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  • SQLite as an App Queue, Exclusive Row Lock?

    - by ScSub
    I am considering using SQLite as a "job queue container", and was wondering how I could do so, using custom C# (with ADO.NET) to work the database. If this was SQL Server, I would setup a serializable transaction to make sure the parent row and child rows were exclusively mine until I was done. I'm not sure how that would work in SQLite, can anyone offer any assistance? Or if there are any other existing implementations of message queueing with SQLite, I'd appreciate any pointers in that direction as well. Thanks!

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  • Cascading updates with business key equality: Hibernate best practices?

    - by Traphicone
    I'm new to Hibernate, and while there are literally tons of examples to look at, there seems to be so much flexibility here that it's sometimes very hard to narrow all the options down the best way of doing things. I've been working on a project for a little while now, and despite reading through a lot of books, articles, and forums, I'm still left with a bit of a head scratcher. Any veteran advice would be very appreciated. So, I have a model involving two classes with a one-to-many relationship from parent to child. Each class has a surrogate primary key and a uniquely constrained composite business key. <class name="Container"> <id name="id" type="java.lang.Long"> <generator class="identity"/> </id> <properties name="containerBusinessKey" unique="true" update="false"> <property name="name" not-null="true"/> <property name="owner" not-null="true"/> </properties> <set name="items" inverse="true" cascade="all-delete-orphan"> <key column="container" not-null="true"/> <one-to-many class="Item"/> </set> </class> <class name="Item"> <id name="id" type="java.lang.Long"> <generator class="identity"/> </id> <properties name="itemBusinessKey" unique="true" update="false"> <property name="type" not-null="true"/> <property name="color" not-null="true"/> </properties> <many-to-one name="container" not-null="true" update="false" class="Container"/> </class> The beans behind these mappings are as boring as you can possibly imagine--nothing fancy going on. With that in mind, consider the following code: Container c = new Container("Things", "Me"); c.addItem(new Item("String", "Blue")); c.addItem(new Item("Wax", "Red")); Transaction t = session.beginTransaction(); session.saveOrUpdate(c); t.commit(); Everything works fine the first time, and both the Container and its Items are persisted. If the above code block is executed again, however, Hibernate throws a ConstraintViolationException--duplicate values for the "name" and "owner" columns. Because the new Container instance has a null identifier, Hibernate assumes it is an unsaved transient instance. This is expected but not desired. Since the persistent and transient Container objects have the same business key values, what we really want is to issue an update. It is easy enough to convince Hibernate that our new Container instance is the same as our old one. With a quick query we can get the identifier of the Container we'd like to update, and set our transient object's identifier to match. Container c = new Container("Things", "Me"); c.addItem(new Item("String", "Blue")); c.addItem(new Item("Wax", "Red")); Query query = session.createSQLQuery("SELECT id FROM Container" + "WHERE name = ? AND owner = ?"); query.setString(0, c.getName()); query.setString(1, c.getOwner()); BigInteger id = (BigInteger)query.uniqueResult(); if (id != null) { c.setId(id.longValue()); } Transaction t = session.beginTransaction(); session.saveOrUpdate(c); t.commit(); This almost satisfies Hibernate, but because the one-to-many relationship from Container to Item cascades, the same ConstraintViolationException is also thrown for the child Item objects. My question is: what is the best practice in this situation? It is highly recommended to use surrogate primary keys, and it is also recommended to use business key equality. When you put these two recommendations in to practice together, however, two of the greatest conveniences of Hibernate--saveOrUpdate and cascading operations--seem to be rendered almost completely useless. As I see it, I have only two options: Manually fetch and set the identifier for each object in the mapping. This clearly works, but for even a moderately sized schema this is a lot of extra work which it seems Hibernate could easily be doing. Write a custom interceptor to fetch and set object identifiers on each operation. This looks cleaner than the first option but is rather heavy-handed, and it seems wrong to me that you should be expected to write a plug-in which overrides Hibernate's default behavior for a mapping which follows the recommended design. Is there a better way? Am I making completely the wrong assumptions? I'm hoping that I'm just missing something. Thanks.

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  • Anything wrong with this code?

    - by ct2k7
    I am using this to determine which view to go to next, from the result as input from UITableView. The following code isn't working, but I think it should be! Do you see anything wrong with it? NSString *option = [menuArray objectAtIndex:indexPath.row]; if (option == @"New Transaction"){ NTItems *nTItemsController = [[NTItems alloc] initWithNibName:@"NTItems" bundle:nil]; // Pass the selected object to the new view controller. [self.navigationController pushViewController:nTItemsController animated:YES]; [NTItems release];} else if (option == @"Previous Transactions"){} else if (option == @"Reprint a reciept"){} else if (option == @"Settings"){} else if (option == @"Logout"){ LoginViewController *nTItemsController = [[LoginViewController alloc] initWithNibName:@"LoginViewController" bundle:nil]; // Pass the selected object to the new view controller. [self.navigationController pushViewController:nTItemsController animated:YES]; [LoginViewController release]; }

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  • Concurency problem with Isolation - read-committed

    - by Ratn Deo--Dev
    I have to write a simple demo for amount withdrawl from a joint Bank amount .Andy and Jen holds a joint bank account with number 123 . Suppose they have 100$ in their account .Jen and Andy are operating their account at the same time and both are trying to withdraw 90$ at the time being .My transaction Isolation is set to read-committed and both are able to withdraw money leaving the balance to -(minus)80$ although I have constraint that balance should never be less than 0. I am using hibernate .Is versioning only way to solve this problem or I should go for another Isolation level ?

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  • SQL Query syntax, I want to use INNER JOIN

    - by amol kadam
    Hi . I'm working on a windows application project using front end "vb.net" & back end "Ms Access" I have problem in wrinting sql query Actually there are 5 tables Transaction,items,itemtitle,itemtype & userinfo. check the following query & with this referance if u get idea then plz change in correct query Thanking You SELECT TRANSACTIONS.ACCESSIONNO AS ACCESSIONNO,TRANSACTIONS.TYPEID, TRANSACTIONS.CHECKOUTDATE AS CHECKOUTDATE,ITEMTITLE.ITEMTITLE, TRANSACTIONS.CHECKEDOUTBY, USERINFO.FULLNAME_ENG, USERINFO.FULLNAME_MAR, TRANSACTIONS.ACCOUNTNO, ITEMTYPE.TYPES_MAR, ITEMTYPE.TYPES_ENG FROM TRANSACTIONS,ITEMTYPE, ITEMTITLE, USERINFO WHERE TRANSACTIONS.ACCOUNTNO=USERINFO.ACCOUNTNO AND TRANSACTIONS.ACCESSIONNO=ITEMS.ACCESSIONNO AND ITEMS.ITEMTITLEID=ITEMTITLE.ITEMTITLEID AND TRANSACTIONS.TYPEID=ITEMTYPE.TYPEID AND TRANSACTIONS.STATUS='Enabled'

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  • Best solution for reporting database

    - by zzyzx
    Here is the situation: There is a transaction intensive database - used for both routine transactions and reports. I was wondering if I could isolate these two operations and 2 independent databases, so reports could run off of one database and all the transactions could occur in another one. This would improve performance for the OLTP SQL database. I have gone over a few options like, Mirroring, Log shipping, Replication, Snapshots, Clustering - but would like to discuss the best possible strategy for the desired result. Please advise the best solution to implement this strategy, or any other thoughts/suggestion you may have.

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  • How to generate a compiler error based on an attribute being missing in C#?

    - by RodH257
    I create a number of add-ins for the Revit Structure API. Each tool has to habe a class which implements the interface IExternalCommand. In the latest version of Revit, for your tool to work you need to have two attributes on the class that implements that interface: [Regeneration(RegenerationOption.Manual)] [Transaction(TransactionMode.Automatic)] The values in brackets can change, but there must be something there. Often I am finding myself forgetting to put the attributes on, then when it comes to runtime it crashes. Is there any way in Visual Studio 2010 to add a compiler warning or error saying that if your class implements that interface it must have those 2 attributes? I have resharper if that helps. Can anyone point me into the right direction?

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  • Why am I getting this WSDL SOAP error with authorize.net?

    - by Chad Johnson
    I have my script email me when there is a problem creating a recurring transaction with authorize.net. I received the following at 5:23AM Pacific time: SOAP-ERROR: Parsing WSDL: Couldn't load from 'https://api.authorize.net/soap/v1/service.asmx?wsdl' : failed to load external entity "https://api.authorize.net/soap/v1/service.asmx?wsdl" And of course, when I did exactly the same thing that the user did, it worked fine for me. Does this mean authorize.net's API is down? Their knowledge base simply sucks and provides no information whatsoever about this problem. I've contacted the company, but I'm not holding my breath for a response. Google reveals nothing. Looking through their code, nothing stands out. Maybe an authentication error? Has anyone seen an error like this before? What causes this?

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  • Hibernate and stored procedures

    - by cc96ai
    As my understanding on setting hibernate, I need to create table meta data file (person.hbm.xml), include all the fields mapping java object (person.java) If we use stored procedures for all transaction, do we still need the above configuration? It seems hibernate and stored procedures will overlap, We set up the stored procedure because we don't want the to developer know all the field in db. If tables change, then we need update above files. Does it mean if we purely use stored procedure, we should just go for JDBC? If hibernate, we should stay in HQL?

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  • Using persistent and non-persistent connection together in a PHP MySQL app

    - by cappuccino
    There are parts of my app where a persistent connection is required, in particular the parts where every hour maybe 30,000 select requests are made by many different users, this is causing my mysql server to max out on the 100 connection limit, and i really don't want to increase it since 100 connections already seems like alot. So for the parts of the application where reading and selecting is the case I want to switch to persistent connections. The other parts where data is being modified is usually done through a transaction, and the general rule is never to use persistent connections for transactions according to the php documentation. So I would like to keep this on non-persistent connections. My question is, am i able to use persistent and non-persistent connections together in the same app, the same script etc? I am using PHP 5.2+, MySQL 5+ (InnoDB tables) and the Zend Framework 10.6+

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  • Nhibernate not tracking changes

    - by Lavinski
    I'm using nhibernate and it appears that changes to my new object are not persisted. After creating and saving an object I then modify it and commit the transaction. However none of the modifications are saved. The strange thing is this code was working previously and I have no idea what could cause this. Nothing was changed that's obviously related.. As an attempted work around I saved the object later in the procedure after all the changes where made however I was greeted with an Assertion Failure collection [] was not processed by flush. Any ideas?

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  • VisualBasic.net Database Boiler Plate

    - by Shiftbit
    Is there any built in .net Classes to assist in the reduction of boiler plate code? I have numerous database operations going on and I find that I am reproducing the connection, command, transaction and occassianlly data set. I am aware of the Java Related Question, however, the solutions pertain to Java. I was wondering if anyone was aware of a .net solution? http://stackoverflow.com/questions/1072925/remove-boilerplate-from-db-code Public Sub ReadData(ByVal connectionString As String) Dim queryString As String = "SELECT EmpNo, EName FROM Emp" Using connection As New OracleConnection(connectionString) Dim command As New OracleCommand(queryString, connection) connection.Open() Using reader As OracleDataReader = command.ExecuteReader() ' Always call Read before accessing data. While reader.Read() Console.WriteLine(reader.GetInt32(0).ToString() + ", " _ + reader.GetString(1)) End While End Using End Using End Sub MSDN

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  • Storing credit card details

    - by Andrew
    I have a business requirement that forces me to store a customer's full credit card details (number, name, expiry date, CVV2) for a short period of time. Rationale: If a customer calls to order a product and their credit card is declined on the spot you are likely to lose the sale. If you take their details, thank them for the transaction and then find that the card is declined, you can phone them back and they are more likely to find another way of paying for the product. If the credit card is accepted you clear the details from the order. I cannot change this. The existing system stores the credit card details in clear text, and in the new system I am building to replace this I am clearly not going to replicate this! My question, then, is how I can securely store a credit card for a short period of time. I obviously want some kind of encryption, but what's the best way to do this? Environment: C#, WinForms, SQL-Server.

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  • T-SQL aggregate function Logical error

    - by Yoda
    Hi Guys, Ok I have a data table containing duplicate Reciept numbers and a transaction value for each record, I need to simply list the total for each unique Reciept number, this is obviously a simple problem but I am missing something. Any help is much appriciated > SELECT Gf_Receipt_number AS Reciept, > SUM (Gf_Amount) AS Total FROM > [TestP].[dbo].[Gf] WHERE > Gf_Receipt_number IS NOT NULL GROUP > BY Gf_Amount Would probably help to mention the the error I am recieving is: Column 'TestP.dbo.Gf.Gf_Receipt_number' is invalid in the select list because it is not contained in either an aggregate function or the GROUP BY clause.

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  • JPA, scope, and autosave?

    - by arinte
    I am using JPA and lets say I do something like this public class MoRun extends Thread {... public void run() { final EntityManagerFactory emFactory = Persistence.createEntityManagerFactory("pu"); EntityManager manager = emFactory.createEntityManager(); manager.setFlushMode(FlushModeType.COMMIT); someMethod(manager); ... } public void someMethod(EntityManager manager){ Query query = manager.createNamedQuery("byStates"); List<State> list = query.getResultList(); for (State state : list) { if(someTest) state.setValue(...) } ... } So for those objects that pass "someTest" and values are updated are those changes automatically persisted to the db even though there is no transaction and I don't explicitly "manager.save(state)" the object? I ask because it seems like it is and I was wondering if the flush is doing it?

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  • How do these user/userParam references relate to the Customer and Account lookups?

    - by plath
    In the following code example how do the user/userParam references relate to the Customer and Account lookups and what is the relationship between Customer and Account? // PersistenceManager pm = ...; Transaction tx = pm.currentTransaction(); User user = userService.currentUser(); List<Account> accounts = new ArrayList<Account>(); try { tx.begin(); Query query = pm.newQuery("select from Customer " + "where user == userParam " + "parameters User userParam"); List<Customer> customers = (List<Customer>) query.execute(user); query = pm.newQuery("select from Account " + "where parent-pk == keyParam " + "parameters Key keyParam"); for (Customer customer : customers) { accounts.addAll((List<Account>) query.execute(customer.key)); } } finally { if (tx.isActive()) { tx.rollback(); } }

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  • How do these user/userParam references relate to the Customer and Account lookups?

    - by marmalade
    In the following code example how do the user/userParam references relate to the Customer and Account lookups and what is the relationship between Customer and Account? // PersistenceManager pm = ...; Transaction tx = pm.currentTransaction(); User user = userService.currentUser(); List<Account> accounts = new ArrayList<Account>(); try { tx.begin(); Query query = pm.newQuery("select from Customer " + "where user == userParam " + "parameters User userParam"); List<Customer> customers = (List<Customer>) query.execute(user); query = pm.newQuery("select from Account " + "where parent-pk == keyParam " + "parameters Key keyParam"); for (Customer customer : customers) { accounts.addAll((List<Account>) query.execute(customer.key)); } } finally { if (tx.isActive()) { tx.rollback(); } }

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  • Paypal IPN setup...Ship to Zipcode and auto calculation

    - by Kunal
    Hi I have successfully setup paypal IPN on my site and its working fine. From my paypal account I have set options to ass shipping and tax calculations(only if it's Iowa). But the only issue is, on the paypal checkout page it's asking me to enter the "Ship to Zipcode" manually...if I enter and update only then the net payable is getting updated with the shipping and tax charges. Is there any variable via which I could send the ship to zip code which will work directly on the cart and make it auto calculate the charges and show it? I have tried both "zip" and "address_zip" variables. None of them worked. By the way I have multiple items on my cart so I am using the "cart" transaction type. Thanks in advance for your help.

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  • How to handle request-wise DB transactions in ASP.NET MVC?

    - by Dario Solera
    I'm using SubSonic 3.0 (SimpleRepository) to handle database access in my ASP.NET MVC 1.0 application. It would be nice to handle a transaction for every web request, committing if everything went smooth and rolling back in case of exception. Is this possible? If so, how? I know this topic has been discussed many times, but I just couldn't find a satisfactory answer. I have built my own solution (create a TransactionScope in the controller, then commit/rollback in OnActionExecuted), but it turns out to be very unreliable.

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  • No persister for: <ClassName> issue with Fluent NHibernate

    - by Amit
    I have following code: //AutoMapConfig.cs using System; using FluentNHibernate.Automapping; namespace SimpleFNH.AutoMap { public class AutoMapConfig : DefaultAutomappingConfiguration { public override bool ShouldMap(Type type) { return type.Namespace == "Examples.FirstAutomappedProject.Entities"; } } } //CascadeConvention.cs using FluentNHibernate.Conventions; using FluentNHibernate.Conventions.Instances; namespace SimpleFNH.AutoMap { public class CascadeConvention : IReferenceConvention, IHasManyConvention, IHasManyToManyConvention { public void Apply(IManyToOneInstance instance) { instance.Cascade.All(); } public void Apply(IOneToManyCollectionInstance instance) { instance.Cascade.All(); } public void Apply(IManyToManyCollectionInstance instance) { instance.Cascade.All(); } } } //Item.cs namespace SimpleFNH.Entities { public class Item { public virtual long ID { get; set; } public virtual string ItemName { get; set; } public virtual string Description { get; set; } public virtual OrderItem OrderItem { get; set; } } } //OrderItem.cs namespace SimpleFNH.Entities { public class OrderItem { public virtual long ID { get; set; } public virtual int Quantity { get; set; } public virtual Item Item { get; set; } public virtual ProductOrder ProductOrder { get; set; } public virtual void AddItem(Item item) { item.OrderItem = this; } } } using System; using System.Collections.Generic; //ProductOrder.cs namespace SimpleFNH.Entities { public class ProductOrder { public virtual long ID { get; set; } public virtual DateTime OrderDate { get; set; } public virtual string CustomerName { get; set; } public virtual IList<OrderItem> OrderItems { get; set; } public ProductOrder() { OrderItems = new List<OrderItem>(); } public virtual void AddOrderItems(params OrderItem[] items) { foreach (var item in items) { OrderItems.Add(item); item.ProductOrder = this; } } } } //NHibernateRepo.cs using FluentNHibernate.Cfg; using FluentNHibernate.Cfg.Db; using NHibernate; using NHibernate.Criterion; using NHibernate.Tool.hbm2ddl; namespace SimpleFNH.Repository { public class NHibernateRepo { private static ISessionFactory _sessionFactory; private static ISessionFactory SessionFactory { get { if (_sessionFactory == null) InitializeSessionFactory(); return _sessionFactory; } } private static void InitializeSessionFactory() { _sessionFactory = Fluently.Configure().Database( MsSqlConfiguration.MsSql2008.ConnectionString( @"server=Amit-PC\SQLEXPRESS;database=SimpleFNH;Trusted_Connection=True;").ShowSql()). Mappings(m => m.FluentMappings.AddFromAssemblyOf<Order>()).ExposeConfiguration( cfg => new SchemaExport(cfg).Create(true, true)).BuildSessionFactory(); } public static ISession OpenSession() { return SessionFactory.OpenSession(); } } } //Program.cs using System; using System.Collections.Generic; using System.Linq; using SimpleFNH.Entities; using SimpleFNH.Repository; namespace SimpleFNH { class Program { static void Main(string[] args) { using (var session = NHibernateRepo.OpenSession()) { using (var transaction = session.BeginTransaction()) { var item1 = new Item { ItemName = "item 1", Description = "test 1" }; var item2 = new Item { ItemName = "item 2", Description = "test 2" }; var item3 = new Item { ItemName = "item 3", Description = "test 3" }; var orderItem1 = new OrderItem { Item = item1, Quantity = 2 }; var orderItem2 = new OrderItem { Item = item2, Quantity = 4 }; var orderItem3 = new OrderItem { Item = item3, Quantity = 5 }; var productOrder = new ProductOrder { CustomerName = "Amit", OrderDate = DateTime.Now, OrderItems = new List<OrderItem> { orderItem1, orderItem2, orderItem3 } }; productOrder.AddOrderItems(orderItem1, orderItem2, orderItem3); session.Save(productOrder); transaction.Commit(); } } using (var session = NHibernateRepo.OpenSession()) { // retreive all stores and display them using (session.BeginTransaction()) { var orders = session.CreateCriteria(typeof(ProductOrder)) .List<ProductOrder>(); foreach (var item in orders) { Console.WriteLine(item.OrderItems.First().Quantity); } } } } } } I tried many variations to get it working but i get an error saying No persister for: SimpleFNH.Entities.ProductOrder Can someone help me get it working? I wanted to create a simple program which will set a pattern for my bigger project but it is taking quite a lot of time than expected. It would be rally helpful if you can explain in simple terms on any template/pattern that i can use to get fluent nHibernate working. The above code uses auto mapping, which i tried after i tried with fluent mapping.

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  • Integrating GWT, Spring and JPA (Eclipse-link) in Weblogic 10

    - by MVK
    Hi, My application architecture looks like this. GWT in the UI layer - Calls GWT RPC service (servlets) - Looksup Spring Beans - Calls the DAO layer which is implemented in JPA (EclipseLink). I have successfully tested the application with GWT rpc services directly calling the JPA layer. But I am having trouble integrating spring into the mix. (Primary usage of Spring is transaction management). I tried googling, but could not find any good article on the topic. (Most of the articles refers to using Spring MVC within GWT, which is not what I am looking for) Could you please point me to some article/tutorial? Thanks in advance! Manoj

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  • Ruby on Rails Join Table Associations

    - by Eef
    Hey, I have a Ruby on Rails application setup like so: User Model has_and_belongs_to_many :roles Role Model has_many :transactions has_and_belongs_to_many :users Transaction Model belongs_to :role This means that a join table is used called roles_users and it also means that a user can only see the transactions that have been assigned to them through roles, usage example: user = User.find(1) transactions = user.roles.first.transactions This will return the transactions which are associated with the first role assigned to the user. If a user has 2 roles assigned to them, at the moment to get the transactions associated with the second role I would do: transactions = user.roles.last.transactions I am basically trying to figure out a way to setup an association so I can grab the user's transactions via something like this based on the roles defined in the association between the user and roles: user = User.find(1) transactions = user.transactions I am not sure if this is possible? I hope you understand what I am trying to do.

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  • Unable to load the Starteam Dump into SVN

    - by ssarivis
    Hi, I have a dump created from StarTeam 2008 R 2 (10.4.7.-64) using svn importer 1.1-M8. But when I am trying to import the dump its giving me error: * adding path : tags/Test/GH/13_Environment/Process/Capgemini EN Template - Business Case.doc ...svnadmin: File already exists: filesystem 'help\db', transaction '2-2', path 'tags/Test/GH/13_Environment/Process/Capgemini EN Template - Business Case.doc' I can see from the svn admin load o/p that the file has been added already. May be the dump created by SVN Importer is not correct. Can anyone guide me how to solve this ?

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  • How do I know whether an application support OLE2 and which methods & attributes are exposed?

    - by Esti
    I want to call an ActiveX DLL or OLE2 object from ABAP. I already know the syntax of how to instantiate the object & execute the methods: data: my_object type ole2_object. create object my_object <ole2object>. call method of my_object <objectmethod>. But given a particular application, how do I know if this is supported, what the values/names of ole2object and objectmethod is? Transaction SOLE supplies a table of OLE Applications, among this is Excel.Application which I know can be instantiated as an OLE object, so it looks like you have to add the OLE2 app to this table first, but once again where can I read the data like CLSID & LibType from - is it published as part of the application?

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  • SQL - Counting sets of Field-B values for each Field-A value

    - by potrnd
    Hello, First of all sorry that I could not think of a more descriptive title. What I want to do is the following using only SQL: I have some lists of strings, list1, list2 and list3. I have a dataset that contains two interesting columns, A and B. Column A contains a TransactionID and column B contains an ItemID. Naturally, there can be multiple rows that share the same TransactionIDs. I need to catch those transactions that have at least one ItemID in each and every list (list1 AND list2 AND list3). I also need to count how many times does that happen for each transaction. [EDIT] That is, count how many full sets of ItemIDs there are for each TransactionID", "Full Set" being any element of the list1 with any element of the list2 with any element of the list3 I hope that makes enough sense, perhaps I will be able to explain it better with a clear head. Thanks in advance

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