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  • What is the "official" place for community support for the Mere Mortals .NET framework?

    - by Ryan Hayes
    My team is using the Mere Mortals .NET framework from Oak Leaf. Being used to working with primarily open source software, I found it excruciatingly painful to find ANY community support for MM.NET. When I asked if there was any, the only place I was given to look for support was Universal Thread, which is a site which requires a membership for search and archived questions. It seems like a third party, pay-for site should not be the primary source of support for anything like this, especially MM.NET which costs $700 per developer. It doesn' to me like an entire community around MM.NET would choose to all pay on top of the license just to use a forum. If not Universal Thread, then what is the "official" place to find support for the Mere Mortals .NET framework?

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  • Fraud and Anomaly Detection using Oracle Data Mining YouTube-like Video

    - by chberger
    I've created and recorded another YouTube-like presentation and "live" demos of Oracle Advanced Analytics Option, this time focusing on Fraud and Anomaly Detection using Oracle Data Mining.  [Note:  It is a large MP4 file that will open and play in place.  The sound quality is weak so you may need to turn up the volume.] Data is your most valuable asset. It represents the entire history of your organization and its interactions with your customers.  Predictive analytics leverages data to discover patterns, relationships and to help you even make informed predictions.   Oracle Data Mining (ODM) automatically discovers relationships hidden in data.  Predictive models and insights discovered with ODM address business problems such as:  predicting customer behavior, detecting fraud, analyzing market baskets, profiling and loyalty.  Oracle Data Mining, part of the Oracle Advanced Analytics (OAA) Option to the Oracle Database EE, embeds 12 high performance data mining algorithms in the SQL kernel of the Oracle Database. This eliminates data movement, delivers scalability and maintains security.  But, how do you find these very important needles or possibly fraudulent transactions and huge haystacks of data? Oracle Data Mining’s 1 Class Support Vector Machine algorithm is specifically designed to identify rare or anomalous records.  Oracle Data Mining's 1-Class SVM anomaly detection algorithm trains on what it believes to be considered “normal” records, build a descriptive and predictive model which can then be used to flags records that, on a multi-dimensional basis, appear to not fit in--or be different.  Combined with clustering techniques to sort transactions into more homogeneous sub-populations for more focused anomaly detection analysis and Oracle Business Intelligence, Enterprise Applications and/or real-time environments to "deploy" fraud detection, Oracle Data Mining delivers a powerful advanced analytical platform for solving important problems.  With OAA/ODM you can find suspicious expense report submissions, flag non-compliant tax submissions, fight fraud in healthcare claims and save huge amounts of money in fraudulent claims  and abuse.   This presentation and several brief demos will show Oracle Data Mining's fraud and anomaly detection capabilities.  

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  • Function Folding in #PowerQuery

    - by Darren Gosbell
    Originally posted on: http://geekswithblogs.net/darrengosbell/archive/2014/05/16/function-folding-in-powerquery.aspxLooking at a typical Power Query query you will noticed that it's made up of a number of small steps. As an example take a look at the query I did in my previous post about joining a fact table to a slowly changing dimension. It was roughly built up of the following steps: Get all records from the fact table Get all records from the dimension table do an outer join between these two tables on the business key (resulting in an increase in the row count as there are multiple records in the dimension table for each business key) Filter out the excess rows introduced in step 3 remove extra columns that are not required in the final result set. If Power Query was to execute a query like this literally, following the same steps in the same order it would not be overly efficient. Particularly if your two source tables were quite large. However Power Query has a feature called function folding where it can take a number of these small steps and push them down to the data source. The degree of function folding that can be performed depends on the data source, As you might expect, relational data sources like SQL Server, Oracle and Teradata support folding, but so do some of the other sources like OData, Exchange and Active Directory. To explore how this works I took the data from my previous post and loaded it into a SQL database. Then I converted my Power Query expression to source it's data from that database. Below is the resulting Power Query which I edited by hand so that the whole thing can be shown in a single expression: let     SqlSource = Sql.Database("localhost", "PowerQueryTest"),     BU = SqlSource{[Schema="dbo",Item="BU"]}[Data],     Fact = SqlSource{[Schema="dbo",Item="fact"]}[Data],     Source = Table.NestedJoin(Fact,{"BU_Code"},BU,{"BU_Code"},"NewColumn"),     LeftJoin = Table.ExpandTableColumn(Source, "NewColumn"                                   , {"BU_Key", "StartDate", "EndDate"}                                   , {"BU_Key", "StartDate", "EndDate"}),     BetweenFilter = Table.SelectRows(LeftJoin, each (([Date] >= [StartDate]) and ([Date] <= [EndDate])) ),     RemovedColumns = Table.RemoveColumns(BetweenFilter,{"StartDate", "EndDate"}) in     RemovedColumns If the above query was run step by step in a literal fashion you would expect it to run two queries against the SQL database doing "SELECT * …" from both tables. However a profiler trace shows just the following single SQL query: select [_].[BU_Code],     [_].[Date],     [_].[Amount],     [_].[BU_Key] from (     select [$Outer].[BU_Code],         [$Outer].[Date],         [$Outer].[Amount],         [$Inner].[BU_Key],         [$Inner].[StartDate],         [$Inner].[EndDate]     from [dbo].[fact] as [$Outer]     left outer join     (         select [_].[BU_Key] as [BU_Key],             [_].[BU_Code] as [BU_Code2],             [_].[BU_Name] as [BU_Name],             [_].[StartDate] as [StartDate],             [_].[EndDate] as [EndDate]         from [dbo].[BU] as [_]     ) as [$Inner] on ([$Outer].[BU_Code] = [$Inner].[BU_Code2] or [$Outer].[BU_Code] is null and [$Inner].[BU_Code2] is null) ) as [_] where [_].[Date] >= [_].[StartDate] and [_].[Date] <= [_].[EndDate] The resulting query is a little strange, you can probably tell that it was generated programmatically. But if you look closely you'll notice that every single part of the Power Query formula has been pushed down to SQL Server. Power Query itself ends up just constructing the query and passing the results back to Excel, it does not do any of the data transformation steps itself. So now you can feel a bit more comfortable showing Power Query to your less technical Colleagues knowing that the tool will do it's best fold all the  small steps in Power Query down the most efficient query that it can against the source systems.

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  • How do I combine grouped nodes?

    - by LOlliffe
    Using the XSL: <?xml version="1.0" encoding="UTF-8"?> <xsl:stylesheet xmlns:xsl="http://www.w3.org/1999/XSL/Transform" xmlns:xs="http://www.w3.org/2001/XMLSchema" exclude-result-prefixes="xs" version="2.0"> <xsl:output method="xml"/> <xsl:template match="/"> <records> <record> <!-- Group record by bigID, for further processing --> <xsl:for-each-group select="records/record" group-by="bigID"> <xsl:sort select="bigID"/> <xsl:for-each select="current-group()"> <!-- Create new combined record --> <bigID> <!-- <xsl:value-of select="."/> --> <xsl:for-each select="."> <xsl:value-of select="bigID"/> </xsl:for-each> </bigID> <text> <xsl:value-of select="text"/> </text> </xsl:for-each> </xsl:for-each-group> </record> </records> </xsl:template> I'm trying to change: <?xml version="1.0" encoding="UTF-8"?> <records> <record> <bigID>123</bigID> <text>Contains text for 123</text> <bigID>456</bigID> <text>Some 456 text</text> <bigID>123</bigID> <text>More 123 text</text> <bigID>123</bigID> <text>Yet more 123 text</text> </record> into: <?xml version="1.0" encoding="UTF-8"?> <records> <record> <bigID>123</bigID> <text>Contains text for 123</text> <text>More 123 text</text> <text>Yet more 123 text</text> </bigID> <bigID>456 <text>Some 456 text</text> </bigID> </record> Right now, I'm just listing the grouped <bigIDs, individually. I'm missing the step after grouping, where I combine the grouped <bigID nodes. My suspicion is that I need to use the "key" function somehow, but I'm not sure. Thanks for any help.

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  • ASP.NET 4.0 and the Entity Framework 4 - Part 4 - A 3 Layered Approach to the Entity Framework

    In this article, Vince suggests a pattern to use when developing a three layered application using the Entity Framework 4. After providing a short introduction he demonstrates the creation of the database, data access layer, business logic layer, and a web form. He does so with the help of detailed explanations, source code examples and related screenshots. He also examines how to select records to load a Drop Down List, including adding, editing and deleting records.Did you know that DotNetSlackers also publishes .net articles written by top known .net Authors? We already have over 80 articles in several categories including Silverlight. Take a look: here.

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  • Checking for DBNull

    - by Jim Lahman
    Using a table adapter to a SQL Server database table that returns a NULL record.  We determine the fields are NULL by comparing against System.DBNull Looking the NULL records in SQL Management studio   Using a table adapter to retrieve a record   1: try 2: { 3: this.vTrackingTableAdapter.FillByTrkZone(this.dsL1Write.vTracking, iTrkZone); 4: } 5: catch (Exception ex) 6: { 7: sLogMessage = String 8: .Format("Error getting coil number from tracking table at {0} - {1}", 9: sTrkName, 10: ex.Message); 11: throw new CannotReadTrackingTableException(sLogMessage); 12: }   Looking at the record as it returned from the table adapter:   ItemArrayObject Column [0] ChargeCoilNumber [1] HeadWeldZone [2] TailWeldZone [3] ZoneLen [4] ZoneCoilLen [5] Confirmed [6] Validated [7] EntryWidth [8] EntryThickness   Since each item in the ItemArray is an object, we can test for null   1: if (dsL1Write.vTracking.Rows[0].ItemArray[0] == System.DBNull.Value) 2: { 3: throw new NoCoilAtPORException("NULL coil found at tracking zone " + sTrkName); 4: }   If no records were returned by the table adapter 1: if (dsL1Write.vTracking.Rows.Count == 0) 2: { 3: throw new NoCoilAtPORException("No coils found at tracking zone " + sTrkName); 4: }

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  • How can I keep track of all the websites I've made like a proper business would?

    - by Mile
    A few other students and I are forming a group that wants to become good at what we do: websites. We are making websites for free for friends at the moment in order to get ourselves some experience and to learn from each other. We are about to finish our first website this week. In 6 months time we plan to have a portfolio and hope to start charging for websites. The issue is that we are all beginners and we are unsure about how to keep records of the websites we do. It is important as we may want to maintain a few websites or add to them later on. How does a proper web design business keep records of all info needed? Is there a program or software package we can use?

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  • Nameservers and migrating a VPS

    - by MeltingDog
    I am primarily a front end developer who has been tasked with upgrading my companies VPS. As far as I understand, this is just the process of obtaining a new VPS with WHM/CPanel and then migrating the existing accounts over to the new VPS, testing the sites out, then pointing the DNS to the new nameserver records. That sounds pretty straightforward. What I am having trouble understanding is how to set up the new nameservers on the new VPS. How do I obtain/establish the new nameserver records for the new, blank VPS?

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  • How can I allow a user to stream my videos securely?

    - by John Baber
    I've got a script that records 10 minute videos from a webcam to video1.mp4 video2.mp4 video3.mp4 video4.mp4 Then records over video1 again in rotation. I'd like one user to be able to view these in winamp or itunes by having a playlist with the four of them on repeat. (This is my way of getting around the many hours of figuring out how to actually livestream from a webcam with VLC). I don't see any examples of things like icecast being used for video, and I don't see any mentions of secure streaming. My question is, is there any way to have these videos be seen securely? I can do things like https on my server, but I don't have great access to the user's machine, so just sharing a directory by samba or sshfs isn't much of an option.

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  • Virtual Printer Driver for Windows

    - by bitsbunny
    Hello, can you please help me with the following questions... If I need a virtual printer that will convert a PostScript stream to a different format, do I have to implement a virtual printer from scratch or implement a rendering plug-in? The rendering plug-in seems to support only certain customizations. Also the data invariably goes to the spooler which is not needed in this case. If I implement a virtual printer driver does it completely replace the Microsoft PostScript Driver or the Microsoft Universal Driver? Since my driver is virtual, does it matter if I write a PostScript compliant or a Universal Driver compliant one? Any other method to convert a printed document to a custom document format apart from implementing a virtual printer driver? Can I hook on as a port monitor or something? From what I could understand I guess not.

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  • algorithm q: Fuzzy matching of structured data

    - by user86432
    I have a fairly small corpus of structured records sitting in a database. Given a tiny fraction of the information contained in a single record, submitted via a web form (so structured in the same way as the table schema), (let us call it the test record) I need to quickly draw up a list of the records that are the most likely matches for the test record, as well as provide a confidence estimate of how closely the search terms match a record. The primary purpose of this search is to discover whether someone is attempting to input a record that is duplicate to one in the corpus. There is a reasonable chance that the test record will be a dupe, and a reasonable chance the test record will not be a dupe. The records are about 12000 bytes wide and the total count of records is about 150,000. There are 110 columns in the table schema and 95% of searches will be on the top 5% most commonly searched columns. The data is stuff like names, addresses, telephone numbers, and other industry specific numbers. In both the corpus and the test record it is entered by hand and is semistructured within an individual field. You might at first blush say "weight the columns by hand and match word tokens within them", but it's not so easy. I thought so too: if I get a telephone number I thought that would indicate a perfect match. The problem is that there isn't a single field in the form whose token frequency does not vary by orders of magnitude. A telephone number might appear 100 times in the corpus or 1 time in the corpus. The same goes for any other field. This makes weighting at the field level impractical. I need a more fine-grained approach to get decent matching. My initial plan was to create a hash of hashes, top level being the fieldname. Then I would select all of the information from the corpus for a given field, attempt to clean up the data contained in it, and tokenize the sanitized data, hashing the tokens at the second level, with the tokens as keys and frequency as value. I would use the frequency count as a weight: the higher the frequency of a token in the reference corpus, the less weight I attach to that token if it is found in the test record. My first question is for the statisticians in the room: how would I use the frequency as a weight? Is there a precise mathematical relationship between n, the number of records, f(t), the frequency with which a token t appeared in the corpus, the probability o that a record is an original and not a duplicate, and the probability p that the test record is really a record x given the test and x contain the same t in the same field? How about the relationship for multiple token matches across multiple fields? Since I sincerely doubt that there is, is there anything that gets me close but is better than a completely arbitrary hack full of magic factors? Barring that, has anyone got a way to do this? I'm especially keen on other suggestions that do not involve maintaining another table in the database, such as a token frequency lookup table :). This is my first post on StackOverflow, thanks in advance for any replies you may see fit to give.

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  • Rollback in Oracle and SQL Server

    - by CatherineRussell
    I have an Oracle background. It was interesting to see how rollback handled in Oracle and SQL Server. There is no begin trans in Oracle.  What oracle does is it will store the data in a temporary area called the rollback segments. Untill your issue the commit command the records will be kept there. You can even rollback your update statement by issuing the rollback command. When you issue the commit command the records in the rollback segments are written to the redo log files. The same logic for insert is also applicable except that there is no mirror image of the record kept.   In SQL Server, if you want to be able to roll back statement, you neet to start your statement with a "begin tran" . Then, you can rollback a transaction, if this is needed. begin tran update Person set FirstName = 'Arthur' where PersonId = 10 -- select firstname from Person rollback

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  • Inserting Data into a Microsoft SQL 2008 Database in ASP.NET 3.5

    In the previous article Creating an ASP.NET Dynamic Web Page using a MS SQL Server 2 8 Database GridView Display you learned how to create a dynamic web page that can let the user edit and delete database records directly using a web browser. It was demonstrated with a home renovation project where team leaders can update and delete project tasks online. However it does not include features that let users add or insert new records directly into the database using a web browser. This feature will be covered in this tutorial.... Cloud Servers in Demand - GoGrid Start Small and Grow with Your Business. $0.10/hour

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  • How To Delete Your Skype Call and Chat History

    - by Gopinath
    Just like every other modern application, Skype also records all the communications we exchange using it. It records instant messages, calls, file transfers, SMS, etc. and makes it easy to view using the Conversation tab. If you ever feel like getting rid of these history information, then you need to delete them. Skype provides a single click option to clear all the history from you account, but the feature is buried deep under options menu.Really deep!. To clear history follow the menu Tools –> Options, switch to Privacy Settings tab available on the left side, click on Show advanced options button and finally hit the button Clear history. Ah! You are almost done. Just confirm a popup it displays on screen and your history is vanished from your account. Join us on Facebook to read all our stories right inside your Facebook news feed.

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  • Tooltip equivalent for touch devices?

    - by eteubert
    Hey folks, Touch devices are on the rise. More and more website developers try to optimize their pages for those devices. Until recently the most common solution was to build a mobile version for the website. But with tablets this will most likely change to adjusting the original pages to be touch compatible. One big issue I encountered are tooltips. There are some websites and web applications relying heavily on storing important informations in some kind of tooltip triggered by hovering the mouse arrow over some interface element - which does not exist on touch devices. So what do you think is a good universal way to adopt these pages without redesigning the site from scratch? Does this universal way even exist? My first idea was a tiny touchable question mark but this would hardly be big enough for a finger.

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  • Cutting large XML file into smaller pieces in C#

    - by NDraskovic
    I have a problem that I'm working on for quite some time now. I have an XML file with over 50000 records (one record has 3 levels). This file is used by one of my applications to control document sending (the record holds, among other informations, the type of document that has to be sent to a certain person). So in my application I load the XML file into a XmlDocument, and then by using SelectNodes method, I create a XmlNodeList from which I read the data I want. The process is like this - our worker takes the persons ID card (simple eith barcode) and reads it with barcode reader. When the barcode value has been read, my application finds the person with that ID in the XML file, and stores the type of the document into a string variable. Then the worker takes the document and reads its barcode, and if the value of documents barcode and the value in the value in the string variable match, the application makes a record that document of type xxxxxxxx will be sent to the person with ID yyyyyyyyy. This is very simple code, it works perfectly for now, and this is how it looks: On textBox1_TextChanged event (worker read persons ID): foreach(XmlNode node in NodeList){ if(String.Compare(node.Attributes.GetNamedItem("ID").Value.ToString(),textBox1.Text)==0) { ControlString = node.ChildNode[3].FirstChild.Attributes.GetNamedItem("doctype").Value.ToString(); break; } } textBox2.Focus(); And on textBox2_TextChanged event (worker read the documents barcode): if(String.Compare(textBox2.Text,ControlString)==0) { //Create a record and insert it into a SQL database } My question is - how will my application perform with larger XML files (I was told that the XML file might be up to 500,000 records large), will this approach be valid, or will I need to cut the file into smaller files. If I have to cut it, please give me an idea with some code samples, I've tried to do it like this: Reading entire record and storing it into a string: private void WriteXml(XmlNode record) { tempXML = record.InnerXml; temp = "<" + record.Name + " code=\"" + record.Attributes.GetNamedItem("code").Value + "\">" + Environment.NewLine; temp += tempXML + Environment.NewLine; temp += "</" + record.Name + ">"; SmallerXMLDocument += temp + Environment.NewLine; temp = ""; i++; } tempXML, temp and SmallerXMLDocument are all string variables. And then in button_Click method I load the XML file into a XmlNodeList (again by using XmlDocument.SelectNodes method) and I try to create one big string value that would hold all records like this: foreach(XmlNode node in nodes) { if(String.Compare(node.ChildNode[3].FirstChild.Attributes.GetNamedItem("doctype").Value.ToString(),doctype1)==0) { WriteXML(node); } } My idea was to create a string value (in this case called SmallerXmlDocument), and when I pass trough the entire XML file, to simply copy the value of that string into a new file. This works, but only for files that have up to 2000 records (and my has way more than that). So, if I need to cut the file into smaller pieces, what would be the best way to do it (keep in mind that there could be up to half a million records in a XML file)? Thanks

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  • De-facto standards for customer information record

    - by maasg
    I'm currently evaluating a potential new project that involves creating a DB for typical customer information (userid, pwd, first & last name, email, adress, telfnr ...). At this point, requirements are only roughly defined. The customer DB is expected in the O(millions) of records. In order to calculate some back-of-the-envelope numbers for DB sizing and evaluate potential DB options & architectures, I'm looking for some de-facto standards for these kind of records. In particular, the std size of every field (first name, last name, address,...) or typical avg for a simple customer record would be great info. With so many e-commerce websites out there, there should be some kind of typical config that can be reused and avoid re-inventing the wheel. Any ideas?

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  • Site is working with http:// not with http://www

    - by Forza
    My site is working if i type it as domain.com. But If I type it as www.domain.com I get an error 404 page. The domain is registered with Google Apps for Business and the hosting is done with another company. I have some A records that are pointing the site to this server. However, as it appears the A records are only working halfway. What do I have to do to make it working for both http:// and http://www ?

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  • MacPorts: Add an option to configure script

    - by Jeffrey Aylesworth
    I am trying to install libguichan without allegro support, because allegro will not build on Snow Leopard. It should be left out, the portfile has: 27 if {${os.platform} == "darwin" && (([variant_isset universal] && [string match *64* $universal_archs]) || (![variant_isset universal] && [string match *64 $build_arch]))} { 28 # allegro is not yet 64-bit compatible 29 depends_lib-delete port:allegro 30 configure.args-append --disable-allegro 31 } But when I install it, it tries to build allegro. Is there any way I can get this functionality from the command line to install it? The port: http://trac.macports.org/browser/trunk/dports/graphics/libguichan/Portfile

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  • Using VBA to model data in Autodesk Inventor?

    - by user108478
    I have a close friend who is using a specific device that records the dimensions of an object as it is eroded and outputs the dimensional data to an excel sheet. The object is spherical in nature but is eroded from the top and bottom, so the shape is constantly changing and a single formula for surface area and volume would not work. This is where Inventor comes in. My friend can plug the dimensional data to Inventor and it immediately returns the surface area and volume. The erosion process takes several minutes to complete and records data at very short intervals, so it would be very arduous to plug in the data thousand of time. Since Inventor supports macros and VBA, is there a way to plug the data into Inventor and output it into another spreadsheet? Any suggestions would be appreciated.

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  • Data Warehouse ETL slow - change primary key in dimension?

    - by Jubbles
    I have a working MySQL data warehouse that is organized as a star schema and I am using Talend Open Studio for Data Integration 5.1 to create the ETL process. I would like this process to run once per day. I have estimated that one of the dimension tables (dimUser) will have approximately 2 million records and 23 columns. I created a small test ETL process in Talend that worked, but given the amount of data that may need to be updated daily, the current performance will not cut it. It takes the ETL process four minutes to UPDATE or INSERT 100 records to dimUser. If I assumed a linear relationship between the count of records and the amount of time to UPDATE or INSERT, then there is no way the ETL can finish in 3-4 hours (my hope), let alone one day. Since I'm unfamiliar with Java, I wrote the ETL as a Python script and ran into the same problem. Although, I did discover that if I did only INSERT, the process went much faster. I am pretty sure that the bottleneck is caused by the UPDATE statements. The primary key in dimUser is an auto-increment integer. My friend suggested that I scrap this primary key and replace it with a multi-field primary key (in my case, 2-3 fields). Before I rip the test data out of my warehouse and change the schema, can anyone provide suggestions or guidelines related to the design of the data warehouse the ETL process how realistic it is to have an ETL process INSERT or UPDATE a few million records each day will my friend's suggestion significantly help If you need any further information, just let me know and I'll post it. UPDATE - additional information: mysql> describe dimUser; Field Type Null Key Default Extra user_key int(10) unsigned NO PRI NULL auto_increment id_A int(10) unsigned NO NULL id_B int(10) unsigned NO NULL field_4 tinyint(4) unsigned NO 0 field_5 varchar(50) YES NULL city varchar(50) YES NULL state varchar(2) YES NULL country varchar(50) YES NULL zip_code varchar(10) NO 99999 field_10 tinyint(1) NO 0 field_11 tinyint(1) NO 0 field_12 tinyint(1) NO 0 field_13 tinyint(1) NO 1 field_14 tinyint(1) NO 0 field_15 tinyint(1) NO 0 field_16 tinyint(1) NO 0 field_17 tinyint(1) NO 1 field_18 tinyint(1) NO 0 field_19 tinyint(1) NO 0 field_20 tinyint(1) NO 0 create_date datetime NO 2012-01-01 00:00:00 last_update datetime NO 2012-01-01 00:00:00 run_id int(10) unsigned NO 999 I used a surrogate key because I had read that it was good practice. Since, from a business perspective, I want to keep aware of potential fraudulent activity (say for 200 days a user is associated with state X and then the next day they are associated with state Y - they could have moved or their account could have been compromised), so that is why geographic data is kept. The field id_B may have a few distinct values of id_A associated with it, but I am interested in knowing distinct (id_A, id_B) tuples. In the context of this information, my friend suggested that something like (id_A, id_B, zip_code) be the primary key. For the large majority of daily ETL processes (80%), I only expect the following fields to be updated for existing records: field_10 - field_14, last_update, and run_id (this field is a foreign key to my etlLog table and is used for ETL auditing purposes).

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  • SSRS 2008 printing single page renders different for print

    - by user270437
    I have a problem with SSRS 2008 reports rendering differently on the reporting server than the way it renders when you print the report. I’m trying to figure out to print a single page and have the print show that same records as I see on the report on the screen. As a test, I created a simple report with no headers or footers and just added a Tablix table to display the records (no groupings). My data set for this test displays 2 ¼ pages of records when I deploy it to our reporting services server and run it. If I click the print Icon and preview the report is 2 ¾ pages. I haven’t found anything searching on this so it makes me think it is something simple I’m missing. A basically want the report to render the same records on each page in Report Manager as it does when it prints, how do I accomplish this? (In response to answer posted by Chris)…If that is the case then it is disappointing. Customers are accustomed to WYSIWYG and will have a hard time understanding that, I imagine we will be getting a lot of support calls. This still leaves an issue. I tried using print preview and could not find any way to single out a page. If I select a page up front to print, or preview it renders different so I get different records. And if I preview the entire document, I can only print the entire document. You mentioned the Excel render; we have customers that will want that also. The problem I have found with Excel exports is that even a basic report winds up merging some cells and that messes up sorting. I’m going to try your tip about grouping to see if I can get a clean export to a page. It would have been nice if they would have created a property for certain controls like the tablix table called “ExcelSheet”. Then all you would have to do is give it a name and it would create a new sheet for each control with a name, the name becoming the sheet title. Thanks for the information you supplied it is very useful as I’m new to SSRS. If you know how I can Preview in print render and select individual pages to print from the render let me know. Update 02/19/2010 After testing this more I now realize it is just a bad design of Report managers print driver or a limitation because it is server based. The options work differently than Windows apps drivers, But I did find a work around. Here is the test I performed comparing Excel to Report Manager. I bring up a report that will render more than 1 page when printed. I then export to Excel, in Excel I select print preview. I can navigate the pages in preview and then select a single page like page 3. I can then print just page 3 without leaving print preview and it prints just like it rendered. I cannot do this using print in report manager. If I select print preview in report manager then try to print while in preview it always prints the entire document. However if I close out of print preview, I can then select page 3 and print it as rendered. It is just one additional step once you know what to do, but it took some time to figure it out.

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  • How to generate random strings that match a given regexp?

    - by Pies
    Duplicate: Random string that matches a regexp No, it isn't. I'm looking for an easy and universal method, one that I could actually implement. That's far more difficult than randomly generating passwords. I want to create an application that takes a regular expression, and shows 10 randomly generated strings that match that expression. It's supposed to help people better understand their regexps, and to decide i.e. if they're secure enough for validation purposes. Does anyone know of an easy way to do that? One obvious solution would be to write (or steal) a regexp parser, but that seems really over my head. I repeat, I'm looking for an easy and universal way to do that. Edit: Brute force approach is out of the question. Assuming the random strings would just be [a-z0-9]{10} and 1 million iterations per second, it would take 65 years to iterate trough the space of all 10-char strings.

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  • Checking a record is due based on the 'occuring' field

    - by andy
    I have records that have dates against them and an occurring field that contains none,yearly and monthly id status note date last_updated occurring 1 open --- 01/01/2011 01/02/2010 yearly 2 open --- 05/05/2011 03/05/2011 monthly 3 open --- 06/06/2011 05/06/2011 none Now I need to be able to check if a record is due (the date set has passed) which works perfect if occurring is set to none but I'm unsure of how to approach it when it's set to yearly or monthly (IE: This day in the year/month has passed) So with the above records, if I had a method on the record called due? providing the status is 'open' it needs to return true every year when it's passed that date if it's not been updated within the year yet. I apologise if this is confusing but it's melting my brain just trying to think of it, let alone put it into words.

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