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  • Why might one app connect to SQL backend OK and a second app fail if they share the same connectionstring?

    - by hawbsl
    Trying to figure out a SQL connection error 26 in our app. We've got two closely related apps Foo and FooAddIn. Foo is a Winforms app built in VS2010 and runs fine and connects fine to our SQLExpress back end. FooAddIn is an Outlook AddIn which references Foo.exe and connects to the same SQL Express instance. Or rather, it doesn't connect, instead reporting: A network-related or instance-specific error occurred while establishing a connection to SQL Server. The server was not found or was not accessible. Verify that the instance name is correct and that SQL Server is configured to allow remote connections. (provider: SQL Network Interfaces, error: 26 - Error Locating Server/Instance Specified) Now, both apps share the same connectionstring and we've verified they really do share the same connectionstring. At this stage we're just testing from within the same developer machine, so the apps are on the same machine, going via the same VS2010 IDE. So a lot of the advice online for this error doesn't apply because the fact that Foo connects through to SQL Express tells us the database is there and available and can be reached. What else is there to check? One thing is that Foo and FooAddIn are running different runtime versions of System.Data (v2.0.50727 and v4.0.30319). Could that be a factor?

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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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  • How to SUM columns on multiple conditions in a GROUP BY

    - by David Liddle
    I am trying to return a list of Accounts with their Balances, Outcome and Income Account Transaction ------- ----------- AccountID TransactionID BankName AccountID Locale Amount Status Here is what I currently have. Could someone explain where I am going wrong? select a.ACCOUNT_ID, a.BANK_NAME, a.LOCALE, a.STATUS, sum(t1.AMOUNT) as BALANCE, sum(t2.AMOUNT) as OUTCOME, sum(t3.AMOUNT) as INCOME from ACCOUNT a left join TRANSACTION t1 on t1.ACCOUNT_ID = a.ACCOUNT_ID left join TRANSACTION t2 on t1.ACCOUNT_ID = a.ACCOUNT_ID and t2.AMOUNT < 0 left join TRANSACTION t3 on t3.ACCOUNT_ID = a.ACCOUNT_ID and t3.AMOUNT > 0 group by a.ACCOUNT_ID, a.BANK_NAME, a.LOCALE, a.[STATUS]

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  • How do I put data from multiple records into different columns?

    - by Bryan
    My two tables are titled analyzed and analyzedCopy3. I'm trying to put information from analyzedCopy3 into multiple columns in analyzed. Sample data from analyzedCopy3: readings_miu_id OriginalCol ColRSSIz 110001366 Frederick Road -108 110001366 Steel Street 110001366 Fifth Ave. 110001508 Steel Street -104 What I want to do is put the top 3 OriginalCol, ColRSSIz combinations into columns that I have in the table analyzed. In analyzed there is only one record for each unique readings_miu_id. Any ideas? Thanks in advance. Additional Info: By "top 3 OriginalCol, ColRSSIz combinations" I mean the first 3 combinations with the highest value in the ColRSSIz column. For any readings_miu_id there could be anywhere from 1 row of information to 6 rows of information. So at most I'm only wanting the top 3. If there is less than 3 rows for the readings_miu_id then the other columns need to be blank. Query that generates the table "analyzed": strSql4 = " SELECT readings_miu_id, Count(readings_miu_id) as NumberOfReads, First(PercentSuccessz) as PercentSuccess, First(Readingz)as Reading, First(MIUwindowz) as MIUwindow, First(SNz) as SN, First(Noisez) as Noise, First(RSSIz) as RSSI, First(ColRSSIz) as ColRSSI, First(MIURSSIz) as MIURSSI, First(Col1z) as Col1, First(Col1RSSIz) as Col1RSSI, First(Col2z) as Col2, First(Col2RSSIz) as Col2RSSI, First(Col3z) as Col3, First(Col3RSSIz) as Col3RSSI, First(Firmwarez) as Firmware, First(CFGDatez) as CFGDate, First(FreqCorrz) as FreqCorr, First(Activez) as Active, First(MeterTypez) as MeterType, First(OriginColz) as OriginCol, First(ColIDz) as ColID, First(Ownagez) as Ownage, First(SiteIDz) as SiteID, First(PremIDz) as PremID, First(prem_group1z) as prem_group1, First(prem_group2z) as prem_group2, First(ReadIDz) as ReadID, First(prem_addr1z) as prem_addr1 " & _ "INTO analyzed " & _ "FROM analyzedCopy2 " & _ "GROUP BY readings_miu_id, PremIDz; " DoCmd.SetWarnings False DoCmd.RunSQL strSql4 DoCmd.SetWarnings True

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  • How do I select a random record efficiently in MySQL?

    - by user198729
    mysql> EXPLAIN SELECT * FROM urls ORDER BY RAND() LIMIT 1; +----+-------------+-------+------+---------------+------+---------+------+-------+---------------------------------+ | id | select_type | table | type | possible_keys | key | key_len | ref | rows | Extra | +----+-------------+-------+------+---------------+------+---------+------+-------+---------------------------------+ | 1 | SIMPLE | urls | ALL | NULL | NULL | NULL | NULL | 62228 | Using temporary; Using filesort | +----+-------------+-------+------+---------------+------+---------+------+-------+---------------------------------+ The above doesn't qualify as efficient,how should I do it properly?

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  • Concurrent usage of table causing issues

    - by Sven
    Hello In our current project we are interfacing with a third party data provider. They need to insert data in a table of ours. This inserting can be frequent every 1 min, every 5min, every 30, depends on the amount of new data they need to provide. The use the isolation level read committed. On our end we have an application, windows service, that calls a webservice every 2 minutes to see if there is new data in this table. Our isolation level is repeatable read. We retrieve the records and update a column on these rows. Now the problem is that sometimes this third party provider needs to insert a lot of data, let's say 5000 records. They do this per transaction (5rows per transaction), but they don't close the connection. They do one transaction and then the next untill all records are inserted. This caused issues for our process, we receive a timeout. If this goes on for a long time the database get's completely unstable. For instance, they maybe stopped, but the table somehow still stays unavailable. When I try to do a select on the table, I get several records but at a certain moment I don't get any response anymore. It just says retrieving data but nothing comes anymore until I get a timeout exception. Only solution is to restart the database and then I see the other records. How can we solve this. What is the ideal isolation level setting in this scenario?

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  • Using a trigger to record audit information vs. stored procedure

    - by Germ
    Suppose you have the following... An ASP.NET web application that calls a stored procedure to delete a record. The table has a trigger on it that will insert an audit entry each time a record is deleted. I want to be able to record in the audit entry the username of who deleted the record. What would be the best way to go about achieving this? I know I could remove the trigger and have the delete stored procedure insert the audit entry prior to deleting but are there any other recommeded alternative? If a username was passed as a parameter to the delete stored procedure, is there anyway to get this value in the trigger that's excuted when the record is deleted? I'm just throwing this out there...

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  • Rails 3 fields_for agressive loading?

    - by Seth
    Hi all, I'm trying to optimize (limit) queries in a view. I am using the fields_for function. I need to reference various properties of the object, such as username for display purposes. However, this is a rel table, so I need to join with my users table. The result is N sub-queries, 1 for each field in fields_for. It's difficult to explain, but I think you'll understand what I'm asking if I paste my code: <%= form_for @election do |f| %> <%= f.fields_for :voters do |voter| %> <%= voter.hidden_field :id %> <%= voter.object.user.preferred_name %> <% end %> <% end %> I have like 10,000 users, and many times each election will include all 10,000 users. That's 10,000 subqueries every time this view is loaded. I want fields_for to JOIN on users. Is this possible? I'd like to do something like: ... <%= f.fields_for :voters, :joins => :users do |voter| %> ... <% end %> ... But that, of course, doesn't work :(

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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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  • 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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  • 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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  • Design pattern for data entry forms with LINQ2SQL

    - by petebob796
    I am about to start a new winforms data entry application, it already has the database designed which I am comfortable with. I was going to use LINQ2SQL to access the tables to keep things type safe but am now wondering about design patterns, something I am just getting into. Since LINQ is giving me objects to use should I still create classes in between to hold the validation code and helper methods or should these just go in with the UI? It just seems I will end up with classes sat in between with little code which will cause the UI classes to have code just getting and setting values in the intermediate class and returning from validation to flag errors... Any good reading on this? Should I consider the entity framework (or similar) instead?

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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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  • multi-row update table with "different" data

    - by kralco626
    I think the best way to explain this is to tell you what I have. I have two tables A and B both have columns Field1 and Field2. However Field 2 is not populated in table B I want to populate field 2 of table B with field 2 of table A where field 1 of table A matches field 1 of table B. something like update tableB set Field2 = tableA.field2 where tablea.field1 = tableb.field1. The reason this may seem so odd and obscure is that I'm tyring to do an inital data load form an old database to a new one. please let me know if you need clarification

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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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  • Is this use of PreparedStatements in a Thread in JAVA correct?

    - by Gormcito
    I'm still an undergrad just working part time and so I'm always trying to be aware of better ways to do things. Recently I had to write a program for work where the main thread of the program would spawn "task" threads (for each db "task" record) which would perform some operations and then update the record to say that it has finished. Therefore I needed a database connection object and PreparedStatement objects in or available to the ThreadedTask objects. This is roughly what I ended up writing, is creating a PreparedStatement object per thread a waste? I thought static PreparedStatments could create race conditions... Thread A stmt.setInt(); Thread B stmt.setInt(); Thread A stmt.execute(); Thread B stmt.execute(); A´s version never gets execed.. Is this thread safe? Is creating and destroying PreparedStatement objects that are always the same not a huge waste? public class ThreadedTask implements runnable { private final PreparedStatement taskCompleteStmt; public ThreadedTask() { //... taskCompleteStmt = Main.db.prepareStatement(...); } public run() { //... taskCompleteStmt.executeUpdate(); } } public class Main { public static final db = DriverManager.getConnection(...); }

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  • Regular Expression to parse SQL Structure

    - by user351429
    I am trying to parse the MySQL data types returned by "DESCRIBE [TABLE]". It returns strings like: int(11) float varchar(200) int(11) unsigned float(6,2) I've tried to do the job using regular expressions but it's not working. PHP CODE: $string = "int(11) numeric"; $regex = '/(\w+)\s*(\w+)/'; var_dump( preg_split($regex, $string) );

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  • join select from multiple row values?

    - by user1869132
    Two tables 1) product -------------------- id | Name | price 1 | p1 | 10 2 | p2 | 20 3 | p3 | 30 2) product_attributes: --------------------------------------------------- id | product_id | attribute_name | attribute_value --------------------------------------------------- 1 | 1 | size | 10 2 | 1 | colour | red 3 | 2 | size | 20 I need to join these two tables. In the where clause I need to match both the two rows attribute values. Is it possible to get the result based on two rows value. Here if size=10 and colour=red. Output should be 1 | p1 | 10 It could be greatly helpful to get a query for this.

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  • connecting to mysql from excel: ODBC driver does not support the requested properties.

    - by every_answer_gets_a_point
    i am trying to add data to mysql from excel. i am getting the above error on this line: rs.Open strSQL, oConn, adOpenDynamic, adLockOptimistic here is my code: Dim oConn As ADODB.Connection Private Sub ConnectDB() Set oConn = New ADODB.Connection oConn.Open "DRIVER={MySQL ODBC 5.1 Driver};" & _ "SERVER=localhost;" & _ "DATABASE=employees;" & _ "USER=root;" & _ "PASSWORD=some_pass;" & _ "Option=3" End Sub Function esc(txt As String) esc = Trim(Replace(txt, "'", "\'")) End Function Private Sub InsertData() Dim rs As ADODB.Recordset Set rs = New ADODB.Recordset ConnectDB With wsBooks For rowCursor = 2 To 11 strSQL = "INSERT INTO tutorial (author, title, price) " & _ "VALUES ('" & esc(.Cells(rowCursor, 1)) & "', " & _ "'" & esc(.Cells(rowCursor, 2)) & "', " & _ esc(.Cells(rowCursor, 3)) & ")" rs.Open strSQL, oConn, adOpenDynamic, adLockOptimistic Next End With End Sub whats wrong with rs.Open strSQL, oConn, adOpenDynamic, adLockOptimistic ? why am i getting the odbc error?

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  • Manual Linq to SQL entity framework mapping

    - by kprobst
    I've been playing with the O/R designer in VS and I was wondering if someone could shed come light on this. I'm used to OR mappers that are largely manual (homegrown and e.g., NHibernate). I don't mind encoding the entity classes myself, since they don't change all that often to begin with, and I have this irrational fear of designers and auto generated code as it is. I have noticed that the generated entity classes contain a lot of boilerplate extensibility methods, e.g. On[Property]Changed() and so on where [Property] is a mapped member of the class. These are placed in the setters of the property accessors. I assume it's OK if I don't include these when I do my hand coding, correct? They would be nice if I needed some sort of interception pattern but that's certainly not the case. I guess I just need to know if any of those methods are required by the entity framework to keep track of changes to the mapping types in order for things to work when updating the database. Thanks!

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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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  • How to create a better tables Structure.

    - by user160820
    For my website i have tables Category :: id | name Product :: id | name | categoryid Now each category may have different sizes, for that I have also created a table Size :: id | name | categoryid | price Now the problem is that each category has also different ingredients that customer can choose to add to his purchased product. And these ingredients have different prices for different sizes. For that I also have a table like Ingredient :: id | name | sizeid | categoryid | price I am not sure if this Structure really normalized is. Can someone please help me to optimize this structure and which indexed do i need for this Structure?

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  • read text file line by line and insert/update values in table

    - by I__
    i am exploring the option of whether DoCmd.TransferText will do what i need, and it seems like it wont. i need to insert data if it does not exist and update it if it does exist i am planning to read a text file line by line like this: Dim intFile As Integer Dim strLine As String intFile = FreeFile() Open myFile For Input As #intFile Line Input #intFile, strLine Close #intFile i guess each individual line will be a record. it will probably be comma separated and some fields will have a " text qualifier because within the field itself i will have commas my question is how would i read a comma delimited text file that has double quotes sometimes as text qualifiers into a table in access?

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  • How can i design a DB where the user can define the fields and types of a detail table in a M-D rela

    - by Simon
    My application has one table called 'events' and each event has approx 30 standard fields, but also user defined fields that could be any name or type, in an 'eventdata' table. Users can define these event data tables, by specifying x number of fields (either text/double/datetime/boolean) and the names of these fields. This 'eventdata' (table) can be different for each 'event'. My current approach is to create a lookup table for the definitions. So if i need to query all 'event' and 'eventdata' per record, i do so in a M-D relaitionship using two queries (i.e. select * from events, then for each record in 'events', select * from 'some table'). Is there a better approach to doing this? I have implemented this so far, but most of my queries require two distinct calls to the DB - i cannot simply join my master 'events' table with different 'eventdata' tables for each record in in 'events'. I guess my main question is: can i join my master table with different detail tables for each record? E.g. SELECT E.*, E.Tablename FROM events E LEFT JOIN 'E.tablename' T ON E._ID = T.ID If not, is there a better way to design my database considering i have no idea on how many user defined fields there may be and what type they will be.

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