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  • MS SQL - Multi-Column substring matching

    - by hamlin11
    One of my clients is hooked on multi-column substring matching. I understand that Contains and FreeText search for words (and at least in the case of Contains, word prefixes). However, based upon my understanding of this MSDN book, neither of these nor their variants are capable of searching substrings. I have used LIKE rather extensively (Select * from A where A.B Like '%substr%') Sample table A: ID | Col1 | Col2 | Col3 | ------------------------------------- 1 | oklahoma | colorado | Utah | 2 | arkansas | colorado | oklahoma | 3 | florida | michigan | florida | ------------------------------------- The following code will give us row 1 and row 2: select * from A where Col1 like '%klah%' or Col2 like '%klah%' or Col3 like '%klah%' This is rather ugly, probably slow, and I just don't like it very much. Probably because the implementations that I'm dealing with have 10+ columns that need searched. The following may be a slight improvement as code readability goes, but as far as performance, we're still in the same ball park. select * from A where (Col1 + ' ' + Col2 + ' ' + Col3) like '%klah%' I have thought about simply adding insert, update, and delete triggers that simply add the concatenated version of the above columns into a separate table that shadows this table. Sample Shadow_Table: ID | searchtext | --------------------------------- 1 | oklahoma colorado Utah | 2 | arkansas colorado oklahoma | 3 | florida michigan florida | --------------------------------- This would allow us to perform the following query to search for '%klah%' select * from Shadow_Table where searchtext like '%klah%' I really don't like having to remember that this shadow table exists and that I'm supposed to use it when I am performing multi-column substring matching, but it probably yields pretty quick reads at the expense of write and storage space. My gut feeling tells me there there is an existing solution built into SQL Server 2008. However, I don't seem to be able to find anything other than research papers on the subject. Any help would be appreciated.

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  • Optimizing T-SQL where an array would be nice

    - by Polatrite
    Alright, first you'll need to grab a barf bag. I've been tasked with optimizing several old stored procedures in our database. This SP does the following: 1) cursor loops through a series of "buildings" 2) cursor loops through a week, Sunday-Saturday 3) has a huge set of IF blocks that are responsible for counting how many Objects of what Types are present in a given building Essentially what you'll see in this code block is that, if there are 5 objects of type #2, it will increment @Type_2_Objects_5 by 1. IF @Number_Type_1_Objects = 0 BEGIN SET @Type_1_Objects_0 = @Type_1_Objects_0 + 1 END IF @Number_Type_1_Objects = 1 BEGIN SET @Type_1_Objects_1 = @Type_1_Objects_1 + 1 END IF @Number_Type_1_Objects = 2 BEGIN SET @Type_1_Objects_2 = @Type_1_Objects_2 + 1 END IF @Number_Type_1_Objects = 3 BEGIN SET @Type_1_Objects_3 = @Type_1_Objects_3 + 1 END [... Objects_4 through Objects_20 for Type_1] IF @Number_Type_2_Objects = 0 BEGIN SET @Type_2_Objects_0 = @Type_2_Objects_0 + 1 END IF @Number_Type_2_Objects = 1 BEGIN SET @Type_2_Objects_1 = @Type_2_Objects_1 + 1 END IF @Number_Type_2_Objects = 2 BEGIN SET @Type_2_Objects_2 = @Type_2_Objects_2 + 1 END IF @Number_Type_2_Objects = 3 BEGIN SET @Type_2_Objects_3 = @Type_2_Objects_3 + 1 END [... Objects_4 through Objects_20 for Type_2] In addition to being extremely hacky (and limited to a quantity of 20 objects), it seems like a terrible way of handling this. In a traditional language, this could easily be solved with a 2-dimensional array... objects[type][quantity] += 1; I'm a T-SQL novice, but since writing stored procedures often uses a lot of temporary tables (which could essentially be a 2-dimensional array) I was wondering if someone could illuminate a better way of handling a situation like this with two dynamic pieces of data to store. Requested in comments: The columns are simply Number_Type_1_Objects, Number_Type_2_Objects, Number_Type_3_Objects, Number_Type_4_Objects, Number_Type_5_Objects, and CurrentDateTime. Each row in the table represents 5 minutes. The expected output is to figure out what percentage of time a given quantity of objects is present throughout each day. Sunday - Object Type 1 0 objects - 69 rows, 5:45, 34.85% 1 object - 85 rows, 7:05, 42.93% 2 objects - 44 rows, 3:40, 22.22% On Sunday, there were 0 objects of type 1 for 34.85% of the day. There was 1 object for 42.93% of the day, and 2 objects for 22.22% of the day. Repeat for each object type.

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  • Summing Row in SQL query for time range

    - by user3703334
    I'm trying to group a large amount of data into smaller bundles. Currently the code for my query is as follows SELECT [DateTime] ,[KW] FROM [POWER] WHERE datetime >= '2014-04-14 06:00:00' and datetime < '2014-04-21 06:00:00' ORDER BY datetime which gives me DateTime KW 4/14/2014 6:00:02.0 1947 4/14/2014 6:00:15.0 1946 4/14/2014 6:00:23.0 1947 4/14/2014 6:00:32.0 1011 4/14/2014 6:00:43.0 601 4/14/2014 6:00:52.0 585 4/14/2014 6:01:02.0 582 4/14/2014 6:01:12.0 580 4/14/2014 6:01:21.0 579 4/14/2014 6:01:32.0 579 4/14/2014 6:01:44.0 578 4/14/2014 6:01:53.0 578 4/14/2014 6:02:01.0 577 4/14/2014 6:02:12.0 577 4/14/2014 6:02:22.0 577 4/14/2014 6:02:32.0 576 4/14/2014 6:02:42.0 578 4/14/2014 6:02:52.0 577 4/14/2014 6:03:02.0 577 4/14/2014 6:03:12.0 577 4/14/2014 6:03:22.0 578 . . . . 4/21/2014 5:59:55.0 11 Now there is a reading every 10 seconds from a substation. Now I want to group this data into hourly readings. Thus 00:00-01:00 = sum([KW]] for where datetime >= '^date^ 00:00:00' and datetime < '^date^ 01:00:00' I've tried using a convert to change the datetime into date and time field and then only to add all the time fields together with no success. Can someone please assist me, I'm not sure what is right way of doing this. Thanks ADDED Ok so the spilt between Datetime is working nicely, but as if I add a SUM([KW]) function SQL gives an error. And if I include any of the group functions it also nags. Below is what works, I still need to sum the KW per the grouping of hours. I've tried using Group By Hour and Group by DATEPART(Hour,[DateTime]) Both didn't work. SELECT DATEPART(Hour,[DateTime]) Hour ,DATEPART(Day,[DateTime]) Day ,DATEPART(Month,[DateTime]) Month ,([KVAReal]) ,([KVAr]) ,([KW]) FROM [POWER].[dbo].[IT10t_PAC3200] WHERE datetime >= '2014-04-14 06:00:00' and datetime < '2014-04-21 06:00:00' order by datetime

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  • xml parameter in sql server stored procedure

    - by npalle
    I want to write a stored procedure that accept an XML parameter, parsing it's elements and inserting them in a table SQL. This is my XML: <Lines> <Line> <roomlist> <room> <namehotel>MeSa</namehotel> <typeroom>506671</typeroom> <typeroomname>Dbl Standard - Tip</typeroomname> <roomnumber>0</roomnumber> <priceroom>444.60</priceroom> <costroom>400.00</costroom> <boardtype/> <paxes> <pax> <name>EU</name> <lastname>CADO</lastname> <typepax>Adult</typepax> </pax> <pax> <name>LIN</name> <lastname>BAC</lastname> <typepax>Adult</typepax> </pax> </paxes> </room> </roomlist> </Line> </Lines> How can do that?

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  • SQL to insert latest version of a group of items

    - by Garett
    I’m trying to determine a good way to handle the scenario below. I have the following two database tables, along with sample data. Table1 contains distributions that are grouped per project. A project can have one or more distributions. A distribution can have one of more accounts. An account has a percentage allocated to it. The distributions can be modified by adding or removing account, as well as changing percentages. Table2 tracks distributions, assigning a version number to each distribution. I need to be able to copy new distributions from Table1 to Table2, but only under two conditions: 1. the entire distribution does not already exist 2. the distribution has been modified (accounts added/removed or percentages changed). Note: When copying a distribution from Table1 to Table2 I need to compare all accounts and percentages within the distribution to determine if it already exists. When inserting the new distribution then I need to increment the VersionID (max(VersionID) + 1). So, in the example provided the distribution (12345, 1) has been modified, adding account number 7, as well as changing percentages allocated. The entire distribution should be copied to the second table, incrementing the VersionID to 3 in the process. The database in question is SQL Server 2005. Table1 ------ ProjectID AccountDistributionID AccountID Percent 12345 1 1 25.0 12345 1 2 25.0 12345 1 7 50.0 56789 2 3 25.0 56789 2 4 25.0 56789 2 5 25.0 56789 2 6 25.0 Table2 ------ ID VersionID Project ID AccountDistributionID AccountID Percent 1 1 12345 1 1 50.0 2 1 12345 1 2 50.0 3 2 56789 2 3 25.0 4 2 56789 2 4 25.0 5 2 56789 2 5 25.0 6 2 56789 2 6 25.0

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  • What exactly is saved in SQL Server Statistics? When they get updated? Is SQL Server itself is taking care of them?

    - by Pritesh
    I have been working with SQL Server as a Developer a while. One thing I learnt is SQL Server manages Statistics which help Engine to create optimized execution plan. I could not figure out what exactly is stores in Statistics? (I read it saves Vector, but what Vector?) When/In which scenario SQL Server updates Statistics? How/why some time they go out of sync (old Statistics) In case of old Statistics is a manual DBA/Developer intervention is required or SQL Server Will get them updated. As a DBA/Developer how to find out if Statistics OLD? What should we do?

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  • Evaluation of CTEs in SQL Server 2005

    - by Jammer
    I have a question about how MS SQL evaluates functions inside CTEs. A couple of searches didn't turn up any results related to this issue, but I apologize if this is common knowledge and I'm just behind the curve. It wouldn't be the first time :-) This query is a simplified (and obviously less dynamic) version of what I'm actually doing, but it does exhibit the problem I'm experiencing. It looks like this: CREATE TABLE #EmployeePool(EmployeeID int, EmployeeRank int); INSERT INTO #EmployeePool(EmployeeID, EmployeeRank) SELECT 42, 1 UNION ALL SELECT 43, 2; DECLARE @NumEmployees int; SELECT @NumEmployees = COUNT(*) FROM #EmployeePool; WITH RandomizedCustomers AS ( SELECT CAST(c.Criteria AS int) AS CustomerID, dbo.fnUtil_Random(@NumEmployees) AS RandomRank FROM dbo.fnUtil_ParseCriteria(@CustomerIDs, 'int') c) SELECT rc.CustomerID, ep.EmployeeID FROM RandomizedCustomers rc JOIN #EmployeePool ep ON ep.EmployeeRank = rc.RandomRank; DROP TABLE #EmployeePool; The following can be assumed about all executions of the above: The result of dbo.fnUtil_Random() is always an int value greater than zero and less than or equal to the argument passed in. Since it's being called above with @NumEmployees which has the value 2, this function always evaluates to 1 or 2. The result of dbo.fnUtil_ParseCriteria(@CustomerIDs, 'int') produces a one-column, one-row table that contains a sql_variant with a base type of 'int' that has the value 219935. Given the above assumptions, it makes sense (to me, anyway) that the result of the expression above should always produce a two-column table containing one record - CustomerID and an EmployeeID. The CustomerID should always be the int value 219935, and the EmployeeID should be either 42 or 43. However, this is not always the case. Sometimes I get the expected single record. Other times I get two records (one for each EmployeeID), and still others I get no records. However, if I replace the RandomizedCustomers CTE with a true temp table, the problem vanishes completely. Every time I think I have an explanation for this behavior, it turns out to not make sense or be impossible, so I literally cannot explain why this would happen. Since the problem does not happen when I replace the CTE with a temp table, I can only assume it has something to do with the functions inside CTEs are evaluated during joins to that CTE. Do any of you have any theories?

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  • C# development with Mono and MonoDevelop

    - by developerit
    In the past two years, I have been developing .NET from my MacBook by running Windows XP into VM Ware and more recently into Virtual Box from OS X. This way, I could install Visual Studio and be able to work seamlessly. But, this way of working has a major down side: it kills the battery of my laptop… I can easiely last for 3 hours if I stay in OS X, but can only last 45 min when XP is running. Recently, I gave MonoDevelop a try for developing Developer IT‘s tools and web site. While being way less complete then Visual Studio, it provides essentials tools when it comes to developping software. It works well with solutions and projects files created from Visual Studio, it has Intellisence (word completion), it can compile your code and can even target your .NET app to linux or unix. This tools can save me a lot of time and batteries! Although I could not only work with MonoDevelop, I find it way better than a simple text editor like Smultron. Thanks to Novell, we can now bring Microsoft technology to OS X.

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  • Migrate data from SQL Compact to SQL Server 2008

    - by Martin
    I need to do a one-time migration of data from SQL Server Compact Edition to SQL Server 2008 Express Edition. I'm looking for a tool to do this kind of migration. I've tried using Import and Export Data in SQL Server, but it doesn't let me import from SQL Server Compact Edition. Anyone knows of a easy way to do it?

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  • Problem attaching mdf file in sql server 2008

    - by Fraz Sundal
    I have an mdf file of sql server 2005 database now i want it to attach in sql server 2008 R2 but when i try to attach it, it gave me error saying. Unable to open the physical file "D:\Fraz\Freelance\Database\DBmdf13aug\mbh_pk.mdf". Operating system error 5: "5(Access is denied.)". (Microsoft SQL Server, Error: 5120) what can be the problem and how to fix it? Is this folder permission error or sql server 2008 have something missing

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  • SQL Server - VMWare install - Utilize more RAM

    - by alex
    We have a SQL server machine - It’s a VMWare image (running on ESXi hardware etc..) It has windows 2008 x64 standard The SQL install is SQL 2008 standard The virtual machine has 12gb of RAM, and 4 virtual CPU The box is suffering from near 100% CPU a lot of the time I enabled the AWE- but SQL server only seems to use 3-4gb of RAM Is there a way of making it use more available ram more effectively? cache results for example..?

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  • SQL server deadlock between INSERT and SELECT statement

    - by dtroy
    Hi! I've got a problem with multiple deadlocks on SQL server 2005. This one is between an INSERT and a SELECT statement. There are two tables. Table 1 and Table2. Table2 has Table1's PK (table1_id) as foreign key. Index on table1_id is clustered. The INSERT inserts a single row into table2 at a time. The SELCET joins the 2 tables. (it's a long query which might take up to 12 secs to run) According to my understanding (and experiments) the INSERT should acquire an IS lock on table1 to check referential integrity (which should not cause a deadlock). But, in this case it acquired an IX page lock The deadlock report: <deadlock-list> <deadlock victim="process968898"> <process-list> <process id="process8db1f8" taskpriority="0" logused="2424" waitresource="OBJECT: 5:789577851:0 " waittime="12390" ownerId="61831512" transactionname="user_transaction" lasttranstarted="2010-04-16T07:10:13.347" XDES="0x222a8250" lockMode="IX" schedulerid="1" kpid="3764" status="suspended" spid="52" sbid="0" ecid="0" priority="0" transcount="2" lastbatchstarted="2010-04-16T07:10:13.350" lastbatchcompleted="2010-04-16T07:10:13.347" clientapp=".Net SqlClient Data Provider" hostname="VIDEV01-B-ME" hostpid="3040" loginname="DatabaseName" isolationlevel="read uncommitted (1)" xactid="61831512" currentdb="5" lockTimeout="4294967295" clientoption1="671088672" clientoption2="128056"> <executionStack> <frame procname="DatabaseName.dbo.prcTable2_Insert" line="18" stmtstart="576" stmtend="1148" sqlhandle="0x0300050079e62d06e9307f000b9d00000100000000000000"> INSERT INTO dbo.Table2 ( f1, table1_id, f2 ) VALUES ( @p1, @p_DocumentVersionID, @p1 ) </frame> </executionStack> <inputbuf> Proc [Database Id = 5 Object Id = 103671417] </inputbuf> </process> <process id="process968898" taskpriority="0" logused="0" waitresource="PAGE: 5:1:46510" waittime="7625" ownerId="61831406" transactionname="INSERT" lasttranstarted="2010-04-16T07:10:12.717" XDES="0x418ec00" lockMode="S" schedulerid="2" kpid="1724" status="suspended" spid="53" sbid="0" ecid="0" priority="0" transcount="2" lastbatchstarted="2010-04-16T07:10:12.713" lastbatchcompleted="2010-04-16T07:10:12.713" clientapp=".Net SqlClient Data Provider" hostname="VIDEV01-B-ME" hostpid="3040" loginname="DatabaseName" isolationlevel="read committed (2)" xactid="61831406" currentdb="5" lockTimeout="4294967295" clientoption1="671088672" clientoption2="128056"> <executionStack> <frame procname="DatabaseName.dbo.prcGetList" line="64" stmtstart="3548" stmtend="11570" sqlhandle="0x03000500dbcec17e8d267f000b9d00000100000000000000"> <!-- XXXXXXXXXXXXXX...SELECT STATEMENT WITH Multiple joins including both Table2 table 1 and .... XXXXXXXXXXXXXXX --> </frame> </executionStack> <inputbuf> Proc [Database Id = 5 Object Id = 2126630619] </inputbuf> </process> </process-list> <resource-list> <pagelock fileid="1" pageid="46510" dbid="5" objectname="DatabaseName.dbo.table1" id="lock6236bc0" mode="IX" associatedObjectId="72057594042908672"> <owner-list> <owner id="process8db1f8" mode="IX"/> </owner-list> <waiter-list> <waiter id="process968898" mode="S" requestType="wait"/> </waiter-list> </pagelock> <objectlock lockPartition="0" objid="789577851" subresource="FULL" dbid="5" objectname="DatabaseName.dbo.Table2" id="lock970a240" mode="S" associatedObjectId="789577851"> <owner-list> <owner id="process968898" mode="S"/> </owner-list> <waiter-list> <waiter id="process8db1f8" mode="IX" requestType="wait"/> </waiter-list> </objectlock> </resource-list> </deadlock> </deadlock-list> Can anyone explain why the INSERT gets the IX page lock ? Am I not reading the deadlock report properly? BTW, I have not managed to reproduce this issue. Thanks!

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  • Insufferable word wrap in Visual Studio XAML editor - is there any relief for 2010?

    - by DanM
    Just curious if the XAML editor is any better at auto-formatting and wrapping attributes in Visual Studio 2010. Here's how the editor auto wraps attributes in VS 2008: <StackPanel Grid.Row="0" Grid.ColumnSpan="3"> <StackPanel Orientation="Horizontal"> <TextBlock VerticalAlignment="Center" FontWeight="Bold" Text="Current User:" /> <ComboBox x:Name="_usersComboBox" Margin="5,0,0,0" Width="200" ItemsSource="{Binding Users}" SelectedValuePath="Name" SelectedValue="System Administration"> <ComboBox.ItemTemplate> <DataTemplate> Here's how I'd like the editor to auto wrap attributes: <StackPanel Grid.Row="0" Grid.ColumnSpan="3"> <StackPanel Orientation="Horizontal"> <TextBlock VerticalAlignment="Center" FontWeight="Bold" Text="Current User:" /> <ComboBox x:Name="_usersComboBox" Margin="5,0,0,0" Width="200" ItemsSource="{Binding Users}" SelectedValuePath="Name" SelectedValue="System Administration"> <ComboBox.ItemTemplate> <DataTemplate> Does VS 2010 grant my wish?

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  • VSNewFile: A Visual Studio Addin to More Easily Add New Items to a Project

    - by InfinitiesLoop
    My first Visual Studio Add-in! Creating add-ins is pretty simple, once you get used to the CommandBar model it is using, which is apparently a general Office suite extensibility mechanism. Anyway, let me first explain my motivation for this. It started out as an academic exercise, as I have always wanted to dip my feet in a little VS extensibility. But I thought of a legitimate need for an add-in, at least in my personal experience, so it took on new life. But I figured I can’t be the only one who has felt this way, so I decided to publish the add-in, and host it on GitHub (VSNewFile on GitHub) hoping to spur contributions. Adding Files the Built-in Way Here’s the problem I wanted to solve. You’re working on a project, and it’s time to add a new file to the project. Whatever it is – a class, script, html page, aspx page, or what-have-you, you go through a menu or keyboard shortcut to get to the “Add New Item” dialog. Typically, you do it by right-clicking the location where you want the file (the project or a folder of it): This brings up a dialog the contains, well, every conceivable type of item you might want to add. It’s all the available item templates, which can result in anywhere from a ton to a veritable sea of choices. To be fair, this dialog has been revamped in Visual Studio 2010, which organizes it a little better than Visual Studio 2008, and adds a search box. It also loads noticeably faster.   To me, this dialog is just getting in my way. If I want to add a JavaScript script to my project, I don’t want to have to hunt for the script template item in this dialog. Yes, it is categorized, and yes, it now has a search box. But still, all this UI to swim through when all I need is a new file in the project. I will name it. I will provide the content, I don’t even need a ‘template’. VS kind of realizes this. In the add menu in a class library project, for example, there is a “Add Class…” choice. But all this really does is select that project item from the dialog by default. You still must wait for the dialog, see it, and type in a name for the file. How is that really any different than hitting F2 on an existing item? It isn’t. Adding Files the Hack Way What I often find myself doing, just to avoid going through this dialog, is to copy and paste an existing file, rename it, then “CTRL-A, DEL” the content. In a few short keystrokes I’ve got my new file. Even if the original file wasn’t the right type, it doesn’t matter – I will rename it anyway, including the extension. It works well enough if the place I am adding the file to doesn’t have much in it already. But if there are a lot of files at that level, it sucks, because the new file will have the name “Copy of xyz”, causing it to be moved into the ‘C’ section of the alphabetically sorted items, which might be far, far away from the original file (and so I tend to try and copy a file that starts with ‘C’ *evil grin*). Using ‘Export Template’ To be completely fair I should at least mention this feature. I’m not even sure if this is new in VS 2010 or not (I think so). But it allows you to export a project item or items, including potential project references required by it. Then it becomes a new item in the available ‘installed templates’. No doubt this is useful to help bootstrap new projects. But that still requires you to go through the ‘New Item’ dialog. Adding Files with VSNewFile So hopefully I have sufficiently defined the problem and got a few of you to think, “Yeah, me too!”… What VSNewFile does is let you skip the dialog entirely by adding project items directly to the context menu. But it does a bit more than that, so do read on. For example, to add a new class, you can right-click the location and pick that option. A new .cs file is instantly added to the project, and the new item is selected and put into the ‘rename’ mode immediately. The default items available are shown here. But you can customize them. You can also customize the content of each template. To do so, you create a directory in your documents folder, ‘VSNewFile Templates’. In there, you drop the templates you want to use, but you name them in a particular way. For example, here’s a template that will add a new item named “Add TITLE”. It will add a project item named “SOMEFILE.foo” (or ‘SOMEFILE1.foo’ if that exists, etc). The format of the file name is: <ORDER>_<KEY>_<BASE FILENAME>_<ICON ID>_<TITLE>.<EXTENTION> Where: <ORDER> is a number that lets you determine the order of the items in the menu (relative to each other). <KEY> is a case sensitive identifier different for each template item. More on that later. <BASE FILENAME> is the default name of the file, which doesn’t matter that much, since they will be renaming it anyway. <ICON ID> is a number the dictates the icon used for the menu item. There are a huge number of built-in choices. More on that later. <TITLE> is the string that will appear in the menu. And, the contents of the file are the default content for the item (the ‘template’). The content of the file can contain anything you want, of course. But it also supports two tokens: %NAMESPACE% and %FILENAME%, which will be replaced with the corresponding values. Here is the content of this sample: testing Namespace = %NAMESPACE% Filename = %FILENAME% I kind went back and forth on this. I could have made it so there’d be an XML or JSON file that defines the templates, instead of cramming all this data into the filename itself. I like the simplicity of this better. It makes it easy to customize since you can literally just throw these files around, copy them from someone else, etc, without worrying about merge data into a central description file, in whatever format. Here’s our new item showing up: Practical Use One immediate thing I am using this for is to make it easier to add very commonly used scripts to my web projects. For example, uh, say, jQuery? :) All I need to do is drop jQuery-1.4.2.js and jQuery-1.4.2.min.js into the templates folder, provide the order, title, etc, and then instantly, I can now add jQuery to any project I have without even thinking about “where is jQuery? Can I copy it from that other project?”   Using the KEY There are two reasons for the ‘key’ portion of the item. First, it allows you to turn off the built-in, default templates, which are: FILE = Add File (generic, empty file) VB = Add VB Class CS = Add C# Class (includes some basic usings) HTML = Add HTML page (includes basic structure, doctype, etc) JS = Add Script (includes an immediately-invoking function closure) To turn one off, just include a file with the name “_<KEY>”. For example, to turn off all the items except our custom one, you do this: The other reason for the key is that there are new Visual Studio Commands created for each one. This makes it possible to bind a keyboard shortcut to one of them. So you could, for example, have a keyboard combination that adds a new web page to your website, or a new CS class to your class library, etc. Here is our sample item showing up in the keyboard bindings option. Even though the contents of the template directory may change from one launch of Visual Studio to the next, the bindings will remain attached to any item with a particular key, thanks to it taking care not to lose keyboard bindings even though the commands are completely recreated each time. The Icon Face ID Visual Studio uses a Microsoft Office style add-in mechanism, I gather. There are a predetermined set of built-in icons available. You can use your own icons when developing add-ins, of course, but I’m no designer. I just wanted to find appropriate-ish icons for the built-in templates, and allow you to choose from an existing built-in icon for your own. Unfortunately, there isn’t a lot out there on the interwebs that helps you figure out what the built-in types are. There’s an MSDN article that describes at length a way to create a program that lists all the icons. But I don’t want to write a program to figure them out! Just show them to me! Sheesh :) Thankfully, someone out there felt the same way, and uses a novel hack to get the icons to show up in an outlook toolbar. He then painstakingly took screenshots of them, one group at a time. It isn’t complete though – there are tens of thousands of icons. But it’s good enough. If anyone has an exhaustive list, please let me, and the rest of the add-in community know. Icon Face ID Reference Installing the Add-in It will work with Visual Studio 2008 and Visual Studio 2010. Just unzip the release into your Documents\Visual Studio 20xx\Addins folder. It contains the binary and the Visual Studio “.addin” file. For example, the path to mine is: C:\Users\InfinitiesLoop\Documents\Visual Studio 2010\Addins Conclusion So that’s it! I hope you find it as useful as I have. It’s on GitHub, so if you’re into this kind of thing, please do fork it and improve it! Reference: VSNewFile on GitHub VSNewFile release on GitHub Icon Face ID Reference

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  • Different ways to query this search in SQL?

    - by Bart Terrell
    I am teaching myself MS-SQL and I am trying to find different ways to find the Count of Paid and Unpaid Claims for 2012 grouped by Region from these 3 tables. If there is a returned date, the claim is unpaid if the returned date is null then the claim is paid. I will attach the code I have ran, but I am not sure if there are better ways to do it. Thanks. Here is the code: SET dateformat ymd; CREATE TABLE Claims ( ClaimID INT, SubID INT, [Claim Date] DATETIME ); CREATE TABLE Phoneship ( ClaimID INT, [Shipping Number] INT, [Claim Date] DATETIME, [Ship Date] DATETIME, [Returned Date] DATETIME ); CREATE TABLE Enrollment ( SubID INT, Enrollment_Date DATETIME, Channel NVARCHAR(255), Region NVARCHAR(255), Status FLOAT, Drop_Date DATETIME ); INSERT INTO [Phoneship] ([ClaimID], [Shipping Number], [Claim Date], [Ship Date], [Returned Date]) VALUES (102, 201, '2011-10-13 00:00:00', '2011-10-14 00:00:00', NULL); INSERT INTO [Phoneship] ([ClaimID], [Shipping Number], [Claim Date], [Ship Date], [Returned Date]) VALUES (103, 202, '2011-11-02 00:00:00', '2011-11-03 00:00:00', '2011-11-20 00:00:00'); INSERT INTO [Phoneship] ([ClaimID], [Shipping Number], [Claim Date], [Ship Date], [Returned Date]) VALUES (103, 203, '2011-11-02 00:00:00', '2011-11-22 00:00:00', NULL); INSERT INTO [Phoneship] ([ClaimID], [Shipping Number], [Claim Date], [Ship Date], [Returned Date]) VALUES (105, 204, '2012-01-16 00:00:00', '2012-01-17 00:00:00', NULL); INSERT INTO [Phoneship] ([ClaimID], [Shipping Number], [Claim Date], [Ship Date], [Returned Date]) VALUES (106, 205, '2012-02-15 00:00:00', '2012-02-16 00:00:00', '2012-02-26 00:00:00'); INSERT INTO [Phoneship] ([ClaimID], [Shipping Number], [Claim Date], [Ship Date], [Returned Date]) VALUES (106, 206, '2012-02-15 00:00:00', '2012-02-27 00:00:00', '2012-03-06 00:00:00'); INSERT INTO [Phoneship] ([ClaimID], [Shipping Number], [Claim Date], [Ship Date], [Returned Date]) VALUES (107, 207, '2012-03-12 00:00:00', '2012-03-13 00:00:00', NULL); INSERT INTO [Phoneship] ([ClaimID], [Shipping Number], [Claim Date], [Ship Date], [Returned Date]) VALUES (108, 208, '2012-05-11 00:00:00', '2012-05-12 00:00:00', NULL); INSERT INTO [Phoneship] ([ClaimID], [Shipping Number], [Claim Date], [Ship Date], [Returned Date]) VALUES (109, 209, '2012-05-13 00:00:00', '2012-05-14 00:00:00', '2012-05-28 00:00:00'); INSERT INTO [Phoneship] ([ClaimID], [Shipping Number], [Claim Date], [Ship Date], [Returned Date]) VALUES (109, 210, '2012-05-13 00:00:00', '2012-05-30 00:00:00', NULL); INSERT INTO [Claims] ([ClaimID], [SubID], [Claim Date]) VALUES (101, 12345678, '2011-03-06 00:00:00'); INSERT INTO [Claims] ([ClaimID], [SubID], [Claim Date]) VALUES (102, 12347190, '2011-10-13 00:00:00'); INSERT INTO [Claims] ([ClaimID], [SubID], [Claim Date]) VALUES (103, 12348723, '2011-11-02 00:00:00'); INSERT INTO [Claims] ([ClaimID], [SubID], [Claim Date]) VALUES (104, 12349745, '2011-11-09 00:00:00'); INSERT INTO [Claims] ([ClaimID], [SubID], [Claim Date]) VALUES (105, 12347190, '2012-01-16 00:00:00'); INSERT INTO [Claims] ([ClaimID], [SubID], [Claim Date]) VALUES (106, 12349234, '2012-02-15 00:00:00'); INSERT INTO [Claims] ([ClaimID], [SubID], [Claim Date]) VALUES (107, 12350767, '2012-03-12 00:00:00'); INSERT INTO [Claims] ([ClaimID], [SubID], [Claim Date]) VALUES (108, 12350256, '2012-05-11 00:00:00'); INSERT INTO [Claims] ([ClaimID], [SubID], [Claim Date]) VALUES (109, 12347701, '2012-05-13 00:00:00'); INSERT INTO [Claims] ([ClaimID], [SubID], [Claim Date]) VALUES (110, 12350256, '2012-05-15 00:00:00'); INSERT INTO [Claims] ([ClaimID], [SubID], [Claim Date]) VALUES (111, 12350767, '2012-06-30 00:00:00'); INSERT INTO [Enrollment] ([SubID], [Enrollment_Date], [Channel], [Region], [Status], [Drop_Date]) VALUES (12345678, '2011-01-05 00:00:00', 'Retail', 'Southeast', 1, NULL); INSERT INTO [Enrollment] ([SubID], [Enrollment_Date], [Channel], [Region], [Status], [Drop_Date]) VALUES (12346178, '2011-03-13 00:00:00', 'Indirect Dealers', 'West', 1, NULL); INSERT INTO [Enrollment] ([SubID], [Enrollment_Date], [Channel], [Region], [Status], [Drop_Date]) VALUES (12346679, '2011-05-19 00:00:00', 'Indirect Dealers', 'Southeast', 0, '2012-03-15 00:00:00'); INSERT INTO [Enrollment] ([SubID], [Enrollment_Date], [Channel], [Region], [Status], [Drop_Date]) VALUES (12347190, '2011-07-25 00:00:00', 'Retail', 'Northeast', 0, '2012-05-21 00:00:00'); INSERT INTO [Enrollment] ([SubID], [Enrollment_Date], [Channel], [Region], [Status], [Drop_Date]) VALUES (12347701, '2011-08-14 00:00:00', 'Indirect Dealers', 'West', 1, NULL); INSERT INTO [Enrollment] ([SubID], [Enrollment_Date], [Channel], [Region], [Status], [Drop_Date]) VALUES (12348212, '2011-09-30 00:00:00', 'Retail', 'West', 1, NULL); INSERT INTO [Enrollment] ([SubID], [Enrollment_Date], [Channel], [Region], [Status], [Drop_Date]) VALUES (12348723, '2011-10-20 00:00:00', 'Retail', 'Southeast', 1, NULL); INSERT INTO [Enrollment] ([SubID], [Enrollment_Date], [Channel], [Region], [Status], [Drop_Date]) VALUES (12349234, '2012-01-06 00:00:00', 'Indirect Dealers', 'West', 0, '2012-02-14 00:00:00'); INSERT INTO [Enrollment] ([SubID], [Enrollment_Date], [Channel], [Region], [Status], [Drop_Date]) VALUES (12349745, '2012-01-26 00:00:00', 'Retail', 'Northeast', 0, '2012-04-15 00:00:00'); INSERT INTO [Enrollment] ([SubID], [Enrollment_Date], [Channel], [Region], [Status], [Drop_Date]) VALUES (12350256, '2012-02-11 00:00:00', 'Retail', 'Southeast', 1, NULL); INSERT INTO [Enrollment] ([SubID], [Enrollment_Date], [Channel], [Region], [Status], [Drop_Date]) VALUES (12350767, '2012-03-02 00:00:00', 'Indirect Dealers', 'West', 1, NULL); INSERT INTO [Enrollment] ([SubID], [Enrollment_Date], [Channel], [Region], [Status], [Drop_Date]) VALUES (12351278, '2012-04-18 00:00:00', 'Retail', 'Midwest', 1, NULL); INSERT INTO [Enrollment] ([SubID], [Enrollment_Date], [Channel], [Region], [Status], [Drop_Date]) VALUES (12351789, '2012-05-08 00:00:00', 'Indirect Dealers', 'West', 0, '2012-07-04 00:00:00'); INSERT INTO [Enrollment] ([SubID], [Enrollment_Date], [Channel], [Region], [Status], [Drop_Date]) VALUES (12352300, '2012-06-24 00:00:00', 'Retail', 'Midwest', 1, NULL); INSERT INTO [Enrollment] ([SubID], [Enrollment_Date], [Channel], [Region], [Status], [Drop_Date]) VALUES (12352811, '2012-06-25 00:00:00', 'Retail', 'Southeast', 1, NULL); And Query1 SELECT Count(ClaimID) AS 'Paid Claim', (SELECT Count(ClaimID) FROM dbo.phoneship WHERE [returned date] IS NOT NULL) AS 'Unpaid Claim' FROM dbo.Phoneship WHERE [Returned Date] IS NULL GROUP BY claimid Query2 SELECT Count(*) AS 'Paid Claims', (SELECT Count(*) FROM dbo.Phoneship WHERE [Returned Date] IS NOT NULL) AS 'Unpaid Claims' FROM dbo.Phoneship WHERE [Returned Date] IS NULL; Query3 Select Distinct(C.[Shipping Number]), Count(C.ClaimID) AS 'COUNT ClaimID', A.Region, A.SubID From dbo.HSEnrollment A Inner Join dbo.Claims B On A.SubId = B.SubId Inner Join dbo.Phoneship C On B.ClaimID = C.ClaimID Where C.[Returned Date] IS NULL Group By A.Region, A.Subid, C.ClaimID, C.[Shipping Number] Order By A.Region

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  • We're Hiring! - Server and Desktop Virtualization Product Management

    - by adam.hawley
    There is a lot of exciting stuff going on here at Oracle in general but the server and desktop virtualization group in particular is deeply involved in executing on Oracle's strategy for delivering complete hardware-software solutions across the company, so we're expanding our team with several open positions. If you're interested and qualified, then please send us your resume. The three positions in Virtualization Product Management can be found by going here or going to the Employment Opportunities Job Search page, clicking on 'Advanced Search' and typing the job opening numbers (include 'IRC'... see below) in the 'Keywords' field. Click Search. Current openings are... IRC1457623: Oracle VM Product Management IRC1457626: Desktop Virtualization Application Solutions Product Management IRC1473577: Oracle VM Best Practices Implementation Engineer (Product Management) I look forward to hearing from you!

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  • How can i use JIRA for project management with Green Hopper

    - by user22
    I am thinking of using JIRA + GreenHopper for my project management. I have seen that Green Hopper is for making User stories , sprints. I am not able to find how do i need to add tasks , or how to break user stories in to sub stoires. DO i first need to create project in JIRA and then use Green Hopper or i can use use Green Hopper as stand alone for project management. I am thinking of JIRA as issue tracker not project management.

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  • Microsoft SQL Server 2005 Express Edition SP4 wasn't installed

    - by user754334
    I lost track of my account when my question was moved to superuser. I wasn't able to install Microsoft SQL Server 2005 Express Edition SP4 through automatic update so I downloaded the update from here and tried manual install, which was also failed with some error: The components that you are trying to install are already installed I checked the product version of sql server 2005 which returned 9.00.5000.00 through command Select @@version. Now the question is, if the automatic update wasn't able to apply the SP4 patch then how come the version is updated to 9.00.5000.00 ? There is no way to rollback or reinstall the patch as it takes the entire SQL Server which came with Visual Studio 2005 to be re-installed. Is there any other way I can verify that SP4 patch was properly applied? Edit: I used MBSA Tool to analyze the required updates which confirms that the Microsoft SQL Server 2005 Express Edition SP4 is missing.

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  • Webcast Q&A: Cisco's Platform Approach to Identity Management

    - by Tanu Sood
    Thanks to all who attended the live webcast we hosted on Cisco: Best Practices for a Platform Approach on Wed, March 14th. Those of you who couldn’t join us, the webcast replay is now available. Many thanks to our guest speaker, Ranjan Jain, Security Architect at Cisco for walking us through Cisco’s drivers and rationale for the platform approach, the implementation strategy, results, roadmap and recommendations. We greatly appreciate the insight he shared with us all on the deployment synergies with a platform approach to Identity Management. A forward looking organization, Cisco also has plans for secure cloud and mobile access enablement so it was interesting to learn how the Platform approach to Identity Management today is laying down the foundation for those future initiatives. While we tackled a good few questions during the webcast, we have captured the responses to those that we weren’t able to get to: Q.Can you provide insight into how you approached developing profiles for each user groupA. At Cisco, the user profile was already available to IT before the platform consolidation started. There is a dedicated business team that manages the user profiles. Q. What is the current version of Oracle Identity Manager in the market?A. Oracle Identity Manager 11gR1 is the latest version of our industry leading user provisioning/identity administration solution. Q. Is data resource segmentation part of the overall strategy at Cisco?A. It is but it is managed by the business teams and not at the IT level. Q. Does Cisco also have an Active Directoy LDAP? Do they sync AD from OID or do the provision to AD as another resource?[A. Yes, we do. AD is provisioned using in-house tools and not via Oracle Identity Manager (OIM). Q. If we already have a point IDM solution in place (SSO), can the platform approach still work?A. Yes, the platform approach calls for a seamless, standardized framework for identity management to support the enterprise’s entire infrastructure, both on-premise or in the cloud. Oracle Identity Management solutions are standards based so they can easily integrate and interoperate with existing Oracle or non-Oracle solutions. Hope you enjoyed the webcast and we look forward to having you join us for the next webcast in our Customers Talk: Identity as a Platform webcast series:ING: Scaling Role Management and Access Certification to Thousands of ApplicationsWednesday, April 11th at 10 am PST/ 1 pm ESTRegister Today We are also hosting a live event series in collaboration with the Aberdeen Group. To hear first-hand, the insights from the recently released Aberdeen Report and to discuss the merits of the Platform approach, do join us at this event. You can also connect with Oracle Identity Management SMEs and get your questions answered live. Aberdeen Group Live Event Series: IAM Integrated - Analyzing the "Platform" vs. "Point Solution" ApproachNorth America, April 10 - May 22Register for an event near you And here’s the slide deck from our Cisco webcast:   Oracle_Cisco identity platform approach_webcast View more presentations from OracleIDM

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  • Computer Networks UNISA - Chap 15 &ndash; Network Management

    - by MarkPearl
    After reading this section you should be able to Understand network management and the importance of documentation, baseline measurements, policies, and regulations to assess and maintain a network’s health. Manage a network’s performance using SNMP-based network management software, system and event logs, and traffic-shaping techniques Identify the reasons for and elements of an asset managements system Plan and follow regular hardware and software maintenance routines Fundamentals of Network Management Network management refers to the assessment, monitoring, and maintenance of all aspects of a network including checking for hardware faults, ensuring high QoS, maintaining records of network assets, etc. Scope of network management differs depending on the size and requirements of the network. All sub topics of network management share the goals of enhancing the efficiency and performance while preventing costly downtime or loss. Documentation The way documentation is stored may vary, but to adequately manage a network one should at least record the following… Physical topology (types of LAN and WAN topologies – ring, star, hybrid) Access method (does it use Ethernet 802.3, token ring, etc.) Protocols Devices (Switches, routers, etc) Operating Systems Applications Configurations (What version of operating system and config files for serve / client software) Baseline Measurements A baseline is a report of the network’s current state of operation. Baseline measurements might include the utilization rate for your network backbone, number of users logged on per day, etc. Baseline measurements allow you to compare future performance increases or decreases caused by network changes or events with past network performance. Obtaining baseline measurements is the only way to know for certain whether a pattern of usage has changed, or whether a network upgrade has made a difference. There are various tools available for measuring baseline performance on a network. Policies, Procedures, and Regulations Following rules helps limit chaos, confusion, and possibly downtime. The following policies and procedures and regulations make for sound network management. Media installations and management (includes designing physical layout of cable, etc.) Network addressing policies (includes choosing and applying a an addressing scheme) Resource sharing and naming conventions (includes rules for logon ID’s) Security related policies Troubleshooting procedures Backup and disaster recovery procedures In addition to internal policies, a network manager must consider external regulatory rules. Fault and Performance Management After documenting every aspect of your network and following policies and best practices, you are ready to asses you networks status on an on going basis. This process includes both performance management and fault management. Network Management Software To accomplish both fault and performance management, organizations often use enterprise-wide network management software. There various software packages that do this, each collect data from multiple networked devices at regular intervals, in a process called polling. Each managed device runs a network management agent. So as not to affect the performance of a device while collecting information, agents do not demand significant processing resources. The definition of a managed devices and their data are collected in a MIB (Management Information Base). Agents communicate information about managed devices via any of several application layer protocols. On modern networks most agents use SNMP which is part of the TCP/IP suite and typically runs over UDP on port 161. Because of the flexibility and sophisticated network management applications are a challenge to configure and fine-tune. One needs to be careful to only collect relevant information and not cause performance issues (i.e. pinging a device every 5 seconds can be a problem with thousands of devices). MRTG (Multi Router Traffic Grapher) is a simple command line utility that uses SNMP to poll devices and collects data in a log file. MRTG can be used with Windows, UNIX and Linux. System and Event Logs Virtually every condition recognized by an operating system can be recorded. This is typically done using event logs. In Windows there is a GUI event log viewer. Similar information is recorded in UNIX and Linux in a system log. Much of the information collected in event logs and syslog files does not point to a problem, even if it is marked with a warning so it is important to filter your logs appropriately to reduce the noise. Traffic Shaping When a network must handle high volumes of network traffic, users benefit from performance management technique called traffic shaping. Traffic shaping involves manipulating certain characteristics of packets, data streams, or connections to manage the type and amount of traffic traversing a network or interface at any moment. Its goals are to assure timely delivery of the most important traffic while offering the best possible performance for all users. Several types of traffic prioritization exist including prioritizing traffic according to any of the following characteristics… Protocol IP address User group DiffServr VLAN tag in a Data Link layer frame Service or application Caching In addition to traffic shaping, a network or host might use caching to improve performance. Caching is the local storage of frequently needed files that would otherwise be obtained from an external source. By keeping files close to the requester, caching allows the user to access those files quickly. The most common type of caching is Web caching, in which Web pages are stored locally. To an ISP, caching is much more than just convenience. It prevents a significant volume of WAN traffic, thus improving performance and saving money. Asset Management Another key component in managing networks is identifying and tracking its hardware. This is called asset management. The first step to asset management is to take an inventory of each node on the network. You will also want to keep records of every piece of software purchased by your organization. Asset management simplifies maintaining and upgrading the network chiefly because you know what the system includes. In addition, asset management provides network administrators with information about the costs and benefits of certain types of hardware or software. Change Management Networks are always in a stage of flux with various aspects including… Software changes and patches Client Upgrades Shared Application Upgrades NOS Upgrades Hardware and Physical Plant Changes Cabling Upgrades Backbone Upgrades For a detailed explanation on each of these read the textbook (Page 750 – 761)

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