Search Results

Search found 42428 results on 1698 pages for 'database query'.

Page 582/1698 | < Previous Page | 578 579 580 581 582 583 584 585 586 587 588 589  | Next Page >

  • odp.net SQL query retrieve set of rows from two input arrays.

    - by Karl Trumstedt
    I have a table with a primary key consisting of two columns. I want to retrieve a set of rows based on two input arrays, each corresponding to one primary key column. select pkt1.id, pkt1.id2, ... from PrimaryKeyTable pkt1, table(:1) t1, table(:2) t2 where pkt1.id = t1.column_value and pkt1.id2 = t2.column_value I then bind the values with two int[] in odp.net. This returns all different combinations of my resulting rows. So if I am expecting 13 rows I receive 169 rows (13*13). The problem is that each value in t1 and t2 should be linked. Value t1[4] should be used with t2[4] and not all the different values in t2. Using distinct solves my problem, but I'm wondering if my approach is wrong. Anyone have any pointers on how to solve this the best way? One way might be to use a for-loop accessing each index in t1 and t2 sequentially, but I wonder what will be more efficient. Edit: actually distinct won't solve my problem, it just did it based on my input-values (all values in t2 = 0)

    Read the article

  • Can I change the datsource of report model at runtime

    - by Manab De
    I've some adhoc reports developed on some report models which are published on Report Server (we're using SSRS 2008). Everything is running well. Now in our production environment we've near about forty (40) customers who have their own database (each have the same table structures and other database objects). Now the challenge is whenever a customer will log into the report server using windows authentication and trying to view those reports we need to get the SQL data from the proper database only. Reports are designed using the report model and each model has a valid data source which is connected to particular database. We can create forty separate data sources each will be connected to specific database. My question is, is there any way through which we can change the report model data source name dynamically or during runtime based on the customer name so that during execution of the report, SSRS would fetch the data from the correct database but not from any other database. Please help me.

    Read the article

  • how to fetch more than 1000 entities NON keybased?

    - by user291071
    If I should be approaching this problem through a different method, please suggest so. I am creating an item based collaborative filter. I populate the db with the LinkRating2 class and for each link there are more than a 1000 users that I need to call and collect their ratings to perform calculations which I then use to create another table. So I need to call more than 1000 entities for a given link. For instance lets say there are over a 1000 users rated 'link1' there will be over a 1000 instances of this class for the given link property that I need to call. How would I complete this example? class LinkRating2(db.Model): user = db.StringProperty() link = db.StringProperty() rating2 = db.FloatProperty() query =LinkRating2.all() link1 = 'link string name' a = query.filter('link = ', link1) aa = a.fetch(1000)##how would i get more than 1000 for a given link1 as shown? ##keybased over 1000 in other post example i need method for a subset though not key class MyModel(db.Expando): @classmethod def count_all(cls): """ Count *all* of the rows (without maxing out at 1000) """ count = 0 query = cls.all().order('__key__') while count % 1000 == 0: current_count = query.count() if current_count == 0: break count += current_count if current_count == 1000: last_key = query.fetch(1, 999)[0].key() query = query.filter('__key__ > ', last_key) return count

    Read the article

  • Using CONNECT BY to get all parents and one child in Hierarchy through SQL query in Oracle

    - by s khan
    I was going through some previous posts on CONNECT BY usage. What I need to find is that what to do if I want to get all the parents (i.e, up to root) and just one child for a node, say 4. It seems Like I will have to use union of the following two:- SELECT * FROM hierarchy START WITH id = 4 CONNECT BY id = PRIOR parent union SELECT * FROM hierarchy WHERE LEVEL =<2 START WITH id = 4 CONNECT BY parent = PRIOR id Is there a better way to do this, some workaround that is more optimized?

    Read the article

  • Combining two queries on same table

    - by user1830856
    I've looked through several previous questions but I am struggling to apply the solutions to my specific example. I am having trouble combining query 1 and query 2. My query originally returned (amongst other details) the values "SpentTotal" and "UnderSpent" for all members/users for the current month. My issue has been adding two additional columns to this original quert that will return JUST these two columns (Spent and Overspent) but for the previous months data Original Query #1: set @BPlanKey = '##CURRENTMONTH##' EXECUTE @RC = Minimum_UpdateForPeriod @BPlanKey SELECT cm.clubaccountnumber, bp.Description , msh.PeriodMinObligation, msh.SpentTotal, msh.UnderSpent, msh.OverSpent, msh.BilledDate, msh.PeriodStartDate, msh.PeriodEndDate, msh.OverSpent FROM MinimumSpendHistory msh INNER JOIN BillPlanMinimums bpm ON msh.BillingPeriodKey = @BPlanKey and bpm.BillPlanMinimumKey = msh.BillPlanMinimumKey INNER JOIN BillPlans bp ON bp.BillPlanKey = bpm.BillPlanKey INNER JOIN ClubMembers cm ON cm.parentmemberkey is null and cm.ClubMemberKey = msh.ClubMemberKey order by cm.clubaccountnumber asc, msh.BilledDate asc Query #2, query of all columns for PREVIOUS month, but I only need two (spent and over spent), added to the query from above, joined on the customer number: set @BPlanKeyLastMo = '##PREVMONTH##' EXECUTE @RCLastMo = Minimum_UpdateForPeriod @BPlanKeyLastMo SELECT cm.clubaccountnumber, bp.Description , msh.PeriodMinObligation, msh.SpentTotal, msh.UnderSpent, msh.OverSpent, msh.BilledDate, msh.PeriodStartDate, msh.PeriodEndDate, msh.OverSpent FROM MinimumSpendHistory msh INNER JOIN BillPlanMinimums bpm ON msh.BillingPeriodKey = @BPlanKeyLastMo and bpm.BillPlanMinimumKey = msh.BillPlanMinimumKey INNER JOIN BillPlans bp ON bp.BillPlanKey = bpm.BillPlanKey INNER JOIN ClubMembers cm ON cm.parentmemberkey is null and cm.ClubMemberKey = msh.ClubMemberKey order by cm.clubaccountnumber asc, msh.BilledDate asc Big thank you to any and all that are willing to lend their help and time. Cheers! AJ CREATE TABLE MinimumSpendHistory( [MinimumSpendHistoryKey] [uniqueidentifier] NOT NULL, [BillPlanMinimumKey] [uniqueidentifier] NOT NULL, [ClubMemberKey] [uniqueidentifier] NOT NULL, [BillingPeriodKey] [uniqueidentifier] NOT NULL, [PeriodStartDate] [datetime] NOT NULL, [PeriodEndDate] [datetime] NOT NULL, [PeriodMinObligation] [money] NOT NULL, [SpentTotal] [money] NOT NULL, [CurrentSpent] [money] NOT NULL, [OverSpent] [money] NULL, [UnderSpent] [money] NULL, [BilledAmount] [money] NOT NULL, [BilledDate] [datetime] NOT NULL, [PriorPeriodMinimum] [money] NULL, [IsCommitted] [bit] NOT NULL, [IsCalculated] [bit] NOT NULL, [BillPeriodMinimumKey] [uniqueidentifier] NOT NULL, [CarryForwardCounter] [smallint] NULL, [YTDSpent] [money] NOT NULL, [PeriodToAccumulateCounter] [int] NULL, [StartDate] [datetime] NOT NULL,

    Read the article

  • How do i view the local database version in safari on the iphone?

    - by ~potsed
    I am trying to see the localDatabase version from my iPhone in safari but it is not displaying, according to the docs i am supposed to be able to do this: var db = openDatabase('dbShortName', '', 'dbLongName', 1000); alert(db.version); and it should alert the current version number. It does not. It works in Chrome and safari for the desktop but not the iPhone. Does anybody have some idea why? My next option is to store the version in a separate table, but I would prefer to use the built in system. Thanks in advance.

    Read the article

  • Specify sorting order for a GROUP BY query to retrieve oldest or newest record for each group

    - by Beau Simensen
    I need to get the most recent record for each device from an upgrade request log table. A device is unique based on a combination of its hardware ID and its MAC address. I have been attempting to do this with GROUP BY but I am not convinced this is safe since it looks like it may be simply returning the "top record" (whatever SQLite or MySQL thinks that is). I had hoped that this "top record" could be hinted at by way of ORDER BY but that does not seem to be having any impact as both of the following queries returns the same records for each device, just in opposite order: SELECT extHwId, mac, created FROM upgradeRequest GROUP BY extHwId, mac ORDER BY created DESC SELECT extHwId, mac, created FROM upgradeRequest GROUP BY extHwId, mac ORDER BY created ASC Is there another way to accomplish this? I've seen several somewhat related posts that have all involved sub selects. If possible, I would like to do this without subselects as I would like to learn how to do this without that.

    Read the article

  • mysql data read returning 0 rows from class

    - by Neo
    I am implementing a database manager class within my app, mainly because there are 3 databases to connect to one being a local one. However the return function isn't working, I know the query brings back rows but when it is returned by the class it has 0. What am I missing? public MySqlDataReader localfetchrows(string query, List<MySqlParameter> dbparams = null) { using (var conn = connectLocal()) { Console.WriteLine("Connecting local : " + conn.ServerVersion); MySqlCommand sql = conn.CreateCommand(); sql.CommandText = query; if (dbparams != null) { if (dbparams.Count > 0) { sql.Parameters.AddRange(dbparams.ToArray()); } } MySqlDataReader reader = sql.ExecuteReader(); Console.WriteLine("Reading data : " + reader.HasRows + reader.FieldCount); return reader; /* using (MySqlCommand sql = conn.CreateCommand()) { sql.CommandText = query; if (dbparams != null) { if (dbparams.Count > 0) { sql.Parameters.AddRange(dbparams.ToArray()); } } MySqlDataReader reader = sql.ExecuteReader(); Console.WriteLine("Reading data : " + reader.HasRows + reader.FieldCount); sql.Parameters.Clear(); return reader; }*/ } } And the code to get the results query = @"SELECT jobtypeid, title FROM jobtypes WHERE active = 'Y' ORDER BY title ASC"; //parentfrm.jobtypes = db.localfetchrows(query); var rows = db.localfetchrows(query); Console.WriteLine("Reading data : " + rows.HasRows + rows.FieldCount); while (rows.Read()){ } These scripts return the following : Connecting local : 5.5.16 Reading data : True2 Reading data : False0

    Read the article

  • Possible to have ampersands ("&") in URL BEFORE the query string?

    - by Mike Crittenden
    My client is determined to have a page at /nfm&t so I made a directory named nfm&t with an index.html (to test) and that URL is still throwing a 404. So apparently it's not that easy. Any ideas? Or is there a way to just redirect nfm&t to nfmt, so that the URL at least resolves? This is a Windows server, by the way, which throws a wrench into how I'm used to doing redirects.

    Read the article

  • How to query an .NET assembly's required framework (not CLR) version?

    - by Bonfire Burns
    Hi, we are using some kind of plug-in architecture in one of our products (based on .NET). We have to consider our customers or even 3rd party devs writing plug-ins for the product. The plug-ins will be .NET assemblies that are loaded by our product at run-time. We have no control about the quality or capabilities of the external plug-ins (apart from checking whether they implement the correct interfaces). So we need to implement some kind of safety check while loading the plug-ins to make sure that our product (and the hosting environment) can actually host the plug-in or deliver a meaningful error message ("The plug-in your are loading needs .NET version 42.42 - the hosting system is only on version 33.33."). Ideally the plug-ins would do this check internally, but our experience regarding their competence is so-so and in any case our product will get the blame, so we want to make sure that this "just works". Requiring the plug-in developers to provide the info in the metadata or to explicitly provide the information in the interface is considered "too complicated". I know about the Assembly.ImageRuntimeVersion property. But to my knowledge this tells me only the needed CLR version, not the framework version. And I don't want to check all of the assembly's dependencies and match them against a table of "framework version vs. available assemblies". Do you have any ideas how to solve this in a simple and maintainable fashion? Thanks & regards, Bon

    Read the article

  • Batch processing JDBC

    - by Wai Hein
    I am practicing JDBC batch processing and having errors: error 1: Unsupported feature error 2: Execute cannot be empty or null Property files include: itemsdao.updateBookName = Update Books set bookname = ? where books.id = ? itemsdao.updateAuthorName = Update books set authorname = ? where books.id = ? I know I can execute about DML statements in one update, but I am practicing batch processing in JDBC. Below is my method public void update(Item item) { String query = null; try { connection = DbConnector.getConnection(); property = SqlPropertiesLoader.getProperties("dml.properties"); connection.setAutoCommit(false); if ( property == null ) { Logging.log.debug("dml.properties does not exist. Check property loader or file name is spelled right"); return; } query = property.getProperty("itemsdao.updateBookName"); statement = connection.prepareStatement(query); statement.setString(1, item.getBookName()); statement.setInt(2, item.getId()); statement.addBatch(query); query = property.getProperty("itemsdao.updateAuthorName"); statement = connection.prepareStatement(query); statement.setString(1, item.getAuthorName()); statement.setInt(2, item.getId()); statement.addBatch(query); statement.executeBatch(); connection.commit(); }catch (ClassNotFoundException e) { Logging.log.error("Connection class does not exist", e); } catch (SQLException e) { Logging.log.error("Violating PK constraint",e); } //helper class th finally { DbUtil.close(connection); DbUtil.closePreparedStatement(statement); }

    Read the article

  • How to read changed values with native query during one transaction? (Spring and JPA)

    - by knarf1983
    We have container transaction with Spring and JPA (Hibernate). I need to make an update on a table to "flag" some rows via native statements. Then we insert some rows via EntityManager from JPATemplate to this table. After that, we need to calculate changes in the table via native statement (with Oracle's union and minus, complex groups...) I see that changes from step 1 and 2 are not commited and thats why the statement from 3 fails. I already tried with transaction propagation REQUIRES_NEW, EntityManager.flush... Didn't work. 1) update SOMETABLE acolumn = somevalue (native) 2) persist some values into SOMETABLE (via entity manager) 3) select values from SOMETABLE Is there a possibility to read the changes from step 1 and 2 in step 3?

    Read the article

  • How to enable an AdventureWorks database in a web application?

    - by salvationishere
    I am developing a C#/SQL ASP.NET web application in VS 2008. I want the users to be able to select an Adventureworks table and then an input file. The user is then able to map columns from the file with the selected table. This app works fine now in VS. But when I Browse in IIS, it doesn't show any of the tables. I think this is because currently Adventureworks connection string is integrated security (Windows authentication). If I want users to be able to select a table, do I have to change connection to SQL Server authentication? And if so, is the only way to do this to reinstall SQL Server? Or can I just reinstall Adventureworks? And if I reinstall SQL Server, do I need to reinstall VS also for this to work? This could be painful...

    Read the article

  • Are indexes good or bad for a large database?

    - by gmemon
    Hello All, I read on MySQL Performance Blog that when tables are large, it is better to scan full tables, instead of using indexes. I have a table with tens of millions of rows. When conducting queries, if I use no indexes, then queries are 24 times slower than with indexes. I know lot of things may cause this (e.g., are rows stored sequentially), but can you please give me some hints what might be happening? Or how I should start examining this issue? I want to understand when use of indexes is preferred and when it's not Thanks

    Read the article

  • Sql Server 2005 Check Constraint not being applied in execution when using variables

    - by DarylS
    Here is some SQL sample code: --Create 2 Sales tables with constraints based on the saledate create table Sales1(SaleDate datetime, Amount money) ALTER TABLE dbo.Sales1 ADD CONSTRAINT CK_Sales1 CHECK (([SaleDate]>='01 May 2010')) GO create table Sales2(SaleDate datetime, Amount money) ALTER TABLE dbo.Sales2 ADD CONSTRAINT CK_Sales2 CHECK (([SaleDate]<'01 May 2010')) GO --Insert some data into Sales1 insert into Sales1 (SaleDate, Amount) values ('02 May 2010', 50) insert into Sales1 (SaleDate, Amount) values ('03 May 2010', 60) GO --Insert some data into Sales2 insert into Sales2 (SaleDate, Amount) values ('30 Mar 2010', 10) insert into Sales2 (SaleDate, Amount) values ('31 Mar 2010', 20) GO --Create a view that combines these 2 tables create VIEW [dbo].[Sales] AS SELECT SaleDate, Amount FROM Sales1 UNION ALL SELECT SaleDate, Amount FROM Sales2 GO --Get the results --Query 1 select * from Sales where SaleDate < '31 Mar 2010' -- if you look at the execution plan this query only looks at Sales2 (Which is good) --Query 2 DECLARE @SaleDate datetime SET @SaleDate = '31 Mar 2010' select * from Sales where SaleDate < @SaleDate -- if you look at the execution plan this query looks at Sales1 and Sales2 (Which is NOT good) Looking at the execution plan you will see that the two queries are differnt. For Query 1 the only table that is accessed is Sales1 (which is good). For Query 2 both tables are accessed (Which is bad). Why are these execution plans different, and how do i get Query 2 to only access the relevant table when variables are used? I have tried to add indexes for the SaleDate column and that does not seem to help.

    Read the article

  • Deserializing only select properties of an Entity using JDOQL query string?

    - by user246114
    Hi, I have a rather large class stored in the datastore, for example a User class with lots of fields (I'm using java, omitting all decorations below example for clarity): @PersistenceCapable class User { private String username; private String city; private String state; private String country; private String favColor; } For some user queries, I only need the favColor property, but right now I'm doing this: SELECT FROM " + User.class.getName() + " WHERE username == 'bob' which should deserialize all of the entity properties. Is it possible to do something instead like: SELECT username, favColor FROM " + User.class.getName() + " WHERE username == 'bob' and then in this case, all of the returned User instances will only spend time deserializing the username and favColor properties, and not the city/state/country properties? If so, then I suppose all the other properties will be null (in the case of objects) or 0 for int/long/float? Thank you

    Read the article

  • query to return three records for each customer application based on the options declared in the pre

    - by kumarreddy
    tables look like this table1---customer application columns--- application id--primary key, name, ssn, ... ... table2----balance(actually its a view) columns--- amount balance, application id ...... ...... table3 ---- options columns--- optionid, option value(1,2,3,4), ...... ........ .... table4 ----- ratios columns--- ratios id, option value, ratio value, applicationid(have to think about it), ........ table 4(detail) option value, Ratios 1 ----- 30 1 ----- 40 1 ----- 30 2 ---- 100 2 ----- 0 2 ------ 0 3 ---- 60 3 ------ 30 3 ----- 10 4 ---- 50 4 ----- 30 4 ----- 20 as is the case...now i need to get three records for each customer application with varying balances in proportion of ratios declared in table 4 corresponding to option values...... plz let me know where i was unclear about returning records thanks in advance

    Read the article

< Previous Page | 578 579 580 581 582 583 584 585 586 587 588 589  | Next Page >