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  • Multiple user database design

    - by dieguitoweb
    I have to develop a basic social network for an academic purpose; but I need some tips for the users management.. The users are subdivided into 3 groups with different privilege: admins,analysts and standards users. For every user should be stored into the database the following information: name,lastname,e-mail,age,password. I'm not quite sure how I should design the database between theese two solutions: 1)one table called 'users' with the 'role' attribute that explain what a user can do and what can't do, and the permissions are managed via php 2)every application user is a database user created with the query 'CREATE ROLE' (It's a postgres database) and he has permissions on some tables granted with the 'GRANT' statement You should take into account that the project is for a database exam.. thanks

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  • SimpleDB as Denormalized DB

    - by Max
    In an environment where you have a relational database which handles all business transactions is it a good idea to utilise SimpleDB for all data queries to have faster and more lightweight search? So the master data storage would be a relational DB which is "replicated"/"transformed" into SimpleDB to provide very fast read only queries since no JOINS and complicated subselects are needed.

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  • how do I integrate the aspnet_users table that comes with asp.net membership into my existing databa

    - by ooo
    i have a database that already has a users table COLUMNS: userID - int loginName - string First - string Last - string i just installed the asp.net membership table. Right now all of my tables are joined into my users table foreign keyed into the "userId" field How do i integrate asp.net_users table into my schema? here are the ideas i thought of: Add a membership_id field to my users table and on new inserts, include that new field in my users table. This seems like the cleanest way as i dont need to break any existing relationships. break all existing relationship and move all of the fields in my user table into the asp.net_users table. This seems like a pain but ultimately will lead to the most simple, normalized solution any thoughts?

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  • Databinding in combo box

    - by muralekarthick
    Hi I have two forms, and a class, queries return in Stored procedure. Stored Procedure: ALTER PROCEDURE [dbo].[Payment_Join] @reference nvarchar(20) AS BEGIN -- SET NOCOUNT ON added to prevent extra result sets from -- interfering with SELECT statements. SET NOCOUNT ON; -- Insert statements for procedure here SELECT p.iPaymentID,p.nvReference,pt.nvPaymentType,p.iAmount,m.nvMethod,u.nvUsers,p.tUpdateTime FROM Payment p, tblPaymentType pt, tblPaymentMethod m, tblUsers u WHERE p.nvReference = @reference and p.iPaymentTypeID = pt.iPaymentTypeID and p.iMethodID = m.iMethodID and p.iUsersID = u.iUsersID END payment.cs using System; using System.Collections.Generic; using System.Linq; using System.Text; using System.Data; using System.Data.SqlClient; using System.Windows.Forms; namespace Finance { class payment { string connection = global::Finance.Properties.Settings.Default.PaymentConnectionString; #region Fields int _paymentid = 0; string _reference = string.Empty; string _paymenttype; double _amount = 0; string _paymentmethod; string _employeename; DateTime _updatetime = DateTime.Now; #endregion #region Properties public int paymentid { get { return _paymentid; } set { _paymentid = value; } } public string reference { get { return _reference; } set { _reference = value; } } public string paymenttype { get { return _paymenttype; } set { _paymenttype = value; } } public string paymentmethod { get { return _paymentmethod; } set { _paymentmethod = value; } } public double amount { get { return _amount;} set { _amount = value; } } public string employeename { get { return _employeename; } set { _employeename = value; } } public DateTime updatetime { get { return _updatetime; } set { _updatetime = value; } } #endregion #region Constructor public payment() { } public payment(string refer) { reference = refer; } public payment(int paymentID, string Reference, string Paymenttype, double Amount, string Paymentmethod, string Employeename, DateTime Time) { paymentid = paymentID; reference = Reference; paymenttype = Paymenttype; amount = Amount; paymentmethod = Paymentmethod; employeename = Employeename; updatetime = Time; } #endregion #region Methods public void Save() { try { SqlConnection connect = new SqlConnection(connection); SqlCommand command = new SqlCommand("payment_create", connect); command.CommandType = CommandType.StoredProcedure; command.Parameters.Add(new SqlParameter("@reference", reference)); command.Parameters.Add(new SqlParameter("@paymenttype", paymenttype)); command.Parameters.Add(new SqlParameter("@amount", amount)); command.Parameters.Add(new SqlParameter("@paymentmethod", paymentmethod)); command.Parameters.Add(new SqlParameter("@employeename", employeename)); command.Parameters.Add(new SqlParameter("@updatetime", updatetime)); connect.Open(); command.ExecuteScalar(); connect.Close(); } catch { } } public void Load(string reference) { try { SqlConnection connect = new SqlConnection(connection); SqlCommand command = new SqlCommand("Payment_Join", connect); command.CommandType = CommandType.StoredProcedure; command.Parameters.Add(new SqlParameter("@Reference", reference)); //MessageBox.Show("ref = " + reference); connect.Open(); SqlDataReader reader = command.ExecuteReader(); while (reader.Read()) { this.reference = Convert.ToString(reader["nvReference"]); // MessageBox.Show(reference); // MessageBox.Show("here"); // MessageBox.Show("payment type id = " + reader["nvPaymentType"]); // MessageBox.Show("here1"); this.paymenttype = Convert.ToString(reader["nvPaymentType"]); // MessageBox.Show(paymenttype.ToString()); this.amount = Convert.ToDouble(reader["iAmount"]); this.paymentmethod = Convert.ToString(reader["nvMethod"]); this.employeename = Convert.ToString(reader["nvUsers"]); this.updatetime = Convert.ToDateTime(reader["tUpdateTime"]); } reader.Close(); } catch (Exception ex) { MessageBox.Show("Check it again" + ex); } } #endregion } } i have already binded the combo box items through designer, When i run the application i just get the reference populated in form 2 and combo box just populated not the particular value which is fetched. New to c# so help me to get familiar

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  • Help Me With This MS-Access Query

    - by yae
    I have 2 tables: "products" and "pieces" PRODUCTS idProd product price PIECES id idProdMain idProdChild quant idProdMain and idProdChild are related with the table: "products". Other considerations is that 1 product can have some pieces and 1 product can be a piece. Price product equal a sum of quantity * price of all their pieces. "Products" table contains all products (p EXAMPLE: TABLE PRODUCTS (idProd - product - price) 1 - Computer - 300€ 2 - Hard Disk - 100€ 3 - Memory - 50€ 4 - Main Board - 100€ 5 - Software - 50€ 6 - CDroms 100 un. - 30€ TABLE PIECES (id - idProdMain - idProdChild - Quant.) 1 - 1 - 2 - 1 2 - 1 - 3 - 2 3 - 1 - 4 - 1 WHAT I NEED? I need update the price of the main product when the price of the product child (piece) is changed. Following the previous example, if I change the price of this product "memory" (is a piece too) to 60€, then product "Computer" will must change his price to 320€ How I can do it using queries? Already I have tried this to obtain the price of the main product, but not runs. This query not returns any value: SELECT Sum(products.price*pieces.quant) AS Expr1 FROM products LEFT JOIN pieces ON (products.idProd = pieces.idProdChild) AND (products.idProd = pieces.idProdChild) AND (products.idProd = pieces.idProdMain) WHERE (((pieces.idProdMain)=5)); MORE INFO The table "products" contains all the products to sell that it is in the shop. The table "pieces" is to take a control of the compound products. To know those who are the products children. For example of compound product: computers. This product is composed by other products (motherboard, hard disk, memory, cpu, etc.)

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  • How to get common field in ten tables with different field name

    - by Fero
    Hi all, I am having a common field in ten tables with different field name. example: table1: t1_id     t1_location 1         india 2         china 3         america table2: t2_id     t2_location 4         london 5         australia 6         america Now my o/p should be: location india china america london australia How should i get that using mysql query. thanks in advance

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  • LINQ - if condition

    - by ile
    In code, the commented part is what I need to solve... Is there a way to write such query in LINQ? I need this because I will need sorting based on Status. var result = ( from contact in db.Contacts join user in db.Users on contact.CreatedByUserID equals user.UserID join deal in db.Deals on contact.ContactID equals deal.ContactID into deals orderby contact.ContactID descending select new ContactListView { ContactID = contact.ContactID, FirstName = contact.FirstName, LastName = contact.LastName, Email = contact.Email, Deals = deals.Count(), EstValue = deals.Sum(e => e.EstValue), SalesAgent = user.FirstName + " " + user.LastName, Tasks = 7, // This is critical part if(Deals == 0) Status = "Prospect"; else Status = "Client"; // End of critical part... }) .OrderBy(filterQuery.OrderBy + " " + filterQuery.OrderType) .Where(filterQuery.Status);

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  • Use count or have a field that tallies?

    - by Dan LaManna
    Fairly simple concept, making an extremely basic message board system and I want users to have a post count. Now I was debating on whether or not to have a tally in their row that is added each time a post by them is created, or subtracted by one each time a post of theirs is deleted. However I'm sure that performing a count query when the post count is requested would be more accurate due to unforseen circumstances (say a thread gets deleted and it doesn't lower their tally properly), however this seems like it would be less efficient to run a query EVERY time their post count is loaded, especially in the case of them having 10 posts on the same page and it lists their post count each post. Thoughts/Advice? Thanks

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  • move data from one table to another, postgresql edition

    - by IggShaman
    Hi All, I'd like to move some data from one table to another (with a possibly different schema). Straightforward solution that comes into mind is - start a transaction with serializable isolation level; INSERT INTO dest_table SELECT data FROM orig_table,other-tables WHERE <condition>; DELETE FROM orig_table USING other-tables WHERE <condition>; COMMIT; Now what if the amount of data is rather big, and the <condition> is expensive to compute? In PostgreSQL, a RULE or a stored procedure can be used to delete data on the fly, evaluating condition only once. Which solution is better? Are there other options?

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  • Sql Alchemy Duplicated Commit

    - by PythonWolf
    Good Morning i'm currently facing a problem in my Cherrypy application. Im my own custom session module , anyway when performing session.add() The exact same object gets updated Twice. cherrypy.request.SessionManager.user_data = user try: db_session.add(cherrypy.request.SessionManager) db_session.commit() Will Return 2011-06-21 09:16:48,991 INFO sqlalchemy.engine.base.Engine.0x...04cL BEGIN (implicit) 2011-06-21 09:16:49,015 INFO sqlalchemy.engine.base.Engine.0x...04cL SELECT ..... FROM "Clients_Users" WHERE "Clients_Users".username = %(username_1)s AND "Clients_Users".password = %(password_1)s LIMIT 1 OFFSET 0 2011-06-21 09:16:49,015 INFO sqlalchemy.engine.base.Engine.0x...04cL {'password_1': '123', 'username_1': u'1'} 2011-06-21 09:16:49,047 INFO sqlalchemy.engine.base.Engine.0x...04cL UPDATE "SYS_Sessions" SET user_data=%(user_data)s WHERE "SYS_Sessions".id = %(SYS_Sessions_id)s 2011-06-21 09:16:49,067 INFO sqlalchemy.engine.base.Engine.0x...04cL {'SYS_Sessions_id': 92L, 'user_data': } 2011-06-21 09:16:49,071 INFO sqlalchemy.engine.base.Engine.0x...04cL COMMIT 2011-06-21 09:16:49,093 INFO sqlalchemy.engine.base.Engine.0x...04cL BEGIN (implicit) 2011-06-21 09:16:49,095 INFO sqlalchemy.engine.base.Engine.0x...04cL UPDATE "SYS_Sessions" SET user_data=%(user_data)s WHERE "SYS_Sessions".id = %(SYS_Sessions_id)s 2011-06-21 09:16:49,095 INFO sqlalchemy.engine.base.Engine.0x...04cL {'SYS_Sessions_id': 92L, 'user_data': } 2011-06-21 09:16:49,108 INFO sqlalchemy.engine.base.Engine.0x...04cL COMMIT As Anyone seen this before ? P.S This doesn't happen in the rest of the modules i have made.

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  • Alternatives to sign() in sqlite for custom order by

    - by Pentium10
    I have a string column which contains some numeric fields, but a lot are 0, empty string or null. The rest are numbers having different range, all positive. I tried to create a custom order by. The order would be done by two fields. First I would like to order the fields that have this number 0 and then sort by name. So something this would work: select * from table order by sign(referenceid) desc, name asc; But Sqlite lacks the sign() -1/0/1 function, and I am on Android and I can't create user defined functions. What other options I have to get this sort done.

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  • Do I need to drop index on temp table?

    - by Phil
    Hi, Fairly simple question, but I don't see it anywhere else on SO: Do indexes (indices?) on a temporary table get automatically deleted with the temporary table? I'd imagine they do but I don't really know how to check to make sure. Thanks, Phil

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  • Msg 102, Level 15, State 1, Line 1 Incorrect syntax near ' '.

    - by sajad
    i am trying to query from a temp table,and i keep getting the message Msg 102, Level 15, State 1, Line 1 Incorrect syntax near ' '. can somebody tell me wats the problem..is it due to convert.. plz help The query is select compid,2, convert(datetime, '01/01/' + CONVERT(char(4),cal_yr) ,101) ,0,  Update_dt, th1, th2, th3_pc , Update_id, Update_dt,1 from #tmp_CTF

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  • Broken count(*) after adding LEFT JOIN

    - by Iain Urquhart
    Since adding the LEFT JOIN to the query below, the count(*) has been returning some strange values, it seems to have added the total rows returned in the query to the 'level': SELECT `n`.*, exp_channel_titles.*, round((`n`.`rgt` - `n`.`lft` - 1) / 2, 0) AS childs, count(*) - 1 + (`n`.`lft` > 1) + 1 AS level, ((min(`p`.`rgt`) - `n`.`rgt` - (`n`.`lft` > 1)) / 2) > 0 AS lower, (((`n`.`lft` - max(`p`.`lft`) > 1))) AS upper FROM `exp_node_tree_6` `n` LEFT JOIN `exp_channel_titles` ON (`n`.`entry_id`=`exp_channel_titles`.`entry_id`), `exp_node_tree_6` `p`, `exp_node_tree_6` WHERE `n`.`lft` BETWEEN `p`.`lft` AND `p`.`rgt` AND ( `p`.`node_id` != `n`.`node_id` OR `n`.`lft` = 1 ) GROUP BY `n`.`node_id` ORDER BY `n`.`lft` I'm totally stumped... Thank you!

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  • Storing Data as XML BLOB

    - by NBrowne
    Hi, At the moment the team i am working with is looking into the possibility of storing data which is entered by users from a series of input wizard screens as an XML blob in the database. the main reason for this being that i would like to write the input wizard as a component which can be brought into a number of systems without having to bring with it a large table structure. To try to clarify if the wizard has 100 input fields (for example) then if i go with the normal relational db structure then their will be a 1 to 1 relationship so will have 100 columns in database. So to get this working in another system will have to bring the tables,strore procedures etc into the new system. I have a number of reservations about this but i would like peoples opinions?? thanks

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  • 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

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  • Getting the last element of a Postgres array, declaratively

    - by Wojciech Kaczmarek
    How to obtain the last element of the array in Postgres? I need to do it declaratively as I want to use it as a ORDER BY criteria. I wouldn't want to create a special PGSQL function for it, the less changes to the database the better in this case. In fact, what I want to do is to sort by the last word of a specific column containing multiple words. Changing the model is not an option here. In other words, I want to push Ruby's sort_by {|x| x.split[-1]} into the database level. I can split a value into array of words with Postgres string_to_array or regexp_split_to_array functions, then how to get its last element?

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  • I want to do a sql update loop statement, by using the do--while in php

    - by Jean
    Hello, I want to loop the update statement, but it only loops once. Here is the code I am using: do { mysql_select_db($database_ll, $ll); $query_query= "update table set ex='$71[1]' where field='val'"; $query = mysql_query($query_query, $ll) or die(mysql_error()); $row_domain_all = mysql_fetch_assoc($query); } while ($row_query = mysql_fetch_assoc($query)); Thanks Jean

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  • How to join two query in SQL (Oracle)

    - by MAHESH A SONI
    How can I join these queries? SELECT RCTDT, SUM(RCTAMOUNT), COUNT(RCTAMOUNT) FROM RECEIPTS4 WHERE RCTDT BETWEEN '01-nov-2009' AND '30-nov-2009' AND RCTTYPE='CA' AND RCTAMOUNT>0 GROUP BY RCTDT --- SELECT RCTDT, SUM(RCTAMOUNT), COUNT(RCTAMOUNT) FROM RECEIPTS4 WHERE RCTDT BETWEEN '01-nov-2009' AND '30-nov-2009' AND RCTTYPE='CQ' AND RCTAMOUNT>0 GROUP BY RCTDT

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  • Monitoring Log Shipped Databases

    - by Registered User
    I need a consistent way to monitor databases that are read-only log shipped copies of production databases. In the past I have relied on the following methods: Set the job that restores logs to the database kick off another job as its last step. Set the job that restores logs to the database to insert a record in a control table as its last step. Query the msdb database to check the status of the job that restores logs to the database. Query a control table inside the database itself that gets a value immediately before transaction logs are backed up. Query MAX values from tables inside the database to see if it has recent changes. Although the above methods work, they can't be implemented for every log shipped database that I query for various reasons. What is the best method for monitoring the "data as of" date for a log shipped database?

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