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  • Type Mismatch using VBScript to create Pivot Table/Chart

    - by Rodricks
    I get Run time error:Type mismatch for the following code: Dim Field Field="Gen8" '''' ============================================================================== EXCEL Sheet '==============Errors -Stacked Chart by Year and Week --ALL WEEKS ''''=================================================== objExcel.ActiveWorkbook.Worksheets.Add SheetNumber = SheetNumber ' add adds in front so sheetnumber stays 1 objExcel.Sheets(SheetNumber).Select objExcel.Sheets(SheetNumber).Activate objExcel.Sheets(SheetNumber).Name = "YRWk" SheetName = "SYS_Product_YRWeeks" '============== strSQLCustomers = "select isnull(AB.Week,D.Week_Num) AS YRWk,ISNULL(AB.UnCorrectable,0) as UE," & _ "isnull(AB.Correctable,0) as CE, isnull(AB.SYS_Product,'" & Field & "'" & _ ") as SYS_Product from AHS_Dates D Left Join (select * from P_tot where " & _ "SYS_Product = '" & Field & "'" & _ " ) AB on AB.Year_=D.Year_ and AB.Week=D.Week_Num order by YRWk" FetchData2.Open strSQLCustomers, openConnection, adOpenStatic, adLockReadOnly If FetchData2.RecordCount > 0 Then **objExcel.ActiveWorkbook.Connections.Add SheetName, "", _ Array(Array( _ "ODBC;DRIVER=SQL Server Native Client 10.0;SERVER=" & sServerIP & ";TimeOut=5000000; Trusted_Connection=Yes;Integrated Security=SSPI;" _ ), Array("DATABASE=" & sDataBaseName & ";")), Array(strSQLCustomers), 2** objExcel.ActiveWorkbook.PivotCaches.Create(SourceType:=xlExternal, SourceData:= _ objExcel.ActiveWorkbook.Connections(SheetName), Version:= _ xlPivotTableVersion14).CreatePivotTable TableDestination:=objExcel.Sheets(SheetNumber).Name & "!R3C7", _ TableName:="PivotTable" & SheetNumber, DefaultVersion:=xlPivotTableVersion14 Set ws = objExcel.ActiveWorkbook.Worksheets(objExcel.Sheets(SheetNumber).Name) objExcel.Cells(3, 7).Select ws.Shapes.AddChart.Select objExcel.ActiveWorkbook.ActiveChart.ChartType = xlAreaStacked objExcel.ActiveWorkbook.ActiveChart.SetSourceData Source:=ws.Range(objExcel.Sheets(SheetNumber).Name & "!$G$3:$I$20") With ws.PivotTables("PivotTable1").PivotFields("SYS_PRoduct") .Orientation = xlColumnField .Position = 1 End With With ws.PivotTables("PivotTable1").PivotFields("YRWk") .Orientation = xlRowField .Position = 1 End With ' With ws.PivotTables("PivotTable1").PivotFields("Year_") ' .Orientation = xlRowField ' .Position = 2 ' End With objExcel.ActiveWorkbook.ActiveChart.ChartTitle.Text = " Errors by Week and Year -ALLWEEKS" ws.PivotTables("PivotTable1").AddDataField ws.PivotTables( _ "PivotTable1").PivotFields("UE"), "Sum of UnCorrectable", xlSum ws.PivotTables("PivotTable1").AddDataField ws.PivotTables( _ "PivotTable1").PivotFields("CE"), "Sum of Correctable", xlSum End If ''MsgBox (FetchData2.RecordCount) FetchData2.Close I have used the same pivot chart + table in other slides. The problem I think is the query length My question: 1.Is there a better way for me to access the query results. Would appreciate the steps if any. 2.If I can make it a procedure how do I modify the pivot chart/table creation. Thanks. The query results with all 52 weeks: Week UE CE SYS_Product(or Field) 1 0 0 Gen8 2 0 0 Gen8 3 0 0 Gen8 4 0 0 Gen8 5 0 0 Gen8 6 0 0 Gen8

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  • How to switch from Core Data automatic lightweight migration to manual?

    - by Jaanus
    My situation is similar to this question. I am using lightweight migration with the following code, fairly vanilla from Apple docs and other SO threads. It runs upon app startup when initializing the Core Data stack. NSDictionary *options = [NSDictionary dictionaryWithObjectsAndKeys: [NSNumber numberWithBool:YES], NSMigratePersistentStoresAutomaticallyOption, [NSNumber numberWithBool:YES], NSInferMappingModelAutomaticallyOption, nil]; NSError *error = nil; NSString *storeType = nil; if (USE_SQLITE) { // app configuration storeType = NSSQLiteStoreType; } else { storeType = NSBinaryStoreType; } persistentStoreCoordinator = [[NSPersistentStoreCoordinator alloc] initWithManagedObjectModel:[self managedObjectModel]]; // the following line sometimes crashes on app startup if (![persistentStoreCoordinator addPersistentStoreWithType:storeType configuration:nil URL:[self persistentStoreURL] options:options error:&error]) { // handle the error } For some users, especially with slower devices, I have crashes confirmed by logs at the indicated line. I understand that a fix is to switch this to manual mapping and migration. What is the recipe to do that? The long way for me would be to go through all Apple docs, but I don't recall there being good examples and tutorials specifically for schema migration.

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  • Core data migration failing with "Can't find model for source store" but managedObjectModel for source is present

    - by Ira Cooke
    I have a cocoa application using core-data, which is now at the 4th version of its managed object model. My managed object model contains abstract entities but so far I have managed to get migration working by creating appropriate mapping models and creating my persistent store using addPersistentStoreWithType:configuration:options:error and with the NSMigratePersistentStoresAutomaticallyOption set to YES. NSDictionary *optionsDictionary = [NSDictionary dictionaryWithObject:[NSNumber numberWithBool:YES] forKey:NSMigratePersistentStoresAutomaticallyOption]; NSURL *url = [NSURL fileURLWithPath: [applicationSupportFolder stringByAppendingPathComponent: @"MyApp.xml"]]; NSError *error=nil; [theCoordinator addPersistentStoreWithType:NSXMLStoreType configuration:nil URL:url options:optionsDictionary error:&error] This works fine when I migrate from model version 3 to 4, which is a migration that involves adding attributes to several entities. Now when I try to add a new model version (version 5), the call to addPersistentStoreWithType returns nil and the error remains empty. The migration from 4 to 5 involves adding a single attribute. I am struggling to debug the problem and have checked all the following; The source database is in fact at version 4 and the persistentStoreCoordinator's managed object model is at version 5. The 4-5 mapping model as well as managed object models for versions 4 and 5 are present in the resources folder of my built application. I've tried various model upgrade paths. Strangely I find that upgrading from an early version 3 - 5 works .. but upgrading from 4 - 5 fails. I've tried adding a custom entity migration policy for migration of the entity whose attributes are changing ... in this case I overrode the method beginEntityMapping:manager:error: . Interestingly this method does get called when migration works (ie when I migrate from 3 to 4, or from 3 to 5 ), but it does not get called in the case that fails ( 4 to 5 ). I'm pretty much at a loss as to where to proceed. Any ideas to help debug this problem would be much appreciated.

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  • Excel - Best Way to Connect With Access Data

    - by gamerzfuse
    Hello there, Here is the situation we have: a) I have an Access database / application that records a significant amount of data. Significant fields would be hours, # of sales, # of unreturned calls, etc b) I have an Excel document that connects to the Access database and pulls data in to visualize it As it stands now, the Excel file has a Refresh button that loads new data. The data is loaded into a large PivotTable. The main 'visual form' then uses VLOOKUP to get the results from the form, based on the related hours. This operation is slow (~10 seconds) and seems to be redundant and inefficient. Is there a better way to do this? I am willing to go just about any route - just need directions. Thanks in advance! Update: I have confirmed (due to helpful comments/responses) that the problem is with the data loading itself. removing all the VLOOKUPs only took a second or two out of the load time. So, the questions stands as how I can rapidly and reliably get the data without so much time involvement (it loads around 3000 records into the PivotTables).

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  • Bridging the Gap in Cloud, Big Data, and Real-time

    - by Dain C. Hansen
    Normal 0 false false false EN-US X-NONE X-NONE /* Style Definitions */ table.MsoNormalTable {mso-style-name:"Table Normal"; mso-tstyle-rowband-size:0; mso-tstyle-colband-size:0; mso-style-noshow:yes; mso-style-priority:99; mso-style-qformat:yes; mso-style-parent:""; mso-padding-alt:0in 5.4pt 0in 5.4pt; mso-para-margin:0in; mso-para-margin-bottom:.0001pt; mso-pagination:widow-orphan; font-size:10.0pt; font-family:"Calibri","sans-serif"; mso-bidi-font-family:"Times New Roman";} With all the buzz of around big data and cloud computing, it is easy to overlook one of your most precious commodities—your data. Today’s businesses cannot stand still when it comes to data. Market success now depends on speed, volume, complexity, and keeping pace with the latest data integration breakthroughs. Are you up to speed with big data, cloud integration, real-time analytics? Join us in this three part blog series where we’ll look at each component in more detail. Meet us online on October 24th where we’ll take your questions about what issues you are facing in this brave new world of integration. Let’s start first with Cloud. What happens with your data when you decide to implement a private cloud architecture? Or public cloud? Data integration solutions play a vital role migrating data simply, efficiently, and reliably to the cloud; they are a necessary ingredient of any platform as a service strategy because they support cloud deployments with data-layer application integration between on-premise and cloud environments of all kinds. For private cloud architectures, consolidation of your databases and data stores is an important step to take to be able to receive the full benefits of cloud computing. Private cloud integration requires bidirectional replication between heterogeneous systems to allow you to perform data consolidation without interrupting your business operations. In addition, integrating data requires bulk load and transformation into and out of your private cloud is a crucial step for those companies moving to private cloud. In addition, the need for managing data services as part of SOA/BPM solutions that enable agile application delivery and help build shared data services for organizations. But what about public Cloud? If you have moved your data to a public cloud application, you may also need to connect your on-premise enterprise systems and the cloud environment by moving data in bulk or as real-time transactions across geographies. For public and private cloud architectures both, Oracle offers a complete and extensible set of integration options that span not only data integration but also service and process integration, security, and management. For those companies investing in Oracle Cloud, you can move your data through Oracle SOA Suite using REST APIs to Oracle Messaging Cloud Service —a new service that lets applications deployed in Oracle Cloud securely and reliably communicate over Java Messaging Service . As an example of loading and transforming data into other public clouds, Oracle Data Integrator supports a knowledge module for Salesforce.com—now available on AppExchange. Other third-party knowledge modules are being developed by customers and partners every day. To learn more about how to leverage Oracle’s Data Integration products for Cloud, join us live: Data Integration Breakthroughs Webcast on October 24th 10 AM PST.

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  • How to Secure a Data Role by Multiple Business Units

    - by Elie Wazen
    In this post we will see how a Role can be data secured by multiple Business Units (BUs).  Separate Data Roles are generally created for each BU if a corresponding data template generates roles on the basis of the BU dimension. The advantage of creating a policy with a rule that includes multiple BUs is that while mapping these roles in HCM Role Provisioning Rules, fewer number of entires need to be made. This could facilitate maintenance for enterprises with a large number of Business Units. Note: The example below applies as well if the securing entity is Inventory Organization. Let us take for example the case of a user provisioned with the "Accounts Payable Manager - Vision Operations" Data Role in Fusion Applications. This user will be able to access Invoices in Vision Operations but will not be able to see Invoices in Vision Germany. Figure 1. A User with a Data Role restricting them to Data from BU: Vision Operations With the role granted above, this is what the user will see when they attempt to select Business Units while searching for AP Invoices. Figure 2.The List Of Values of Business Units is limited to single one. This is the effect of the Data Role granted to that user as can be seen in Figure 1 In order to create a data role that secures by multiple BUs,  we need to start by creating a condition that groups those Business Units we want to include in that data role. This is accomplished by creating a new condition against the BU View .  That Condition will later be used to create a data policy for our newly created Role.  The BU View is a Database resource and  is accessed from APM as seen in the search below Figure 3.Viewing a Database Resource in APM The next step is create a new condition,  in which we define a sql predicate that includes 2 BUs ( The ids below refer to Vision Operations and Vision Germany).  At this point we have simply created a standalone condition.  We have not used this condition yet, and security is therefore not affected. Figure 4. Custom Role that inherits the Purchase Order Overview Duty We are now ready to create our Data Policy.  in APM, we search for our newly Created Role and Navigate to “Find Global Policies”.  we query the Role we want to secure and navigate to view its global policies. Figure 5. The Job Role we plan on securing We can see that the role was not defined with a Data Policy . So will create one that uses the condition we created earlier.   Figure 6. Creating a New Data Policy In the General Information tab, we have to specify the DB Resource that the Security Policy applies to:  In our case this is the BU View Figure 7. Data Policy Definition - Selection of the DB Resource we will secure by In the Rules Tab, we  make the rule applicable to multiple values of the DB Resource we selected in the previous tab.  This is where we associate the condition we created against the BU view to this data policy by entering the Condition name in the Condition field Figure 8. Data Policy Rule The last step of Defining the Data Policy, consists of  explicitly selecting  the Actions that are goverened by this Data Policy.  In this case for example we select the Actions displayed below in the right pane. Once the record is saved , we are ready to use our newly secured Data Role. Figure 9. Data Policy Actions We can now see a new Data Policy associated with our Role.  Figure 10. Role is now secured by a Data Policy We now Assign that new Role to the User.  Of course this does not have to be done in OIM and can be done using a Provisioning Rule in HCM. Figure 11. Role assigned to the User who previously was granted the Vision Ops secured role. Once that user accesses the Invoices Workarea this is what they see: In the image below the LOV of Business Unit returns the two values defined in our data policy namely: Vision Operations and Vision Germany Figure 12. The List Of Values of Business Units now includes the two we included in our data policy. This is the effect of the data role granted to that user as can be seen in Figure 11

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  • First Day of Data Integration Track at Oracle OpenWorld 2012

    - by Irem Radzik
    OpenWorld started full speed for us today with a great set of sessions in the Data Integration track. After the exciting keynote session on Oracle Database 12c in the morning; Brad Adelberg, VP of Development for Data Integration products, presented Oracle’s data integration product strategy. His session highlighted the new requirements for data integration to achieve pervasive and continuous access to trusted data. The new requirements and product focus areas presented in this session are: Provide access to any data at any source On premise or on cloud Enable zero downtime operations and maximum performance Leverage real-time data for accurate business insights And ensure high quality data is used across the enterprise During the session Brad walked over how Oracle’s data integration products, Oracle Data Integrator, Oracle GoldenGate, Oracle Enterprise Data Quality, and Oracle Data Service Integrator, deliver on these requirements and how recent product releases build on this strategy. Soon after Brad’s session we heard from a panel of Oracle GoldenGate customers, St. Jude Medical, Equifax, and Bank of America, how they achieved zero downtime operations using Oracle GoldenGate. The panel presented different use cases of GoldenGate, from Active-Active replication to offloading reporting. Especially St. Jude Medical’s implementation, which involves the alert management system for patients that use their pacemakers, reminded me in some cases downtime of mission-critical systems can be a matter of life or death. It is very comforting to hear that GoldenGate delivers highly-reliable continuous availability for life-saving medical systems. In the afternoon, Nick Wagner from the Product Management team and I followed the customer panel with the review of Oracle GoldenGate 11gR2’s New Features.  Many questions we received from audience were about GoldenGate’s new Integrated Capture for Oracle Database and the enhanced Conflict Management features, as well as how GoldenGate compares to Oracle Streams. In addition to giving details on GoldenGate’s unique capability to capture changed data with a direct integration to the Oracle DBMS engine, we reminded the audience that enhancements to Oracle GoldenGate will continue, while Streams will be primarily maintained. Last but not least, Tim Garrod and Ryan Fonnett from Raymond James presented a unified real-time data integration solution using Oracle Data Integrator and GoldenGate for their operational data store (ODS). The ODS supports application services across the enterprise and providing timely data is a critical requirement. In this solution, Oracle GoldenGate does the log-based change data capture for Oracle Data Integrator’s near real-time data integration between heterogeneous systems. As Raymond James’ ODS supports mission-critical services for their advisors, the project team had to set up this integration environment to be highly available. During the session, Ryan and Tim explained how they use ODI to enable automated process execution and “always-on” integration processes. Their presentation included 2 demonstrations that focused on CDC patterns deployed with ODI and the automated multi-instance execution and monitoring. We are very grateful to Tim and Ryan for their very-well prepared presentation at OpenWorld this year. Day 2 (Tuesday) will be also a busy day in our track. In addition to the Fusion Middleware Innovation Awards ceremony at 11:45am at Moscone West 3001, we have the following DI sessions Real-World Operational Reporting Customer Panel 11:45am Moscone West- 3005 Oracle Data Integrator Product Update and Future Strategy 1:15pm Moscone West- 3005 High-volume OLTP with Oracle GoldenGate: Best Practices from Comcast 1:15pm Moscone West- 3005 Everything You need to Know about Monitoring Oracle GoldenGate 5pm Moscone West-3005 If you are at OpenWorld please join us in these sessions. For a full review of data integration track at OpenWorld please see our Focus-On document.

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  • Design Pattern for Complex Data Modeling

    - by Aaron Hayman
    I'm developing a program that has a SQL database as a backing store. As a very broad description, the program itself allows a user to generate records in any number of user-defined tables and make connections between them. As for specs: Any record generated must be able to be connected to any other record in any other user table (excluding itself...the record, not the table). These "connections" are directional, and the list of connections a record has is user ordered. Moreover, a record must "know" of connections made from it to others as well as connections made to it from others. The connections are kind of the point of this program, so there is a strong possibility that the number of connections made is very high, especially if the user is using the software as intended. A record's field can also include aggregate information from it's connections (like obtaining average, sum, etc) that must be updated on change from another record it's connected to. To conserve memory, only relevant information must be loaded at any one time (can't load the entire database in memory at load and go from there). I cannot assume the backing store is local. Right now it is, but eventually this program will include syncing to a remote db. Neither the user tables, connections or records are known at design time as they are user generated. I've spent a lot of time trying to figure out how to design the backing store and the object model to best fit these specs. In my first design attempt on this, I had one object managing all a table's records and connections. I attempted this first because it kept the memory footprint smaller (records and connections were simple dicts), but maintaining aggregate and link information between tables became....onerous (ie...a huge spaghettified mess). Tracing dependencies using this method almost became impossible. Instead, I've settled on a distributed graph model where each record and connection is 'aware' of what's around it by managing it own data and connections to other records. Doing this increases my memory footprint but also let me create a faulting system so connections/records aren't loaded into memory until they're needed. It's also much easier to code: trace dependencies, eliminate cycling recursive updates, etc. My biggest problem is storing/loading the connections. I'm not happy with any of my current solutions/ideas so I wanted to ask and see if anybody else has any ideas of how this should be structured. Connections are fairly simple. They contain: fromRecordID, fromTableID, fromRecordOrder, toRecordID, toTableID, toRecordOrder. Here's what I've come up with so far: Store all the connections in one big table. If I do this, either I load all connections at once (one big db call) or make a call every time a user table is loaded. The big issue here: the size of the connections table has the potential to be huge, and I'm afraid it would slow things down. Store in separate tables all the outgoing connections for each user table. This is probably the worst idea I've had. Now my connections are 'spread out' over multiple tables (one for each user table), which means I have to make a separate DB called to each table (or make a huge join) just to find all the incoming connections for a particular user table. I've avoided making "one big ass table", but I'm not sure the cost is worth it. Store in separate tables all outgoing AND incoming connections for each user table (using a flag to distinguish between incoming vs outgoing). This is the idea I'm leaning towards, but it will essentially double the total DB storage for all the connections (as each connection will be stored in two tables). It also means I have to make sure connection information is kept in sync in both places. This is obviously not ideal but it does mean that when I load a user table, I only need to load one 'connection' table and have all the information I need. This also presents a separate problem, that of connection object creation. Since each user table has a list of all connections, there are two opportunities for a connection object to be made. However, connections objects (designed to facilitate communication between records) should only be created once. This means I'll have to devise a common caching/factory object to make sure only one connection object is made per connection. Does anybody have any ideas of a better way to do this? Once I've committed to a particular design pattern I'm pretty much stuck with it, so I want to make sure I've come up with the best one possible.

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  • ADO.NET Data Services Entity Framework request error when property setter is internal

    - by Jim Straatman
    I receive an error message when exposing an ADO.NET Data Service using an Entity Framework data model that contains an entity (called "Case") with an internal setter on a property. If I modify the setter to be public (using the entity designer), the data services works fine. I don’t need the entity "Case" exposed in the data service, so I tried to limit which entities are exposed using SetEntitySetAccessRule. This didn’t work, and service end point fails with the same error. public static void InitializeService(IDataServiceConfiguration config) { config.SetEntitySetAccessRule("User", EntitySetRights.AllRead); } The error message is reported in a browser when the .svc endpoint is called. It is very generic, and reads “Request Error. The server encountered an error processing the request. See server logs for more details.” Unfortunately, there are no entries in the System and Application event logs. I found this stackoverflow question that shows how to configure tracing on the service. After doing so, the following NullReferenceExceptoin error was reported in the trace log. Does anyone know how to avoid this exception when including an entity with an internal setter? Blockquote 131076 3 0 2 MOTOJIM http://msdn.microsoft.com/en-US/library/System.ServiceModel.Diagnostics.TraceHandledException.aspx Handling an exception. 685a2910-19-128703978432492675 System.NullReferenceException, mscorlib, Version=2.0.0.0, Culture=neutral, PublicKeyToken=b77a5c561934e089 Object reference not set to an instance of an object. at System.Data.Services.Providers.ObjectContextServiceProvider.PopulateMemberMetadata(ResourceType resourceType, MetadataWorkspace workspace, IDictionary2 entitySets, IDictionary2 knownTypes) at System.Data.Services.Providers.ObjectContextServiceProvider.PopulateMetadata(IDictionary2 knownTypes, IDictionary2 entitySets) at System.Data.Services.Providers.BaseServiceProvider.PopulateMetadata() at System.Data.Services.DataService1.CreateProvider(Type dataServiceType, Object dataSourceInstance, DataServiceConfiguration&amp; configuration) at System.Data.Services.DataService1.EnsureProviderAndConfigForRequest() at System.Data.Services.DataService1.ProcessRequestForMessage(Stream messageBody) at SyncInvokeProcessRequestForMessage(Object , Object[] , Object[] ) at System.ServiceModel.Dispatcher.SyncMethodInvoker.Invoke(Object instance, Object[] inputs, Object[]&amp; outputs) at System.ServiceModel.Dispatcher.DispatchOperationRuntime.InvokeBegin(MessageRpc&amp; rpc) at System.ServiceModel.Dispatcher.ImmutableDispatchRuntime.ProcessMessage5(MessageRpc&amp; rpc) at System.ServiceModel.Dispatcher.ImmutableDispatchRuntime.ProcessMessage4(MessageRpc&amp; rpc) at System.ServiceModel.Dispatcher.ImmutableDispatchRuntime.ProcessMessage3(MessageRpc&amp; rpc) at System.ServiceModel.Dispatcher.ImmutableDispatchRuntime.ProcessMessage2(MessageRpc&amp; rpc) at System.ServiceModel.Dispatcher.ImmutableDispatchRuntime.ProcessMessage1(MessageRpc&amp; rpc) at System.ServiceModel.Dispatcher.MessageRpc.Process(Boolean isOperationContextSet) </StackTrace> <ExceptionString>System.NullReferenceException: Object reference not set to an instance of an object. at System.Data.Services.Providers.ObjectContextServiceProvider.PopulateMemberMetadata(ResourceType resourceType, MetadataWorkspace workspace, IDictionary2 entitySets, IDictionary2 knownTypes) at System.Data.Services.Providers.ObjectContextServiceProvider.PopulateMetadata(IDictionary2 knownTypes, IDictionary2 entitySets) at System.Data.Services.Providers.BaseServiceProvider.P

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  • Modifying LaTeX Table of Contents to add a period after chapter/table/figure number

    - by Reverend Gonzo
    I need to add a period after the chapter/table/figure number in each line in Table of Contents/LoT/LoF. ie, right now it shows: TABLES 1 first 2 second but I need it to show: TABLES 1. first 2. second I know this can be done with the tocloft package, however, that package is conflicting with the latex style I'm using, with the error: \c@lotdepth is already defined. (The style is an old style for my university's thesis format, but it's slightly out of date, so I need to make some changes to get it right. I also found that I can change thechapter/thetable/thefigure, so those contain periods. However, that then messes up my references and has the period in all of my references.

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  • Update table.column with another table.column with common joined column

    - by Matt
    Hit a speed bump, trying to update some column values in my table from another table. This is what is supposed to happen when everything works Correct all the city, state entries in tblWADonations by creating an update statement that moves the zip city from the joined city/state zip field to the tblWADonations city state TBL NAME | COLUMN NAMES tblZipcodes with zip,city,State tblWADonations with zip,oldcity,oldstate This is what I have so far: UPDATE tblWADonations SET oldCity = tblZipCodes.city, oldState = tblZipCodes.state FROM tblWADonations INNER JOIN tblZipCodes ON tblWADonations.zip = tblZipCodes.zip Where oldCity <> tblZipcodes.city; There seems to be easy ways to do this online but I am overlooking something. Tried this by hand and in editor this is what it kicks back. Msg 8152, Level 16, State 2, Line 1 String or binary data would be truncated. The statement has been terminated. Please include a sql statement or where I need to make the edit so I can mark this post as a reference in my favorites. Thanks!

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  • Simplest possible table entry editing / addition / deletion web toolkit (for use with php)

    - by Dave
    Hi, i'm building a website in php and i have tables presented that i need to allow the user to: 1. add new entry (only one at a time, which should appear as a new modal overlay) 2. delete multiple selected entries from 3. edit an existing entry (only one at one time, in a view similar to 1.) 4. re-arrange entries up and down. One by one is fine. Multiple / Grouping rearrangements are not not needed what jquery / js / anything toolkit would be the SIMPLEST to work with? (of course, i should be able to work with it in php). I did try hacking away at: http://www.ericmmartin.com/projects/simplemodal/ but had a terrible time trying to get it to work on editing some existing data (had problem passing data to it).

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  • T-SQL Table Variable Creating PHYSICAL Table!

    - by Mike
    OMG! What am I doing wrong? declare @WTF TABLE ( OrderItemId int ) SELECT TOP 20 OrderItemId as OrderItemId INTO [@WTF] FROM ac_OrderItems SELECT * FROM [@WTF] Problem A: This creates a PHYSICAL table called @WTF. WHY?? I thought this was in memory only?! Problem B: The last line of code, if I do select * from @WTF... WITHOUT the [ ], it returns NOTHING. What is the significance of the [ ]? I need serious help. I'm losing my MIND! Thanks in advance.

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  • Speeding up inner joins between a large table and a small table

    - by Zaid
    This may be a silly question, but it may shed some light on how joins work internally. Let's say I have a large table L and a small table S (100K rows vs. 100 rows). Would there be any difference in terms of speed between the following two options?: OPTION 1: OPTION 2: --------- --------- SELECT * SELECT * FROM L INNER JOIN S FROM S INNER JOIN L ON L.id = S.id; ON L.id = S.id; Notice that the only difference is the order in which the tables are joined. I realize performance may vary between different SQL languages. If so, how would MySQL compare to Access?

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  • MySQL Select Statement - Two Tables, Sort One Table by Count of Other Table

    - by Robert Boka
    So I have built a voting system for a custom post system i wrote. I want to be able to sort by "most voted", "Most liked", etc. I have two tables. Entry: ID, Title, Post Vote: ID, EntryID, Result I want to be able to query the vote table for each entry and see how many vote's there are, and then sort the entry's by how many vote's each table had. I have messed around with joins, etc. and cannot seem to figure it out. Any suggestions?

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  • The Columns in table <table> do not match an existing primary key or unique constraint

    - by Sven
    I have 2 tables, Stores - storeId (int) and year (int(4)) both Primary Keys. fruit - fruitId - Primary Key and storeId. I need to create 1 to many relationship between the Store and Fruit (Foreign Key held within Fruit) how ever I always get shown the error - The Columns in table <table> do not match an existing primary key or unique constraint. The type's are both int and named the same. Any help would be appreciate in advance, many thanks.

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  • MySQL query : all records of one table plus count of another table

    - by Ricardo
    Hello Guys! I have 2 tables: User and Picture. The Picture table has the key of the user. So basically each user can have multiple pictures, and each picture belongs to one user. Now, I am trying to make the following query: I want to select all the user info plus the total number of pictures that he has (even if it's 0). How can I do that? Probably it sounds quite simple, but I am trying and trying and can't seem to find the right query. The only thing I could select is this info, but only for users that have at least 1 picture, meaning that the Pictures table has at least one record for that key... But I also wanna consider the users that don't have any. Any idea? Thanks!

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  • Adjust CSS of all cells of a specific table without giving each cell a unique id?

    - by javanix
    Is there any way to modify the CSS properties of one table's cells based on the table's ids, rather than specific child ids? I would like to change one table's appearance (giving each cell a colored border, for instance) one way, and another table another way, but I'd like to avoid specifying an id for each cell. To be clear, I don't need to individually access each cell in the table - I just want to set all of the properties of "child" cells of various tables.

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  • Un-table a cell range in Excel 2007

    - by Joe
    In Excel 2007, if you highlight a block of cells and then "Format as Table", it doesn't just apply colors and formatting, it somehow marks those cells as being a table. Now I want to get rid of the table, but keep all the cells (i.e. keep the data). So I tried clearing the table style and formatting, but Excel still recognizes those cells as being a table. I can tell because: When I select a cell that was in the table, Excel still displays the "Table Tools / Design" tab I cannot merge cells that were in the table <- this is what's annoying me So, how do I un-table those cells? I want to keep all the cell data and formatting, but have Excel not recognize them as a table.

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  • Single Table Per Class Hierarchy with an abstract superclass using Hibernate Annotations

    - by Andy Hull
    I have a simple class hierarchy, similar to the following: @Entity @Table(name="animal") @Inheritance(strategy=InheritanceType.SINGLE_TABLE) @DiscriminatorColumn(name="animal_type", discriminatorType=DiscriminatorType.STRING) public abstract class Animal { } @Entity @DiscriminatorValue("cat") public class Cat extends Animal { } @Entity @DiscriminatorValue("dog") public class Dog extends Animal { } When I query "from Animal" I get this exception: "org.hibernate.InstantiationException: Cannot instantiate abstract class or interface: Animal" If I make Animal concrete, and add a dummy discriminator... such as @DiscriminatorValue("animal")... my query returns my cats and dogs as instances of Animals. I remember this being trivial with HBM based mappings but I think I'm missing something when using annotations. Can anyone help? Thanks!

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  • WCF Data Service Exception

    - by Ravi
    Hi, I am working on C#.Net with ADO.NET Dataservice WCF Data Services. I try to update one record to relational table, when I reach context.SetLink() I am getting exception("The context is not currently tracking the entity"). I don't know how to solve this problem. My code is specified below. LogNote dbLogNote =logNote; LogSubSession dbLogSubSession = (from p in context.LogSubSession where p.UID == logNote.SubSessionId select p).First<LogSubSession>() as LogSubSession; context.AddToLogNote(dbLogNote); dbLogNote.LogSubSession = dbLogSubSession; context.SetLink(dbLogNote, "LogSubSession", dbLogSubSession); context.SaveChanges(); Here LogSubSession is a primary table and LogNote is a foreign table. I am updating data into foreign table based on primary key table. Thanks

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  • ETL Operation - Return Primary Key

    - by user302254
    I am using Talend to populate a data warehouse. My job is writing customer data to a dimension table and transaction data to the fact table. The surrogate key (p_key) on the fact table is auto-incrementing. When I insert a new customer, I need my fact table to reflect the id of the related customer. As I mentioned my p_key is auto auto_incrementing so I can't just insert an arbitrary value for the p_key. Any thought on how I can insert a row into my dimension table and still retrieve the primary key to reference in my fact record? Thanks.

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