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  • how do i get name of the month in ruby on Rails?

    - by necker
    so i create in my view: <%=date=Date.today%> How do i get the name of the month out of the date? I was trying to do sth like <%= DATE::ABBR_MONTHNAMES(date.month)%> But without success. I keep getting an error: uninitialized constant ActionView::Base::CompiledTemplates::MONTHNAMES How do i initialise the constant or is there any other way to get the name out of the Date format? would greatly appreciate any answers!

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  • Create a trigger on Oracle Databae that updates the field in a table when a field in onether table i

    - by GigaPr
    Hi, i have two tables Order(id, date, note) and Delivery(Id, Note, Date) I want to create a trigger that updates the date in delivery when the date is updated in Order I was thinking to do something like CREATE OR REPLACE TRIGGER your_trigger_name BEFORE UPDATE ON Order DECLARE BEGIN UPDATE Delivery set date = ??? where id = ??? END; How do i get the date and row id? thanks

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  • A logical problem with two tables

    - by Luke
    Hey guys, I created a list for fixtures. $result = mysql_query("SELECT date FROM ".TBL_FIXTURES." WHERE compname = '$comp_name' GROUP BY date"); $i = 1; $d = "Start"; while ($row = mysql_fetch_assoc($result)) { $odate = $row['date']; $date=date("F j Y", $row['date']); echo "<p>Fixture $i - $d to $date</p>"; } As you can see from the query, the date is displayed from the fixtures table. The way my system works is that when a fixture is "played", it is removed from this table. Therefore when the entire round of fixtures are complete, there wont be any dates for that round in this table. They will be in another table. Is there anyway I can run an other query for dates at the same time, and display only dates from the fixtures table if there isnt a date in the results table? "SELECT * FROM ".TBL_CONF_RESULTS." WHERE compid = '$_GET[id]' && type2 = '2' ORDER BY date" That would be the second query!

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  • How should i store availability calendar information in mysql? for [id] [date] [available/unavailab

    - by Haroldo
    I'm building a simple calendar for holiday cottages to show when they are booked or available. What would be the fastest mysql table design for this, bearing in mind when users mark dates as available/booked they will do so via a start date and an end date. i can see 2 obvious options Store 'booked' data for every day [more rows] or, store 'booked' data with 2 columns a start_date and end_date [more processing?] Which is best or is there another method i'm missing?

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  • How to display after 4 week date from now?I want to pass an argument.

    - by vinothkumar
    echo date( "F jS, Y" , strtotime("now +3 weeks") ); It gives the result as July 2nd, 2010 . Fine.Now I want to pass the argument like this. The original print_r($originalamount) give the result like this Array ( [0] = 4 Months [1] = 3500 ) My code $text=trim($originalamount[0]); $text1="now +".$text; echo date( "F jS, Y" , strtotime($text1)) ; The out put come like this December 31st, 1969 I dont know why?

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  • Is there an in memory database that supports the DATE function?

    - by Chris J
    Hi, I am doing some unit testing for a DAO that works with postgresql. Some of the SQL queries that my DAO uses involve the DATE function. Is there an in-memory database that supports functions similar to the ones that postgresql does? Currently I am looking for support for the DATE function however, I obviously can see myself using other functions in the future.

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  • Create a trigger that updates a column on one table when a column in another table is updated

    - by GigaPr
    Hi, i have two tables Order(id, date, note) and Delivery(Id, Note, Date) I want to create a trigger that updates the date in Delivery when the date is updated in Order. I was thinking to do something like CREATE OR REPLACE TRIGGER your_trigger_name BEFORE UPDATE ON Order DECLARE BEGIN UPDATE Delivery set date = ??? where id = ??? END; How do I get the date and row id? thanks

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  • Different data for different dates

    - by nsw1475
    I am making a web page which will allow users to input and view data for different dates, and to change the date, there are two buttons, one of which will display the previous day, and one which will show the next day. I know that I can do this by submitting forms and reloading the page every time they press one of these buttons, but I would rather use javascript and not have to submit a form, but I am having troubles getting it to work. Currently, I have the two buttons, and the date stored in a PHP variable, as shown in my code below: <script> function init() { <? $nutrDate = $this->parseDate(date('m/d/Y')); ?> } function nutrPrevDay() { <? $nutrDate = mktime(0, 0, 0, date('m',$nutrDate), date('d',$nutrDate)-1, date('Y',$nutrDate)); ?> alert("<? echo(date("m/d/y", $nutrDate)) ?>"); } function nutrNextDay() { <? $nutrDate = mktime(0, 0, 0, date('m',$nutrDate), date('d',$nutrDate)+1, date('Y',$nutrDate)); ?> } window.onload = init; </script> <p style="text-align:center; font-size:14px; color:#03F"> <button onclick="nutrPrevDay()" style="width:200px" >< Show Previous Day</button> <? echo(date('m/d/Y', $nutrDate)) ?> <button onclick="nutrNextDay()" style="width:200px">Show Next Day ></button> </p> I have the alert in the nutrPrevDay() only as debugging. What happens is when I click on the button, the alert shows that the day is correctly decreased (for example from May 17 to May 16), but only decreases one day, and not one day for every click. Also, I do not know how to make the text on the page (created by the line ) change to display the new date after a button is clicked. So here are my questions: 1) Is it possible to dynamically change data (such as text, and in the future, SQL queries) on a page using javascript without having to reload a page when clicking on a button? 2) If possible, how can I make those changes? 3) How can I fix this so that it will increment and decrement through dates every time a button is clicked?

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  • Select a record with highest amount by joining two tables

    - by user2516394
    I've 2 tables Sales & Purchase, Sales table with fields SaleId, Rate, Quantity, Date, CompanyId, UserID. Purchase table with fields PurchaseId, Rate, Quantity, Date, CompanyId, UserID. I want to select a record from either table that have highest Rate*Quantity. SELECT SalesId Or PurchaseId FROM Sales,Purchase where Sales.UserId=Purchase.UserId and Sales.CompanyId=Purchase.CompanyId AND Sales.Date=Current date AND Purchase.Date=Current date AND Sales.UserId=1 AND Purchase.UserId=1 AND Sales.CompanyId=1 AND Purchase.ComoanyId=1

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  • Implementation details of database synchronisation API

    - by Daniel
    I want to achieve a database synchronisation between my server database and a client application. The server would run MySQL and the applications may run different database technologies, their implementation isn't important. I have a MySQL database online and web accessible via an API I wrote in PHP (just a detail). My client application ships with a copy of the online data. As time passes my goal is to check for any changes in the online database and make these updates available to the client app via an API call, by sending a date to an API endpoint corresponding to the last date the app was updated, the response would be a JSON filled with all new objects and updated objects, and delete IDs, this makes possible to update the local store appropriately. Essentially I want to do this: http://dbconvert.com/synchronization.php My question is about the implementation details. Would I need to add a column to my database tables with a "last modified" date? Since the client app could be very out of date if it's been offline for a long time, does that also mean I shouldn't delete data from the online database but instead have another column called "delete" set to 1 and a modified date updated appropriately? Would my SQL query simply check for all data with a modified date superior then the date passed into the API request by the client? I feel like there's a lot more to it then having a ton of dates everywhere. And also, worry that I will need to persist a lot of old data in order to ensure that old versions of the client app always have the opportunity to delete parts of their data when they are able to sync.

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  • Redirecting to a dynamic page

    - by binarydev
    I have a page displaying blog posts (latest_posts.php) and another page that display single blog posts (blog.php) . I intend to link the image title in latest_posts.php so that it redirects to blog.php where it would display the particular post that was clicked. latest_posts.php: <!-- Header --> <h2 class="underline"> <span>What&#039;s new</span> <span></span> </h2> <!-- /Header --> <!-- Posts list --> <ul class="post-list post-list-1"> <?php /* Fetches Date/Time, Post Content and title */ include 'dbconnect.php'; $sql = "SELECT * FROM wp_posts"; $res = mysql_query($sql); while ( $row = mysql_fetch_array($res) ) { ?> <!-- Post #1 --> <li class="clear-fix"> <!-- Date --> <div class="post-list-date"> <div class="post-date-box"> <?php //Timestamp broken down to show accordingly $timestamp = $row['post_date']; $datetime = new DateTime($timestamp); $date = $datetime->format("d"); $month = $datetime->format("M"); ?> <h3> <?php echo $date; ?> </h3> <span> <?php echo $month; ?> </span> </div> </div> <!-- /Date --> <!-- Image + comments count --> <div class="post-list-image"> <!-- Image --> <div class="image image-overlay-url image-fancybox-url"> <a href="post.php" class="preloader-image"> <?php echo '<img src="', $row['image'], '" alt="' , $row['post_title'] , '\'s Blog Image" />'; ?> </a> </div> <!-- /Image --> </div> <!-- /Image + comments count --> <!-- Content --> <div class="post-list-content"> <div> <!-- Header --> <h4> <a href="post.php? . $row['ID'] . "> <?php echo $row['post_title']; ?> </a> </h4> <!-- /Header --> <!-- Excerpt --> <p> <?php echo $row ['post_content']; }?> </p> <!-- /Excerpt --> </div> </div> <!-- /Content --> </li> <!-- /Post #1 --> </ul> <!-- /Posts list --> <a href="blog.php" class="button-browse">Browse All Posts</a> </div> <?php require_once('include/twitter_user_timeline.php'); ?> blog.php: <?php require_once('include/header.php'); ?> <body class="blog"> <?php require_once('include/navigation_bar_blog.php'); ?> <div class="blog"> <div class="main"> <!-- Header --> <h2 class="underline"> <span>What&#039;s new</span> <span></span> </h2> <!-- /Header --> <!-- Layout 66x33 --> <div class="layout-p-66x33 clear-fix"> <!-- Left column --> <!-- <div class="column-left"> --> <!-- Posts list --> <ul class="post-list post-list-2"> <?php /* Fetches Date/Time, Post Content and title with Pagination */ include 'dbconnect.php'; //sets to default page if(empty($_GET['pn'])){ $page=1; } else { $page = $_GET['pn']; } // Index of the page $index = ($page-1)*3; $sql = "SELECT * FROM `wp_posts` ORDER BY `post_date` DESC LIMIT " . $index . " ,3"; $res = mysql_query($sql); //Loops through the values while ( $row = mysql_fetch_array($res) ) { ?> <!-- Post #1 --> <li class="clear-fix"> <!-- Date --> <div class="post-list-date"> <div class="post-date-box"> <?php //Timestamp broken down to show accordingly $timestamp = $row['post_date']; $datetime = new DateTime($timestamp); $date = $datetime->format("d"); $month = $datetime->format("M"); ?> <h3> <?php echo $date; ?> </h3> <span> <?php echo $month; ?> </span> </div> </div> <!-- /Date --> <!-- Image + comments count --> <div class="post-list-image"> <!-- Image --> <div class="image image-overlay-url image-fancybox-url"> <a href="post.php" class="preloader-image"> <?php echo '<img src="', $row['image'], '" alt="' , $row['post_title'] , '\'s Blog Image" />'; ?> </a> </div> <!-- /Image --> </div> <!-- /Image + comments count --> <!-- Content --> <div class="post-list-content"> <div> <?php $id = $_GET['ID']; $post = lookup_post_somehow($id); if($post) { // render post } else { echo 'blog post not found..'; } ?> <!-- Header --> <h4> <a href="post.php"> <?php echo $row['post_title']; ?> </a> </h4> <!-- /Header --> <!-- Excerpt --> <p> <?php echo $row ['post_content']; ?> </p> <!-- /Excerpt --> </div> </div> <!-- /Content --> </li> <!-- /Post #1 --> <?php } // close while loop ?> </ul> <!-- /Posts list --> <div><!-- Pagination --> <ul class="blog-pagination clear-fix"> <?php //Count the number of rows $numberofrows = mysql_query("SELECT COUNT(ID) FROM `wp_posts`"); //Do ciel() to round the result according to number of posts $postsperpage = 4; $numOfPages = ceil($numberofrows / $postsperpage); for($i=1; $i < $numOfPages; $i++) { //echos links for each page $paginationDisplay = '<li><a href="blog.php?pn=' . $i . '">' . $i . '</a></li>'; echo $paginationDisplay; } ?> <!-- <li><a href="#" class="selected">1</a></li> <li><a href="#">2</a></li> <li><a href="#">3</a></li> <li><a href="#">4</a></li> --> </ul> </div><!-- /Pagination --> <!-- /div> --> <!-- Left column --> </div> <!-- /Layout 66x33 --> </div> </div> <?php require_once('include/twitter_user_timeline.php'); ?> <?php require_once('include/footer_blog.php'); ?> How do I render?

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  • Reportviewer stored procedure [closed]

    - by Liesl
    I want to write a stored procedure for my invoice reportviewer. After invoice is generated in reportviewer it must also add the data to my Invoice table. This is all my tables in my database: CREATE TABLE [dbo].[Waybills]( [WaybillID] [int] IDENTITY(1,1) NOT NULL, [SenderName] [varchar](50) NULL, [SenderAddress] [varchar](50) NULL, [SenderContact] [int] NULL, [ReceiverName] [varchar](50) NULL, [ReceiverAddress] [varchar](50) NULL, [ReceiverContact] [int] NULL, [UnitDescription] [varchar](50) NULL, [UnitWeight] [int] NULL, [DateReceived] [date] NULL, [Payee] [varchar](50) NULL, [CustomerID] [int] NULL, PRIMARY KEY CLUSTERED CREATE TABLE [dbo].[Customer]( [CustomerID] [int] IDENTITY(1,1) NOT NULL, [customerName] [varchar](30) NULL, [CustomerAddress] [varchar](30) NULL, [CustomerContact] [varchar](30) NULL, [VatNo] [int] NULL, CONSTRAINT [PK_Customer] PRIMARY KEY CLUSTERED ) CREATE TABLE [dbo].[Cycle]( [CycleID] [int] IDENTITY(1,1) NOT NULL, [CycleNumber] [int] NULL, [StartDate] [date] NULL, [EndDate] [date] NULL ) ON [PRIMARY] CREATE TABLE [dbo].[Payments]( [PaymentID] [int] IDENTITY(1,1) NOT NULL, [Amount] [money] NULL, [PaymentDate] [date] NULL, [CustomerID] [int] NULL, PRIMARY KEY CLUSTERED Create table Invoices ( InvoiceID int IDENTITY(1,1), InvoiceNumber int, InvoiceDate date, BalanceBroughtForward money, OutstandingAmount money, CustomerID int, WaybillID int, PaymentID int, CycleID int PRIMARY KEY (InvoiceID), FOREIGN KEY (CustomerID) REFERENCES Customer(CustomerID), FOREIGN KEY (WaybillID) REFERENCES Waybills(WaybillID), FOREIGN KEY (PaymentID) REFERENCES Payments(PaymentID), FOREIGN KEY (CycleID) REFERENCES Cycle(CycleID) ) I want my sp to find all waybills for specific customer in a specific cycle with payments made from this client. All this data must then be added into the INVOICE table. Can someone please help me or show me on the right direction? create proc GenerateInvoice @StartDate date, @EndDate date, @Payee varchar(30) AS SELECT Waybills.WaybillNumber Waybills.SenderName, Waybills.SenderAddress, Waybills.SenderContact, Waybills.ReceiverName, Waybills.ReceiverAddress, Waybills.ReceiverContact, Waybills.UnitDescription, Waybills.UnitWeight, Waybills.DateReceived, Waybills.Payee, Payments.Amount, Payments.PaymentDate, Cycle.CycleNumber, Cycle.StartDate, Cycle.EndDate FROM Waybills CROSS JOIN Payments CROSS JOIN Cycle WHERE Waybills.ReceiverName = @Payee AND (Waybills.DateReceived BETWEEN (@StartDate) AND (@EndDate)) Insert Into Invoices (InvoiceNumber, InvoiceDate, BalanceBroughtForward, OutstandingAmount) Values (@InvoiceNumber, @InvoiceDate, @BalanceBroughtForward, @ OutstandingAmount) go

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  • Inactive users in windows server after some time according to first login instead of defining a solid expiration date

    - by smhnaji
    We want to give access to some Windows Server users so they can remotely have access to our server and download from a special folder of the server. The licenses we give to users, are time base. There should be 1 month, 2 month, ..., 1 year, ... licenses. CURRENT SITUATION (WHAT I DON'T WANT): When users are created and added to the OS, a solid expiration date is given. WHAT I WANT: Users' expiration date should be calculated automatically after first login. The user might not need his account right when purchases the license. In another words: When a license of the user we create is purchased at Jan 1st, he should use the license until Feb 1st. No matter whether he really logs in or not. He cannot come Feb 5th and begin using his license because that has expired then. What I want is that when he comes at Feb 5th and begins using, the license update until March 5th. CLARIFICATION (Update after MDMarra's comment) Working environment is Windows Server 2012. By the word 'user', I mean Native Windows Server Users. Whenever a new person purchases a license with me, I create them manually using net user command like this: net user ali pass /add /expires:2013-12-25

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  • How to inactive Active Directory users, 1 month after their FIRST LOGIN, instead of defining a solid expiration date

    - by smhnaji
    We want to give access to some Active Directory users, so they can remotely have access to our server and download from a special folder of the server. The licenses we give to users, are time base. There should be 1 month, 2 month, ..., 1 year, ... licenses. CURRENT SITUATION (WHAT I DON'T WANT): When users are created and added to the OS, a solid expiration date is given. WHAT I WANT: Users' expiration date should be calculated automatically after the first login. The user might not need his account right when purchases the license. In other words: When a license of the user we create is purchased at Jan 1st, he should use the license until Feb 1st. No matter whether he really logs in or not. He cannot come Feb 5th and begin using his license because that has expired then. What I want is that when he comes at Feb 5th and begins using, the license update until March 5th. Working environment is Windows Server 2012. By the word 'user', I mean Active Directory Users.

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  • How to ensure local file is up-to-date or ahead (dropbox sync) before truecrypt auto-mount it?

    - by user620965
    There are a lot tutorials out there that states that dropbox build-in encryption is not secure enought. That tutorials recommands to sync a truecrypt container file to have all files in it securely encrypted. This setup is know to be limited. You can NOT have that truecrypt container file mounted on the same time on more than one location - if you have inserted changes to the contents of the container in more then one location at a time then this setup produces a conflict on the container file in the dropbox system - resulting in one container file for each location. In my case that issue is not relevant - i do not use my data on more than one location at a time. I want to use the auto-mount feature of truecrypt on startup of windows 7 to have a zero configuration environment - and start working right away. But i want to ensure that the local truecrypt container file is up-to-date before truecrypt mounts it automatically - imagine you updated the contents of the container on your primary location and your secondary location was off for a long time. In that case it can take "a long time" till dropbox sync is complete (e.g. depending on your internet connection and the size of the container file). There is a option in truecrypt that ensures that truecrypt do not update the timestamp of the container file - which speeds up the sync, because dropbox client is doing a differential sync then instead of a time consuming full-sync. That is an improvement to that setup, but this do not fix my issue. The question is how to make the auto-mount function wait for the container file to be up-to-date (updated by dropbox)? In contrast: if the file was changed local, but remote file (in the dropbox cloud system) is still old (not jet updated by the sync process / or process is progress), should not make truecrypt to wait for the sync. Suggestions?

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  • Working with packed dates in SSIS

    - by Jim Giercyk
    One of the challenges recently thrown my way was to read an EBCDIC flat file, decode packed dates, and insert the dates into a SQL table.  For those unfamiliar with packed data, it is a way to store data at the nibble level (half a byte), and was often used by mainframe programmers to conserve storage space.  In the case of my input file, the dates were 2 bytes long and  represented the number of days that have past since 01/01/1950.  My first thought was, in the words of Scooby, Hmmmmph?  But, I love a good challenge, so I dove in. Reading in the flat file was rather simple.  The only difference between reading an EBCDIC and an ASCII file is the Code Page option in the connection manager.  In my case, I needed to use Code Page 1140 for EBCDIC (I could have also used Code Page 37).       Once the code page is set correctly, SSIS can understand what it is reading and it will convert the output to the default code page, 1252.  However, packed data is either unreadable or produces non-alphabetic characters, as we can see in the preview window.   Column 1 is actually the packed date, columns 0 and 2 are the values in the rest of the file.  We are only interested in Column 1, which is a 2 byte field representing a packed date.  We know that 2 bytes of packed data can be stored in 1 byte of character data, so we are working with 4 packed digits in 2 character bytes.  If you are confused, stay tuned….this will make sense in a minute.   Right-click on your Flat File Source shape and select “Show Advanced Editor”. Here is where the magic begins. By changing the properties of the output columns, we can access the packed digits from each byte. By default, the Output Column data type is DT_STR. Since we want to look at the bytes individually and not the entire string, change the data type to DT_BYTES. Next, and most important, set UseBinaryFormat to TRUE. This will write the HEX VALUES of the output string instead of writing the character values.  Now we are getting somewhere! Next, you will need to use a Data Conversion shape in your Data Flow to transform the 2 position byte stream to a 4 position Unicode string containing the packed data.  You need the string to be 4 bytes long because it will contain the 4 packed digits.  Here is what that should look like in the Data Conversion shape: Direct the output of your data flow to a test table or file to see the results.  In my case, I created a test table.  The results looked like this:     Hold on a second!  That doesn't look like a date at all.  No, of course not.  It is a hex number which represents the days which have passed between 01/01/1950 and the date.  We have to convert the Hex value to a decimal value, and use the DATEADD function to get a date value.  Luckily, I have created a function to convert Hex to Decimal:   -- ============================================= -- Author:        Jim Giercyk -- Create date: March, 2012 -- Description:    Converts a Hex string to a decimal value -- ============================================= CREATE FUNCTION [dbo].[ftn_HexToDec] (     @hexValue NVARCHAR(6) ) RETURNS DECIMAL AS BEGIN     -- Declare the return variable here DECLARE @decValue DECIMAL IF @hexValue LIKE '0x%' SET @hexValue = SUBSTRING(@hexValue,3,4) DECLARE @decTab TABLE ( decPos1 VARCHAR(2), decPos2 VARCHAR(2), decPos3 VARCHAR(2), decPos4 VARCHAR(2) ) DECLARE @pos1 VARCHAR(1) = SUBSTRING(@hexValue,1,1) DECLARE @pos2 VARCHAR(1) = SUBSTRING(@hexValue,2,1) DECLARE @pos3 VARCHAR(1) = SUBSTRING(@hexValue,3,1) DECLARE @pos4 VARCHAR(1) = SUBSTRING(@hexValue,4,1) INSERT @decTab VALUES (CASE               WHEN @pos1 = 'A' THEN '10'                 WHEN @pos1 = 'B' THEN '11'               WHEN @pos1 = 'C' THEN '12'               WHEN @pos1 = 'D' THEN '13'               WHEN @pos1 = 'E' THEN '14'               WHEN @pos1 = 'F' THEN '15'               ELSE @pos1              END, CASE               WHEN @pos2 = 'A' THEN '10'                 WHEN @pos2 = 'B' THEN '11'               WHEN @pos2 = 'C' THEN '12'               WHEN @pos2 = 'D' THEN '13'               WHEN @pos2 = 'E' THEN '14'               WHEN @pos2 = 'F' THEN '15'               ELSE @pos2              END, CASE               WHEN @pos3 = 'A' THEN '10'                 WHEN @pos3 = 'B' THEN '11'               WHEN @pos3 = 'C' THEN '12'               WHEN @pos3 = 'D' THEN '13'               WHEN @pos3 = 'E' THEN '14'               WHEN @pos3 = 'F' THEN '15'               ELSE @pos3              END, CASE               WHEN @pos4 = 'A' THEN '10'                 WHEN @pos4 = 'B' THEN '11'               WHEN @pos4 = 'C' THEN '12'               WHEN @pos4 = 'D' THEN '13'               WHEN @pos4 = 'E' THEN '14'               WHEN @pos4 = 'F' THEN '15'               ELSE @pos4              END) SET @decValue = (CONVERT(INT,(SELECT decPos4 FROM @decTab)))         +                 (CONVERT(INT,(SELECT decPos3 FROM @decTab))*16)      +                 (CONVERT(INT,(SELECT decPos2 FROM @decTab))*(16*16)) +                 (CONVERT(INT,(SELECT decPos1 FROM @decTab))*(16*16*16))     RETURN @decValue END GO     Making use of the function, I found the decimal conversion, added that number of days to 01/01/1950 and FINALLY arrived at my “unpacked relative date”.  Here is the query I used to retrieve the formatted date, and the result set which was returned: SELECT [packedDate] AS 'Hex Value',        dbo.ftn_HexToDec([packedDate]) AS 'Decimal Value',        CONVERT(DATE,DATEADD(day,dbo.ftn_HexToDec([packedDate]),'01/01/1950'),101) AS 'Relative String Date'   FROM [dbo].[Output Table]         This technique can be used any time you need to retrieve the hex value of a character string in SSIS.  The date example may be a bit difficult to understand at first, but with SSIS becoming the preferred tool for enterprise level integration for many companies, there is no doubt that developers will encounter these types of requirements with regularity in the future. Please feel free to contact me if you have any questions.

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  • Do the ‘up to date’ guarantees for values of Java's final fields extend to indirect references?

    - by mattbh
    The Java language spec defines semantics of final fields in section 17.5: The usage model for final fields is a simple one. Set the final fields for an object in that object's constructor. Do not write a reference to the object being constructed in a place where another thread can see it before the object's constructor is finished. If this is followed, then when the object is seen by another thread, that thread will always see the correctly constructed version of that object's final fields. It will also see versions of any object or array referenced by those final fields that are at least as up-to-date as the final fields are. My question is - does the 'up-to-date' guarantee extend to the contents of nested arrays, and nested objects? An example scenario: Thread A constructs a HashMap of ArrayLists, then assigns the HashMap to final field 'myFinal' in an instance of class 'MyClass' Thread B sees a (non-synchronized) reference to the MyClass instance and reads 'myFinal', and accesses and reads the contents of one of the ArrayLists In this scenario, are the members of the ArrayList as seen by Thread B guaranteed to be at least as up to date as they were when MyClass's constructor completed? I'm looking for clarification of the semantics of the Java Memory Model and language spec, rather than alternative solutions like synchronization. My dream answer would be a yes or no, with a reference to the relevant text.

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  • How to make Nlog archive a file with the date when the logging took place.

    - by Carl Bergquist
    Hi, We are using Nlog as our logging framework and I cannot find a way to archive files the way I want. I would like to have the date of when the logging took place in the logging file name. Ex All logging that happend from 2009-10-01 00:00 -> 2009-10-01:23:59 should be placed in Log.2009-10-01.log The current NLog.config that I use looks like this. <?xml version="1.0" encoding="utf-8" ?> <nlog xmlns="http://www.nlog-project.org/schemas/NLog.xsd" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" > <extensions> <add assembly="My.Awesome.LoggingExentions"/> </extensions> <targets> <target name="file1" xsi:type="File" fileName="${basedir}/Logs/Log.log" layout="${longdate} ${level:uppercase=true:padding=5} ${session} ${storeid} ${msisdn} - ${logger:shortName=true} - ${message} ${exception:format=tostring}" archiveEvery="Day" archiveFileName="${basedir}/Logs/Log${shortdate}-{#}.log" archiveNumbering="Sequence" maxArchiveFiles="99999" keepFileOpen="true" /> </targets> <rules> <logger name="*" minlevel="Trace" writeTo="file1" /> </rules> </nlog> This however sets the date in the logfile to the date when the new logfile is created. Which cause frustration when you want to read logs later. It also seems like I have to have atleast on # in the archiveFileName, which I rather not. So if you got a solution for that also I would be twice as thankful =)

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  • Calculate location and number of intersections between multiple date/time ranges?

    - by Patricker
    I need to calculate the location of intersections between multiple date ranges, and the number of overlapping intersections. Then I need to show which date/time ranges overlap each of those intersecting sections. It is slightly more complicated than that so I'll do my best to explain by providing an example. I am working in VB.Net, but C# examples are acceptable as well as I work in both. We have several high risk tasks that involve the same system. Below I have three example jobs named HR1/2/3/4 with start and end date/times. HR1 {1/6/2010 10:00 - 1/6/2010 15:00} HR2 {1/6/2010 11:00 - 1/6/2010 18:00} HR3 {1/6/2010 12:00 - 1/6/2010 14:00} HR4 {1/6/2010 18:00 - 1/6/2010 20:00} What I want the end result to be is shown below. I am having trouble describing it any way but by example. HRE1 {1/6/2010 10:00 - 1/6/2010 11:00} - Intersects 1 {End Time Split 1, for readability only, not needed in solution} HRE1 {1/6/2010 11:00 - 1/6/2010 12:00} - Intersects 2 HRE2 {1/6/2010 11:00 - 1/6/2010 12:00} - Intersects 2 {End Time Split 2, for readability only, not needed in solution} HRE1 {1/6/2010 12:00 - 1/6/2010 14:00} - Intersects 3 HRE2 {1/6/2010 12:00 - 1/6/2010 14:00} - Intersects 3 HRE3 {1/6/2010 12:00 - 1/6/2010 14:00} - Intersects 3 {End Time Split 3, for readability only, not needed in solution} HRE1 {1/6/2010 14:00 - 1/6/2010 15:00} - Intersects 2 HRE2 {1/6/2010 14:00 - 1/6/2010 15:00} - Intersects 2 {End Time Split 4, for readability only, not needed in solution} HRE2 {1/6/2010 15:00 - 1/6/2010 18:00} - Intersects 1 {End Time Split 5, for readability only, not needed in solution} HR4 {1/6/2010 18:00 - 1/6/2010 20:00} - Intersects 1 Any help would be greatly appreciated.

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