Has anyone tried either of these methods? If so how did it work out? Or is there some other ingenious crafty method i'm missing?

    Read the article

  • SQL Server performance issue.

    - by Jit
    Hi Friends, I have been trying to analyze performance issue with SQL Server 2005. We have 30 jobs, one for each databases (30 databases, one per each client). The jobs run at early morning at an interval of 5 minutes. When I run the job individually for testing, for most of the databases it finishes in 7 to 9 minutes. But when these jobs run at early morning, I see few jobs taking 2 to 3 hours to finish and the same takes few minutes as mentioned above if ran independently. We dont have any other job scheduled during that time, other than these 30 jobs. If we restart the server then for 2 or so days all the jobs finishes in few minutes, but over the period of time (from 3rd day suddenly), few jobs start taking hours to finish. What could be the possible reason of performance degradation over the period of time? I verified all the SPs and we uses temp tables and I made sure none of the temp table is left without dropping at the end of SP. Let me know what are the possible reasons for such behavior. Appreciate your time and help. Thanks

    Read the article

  • java GC periodically enters into several full GC cycles

    - by Peter
    Environment: sun JDK 1.6.0_16 vm settings: -XX:+DisableExplicitGC -XX:+UseConcMarkSweepGC -Xms1024 -Xmx1024M -XX:MaxNewSize=448m -XX:NewSize=448m -XX:SurvivorRatio=4(6 also checked) -XX:MaxPermSize=128M OS: windows server 2003 processor: 4 cores of INTEL XEON 5130, 2000 Hz my application description: high intensity of concurrent(java 5 concurrency used) operations completed each time by commit to oracle. it's about 20-30 threads run non stop, doing tasks. application runs in JBOSS web container. My GC starts work normally, I see a lot of small GCs and all that time CPU shows good load, like all 4 cores loaded to 40-50%, CPU graph is stable. Then , after 1 min of good work, CPU starts drop to 0% on 2 cores from 4, it's graph becomes unstable, goes up and down("teeth"). I see, that my threads work slower(I have monitoring), I see that GC starts produce a lot of FULL GC during that time and next 4-5 minutes this situation remains as is, then for short period of time, like 1 minute, it gets back to normal situation, but shortly after that all bad thing repeats. Question: Why I have so frequent full GC??? How to prevent that? I played with SurvivorRatio - does not help. I noticed, that application behaves normally until first FULL GC occurs, while I have enough memory. Then it runs badly. my GC LOG: starts good then long period of FULL GCs(many of them) 1027.861: [GC 942200K-623526K(991232K), 0.0887588 secs] 1029.333: [GC 803279K(991232K), 0.0927470 secs] 1030.551: [GC 967485K-625549K(991232K), 0.0823024 secs] 1030.634: [GC 625957K(991232K), 0.0763656 secs] 1033.126: [GC 969613K-632963K(991232K), 0.0850611 secs] 1033.281: [GC 649899K(991232K), 0.0378358 secs] 1035.910: [GC 813948K(991232K), 0.3540375 secs] 1037.994: [GC 967729K-637198K(991232K), 0.0826042 secs] 1038.435: [GC 710309K(991232K), 0.1370703 secs] 1039.665: [GC 980494K-972462K(991232K), 0.6398589 secs] 1040.306: [Full GC 972462K-619643K(991232K), 3.7780597 secs] 1044.093: [GC 620103K(991232K), 0.0695221 secs] 1047.870: [Full GC 991231K-626514K(991232K), 3.8732457 secs] 1053.739: [GC 942140K(991232K), 0.5410483 secs] 1056.343: [Full GC 991232K-634157K(991232K), 3.9071443 secs] 1061.257: [GC 786274K(991232K), 0.3106603 secs] 1065.229: [Full GC 991232K-641617K(991232K), 3.9565638 secs] 1071.192: [GC 945999K(991232K), 0.5401515 secs] 1073.793: [Full GC 991231K-648045K(991232K), 3.9627814 secs] 1079.754: [GC 936641K(991232K), 0.5321197 secs]

    Read the article

  • With a browser, how do I know which decimal separator does the client use?

    - by Quassnoi
    I'm developing a web application. I need to display some decimal data correctly so that it can be copied and pasted into a certain GUI application that is not under my control. The GUI application is locale sensitive and it accepts only the correct decimal separator which is set in the system. I can guess the decimal separator from Accept-Language and the guess will be correct in 95% cases, but sometimes it fails. Is there any way to do it on server side (preferably, so that I can collect statistics), or on client side? Update: The whole point of the task is doing it automatically. In fact, this webapp is a kind of online interface to a legacy GUI which helps to fill the forms correctly. The kind of users that use it mostly have no idea on what a decimal separator is. The Accept-Language solution is implemented and works, but I'd like to improve it. Update2: I need to retrive a very specific setting: decimal separator set in Control Panel / Regional and Language Options / Regional Options / Customize. I deal with four kinds of operating systems: Russian Windows with a comma as a DS (80%). English Windows with a period as a DS (15%). Russian Windows with a period as a DS to make poorly written English applications work (4%). English Windows with a comma as a DS to make poorly written Russian applications work (1%). All 100% of clients are in Russia and the legacy application deals with Russian goverment-issued forms, so asking for a country will yield 100% of Russian Federation, and GeoIP will yield 80% of Russian Federation and 20% of other, incorrect answers.

    Read the article

  • How to get nested chain of objects in Linq and MVC2 application?

    - by Anders Svensson
    I am getting all confused about how to solve this problem in Linq. I have a working solution, but the code to do it is way too complicated and circular I think: I have a timesheet application in MVC 2. I want to query the database that has the following tables (simplified): Project Task TimeSegment The relationships are as follows: A project can have many tasks and a task can have many timesegments. I need to be able to query this in different ways. An example is this: A View is a report that will show a list of projects in a table. Each project's tasks will be listed followed by a Sum of the number of hours worked on that task. The timesegment object is what holds the hours. Here's the View: <%@ Page Title="" Language="C#" MasterPageFile="~/Views/Shared/Report.Master" Inherits="System.Web.Mvc.ViewPage<Tidrapportering.ViewModels.MonthlyReportViewModel>" %> <asp:Content ID="Content1" ContentPlaceHolderID="TitleContent" runat="server"> Månadsrapport </asp:Content> <asp:Content ID="Content2" ContentPlaceHolderID="MainContent" runat="server"> <h1> Månadsrapport</h1> <div style="margin-top: 20px;"> <span style="font-weight: bold">Kund: </span> <%: Model.Customer.CustomerName %> </div> <div style="margin-bottom: 20px"> <span style="font-weight: bold">Period: </span> <%: Model.StartDate %> - <%: Model.EndDate %> </div> <div style="margin-bottom: 20px"> <span style="font-weight: bold">Underlag för: </span> <%: Model.Employee %> </div> <table class="mainTable"> <tr> <th style="width: 25%"> Projekt </th> <th> Specifikation </th> </tr> <% foreach (var project in Model.Projects) { %> <tr> <td style="vertical-align: top; padding-top: 10pt; width: 25%"> <%:project.ProjectName %> </td> <td> <table class="detailsTable"> <tr> <th> Aktivitet </th> <th> Timmar </th> <th> Ex moms </th> </tr> <% foreach (var task in project.CurrentTasks) {%> <tr class="taskrow"> <td class="task" style="width: 40%"> <%: task.TaskName %> </td> <td style="width: 30%"> <%: task.TaskHours.ToString()%> </td> <td style="width: 30%"> <%: String.Format("{0:C}", task.Cost)%> </td> </tr> <% } %> </table> </td> </tr> <% } %> </table> <table class="summaryTable"> <tr> <td style="width: 25%"> </td> <td> <table style="width: 100%"> <tr> <td style="width: 40%"> Totalt: </td> <td style="width: 30%"> <%: Model.TotalHours.ToString() %> </td> <td style="width: 30%"> <%: String.Format("{0:C}", Model.TotalCost)%> </td> </tr> </table> </td> </tr> </table> <div class="price"> <table> <tr> <td>Moms: </td> <td style="padding-left: 15px;"> <%: String.Format("{0:C}", Model.VAT)%> </td> </tr> <tr> <td>Att betala: </td> <td style="padding-left: 15px;"> <%: String.Format("{0:C}", Model.TotalCostAndVAT)%> </td> </tr> </table> </div> </asp:Content> Here's the action method: [HttpPost] public ActionResult MonthlyReports(FormCollection collection) { MonthlyReportViewModel vm = new MonthlyReportViewModel(); vm.StartDate = collection["StartDate"]; vm.EndDate = collection["EndDate"]; int customerId = Int32.Parse(collection["Customers"]); List<TimeSegment> allTimeSegments = GetTimeSegments(customerId, vm.StartDate, vm.EndDate); vm.Projects = GetProjects(allTimeSegments); vm.Employee = "Alla"; vm.Customer = _repository.GetCustomer(customerId); vm.TotalCost = vm.Projects.SelectMany(project => project.CurrentTasks).Sum(task => task.Cost); //Corresponds to above foreach vm.TotalHours = vm.Projects.SelectMany(project => project.CurrentTasks).Sum(task => task.TaskHours); vm.TotalCostAndVAT = vm.TotalCost * 1.25; vm.VAT = vm.TotalCost * 0.25; return View("MonthlyReport", vm); } And the "helper" methods: public List<TimeSegment> GetTimeSegments(int customerId, string startdate, string enddate) { var timeSegments = _repository.TimeSegments .Where(timeSegment => timeSegment.Customer.CustomerId == customerId) .Where(timeSegment => timeSegment.DateObject.Date >= DateTime.Parse(startdate) && timeSegment.DateObject.Date <= DateTime.Parse(enddate)); return timeSegments.ToList(); } public List<Project> GetProjects(List<TimeSegment> timeSegments) { var projectGroups = from timeSegment in timeSegments group timeSegment by timeSegment.Task into g group g by g.Key.Project into pg select new { Project = pg.Key, Tasks = pg.Key.Tasks }; List<Project> projectList = new List<Project>(); foreach (var group in projectGroups) { Project p = group.Project; foreach (var task in p.Tasks) { task.CurrentTimeSegments = timeSegments.Where(ts => ts.TaskId == task.TaskId).ToList(); p.CurrentTasks.Add(task); } projectList.Add(p); } return projectList; } Again, as I mentioned, this works, but of course is really complex and I get confused myself just looking at it even now that I'm coding it. I sense there must be a much easier way to achieve what I want. Basically you can tell from the View what I want to achieve: I want to get a collection of projects. Each project should have it's associated collection of tasks. And each task should have it's associated collection of timesegments for the specified date period. Note that the projects and tasks selected must also only be the projects and tasks that have the timesegments for this period. I don't want all projects and tasks that have no timesegments within this period. It seems the group by Linq query beginning the GetProjects() method sort of achieves this (if extended to have the conditions for date and so on), but I can't return this and pass it to the view, because it is an anonymous object. I also tried creating a specific type in such a query, but couldn't wrap my head around that either... I hope there is something I'm missing and there is some easier way to achieve this, because I need to be able to do several other different queries as well eventually. I also don't really like the way I solved it with the "CurrentTimeSegments" properties and so on. These properties don't really exist on the model objects in the first place, I added them in partial classes to have somewhere to put the filtered results for each part of the nested object chain... Any ideas?

    Read the article

  • Calc_Anniversary Function with a Loop

    - by Rachel Ann Arndt
    Name: Calc_Anniversary Input: Pay_Date, Hire_Date, Termination_Date Output: "Y" if is the anniversary of the employee's Hire_Date, "N" if it is not, and "T" if he has been terminated before his anniversary. Description: Create local variables to hold the month and day of the employee's Date_of_Hire, Termination_Date, and of the processing date using the TO_CHAR function. First check to see if he was terminated before his anniversary. The anniversary could be on any day during the pay period, so there will be a loop to check all 14 days in the pay period to see if one was his anniversary. CREATE OR replace FUNCTION Calc_anniversary( incoming_anniversary_date IN VARCHAR2) RETURN BOOLEAN IS hiredate VARCHAR2(20); terminationdate VARCHAR(20); employeeid VARCHAR2(38); paydate NUMBER := 0; BEGIN SELECT Count(arndt_raw_time_sheet_data.pay_date) INTO paydate FROM arndt_raw_time_sheet_data; WHILE paydate <= 14 LOOP SELECT To_char(employee_id, '999'), To_char(hire_date, 'DD-MON'), To_char(termination_date, 'DD-MON') INTO employeeid, hiredate, terminationdate FROM employees, time_sheet WHERE employees.employee_id = time_sheet.employee_id AND paydate = pay_date; IF terminationdate > hiredate THEN RETURN 'T'; ELSE IF To_char(SYSDATE, 'DD-MON') = To_char(hiredate, 'DD-MON')THEN RETURN 'Y'; ELSE RETURN 'N'; END IF; END IF; paydate := paydate + 1; END LOOP; END; I need help with the loop..

    Read the article

  • How to speed-up python nested loop?

    - by erich
    I'm performing a nested loop in python that is included below. This serves as a basic way of searching through existing financial time series and looking for periods in the time series that match certain characteristics. In this case there are two separate, equally sized, arrays representing the 'close' (i.e. the price of an asset) and the 'volume' (i.e. the amount of the asset that was exchanged over the period). For each period in time I would like to look forward at all future intervals with lengths between 1 and INTERVAL_LENGTH and see if any of those intervals have characteristics that match my search (in this case the ratio of the close values is greater than 1.0001 and less than 1.5 and the summed volume is greater than 100). My understanding is that one of the major reasons for the speedup when using NumPy is that the interpreter doesn't need to type-check the operands each time it evaluates something so long as you're operating on the array as a whole (e.g. numpy_array * 2), but obviously the code below is not taking advantage of that. Is there a way to replace the internal loop with some kind of window function which could result in a speedup, or any other way using numpy/scipy to speed this up substantially in native python? Alternatively, is there a better way to do this in general (e.g. will it be much faster to write this loop in C++ and use weave)? ARRAY_LENGTH = 500000 INTERVAL_LENGTH = 15 close = np.array( xrange(ARRAY_LENGTH) ) volume = np.array( xrange(ARRAY_LENGTH) ) close, volume = close.astype('float64'), volume.astype('float64') results = [] for i in xrange(len(close) - INTERVAL_LENGTH): for j in xrange(i+1, i+INTERVAL_LENGTH): ret = close[j] / close[i] vol = sum( volume[i+1:j+1] ) if ret > 1.0001 and ret < 1.5 and vol > 100: results.append( [i, j, ret, vol] ) print results

    Read the article

  • Using JMX classes to notify on events over time

    - by Cincinnati Joe
    I've been looking at JMX for monitoring application and system metrics (partially because MBeans can accessed by various tools such as JConsole). It would seem like the classes included with JMX would be useful for things like notification when metrics have exceeded thresholds. But I'm not sure they fit with the way I want to measure these over a specified time period. For example, let's say I want to notify an admin when the average CPU load is over 95% for more than 5 minutes. Is that something can be done with a GaugeMonitor? From the docs, it doesn't seem quite suited for this, and I'm wondering if instead I should write my own MBean with the necessary logic. A more relevant example is when the login times for users exceed 10s over a period of 5 mins. Slightly different would be the last 20 logins took more than 10s on average. Another case would be when a process crashes 4+ times in an hour. Or the request queue exceeds 15 for 5 mins. Are the JMX Monitor classes useful for this kind of thing?

    Read the article

  • Loading user control dynamically looses data

    - by user228777
    I have a created a user control. This user control I dynamically load on a page inside Telerik Panelbar control. I have done all necessary coding to save the viewstate and load this dynamically created usercontrol every time page loads. On this User control I have a asp panel. By default this panel is invisible. When user clicks a button on this user control panel is made visible. On page load of this user control I populate all the controls on this panel. Everything works fine if I don’t load this use control dynamically but when I load this user control dynamically and if I make panel visible by default then only all fields on the panel are populated. But if I make by default invisible and on button click make panel visible none of the text boxes or comboboxes are populated. I populate comboboxes on page load of the userControl but inbetween postbacks all the comboboxes on the user control loose data. ON the parent page I am saving the viewstate This is my code on parent page to dynamically load userControl ( which has panel on it) Dim ucPiggyBank As SubscriberSetupPages_UserControls_PiggyBank = CType(LoadControl("~/SubscriberSetupPages/UserControls/PiggyBank.ascx"), SubscriberSetupPages_UserControls_PiggyBank) With ucPiggyBank .PiggyBankID = account.Id .ID = account.Id.ToString 'Setting up following 3 properties here to avoid database trips .PiggyBankEligibleAccounts = piggyBankEligibleAccountCollection .MemorizedNames = memorizednames .Period = period End With radPanelNewChild.Controls.Add(ucPiggyBank) radPanelNew.Items.Add(radPanelNewChild) radPanelNew.Expanded = True ‘this is the Panel item on parent page of Telerik Panelbar control. Dim radPanelPiggyBank As RadPanelItem = DirectCast(pnlbarPiggyBank.FindItemByValue("TestItem"), RadPanelItem) With radPanelPiggyBank .Items.Add(radPanelNew) .DataBind() End With ‘I am doing everything for saving viewstate on parent control This is the code on page load of userControl If Not IsPostBack Then If m_PiggyBankID <> Guid.Empty Then 'Load data Call GetPiggyBankDetails() End If I have a edit button on the user control which makes panel visible. It makes panel visible but with no data. Can you please tell me what’s happening? Thanks in advance.

    Read the article

  • What, if any, printable character did a user type based on the values in a given System.Windows.Form

    - by Corey Trager
    As a workaround for a problem, I think I have to handle KeyDown events to get the printable character the user actually typed. KeyDown supplies me with a KeyEventArgs object with the properities KeyCode, KeyData, KeyValue, Modifiers, Alt, Shift, Control. My first attempt was just to consider the KeyCode to be the ascii code, but KeyCode on my keyboard is 46, a period ("."), so I end up printing a period when the user types the delete key. So, I know my logic is inadequate. (For those who are curious, the problem is that I have my own combobox in a DataGridView's control collection and somehow SOME characters I type don't produce the KeyPress and TextChanged ComboBox events. These letters include Q, $, %.... This code will reproduce the problem. Generate a Form App and replace the ctor with this code. Run it, and try typing the letter Q into the two comboxes. public partial class Form1 : Form { ComboBox cmbInGrid; ComboBox cmbNotInGrid; DataGridView grid; public Form1() { InitializeComponent(); grid = new DataGridView(); cmbInGrid = new ComboBox(); cmbNotInGrid = new ComboBox(); cmbInGrid.Items.Add("a"); cmbInGrid.Items.Add("b"); cmbNotInGrid.Items.Add("c"); cmbNotInGrid.Items.Add("d"); this.Controls.Add(cmbNotInGrid); this.Controls.Add(grid); grid.Location = new Point(0, 100); this.grid.Controls.Add(cmbInGrid); }

    Read the article

  • SQL Server job (stored proc) trace

    - by Jit
    Hi Friends, I need your suggestion on tracing the issue. We are running data load jobs at early morning and loading the data from Excel file into SQL Server 2005 db. When job runs on production server, many times it takes 2 to 3 hours to complete the tasks. We could drill down to one job step which is taking 99% of the total time to finish. While running the job step (stored procs) on staging environment (with the same production database restored) takes 9 to 10 minutes, the same takes hours on production server when it run at early morning as part of job. The production server always stuck up at the very job step. I would like to run trace on the very job step (around 10 stored procs run for each user in while loop within the job step) and collect the info to figure out the issue. What are the ways available in SQL Server 2005 to achieve the same? I want to run the trace only for these SPs and not for certain period time period on production server, as trace give lots of information and it becomes very difficult for me (as not being DBA) to analyze that much of trace information and figure out the issue. So I want to collect info about specific SPs only. Let me know what you suggest. Appreciate your time and help. Thanks.

    Read the article

  • How to write these two queries for a simple data warehouse, using ANSI SQL?

    - by morpheous
    I am writing a simple data warehouse that will allow me to query the table to observe periodic (say weekly) changes in data, as well as changes in the change of the data (e.g. week to week change in the weekly sale amount). For the purposes of simplicity, I will present very simplified (almost trivialized) versions of the tables I am using here. The sales data table is a view and has the following structure: CREATE TABLE sales_data ( sales_time date NOT NULL, sales_amt double NOT NULL ) For the purpose of this question. I have left out other fields you would expect to see - like product_id, sales_person_id etc, etc, as they have no direct relevance to this question. AFAICT, the only fields that will be used in the query are the sales_time and the sales_amt fields (unless I am mistaken). I also have a date dimension table with the following structure: CREATE TABLE date_dimension ( id integer NOT NULL, datestamp date NOT NULL, day_part integer NOT NULL, week_part integer NOT NULL, month_part integer NOT NULL, qtr_part integer NOT NULL, year_part integer NOT NULL, ); which partition dates into reporting ranges. I need to write queries that will allow me to do the following: Return the change in week on week sales_amt for a specified period. For example the change between sales today and sales N days ago - where N is a positive integer (N == 7 in this case). Return the change in change of sales_amt for a specified period. For in (1). we calculated the week on week change. Now we want to know how that change is differs from the (week on week) change calculated last week. I am stuck however at this point, as SQL is my weakest skill. I would be grateful if an SQL master can explain how I can write these queries in a DB agnostic way (i.e. using ANSI SQL).

    Read the article

  • Check if DateTime in specific range

    - by katit
    Need to check if DateTime is in specific range. I think I need to calculate knowing YEAR first and last date of DST time in this year. How would I figure "Sunday of week 2 of March" date? From 1/1/2007 12:00:00 AM to 12/31/9999 12:00:00 AM Begins at 2:00 AM on Sunday of week 2 of March Ends at 2:00 AM on Sunday of week 1 of November For example, I need to check if 11/21/2011 is between Sunday of week 2 in March and Sunday of week 1 of November - answer should be NO If I pass 8/8/2011 - answer should be yes. Basically, I need to write function to check if my date belongs to daylight savings time. My only idea so far is to write loops to find 2nd week for example. So, I would loop from Day 1 in March until I hit Sunday second time. Same thing I would loop (increment days by 1) from day 1 of November until I hit Sunday first time. In another words, I need function to check if input data is in Daylight Savings time period. Time period defined by constraint above. P.S. I can't use TimeZoneInfo since it's in Silverlight P.P.S I can't use DateTime.IsDaylightSavingsTime as I don't have times with kind "local"

    Read the article

  • Indexing table with duplicates MySQL/MSSQL with millions of records

    - by Tesnep
    I need help in indexing in MySQL. I have a table in MySQL with following rows: ID Store_ID Feature_ID Order_ID Viewed_Date Deal_ID IsTrial The ID is auto generated. Store_ID goes from 1 - 8. Feature_ID from 1 - let's say 100. Viewed Date is Date and time on which the data is inserted. IsTrial is either 0 or 1. You can ignore Order_ID and Deal_ID from this discussion. There are millions of data in the table and we have a reporting backend that needs to view the number of views in a certain period or overall where trial is 0 for a particular store id and for a particular feature. The query takes the form of: select count(viewed_date) from theTable where viewed_date between '2009-12-01' and '2010-12-31' and store_id = '2' and feature_id = '12' and Istrial = 0 In MSSQL you can have a filtered index to use for Istrial. Is there anything similar to this in MySQL? Also, Store_ID and Feature_ID have a lot of duplicate data. I created an index using Store_ID and Feature_ID. Although this seems to have decreased the search period, I need better improvement than this. Right now I have more than 4 million rows. To search for a particular query like the one above, it looks at 3.5 million rows in order to give me the count of 500k rows. PS. I forgot to add view_date filter in the query. Now I have done this.

    Read the article

  • Application logic for invoicing and subscriptions?

    - by Industrial
    Hi everyone, We're just in the planning stage of a web app that offers subscriptions to our customers. The subscription periods varies and can be prolonged indefinitely by our customers, but are always at least one month (30 days). When a customer signs up, the customer information (billing address, phone number and so on) are stored in a customers table and a subscription is created in the subscriptions table: id | start_date | end_date | customer_id -------------------------------------------------------- 1 | 2010-12-31 | 2011-01-31 | 1 Every month we'll loop through the subscriptions table (cronjob preferably) and create invoices for the past subscription period, which are housed in their own table - invoices. Depending on the customer, invoices are manually printed out and sent by mail, or just emailed to the customer. Due to the nature of our customers and the product, we need to offer a variety of different payment alternatives including wire transfer and card payments, hence some invoices may need to be manually handled and registered as paid by our staff. The 15th every month, the invoices table are looped through and if no payment has been marked for the actual invoice, the according subscription will be removed. If there's a payment registered, the end_date in the subscriptions table is incremented by another 30 days (or what now our period our customer has chosen). Are we looking at headaches by incrementing dates forwards and backwards to handle non-paying customers and extending subscriptions? Would it be a better idea to add new subscriptions as customers extends their subscription?

    Read the article

  • Measuring the CPU frequency scaling effect

    - by Bryan Fok
    Recently I am trying to measure the effect of the cpu scaling. Is it accurate if I use this clock to measure it? template<std::intmax_t clock_freq> struct rdtsc_clock { typedef unsigned long long rep; typedef std::ratio<1, clock_freq> period; typedef std::chrono::duration<rep, period> duration; typedef std::chrono::time_point<rdtsc_clock> time_point; static const bool is_steady = true; static time_point now() noexcept { unsigned lo, hi; asm volatile("rdtsc" : "=a" (lo), "=d" (hi)); return time_point(duration(static_cast<rep>(hi) << 32 | lo)); } }; Update: According to the comment from my another post, I believe redtsc cannot use for measure the effect of cpu frequency scaling because the counter from the redtsc does not affected by the CPU frequency, am i right?

    Read the article

  • Indexing table with duplicates MySQL/SQL Server with millions of records

    - by Tesnep
    I need help in indexing in MySQL. I have a table in MySQL with following rows: ID Store_ID Feature_ID Order_ID Viewed_Date Deal_ID IsTrial The ID is auto generated. Store_ID goes from 1 - 8. Feature_ID from 1 - let's say 100. Viewed Date is Date and time on which the data is inserted. IsTrial is either 0 or 1. You can ignore Order_ID and Deal_ID from this discussion. There are millions of data in the table and we have a reporting backend that needs to view the number of views in a certain period or overall where trial is 0 for a particular store id and for a particular feature. The query takes the form of: select count(viewed_date) from theTable where viewed_date between '2009-12-01' and '2010-12-31' and store_id = '2' and feature_id = '12' and Istrial = 0 In SQL Server you can have a filtered index to use for Istrial. Is there anything similar to this in MySQL? Also, Store_ID and Feature_ID have a lot of duplicate data. I created an index using Store_ID and Feature_ID. Although this seems to have decreased the search period, I need better improvement than this. Right now I have more than 4 million rows. To search for a particular query like the one above, it looks at 3.5 million rows in order to give me the count of 500k rows. PS. I forgot to add view_date filter in the query. Now I have done this.

    Read the article

< Previous Page | 38 39 40 41 42 43 44 45 46 47 48 49  | Next Page >