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  • How I can Optimize this mySQL transaction within java code?

    - by worldpython
    Dear All, I am new to MySql database. I've large table(ID,...). I select ID frequently with java code and.And that make a heavy load on transaction select from tableName where ID=someID notes: 1.Database could be 100,000 records 2.I can't cache result 3.ID is a primary key 4.I try to optimize time needed to return result from query. Any ideas for optimization ? thanks in advance

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  • Inbreeding-immune database structure

    - by Nick Savage
    I have an application that requires a "simple" family tree. I would like to be able to perform queries that will give me data for an entire family given one id from a member in the family. I say simple because it does not need to take into account adoption or any other obscurities. The requirements for the application are as follows: Any two people will not be able to breed if they're from the same genetic line Needs to allow for the addition of new family lines (new people with no previous family) Need to be able to pull siblings, parents separately through queries I'm having trouble coming up with the proper structure for the database. So far I've come up with two solutions but they're not very reliable and will probably get out of hand quite quickly. Solution 1 involves placing a family_ids field on the people table and storing a list of unique family ids. Each time two people breed the lists are checked against each other to make sure no ids match and if everything checks out will merge the two lists and set that as the child's family_ids field. Example: Father (family_ids: (null)) breeds with Mother (family_ids: (213, 519)) -> Child (family_ids: (213, 519)) breeds with Random Person (family_ids: (813, 712, 122, 767)) -> Grandchild (family_ids: (213, 519, 813, 712, 122, 767)) And so on and so forth... The problem I see with this is the lists becoming unreasonably large as time goes on. Solution 2 uses cakephp's associations to declare: public $belongsTo = array( 'Father' => array( 'className' => 'User', 'foreignKey' => 'father_id' ), 'Mother' => array( 'className' => 'User', 'foreignKey' => 'mother_id' ) ); Now setting recursive to 2 will fetch the results of the mother and father, along with their mother and father, and so on and so forth all the way down the line. The problem with this route is that the data is in nested arrays and I'm unsure of how to efficiently work through the code. If anyone would be able to steer me in the direction of the most efficient way to handle what I want to achieve that would be tremendously helpful. Any and all help is greatly appreciated and I'll gladly answer any questions anyone has. Thanks a lot.

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  • Help Desk Database Design

    - by user237244
    The company I work at has very specific and unique needs for a help desk system, so none of the open source systems will work for us. That being the case, I created a custom system using PHP and MySQL. It's far from perfect, but it's infinitely better than the last system they were using; trust me! It meets most of our needs quite nicely, but I have a question about the way I have the database set up. Here are the main tables: ClosedTickets ClosedTicketSolutions Locations OpenTickets OpenTicketSolutions Statuses Technicians When a user submits a help request, it goes in the "OpenTickets" table. As the technicians work on the problem, they submit entries with a description of what they've done. These entries go in the "OpenTicketSolutions" table. When the problem has been resolved, the last technician to work on the problem closes the ticket and it gets moved to the "ClosedTickets" table. All of the solution entries get moved to the "ClosedTicketSolutions" table as well. The other tables (Locations, Statuses, and Technicians) exist as a means of normalization (each location, status, and technician has an ID which is referenced). The problem I'm having now is this: When I want to view a list of all the open tickets, the SQL statement is somewhat complicated because I have to left join the "Locations", "Statuses", and "Technicians" tables. Fields from various tables need to be searchable as well. Check out how complicated the SQL statement is to search closed tickets for tickets submitted by anybody with a first name containing "John": SELECT ClosedTickets.*, date_format(ClosedTickets.EntryDate, '%c/%e/%y %l:%i %p') AS Formatted_Date, date_format(ClosedDate, '%c/%e/%y %l:%i %p') AS Formatted_ClosedDate, Concat(Technicians.LastName, ', ', Technicians.FirstName) AS TechFullName, Locations.LocationName, date_format(ClosedTicketSolutions.EntryDate, '%c/%e/%y') AS Formatted_Solution_EntryDate, ClosedTicketSolutions.HoursSpent AS SolutionHoursSpent, ClosedTicketSolutions.Tech_ID AS SolutionTech_ID, ClosedTicketSolutions.EntryText FROM ClosedTickets LEFT JOIN Technicians ON ClosedTickets.Tech_ID = Technicians.Tech_ID LEFT JOIN Locations ON ClosedTickets.Location_ID = Locations.Location_ID LEFT JOIN ClosedTicketSolutions ON ClosedTickets.TicketNum = ClosedTicketSolutions.TicketNum WHERE (ClosedTickets.FirstName LIKE '%John%') ORDER BY ClosedDate Desc, ClosedTicketSolutions.EntryDate, ClosedTicketSolutions.Entry_ID One thing that I'm not able to do right now is search both open and closed tickets at the same time. I don't think a union would work in my case. So I'm wondering if I should store the open and closed tickets in the same table and just have a field indicating whether or not the ticket is closed. The only problem I can forsee is that we have so many closed tickets already (nearly 30,000) so the whole system might perform slowly. Would it be a bad idea to combine the open and closed tickets?

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  • SQLAuthority News – MS Access Database is the Way to Go – April 1st Humor

    - by pinaldave
    First of all, today is April 1- April Fool’s Day, so I have written this post for some light entertainment. My friend has just sent me an email about why a person should go for Access Database. For a short background, I used to be an MS Access user once (I will not call myself MS Access DBA), and I must say I had a good time with Database at that time. As time passed by, I moved from MS Access to SQL Server. Well, as for my friend’s email, his reasons considering MS Access usage really made me laugh. MS Access may have a few points where it totally makes sense to use it. However, in the email that I received, there was not a single reason which was valid.  In fact, I thought it is an April 1st joke- just delivered a little earlier. Let us see some of the reasons from that email. Thanks to Mahesh Bhesania for sending this email to me. MS Access comes with lots of free stuff, e.g. MS Excel MS Access is the most preferred desktop database system MS Access can import data from MS Excel and SQL Server MS Access provides a real time database MS Access has a free IDE-to-VB Script MS Access fits well in your hard drive I actually think that the above points are either incorrect beliefs of some users, or someone just wrote them to give some laughter with such inaccurate data. And, for the same reason I decided to browse the Internet and do some research on MS Access database to verify my thoughts. While searching on this subject, I found the following two interesting statements from the site: Microsoft Access Database, Why Choose It? Other software manufacturers are more likely to provide interfaces to MS Access than any other desktop database system Microsoft Access consulting rates are typically lower for Access consultants compared to Oracle or SQL Server consultants The second one is may be the worst reason for you to switch to MS Access if you are already an SQL Server consultant. With this cartoon, have you ever felt like you were one of these chickens at some point in time? I guess that the moment might have just happened before the minute we say “I guess we were on the same page?” Does this mean we are IN the same table, or ON the same table?! (I accept bad joke!) It is All Fools’ Day after all, so just laugh! If you have something funny but non-offensive to share, just  leave your comment here. Reference: Pinal Dave (http://blog.SQLAuthority.com), Cartoon source unknown. Filed under: Software Development, SQL, SQL Authority, SQL Humor, SQL Query, SQL Server, SQL Tips and Tricks, SQLAuthority News, T SQL, Technology Tagged: MS ACCESS

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  • LLBLGen Pro v3.1 released!

    - by FransBouma
    Yesterday we released LLBLGen Pro v3.1! Version 3.1 comes with new features and enhancements, which I'll describe briefly below. v3.1 is a free upgrade for v3.x licensees. What's new / changed? Designer Extensible Import system. An extensible import system has been added to the designer to import project data from external sources. Importers are plug-ins which import project meta-data (like entity definitions, mappings and relational model data) from an external source into the loaded project. In v3.1, an importer plug-in for importing project elements from existing LLBLGen Pro v3.x project files has been included. You can use this importer to create source projects from which you import parts of models to build your actual project with. Model-only relationships. In v3.1, relationships of the type 1:1, m:1 and 1:n can be marked as model-only. A model-only relationship isn't required to have a backing foreign key constraint in the relational model data. They're ideal for projects which have to work with relational databases where changes can't always be made or some relationships can't be added to (e.g. the ones which are important for the entity model, but are not allowed to be added to the relational model for some reason). Custom field ordering. Although fields in an entity definition don't really have an ordering, it can be important for some situations to have the entity fields in a given order, e.g. when you use compound primary keys. Field ordering can be defined using a pop-up dialog which can be opened through various ways, e.g. inside the project explorer, model view and entity editor. It can also be set automatically during refreshes based on new settings. Command line relational model data refresher tool, CliRefresher.exe. The command line refresh tool shipped with v2.6 is now available for v3.1 as well Navigation enhancements in various designer elements. It's now easier to find elements like entities, typed views etc. in the project explorer from editors, to navigate to related entities in the project explorer by right clicking a relationship, navigate to the super-type in the project explorer when right-clicking an entity and navigate to the sub-type in the project explorer when right-clicking a sub-type node in the project explorer. Minor visual enhancements / tweaks LLBLGen Pro Runtime Framework Entity creation is now up to 30% faster and takes 5% less memory. Creating an entity object has been optimized further by tweaks inside the framework to make instantiating an entity object up to 30% faster. It now also takes up to 5% less memory than in v3.0 Prefetch Path node merging is now up to 20-25% faster. Setting entity references required the creation of a new relationship object. As this relationship object is always used internally it could be cached (as it's used for syncing only). This increases performance by 20-25% in the merging functionality. Entity fetches are now up to 20% faster. A large number of tweaks have been applied to make entity fetches up to 20% faster than in v3.0. Full WCF RIA support. It's now possible to use your LLBLGen Pro runtime framework powered domain layer in a WCF RIA application using the VS.NET tools for WCF RIA services. WCF RIA services is a Microsoft technology for .NET 4 and typically used within silverlight applications. SQL Server DQE compatibility level is now per instance. (Usable in Adapter). It's now possible to set the compatibility level of the SQL Server Dynamic Query Engine (DQE) per instance of the DQE instead of the global setting it was before. The global setting is still available and is used as the default value for the compatibility level per-instance. You can use this to switch between CE Desktop and normal SQL Server compatibility per DataAccessAdapter instance. Support for COUNT_BIG aggregate function (SQL Server specific). The aggregate function COUNT_BIG has been added to the list of available aggregate functions to be used in the framework. Minor changes / tweaks I'm especially pleased with the import system, as that makes working with entity models a lot easier. The import system lets you import from another LLBLGen Pro v3 project any entity definition, mapping and / or meta-data like table definitions. This way you can build repository projects where you store model fragments, e.g. the building blocks for a customer-order system, a user credential model etc., any model you can think of. In most projects, you'll recognize that some parts of your new model look familiar. In these cases it would have been easier if you would have been able to import these parts from projects you had pre-created. With LLBLGen Pro v3.1 you can. For example, say you have an Oracle schema called CRM which contains the bread 'n' butter customer-order-product kind of model. You create an entity model from that schema and save it in a project file. Now you start working on another project for another customer and you have to use SQL Server. You also start using model-first development, so develop the entity model from scratch as there's no existing database. As this customer also requires some CRM like entity model, you import the entities from your saved Oracle project into this new SQL Server targeting project. Because you don't work with Oracle this time, you don't import the relational meta-data, just the entities, their relationships and possibly their inheritance hierarchies, if any. As they're now entities in your project you can change them a bit to match the new customer's requirements. This can save you a lot of time, because you can re-use pre-fab model fragments for new projects. In the example above there are no tables yet (as you work model first) so using the forward mapping capabilities of LLBLGen Pro v3 creates the tables, PK constraints, Unique Constraints and FK constraints for you. This way you can build a nice repository of model fragments which you can re-use in new projects.

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  • SQL SERVER – Guest Post – Architecting Data Warehouse – Niraj Bhatt

    - by pinaldave
    Niraj Bhatt works as an Enterprise Architect for a Fortune 500 company and has an innate passion for building / studying software systems. He is a top rated speaker at various technical forums including Tech·Ed, MCT Summit, Developer Summit, and Virtual Tech Days, among others. Having run a successful startup for four years Niraj enjoys working on – IT innovations that can impact an enterprise bottom line, streamlining IT budgets through IT consolidation, architecture and integration of systems, performance tuning, and review of enterprise applications. He has received Microsoft MVP award for ASP.NET, Connected Systems and most recently on Windows Azure. When he is away from his laptop, you will find him taking deep dives in automobiles, pottery, rafting, photography, cooking and financial statements though not necessarily in that order. He is also a manager/speaker at BDOTNET, Asia’s largest .NET user group. Here is the guest post by Niraj Bhatt. As data in your applications grows it’s the database that usually becomes a bottleneck. It’s hard to scale a relational DB and the preferred approach for large scale applications is to create separate databases for writes and reads. These databases are referred as transactional database and reporting database. Though there are tools / techniques which can allow you to create snapshot of your transactional database for reporting purpose, sometimes they don’t quite fit the reporting requirements of an enterprise. These requirements typically are data analytics, effective schema (for an Information worker to self-service herself), historical data, better performance (flat data, no joins) etc. This is where a need for data warehouse or an OLAP system arises. A Key point to remember is a data warehouse is mostly a relational database. It’s built on top of same concepts like Tables, Rows, Columns, Primary keys, Foreign Keys, etc. Before we talk about how data warehouses are typically structured let’s understand key components that can create a data flow between OLTP systems and OLAP systems. There are 3 major areas to it: a) OLTP system should be capable of tracking its changes as all these changes should go back to data warehouse for historical recording. For e.g. if an OLTP transaction moves a customer from silver to gold category, OLTP system needs to ensure that this change is tracked and send to data warehouse for reporting purpose. A report in context could be how many customers divided by geographies moved from sliver to gold category. In data warehouse terminology this process is called Change Data Capture. There are quite a few systems that leverage database triggers to move these changes to corresponding tracking tables. There are also out of box features provided by some databases e.g. SQL Server 2008 offers Change Data Capture and Change Tracking for addressing such requirements. b) After we make the OLTP system capable of tracking its changes we need to provision a batch process that can run periodically and takes these changes from OLTP system and dump them into data warehouse. There are many tools out there that can help you fill this gap – SQL Server Integration Services happens to be one of them. c) So we have an OLTP system that knows how to track its changes, we have jobs that run periodically to move these changes to warehouse. The question though remains is how warehouse will record these changes? This structural change in data warehouse arena is often covered under something called Slowly Changing Dimension (SCD). While we will talk about dimensions in a while, SCD can be applied to pure relational tables too. SCD enables a database structure to capture historical data. This would create multiple records for a given entity in relational database and data warehouses prefer having their own primary key, often known as surrogate key. As I mentioned a data warehouse is just a relational database but industry often attributes a specific schema style to data warehouses. These styles are Star Schema or Snowflake Schema. The motivation behind these styles is to create a flat database structure (as opposed to normalized one), which is easy to understand / use, easy to query and easy to slice / dice. Star schema is a database structure made up of dimensions and facts. Facts are generally the numbers (sales, quantity, etc.) that you want to slice and dice. Fact tables have these numbers and have references (foreign keys) to set of tables that provide context around those facts. E.g. if you have recorded 10,000 USD as sales that number would go in a sales fact table and could have foreign keys attached to it that refers to the sales agent responsible for sale and to time table which contains the dates between which that sale was made. These agent and time tables are called dimensions which provide context to the numbers stored in fact tables. This schema structure of fact being at center surrounded by dimensions is called Star schema. A similar structure with difference of dimension tables being normalized is called a Snowflake schema. This relational structure of facts and dimensions serves as an input for another analysis structure called Cube. Though physically Cube is a special structure supported by commercial databases like SQL Server Analysis Services, logically it’s a multidimensional structure where dimensions define the sides of cube and facts define the content. Facts are often called as Measures inside a cube. Dimensions often tend to form a hierarchy. E.g. Product may be broken into categories and categories in turn to individual items. Category and Items are often referred as Levels and their constituents as Members with their overall structure called as Hierarchy. Measures are rolled up as per dimensional hierarchy. These rolled up measures are called Aggregates. Now this may seem like an overwhelming vocabulary to deal with but don’t worry it will sink in as you start working with Cubes and others. Let’s see few other terms that we would run into while talking about data warehouses. ODS or an Operational Data Store is a frequently misused term. There would be few users in your organization that want to report on most current data and can’t afford to miss a single transaction for their report. Then there is another set of users that typically don’t care how current the data is. Mostly senior level executives who are interesting in trending, mining, forecasting, strategizing, etc. don’t care for that one specific transaction. This is where an ODS can come in handy. ODS can use the same star schema and the OLAP cubes we saw earlier. The only difference is that the data inside an ODS would be short lived, i.e. for few months and ODS would sync with OLTP system every few minutes. Data warehouse can periodically sync with ODS either daily or weekly depending on business drivers. Data marts are another frequently talked about topic in data warehousing. They are subject-specific data warehouse. Data warehouses that try to span over an enterprise are normally too big to scope, build, manage, track, etc. Hence they are often scaled down to something called Data mart that supports a specific segment of business like sales, marketing, or support. Data marts too, are often designed using star schema model discussed earlier. Industry is divided when it comes to use of data marts. Some experts prefer having data marts along with a central data warehouse. Data warehouse here acts as information staging and distribution hub with spokes being data marts connected via data feeds serving summarized data. Others eliminate the need for a centralized data warehouse citing that most users want to report on detailed data. Reference: Pinal Dave (http://blog.SQLAuthority.com) Filed under: Best Practices, Business Intelligence, Data Warehousing, Database, Pinal Dave, PostADay, Readers Contribution, SQL, SQL Authority, SQL Query, SQL Server, SQL Tips and Tricks, T SQL, Technology

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  • Perfect Your MySQL Database Administrators Skills

    - by Antoinette O'Sullivan
    With its proven ease-of-use, performance, and scalability, MySQL has become the leading database choice for web-based applications, used by high profile web properties including Google, Yahoo!, Facebook, YouTube, Wikipedia and thousands of mid-sized companies. Many organizations deploy both Oracle Database and MySQL side by side to serve different needs, and as a database professional you can find training courses on both topics at Oracle University! Check out the upcoming Oracle Database training courses and MySQL training courses. Even if you're only managing Oracle Databases at this point of time, getting familiar with MySQL Database will broaden your career path with growing job demand. Hone your skills as a MySQL Database Administrator by taking the MySQL for Database Administrators course which teaches you how to secure privileges, set resource limitations, access controls and describe backup and recovery basics. You also learn how to create and use stored procedures, triggers and views. You can take this 5 day course through three delivery methods: Training-on-Demand: Take this course at your own pace and at a time that suits you through this high-quality streaming video delivery. You also get to schedule time on a classroom environment to perform the hands-on exercises. Live-Virtual: Attend a live instructor led event from your own desk. 100s of events already of the calendar in many timezones. In-Class: Travel to an education center to attend this class. A sample of events is shown below:  Location  Date  Delivery Language  Budapest, Hungary  26 November 2012  Hungarian  Prague, Czech Republic  19 November 2012  Czech  Warsaw, Poland  10 December 2012  Polish  Belfast, Northern Ireland  26 November, 2012  English  London, England  26 November, 2012  English  Rome, Italy  19 November, 2012  Italian  Lisbon, Portugal  12 November, 2012  European Portugese  Porto, Portugal  21 January, 2013  European Portugese  Amsterdam, Netherlands  19 November, 2012  Dutch  Nieuwegein, Netherlands  8 April, 2013  Dutch  Barcelona, Spain  4 February, 2013  Spanish  Madrid, Spain  19 November, 2012  Spanish  Mechelen, Belgium  25 February, 2013  English  Windhof, Luxembourg  19 November, 2012  English  Johannesburg, South Africa  9 December, 2012  English  Cairo, Egypt  20 October, 2012  English  Nairobi, Kenya  26 November, 2012  English  Petaling Jaya, Malaysia  29 October, 2012  English  Auckland, New Zealand  5 November, 2012  English  Wellington, New Zealand  23 October, 2012  English  Brisbane, Australia  19 November, 2012  English  Edmonton, Canada  7 January, 2013  English  Vancouver, Canada  7 January, 2013  English  Ottawa, Canada  22 October, 2012  English  Toronto, Canada  22 October, 2012  English  Montreal, Canada  22 October, 2012  English  Mexico City, Mexico  10 December, 2012  Spanish  Sao Paulo, Brazil  10 December, 2012  Brazilian Portugese For more information on this course or any aspect of the MySQL curriculum, visit http://oracle.com/education/mysql.

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  • But what version is the database now?

    - by BuckWoody
    When you upgrade your system to SQL Server 2008 R2, you’ll know that the instance is at that version by using the standard commands like SELECT @@VERSION or EXEC xp_msver. My system came back with this info when I typed those: Microsoft SQL Server 2008 R2 (RTM) - 10.50.1600.1 (Intel X86)   Apr  2 2010 15:53:02   Copyright (c) Microsoft Corporation  Developer Edition on Windows NT 6.0 <X86> (Build 6002: Service Pack 2) (Hypervisor) Index Name Internal_Value Character_Value 1 ProductName NULL Microsoft SQL Server 2 ProductVersion 655410 10.50.1600.1 3 Language 1033 English (United States) 4 Platform NULL NT INTEL X86 5 Comments NULL SQL 6 CompanyName NULL Microsoft Corporation 7 FileDescription NULL SQL Server Windows NT 8 FileVersion NULL 2009.0100.1600.01 ((KJ_RTM).100402-1540 ) 9 InternalName NULL SQLSERVR 10 LegalCopyright NULL Microsoft Corp. All rights reserved. 11 LegalTrademarks NULL Microsoft SQL Server is a registered trademark of Microsoft Corporation. 12 OriginalFilename NULL SQLSERVR.EXE 13 PrivateBuild NULL NULL 14 SpecialBuild 104857601 NULL 15 WindowsVersion 393347078 6.0 (6002) 16 ProcessorCount 1 1 17 ProcessorActiveMask 1 1 18 ProcessorType 586 PROCESSOR_INTEL_PENTIUM 19 PhysicalMemory 2047 2047 (2146934784) 20 Product ID NULL NULL   But a database properties are separate from the Instance. After an upgrade, you always want to make sure that the compatibility options (which have much to do with how NULLs and other objects are treated) is at what you expect. For the most part, as long as the application can handle it, I set my compatibility levels to the latest version. For SQL Server 2008, that was “10.0” or “10”. You can do this with the ALTER DATABASE command or you can just right-click the database and select “Properties” and then “Database Options” in SQL Server Management Studio. To check the database compatibility level, I use this query: SELECT name, cmptlevel FROM sys.sysdatabases When I did that this morning I saw that the databases (all of them) were at 10.0 – not 10.5 like the Instance. That’s expected – we didn’t revise the database format up with the Instance for this particular release. Didn’t want to catch you by surprise on that. While your databases should be at the “proper” level for your situation, you can’t rely on the compatibility level to indicate the Instance level. More info on the ALTER DATABASE command in SQL Server 2008 R2 is here: http://technet.microsoft.com/en-us/library/bb510680(SQL.105).aspx Share this post: email it! | bookmark it! | digg it! | reddit! | kick it! | live it!

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  • Advantage database throws an exception when attempting to delete a record with a like statement used

    - by ChrisR
    The code below shows that a record is deleted when the sql statement is: select * from test where qty between 50 and 59 but the sql statement: select * from test where partno like 'PART/005%' throws the exception: Advantage.Data.Provider.AdsException: Error 5072: Action requires read-write access to the table How can you reliably delete a record with a where clause applied? Note: I'm using Advantage Database v9.10.1.9, VS2008, .Net Framework 3.5 and WinXP 32 bit using System.IO; using Advantage.Data.Provider; using AdvantageClientEngine; using NUnit.Framework; namespace NetworkEidetics.Core.Tests.Dbf { [TestFixture] public class AdvantageDatabaseTests { private const string DefaultConnectionString = @"data source={0};ServerType=local;TableType=ADS_CDX;LockMode=COMPATIBLE;TrimTrailingSpaces=TRUE;ShowDeleted=FALSE"; private const string TestFilesDirectory = "./TestFiles"; [SetUp] public void Setup() { const string createSql = @"CREATE TABLE [{0}] (ITEM_NO char(4), PARTNO char(20), QTY numeric(6,0), QUOTE numeric(12,4)) "; const string insertSql = @"INSERT INTO [{0}] (ITEM_NO, PARTNO, QTY, QUOTE) VALUES('{1}', '{2}', {3}, {4})"; const string filename = "test.dbf"; var connectionString = string.Format(DefaultConnectionString, TestFilesDirectory); using (var connection = new AdsConnection(connectionString)) { connection.Open(); using (var transaction = connection.BeginTransaction()) { using (var command = connection.CreateCommand()) { command.CommandText = string.Format(createSql, filename); command.Transaction = transaction; command.ExecuteNonQuery(); } transaction.Commit(); } using (var transaction = connection.BeginTransaction()) { for (var i = 0; i < 1000; ++i) { using (var command = connection.CreateCommand()) { var itemNo = string.Format("{0}", i); var partNumber = string.Format("PART/{0:d4}", i); var quantity = i; var quote = i * 10; command.CommandText = string.Format(insertSql, filename, itemNo, partNumber, quantity, quote); command.Transaction = transaction; command.ExecuteNonQuery(); } } transaction.Commit(); } connection.Close(); } } [TearDown] public void TearDown() { File.Delete("./TestFiles/test.dbf"); } [Test] public void CanDeleteRecord() { const string sqlStatement = @"select * from test"; Assert.AreEqual(1000, GetRecordCount(sqlStatement)); DeleteRecord(sqlStatement, 3); Assert.AreEqual(999, GetRecordCount(sqlStatement)); } [Test] public void CanDeleteRecordBetween() { const string sqlStatement = @"select * from test where qty between 50 and 59"; Assert.AreEqual(10, GetRecordCount(sqlStatement)); DeleteRecord(sqlStatement, 3); Assert.AreEqual(9, GetRecordCount(sqlStatement)); } [Test] public void CanDeleteRecordWithLike() { const string sqlStatement = @"select * from test where partno like 'PART/005%'"; Assert.AreEqual(10, GetRecordCount(sqlStatement)); DeleteRecord(sqlStatement, 3); Assert.AreEqual(9, GetRecordCount(sqlStatement)); } public int GetRecordCount(string sqlStatement) { var connectionString = string.Format(DefaultConnectionString, TestFilesDirectory); using (var connection = new AdsConnection(connectionString)) { connection.Open(); using (var command = connection.CreateCommand()) { command.CommandText = sqlStatement; var reader = command.ExecuteExtendedReader(); return reader.GetRecordCount(AdsExtendedReader.FilterOption.RespectFilters); } } } public void DeleteRecord(string sqlStatement, int rowIndex) { var connectionString = string.Format(DefaultConnectionString, TestFilesDirectory); using (var connection = new AdsConnection(connectionString)) { connection.Open(); using (var command = connection.CreateCommand()) { command.CommandText = sqlStatement; var reader = command.ExecuteExtendedReader(); reader.GotoBOF(); reader.Read(); if (rowIndex != 0) { ACE.AdsSkip(reader.AdsActiveHandle, rowIndex); } reader.DeleteRecord(); } connection.Close(); } } } }

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  • The World of SQL Database Deployment

    - by GGBlogger
    In my early development days, I used Microsoft Access for building databases. It made things easy since I only needed to package the database with the installation package so my clients would have access to it. When we began the development of a new package in Visual Studio .NET I decided to use SQL Server Express. It was free and provided good tools - also free. I thought it was a tremendous idea until it came time to distribute our new software! What a surprise. The nightmare Ah, the choices! Detach the database and have the client reattach it to a newly installed – oh wait. FIRST my new client needs to download and install SQL Server Express with SQL Server Management Studio. That’s not a great thing, but it is one more nightmare step for users who may have other versions of SQL installed. Then the question became – do we detach and reattach or do we do a backup. It was too late (bad planning) to revert to Microsoft Access but we badly needed a simple way to package and distribute both the database AND sample contents. Red Gate to the rescue It took me a while to find an answer but I did find it in a package called SQL Packager sold by a relatively unpublicized company in England called Red Gate. They call their products “ingeniously simple” and I must agree with that description. With SQL Packager you point to the database (more in a minute) you want to distribute. A few mouse clicks and dialogs and you have an executable file that you can ship virtually anywhere and virtually any way which, when run, installs the database on your destination SQL Server instance! It really is that simple. Easier to show than tell Let’s explore a hypothetical case. Let’s say you have a local SQL database of customers and you have decided you want to share it with your subsidiaries or partners. Here is the underlying screen you will see on starting SQL Packager. There are a bunch of possibilities here but I’m going to keep this relatively simple. At this point I simply want to illustrate the simplicity of generating an executable to deliver your database. You will notice that you can set up a new package, edit an existing package or change a bunch of options. Start SQL packager And the following is the default dialog you get on startup. In the next dialog, I’ve selected the Server and Database. I’ve also selected Windows Authentication. Pressing Next causes SQL Packager to run a number of checks and produce a report. Now you’re given a comprehensive list of what is going to be packaged and you’re allowed to change it if you desire. I’ve never made any changes here so I can’t really make any suggestions. The just illustrates the comprehensive nature of so many Red Gate products including this one. Clicking Next gives you still further options. SQL Packager then works its magic and shows you a dialog with the results. Packager then gives you a dialog of the scripts it has generated. The capture above only shows 1 of 4 tabs. Finally pressing Next gives you the option to generate a .NET executable of a C# project. I’ve only generated an executable so I’m not in a position to tell you what the C# project looks like. That may be the subject of further discussions. You can rename the package and tell SQL Packager where to save it. I’ve skipped a lot but this will serve to illustrate the comprehensive (and ingenious) things Red Gate does. All in all, it’s a superb way to distribute populated SQL databases. Oh – we’ll save running the resulting executable for later also but believe me it’s insanely simple.

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  • Creating an object relational schema from a Class diagram

    - by Caylem
    Hi Ladies and Gents. I'd like some help converting the following UML diagram: UML Diagram The diagram shows 4 classes and is related to a Loyalty card scheme for an imaginary supermarket. I'd like to create an object relational data base schema from it for use with Oracle 10g/11g. Not sure where to begin, if somebody could give me a head start that would be great. Looking for actually starting the schema, show abstraction, constraints, types(subtypes, supertypes) methods and functions. Note: I'm not looking for anyone to make any comments regarding the actual classes and whether changes should be made to the Diagram, just the schema. Thanks

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  • Reading data from database and binding them to custom ListView

    - by N.K.
    I try to read data from a database i have made and to show some of the data in a row at a custom ListView. I can not understand what is my mistake. This is my code: public class EsodaMainActivity extends Activity { public static final String ROW_ID = "row_id"; //Intent extra key private ListView esodaListView; // the ListActivitys ListView private SimpleCursorAdapter esodaAdapter; // adapter for ListView DatabaseConnector databaseConnector = new DatabaseConnector(EsodaMainActivity.this); // called when the activity is first created @Override public void onCreate(Bundle savedInstanceState) { super.onCreate(savedInstanceState); setContentView(R.layout.activity_esoda_main); esodaListView = (ListView)findViewById(R.id.esodaList); esodaListView.setOnItemClickListener(viewEsodaListener); databaseConnector.open(); //Cursor cursor= databaseConnector.query("esoda", new String[] // {"name", "amount"}, null,null,null); Cursor cursor=databaseConnector.getAllEsoda(); startManagingCursor(cursor); // map each esoda to a TextView in the ListView layout // The desired columns to be bound String[] from = new String[] {"name","amount"}; // built an String array named "from" //The XML defined views which the data will be bound to int[] to = new int[] { R.id.esodaTextView, R.id.amountTextView}; // built an int array named "to" // EsodaMainActivity.this = The context in which the ListView is running // R.layout.esoda_list_item = Id of the layout that is used to display each item in ListView // null = // from = String array containing the column names to display // to = Int array containing the column names to display esodaAdapter = new SimpleCursorAdapter (this, R.layout.esoda_list_item, cursor, from, to); esodaListView.setAdapter(esodaAdapter); // set esodaView's adapter } // end of onCreate method @Override protected void onResume() { super.onResume(); // call super's onResume method // create new GetEsodaTask and execute it // GetEsodaTask is an AsyncTask object new GetEsodaTask().execute((Object[]) null); } // end of onResume method // onStop method is executed when the Activity is no longer visible to the user @Override protected void onStop() { Cursor cursor= esodaAdapter.getCursor(); // gets current cursor from esodaAdapter if (cursor != null) cursor.deactivate(); // deactivate cursor esodaAdapter.changeCursor(null); // adapter now has no cursor (removes the cursor from the CursorAdapter) super.onStop(); } // end of onStop method // this class performs db query outside the GUI private class GetEsodaTask extends AsyncTask<Object, Object, Cursor> { // we create a new DatabaseConnector obj // EsodaMainActivity.this = Context DatabaseConnector databaseConnector = new DatabaseConnector(EsodaMainActivity.this); // perform the db access @Override protected Cursor doInBackground(Object... params) { databaseConnector.open(); // get a cursor containing call esoda return databaseConnector.getAllEsoda(); // the cursor returned by getAllContacts() is passed to method onPostExecute() } // end of doInBackground method // here we use the cursor returned from the doInBackground() method @Override protected void onPostExecute(Cursor result) { esodaAdapter.changeCursor(result); // set the adapter's Cursor databaseConnector.close(); } // end of onPostExecute() method } // end of GetEsodaTask class // creates the Activity's menu from a menu resource XML file @Override public boolean onCreateOptionsMenu(Menu menu) { super.onCreateOptionsMenu(menu); MenuInflater inflater = getMenuInflater(); inflater.inflate(R.menu.esoda_menu, menu); // inflates(eµf?s?) esodamainactivity_menu.xml to the Options menu return true; } // end of onCreateOptionsMenu() method //handles choice from options menu - is executed when the user touches a MenuItem @Override public boolean onOptionsItemSelected(MenuItem item) { // creates a new Intent to launch the AddEditEsoda Activity // EsodaMainActivity.this = Context from which the Activity will be launched // AddEditEsoda.class = target Activity Intent addNewEsoda = new Intent(EsodaMainActivity.this, AddEditEsoda.class); startActivity(addNewEsoda); return super.onOptionsItemSelected(item); } // end of method onPtionsItemSelected() // event listener that responds to the user touching a esoda's name in the ListView OnItemClickListener viewEsodaListener = new OnItemClickListener() { @Override public void onItemClick(AdapterView<?> arg0, View arg1, int arg2, long arg3) { // create an intent to launch the ViewEsoda Activity Intent viewEsoda = new Intent(EsodaMainActivity.this, ViewEsoda.class); // pass the selected esoda's row ID as an extra with the Intent viewEsoda.putExtra(ROW_ID, arg3); startActivity(viewEsoda); // start viewEsoda.class Activity } // end of onItemClick() method }; // end of viewEsodaListener } // end of EsodaMainActivity class The statement: Cursor cursor=databaseConnector.getAllEsoda(); queries all data (columns) From the data I want to show at my custom ListView 2 of them: "name" and "amount". But I still get a debugger error. Please help.

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  • Import de-normalized relational data from Excel into SQL Server

    - by roryf
    I need to import data from an Excel spreadsheet into SQL Server, but the data isn't in a relational/normalized format so the import wizard isn't going to cut it (as far as I know). The data is in this format: Category SubCategory Name Description Category#1 SubCategory#1 Product#1 Description#1 Category#1 SubCategory#1 Product#2 Description#2 Category#1 SubCategory#2 Product#3 Description#3 Category#1 SubCategory#2 Product#4 Description#4 Category#2 SubCategory#3 Product#5 Description#5 (apologies I'm lacking the inventiveness to come up with 'real' data at this time in the morning...) Each row contains a unique product, but the cateogry structure is duplicated. I want to import this data into three tables: Category SubCategory Product (I know SubCategory should really be contained within Category, DB was not my design) I need a way to import unique rows based on the Category and then SubCategory columns, and then when importing the other columns into Product, obtain a reference to the SubCategory based on name. Short of scripting this, is there any way to do it using the import wizard or some other tool?

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  • Unique constraint on more than 10 columns

    - by tk
    I have a time-series simulation model which has more than 10 input variables. The number of distinct simulation instances would be more than 1 million, and each simulation instance generates a few output rows every day. To save the simulation result in a relational database, i designed tables like this. Table SimulationModel { simul_id : integer (primary key), input0 : string or numeric, input1 : string or numeric, ...} Table SimulationOutput { dt : DateTime (primary key), simul_id : integer (primary key), output0 : numeric, ...} My question is, is it fine to put an unique constraint on all of the input columns of SimulationModel table? If it is not a good idea, then what kind of other options do i have to make sure each model is unique?

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  • MSSQL: Copying data from one database to another

    - by DigiMortal
    I have database that has data imported from another server using import and export wizard of SQL Server Management Studio. There is also empty database with same tables but it also has primary keys, foreign keys and indexes. How to get data from first database to another? Here is the description of my crusade. And believe me – it is not nice one. Bugs in import and export wizard There is some awful bugs in import and export wizard that makes data imports and exports possible only on very limited manner: wizard is not able to analyze foreign keys, wizard wants to create tables always, whatever you say in settings. The result is faulty and useless package. Now let’s go step by step and make things work in our scenario. Database There are two databases. Let’s name them like this: PLAIN – contains data imported from remote server (no indexes, no keys, no nothing, just plain dumb data) CORRECT – empty database with same structure as remote database (indexes, keys and everything else but no data) Our goal is to get data from PLAIN to CORRECT. 1. Create import and export package In this point we will create faulty SSIS package using SQL Server Management Studio. Run import and export wizard and let it create SSIS package that reads data from CORRECT and writes it to, let’s say, CORRECT-2. Make sure you enable identity insert. Make sure there are no views selected. Make sure you don’t let package to create tables (you can miss this step because it wants to create tables anyway). Save package to SSIS. 2. Modify import and export package Now let’s clean up the package and remove all faulty crap. Connect SQL Server Management Studio to SSIS instance. Select the package you just saved and export it to your hard disc. Run Business Intelligence Studio. Create new SSIS project (DON’T MISS THIS STEP). Add package from disc as existing item to project and open it. Move to Control Flow page do one of following: Remove all preparation SQL-tasks and connect Data Flow tasks. Modify all preparation SQL-tasks so the existence of tables is checked before table is created (yes, you have to do it manually). Add new Execute-SQL task as first task in control flow: Open task properties. Assign destination connection as connection to use. Insert the following SQL as command:   EXEC sp_MSForEachTable 'ALTER TABLE ? NOCHECK CONSTRAINT ALL' GO   EXEC sp_MSForEachTable 'DELETE FROM ?' GO   Save task. Add new Execute-SQL task as last task in control flow: Open task properties. Assign destination connection as connection to use. Insert the following SQL as command:   EXEC sp_MSForEachTable 'ALTER TABLE ? CHECK CONSTRAINT ALL' GO   Save task Now connect first Execute-SQL task with first Data Flow task and last Data Flow task with second Execute-SQL task. Now move to Package Explorer tab and change connections under Connection Managers folder. Make source connection to use database PLAIN. Make destination connection to use database CORRECT. Save package and rebuilt the project. Update package using SQL Server Management Studio. Some hints: Make sure you take the package from solution folder because it is saved there now. Don’t overwrite existing package. Use numeric suffix and let Management Studio to create a new version of package. Now you are done with your package. Run it to test it and clean out all the errors you find. TRUNCATE vs DELETE You can see that I used DELETE FROM instead of TRUNCATE. Why? Because TRUNCATE has some nasty limits (taken from MSDN): “You cannot use TRUNCATE TABLE on a table referenced by a FOREIGN KEY constraint; instead, use DELETE statement without a WHERE clause. Because TRUNCATE TABLE is not logged, it cannot activate a trigger. TRUNCATE TABLE may not be used on tables participating in an indexed view.” As I am not sure what tables you have and how they are used I provided here the solution that should work for all scenarios. If you need better performance then in some cases you can use TRUNCATE table instead of DELETE. Conclusion My conclusion is bitter this time although I am very positive guy. It is A.D. 2010 and still we have to write stupid hacks for simple things. Simple tools that existed before are long gone and we have to live mysterious bloatware that is our only choice when using default tools. If you take a look at the length of this posting and the count of steps I had to do for one easy thing you should treat it as a signal that something has went wrong in last years. Although I got my job done I would be still more happy if out of box tools are more intelligent one day. References T-SQL Trick for Deleting All Data in Your Database (Mauro Cardarelli) TRUNCATE TABLE (MSDN Library) Error Handling in SQL 2000 – a Background (Erland Sommarskog) Disable/Enable Foreign Key and Check constraints in SQL Server (Decipher)

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  • How to export SQL Server data from corrupted database (with disk write error)

    - by damitamit
    IT realised there was a disk write error on our production SQL Server 2005 and hence was causing the backups to fail. By the time they had realised this the nightly backup was old, so were not able to just restore the backup on another server. The database is still running and being used constantly. However DBCC CheckDB fails. Also the SQL Server backup task fails, Copy Database fails, Export Data Wizard fails. However it seems all the data can be read from the tables (i.e using bcp etc) Another observation I have made is that the Transaction Log is nearly double the size of the Database. (Does that mean all the changes arent being written to the MDF?) What would be the best plan of attack to get the database to a state where backups are working and the data is safe? Take the database offline and use the MDF/LDF to somehow create the database on another sql server? Export the data from the database using bcp. Create the database (use the Generate Scripts function on the corrupt db to create the schema on the new db) on another sql server and use bcp again to import the data. Some other option that is the right course of action in this situation? The IT manager says the data is safe as if the server fails, the data can be restored from the mdf/ldf. I'm not sure so insisted that we start exporting the data each night as a failsafe (using bcp for example). IT are also having issues on the hardware side of things as supposedly the disk error in on a virtualized disk and can't be rebuilt like a normal raid array (or something like that). Please excuse my use of incorrect terminology and incorrect assumptions on how Sql Server operates. I'm the application developer and have been called to help (as it seems IT know less about SQL Server than I do). Many Thanks, Amit Results of DBBC CheckDB: Msg 1823, Level 16, State 2, Line 1 A database snapshot cannot be created because it failed to start. Msg 7928, Level 16, State 1, Line 1 The database snapshot for online checks could not be created. Either the reason is given in a previous error or one of the underlying volumes does not support sparse files or alternate streams. Attempting to get exclusive access to run checks offline. Msg 5030, Level 16, State 12, Line 1 The database could not be exclusively locked to perform the operation. Msg 7926, Level 16, State 1, Line 1 Check statement aborted. The database could not be checked as a database snapshot could not be created and the database or table could not be locked. See Books Online for details of when this behavior is expected and what workarounds exist. Also see previous errors for more details. Msg 823, Level 24, State 3, Line 1 The operating system returned error 1(error not found) to SQL Server during a write at offset 0x00000674706000 in file 'G:\AX40_Dynamics_Live.mdf'. Additional messages in the SQL Server error log and system event log may provide more detail. This is a severe system-level error condition that threatens database integrity and must be corrected immediately. Complete a full database consistency check (DBCC CHECKDB). This error can be caused by many factors; for more information, see SQL Server Books Online.

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  • Advantage Database Server: slow stored procedure performance.

    - by ie
    I have a question about a performance of stored procedures in the ADS. I created a simple database with the following structure: CREATE TABLE MainTable ( Id INTEGER PRIMARY KEY, Name VARCHAR(50), Value INTEGER ); CREATE UNIQUE INDEX MainTableName_UIX ON MainTable ( Name ); CREATE TABLE SubTable ( Id INTEGER PRIMARY KEY, MainId INTEGER, Name VARCHAR(50), Value INTEGER ); CREATE INDEX SubTableMainId_UIX ON SubTable ( MainId ); CREATE UNIQUE INDEX SubTableName_UIX ON SubTable ( Name ); CREATE PROCEDURE CreateItems ( MainName VARCHAR ( 20 ), SubName VARCHAR ( 20 ), MainValue INTEGER, SubValue INTEGER, MainId INTEGER OUTPUT, SubId INTEGER OUTPUT ) BEGIN DECLARE @MainName VARCHAR ( 20 ); DECLARE @SubName VARCHAR ( 20 ); DECLARE @MainValue INTEGER; DECLARE @SubValue INTEGER; DECLARE @MainId INTEGER; DECLARE @SubId INTEGER; @MainName = (SELECT MainName FROM __input); @SubName = (SELECT SubName FROM __input); @MainValue = (SELECT MainValue FROM __input); @SubValue = (SELECT SubValue FROM __input); @MainId = (SELECT MAX(Id)+1 FROM MainTable); @SubId = (SELECT MAX(Id)+1 FROM SubTable ); INSERT INTO MainTable (Id, Name, Value) VALUES (@MainId, @MainName, @MainValue); INSERT INTO SubTable (Id, Name, MainId, Value) VALUES (@SubId, @SubName, @MainId, @SubValue); INSERT INTO __output SELECT @MainId, @SubId FROM system.iota; END; CREATE PROCEDURE UpdateItems ( MainName VARCHAR ( 20 ), MainValue INTEGER, SubValue INTEGER ) BEGIN DECLARE @MainName VARCHAR ( 20 ); DECLARE @MainValue INTEGER; DECLARE @SubValue INTEGER; DECLARE @MainId INTEGER; @MainName = (SELECT MainName FROM __input); @MainValue = (SELECT MainValue FROM __input); @SubValue = (SELECT SubValue FROM __input); @MainId = (SELECT TOP 1 Id FROM MainTable WHERE Name = @MainName); UPDATE MainTable SET Value = @MainValue WHERE Id = @MainId; UPDATE SubTable SET Value = @SubValue WHERE MainId = @MainId; END; CREATE PROCEDURE SelectItems ( MainName VARCHAR ( 20 ), CalculatedValue INTEGER OUTPUT ) BEGIN DECLARE @MainName VARCHAR ( 20 ); @MainName = (SELECT MainName FROM __input); INSERT INTO __output SELECT m.Value * s.Value FROM MainTable m INNER JOIN SubTable s ON m.Id = s.MainId WHERE m.Name = @MainName; END; CREATE PROCEDURE DeleteItems ( MainName VARCHAR ( 20 ) ) BEGIN DECLARE @MainName VARCHAR ( 20 ); DECLARE @MainId INTEGER; @MainName = (SELECT MainName FROM __input); @MainId = (SELECT TOP 1 Id FROM MainTable WHERE Name = @MainName); DELETE FROM SubTable WHERE MainId = @MainId; DELETE FROM MainTable WHERE Id = @MainId; END; Actually, the problem I had - even so light stored procedures work very-very slow (about 50-150 ms) relatively to plain queries (0-5ms). To test the performance, I created a simple test (in F# using ADS ADO.NET provider): open System; open System.Data; open System.Diagnostics; open Advantage.Data.Provider; let mainName = "main name #"; let subName = "sub name #"; // INSERT let cmdTextScriptInsert = " DECLARE @MainId INTEGER; DECLARE @SubId INTEGER; @MainId = (SELECT MAX(Id)+1 FROM MainTable); @SubId = (SELECT MAX(Id)+1 FROM SubTable ); INSERT INTO MainTable (Id, Name, Value) VALUES (@MainId, :MainName, :MainValue); INSERT INTO SubTable (Id, Name, MainId, Value) VALUES (@SubId, :SubName, @MainId, :SubValue); SELECT @MainId, @SubId FROM system.iota;"; let cmdTextProcedureInsert = "CreateItems"; // UPDATE let cmdTextScriptUpdate = " DECLARE @MainId INTEGER; @MainId = (SELECT TOP 1 Id FROM MainTable WHERE Name = :MainName); UPDATE MainTable SET Value = :MainValue WHERE Id = @MainId; UPDATE SubTable SET Value = :SubValue WHERE MainId = @MainId;"; let cmdTextProcedureUpdate = "UpdateItems"; // SELECT let cmdTextScriptSelect = " SELECT m.Value * s.Value FROM MainTable m INNER JOIN SubTable s ON m.Id = s.MainId WHERE m.Name = :MainName;"; let cmdTextProcedureSelect = "SelectItems"; // DELETE let cmdTextScriptDelete = " DECLARE @MainId INTEGER; @MainId = (SELECT TOP 1 Id FROM MainTable WHERE Name = :MainName); DELETE FROM SubTable WHERE MainId = @MainId; DELETE FROM MainTable WHERE Id = @MainId;"; let cmdTextProcedureDelete = "DeleteItems"; let cnnStr = @"data source=D:\DB\test.add; ServerType=local; user id=adssys; password=***;"; let cnn = new AdsConnection(cnnStr); try cnn.Open(); let cmd = cnn.CreateCommand(); let parametrize ix prms = cmd.Parameters.Clear(); let addParam = function | "MainName" -> cmd.Parameters.Add(":MainName" , mainName + ix.ToString()) |> ignore; | "SubName" -> cmd.Parameters.Add(":SubName" , subName + ix.ToString() ) |> ignore; | "MainValue" -> cmd.Parameters.Add(":MainValue", ix * 3 ) |> ignore; | "SubValue" -> cmd.Parameters.Add(":SubValue" , ix * 7 ) |> ignore; | _ -> () prms |> List.iter addParam; let runTest testData = let (cmdType, cmdName, cmdText, cmdParams) = testData; let toPrefix cmdType cmdName = let prefix = match cmdType with | CommandType.StoredProcedure -> "Procedure-" | CommandType.Text -> "Script -" | _ -> "Unknown -" in prefix + cmdName; let stopWatch = new Stopwatch(); let runStep ix prms = parametrize ix prms; stopWatch.Start(); cmd.ExecuteNonQuery() |> ignore; stopWatch.Stop(); cmd.CommandText <- cmdText; cmd.CommandType <- cmdType; let startId = 1500; let count = 10; for id in startId .. startId+count do runStep id cmdParams; let elapsed = stopWatch.Elapsed; Console.WriteLine("Test '{0}' - total: {1}; per call: {2}ms", toPrefix cmdType cmdName, elapsed, Convert.ToInt32(elapsed.TotalMilliseconds)/count); let lst = [ (CommandType.Text, "Insert", cmdTextScriptInsert, ["MainName"; "SubName"; "MainValue"; "SubValue"]); (CommandType.Text, "Update", cmdTextScriptUpdate, ["MainName"; "MainValue"; "SubValue"]); (CommandType.Text, "Select", cmdTextScriptSelect, ["MainName"]); (CommandType.Text, "Delete", cmdTextScriptDelete, ["MainName"]) (CommandType.StoredProcedure, "Insert", cmdTextProcedureInsert, ["MainName"; "SubName"; "MainValue"; "SubValue"]); (CommandType.StoredProcedure, "Update", cmdTextProcedureUpdate, ["MainName"; "MainValue"; "SubValue"]); (CommandType.StoredProcedure, "Select", cmdTextProcedureSelect, ["MainName"]); (CommandType.StoredProcedure, "Delete", cmdTextProcedureDelete, ["MainName"])]; lst |> List.iter runTest; finally cnn.Close(); And I'm getting the following results: Test 'Script -Insert' - total: 00:00:00.0292841; per call: 2ms Test 'Script -Update' - total: 00:00:00.0056296; per call: 0ms Test 'Script -Select' - total: 00:00:00.0051738; per call: 0ms Test 'Script -Delete' - total: 00:00:00.0059258; per call: 0ms Test 'Procedure-Insert' - total: 00:00:01.2567146; per call: 125ms Test 'Procedure-Update' - total: 00:00:00.7442440; per call: 74ms Test 'Procedure-Select' - total: 00:00:00.5120446; per call: 51ms Test 'Procedure-Delete' - total: 00:00:01.0619165; per call: 106ms The situation with the remote server is much better, but still a great gap between plaqin queries and stored procedures: Test 'Script -Insert' - total: 00:00:00.0709299; per call: 7ms Test 'Script -Update' - total: 00:00:00.0161777; per call: 1ms Test 'Script -Select' - total: 00:00:00.0258113; per call: 2ms Test 'Script -Delete' - total: 00:00:00.0166242; per call: 1ms Test 'Procedure-Insert' - total: 00:00:00.5116138; per call: 51ms Test 'Procedure-Update' - total: 00:00:00.3802251; per call: 38ms Test 'Procedure-Select' - total: 00:00:00.1241245; per call: 12ms Test 'Procedure-Delete' - total: 00:00:00.4336334; per call: 43ms Is it any chance to improve the SP performance? Please advice. ADO.NET driver version - 9.10.2.9 Server version - 9.10.0.9 (ANSI - GERMAN, OEM - GERMAN) Thanks!

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  • archiving strategies and limitations of data in a table

    - by Samuel
    Environment: Jboss, Mysql, JPA, Hibernate Our web application will be catering to a large amount of users (~ 1,000,000) and there are a lots of child table where user specific data are stored (e.g. personal, health, forum contributions ...). What would be the best practice to archive user & user specific information. [a] Would it be wise to move the archived user & user specific information to their respective tables within the same database (e.g. user_archive, user_forum_comments_archive ...) OR [b] Would you just mark the database entries with a flag in the original table(s) and just query only non archived entries. We have a unique constraint on User.loginid, how do you handle this requirement if the users are archived via 1-[a] (i.e if a user with loginid 'samuel' gets moved into the archive table and if a new user gets added with the same name in the original table, how would you prevent this. What would be the best strategy to address the unique key constraints. We have a requirement to selectively archive records and bring it back if necessary, will you rely on database tools are would you handle this via your persistence APIs exposed by the JPA entity model.

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  • Are bad data issues that common?

    - by Water Cooler v2
    I've worked for clients that had a large number of distinct, small to mid-sized projects, each interacting with each other via properly defined interfaces to share data, but not reading and writing to the same database. Each had their own separate database, their own cache, their own file servers/system that they had dedicated access to, and so they never caused any problems. One of these clients is a mobile content vendor, so they're lucky in a way that they do not have to face the same problems that everyday business applications do. They can create all those separate compartments where their components happily live in isolation of the others. However, for many business applications, this is not possible. I've worked with a few clients, one of whose applications I am doing the production support for, where there are "bad data issues" on an hourly basis. Yeah, it's that crazy. Some data records from one of the instances (lower than production, of course) would have been run a couple of weeks ago, and caused some other user's data to get corrupted. And then, a data script will have to be written to fix this issue. And I've seen this happening so much with this client that I have to ask. I've seen this happening at a moderate rate with other clients, but this one just seems to be out of order. If you're working with business applications that share a large amount of data by reading and writing to/from the same database, are "bad data issues" that common in your environment?

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  • How To - Guide to Importing Data from a MySQL Database to Excel using MySQL for Excel

    - by Javier Treviño
    Fetching data from a database to then get it into an Excel spreadsheet to do analysis, reporting, transforming, sharing, etc. is a very common task among users. There are several ways to extract data from a MySQL database to then import it to Excel; for example you can use the MySQL Connector/ODBC to configure an ODBC connection to a MySQL database, then in Excel use the Data Connection Wizard to select the database and table from which you want to extract data from, then specify what worksheet you want to put the data into.  Another way is to somehow dump a comma delimited text file with the data from a MySQL table (using the MySQL Command Line Client, MySQL Workbench, etc.) to then in Excel open the file using the Text Import Wizard to attempt to correctly split the data in columns. These methods are fine, but involve some degree of technical knowledge to make the magic happen and involve repeating several steps each time data needs to be imported from a MySQL table to an Excel spreadsheet. So, can this be done in an easier and faster way? With MySQL for Excel you can. MySQL for Excel features an Import MySQL Data action where you can import data from a MySQL Table, View or Stored Procedure literally with a few clicks within Excel.  Following is a quick guide describing how to import data using MySQL for Excel. This guide assumes you already have a working MySQL Server instance, Microsoft Office Excel 2007 or 2010 and MySQL for Excel installed. 1. Opening MySQL for Excel Being an Excel Add-In, MySQL for Excel is opened from within Excel, so to use it open Excel, go to the Data tab located in the Ribbon and click MySQL for Excel at the far right of the Ribbon. 2. Creating a MySQL Connection (may be optional) If you have MySQL Workbench installed you will automatically see the same connections that you can see in MySQL Workbench, so you can use any of those and there may be no need to create a new connection. If you want to create a new connection (which normally you will do only once), in the Welcome Panel click New Connection, which opens the Setup New Connection dialog. Here you only need to give your new connection a distinctive Connection Name, specify the Hostname (or IP address) where the MySQL Server instance is running on (if different than localhost), the Port to connect to and the Username for the login. If you wish to test if your setup is good to go, click Test Connection and an information dialog will pop-up stating if the connection is successful or errors were found. 3.Opening a connection to a MySQL Server To open a pre-configured connection to a MySQL Server you just need to double-click it, so the Connection Password dialog is displayed where you enter the password for the login. 4. Selecting a MySQL Schema After opening a connection to a MySQL Server, the Schema Selection Panel is shown, where you can select the Schema that contains the Tables, Views and Stored Procedures you want to work with. To do so, you just need to either double-click the desired Schema or select it and click Next >. 5. Importing data… All previous steps were really the basic minimum needed to drill-down to the DB Object Selection Panel  where you can see the Database Objects (grouped by type: Tables, Views and Procedures in that order) that you want to perform actions against; in the case of this guide, the action of importing data from them. a. From a MySQL Table To import from a Table you just need to select it from the list of Database Objects’ Tables group, after selecting it you will note actions below the list become available; then click Import MySQL Data. The Import Data dialog is displayed; you can see some basic information here like the name of the Excel worksheet the data will be imported to (in the window title), the Table Name, the total Row Count and a 10 row preview of the data meant for the user to see the columns that the table contains and to provide a way to select which columns to import. The Import Data dialog is designed with defaults in place so all data is imported (all rows and all columns) by just clicking Import; this is important to minimize the number of clicks needed to get the job done. After the import is performed you will have the data in the Excel worksheet formatted automatically. If you need to override the defaults in the Import Data dialog to change the columns selected for import or to change the number of imported rows you can easily do so before clicking Import. In the screenshot below the defaults are overridden to import only the first 3 columns and rows 10 – 60 (Limit to 50 Rows and Start with Row 10). If the number of rows to be imported exceeds the maximum number of rows Excel can hold in its worksheet, a warning will be displayed in the dialog, meaning the imported number of rows will be limited by that maximum number (65,535 rows if the worksheet is in Compatibility Mode).  In the screenshot below you can see the Table contains 80,559 rows, but only 65,534 rows will be imported since the first row is used for the column names if the Include Column Names as Headers checkbox is checked. b. From a MySQL View Similar to the way of importing from a Table, to import from a View you just need to select it from the list of Database Objects’ Views group, then click Import MySQL Data. The Import Data dialog is displayed; identically to the way everything looks when importing from a table, the dialog displays the View Name, the total Row Count and the data preview grid. Since Views are really a filtered way to display data from Tables, it is actually as if we are extracting data from a Table; so the Import Data dialog is actually identical for those 2 Database Objects. After the import is performed, the data in the Excel spreadsheet looks like the following screenshot. Note that you can override the defaults in the Import Data dialog in the same way described above for importing data from Tables. Also the Compatibility Mode warning will be displayed if data exceeds the maximum number of rows explained before. c. From a MySQL Procedure Too import from a Procedure you just need to select it from the list of Database Objects’ Procedures group (note you can see Procedures here but not Functions since these return a single value, so by design they are filtered out). After the selection is made, click Import MySQL Data. The Import Data dialog is displayed, but this time you can see it looks different to the one used for Tables and Views.  Given the nature of Store Procedures, they require first that values are supplied for its Parameters and also Procedures can return multiple Result Sets; so the Import Data dialog shows the Procedure Name and the Procedure Parameters in a grid where their values are input. After you supply the Parameter Values click Call. After calling the Procedure, the Result Sets returned by it are displayed at the bottom of the dialog; output parameters and the return value of the Procedure are appended as the last Result Set of the group. You can see each Result Set is displayed as a tab so you can see a preview of the returned data.  You can specify if you want to import the Selected Result Set (default), All Result Sets – Arranged Horizontally or All Result Sets – Arranged Vertically using the Import drop-down list; then click Import. After the import is performed, the data in the Excel spreadsheet looks like the following screenshot.  Note in this example all Result Sets were imported and arranged vertically. As you can see using MySQL for Excel importing data from a MySQL database becomes an easy task that requires very little technical knowledge, so it can be done by any type of user. Hope you enjoyed this guide! Remember that your feedback is very important for us, so drop us a message: MySQL on Windows (this) Blog - https://blogs.oracle.com/MySqlOnWindows/ Forum - http://forums.mysql.com/list.php?172 Facebook - http://www.facebook.com/mysql Cheers!

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  • FOUR questions to ask if you are implementing DATABASE-AS-A-SERVICE

    - by Sudip Datta
    During my ongoing tenure at Oracle, I have met all types of DBAs. Happy DBAs, unhappy DBAs, proud DBAs, risk-loving DBAs, cautious DBAs. These days, as Database-as-a-Service (DBaaS) becomes more mainstream, I find some complacent DBAs who are basking in their achievement of having implemented DBaaS. Some others, however, are not that happy. They grudgingly complain that they did not have much of a say in the implementation, they simply had to follow what their cloud architects (mostly infrastructure admins) offered them. In most cases it would be a database wrapped inside a VM that would be labeled as “Database as a Service”. In other cases, it would be existing brute-force automation simply exposed in a portal. As much as I think that there is more to DBaaS than those approaches and often get tempted to propose Enterprise Manager 12c, I try to be objective. Neither do I want to dampen the spirit of the happy ones, nor do I want to stoke the pain of the unhappy ones. As I mentioned in my previous post, I don’t deny vanilla automation could be useful. I like virtualization too for what it has helped us accomplish in terms of resource management, but we need to scrutinize its merit on a case-by-case basis and apply it meaningfully. For DBAs who either claim to have implemented DBaaS or are planning to do so, I simply want to provide four key questions to ponder about: 1. Does it make life easier for your end users? Database-as-a-Service can have several types of end users. Junior DBAs, QA Engineers, Developers- each having their own skillset. The objective of DBaaS is to make their life simple, so that they can focus on their core responsibilities without having to worry about additional stuff. For example, if you are a Developer using Oracle Application Express (APEX), you want to deal with schema, objects and PL/SQL code and not with datafiles or listener configuration. If you are a QA Engineer needing database copies for functional testing, you do not want to deal with underlying operating system patching and compliance issues. The question to ask, therefore, is, whether DBaaS makes life easier for those users. It is often convenient to give them VM shells to deal with a la Amazon EC2 IaaS, but is that what they really want? Is it a productive use of a developer's time if he needs to apply RPM errata to his Linux operating system. Asking him to keep the underlying operating system current is like making a guest responsible for a restaurant's decor. 2. Does it make life easier for your administrators? Cloud, in general, is supposed to free administrators from attending to mundane tasks like provisioning services for every single end user request. It is supposed to enable a readily consumable platform and enforce standardization in the process. For example, if a Service Catalog exposes DBaaS of specific database versions and configurations, it, by its very nature, enforces certain discipline and standardization within the IT environment. What if, instead of specific database configurations, cloud allowed each end user to create databases of their liking resulting in hundreds of version and patch levels and thousands of individual databases. Therefore the right question to ask is whether the unwanted consequence of DBaaS is OS and database sprawl. And if so, who is responsible for tracking them, backing them up, administering them? Studies have shown that these administrative overheads increase exponentially with new targets, and it could result in a management nightmare. That leads us to our next question. 3. Does it satisfy your Security Officers and Compliance Auditors? Compliance Auditors need to know who did what and when. They also want the cloud platform to be secure, so that end users have little freedom in tampering with it. Dealing with VM sprawl is not the easiest of challenges, let alone dealing with them as they keep getting reconfigured and moved around. This leads to the proverbial needle in the haystack problem, and all it needs is one needle to cause a serious compliance issue in the enterprise. Bottomline is, flexibility and agility should not come at the expense of compliance and it is very important to get the balance right. Can we have security and isolation without creating compliance challenges? Instead of a ‘one size fits all approach’ i.e. OS level isolation, can we think smartly about database isolation or schema based isolation? This is where the appropriate resource modeling needs to be applied. The usual systems management vendors out there with heterogeneous common-denominator approach have compromised on these semantics. If you follow Enterprise Manager’s DBaaS solution, you will see that we have considered different models, not precluding virtualization, for different customer use cases. The judgment to use virtual assemblies versus databases on physical RAC versus Schema-as-a-Service in a single database, should be governed by the need of the applications and not by putting compliance considerations in the backburner. 4. Does it satisfy your CIO? Finally, does it satisfy your higher ups? As the sponsor of cloud initiative, the CIO is expected to lead an IT transformation project, not merely a run-of-the-mill IT operations. Simply virtualizing server resources and delivering them through self-service is a good start, but hardly transformational. CIOs may appreciate the instant benefit from server consolidation, but studies have revealed that the ROI from consolidation would flatten out at 20-25%. The question would be: what next? As we go higher up in the stack, the need to virtualize, segregate and optimize shifts to those layers that are more palpable to the business users. As Sushil Kumar noted in his blog post, " the most important thing to note here is the enterprise private cloud is not just an IT project, rather it is a business initiative to create an IT setup that is more aligned with the needs of today's dynamic and highly competitive business environment." Business users could not care less about infrastructure consolidation or virtualization - they care about business agility and service level assurance. Last but not the least, lot of CIOs get miffed if we ask them to throw away their existing hardware investments for implementing DBaaS. In Oracle, we always emphasize on freedom of choosing a platform; hence Enterprise Manager’s DBaaS solution is platform neutral. It can work on any Operating System (that the agent is certified on) Oracle’s hardware as well as 3rd party hardware. As a parting note, I urge you to remember these 4 questions. Remember that your satisfaction as an implementer lies in the satisfaction of others.

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  • What can map database tables like LINQ to SQL did?

    - by trnTash
    A good thing in LINQ to SQL was a fast and reliable way to map database tables and convert them into classes accessible from c# project. However it is no longer recommended to create projects using LINQ to SQL. What is its substitute? What kind of tool should I use in VS 2010 today if I want to have the same functionality as I had with LINQ to SQL?

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  • Export and import a PostgreSQL database with a different name?

    - by J. Pablo Fernández
    Is there a way to export a PostgreSQL database and later import it with another name? I'm using PostgreSQL with Rails and I often export the data from production, where the database is called blah_production and import it on development or staging with names blah_development and blah_staging. On MySQL this is trivial as the export doesn't have the database anywhere (except a comment maybe), but on PostgreSQL it seems to be impossible. Is it impossible? I've seen out there some people using sed scripts to modify the dump. I'd like to avoid that solution but if there are no alternative I'll take it. Has anybody wrote a script to alter the dump's database name ensure no data is ever altered?

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  • What are the pros of switching DNS names with a database server hardware upgrade?

    - by wilbbe01
    When we upgrade to new hardware at work we usually increment a number in the DNS name. For example. We have a server called database-2, that is slated to become database-3 in the coming days. I haven't been able to find a good reason why this is good behavior. To me the work of trying to catch all end user machines, as well as all servers dependent on the database server is far riskier than simply moving the database and ip/name with it to the new hardware. A little over a year ago we spent several months of requests coming in, as infrequent users began using software that needed to be updated to point to a new DNS name. I am struggling to find answers as to why this is a good practice. So the question. Why is using DNS names as a "server hardware version identifier" a good idea? What am I overlooking? Thanks much.

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  • Gathering statistics for an Oracle WebCenter Content Database

    - by Nicolas Montoya
    Have you ever heard: "My Oracle WebCenter Content instance is running slow. I checked the memory and CPU usage of the application server and it has plenty of resources. What could be going wrong?An Oracle WebCenter Content instance runs on an application server and relies on a database server on the back end. If your application server tier is running fine, chances are that your database server tier may host the root of the problem. While many things could cause performance problems, on active Enterprise Content Management systems, keeping database statistics updated is extremely important.The Oracle Database have a set of built-in optimizer utilities that can help make database queries more efficient. It is strongly recommended to update or re-create the statistics about the physical characteristics of a table and the associated indexes in order to maximize the efficiency of optimizers. These physical characteristics include: Number of records Number of pages Average record length The frequency with which you need to update statistics depends on how quickly the data is changing. Typically, statistics should be updated when the number of new items since the last update is greater than ten percent of the number of items when the statistics were last updated. If a large amount of documents are being added or removed from the system, the a post step should be added to gather statistics upon completion of this massive data change. In some cases, you may need to collect statistics in the middle of the data processing to expedite its execution. These proceses include but are not limited to: data migration, bootstrapping of a new system, records management disposition processing (typically at the end of the calendar year), etc. A DOCUMENTS table with a ten million rows will often generate a very different plan than a table with just a thousand.A quick check of the statistics for the WebCenter Content (WCC) Database could be performed via the below query:SELECT OWNER, TABLE_NAME, NUM_ROWS, BLOCKS, AVG_ROW_LEN,TO_CHAR(LAST_ANALYZED, 'MM/DD/YYYY HH24:MI:SS')FROM DBA_TABLESWHERE TABLE_NAME='DOCUMENTS';OWNER                          TABLE_NAME                       NUM_ROWS------------------------------ ------------------------------ ----------    BLOCKS AVG_ROW_LEN TO_CHAR(LAST_ANALYZ---------- ----------- -------------------ATEAM_OCS                      DOCUMENTS                            4172        46          61 04/06/2012 11:17:51This output will return not only the date when the WCC table DOCUMENTS was last analyzed, but also it will return the <DATABASE SCHEMA OWNER> for this table in the form of <PREFIX>_OCS.This database username could later on be used to check on other objects owned by the WCC <DATABASE SCHEMA OWNER> as shown below:SELECT OWNER, TABLE_NAME, NUM_ROWS, BLOCKS, AVG_ROW_LEN,TO_CHAR(LAST_ANALYZED, 'MM/DD/YYYY HH24:MI:SS')FROM DBA_TABLESWHERE OWNER='ATEAM_OCS'ORDER BY NUM_ROWS ASC;...OWNER                          TABLE_NAME                       NUM_ROWS------------------------------ ------------------------------ ----------    BLOCKS AVG_ROW_LEN TO_CHAR(LAST_ANALYZ---------- ----------- -------------------ATEAM_OCS                      REVISIONS                            2051        46         141 04/09/2012 22:00:22ATEAM_OCS                      DOCUMENTS                            4172        46          61 04/06/2012 11:17:51ATEAM_OCS                      ARCHIVEHISTORY                       4908       244         218 04/06/2012 11:17:49OWNER                          TABLE_NAME                       NUM_ROWS------------------------------ ------------------------------ ----------    BLOCKS AVG_ROW_LEN TO_CHAR(LAST_ANALYZ---------- ----------- -------------------ATEAM_OCS                      DOCUMENTHISTORY                      5865       110          72 04/06/2012 11:17:50ATEAM_OCS                      SCHEDULEDJOBSHISTORY                10131       244         131 04/06/2012 11:17:54ATEAM_OCS                      SCTACCESSLOG                        10204       496         268 04/06/2012 11:17:54...The Oracle Database allows to collect statistics of many different kinds as an aid to improving performance. The DBMS_STATS package is concerned with optimizer statistics only. The database sets automatic statistics collection of this kind on by default, DBMS_STATS package is intended for only specialized cases.The following subprograms gather certain classes of optimizer statistics:GATHER_DATABASE_STATS Procedures GATHER_DICTIONARY_STATS Procedure GATHER_FIXED_OBJECTS_STATS Procedure GATHER_INDEX_STATS Procedure GATHER_SCHEMA_STATS Procedures GATHER_SYSTEM_STATS Procedure GATHER_TABLE_STATS ProcedureThe DBMS_STATS.GATHER_SCHEMA_STATS PL/SQL Procedure gathers statistics for all objects in a schema.DBMS_STATS.GATHER_SCHEMA_STATS (    ownname          VARCHAR2,    estimate_percent NUMBER   DEFAULT to_estimate_percent_type                                                 (get_param('ESTIMATE_PERCENT')),    block_sample     BOOLEAN  DEFAULT FALSE,    method_opt       VARCHAR2 DEFAULT get_param('METHOD_OPT'),   degree           NUMBER   DEFAULT to_degree_type(get_param('DEGREE')),    granularity      VARCHAR2 DEFAULT GET_PARAM('GRANULARITY'),    cascade          BOOLEAN  DEFAULT to_cascade_type(get_param('CASCADE')),    stattab          VARCHAR2 DEFAULT NULL,    statid           VARCHAR2 DEFAULT NULL,    options          VARCHAR2 DEFAULT 'GATHER',    objlist          OUT      ObjectTab,   statown          VARCHAR2 DEFAULT NULL,    no_invalidate    BOOLEAN  DEFAULT to_no_invalidate_type (                                     get_param('NO_INVALIDATE')),  force             BOOLEAN DEFAULT FALSE);There are several values for the OPTIONS parameter that we need to know about: GATHER reanalyzes the whole schema     GATHER EMPTY only analyzes tables that have no existing statistics GATHER STALE only reanalyzes tables with more than 10 percent modifications (inserts, updates,   deletes) GATHER AUTO will reanalyze objects that currently have no statistics and objects with stale statistics. Using GATHER AUTO is like combining GATHER STALE and GATHER EMPTY. Example:exec dbms_stats.gather_schema_stats( -   ownname          => '<PREFIX>_OCS', -   options          => 'GATHER AUTO' -);

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