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  • Can not parse tabular information from html document.

    - by Harikrishna
    I am parsing many html documents.I am using html agility pack And I want to parse the tabular information from each document. And there may be any number of tables in each document.But I want to extract only one table from each document which has column header name NAME,PHONE NO,ADDRESS.And this table can be anywhere in the document,like in the document there is ten tables and from ten table there is one table which has many nested tables and from nested table there may be a table what I want to extract means table can be anywhere in the document and I want to find that table from the document by column header name.If I got that table then I want to then extract the information from that table. Now I can find the table which has column header NAME,PHONE NO,ADDRESS and also can extract the information from that.I am doing for that is, first I find the all tables in a document by foreach (var table in doc.DocumentNode.Descendants("table")) then for each table got I find the row for each table like, var rows = table.Descendants("tr"); and then for each row I am checking that row has that header name NAME,ADDRESS,PHONENO and if it is then I skip that row and extract all information after that row foreach (var row in rows.Skip(rowNo)) { var data = new List<string>(); foreach (var column in row.Descendants("td")) { data.Add(properText); } } Such that I am extracting all information from almost many document. But now problem is sometimes what happened that in some document I can not parse the information.Like a document in which there are like 10 tables and from these 10 tables 1 table is like there are many nested tables in that table. And from these nested tables I want to find the table which tabel has column header like NAME,ADDRESS,PHONE NO.So if table may be anywhere in the document even in the nested tables or anywhere it can be find through column header name.So I can parse the information from that table and skip the outer tabular information of that table.

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  • How to Create a Temporary Function in Emacs Lisp

    - by Cristian
    I'm making some tedious calls to a bunch of functions, but the parameters will be determined at runtime. I wrote a simple function to keep my code DRY but giving it a name is unnecessary. I don't use this function anywhere else. I'm trying to do it the way I would in Scheme, but I get a void-function error: (let ((do-work (lambda (x y z) (do-x x) (do-y y) ;; etc ))) (cond (test-1 (do-work 'a 'b 'c)) (test-2 (do-work 'i 'j 'k)))) I could stick it all into an apply (e.g., (apply (lambda ...) (cond ...))) but that isn't very readable. Is there a better way?

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  • Temporary debug releases and final application releases

    - by baron
    I have a quick question regarding debug and release in VS 2008. I have an app i've been working on - its not yet complete but the bulk of the functionality is there. So basically i'm trying to give a copy of it now to the person helping with documentation - just so they can have a play and get the feel for what i've made. Now the question is how to provide it to them. I was told to just copy the .exe out of the debug/bin folder and put that onto USB. But when testing, if I run this .exe anywhere else (outside of this folder) it crashes. I've now worked out why this is: var path = ConfigurationManager.AppSettings["PathToUse"]; var files = Directory.GetFiles(path); throws a null reference, so that App.config file is not being used. If I copy that file in with the .exe it works again. So actually my question is regarding the best way to manage this situation. What is the best way to provide a working copy to people, and, is there a reference on preparing apps for release - so everything is packaged together and installed in a clean structured folder heirarchy?

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  • Temporary "Backup" of SharePoint Content During Feature and Solution Deployment

    - by ccomet
    I need to decide on a method for storing a subset of the content in a SharePoint site, so that when I delete and recreate certain lists as part of a feature activation, I can re-insert all of this content back where it should belong. I have an idea myself, but I don't know if it's the only method and more importantly, the right method. My client has me creating a SharePoint system for them to communicate with their clients. The business process has maybe 5 stages in it (maybe it's more, I don't even know because they don't tell me everything), and the current system I've written over the past months is maybe 2 stages through. This meets our deadline of completing those systems by Monday next week... but at that point my client is planning on making the site live from that point. In effect, their work with their clients will be running parallel with my work for them. As I complete my own work on a separate test server, I'll push each following stage of the process onto the live server. Scheduled downtimes during non-business times (like a weekend) will be available for me to perform these pushes. Keeping pace so that my development is faster than the actual business process is my own problem and off-topic... so let's get back to the problem I stated at the start of this post. In this system, we have sets of features which will create lists for their associated content types and field types when activated, and delete these lists when the feature is deactivated. Most updates don't need to deactivate and reactivate these features, such as workflow changes, custom actions, custom forms, and similar ilk. But there are some parts which do require this. On my test server, it's okay for me to obliterate lists, but once the site is live and there's real correspondence data, it's absolutely unacceptable to do this. So when I need to implement a new change in functionality, I need to be able to store the currently present data in several lists, deactivate the feature, reactivate the feature, and restore all of this data. Perhaps I have hoist myself by my own petard with the feature system I implemented. Unfortunately, the necessity to later on make several of these "project sites" meant I had to do a lot of my code with the concept of "Can be deployed repeatedly" in mind. My current plan is to run through lists and libraries which will be affected by the particular feature that is to be reset. Files and all of their versions will be saved in a directory on the server. Then, a set of text files will be used to store all of the important field values for the items. This includes a lot of cross-list reference lookups that will need to be maintained, but that's simple enough. Then, I deactivate the feature, deploy the new solution, and reactivate the feature. We upload all of the files in the order specified by their versions and update them with the stored fields for those versions, so that we retain the version structure. As each one is first uploaded, the new ID is picked out, and all relevant lookups in the rest of the files are updated (in some manner that I make sure I don't re-update it later with an incorrect value, of course). After that, we run through all the rest of the items in the order most conducive to keeping the relational data correct. This roughly summarizes what my current plan is. To my advantage, there are no long running workflows in the system that will be affected by this, so there's nothing I will have to worry about making sure nothing is "still running" when I do this stuff. I don't really know all the cons of this approach... I can imagine they're quite hefty. But I'm unsure what other choices I even have, and my searches haven't turned up anything. Is there anyone who can think of a better idea? Or will anyone just tell me that I really have no other choice? Thanks in advance!

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  • Cleaning up temp folder after long-running subprocess exits

    - by dbr
    I have a Python script (running inside another application) which generates a bunch of temporary images. I then use subprocess to launch an application to view these. When the image-viewing process exists, I want to remove the temporary images. I can't do this from Python, as the Python process may have exited before the subprocess completes. I.e I cannot do the following: p = subprocess.Popen(["imgviewer", "/example/image1.jpg", "/example/image1.jpg"]) p.communicate() os.unlink("/example/image1.jpg") os.unlink("/example/image2.jpg") ..as this blocks the main thread, nor could I check for the pid exiting in a thread etc The only solution I can think of means I have to use shell=True, which I would rather avoid: cmd = ['imgviewer'] cmd.append("/example/image2.jpg") for x in cleanup: cmd.extend(["&&", "rm", x]) cmdstr = " ".join(cmd) subprocess.Popen(cmdstr, shell = True) This works, but is hardly elegant, and will fail with filenames containing spaces etc.. Basically, I have a background subprocess, and want to remove the temp files when it exits, even if the Python process no longer exists.

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  • Image rendering on browser or temporary images?

    - by Muralha
    I'm trying to make a statistics page where it will show several data and charts. The charts need to be pictures so that the user can save it/drag-and-drop to his/her personal reports. I'm using Gruff Graphs for Ruby to produce the charts but I don't know the best way to display the results safe and protected. Some of my ideas/tries are: save the chart to a file (jpg, png)? problem: data is available to anyone (don't have access to cron, to delete data from time to time) render in the browser (has to work on IE)? Use javascript (Raphaël—JavaScript Library) or Google API and output a PDF report (need plugin or gem, right)? use send_data? i've tried to output other way than inline, because I needs to show other data, is it possible? Thanks for any help.

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  • Using OUTPUT/INTO within instead of insert trigger invalidates 'inserted' table

    - by Dan
    I have a problem using a table with an instead of insert trigger. The table I created contains an identity column. I need to use an instead of insert trigger on this table. I also need to see the value of the newly inserted identity from within my trigger which requires the use of OUTPUT/INTO within the trigger. The problem is then that clients that perform INSERTs cannot see the inserted values. For example, I create a simple table: CREATE TABLE [MyTable]( [MyID] [int] IDENTITY(1,1) NOT NULL, [MyBit] [bit] NOT NULL, CONSTRAINT [PK_MyTable_MyID] PRIMARY KEY NONCLUSTERED ( [MyID] ASC )) Next I create a simple instead of trigger: create trigger [trMyTableInsert] on [MyTable] instead of insert as BEGIN DECLARE @InsertedRows table( MyID int, MyBit bit); INSERT INTO [MyTable] ([MyBit]) OUTPUT inserted.MyID, inserted.MyBit INTO @InsertedRows SELECT inserted.MyBit FROM inserted; -- LOGIC NOT SHOWN HERE THAT USES @InsertedRows END; Lastly, I attempt to perform an insert and retrieve the inserted values: DECLARE @tbl TABLE (myID INT) insert into MyTable (MyBit) OUTPUT inserted.MyID INTO @tbl VALUES (1) SELECT * from @tbl The issue is all I ever get back is zero. I can see the row was correctly inserted into the table. I also know that if I remove the OUTPUT/INTO from within the trigger this problem goes away. Any thoughts as to what I'm doing wrong? Or is how I want to do things not feasible? Thanks.

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  • SQL statement to split a table based on a join

    - by williamjones
    I have a primary table for Articles that is linked by a join table Info to a table Tags that has only a small number of entries. I want to split the Articles table, by either deleting rows or creating a new table with only the entries I want, based on the absence of a link to a certain tag. There are a few million articles. How can I do this? Not all of the articles have any tag at all, and some have many tags. Example: table Articles primary_key id table Info foreign_key article_id foreign_key tag_id table Tags primary_key id It was easy for me to segregate the articles that do have the match right off the bat, so I thought maybe I could do that and then use a NOT IN statement but that is so slow running it's unclear if it's ever going to finish. I did that with these commands: INSERT INTO matched_articles SELECT * FROM articles a LEFT JOIN info i ON a.id = i.article_id WHERE i.tag_id = 5; INSERT INTO unmatched_articles SELECT * FROM articles a WHERE a.id NOT IN (SELECT m.id FROM matched_articles m); If it makes a difference, I'm on Postgres.

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  • JSF how to temporary disable validators to save draft

    - by Swiety
    I have a pretty complex form with lots of inputs and validators. For the user it takes pretty long time (even over an hour) to complete that, so they would like to be able to save the draft data, even if it violates rules like mandatory fields being not typed in. I believe this problem is common to many web applications, but can't find any well recognised pattern how this should be implemented. Can you please advise how to achieve that? For now I can see the following options: use of immediate=true on "Save draft" button doesn't work, as the UI data would not be stored on the bean, so I wouldn't be able to access it. Technically I could find the data in UI component tree, but traversing that doesn't seem to be a good idea. remove all the fields validation from the page and validate the data programmaticaly in the action listener defined for the form. Again, not a good idea, form is really complex, there are plenty of fields so validation implemented this way would be very messy. implement my own validators, that would be controlled by some request attribute, which would be set for standard form submission (with full validation expected) and would be unset for "save as draft" submission (when validation should be skipped). Again, not a good solution, I would need to provide my own wrappers for all validators I am using. But as you see no one is really reasonable. Is there really no simple solution to the problem?

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  • When should I use temporary variables?

    - by Kyle
    Specifically, I'm wondering which of these I should write: shared_ptr<GuiContextMenu> subMenu = items[j].subMenu.lock(); if (subMenu) subMenu->setVisible(false); or: if (items[j].subMenu.lock() items[j].subMenu.lock()->setVisible(false); I am not required to follow any style guidelines. After optimization, I don't think either choice makes a difference in performance. What is generally the preferred style and why?

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  • Temporary PYTHONPATH in Windows

    - by Santa
    How do I set, temporarily, the PYTHONPATH environment variable just before executing a Python script? In *nix, I can do this: $ PYTHONPATH='.' python scripts/doit.py In Windows, this syntax does not work, of course. What is the equivalent, though?

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  • Which Table Should be Master and Child in Database Design

    - by Jason
    I am quickly learning the ins and outs of database design (something that, as of a week ago, was new to me), but I am running across some questions that don't seem immediately obvious, so I was hoping to get some clarification. The question I have right is about foreign keys. As part of my design, I have a Company table. Originally, I had included address information directly within the table, but, as I was hoping to achieve 3NF, I broke out the address information into its own table, Address. In order to maintain data integrity, I created a row in Company called "addressId" as an INT and the Address table has a corresponding addressId as its primary key. What I'm a little bit confused about (or what I want to make sure I'm doing correctly) is determining which table should be the master (referenced) table and which should be the child (referencing) table. When I originally set this up, I made the Address table the master and the Company the child. However, I now believe this is wrong due to the fact that there should be only one address per Company and, if a Company row is deleted, I would want the corresponding Address to be removed as well (CASCADE deletion). I may be approaching this completely wrong, so I would appreciate any good rules of thumb on how to best think about the relationship between tables when using foreign keys. Thanks!

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  • table design for storing large number of rows

    - by hyperboreean
    I am trying to store in a postgresql database some unique identifiers along with the site they have been seen on. I can't really decide which of the following 3 option to choose in order to be faster and easy maintainable. The table would have to provide the following information: the unique identifier which unfortunately it's text the sites on which that unique identifier has been seen The amount of data that would have to hold is rather large: there are around 22 millions unique identifiers that I know of. So I thought about the following designs of the table: id - integer identifier - text seen_on_site - an integer, foreign key to a sites table This approach would require around 22 mil multiplied by the number of sites. id - integer identifier - text seen_on_site_1 - boolean seen_on_site_2 - boolean ............ seen_on_site_n - boolean Hopefully the number of sites won't go past 10. This would require only the number of unique identifiers that I know of, that is around 20 millions, but it would make it hard to work with it from an ORM perspective. one table that would store only unique identifiers, like in: id - integer unique_identifier - text, one table that would store only sites, like in: id - integer site - text and one many to many relation, like: id - integer, unique_id - integer (fk to the table storing identifiers) site_id - integer (fk to sites table) another approach would be to have a table that stores unique identifiers for each site So, which one seems like a better approach to take on the long run?

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  • how to design a schema where the columns of a table are not fixed

    - by hIpPy
    I am trying to design a schema where the columns of a table are not fixed. Ex: I have an Employee table where the columns of the table are not fixed and vary (attributes of Employee are not fixed and vary). Nullable columns in the Employee table itself i.e. no normalization Instead of adding nullable columns, separate those columns out in their individual tables ex: if Address is a column to be added then create table Address[EmployeeId, AddressValue]. Create tables ExtensionColumnName [EmployeeId, ColumnName] and ExtensionColumnValue [EmployeeId, ColumnValue]. ExtensionColumnName would have ColumnName as "Address" and ExtensionColumnValue would have ColumnValue as address value. Employee table EmployeeId Name ExtensionColumnName table ColumnNameId EmployeeId ColumnName ExtensionColumnValue table EmployeeId ColumnNameId ColumnValue There is a drawback is the first two ways as the schema changes with every new attribute. Note that adding a new attribute is frequent. I am not sure if this is the good or bad design. If someone had a similar decision to make, please give an insight on things like foreign keys / data integrity, indexing, performance, reporting etc.

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  • How do you convert a parent-child (adjacency) table to a nested set using PHP and MySQL?

    - by mrbinky3000
    I've spent the last few hours trying to find the solution to this question online. I've found plenty of examples on how to convert from nested set to adjacency... but few that go the other way around. The examples I have found either don't work or use MySQL procedures. Unfortunately, I can't use procedures for this project. I need a pure PHP solution. I have a table that uses the adjacency model below: id parent_id category 1 0 ROOT_NODE 2 1 Books 3 1 CD's 4 1 Magazines 5 2 Books/Hardcover 6 2 Books/Large Format 7 4 Magazines/Vintage And I would like to convert it to a Nested Set table below: id left right category 1 1 14 Root Node 2 2 7 Books 3 3 4 Books/Hardcover 4 5 6 Books/Large Format 5 8 9 CD's 6 10 13 Magazines 7 11 12 Magazines/Vintage Here is an image of what I need: I have a function, based on the pseudo code from this forum post (http://www.sitepoint.com/forums/showthread.php?t=320444) but it doesn't work. I get multiple rows that have the same value for left. This should not happen. <?php /** -- -- Table structure for table `adjacent_table` -- CREATE TABLE IF NOT EXISTS `adjacent_table` ( `id` int(11) NOT NULL AUTO_INCREMENT, `father_id` int(11) DEFAULT NULL, `category` varchar(128) DEFAULT NULL, PRIMARY KEY (`id`) ) ENGINE=MyISAM DEFAULT CHARSET=latin1 AUTO_INCREMENT=8 ; -- -- Dumping data for table `adjacent_table` -- INSERT INTO `adjacent_table` (`id`, `father_id`, `category`) VALUES (1, 0, 'ROOT'), (2, 1, 'Books'), (3, 1, 'CD''s'), (4, 1, 'Magazines'), (5, 2, 'Hard Cover'), (6, 2, 'Large Format'), (7, 4, 'Vintage'); -- -- Table structure for table `nested_table` -- CREATE TABLE IF NOT EXISTS `nested_table` ( `id` int(11) NOT NULL AUTO_INCREMENT, `lft` int(11) DEFAULT NULL, `rgt` int(11) DEFAULT NULL, `category` varchar(128) DEFAULT NULL, PRIMARY KEY (`id`) ) ENGINE=MyISAM DEFAULT CHARSET=latin1 AUTO_INCREMENT=1 ; */ mysql_connect('localhost','USER','PASSWORD') or die(mysql_error()); mysql_select_db('DATABASE') or die(mysql_error()); adjacent_to_nested(0); /** * adjacent_to_nested * * Reads a "adjacent model" table and converts it to a "Nested Set" table. * @param integer $i_id Should be the id of the "root node" in the adjacent table; * @param integer $i_left Should only be used on recursive calls. Holds the current value for lft */ function adjacent_to_nested($i_id, $i_left = 0) { // the right value of this node is the left value + 1 $i_right = $i_left + 1; // get all children of this node $a_children = get_source_children($i_id); foreach ($a_children as $a) { // recursive execution of this function for each child of this node // $i_right is the current right value, which is incremented by the // import_from_dc_link_category method $i_right = adjacent_to_nested($a['id'], $i_right); // insert stuff into the our new "Nested Sets" table $s_query = " INSERT INTO `nested_table` (`id`, `lft`, `rgt`, `category`) VALUES( NULL, '".$i_left."', '".$i_right."', '".mysql_real_escape_string($a['category'])."' ) "; if (!mysql_query($s_query)) { echo "<pre>$s_query</pre>\n"; throw new Exception(mysql_error()); } echo "<p>$s_query</p>\n"; // get the newly created row id $i_new_nested_id = mysql_insert_id(); } return $i_right + 1; } /** * get_source_children * * Examines the "adjacent" table and finds all the immediate children of a node * @param integer $i_id The unique id for a node in the adjacent_table table * @return array Returns an array of results or an empty array if no results. */ function get_source_children($i_id) { $a_return = array(); $s_query = "SELECT * FROM `adjacent_table` WHERE `father_id` = '".$i_id."'"; if (!$i_result = mysql_query($s_query)) { echo "<pre>$s_query</pre>\n"; throw new Exception(mysql_error()); } if (mysql_num_rows($i_result) > 0) { while($a = mysql_fetch_assoc($i_result)) { $a_return[] = $a; } } return $a_return; } ?> This is the output of the above script. INSERT INTO nested_table (id, lft, rgt, category) VALUES( NULL, '2', '5', 'Hard Cover' ) INSERT INTO nested_table (id, lft, rgt, category) VALUES( NULL, '2', '7', 'Large Format' ) INSERT INTO nested_table (id, lft, rgt, category) VALUES( NULL, '1', '8', 'Books' ) INSERT INTO nested_table (id, lft, rgt, category) VALUES( NULL, '1', '10', 'CD\'s' ) INSERT INTO nested_table (id, lft, rgt, category) VALUES( NULL, '10', '13', 'Vintage' ) INSERT INTO nested_table (id, lft, rgt, category) VALUES( NULL, '1', '14', 'Magazines' ) INSERT INTO nested_table (id, lft, rgt, category) VALUES( NULL, '0', '15', 'ROOT' ) As you can see, there are multiple rows sharing the lft value of "1" same goes for "2" In a nested-set, the values for left and right must be unique. Here is an example of how to manually number the left and right ID's in a nested set: UPDATE - PROBLEM SOLVED First off, I had mistakenly believed that the source table (the one in adjacent-lists format) needed to be altered to include a source node. This is not the case. Secondly, I found a cached page on BING (of all places) with a class that does the trick. I've altered it for PHP5 and converted the original author's mysql related bits to basic PHP. He was using some DB class. You can convert them to your own database abstraction class later if you want. Obviously, if your "source table" has other columns that you want to move to the nested set table, you will have to adjust the write method in the class below. Hopefully this will save someone else from the same problems in the future. <?php /** -- -- Table structure for table `adjacent_table` -- DROP TABLE IF EXISTS `adjacent_table`; CREATE TABLE IF NOT EXISTS `adjacent_table` ( `id` int(11) NOT NULL AUTO_INCREMENT, `father_id` int(11) DEFAULT NULL, `category` varchar(128) DEFAULT NULL, PRIMARY KEY (`id`) ) ENGINE=MyISAM DEFAULT CHARSET=latin1 AUTO_INCREMENT=8 ; -- -- Dumping data for table `adjacent_table` -- INSERT INTO `adjacent_table` (`id`, `father_id`, `category`) VALUES (1, 0, 'Books'), (2, 0, 'CD''s'), (3, 0, 'Magazines'), (4, 1, 'Hard Cover'), (5, 1, 'Large Format'), (6, 3, 'Vintage'); -- -- Table structure for table `nested_table` -- DROP TABLE IF EXISTS `nested_table`; CREATE TABLE IF NOT EXISTS `nested_table` ( `lft` int(11) NOT NULL DEFAULT '0', `rgt` int(11) DEFAULT NULL, `id` int(11) DEFAULT NULL, `category` varchar(128) DEFAULT NULL, PRIMARY KEY (`lft`), UNIQUE KEY `id` (`id`), UNIQUE KEY `rgt` (`rgt`) ) ENGINE=MyISAM DEFAULT CHARSET=latin1; */ /** * @class tree_transformer * @author Paul Houle, Matthew Toledo * @created 2008-11-04 * @url http://gen5.info/q/2008/11/04/nested-sets-php-verb-objects-and-noun-objects/ */ class tree_transformer { private $i_count; private $a_link; public function __construct($a_link) { if(!is_array($a_link)) throw new Exception("First parameter should be an array. Instead, it was type '".gettype($a_link)."'"); $this->i_count = 1; $this->a_link= $a_link; } public function traverse($i_id) { $i_lft = $this->i_count; $this->i_count++; $a_kid = $this->get_children($i_id); if ($a_kid) { foreach($a_kid as $a_child) { $this->traverse($a_child); } } $i_rgt=$this->i_count; $this->i_count++; $this->write($i_lft,$i_rgt,$i_id); } private function get_children($i_id) { return $this->a_link[$i_id]; } private function write($i_lft,$i_rgt,$i_id) { // fetch the source column $s_query = "SELECT * FROM `adjacent_table` WHERE `id` = '".$i_id."'"; if (!$i_result = mysql_query($s_query)) { echo "<pre>$s_query</pre>\n"; throw new Exception(mysql_error()); } $a_source = array(); if (mysql_num_rows($i_result)) { $a_source = mysql_fetch_assoc($i_result); } // root node? label it unless already labeled in source table if (1 == $i_lft && empty($a_source['category'])) { $a_source['category'] = 'ROOT'; } // insert into the new nested tree table // use mysql_real_escape_string because one value "CD's" has a single ' $s_query = " INSERT INTO `nested_table` (`id`,`lft`,`rgt`,`category`) VALUES ( '".$i_id."', '".$i_lft."', '".$i_rgt."', '".mysql_real_escape_string($a_source['category'])."' ) "; if (!$i_result = mysql_query($s_query)) { echo "<pre>$s_query</pre>\n"; throw new Exception(mysql_error()); } else { // success: provide feedback echo "<p>$s_query</p>\n"; } } } mysql_connect('localhost','USER','PASSWORD') or die(mysql_error()); mysql_select_db('DATABASE') or die(mysql_error()); // build a complete copy of the adjacency table in ram $s_query = "SELECT `id`,`father_id` FROM `adjacent_table`"; $i_result = mysql_query($s_query); $a_rows = array(); while ($a_rows[] = mysql_fetch_assoc($i_result)); $a_link = array(); foreach($a_rows as $a_row) { $i_father_id = $a_row['father_id']; $i_child_id = $a_row['id']; if (!array_key_exists($i_father_id,$a_link)) { $a_link[$i_father_id]=array(); } $a_link[$i_father_id][]=$i_child_id; } $o_tree_transformer = new tree_transformer($a_link); $o_tree_transformer->traverse(0); ?>

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  • mysql query help, take total sum from a table, and based on discount value on another table calcula

    - by vegatron
    hi I have a table called invoices: CREATE TABLE IF NOT EXISTS `si_invoices` ( `id` int(10) NOT NULL AUTO_INCREMENT, `biller_id` int(10) NOT NULL DEFAULT '0', `customer_id` int(10) NOT NULL DEFAULT '0', `type_id` int(10) NOT NULL DEFAULT '0', `inv_tax_id` int(10) NOT NULL, `date` date NOT NULL DEFAULT '0000-00-00', `unreg_customer` tinyint(1) NOT NULL DEFAULT '0', `discount` decimal(10,2) NOT NULL DEFAULT '0.00', `discount_type` tinyint(1) NOT NULL DEFAULT '0', PRIMARY KEY (`id`) ) ENGINE=MyISAM DEFAULT CHARSET=utf8 COLLATE=utf8_unicode_ci AUTO_INCREMENT=20 ; each invoice has items that are stored in invoice_items table : CREATE TABLE IF NOT EXISTS `si_invoice_items` ( `id` int(10) NOT NULL AUTO_INCREMENT, `invoice_id` int(10) NOT NULL DEFAULT '0', `quantity` int(10) unsigned NOT NULL DEFAULT '0', `product_id` int(10) DEFAULT '0', `warehouse_id` int(10) NOT NULL, `unit_price` decimal(25,2) DEFAULT '0.00', `total` decimal(25,2) DEFAULT '0.00', `description` text, PRIMARY KEY (`id`), KEY `invoice_id` (`invoice_id`) ) ENGINE=MyISAM DEFAULT CHARSET=utf8 AUTO_INCREMENT=56 ; and tax table CREATE TABLE IF NOT EXISTS `si_tax` ( `tax_id` int(11) NOT NULL AUTO_INCREMENT, `tax_description` varchar(50) COLLATE utf8_unicode_ci DEFAULT NULL, `tax_percentage` decimal(25,6) DEFAULT '0.000000', `type` varchar(1) COLLATE utf8_unicode_ci DEFAULT NULL, `tax_enabled` varchar(1) COLLATE utf8_unicode_ci NOT NULL DEFAULT '1', PRIMARY KEY (`tax_id`) ) ENGINE=MyISAM DEFAULT CHARSET=utf8 COLLATE=utf8_unicode_ci AUTO_INCREMENT=5 ; here is what I want to do step 1: get the sum_total of the invoice Items for a speciefic invoice step 2: calculate the discount, in the invoice table I have a discount_type field : if its equal to 0 , then there will be no discount if its equal to 1 , the discount value will be stored in the discount field if its equal to 2 , the discount is a percentage of sum_total step 3: calculate the taxes based on inv_tax_id based on the tax id , I will look in the tax table , get the tax_percentage and multiply it by the (sum_total - discount) in short here is the equation $gross_total = $sum_total - $disount + taxes

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  • Using Excel VBA to Create SQL Tables

    - by user307655
    Hi All, I am trying to use Excel VBA to automate the creation of a SQL table in an existing SQL Database. I have come across the following code on this side. Private Sub CreateDatabaseFromExcel() Dim dbConnectStr As String Dim Catalog As Object Dim cnt As ADODB.Connection Dim dbPath As String Dim tblName As String 'Set database name in the Excel Sheet dbPath = ActiveSheet.Range("B1").Value 'Database Name tblName = ActiveSheet.Range("B2").Value 'Table Name dbConnectStr = "Provider=Microsoft.Jet.OLEDB.4.0;Data Source=" & dbPath & ";" 'Create new database using name entered in Excel Cell ("B1") Set Catalog = CreateObject("ADOX.Catalog") Catalog.Create dbConnectStr Set Catalog = Nothing 'Connect to database and insert a new table Set cnt = New ADODB.Connection With cnt .Open dbConnectStr .Execute "CREATE TABLE tblName ([BankName] text(50) WITH Compression, " & _ "[RTNumber] text(9) WITH Compression, " & _ "[AccountNumber] text(10) WITH Compression, " & _ "[Address] text(150) WITH Compression, " & _ "[City] text(50) WITH Compression, " & _ "[ProvinceState] text(2) WITH Compression, " & _ "[Postal] text(6) WITH Compression, " & _ "[AccountAmount] decimal(6))" End With Set cnt = Nothing End Sub However i can't successfully get it to work? What I am trying to do is actually use Excel to create a table not a database? The database already exists. I would just like to create a new table. The name of the table will be referenced from cell A1 in Sheet 1. Can somebody please help. Thanks Regards Gerard

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  • How to control table width in code ignator?

    - by riad
    Dear Exparts, In codeIgnator frame work the below is my code working properly.But i cannot control the table width. So,when a long value come into the table then table going to extra large width.But i need to wrap the outcomes data.So,How i can fixed the table width? Pls see my code below.. ///controller code/// $config['base_url'] = base_url().'Search_Controller/songSearchPage/'; $config['total_rows'] = $this->db->count_all('tbl_rbt'); $config['per_page'] = '5'; $config['full_tag_open'] = '<p>'; $config['full_tag_close'] = '</p>'; $this->pagination->initialize($config); //load the model and get results $data[]=array(); $data['extraHeadContent'] = '<script type="text/javascript" src="' . base_url() . 'js/song_search.js"></script>'; $data['results'] = $this->search_model->getSongResult($config['per_page'],$this->uri->segment(3)); // load the HTML Table Class $this->table->set_heading('Song Name','Album Name','Artist Name'); // load the view $this->load->view('song_search_page',$data); /////view code///// <div class="song_element_output"> <?php echo $this->table->generate($results); ?> <?php echo $this->pagination->create_links(); ?> </div> Could anybody can help me to control the table??? Thanks Riad

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  • SQL Structure of DB table with different types of columns

    - by Dmitry Dvornikov
    I have a problem with the optimization of the structure of the database. I'll try to explain it exactly. I create a project, where we can add different values??, but this values must have different types of the columns in the database (eg, int, double , varchar). What is the best way to store the different types of values ??in the database. In the project I'm using Propel 1.6. The point is availability to add value with 'int', 'varchar' and other columns types, to search the table was efficient. In total, I have two ideas. The first is to create a table of "value", which will have columns: "id ", "value_int", "value_double", "value_varchar", etc - with the corresponding column types. Depending on the type of values??, records will be saved with the value in the appropriate column (the rest will be NULL). The second solution is to create separate tables such as "value_int", "value_varchar" etc. There would be columns: "id", "value", which correspond to the relevant types of "value" (ie, such as int, varchar, etc). I must admit that I do not believe any of the above solutions, originally I was thinking about one table "value", where the column would be a "text" type - but this solution would probably be even worse. I would like to know your opinion on this topic, maybe something else would be better. Thanks in advance. EDIT: For example : We have three tables: USER: [table of users] * id * name FIELD: [table of profile fields - where the column 'type' is the type of field, eg int or varchar) * id * type * name VALUE : * id * User_id - ( FK user.id ) * Field_id - ( FK field.id ) * value So we have in each row an user in USER table, and the profile is stored in the VALUE table. Bit each profile field may have a different type (column 'type' in the FIELD table), and based on that I would want this value to add to the appropriate column of the appropriate type.

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  • phpMyAdmin Cron to Delete Temporary Files

    - by JoeC
    I have a folder on my hosting which I periodically upload something to - /public_html/uploads - and I'd like to set up a cronjob through phpMyAdmin to empty it out on a regular basis. The current cron I have in pMA is find /public_html/uploads -maxdepth 1 -ctime 1 -exec rm -f {} \; (Ignore the fact that it's running every minute for now, it's so I can test it :) ) I know very little about what this command is actually doing, but it looks like "not very much". Can anyone help me fix it? :) Thanks.

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  • When and How to Delete temporary uploaded but uncommitted files in ASP.NET

    - by slowlycooked
    I'm using EO Ajax toolkits for upload files, the file is uploaded to server. when user click save then it will update the database for what been uploaded or changed. Now i need a clean up process that when user uploaded a file to server, but then close his/her browser before click the save button. in this case how should i programe so that the file user just uploaded is deleted, because it's now useless and not assosiated with any database. thanks. maybe i should upload all files to a temp folder, only when user click saver the file can be moved to target folder, at each session end the temp folder is get deleted.

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