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  • A Query to remove relationships that do not belong [closed]

    - by Segfault
    In a SQL Server 2008 R2 database, given this schema: AgentsAccounts _______________ AgentID int UNIQUE AccountID FinalAgents ___________ AgentID I need to create a query that does this: For each AgentID 'final' in FinalAgents remove all of the OTHER AgentID's from AgentsAccounts that have the same AccountID as 'final'. So if the tables have these rows before the query: AgentsAccounts AgentID AccountID 1 A 2 A 3 B 4 B FinalAgents 1 3 then after the query the AgentsAccounts table will look like this: AgentsAccounts AgentID AccountID 1 A 3 B What T-SQL query will delete the correct rows without using a curosr?

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  • Oracle BI Server Modeling, Part 1- Designing a Query Factory

    - by bob.ertl(at)oracle.com
      Welcome to Oracle BI Development's BI Foundation blog, focused on helping you get the most value from your Oracle Business Intelligence Enterprise Edition (BI EE) platform deployments.  In my first series of posts, I plan to show developers the concepts and best practices for modeling in the Common Enterprise Information Model (CEIM), the semantic layer of Oracle BI EE.  In this segment, I will lay the groundwork for the modeling concepts.  First, I will cover the big picture of how the BI Server fits into the system, and how the CEIM controls the query processing. Oracle BI EE Query Cycle The purpose of the Oracle BI Server is to bridge the gap between the presentation services and the data sources.  There are typically a variety of data sources in a variety of technologies: relational, normalized transaction systems; relational star-schema data warehouses and marts; multidimensional analytic cubes and financial applications; flat files, Excel files, XML files, and so on. Business datasets can reside in a single type of source, or, most of the time, are spread across various types of sources. Presentation services users are generally business people who need to be able to query that set of sources without any knowledge of technologies, schemas, or how sources are organized in their company. They think of business analysis in terms of measures with specific calculations, hierarchical dimensions for breaking those measures down, and detailed reports of the business transactions themselves.  Most of them create queries without knowing it, by picking a dashboard page and some filters.  Others create their own analysis by selecting metrics and dimensional attributes, and possibly creating additional calculations. The BI Server bridges that gap from simple business terms to technical physical queries by exposing just the business focused measures and dimensional attributes that business people can use in their analyses and dashboards.   After they make their selections and start the analysis, the BI Server plans the best way to query the data sources, writes the optimized sequence of physical queries to those sources, post-processes the results, and presents them to the client as a single result set suitable for tables, pivots and charts. The CEIM is a model that controls the processing of the BI Server.  It provides the subject areas that presentation services exposes for business users to select simplified metrics and dimensional attributes for their analysis.  It models the mappings to the physical data access, the calculations and logical transformations, and the data access security rules.  The CEIM consists of metadata stored in the repository, authored by developers using the Administration Tool client.     Presentation services and other query clients create their queries in BI EE's SQL-92 language, called Logical SQL or LSQL.  The API simply uses ODBC or JDBC to pass the query to the BI Server.  Presentation services writes the LSQL query in terms of the simplified objects presented to the users.  The BI Server creates a query plan, and rewrites the LSQL into fully-detailed SQL or other languages suitable for querying the physical sources.  For example, the LSQL on the left below was rewritten into the physical SQL for an Oracle 11g database on the right. Logical SQL   Physical SQL SELECT "D0 Time"."T02 Per Name Month" saw_0, "D4 Product"."P01  Product" saw_1, "F2 Units"."2-01  Billed Qty  (Sum All)" saw_2 FROM "Sample Sales" ORDER BY saw_0, saw_1       WITH SAWITH0 AS ( select T986.Per_Name_Month as c1, T879.Prod_Dsc as c2,      sum(T835.Units) as c3, T879.Prod_Key as c4 from      Product T879 /* A05 Product */ ,      Time_Mth T986 /* A08 Time Mth */ ,      FactsRev T835 /* A11 Revenue (Billed Time Join) */ where ( T835.Prod_Key = T879.Prod_Key and T835.Bill_Mth = T986.Row_Wid) group by T879.Prod_Dsc, T879.Prod_Key, T986.Per_Name_Month ) select SAWITH0.c1 as c1, SAWITH0.c2 as c2, SAWITH0.c3 as c3 from SAWITH0 order by c1, c2   Probably everybody reading this blog can write SQL or MDX.  However, the trick in designing the CEIM is that you are modeling a query-generation factory.  Rather than hand-crafting individual queries, you model behavior and relationships, thus configuring the BI Server machinery to manufacture millions of different queries in response to random user requests.  This mass production requires a different mindset and approach than when you are designing individual SQL statements in tools such as Oracle SQL Developer, Oracle Hyperion Interactive Reporting (formerly Brio), or Oracle BI Publisher.   The Structure of the Common Enterprise Information Model (CEIM) The CEIM has a unique structure specifically for modeling the relationships and behaviors that fill the gap from logical user requests to physical data source queries and back to the result.  The model divides the functionality into three specialized layers, called Presentation, Business Model and Mapping, and Physical, as shown below. Presentation services clients can generally only see the presentation layer, and the objects in the presentation layer are normally the only ones used in the LSQL request.  When a request comes into the BI Server from presentation services or another client, the relationships and objects in the model allow the BI Server to select the appropriate data sources, create a query plan, and generate the physical queries.  That's the left to right flow in the diagram below.  When the results come back from the data source queries, the right to left relationships in the model show how to transform the results and perform any final calculations and functions that could not be pushed down to the databases.   Business Model Think of the business model as the heart of the CEIM you are designing.  This is where you define the analytic behavior seen by the users, and the superset library of metric and dimension objects available to the user community as a whole.  It also provides the baseline business-friendly names and user-readable dictionary.  For these reasons, it is often called the "logical" model--it is a virtual database schema that persists no data, but can be queried as if it is a database. The business model always has a dimensional shape (more on this in future posts), and its simple shape and terminology hides the complexity of the source data models. Besides hiding complexity and normalizing terminology, this layer adds most of the analytic value, as well.  This is where you define the rich, dimensional behavior of the metrics and complex business calculations, as well as the conformed dimensions and hierarchies.  It contributes to the ease of use for business users, since the dimensional metric definitions apply in any context of filters and drill-downs, and the conformed dimensions enable dashboard-wide filters and guided analysis links that bring context along from one page to the next.  The conformed dimensions also provide a key to hiding the complexity of many sources, including federation of different databases, behind the simple business model. Note that the expression language in this layer is LSQL, so that any expression can be rewritten into any data source's query language at run time.  This is important for federation, where a given logical object can map to several different physical objects in different databases.  It is also important to portability of the CEIM to different database brands, which is a key requirement for Oracle's BI Applications products. Your requirements process with your user community will mostly affect the business model.  This is where you will define most of the things they specifically ask for, such as metric definitions.  For this reason, many of the best-practice methodologies of our consulting partners start with the high-level definition of this layer. Physical Model The physical model connects the business model that meets your users' requirements to the reality of the data sources you have available. In the query factory analogy, think of the physical layer as the bill of materials for generating physical queries.  Every schema, table, column, join, cube, hierarchy, etc., that will appear in any physical query manufactured at run time must be modeled here at design time. Each physical data source will have its own physical model, or "database" object in the CEIM.  The shape of each physical model matches the shape of its physical source.  In other words, if the source is normalized relational, the physical model will mimic that normalized shape.  If it is a hypercube, the physical model will have a hypercube shape.  If it is a flat file, it will have a denormalized tabular shape. To aid in query optimization, the physical layer also tracks the specifics of the database brand and release.  This allows the BI Server to make the most of each physical source's distinct capabilities, writing queries in its syntax, and using its specific functions. This allows the BI Server to push processing work as deep as possible into the physical source, which minimizes data movement and takes full advantage of the database's own optimizer.  For most data sources, native APIs are used to further optimize performance and functionality. The value of having a distinct separation between the logical (business) and physical models is encapsulation of the physical characteristics.  This encapsulation is another enabler of packaged BI applications and federation.  It is also key to hiding the complex shapes and relationships in the physical sources from the end users.  Consider a routine drill-down in the business model: physically, it can require a drill-through where the first query is MDX to a multidimensional cube, followed by the drill-down query in SQL to a normalized relational database.  The only difference from the user's point of view is that the 2nd query added a more detailed dimension level column - everything else was the same. Mappings Within the Business Model and Mapping Layer, the mappings provide the binding from each logical column and join in the dimensional business model, to each of the objects that can provide its data in the physical layer.  When there is more than one option for a physical source, rules in the mappings are applied to the query context to determine which of the data sources should be hit, and how to combine their results if more than one is used.  These rules specify aggregate navigation, vertical partitioning (fragmentation), and horizontal partitioning, any of which can be federated across multiple, heterogeneous sources.  These mappings are usually the most sophisticated part of the CEIM. Presentation You might think of the presentation layer as a set of very simple relational-like views into the business model.  Over ODBC/JDBC, they present a relational catalog consisting of databases, tables and columns.  For business users, presentation services interprets these as subject areas, folders and columns, respectively.  (Note that in 10g, subject areas were called presentation catalogs in the CEIM.  In this blog, I will stick to 11g terminology.)  Generally speaking, presentation services and other clients can query only these objects (there are exceptions for certain clients such as BI Publisher and Essbase Studio). The purpose of the presentation layer is to specialize the business model for different categories of users.  Based on a user's role, they will be restricted to specific subject areas, tables and columns for security.  The breakdown of the model into multiple subject areas organizes the content for users, and subjects superfluous to a particular business role can be hidden from that set of users.  Customized names and descriptions can be used to override the business model names for a specific audience.  Variables in the object names can be used for localization. For these reasons, you are better off thinking of the tables in the presentation layer as folders than as strict relational tables.  The real semantics of tables and how they function is in the business model, and any grouping of columns can be included in any table in the presentation layer.  In 11g, an LSQL query can also span multiple presentation subject areas, as long as they map to the same business model. Other Model Objects There are some objects that apply to multiple layers.  These include security-related objects, such as application roles, users, data filters, and query limits (governors).  There are also variables you can use in parameters and expressions, and initialization blocks for loading their initial values on a static or user session basis.  Finally, there are Multi-User Development (MUD) projects for developers to check out units of work, and objects for the marketing feature used by our packaged customer relationship management (CRM) software.   The Query Factory At this point, you should have a grasp on the query factory concept.  When developing the CEIM model, you are configuring the BI Server to automatically manufacture millions of queries in response to random user requests. You do this by defining the analytic behavior in the business model, mapping that to the physical data sources, and exposing it through the presentation layer's role-based subject areas. While configuring mass production requires a different mindset than when you hand-craft individual SQL or MDX statements, it builds on the modeling and query concepts you already understand. The following posts in this series will walk through the CEIM modeling concepts and best practices in detail.  We will initially review dimensional concepts so you can understand the business model, and then present a pattern-based approach to learning the mappings from a variety of physical schema shapes and deployments to the dimensional model.  Along the way, we will also present the dimensional calculation template, and learn how to configure the many additivity patterns.

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  • EJB-QL query never returning unless another query is run

    - by KevMo
    I have a strange strange problem. When executing the following EJB-QL query, my ENTIRE application will stop responding to requests, as the query never finishes executing. Query q = em.createQuery("SELECT o from RoomReservation as o WHERE o.deleted = FALSE AND o.room.id IN (Select r.id from Room as r where r.deleted = FALSE AND r.type.name = 'CLASSROOM')"); However, if I execute this query before I execute the other query, it runs without issue. Query dumbQuery = em.createQuery("SELECT o from Room as o WHERE o.deleted = FALSE"); Any idea what in the world is going on?

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  • MySQL, delete and index hint

    - by Manuel Darveau
    I have to delete about 10K rows from a table that has more than 100 million rows based on some criteria. When I execute the query, it takes about 5 minutes. I ran an explain plan (the delete query converted to select * since MySQL does not support explain delete) and found that MySQL uses the wrong index. My question is: is there any way to tell MySQL which index to use during delete? If not, what ca I do? Select to temp table then delete from temp table? Thank you!

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  • Why does "commit" appear in the mysql slow query log?

    - by Tom
    In our MySQL slow query logs I often see lines that just say "COMMIT". What causes a commit to take time? Another way to ask this question is: "How can I reproduce getting a slow commit; statement with some test queries?" From my investigation so far I have found that if there is a slow query within a transaction, then it is the slow query that gets output into the slow log, not the commit itself. Testing In mysql command line client: mysql begin; Query OK, 0 rows affected (0.00 sec) mysql UPDATE members SET myfield=benchmark(9999999, md5('This is to slow down the update')) WHERE id = 21560; Query OK, 0 rows affected (2.32 sec) Rows matched: 1 Changed: 0 Warnings: 0 At this point (before the commit) the UPDATE is already in the slow log. mysql commit; Query OK, 0 rows affected (0.01 sec) The commit happens fast, it never appeared in the slow log. I also tried a UPDATE which changes a large amount of data but again it was the UPDATE that was slow not the COMMIT. However, I can reproduce a slow ROLLBACK that takes 46s and gets output to the slow log: mysql begin; Query OK, 0 rows affected (0.00 sec) mysql UPDATE members SET myfield=CONCAT(myfield,'TEST'); Query OK, 481446 rows affected (53.31 sec) Rows matched: 481446 Changed: 481446 Warnings: 0 mysql rollback; Query OK, 0 rows affected (46.09 sec) I understand why rollback has a lot of work to do and therefore takes some time. But I'm still struggling to understand the COMMIT situation - i.e. why it might take a while.

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  • Knowledge Transfer without a Plan

    - by Kanini
    Hello...We are doing work for a particular client managing their CRM implementation. (The CRM itself is a product which has been largely customized to suit my client's needs). Now, they want us to manage the Oracle batch jobs/ETL as well. And for this, they are ready to provide us with Knowledge Transfer. (The Oracle batch jobs/ETL is managed in-house by the client now). After much persuasion, I got one of the Project Lead (designation-wise) to email the client asking for a KT Plan. (The Project Lead kept saying that they have never had KT plans before and all that for which I offered I will draft a template and even that was rejected!). Email from us to them - Can you please share with us the KT Plan? Response from them - Not sure what is expected from my side? The KT is planned for tomorrow from 11 am onwards where Functional knowledge of existing ETL Data migration package will be shared. How do you handle such a client? Most likely what is going to happen is this. The person who is giving the KT will say that I have given complete Knowledge Transfer and we will go back and say that "No, this was not covered. For this, they provided an overview alone and left it at that!" and so on... My Project Lead also did not respond to that email. He just said that the meeting is scheduled to happen at 11 AM (basically repeating whatever the email said and left for the day!). What could I possibly do? PS: Look for another job is a very helpful answer, but I am not looking for it. :-)

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  • Oracle Advanced Benefits: Plan Design Maintenance for Open Enrollment

    - by Annemarie Provisero
    ADVISOR WEBCAST: Oracle Advanced Benefits: Plan Design Maintenance for Open Enrollment PRODUCT FAMILY: Oracle HCM - Benefits  July 13, 2011 at 1 pm PT, 2 pm MT, 4 pm ET This session AU gives you the information to define new and maintain all Compensation Objects used in your Benefits setup. Course highlights things to consider when getting ready for Open Enrollment or when there is a need to change compensation objects. We will review creating a new or ending an old program, plan, or option. We also review what to do when you need to move from an Unrestricted program to a Restricted one. TOPICS WILL INCLUDE: Adding or Modifying Compensation Objects Ending Compensation Objects Elements and Element Links Standard and Variable Rates Dependents and Beneficiaries Moving from Oracle Standard Benefits to Oracle Advanced Benefits A short, live demonstration (only if applicable) and question and answer period will be included. Oracle Advisor Webcasts are dedicated to building your awareness around our products and services. This session does not replace offerings from Oracle Global Support Services. Click here to register for this session ------------------------------------------------------------------------------------------------------------- The above webcast is a service of the E-Business Suite Communities in My Oracle Support. For more information on other webcasts, please reference the Oracle Advisor Webcast Schedule.Click here to visit the E-Business Communities in My Oracle Support Note that all links require access to My Oracle Support.

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  • SQL Query Not Functioning - No Error Message

    - by gamerzfuse
    // Write the data to the database $query = "INSERT INTO staff (name, lastname, username, password, position, department, birthmonth, birthday, birthyear, location, phone, email, street, city, state, country, zip, tags, photo) VALUES ('$name', '$lastname', '$username', '$password', '$position', '$department', '$birthmonth', '$birthday', '$birthyear', '$location', '$phone', '$email', '$street', '$city', '$state', '$country', '$zip', '$tags', '$photo')"; mysql_query($query); var_dump($query); echo '<p>' . $name . ' has been added to the Employee Directory.</p>'; if (!$query) { die('Invalid query: ' . mysql_error()); } Can someone tell me why the above code produced: string(332) "INSERT INTO staff (name, lastname, username, password, position, department, birthmonth, birthday, birthyear, location, phone, email, street, city, state, country, zip, tags, photo) VALUES ('Craig', 'Hooghiem', 'sdf', 'sdf', 'sdf', 'sdf', '01', '01', 'sdf', 'sdf', '', 'sdf', 'sdf', 'sd', 'sdf', 'sdf', 'sd', 'sdg', 'leftround.gif')" Craig has been added to the Employee Directory. But does not actually add anything into the database table "staff" ? I must be missing something obvious here.

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  • java: decoding URI query string

    - by Jason S
    I need to decode a URI that contains a query string; expected input/output behavior is something like the following: abstract class URIParser { /** example input: * something?alias=pos&FirstName=Foo+A%26B%3DC&LastName=Bar */ URIParser(String input) { ... } /** should return "something" for the example input */ public String getPath(); /** should return a map * {alias: "pos", FirstName: "Foo+A&B=C", LastName: "Bar"} */ public Map<String,String> getQuery(); } I've tried using java.net.URI, but it seems to decode the query string so in the above example I'm left with "alias=pos&FirstName=Foo+A&B=C&LastName=Bar" so there is ambiguity whether a "&" is a query separator or is a character in a query component. edit: just tried URI.getRawQuery() and it doesn't do the encoding, so I can split the query string with a "&", but then what do I do? Any suggestions?

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  • MsSQL 2005 query performance

    - by Max
    I have the following query: select ............. from //one table and about 20 left joins// where ( ( this_.driverName like 'blah*' or this_.renterName like 'blah*' ) or exists ( select this0__.id as y0_ from ThirdParty this0__ where this0__.name like 'blah*' and this0__.claim_id=this_.id ) ) order by this_.id asc And I have two environment: One with 175 000 records in table "this_" and second with 25 000 records in table "this_". This query works right on 175k database and it works smth about 2 seconds, but on base with 25k this query freezes. and if drop one the folloing item from where clause: ( this_.driverName like 'blah*' or this_.renterName like 'blah*' ) or exists ( select this0__.id as y0_ from ThirdParty this0__ where this0__.name like 'blah*' and this0__.claim_id=this_.id ) query runs normally. How can I to increase performance of this query?

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  • PDO update query with conditional?

    - by dmontain
    I have a PDO mysql that updates 3 fields. $update = $mypdo->prepare("UPDATE tablename SET field1=:field1, field2=:field2, field3=:field3 WHERE key=:key"); But I want field3 to be updated only when $update3 = true; (meaning that the update of field3 is controlled by a conditional statement) Is this possible to accomplish with a single query? I could do it with 2 queries where I update field1 and field2 then check the boolean and update field3 if needed in a separate query. //run this query to update only fields 1 and 2 $update_part1 = $mypdo->prepare("UPDATE tablename SET field1=:field1, field2=:field2 WHERE key=:key"); //if field3 should be update, run a separate query to update it separately if ($update3){ $update_part2 = $mypdo->prepare("UPDATE tablename SET field3=:field3 WHERE key=:key"); } But hopefully there is a way to accomplish this in 1 query?

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  • MySQL query killing my server

    - by Webnet
    Looking at this query there's got to be something bogging it down that I'm not noticing. I ran it for 7 minutes and it only updated 2 rows. //set product count for makes $tru->query->run(array( 'name' => 'get-make-list', 'sql' => 'SELECT id, name FROM vehicle_make', 'connection' => 'core' )); while($tempMake = $tru->query->getArray('get-make-list')) { $tru->query->run(array( 'name' => 'update-product-count', 'sql' => 'UPDATE vehicle_make SET product_count = ( SELECT COUNT(product_id) FROM taxonomy_master WHERE v_id IN ( SELECT id FROM vehicle_catalog WHERE make_id = '.$tempMake['id'].' ) ) WHERE id = '.$tempMake['id'], 'connection' => 'core' )); } I'm sure this query can be optimized to perform better, but I can't think of how to do it. vehicle_make = 45 rows taxonomy_master = 11,223 rows vehicle_catalog = 5,108 rows All tables have appropriate indexes

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  • make reference to an empty query in flex

    - by Adam
    a bit of a dumb questions I'm sure I'm trying to allow user to set an item to be default. I've got a function that run a query to first find the current default item. Then runs a second query that unsets the current default item. Then a third query runs to set the new user selected item to be the default. This seem to work fine when a default item has been perviously selected, but when I try to set the default item initially I get the good old "Cannot access a property or method of a null object reference." error. This is because the first query that runs returns no items I'm sure. So I need to write an if statement that if the first query returns nothing to skip the second and go right to the third. The only problem is I can't make a reference to a null object. So how do I go about writing this statement. Thanks

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  • Update query with conditional?

    - by dmontain
    I'm not sure if this possible. If not, let me know. I have a PDO mysql that updates 3 fields. $update = $mypdo->prepare("UPDATE tablename SET field1=:field1, field2=:field2, field3=:field3 WHERE key=:key"); But I want field3 to be updated only when $update3 = true; (meaning that the update of field3 is controlled by a conditional statement) Is this possible to accomplish with a single query? I could do it with 2 queries where I update field1 and field2 then check the boolean and update field3 if needed in a separate query. //run this query to update only fields 1 and 2 $update_part1 = $mypdo->prepare("UPDATE tablename SET field1=:field1, field2=:field2 WHERE key=:key"); //if field3 should be update, run a separate query to update it separately if ($update3){ $update_part2 = $mypdo->prepare("UPDATE tablename SET field3=:field3 WHERE key=:key"); } But hopefully there is a way to accomplish this in 1 query?

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  • query excuting problem

    - by srini-r85
    hi, i tried to execute following query in php script. $db_selected = mysql_select_db("lumiinc1_sndemo1", $con); if ($db_selected) { echo "database connected"; } else { die ("Can\'t use db : " . mysql_error()); } $sql = "INSERT INTO `markers` ( `name`, `address`, `lat`, `lng`, `id` ) SELECT `name`, `street`, `latitude`, `longitude`, `lid` FROM `location` WHERE NOT EXISTS ( SELECT * FROM `markers` WHERE `location`.`lid` = `markers`.`id` )"; $result = mysql_query($sql); if ($result) { echo "Query executed OK"; } else { die("Invalid query: " . mysql_error()); } script does not show any error.also query executed.but i didn't get my expected result.at the same i try this query in phpmyAdmin i got my expected result. i dont know the cause of this problem. plz any one find the problem . thanks

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  • Rails 3 query in multiple date ranges

    - by NeoRiddle
    Suppose we have some date ranges, for example: ranges = [ [(12.months.ago)..(8.months.ago)], [(7.months.ago)..(6.months.ago)], [(5.months.ago)..(4.months.ago)], [(3.months.ago)..(2.months.ago)], [(1.month.ago)..(15.days.ago)] ] and a Post model with :created_at attribute. I want to find posts where created_at value is in this range, so the goal is to create a query like: SELECT * FROM posts WHERE created_at BETWEEN '2011-04-06' AND '2011-08-06' OR BETWEEN '2011-09-06' AND '2011-10-06' OR BETWEEN '2011-11-06' AND '2011-12-06' OR BETWEEN '2012-01-06' AND '2012-02-06' OR BETWEEN '2012-02-06' AND '2012-03-23'; If you have only one range like this: range = (12.months.ago)..(8.months.ago) we can do this query: Post.where(:created_at => range) and query should be: SELECT * FROM posts WHERE created_at BETWEEN '2011-04-06' AND '2011-08-06'; Is there a way to make this query using a notation like this Post.where(:created_at => range)? And what is the correct way to build this query? Thank you

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  • SQL Server Maintenence Plan error on an offline Database

    - by Sean Earp
    Today is SQL day for me :) I have a maintenance plan that is failing to run with the following error: Failed:(-1073548784) Executing the query "USE [SharedServices1_DB]" failed with the following error: "Database 'SharedServices1_DB' cannot be opened because it is offline.". Possible failure reasons: Problems with the query, "ResultSet" property not set correctly, parameters not set correctly, or connection not established correctly. where SharedServices1_DB is a database that is set to offline. I would like to exclude this database from the maintenance plan, but when the database is offline, it does not show up at all as a "specific database" in the maintenance plan task, and if I bring it online, it is already unchecked in the maintenance plan task. How can I exclude an offline database from a maintenance plan?

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  • Strange Maintenance Plan SubPlans behaviour: each SP runs all the tasks of all other SP at odd times

    - by Wentu
    SQL Server 2005: I have a problem with scheduling a Maintenance Plan (MP) with 3 subplans (SP). SP1 is scheduled to run hourly, SP2 daily at 7.00 and SP3 on sundays at 8.00 Reading MP history I see that what happened (I know it seems crazy) is: 11: SP1 runs and executes all the tasks of SP1 SP2 and SP3 12: SP2 runs and does the same 13: SP3 runs and does the same 14: SP1 runs and does the same From the job Activity monitor, SP1 has last run time at 14, SP2 and SP3 are never been executed. All of the SP are scheduled correctly in the Job Activity Monitor (SP2 for tomorrow at 7, SP3 for next sunday at 8) Do you have any idea what is happening? Thankx a lot Wentu

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  • mysql query to dynamically convert row data to columns

    - by Anirudh Goel
    I am working on a pivot table query. The schema is as follows Sno, Name, District The same name may appear in many districts eg take the sample data for example 1 Mike CA 2 Mike CA 3 Proctor JB 4 Luke MN 5 Luke MN 6 Mike CA 7 Mike LP 8 Proctor MN 9 Proctor JB 10 Proctor MN 11 Luke MN As you see i have a set of 4 distinct districts (CA, JB, MN, LP). Now i wanted to get the pivot table generated for it by mapping the name against districts Name CA JB MN LP Mike 3 0 0 1 Proctor 0 2 2 0 Luke 0 0 3 0 i wrote the following query for this select name,sum(if(District="CA",1,0)) as "CA",sum(if(District="JB",1,0)) as "JB",sum(if(District="MN",1,0)) as "MN",sum(if(District="LP",1,0)) as "LP" from district_details group by name However there is a possibility that the districts may increase, in that case i will have to manually edit the query again and add the new district to it. I want to know if there is a query which can dynamically take the names of distinct districts and run the above query. I know i can do it with a procedure and generating the script on the fly, is there any other method too? I ask so because the output of the query "select distinct(districts) from district_details" will return me a single column having district name on each row, which i will like to be transposed to the column.

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  • An abundance of LINQ queries and expressions using both the query and method syntax.

    - by nikolaosk
    In this post I will be writing LINQ queries against an array of strings, an array of integers.Moreover I will be using LINQ to query an SQL Server database. I can use LINQ against arrays since the array of strings/integers implement the IENumerable interface. I thought it would be a good idea to use both the method syntax and the query syntax. There are other places on the net where you can find examples of LINQ queries but I decided to create a big post using as many LINQ examples as possible. We...(read more)

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  • Several Small, Specific, MySQL Query Cache Questions

    - by Robbie
    I've look all over the web and in the questions asked here about MySQL caching and most of them seem very non-specific about a couple of questions that I have about performance and MySQL query caching. Specifically I want answers to these questions, assume for all questions that I have the query cache enabled and it is of type 2, or "DEMAND": Is the query cache per table, per database, or per server? Meaning if I have the cache size set to X and have T tables and D databases will I be caching TX, DX, or X amount of data? If I have table T1 which I regularly use the SQL_CACHE hint on for SELECT queries and table T2 which I never do, when I query T2 with a SELECT query will it check through the cache first before performing the query? *Note: I don't want to use the SQL_NO_CACHE for all T2 queries.* Assume the same situation as in question 2. If I alter (INSERT, DELETE) table T2 will any processing be done on the cache? For answers to 2 and 3, is this processing time negligible if T2 is constantly being altered and is the target of a majority of my SELECT queries?

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  • How can I identify unknown query string fragments that are coming to my site?

    - by Jon
    In the Google Analytics content overview for a site that I work on, the home page is getting many pageviews with some unfamiliar query string fragments, example: /?jkId=1234567890abcdef1234567890abcdef&jt=1&jadid=1234567890&js=1&jk=key words&jsid=12345&jmt=1 (potentially identifiable IDs have been changed) It clearly looks like some kind of ad tracking info, but noone who works on the site knows where it comes from, and I haven't been able to find any useful information from searching. Is there some listing of common query string keys available anywhere? Alternatively, does anyone happen to know where these keys (jkId, jt, jadid, js, jk, jsid and jmt) might come from?

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  • insert array to mysql db function

    - by ganjan
    Hi. I have an array where the keys represent each column in my database. Now I want a function that makes a mysql update query. Something like $db['money'] = $money_input + $money_db; $db['location'] = $location $query = 'UPDATE tbl_user SET '; for($x = 0; $x < count($db); $x++ ){ $query .= $db something ".=." $db something } $query .= "WHERE username=".$username." ";

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  • Lucene Query Syntax

    - by Don
    Hi, I'm trying to use Lucene to query a domain that has the following structure Student 1-------* Attendance *---------1 Course The data in the domain is summarised below Course.name Attendance.mandatory Student.name ------------------------------------------------- cooking N Bob art Y Bob If I execute the query "courseName:cooking AND mandatory:Y" it returns Bob, because Bob is attending the cooking course, and Bob is also attending a mandatory course. However, what I really want to query for is "students attending a mandatory cooking course", which in this case would return nobody. Is it possible to formulate this as a Lucene query? I'm actually using Compass, rather than Lucene directly, so I can use either CompassQueryBuilder or Lucene's query language. For the sake of completeness, the domain classes themselves are shown below. These classes are Grails domain classes, but I'm using the standard Compass annotations and Lucene query syntax. @Searchable class Student { @SearchableProperty(accessor = 'property') String name static hasMany = [attendances: Attendance] @SearchableId(accessor = 'property') Long id @SearchableComponent Set<Attendance> getAttendances() { return attendances } } @Searchable(root = false) class Attendance { static belongsTo = [student: Student, course: Course] @SearchableProperty(accessor = 'property') String mandatory = "Y" @SearchableId(accessor = 'property') Long id @SearchableComponent Course getCourse() { return course } } @Searchable(root = false) class Course { @SearchableProperty(accessor = 'property', name = "courseName") String name @SearchableId(accessor = 'property') Long id }

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  • PHP: MySQL query duplicating update for no reason

    - by ThinkingInBits
    The code below is first the client code, then the class file. For some reason the 'deductTokens()' method is calling twice, thus charging an account double. I've been programming all night, so I may just need a second pair of eyes: if ($action == 'place_order') { if ($_REQUEST['unlimited'] == 200) { $license = 'extended'; } else { $license = 'standard'; } if ($photograph->isValidPhotographSize($photograph_id, $_REQUEST['size_radio'])) { $token_cost = $photograph->getTokenCost($_REQUEST['size_radio'], $_REQUEST['unlimited']); $order = new ImageOrder($_SESSION['user']['id'], $_REQUEST['size_radio'], $license, $token_cost); $order->saveOrder(); $order->deductTokens(); header('location: account.php'); } else { die("Please go back and select a valid photograph size"); } } ######CLASS CODE####### <?php include_once('database_classes.php'); class Order { protected $account_id; protected $cost; protected $license; public function __construct($account_id, $license, $cost) { $this->account_id = $account_id; $this->cost = $cost; $this->license = $license; } } class ImageOrder extends Order { protected $size; public function __construct($account_id, $size, $license, $cost) { $this->size = $size; parent::__construct($account_id, $license, $cost); } public function saveOrder() { //$db = Connect::connect(); //$account_id = $db->real_escape_string($this->account_id); //$size = $db->real_escape_string($this->size); //$license = $db->real_escape_string($this->license); //$cost = $db->real_escape_string($this->cost); } public function deductTokens() { $db = Connect::connect(); $account_id = $db->real_escape_string($this->account_id); $cost = $db->real_escape_string($this->cost); $query = "UPDATE accounts set tokens=tokens-$cost WHERE id=$account_id"; $result = $db->query($query); } } ?> When I die("$query"); directly after the query, it's printing the proper statement, and when I run that query within MySQL it works perfectly.

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