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  • Binding a date string parameter in an MS Access PDO query

    - by harryg
    I've made a PDO database class which I use to run queries on an MS Access database. When querying using a date condition, as is common in SQL, dates are passed as a string. Access usually expects the date to be surrounded in hashes however. E.g. SELECT transactions.amount FROM transactions WHERE transactions.date = #2013-05-25#; If I where to run this query using PDO I might do the following. //instatiate pdo connection etc... resulting in a $db object $stmt = $db->prepare('SELECT transactions.amount FROM transactions WHERE transactions.date = #:mydate#;'); //prepare the query $stmt->bindValue('mydate', '2013-05-25', PDO::PARAM_STR); //bind the date as a string $stmt->execute(); //run it $result = $stmt->fetch(); //get the results As far as my understanding goes the statement that results from the above would look like this as binding a string results in it being surrounded by quotes: SELECT transactions.amount FROM transactions WHERE transactions.date = #'2013-05-25'#; This causes an error and prevents the statement from running. What's the best way to bind a date string in PDO without causing this error? I'm currently resorting to sprintf-ing the string which I'm sure is bad practise. Edit: if I pass the hash-surrounded date then I still get the error as below: Fatal error: Uncaught exception 'PDOException' with message 'SQLSTATE[22018]: Invalid character value for cast specification: -3030 [Microsoft][ODBC Microsoft Access Driver] Data type mismatch in criteria expression. (SQLExecute[-3030] at ext\pdo_odbc\odbc_stmt.c:254)' in C:\xampp\htdocs\ips\php\classes.php:49 Stack trace: #0 C:\xampp\htdocs\ips\php\classes.php(49): PDOStatement-execute() #1 C:\xampp\htdocs\ips\php\classes.php(52): database-execute() #2 C:\xampp\htdocs\ips\try2.php(12): database-resultset() #3 {main} thrown in C:\xampp\htdocs\ips\php\classes.php on line 49

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  • SQL: Join multiple tables and get a grouped sum

    - by Scienceprodigy
    I have a database with 3 tables that have related data. One table has transactions, and the other two relate to transaction categories. Basically it's financial data, so each transaction has a category (i.e. "gasoline" for a gas purchase transaction). A short version of my Transactions table looks like this- Transactions Table: ________________________________ | ID | Type | Amount | Category | --------------------------------- I also have two more tables relating a category to a categories parent. So basically, every Category entry in the Transactions Table belongs to a parent category (i.e. "gasoline" would belong to say "Automotive Expenses"). For categories, and their parent, I have two tables - Category Children: ____________________________________________ | ID | Parent Category ID | Child Category | -------------------------------------------- Category Parent: ________________________ | ID | Parent Category | ------------------------ What I'm trying to do is query the database and have it return a total spending by parent category. To get "spending" the Type of transactions must be "Debit". I tried the following statement: SELECT category_parents.parent_category, SUM(amount) AS totals FROM (transactions INNER JOIN category_children ON transactions.category = 'category_children.child_category') INNER JOIN category_parents ON category_children.parent_category_id = category_parents._id WHERE trans_type = 'Debit' GROUP BY parent_category ORDER BY totals DESC but it gives me the following exception: 12-31 13:51:21.515: ERROR/Exception on query(4403): android.database.sqlite.SQLiteException: no such column: category_children.parent_category_id: , while compiling: SELECT category_parents.parent_category, SUM(amount) AS totals FROM (transactions INNER JOIN category_children ON transactions.category='category_children.child_category') INNER JOIN category_parents ON category_children.parent_category_id=category_parents._id where trans_type='Debit' group by parent_category order by totals desc Any help is appreciated. (EXTRA CREDIT: I also need to make another statement to do spending by child category, given the parent category)

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  • SQL Server: Statements vs. Batches vs. Transactions vs. Connections

    - by Sleepless
    My question is simple: What are the differences / similarities / cardinalities between Transactions Batches Connections and Statements in SQL Server? As far as I understand a connection is a single communications channel between a SQL Server instance and a client within which collections of statements grouped as batches are executed. A batch is either implicitly or explicitly mapped to one or several transactions. Is this correct?

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  • SQL Server rolling forward lots of transactions, what should I look at?

    - by Anthony D
    I am running SQL Server Express on a Windows XP Embedded box. It runs for a day or two, doing some transactional processing for a POS type system, and with another system pulling data out to an OLAP DB for processing. After a while, I see in the event viewer the sequence SQL Server puts out when it restarts, copy rights, command line parameters, and so on. It seems like that coincides with our OLAP process crashing. I then see that when it restarts our transaction DB, it does a recovery, pulling in 10K or so in transactions that need to be rolled forward. Does this mean SQL has crashed? I don't really see much to indicate what happened. Update 1 I noticed I have my memory limit set to 1MB per query and 2TB for the server. These are the defaults. I only have one GB in the box. We have seen SQL crash a whole box by just using all the system memory. In this case though the whole box is up when we get to it.

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  • Can SSL Wildcards have multiple/nested levels of wildcard?

    - by Don Faulkner
    I know that an SSL wildcard certificate (*.example.org) can be used to support many names under the domain (a.example.org, b.example.org, c.example.org). I also know that the * is only good for matching a single level of name. That is, *.example.org will not work on a.b.example.org. What if I used a certificate with the name ..example.org? I'd like to build a certificate with the following name configuration: CN=example.org subjectAltName=DNS:example.org, DNS:*.example.org, DNS:*.*.example.org, DNS:*.*.*.example.org I've tried building a few like this as self-signed certificates, but I've not had good results. For example, chrome tells me "Server's certificate does not match the URL." Is it possible to have nested wildcards in a certificate, or do the popular browsers not support this?

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  • Does Google pick up anchor text that is in nested elements?

    - by dangerDAN
    When Google looks at anchor text on a website, will it pickup the text if it is inside nested elements? So for example: <a href="http://www.google.com/">Visit Google</a> To: <a href="http://www.google.com/"> <div class="circle"> <span>Visit Google</span> </div> </a> The reason I ask is because I want to use css3 elements for certain links on my website, to style them as circles. But the anchor text needs to be picked up for these links, so I want to know wether or not the above is bad practice in this case.

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  • SQL SERVER – Generate Report for Index Physical Statistics – SSMS

    - by pinaldave
    Few days ago, I wrote about SQL SERVER – Out of the Box – Activity and Performance Reports from SSSMS (Link). A user asked me a question regarding if we can use similar reports to get the detail about Indexes. Yes, it is possible to do the same. There are similar type of reports are available at Database level, just like those available at the Server Instance level. You can right click on Database name and click Reports. Under Standard Reports, you will find following reports. Disk Usage Disk Usage by Top Tables Disk Usage by Table Disk Usage by Partition Backup and Restore Events All Transactions All Blocking Transactions Top Transactions by Age Top Transactions by Blocked Transactions Count Top Transactions by Locks Count Resource Locking Statistics by Objects Object Execute Statistics Database Consistency history Index Usage Statistics Index Physical Statistics Schema Change history User Statistics Select the Reports with name Index Physical Statistics. Once click, a report containing all the index names along with other information related to index will be visible, e.g. Index Type and number of partitions. One column that caught my interest was Operation Recommended. In some place, it suggested that index needs to be rebuilt. It is also possible to click and expand the column of partitions and see additional details about index as well. DBA and Developers who just want to have idea about how your index is and its physical statistics can use this tool. Click to Enlarge Note: Please note that I will rebuild my indexes just because this report is recommending it. There are many other parameters you need to consider before rebuilding indexes. However, this tool gives you the accurate stats of your index and it can be right away exported to Excel or PDF writing by clicking on the report. Reference : Pinal Dave (http://blog.SQLAuthority.com) Filed under: Pinal Dave, SQL, SQL Authority, SQL Index, SQL Optimization, SQL Performance, SQL Query, SQL Server, SQL Server Management Studio, SQL Tips and Tricks, SQL Utility, T SQL, Technology

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  • Transactional Messaging in the Windows Azure Service Bus

    - by Alan Smith
    Introduction I’m currently working on broadening the content in the Windows Azure Service Bus Developer Guide. One of the features I have been looking at over the past week is the support for transactional messaging. When using the direct programming model and the WCF interface some, but not all, messaging operations can participate in transactions. This allows developers to improve the reliability of messaging systems. There are some limitations in the transactional model, transactions can only include one top level messaging entity (such as a queue or topic, subscriptions are no top level entities), and transactions cannot include other systems, such as databases. As the transaction model is currently not well documented I have had to figure out how things work through experimentation, with some help from the development team to confirm any questions I had. Hopefully I’ve got the content mostly correct, I will update the content in the e-book if I find any errors or improvements that can be made (any feedback would be very welcome). I’ve not had a chance to look into the code for transactions and asynchronous operations, maybe that would make a nice challenge lab for my Windows Azure Service Bus course. Transactional Messaging Messaging entities in the Windows Azure Service Bus provide support for participation in transactions. This allows developers to perform several messaging operations within a transactional scope, and ensure that all the actions are committed or, if there is a failure, none of the actions are committed. There are a number of scenarios where the use of transactions can increase the reliability of messaging systems. Using TransactionScope In .NET the TransactionScope class can be used to perform a series of actions in a transaction. The using declaration is typically used de define the scope of the transaction. Any transactional operations that are contained within the scope can be committed by calling the Complete method. If the Complete method is not called, any transactional methods in the scope will not commit.   // Create a transactional scope. using (TransactionScope scope = new TransactionScope()) {     // Do something.       // Do something else.       // Commit the transaction.     scope.Complete(); }     In order for methods to participate in the transaction, they must provide support for transactional operations. Database and message queue operations typically provide support for transactions. Transactions in Brokered Messaging Transaction support in Service Bus Brokered Messaging allows message operations to be performed within a transactional scope; however there are some limitations around what operations can be performed within the transaction. In the current release, only one top level messaging entity, such as a queue or topic can participate in a transaction, and the transaction cannot include any other transaction resource managers, making transactions spanning a messaging entity and a database not possible. When sending messages, the send operations can participate in a transaction allowing multiple messages to be sent within a transactional scope. This allows for “all or nothing” delivery of a series of messages to a single queue or topic. When receiving messages, messages that are received in the peek-lock receive mode can be completed, deadlettered or deferred within a transactional scope. In the current release the Abandon method will not participate in a transaction. The same restrictions of only one top level messaging entity applies here, so the Complete method can be called transitionally on messages received from the same queue, or messages received from one or more subscriptions in the same topic. Sending Multiple Messages in a Transaction A transactional scope can be used to send multiple messages to a queue or topic. This will ensure that all the messages will be enqueued or, if the transaction fails to commit, no messages will be enqueued.     An example of the code used to send 10 messages to a queue as a single transaction from a console application is shown below.   QueueClient queueClient = messagingFactory.CreateQueueClient(Queue1);   Console.Write("Sending");   // Create a transaction scope. using (TransactionScope scope = new TransactionScope()) {     for (int i = 0; i < 10; i++)     {         // Send a message         BrokeredMessage msg = new BrokeredMessage("Message: " + i);         queueClient.Send(msg);         Console.Write(".");     }     Console.WriteLine("Done!");     Console.WriteLine();       // Should we commit the transaction?     Console.WriteLine("Commit send 10 messages? (yes or no)");     string reply = Console.ReadLine();     if (reply.ToLower().Equals("yes"))     {         // Commit the transaction.         scope.Complete();     } } Console.WriteLine(); messagingFactory.Close();     The transaction scope is used to wrap the sending of 10 messages. Once the messages have been sent the user has the option to either commit the transaction or abandon the transaction. If the user enters “yes”, the Complete method is called on the scope, which will commit the transaction and result in the messages being enqueued. If the user enters anything other than “yes”, the transaction will not commit, and the messages will not be enqueued. Receiving Multiple Messages in a Transaction The receiving of multiple messages is another scenario where the use of transactions can improve reliability. When receiving a group of messages that are related together, maybe in the same message session, it is possible to receive the messages in the peek-lock receive mode, and then complete, defer, or deadletter the messages in one transaction. (In the current version of Service Bus, abandon is not transactional.)   The following code shows how this can be achieved. using (TransactionScope scope = new TransactionScope()) {       while (true)     {         // Receive a message.         BrokeredMessage msg = q1Client.Receive(TimeSpan.FromSeconds(1));         if (msg != null)         {             // Wrote message body and complete message.             string text = msg.GetBody<string>();             Console.WriteLine("Received: " + text);             msg.Complete();         }         else         {             break;         }     }     Console.WriteLine();       // Should we commit?     Console.WriteLine("Commit receive? (yes or no)");     string reply = Console.ReadLine();     if (reply.ToLower().Equals("yes"))     {         // Commit the transaction.         scope.Complete();     }     Console.WriteLine(); }     Note that if there are a large number of messages to be received, there will be a chance that the transaction may time out before it can be committed. It is possible to specify a longer timeout when the transaction is created, but It may be better to receive and commit smaller amounts of messages within the transaction. It is also possible to complete, defer, or deadletter messages received from more than one subscription, as long as all the subscriptions are contained in the same topic. As subscriptions are not top level messaging entities this scenarios will work. The following code shows how this can be achieved. try {     using (TransactionScope scope = new TransactionScope())     {         // Receive one message from each subscription.         BrokeredMessage msg1 = subscriptionClient1.Receive();         BrokeredMessage msg2 = subscriptionClient2.Receive();           // Complete the message receives.         msg1.Complete();         msg2.Complete();           Console.WriteLine("Msg1: " + msg1.GetBody<string>());         Console.WriteLine("Msg2: " + msg2.GetBody<string>());           // Commit the transaction.         scope.Complete();     } } catch (Exception ex) {     Console.WriteLine(ex.Message); }     Unsupported Scenarios The restriction of only one top level messaging entity being able to participate in a transaction makes some useful scenarios unsupported. As the Windows Azure Service Bus is under continuous development and new releases are expected to be frequent it is possible that this restriction may not be present in future releases. The first is the scenario where messages are to be routed to two different systems. The following code attempts to do this.   try {     // Create a transaction scope.     using (TransactionScope scope = new TransactionScope())     {         BrokeredMessage msg1 = new BrokeredMessage("Message1");         BrokeredMessage msg2 = new BrokeredMessage("Message2");           // Send a message to Queue1         Console.WriteLine("Sending Message1");         queue1Client.Send(msg1);           // Send a message to Queue2         Console.WriteLine("Sending Message2");         queue2Client.Send(msg2);           // Commit the transaction.         Console.WriteLine("Committing transaction...");         scope.Complete();     } } catch (Exception ex) {     Console.WriteLine(ex.Message); }     The results of running the code are shown below. When attempting to send a message to the second queue the following exception is thrown: No active Transaction was found for ID '35ad2495-ee8a-4956-bbad-eb4fedf4a96e:1'. The Transaction may have timed out or attempted to span multiple top-level entities such as Queue or Topic. The server Transaction timeout is: 00:01:00..TrackingId:947b8c4b-7754-4044-b91b-4a959c3f9192_3_3,TimeStamp:3/29/2012 7:47:32 AM.   Another scenario where transactional support could be useful is when forwarding messages from one queue to another queue. This would also involve more than one top level messaging entity, and is therefore not supported.   Another scenario that developers may wish to implement is performing transactions across messaging entities and other transactional systems, such as an on-premise database. In the current release this is not supported.   Workarounds for Unsupported Scenarios There are some techniques that developers can use to work around the one top level entity limitation of transactions. When sending two messages to two systems, topics and subscriptions can be used. If the same message is to be sent to two destinations then the subscriptions would have the default subscriptions, and the client would only send one message. If two different messages are to be sent, then filters on the subscriptions can route the messages to the appropriate destination. The client can then send the two messages to the topic in the same transaction.   In scenarios where a message needs to be received and then forwarded to another system within the same transaction topics and subscriptions can also be used. A message can be received from a subscription, and then sent to a topic within the same transaction. As a topic is a top level messaging entity, and a subscription is not, this scenario will work.

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  • MSDTC - Communication with the underlying transaction manager has failed (Firewall open, MSDTC netwo

    - by SocialAddict
    I'm having problems with my ASP.NET web forms system. It worked on our test server but now we are putting it live one of the servers is within a DMZ and the SQL server is outside of that (on our network still though - although a different subnet) I have open up the firewall completely between these two boxes to see if that was the issue and it still gives the error message "Communication with the underlying transaction manager has failed" whenever we try and use the "TransactionScope". We can access the data for retrieval it's just transactions that break it. We have also used msdtc ping to test the connection and with the amendments on the firewall that pings successfully, but the same error occurs! How do i resolve this error? Any help would be great as we have a system to go live today. Panic :) Edit: I have created a more straightforward test page with a transaction as below and this works fine. Could a nested transaction cause this kind of error and if so why would this only cause an issue when using a live box in a dmz with a firewall? AuditRepository auditRepository = new AuditRepository(); try { using (TransactionScope scope = new TransactionScope()) { auditRepository.Add(DateTime.Now, 1, "TEST-TRANSACTIONS#1", 1); auditRepository.Save(); auditRepository.Add(DateTime.Now, 1, "TEST-TRANSACTIONS#2", 1); auditRepository.Save(); scope.Complete(); } } catch (Exception ex) { Response.Write("Test Error For Transaction: " + ex.Message + "<br />" + ex.StackTrace); } This is the ErrorStack we are getting when the problem occurs: at System.Transactions.TransactionInterop.GetOletxTransactionFromTransmitterPropigationToken(Byte[] propagationToken) at System.Transactions.TransactionStatePSPEOperation.PSPEPromote(InternalTransaction tx) at System.Transactions.TransactionStateDelegatedBase.EnterState(InternalTransaction tx) at System.Transactions.EnlistableStates.Promote(InternalTransaction tx) at System.Transactions.Transaction.Promote() at System.Transactions.TransactionInterop.ConvertToOletxTransaction(Transaction transaction) at System.Transactions.TransactionInterop.GetExportCookie(Transaction transaction, Byte[] whereabouts) at System.Data.SqlClient.SqlInternalConnection.GetTransactionCookie(Transaction transaction, Byte[] whereAbouts) at System.Data.SqlClient.SqlInternalConnection.EnlistNonNull(Transaction tx) at System.Data.SqlClient.SqlInternalConnection.Enlist(Transaction tx) at System.Data.SqlClient.SqlInternalConnectionTds.Activate(Transaction transaction) at System.Data.ProviderBase.DbConnectionInternal.ActivateConnection(Transaction transaction) at System.Data.ProviderBase.DbConnectionPool.GetConnection(DbConnection owningObject) at System.Data.ProviderBase.DbConnectionFactory.GetConnection(DbConnection owningConnection) at System.Data.ProviderBase.DbConnectionClosed.OpenConnection(DbConnection outerConnection, DbConnectionFactory connectionFactory) at System.Data.SqlClient.SqlConnection.Open() at System.Data.Linq.SqlClient.SqlConnectionManager.UseConnection(IConnectionUser user) at System.Data.Linq.SqlClient.SqlProvider.get_IsSqlCe() at System.Data.Linq.SqlClient.SqlProvider.InitializeProviderMode() at System.Data.Linq.SqlClient.SqlProvider.System.Data.Linq.Provider.IProvider.Execute(Expression query) at System.Data.Linq.ChangeDirector.StandardChangeDirector.DynamicInsert(TrackedObject item) at System.Data.Linq.ChangeDirector.StandardChangeDirector.Insert(TrackedObject item) at System.Data.Linq.ChangeProcessor.SubmitChanges(ConflictMode failureMode) at System.Data.Linq.DataContext.SubmitChanges(ConflictMode failureMode) at System.Data.Linq.DataContext.SubmitChanges() at RegBook.classes.DbBase.Save() at RegBook.usercontrols.BookingProcess.confirmBookingButton_Click(Object sender, EventArgs e)

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  • How to find long running transactions in Websphere MQ Series?

    - by raistlin
    In a J2EE environment the MQ server log shows the following: Process(954584.5) User(mqm) Program(amqzmuc0) AMQ7469: Transactions rolled back to release log space. .... While increasing the logfile size/space might be a temporary solution, the definitive solution must be to identify the culprit process/queue that causes this long transaction. Is there any solution/tool for this? Note: MQ is used via JMS only

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  • Announcing Key Functional White Papers for SIM and ReIM

    - by Oracle Retail Documentation Team
    Oracle Retail has published two new documents on My Oracle Support (https://support.oracle.com)  that provide partners and retailers with deeper functional information about two products: Oracle Retail Store Inventory Management (SIM) and Oracle Retail Invoice Matching. Oracle Retail Store Inventory Management Item Configuration White Paper (Doc ID 1507221.1) There is functionality within the Store Inventory Management system related to item configuration that spans across multiple concepts that apply to the application as a whole rather than to a specific area. This white paper covers numerous topics around item configuration including: Item Transaction Levels Item Long Description Pack Size Standard Unit of Measure Standard Unit of Measure Conversion Pack Items Simple Pack Conversion Items (Notional Packs) Ranging Items Item Status Non-Sellable Items Type-2 Item Recognition UPC-E Barcodes Non-Inventory Items Consignment and Concession Items Quick Response Codes Oracle Retail Invoice Matching Financial Transactions (Doc ID 1500209.1) This document explains the financial transactions that are posted by Oracle Retail Invoice Matching (ReIM). The scope of the document is limited to ReIM transactions only, and does not explain Retail Merchandising System (RMS), Finance, or Account Receivable transactions. ReIM follows the double-entry accounting standard, which works by recording the debit and credit of each financial transaction belonging to each party involved. Each transaction means a profit to one account (debit) and a loss to another account (credit). Full invoice match processing is completed in ReIM with payment recommendations communicated to Oracle Accounts Payable. ReIM matches merchandise orders and receipts against merchandise invoices, performing automated and manual matching, as well as discrepancy-resolution processing. Matched invoices are posted to interface staging tables specifying the amount and date to pay, vendor, site ID, General Ledger Chart of Accounts (GL CoA) information, and payment terms. Other payables documents, including debit memos, credit memos and credit notes are also interfaced to Accounts Payable through the ReIM staging tables (IM_AP_STAGE_HEAD and IM_AP_STAGE_DETAIL). For information about how ReIM engages in this processing, see the latest Oracle Retail Invoice Matching Operations Guide. Certain ReIM transactions are not interfaced to Oracle Payables, but instead are interfaced to Oracle General Ledger through the IM_FINANCIAL_STAGE table. When analyzing transactions posted through the staging tables, retailers should note the transaction type, Standard/Credit, as well as the sign in the amount field. Technically, a negative sign on a credit transaction changes the transaction to a debit entry, and vice versa. This document is concerned about the financial meaning of the transactions, and will avoid a discussion of negative numbers in T-charts.

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  • How can I collapse a nested list using jQuery?

    - by Bradley Herman
    I have a nested list: <ul> <li><a href='#'>stuff</a></li> <li><a href='#'>stuff2</a></li> <ul> <li><a href='#'>stuff3</a></li> </ul> <li><a href='#'>stuff4</a></li> </ul> ...and want to collapse the nested ul when the li is clicked. Before I was using $('UL LI').click(function(){ $(this).next().slideToggle(); }); ...but this obviously causes a problem when a li doesn't have a ul nested after it. Is there a better way to do this, or is there a way for me to determine if the object returned by $(this).next() is a UL?

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  • Ho do I extract a Outlook message nested into another using Apache POI - HSMF?

    - by Jan
    I am using Apache POI - HSMF to extract attachments from Outlooks msg-files. It works fine except for nested messages. If an msg is attached to another msg I am able to get the files. If a message is nested I get the information but I need the file. MAPIMessage msg = new MAPIMessage(fileName) for(AttachmentChunks attachment : msg.getAttachmentFiles()) { if(attachment.attachmentDirectory!=null){ MAPIMessage nestedMsg attachment.attachmentDirectory.getAsEmbededMessage(); // now save nestedMsg as a msg-file } } Is it possible to save the nested message file as a regular msg-file?

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  • SQL SERVER – How to Roll Back SQL Server Database Changes

    - by Pinal Dave
    In a perfect scenario, no unexpected and unplanned changes occur. There are no unpleasant surprises, no inadvertent changes. However, even with all precautions and testing, there is sometimes a need to revert a structure or data change. One of the methods that can be used in this situation is to use an older database backup that has the records or database object structure you want to revert to. For this method, you have to have the adequate full database backup and a tool that will help you with comparison and synchronization is preferred. In this article, we will focus on another method: rolling back the changes. This can be done by using: An option in SQL Server Management Studio T-SQL, or ApexSQL Log The first two solutions have been described in this article The disadvantages of these methods are that you have to know when exactly the change you want to revert happened and that all transactions on the database executed in a specific time range are rolled back – the ones you want to undo and the ones you don’t. How to easily roll back SQL Server database changes using ApexSQL Log? The biggest challenge is to roll back just specific changes, not all changes that happened in a specific time range. While SQL Server Management Studio option and T-SQL read and roll forward all transactions in the transaction log files, I will show you a solution that finds and scripts only the specific changes that match your criteria. Therefore, you don’t need to worry about all other database changes that you don’t want to roll back. ApexSQL Log is a SQL Server disaster recovery tool that reads transaction logs and provides a wide range of filters that enable you to easily rollback only specific data changes. First, connect to the online database where you want to roll back the changes. Once you select the database, ApexSQL Log will show its recovery model. Note that changes can be rolled back even for a database in the Simple recovery model, when no database and transaction log backups are available. However, ApexSQL Log achieves best results when the database is in the Full recovery model and you have a chain of subsequent transaction log backups, back to the moment when the change occurred. In this example, we will use only the online transaction log. In the next step, use filters to read only the transactions that happened in a specific time range. To remove noise, it’s recommended to use as many filters as possible. Besides filtering by the time of the transaction, ApexSQL Log can filter by the operation type: Table name: As well as transaction state (committed, aborted, running, and unknown), name of the user who committed the change, specific field values, server process IDs, and transaction description. You can select only the tables affected by the changes you want to roll back. However, if you’re not certain which tables were affected, you can leave them all selected and once the results are shown in the main grid, analyze them to find the ones you to roll back. When you set the filters, you can select how to present the results. ApexSQL Log can automatically create undo or redo scripts, export the transactions into an XML, HTML, CSV, SQL, or SQL Bulk file, and create a batch file that you can use for unattended transaction log reading. In this example, I will open the results in the grid, as I want to analyze them before rolling back the transactions. The results contain information about the transaction, as well as who and when made it. For UPDATEs, ApexSQL Log shows both old and new values, so you can easily see what has happened. To create an UNDO script that rolls back the changes, select the transactions you want to roll back and click Create undo script in the menu. For the DELETE statement selected in the screenshot above, the undo script is: INSERT INTO [Sales].[PersonCreditCard] ([BusinessEntityID], [CreditCardID], [ModifiedDate]) VALUES (297, 8010, '20050901 00:00:00.000') When it comes to rolling back database changes, ApexSQL Log has a big advantage, as it rolls back only specific transactions, while leaving all other transactions that occurred at the same time range intact. That makes ApexSQL Log a good solution for rolling back inadvertent data and schema changes on your SQL Server databases. Reference: Pinal Dave (http://blog.sqlauthority.com)Filed under: PostADay, SQL, SQL Authority, SQL Query, SQL Server, SQL Tips and Tricks, T SQL Tagged: ApexSQL

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  • Ruby on Rails - Primary and Foreign key

    - by Eef
    Hey, I am creating a site in Ruby on Rails, I have two models a User model and a Transaction model. These models both belong to an account so they both have a field called account_id I am trying to setup a association between them like so: class User < ActiveRecord::Base belongs_to :account has_many :transactions end class Transaction < ActiveRecord::Base belongs_to :account belongs_to :user end I am using these associations like so: user = User.find(1) transactions = user.transactions At the moment the application is trying to find the transactions with the user_id, here is the SQL it generates: Mysql::Error: Unknown column 'transactions.user_id' in 'where clause': SELECT * FROM `transactions` WHERE (`transactions`.user_id = 1) This is incorrect as I would like the find the transactions via the account_id, I have tried setting the associations like so: class User < ActiveRecord::Base belongs_to :account has_many :transactions, :primary_key => :account_id, :class_name => "Transaction" end class Transaction < ActiveRecord::Base belongs_to :account belongs_to :user, :foreign_key => :account_id, :class_name => "User" end This almost achieves what I am looking to do and generates the following SQL: Mysql::Error: Unknown column 'transactions.user_id' in 'where clause': SELECT * FROM `transactions` WHERE (`transactions`.user_id = 104) The number 104 is the correct account_id but it is still trying to query the transaction table for a user_id field. Could someone give me some advice on how I setup the associations to query the transaction table for the account_id instead of the user_id resulting in a SQL query like so: SELECT * FROM `transactions` WHERE (`transactions`.account_id = 104) Cheers Eef

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  • Combining two-part SQL query into one query

    - by user332523
    Hello, I have a SQL query that I'm currently solving by doing two queries. I am wondering if there is a way to do it in a single query that makes it more efficient. Consider two tables: Transaction_Entries table and Transactions, each one defined below: Transactions - id - reference_number (varchar) Transaction_Entries - id - account_id - transaction_id (references Transactions table) Notes: There are multiple transaction entries per transaction. Some transactions are related, and will have the same reference_number string. To get all transaction entries for Account X, then I would do SELECT E.*, T.reference_number FROM Transaction_Entries E JOIN Transactions T ON (E.transaction_id=T.id) where E.account_id = X The next part is the hard part. I want to find all related transactions, regardless of the account id. First I make a list of all the unique reference numbers I found in the previous result set. Then for each one, I can query all the transactions that have that reference number. Assume that I hold all the rows from the previous query in PreviousResultSet UniqueReferenceNumbers = GetUniqueReferenceNumbers(PreviousResultSet) // in Java foreach R in UniqueReferenceNumbers // in Java SELECT * FROM Transaction_Entries where transaction_id IN (SELECT * FROM Transactions WHERE reference_number=R Any suggestions how I can put this into a single efficient query?

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  • BackgroundWorker Help needed

    - by ChrisMuench
    I have code that does a web-service request. While doing this request I need a progress-bar to be moving independently. My problem is that I just need to say run a progress update every 1 or 2 seconds and check to see if progress of the request has been completed. NetBasisServicesSoapClient client = new NetBasisServicesSoapClient(); TransactionDetails[] transactions = new TransactionDetails[dataGridView1.Rows.Count - 1]; for (int i = 0; i < dataGridView1.Rows.Count - 1; i++) { transactions[i] = new TransactionDetails(); transactions[i].TransactionDate = (string)dataGridView1.Rows[i].Cells[2].Value; transactions[i].TransactionType = (string)dataGridView1.Rows[i].Cells[3].Value; transactions[i].Shares = (string)dataGridView1.Rows[i].Cells[4].Value; transactions[i].Pershare = (string)dataGridView1.Rows[i].Cells[5].Value; transactions[i].TotalAmount = (string)dataGridView1.Rows[i].Cells[6].Value; } CostbasisResult result = client.Costbasis(dataGridView1.Rows[0].Cells[0].Value.ToString(), dataGridView1.Rows[0].Cells[1].Value.ToString(), transactions, false, "", "", "FIFO", true); string result1 = ConvertStringArrayToString(result.Details);

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  • Can I create support multiple database transactions on a single connection?

    - by draezal
    I have created a HyperSQL Database. I was just wondering whether I could run multiple transactions on a single connection. I didn't want to spawn a new connection for each transaction due to the overhead associated with this. Looking at some similar questions the suggestion appeared to be to create a pool of database connections and then block waiting for one to become available. This is a workable, but not desirable solution. Background Info (if this is relevant to the answer). My application will create a new thread when some request comes in. This request will require a database transaction. Then some not insignificant time later this transaction will be committed. Any advice appreciated :)

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  • How to implement nested SQL transactions with ADO.NET?

    - by manza_jurjur
    I need to implement nested transactions in .NET using ADO.NET. The situation is as follows: --> Start Process (Begin Transaction) --> Begin Transaction for step 1 --> Step 1 --> Commit transaction for step 1 --> Begin transaction for step 2 --> Step 2 --> Rollback transaction for step 2 --> etc ... --> End Process (Commit or Rollback ALL commited steps) Can that be done with transaction scopes? Could anyone post an example? In addition I'd need the prcoess to work for SQL Server 2005 AND Oracle 10g databases... will transaction scopes work with both database engines?

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  • Is there a way to use the transactions in TCPDF when extending it with FPDI?

    - by Darryl Hein
    I am using TCPDF with FPDI's bridge. The issue I'm having is that as soon as I use the startTransaction() I get the following error: TCPDF ERROR: Cannot access protected property FPDI:$numpages / Undefined property: FPDI::$numpages and the script ends (because of the die in the TCPDF::Error() method). Here is the code I'm using: $pdf = new FPDI(); // add a page $pdf->AddPage(); $pdf->startTransaction(); $pdf->Cell(0, 0, 'blah blah blah'); $pdf->rollbackTransaction(); $pdf->Output( . time() . '.pdf', 'D'); If I change it to: $pdf = new FPDI(); // add a page $pdf->AddPage(); $pdf->Cell(0, 0, 'blah blah blah'); $pdf->Output( . time() . '.pdf', 'D'); it works fine. Is there anyway to make them work together and use TCPDF's transactions?

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