Search Results

Search found 27723 results on 1109 pages for 'sql puzzle'.

Page 613/1109 | < Previous Page | 609 610 611 612 613 614 615 616 617 618 619 620  | Next Page >

  • How to manage multiple versions of the same record

    - by Darvis Lombardo
    I am doing short-term contract work for a company that is trying to implement a check-in/check-out type of workflow for their database records. Here's how it should work... 1) A user creates a new entity within the application. There are about 20 related tables that will be populated in addition to the main entity table. 2) Once the entity is created the user will mark it as the master. 3) Another user can make changes to the master only by "checking out" the entity. Multiple users can checkout the entity at the same time. 4) Once the user has made all the necessary changes to the entity, they put it in a "needs approval" status. 5) After an authorized user reviews the entity, they can promote it to master which will put the original record in a tombstoned status. The way they are currently accomplishing the "check out" is by duplicating the entity records in all the tables. The primary keys include EntityID + EntityDate, so they duplicate the entity records in all related tables with the same EntityID and an updated EntityDate and give it a status of "checked out". When the record is put into the next state (needs approval), the duplication occurs again. Eventually it will be promoted to master at which time the final record is marked as master and the original master is marked as dead. This design seems hideous to me, but I understand why they've done it. When someone looks up an entity from within the application, they need to see all current versions of that entity. This was a very straightforward way for making that happen. But the fact that they are representing the same entity multiple times within the same table(s) doesn't sit well with me, nor does the fact that they are duplicating EVERY piece of data rather than only storing deltas. I would be interested in hearing your reaction to the design, whether positive or negative. I would also be grateful for any resoures you can point me to that might be useful for seeing how someone else has implemented such a mechanism. Thanks! Darvis

    Read the article

  • Postback Removing Styling from Page

    - by Roy
    Hi, Currently I've created a ASP.Net page that has a dropdown control with autopostback set to true. I've also added color backgrounds for individual listitems. Whenever an item is selected in the dropdown control the styling is completely removed from all of the list items. How can I prevent this from happening? I need the postback to pull data based on the dropdown item that is selected. Here is my code. aspx file: <asp:DropDownList ID="EmpDropDown" AutoPostBack="True" OnSelectedIndexChanged="EmpDropDown_SelectedIndexChanged" runat="server"> </asp:DropDownList> <asp:TextBox ID="MessageTextBox" TextMode="MultiLine" Width="550" Height="100px" runat="server"></asp:TextBox> aspx.cs code behind: protected void Page_Load(object sender, EventArgs e) { if (!IsPostBack) { GetEmpList(); } } protected void EmpDropDown_SelectedIndexChanged(object sender, EventArgs e) { GetEmpDetails(); } private void GetEmpList() { SqlDataReader dr = ToolsLayer.GetEmpList(); int currentIndex = 0; while (dr.Read()) { EmpDropDown.Items.Add(new ListItem(dr["Title"].ToString(), dr["EmpKey"].ToString())); if (dr["Status"].ToString() == "disabled") { EmpDropDown.Items[currentIndex].Attributes.Add("style", "background-color:red;"); } currentIndex++; } dr.Close(); } private void GetEmpDetails() { SqlDataReader dr = ToolsLayer.GetEmpDetails(EmpDropDown.SelectedValue); while (dr.Read()) { MessageTextBox.Text = dr["Message"].ToString(); } dr.Close(); } Thank You

    Read the article

  • Selecting rows without a value for Date/Time columns

    - by Ross
    I'm running this query: SELECT TOP 1 [DVD Copy].[Stock No] FROM [DVD Copy] WHERE [DVD Copy].[Catalogue No] =[Forms]![New Rental]![Catalogue No] And [Issue Date] = Null; Which works fine without the null check for Issue Date. I'm trying to select rows without a Date in the Issue Date column. Is Null the wrong kind of value to use for here?

    Read the article

  • Does the order of columns matter in a group by clause?

    - by Jeff Meatball Yang
    If I have two columns, one with very high cardinality and one with very low cardinality (unique # of values), does it matter in which order I group by? Here's an example: select dimensionName, dimensionCategory, sum(someFact) from SomeFact f join SomeDim d on f.dimensionKey = d.dimensionKey group by d.dimensionName, -- large number of unique values d.dimensionCategory -- small number of unique values Are there situations where it matters?

    Read the article

  • What's the most efficient query?

    - by Aaron Carlino
    I have a table named Projects that has the following relationships: has many Contributions has many Payments In my result set, I need the following aggregate values: Number of unique contributors (DonorID on the Contribution table) Total contributed (SUM of Amount on Contribution table) Total paid (SUM of PaymentAmount on Payment table) Because there are so many aggregate functions and multiple joins, it gets messy do use standard aggregate functions the the GROUP BY clause. I also need the ability to sort and filter these fields. So I've come up with two options: Using subqueries: SELECT Project.ID AS PROJECT_ID, (SELECT SUM(PaymentAmount) FROM Payment WHERE ProjectID = PROJECT_ID) AS TotalPaidBack, (SELECT COUNT(DISTINCT DonorID) FROM Contribution WHERE RecipientID = PROJECT_ID) AS ContributorCount, (SELECT SUM(Amount) FROM Contribution WHERE RecipientID = PROJECT_ID) AS TotalReceived FROM Project; Using a temporary table: DROP TABLE IF EXISTS Project_Temp; CREATE TEMPORARY TABLE Project_Temp (project_id INT NOT NULL, total_payments INT, total_donors INT, total_received INT, PRIMARY KEY(project_id)) ENGINE=MEMORY; INSERT INTO Project_Temp (project_id,total_payments) SELECT `Project`.ID, IFNULL(SUM(PaymentAmount),0) FROM `Project` LEFT JOIN `Payment` ON ProjectID = `Project`.ID GROUP BY 1; INSERT INTO Project_Temp (project_id,total_donors,total_received) SELECT `Project`.ID, IFNULL(COUNT(DISTINCT DonorID),0), IFNULL(SUM(Amount),0) FROM `Project` LEFT JOIN `Contribution` ON RecipientID = `Project`.ID GROUP BY 1 ON DUPLICATE KEY UPDATE total_donors = VALUES(total_donors), total_received = VALUES(total_received); SELECT * FROM Project_Temp; Tests for both are pretty comparable, in the 0.7 - 0.8 seconds range with 1,000 rows. But I'm really concerned about scalability, and I don't want to have to re-engineer everything as my tables grow. What's the best approach?

    Read the article

  • Simple Database normalization question...

    - by user365531
    Hi all, I have a quick question regarding a database that I am designing and making sure it is normalized... I have a customer table, with a primary key of customerId. It has a StatusCode column that has a code which reflects the customers account status ie. 1 = Open, 2 = Closed, 3 = Suspended etc... Now I would like to have another field in the customer table that flags whether the account is allowed to be suspended or not... certain customers will be automatically suspended if they break there trading terms... others not... so the relevant table fields will be as so: Customers (CustomerId(PK):StatusCode:IsSuspensionAllowed) Now both fields are dependent on the primary key as you can not determine the status or whether suspensions are allowed on a particular customer unless you know the specific customer, except of course when the IsSuspensionAllowed field is set to YES, the the customer should never have a StatusCode of 3 (Suspended). It seems from the above table design it is possible for this to happen unless a check contraint is added to my table. I can't see how another table could be added to the relational design to enforce this though as it's only in the case where IsSuspensionAllowed is set to YES and StatusCode is set to 3 when the two have a dependence on each other. So after my long winded explanation my question is this: Is this a normalization problem and I'm not seeing a relational design that will enforce this... or is it actually just a business rule that should be enforced with a check contraint and the table is in fact still normalized. Cheers, Steve

    Read the article

  • sqlite3 date and interval functions

    - by umuthorax
    Hi, I wonder whether sqlite3 supports interval function. The following statement is accepted by PostgreSQL, however sqlite3 failed to parse it; select ... from orders where ... and o_orderdate < date '1995-03-01' + interval '3' month Error: near line 4: near "'1995-03-01'": syntax error Then, I modified the statement a little bit such as; and o_orderdate < date('1995-03-01') + interval '3' month This time the error was; Error: near line 4: near "'3'": syntax error Unfortunately, same trick did not work for the interval function i.e. and o_orderdate < date('1995-03-01') + interval('3' month) or and o_orderdate < date('1995-03-01') + interval('3') month or even and o_orderdate < date('1995-03-01') + interval(3 month) still gave me the syntax error. Maybe sqlite3 does not support interval function or am I missing something in its usage? Thanks a lot

    Read the article

  • RDLC item width is dynamic and causing extra pages to be generated (image included)?

    - by Paul Mendoza
    I'm trying to format an RDLC report file in Visual Studio 2008 and I am having a formatting issue. I have a list at the bottom that contains a matrix that expands horizontally to the right. That pink box is just to visualize the problem I'm having. When the report is rendered the matrix expands and instead of filling the pink box with the matrix is pushes the space in the pink box to the right resulting in an extra page when printing the reports. One solution would be to shrink the pink box to be the size of the matrix which I've done. But then when the matrix grows the fields at the top of the report get pushed to the right by the same amount as the growth of the matrix. Can someone please let me know what they think the solution would be? Thank you!

    Read the article

  • Tool Compare the tables in two different databeses

    - by user191124
    I am using Toad. Frequently i need to compare tables in two different test environments. the tables present in them are same but the data differs. i just need to know what are the differences in the same tables which are in two different data bases.Are there any tools which can be installed on windows and use it to compare. Much appreciate your help:)

    Read the article

  • Correlate GROUP BY and LEFT JOIN on multiple criteria to show latest record?

    - by Sunbird
    In a simple stock management database, quantity of new stock is added and shipped until quantity reaches zero. Each stock movement is assigned a reference, only the latest reference is used. In the example provided, the latest references are never shown, the stock ID's 1,4 should have references charlie, foxtrot respectively, but instead show alpha, delta. How can a GROUP BY and LEFT JOIN on multiple criteria be correlated to show the latest record? http://sqlfiddle.com/#!2/6bf37/107 CREATE TABLE stock ( id tinyint PRIMARY KEY, quantity int, parent_id tinyint ); CREATE TABLE stock_reference ( id tinyint PRIMARY KEY, stock_id tinyint, stock_reference_type_id tinyint, reference varchar(50) ); CREATE TABLE stock_reference_type ( id tinyint PRIMARY KEY, name varchar(50) ); INSERT INTO stock VALUES (1, 10, 1), (2, -5, 1), (3, -5, 1), (4, 20, 4), (5, -10, 4), (6, -5, 4); INSERT INTO stock_reference VALUES (1, 1, 1, 'Alpha'), (2, 2, 1, 'Beta'), (3, 3, 1, 'Charlie'), (4, 4, 1, 'Delta'), (5, 5, 1, 'Echo'), (6, 6, 1, 'Foxtrot'); INSERT INTO stock_reference_type VALUES (1, 'Customer Reference'); SELECT stock.id, SUM(stock.quantity) as quantity, customer.reference FROM stock LEFT JOIN stock_reference AS customer ON stock.id = customer.stock_id AND stock_reference_type_id = 1 GROUP BY stock.parent_id

    Read the article

  • Using subselect to accomplish LEFT JOIN

    - by Andre
    Is is possible to accomplish the equivalent of a LEFT JOIN with subselect where multiple columns are required. Here's what I mean. SELECT m.*, (SELECT * FROM model WHERE id = m.id LIMIT 1) AS models FROM make m As it stands now doing this gives me a 'Operand should contain 1 column(s)' error. Yes I know this is possible with LEFT JOIN, but I was told it was possible with subselect to I'm curious as to how it's done.

    Read the article

  • What's wrong with this SQL query?

    - by ThinkingInBits
    I have two tables: photographs, and photograph_tags. Photograph_tags contains a column called photograph_id (id in photographs). You can have many tags for one photograph. I have a photograph row related to three tags: boy, stream, and water. However, running the following query returns 0 rows SELECT p.* FROM photographs p, photograph_tags c WHERE c.photograph_id = p.id AND (c.value IN ('dog', 'water', 'stream')) GROUP BY p.id HAVING COUNT( p.id )=3 Is something wrong with this query?

    Read the article

  • Selecting an element based on class and id in jquery - similar to an SQL query

    - by Ankur
    I want to select an element based on it's class and id, I have seen many similar questions on SO. Most of the users ask why would you ever want to do this - which is not very helpful, trust me, this is the simplest way of solving my UI problem, and it's a very unique and intereting UI related to making generic triple stores easily browsable. At the moment the jQUery looks like this: $(document).ready( function() { $(".predicates").hide(); $(".objects").hide(); $("#subject").click( function() { $("#predId, .predicates").toggle(); // this line } ); $("#predId").click( function() { $("#objId, .objects").toggle(); } ); }); The line I am really interested in is this $("#predId, .predicates").toggle(); how do I get the select to ensure that both #predId and .predicates are true, at the moment it seems that only one or the other has to be true. Is there something like an && operator?

    Read the article

  • help with exception handling in linq

    - by stackoverflowuser
    I have the following code to retrieve customer name, total (orders ), sum (order details) for reach customer in Northwind database. The problem with below code is that it raises an exception since a few customers dont have any entry in orders table. I know using the query syntax (join) the exception can be avoided. I want to know if the same can be handled with the extension method syntax. CustomerOrderDataContext db = new CustomerOrderDataContext(); var customerOrders = db.Customers.Select(c => new { CompanyName = c.CompanyName, TotalOrders = c.Orders.Count(), TotalQuantity = c.Orders.SelectMany(o => o.Order_Details).Sum(o=>o.Quantity) });

    Read the article

  • linq join query

    - by SamB09
    Hi, im trying to do a join in linq , however for some reason i cant access the primary key of a table. It's the 'h.ProjectId' that doesn't seem to be accepted. The following error is given CW1.SearchWebService.Bid does not contain a definition for 'ProjectId' and no extention method 'ProjectId' accepting a first argument of type 'CW1SearchWebService.Bid' var allProjects = ctxt.Project.ToList() ; var allBids = ctxt.Bid.ToArray();// return all bids var projects = (from project in allProjects join h in allBids on project.ProjectId equals h.ProjectId

    Read the article

  • MSDN about stored procedure default return value

    - by Ilya
    Hello, Could anyone point exactly where MSDN says thet every user stored procedure returns 0 by default if no error happens? In other words, could I be sure that example code given below when being a stored procedure IF someStatement BEGIN RETURN 1 END should always return zero if someStatement is false and no error occurs? I know that it actually works this way, but I failed to find any explicit statement about this from Microsoft.

    Read the article

  • Select the first row in a join of two tables in one statement

    - by Oscar Cabrero
    hi i need to select only the first row from a query that joins tables A and B, on table B exist multiple records with same name. there are not identifiers in any of the two tables. i cannt change the scheme either because i do not own the DB TABLE A NAME TABLE B NAME DATA1 DATA2 Select Distinct A.NAME,B.DATA1,B.DATA2 From A Inner Join B on A.NAME = B.NAME this gives me NAME DATA1 DATA2 sameName 1 2 sameName 1 3 otherName 5 7 otherName 8 9 but i need to retrieve only one row per name NAME DATA1 DATA2 sameName 1 2 otherName 5 7 i was able to do this by adding the result into a temp table with a identity column and the select the Min Id per name. the problem here is that i require to do this in one single statement. this is a DB2 database thanks

    Read the article

  • MSSQL in ASP.NET application getting unstable after a certain period

    - by Barslett
    Hello, I have an ASP.NET 2.0 application that I made to keep track of disruption reports about our public transport system. The architecture is pretty straight-forward; an MSSQL Express 2008 database, ADO.NET and a DataSet/DAL with a few methods to access the database. There is a set of .aspx pages for the UI in use by our dispatchers and on our public website, as well as a set of SOAP and REST webservices and an RSS feed. Everything worked just fine for more than a year, until two weeks ago. Now and then, it seems as the database enters an unstable mode, and the application starts responding something right, something wrong. The typical error is that apparently, an empty DataTable is returned to the public disruption overview or to the RSS generator. Thus, the user gets e.g. an empty GridView, but no exception is thrown AFAIK, and nothing is written to the Windows Application log. After a restart of the MSSQL Express service, the situation is back to normal. It has to be said that the situation first time appeared a few days after I made a new minor upgrade of the application. The RSS generator was slightly rewritten, and I added a WCF REST service. But the DAL and the database schema were untouched... Any hints of how we could keep the database stable? It is a bit annoying not to have a clue ;-)

    Read the article

  • Does the optimizer filter subqueries with outer where clauses

    - by Mongus Pong
    Take the following query: select * from ( select a, b from c UNION select a, b from d ) where a = 'mung' Will the optimizer generally work out that I am filtering a on the value 'mung' and consequently filter mung on each of the queries in the subquery. OR will it run each query within the subquery union and return the results to the outer query for filtering (as the query would perhaps suggest) In which case the following query would perform better : select * from ( select a, b from c where a = 'mung' UNION select a, b from d where a = 'mung' ) Obviously query 1 is best for maintenance, but is it sacrificing much performace for this? Which is best?

    Read the article

  • MySQL - are FK's useful / viable in a web app?

    - by yoda
    Hi all, I've encountered this discussion related to FK's and web applications. Basically some people say that FK's in web applications doesn't represent a real improvement and can even make the application slower in some cases. What do you guys think, what's your experience? -- A quote from Heikki Tuuri, creator of InnoDB engine, founder and CEO of Innobase: InnoDB checks foreign keys as soon as a row is updated, no batching is performed or checks delayed till transaction commit Foreign keys are often serious performance overhead, but help maintain data consistency Foreign Keys increase amount of row level locking done and can make it spread to a lot of tables besides the ones directly updated

    Read the article

  • Same query has nested loops when used with INSERT, but Hash Match without.

    - by AaronLS
    I have two tables, one has about 1500 records and the other has about 300000 child records. About a 1:200 ratio. I stage the parent table to a staging table, SomeParentTable_Staging, and then I stage all of it's child records, but I only want the ones that are related to the records I staged in the parent table. So I use the below query to perform this staging by joining with the parent tables staged data. --Stage child records INSERT INTO [dbo].[SomeChildTable_Staging] ([SomeChildTableId] ,[SomeParentTableId] ,SomeData1 ,SomeData2 ,SomeData3 ,SomeData4 ) SELECT [SomeChildTableId] ,D.[SomeParentTableId] ,SomeData1 ,SomeData2 ,SomeData3 ,SomeData4 FROM [dbo].[SomeChildTable] D INNER JOIN dbo.SomeParentTable_Staging I ON D.SomeParentTableID = I.SomeParentTableID; The execution plan indicates that the tables are being joined with a Nested Loop. When I run just the select portion of the query without the insert, the join is performed with Hash Match. So the select statement is the same, but in the context of an insert it uses the slower nested loop. I have added non-clustered index on the D.SomeParentTableID so that there is an index on both sides of the join. I.SomeParentTableID is a primary key with clustered index. Why does it use a nested loop for inserts that use a join? Is there a way to improve the performance of the join for the insert?

    Read the article

  • C# Select clause returns system exception instead of relevant object

    - by Kashif
    I am trying to use the select clause to pick out an object which matches a specified name field from a database query as follows: objectQuery = from obj in objectList where obj.Equals(objectName) select obj; In the results view of my query, I get: base {System.SystemException} = {"Boolean Equals(System.Object)"} Where I should be expecting something like a Car, Make, or Model Would someone please explain what I am doing wrong here? The method in question can be seen here: // this function searches the database's table for a single object that matches the 'Name' property with 'objectName' public static T Read<T>(string objectName) where T : IEquatable<T> { using (ISession session = NHibernateHelper.OpenSession()) { IQueryable<T> objectList = session.Query<T>(); // pull (query) all the objects from the table in the database int count = objectList.Count(); // return the number of objects in the table // alternative: int count = makeList.Count<T>(); IQueryable<T> objectQuery = null; // create a reference for our queryable list of objects T foundObject = default(T); // create an object reference for our found object if (count > 0) { // give me all objects that have a name that matches 'objectName' and store them in 'objectQuery' objectQuery = from obj in objectList where obj.Equals(objectName) select obj; // make sure that 'objectQuery' has only one object in it try { foundObject = (T)objectQuery.Single(); } catch { return default(T); } // output some information to the console (output screen) Console.WriteLine("Read Make: " + foundObject.ToString()); } // pass the reference of the found object on to whoever asked for it return foundObject; } } Note that I am using the interface "IQuatable<T>" in my method descriptor. An example of the classes I am trying to pull from the database is: public class Make: IEquatable<Make> { public virtual int Id { get; set; } public virtual string Name { get; set; } public virtual IList<Model> Models { get; set; } public Make() { // this public no-argument constructor is required for NHibernate } public Make(string makeName) { this.Name = makeName; } public override string ToString() { return Name; } // Implementation of IEquatable<T> interface public virtual bool Equals(Make make) { if (this.Id == make.Id) { return true; } else { return false; } } // Implementation of IEquatable<T> interface public virtual bool Equals(String name) { if (this.Name.Equals(name)) { return true; } else { return false; } } } And the interface is described simply as: public interface IEquatable<T> { bool Equals(T obj); }

    Read the article

  • Computed column should result to string

    - by strakastroukas
    Here is a snap of my database. Both col1 and col2 are declared as int. My ComputedColumn currently adds the Columns 1 and 2, as follows... col1 col2 ComputedColumn 1 2 3 4 1 5 Instead of this, my ComputedColumn should join the columns 1 and 2 (includimg the '-' character in the middle) as follows... col1 col2 ComputedColumn 1 2 1-2 4 1 4-1 So, what is the correct syntax?

    Read the article

< Previous Page | 609 610 611 612 613 614 615 616 617 618 619 620  | Next Page >