Next I am inserting into budcustomers table   --Customer INSERT INTO [dbo].[BudCustomers] ([LegalName] ,[EffectiveDate] ,[LawsonCustomerNumber] ,[ChangeReason] ,[ImportedRecord]
[Code] .....
Next I am inserting into budcontracts table but here in this table to insert i want the inserted terminalid and customerid column which are unqiue identity based.
So how to do that here in this query
--Contracts INSERT INTO [dbo].[BUDCONTRACTS] ([CONTRACTNAME] ,[CONTRACTNUMBER] ,[VERSIONSTARTDATE] ,[VERSIONTERMINATIONDATE]
SELECT EventID, Role, EventDuty, Qty, StartTime, EndTime, Hours FROM dbo.tblEventStaffRequired;
and SELECT EventID, Role, StartTime, EndTime, Hours, COUNT(ID) AS Booked FROM tblStaffBookings GROUP BY EventID, Role, StartTime, EndTime, Hours;
How can I join the results of the two by matching the columns EventID, Role, StartTime and EndTime in the two and have the following columns in output EventID, Role, EventDuty, Qty, StartTime, EndTime, Hours and Booked?
Case: Exporting Report to PDF/Printing/TIFF Report: Contains 1 table with 19 Columns. 1 column is static, the other 18 are visible at the users descretion. Report when printed/exported to pdf spans 2 pages naturally, 16 on the first page, 3 on the second, and the column widths have been adjusted to provide a perfect page span .
User A elects to hide two of the columns, and show the rest. The report complies and the viewable version is perfect, the excel export is perfect.. the PDF export on the first page causes every fith column, starting with the last column that was hidden to be expanded to take up additional width. On the spanned page, it renders the first column on that page correctly, then there is a white space gap equal to the width of the hidden columns and then the rest of the cells show with the last column expanded to take up the same width that the original 2 columns were going to take up, plus its width.
We have tried several different settings to see if it helps this issue or makes it worse. So far cangrow/canshrink/keep together have made no impact. It is not possible to increase the page size due to limited page size selection availablility for the client. There are far too many combinations of what the user can elect to show or hide to put together different tables to show and hide on the same report to remove this effect.
Any help or suggestion on this issue would be appreciated
HelloWhen I use a PreparedStatement (in jdbc) with the following query:SELECT store_groups_idFROM store_groupsWHERE store_groups_id IS NOT NULLAND type = ?ORDER BY group_nameIt takes a significantly longer time to run (the time it takes forexecuteQuery() to return ) than if I useSELECT store_groups_idFROM store_groupsWHERE store_groups_id IS NOT NULLAND type = 'M'ORDER BY group_nameAfter tracing the problem down, it appears that this is not preciselya java issue, but rather has to do with the underlying cost of runningparameterized queries.When I open up MS Enterprise Manager and type the same query in - italso takes far longer for the parameterized query to run when I usethe version of the query with bind (?) parameters.This only happens when the table in question is large - I am seeingthis behaviour for a table with > 1,000,000 records. It doesn't makesense to me why a parameterized query would run SLOWER than acompletely ad-hoc query when it is supposed to be more efficient.Furthermore, if one were to say that the reason for this behaviour isthat the query is first getting compliled and then the parameters aregetting sent over - thus resulting in a longer percieved executiontime - I would respond that if this were the case then A) it shouldn'tbe any different if it were run against a large or small table B) thisperformance hit should only be experienced the first time that thequery is run C) the performance hit should only be 2x the time for thenon-parameterized query takes to run - the difference in response timeis more like 4-10 times the time it takes for the non parameterizedversion to run!!!Is this a sql-server specific problem or something that would pertainto other databases as well? I there something about the coorect use ofbind parameters that I overall don't understand?If I can provide some hints in Java then this would be great..otherwise, do I need to turn/off certain settings on the databaseitself?If nothing else works, I will have to either find or write a wrapperaround the Statement object that acts like a prepared statement but inreality sends regular Statement objects to the JDBC driver. I wouldthen put some inteligence in the database layer for deciding whetherto use this special -hack- object or a regular prepared statementdepending on the expected overhead. (Obviously this logic would onlybe written in once place.. etc.. IoC.. ) HOWEVER, I would desperatelywant to avoid doing this.Please help :)
I have a business need to create a report by query data from a MS SQL 2008 database and display the result to the users on a web page. The report initially has 6 columns of data and 2 out of 6 have JSON data so the users request to have those 2 JSON columns parse into 15 additional columns (first JSON column has 8 key/value pairs and the second JSON column has 7 key/value pairs). Here what I have done so far:
I found a table value function (fnSplitJson2) from this link [URL]. Using this function I can parse a column of JSON data into a table. So when I use the function above against the first column (with JSON data) in my query (with CROSS APPLY) I got the right data back the but I got 8 additional rows of each of the row in my table. The reason for this side effect is because the function returned a table of 8 row (8 key/value pairs) for each json string data that it parsed.
1. First question: How do I modify my current query (see below) so that for each row in my table i got back one row with 19 columns.
SELECT A.ITEM1,A.ITEM2,A.ITEM3,A.ITEM4, B.* FROM PRODUCT A CROSS APPLY fnSplitJson2(A.ITEM5,NULL) B
If updated my query (see below)Â and call the function twice within the CROSS APPLY clause I got this error: "The multi-part identifier "A.ITEM6" could be be bound.
2. My second question: How to i get around this error?
SELECT A.ITEM1,A.ITEM2,A.ITEM3,A.ITEM4, B.*, C.* FROM PRODUCT A CROSS APPLY fnSplitJson2(A.ITEM5,NULL) B, Â fnSplitJson2(A.ITEM6,NULL) C
I am using Microsoft SQL Server 2008 R2 version. Windows 7 desktop.
I'd like to first figure out the count of how many rows are not the Current Edition have the following:
Second I'd like to be able to select the primary key of all the rows involved
Third I'd like to select all the primary keys of just the rows not in the current edition
Not really sure how to describe this without making a dataset
CREATE TABLE [Project].[TestTable1]( [TestTable1_pk] [int] IDENTITY(1,1) NOT NULL, [Source_ID] [int] NOT NULL, [Edition_fk] [int] NOT NULL, [Key1_fk] [int] NOT NULL, [Key2_fk] [int] NOT NULL,
[Code] .....
Group by fails me because I only want the groups where the Edition_fk don't match...
Here is My requirement, I'm not sure if this is possible. Creating table called master like col1, col2 col3, col4 , col5 ...Where Col1, col2 are updatable - this can be done easily
Col3, col4 are columns in another table but these can be just a read only ?? Is this possible ? this is possible with View but not friendly with share point CRUD...Col 5 is a computed column of col 2 and col5 ? if above step can be done then sure this can be done I guess.
I have query which retrieves multiple column vary from 5 to 15 based on input parameter passed.I am using table to map all this column.If column is not retrieved in the dataset(I am not talking abt Null data but column is completely missing) then I want to hide it in my report.
As I am creating the non-clustered indexes for the tables, I dont quite understand how dose it really matter to put the columns in the index key columns or put them into the included columns of the index?
I am really confused about that and I am looking forward to hearing from you and thank you very much again for your advices and help.
Here's another one of my bitchfest about stuff which annoy the *** out of me in SSIS (and no such problems in DTS):
Do you ever wonder how easy it was to set up text file to db transform in DTS - I had no problems at all. In SSIS - 1 spent half a day trying to figure out how to get proper column data types for text file - OF Course MS was brilliant enough to add "Suggest Types" feature to text file connection manager - BUT guess what - it sample ONLY 1000 rows - so I tried to change that number to 50000 and clicked ok - BUT ms changed it to 1000 without me noticing it - SO NO WONDER later on some of datatypes did not match. And boy what a fun it is to change the source columns after you have created a few transforms.
This s**hit just breaks... So a word about Derived Columns - pretty useful feature heh? ITs not f***ing useful if it DELETES SOME of the Code itself after there have been changes in dataflow. I cant say how pissed off im about that SSIS went ahead and deleted columns from flow & messed up derived columns just because the lineageIDs dont match.
Meta-data - it would be useful if you could change it and refresh it - im just sick and tired of it that it shows warnings and errors when there's nothing wrong - so after a change i need to doubleclick all my transforms so that those red & yellow boxes would disappear.
Oh and y I passionately dislike Derived columns - so you create new fields based on some data - you do some stuff - combine multiple columns to one, but you have no way saying remove the columns from the pipeline. Y you need it - well if you have 50K + rows with 30+ columns then its EXTRA useless memory overhead for your package.
Hopefully one day I will understand how SSIS works (not an ez task I say) - I might be able to spend more time on development and less time on my bitchfest - UNTIL then --> Another Day - Another Hassle with SSIS
Basically, I'm given a daily schedule on two separate rows for shift 1 and shift 2 for the same employee, I'm trying to align both shifts in one row as shown below in 'My desired results' section.
Sample Data:
;WITH SampleData ([ColumnA], [ColumnB], [ColumnC], [ColumnD]) AS ( SELECT 5060,'04/30/2015','05:30', '08:30' UNION ALL SELECT 5060, '04/30/2015','13:30', '15:30' UNION ALL SELECT 5060,'05/02/2015','05:30', '08:30' UNION ALL SELECT 5060, '05/02/2015','13:30', '15:30'
Hello,Using SQL Server 2000, I'm trying to put together a query that willtell me the following information about a view:The View NameThe names of the View's columnsThe names of the source tables used in the viewThe names of the columns that are used from the source tablesBorrowing code from the VIEW_COLUMN_USAGE view, I've got the codebelow, which gives me the View Name, Source Table Name, and SourceColumn Name. And I can easily enough get the View columns from thesyscolumns table. The problem is that I haven't figured out how tolink a source column name to a view column name. Any help would beappreciated.Garyselectv_obj.name as ViewName,t_obj.name as SourceTable,t_col.name as SourceColumnfromsysobjects t_obj,sysobjects v_obj,sysdepends dep,syscolumns t_colwherev_obj.xtype = 'V'and dep.id = v_obj.idand dep.depid = t_obj.idand t_obj.id = t_col.idand dep.depnumber = t_col.colidorder byv_obj.name,t_obj.name,t_col.name
I am working on a Statistical Reporting system where:
Data Repository: SQL Server 2005 Business Logic Tier: Views, User Defined Functions, Stored Procedures Data Access Tier: Stored Procedures Presentation Tier: Reporting ServicesThe end user will be able to slice & dice the data for the report by
different organizational hierarchies different number of layers within a hierarchy select a organization or select All of the organizations with the organizational hierarchy combinations of selection criteria, where this selection criteria is independent of each other, and also differeBelow is an example of 2 Organizational Hierarchies: Hierarchy 1
Country -> Work Group -> Project Team (Project Team within Work Group within Country) Hierarchy 2
Client -> Contract -> Project (Project within Contract within Client)Based on 2 different Hierarchies from above - here are a couple of use cases:
Country = "USA", Work Group = "Network Infrastructure", Project Team = all teams Country = "USA", Work Group = all work groups
How to implement the data interface (Stored Procs) to the Reports Implement the business logic to handle the different hierarchies & different number of levelsI did get help earlier in this forum for how to handle a parameter having a specific value or NULL value (to select "all") (WorkGroup = @argWorkGroup OR @argWorkGrop is NULL)
Any Ideas? Should I be doing this in SQL Statements or should I be looking to use Analysis Services.
I am planning to use transacational replication (instead of merge replication) on my SQL server 2000. My application is already live and is being used by real users.
How can I ensure that replicated data on different server would have exact same values of identity columns and date columns (where every I set default date to getdate())?
It is very important for me to have a mirror image of data (without using clustering servers).
Basically I need to get the SUM of the sum of three columns and all three columns have nulls. To make it more complicated, the result set must return the top 20 in order desc as well.
I keep facing different issues whether I try and use Coalesce, IsNull, Sum, count, anything. My query never returns anything but 0 or NULL regardless of if I am trying to build a CTE or just use a query.
So I'm using Col A to get the TOP 20 in order (which is fine) but also trying to add together the sums of Col A + Col B + Col C for each of the twenty rows...
I'd like to generate the calculated column SCORE based on various scenarios in the other columns. eg.
if n1<10 and n2<10 then i=i + 1 if n4-n3=1 then i=i + 1 if more than 2 consecutive numbers then i=i + 1
So, I need to build the score. I've tried the procedure below and it works as a pass or fail but is too limiting. I'd like something that increments the variable @test1.
declare @test1 int set @test1=0 select top 10 n1,n2,n3,n4,n5,n6, case when ( n1=2 and n2>5 ) then @test1+1 else @test1 end as t2 from allNumbers
I have a scenario that reminds me of a pivot table and I am wondering if there is a way to handle this in SQL.
I have four tables. Product Line, Item, Property, and Value.
A Product Line has many items and an item can have many property's and a property can have many values.
I want to select a product line and show all the items with the Property's as column headers and the Values as the data. The thing I am having trouble with is the property's for an item are variable from a few to a whole bunch.
Just to confirm, do identity columns and XML columns work OK with database mirroring ? That is, all data types are supported with mirroring, and identities aren't an issue ?
Transactional replication with identity columns was a right pain in the **** in SQL 2000. I'm assuming that mirroring doesn't have these issues, but want to be sure.
I have a problem and i wish i can get the answers or advices to solve it.
i have like 20 excel files and in each file there is 1 sheet (Planning) . What i need to do is to loop on the on the 20 files (actually this is the easy part and i already done it) the hard part is while looping i need to open each excel file and loop on the 256 columns in it and extract the data from it to a SQL server Database.
Can someone please explain the difference between Output and External columns? I can't fathom why "Output" columns aren't good enough. In other words, what is there a need or value in having two types of "output" columns?
So I have been trying to get mySQL query to work for a large database that I have. I have (lets say) two tables Table_One and Table_Two. Table_One has three columns: Type, Animal and TestID and Table_Two has 2 columns Test_Name and Test_ID. Example with values is below:
In Table_One all types come under one column and the values of all Types (Mammal, Fish, Bird, Reptile) come under another column (Animals). Table_One and Two can be linked by Test_ID
I am trying to create a table such as shown below:
This should be my final table. The approach I am currently using is to make multiple instances of Table_One and using joins to form this final table. So the column Bird, Reptile, Mammal and Fish all come from a different copy of Table_one.
For e.g
Select Test_Name AS 'Test_Name', Table_Bird.Animal AS 'Birds', Table_Mammal.Animal AS 'Mammal', Table_Reptile.Animal AS 'Reptile, Table_Fish.Animal AS 'Fish' From Table_One
[Code] .....
The problem with this query is it only works when all entries for Birds, Mammals, Reptiles and Fish have some value. If one field is empty as for Test_Two or Test_Three, it doesn't return that record. I used Or instead of And in the WHERE clause but that didn't work as well.
TRANAMT being the amount paid & TOTBAL being the balance due per the NAMEID & RMPROPID specified.The other table includes a breakdown of the total balance, in a manner of speaking, by charge code (thru a SUM(OPENAMT) query of DISTINCT CHGCODE
Also with a remaining balance (per CHGCODE) column. Any alternative solution that would effectively split the TABLE1.TRANAMT up into the respective TABLE2.CHGCODE balances? Either way, I can't figure out how to word the queries.
Adding more columns in a matrix report that don€™t belong to the columns drilldown dimensions€¦
That is, for example, having the following report:
Product Family
Product
Country City Number of units sold
Then I would add some ratios, that is, Units Sold/Months (sold per month) and other that is the average for Product Family (Units Sold/Number of Product Family), for putting an example€¦ some columns should be precalculated prior to the report so do not get into it, the real problem I don€™t see how to solve is adding one or two columns for showing these calculated column that doesn€™t depend on the column groups but they do for the rows groups€¦
Any guidance on that?
The only way I am seeing by now is to set it as two different reports, and that is not what my client wants€¦
Hi, I am using visual web developer2005 express edition and finding hard time to get my query run in this i am making my own login page as i have few more things to ask to user before they get logged in so i am not using the login control. i want to write my own query without help of sqlDataSource control from start something like sqldatasource con=new sqldatasource; con.connection String="" then what all things will come........ ??? and please give me some poitners to some articles which help one to do the requested.
I have an update query which either inserts a row or increases quantity, depending if row exists or not. It works, better than my explanation probably.After that query could be a good time to count total of all calculated sub sums.Something like this. previous queryEND goSELECT SUM(SubTotal)FROM dbo.t_Shoppings I have tried this on the tool which has a long name, but I think my way didn't work. (Microsoft sql server management studio express)Is this possible or do I have make and call another stored procedure.I can send my sp if someone wants.
2 queries together, in a single stored procedure Select top 20 * from Product where Active=1select Count( *) from product if i execute such one how can i get the 2 results in vb/c# ?
Not sure if I've got the correct place for this question. But, I'm trying to create and sql query to list the lates 10 items in a database. So far I haven't had any luck finding this.
All I have is a normal query (below). Can anyone help me please?
SELECT * FROM pages WHERE show = 'yes' ORDER BY id Desc;
Hi,I have 5 tables in sql database, naming Book, Category, Subject, UserDownload, User.In Book table, BookID, BookTitle, CategoryIDIn Category table, CategoryID, CategoryNameIn Subject table, SubjectID, SubjectName, CategoryIDIn UserDownload table, UserID, BookIDIn User table, UserID, UserNameI used Book to store information of books. Those books has many categories. In those categories, there is also some subjects.When user downloads book, I update UserDownload table.The result I want to get is, Top Ten Download Subject. How can I get? Please help me.
I just upsized my Access2K db to SQL. I am using Front Page 2000 for my website. When I had the database as Access, I was able to use one of my Access queries as my record source for my data base. I was able to choose between my queries AND my tables as the source for my records. Now that I've upsized, I am no longer given that choice. My only choices are the tables. Unfortunately, my database is designed to pull records from a query, not just a table. So my question is, in FP2000, how do I use a QUERY from my newly upsized SQL db as my record source?