How Can I Get The Cumulative Sum Of A Field In A Table
Aug 29, 2007
For Eg.
I have a table like gias given below:
Name Amount
------------------------------
aaa 10
bbb 20
and I want an output like one given below on running SQL query or stored procedure
Name Amount cumulative amount
---------------------------------------------------------------------
aaa 10 10
bbb 20 30
One more question about this Custom Calendar table I'm creating. I have a column called "IsWorkdays" which indicates if the day represented by a row is a workday or not. For our purposes, I also need to create a row that accumulates those numbers by month. So, if it is the 3rd workday of the month, this column would have a 3. This is beyond my current T-SQL ability. Does anyone know how to do this?
Hi guys, I need to get a column with the sum of the field "SUF" from table "JurnalTransMoves_1" when that field ("SUF") is ordered by the field "REFERENCE" from table "Stock", and Show the value only once.
The desired result should by something like:
Stock.REFERENCE JurnalTransMoves.SUF SUM(JurnalTransMoves.SUF) Group By Stock.REFERENCE
5752 10 60
5752 20
5752 30
5753 400 3000
5753 500
5753 600
5753 700
5753 800
5754 7 15
5754 8
Is there any chance to do that? Thanks in advance, Aldo.
Code Snippet SELECT Accounts.FULLNAME AS 'ACCOUNTS.FULLNAME', Accounts.ACCOUNTKEY AS 'ACCOUNTS.ACCOUNTKEY', Accounts.FILTER AS 'ACCOUNTS.FILTER', Accounts.SORTGROUP AS 'ACCOUNTS.SORTGROUP', AccSortNames.SORTCODENAME AS 'AccSortNames.SORTCODENAME', Accounts.CreditTermsCode AS 'Accounts.CreditTermsCode', CreditTerms.DETAILS AS 'CreditTerms.DETAILS' CreditTerms.CURRENF AS 'CreditTerms.CURRENF' CreditTerms.MONTH AS 'CreditTerms.MONTH', CreditTerms.DAYS AS 'CreditTerms.DAYS', CreditTerms.SHAREPRC AS 'CreditTerms.SHAREPRC', CreditTerms.TEMF AS 'CreditTerms.TEMF',
CASE WHEN CAST(Accounts.VatExampt AS int) = 0 THEN 'x' WHEN CAST(Accounts.VatExampt AS int) = 1 THEN 'y' ELSE 'Undefined' END AS 'VAT',
Stock.DOCUMENTID AS 'Stock.DOCUMENTID', DocumentsDef.DOCNAME As 'DocumentsDef.DOCNAME',
CASE WHEN CAST(Stock.DOCUMENTID as int) = 1 THEN Stock.DOCNUMBER WHEN CAST(Stock.DOCUMENTID as int) = 3 THEN Stock.DOCNUMBER WHEN CAST(Stock.DOCUMENTID as int) = 35 THEN Stock.DOCNUMBER WHEN CAST(Stock.DOCUMENTID as int) = 120 THEN Stock.DOCNUMBER WHEN CAST(Stock.DOCUMENTID as int) = 31 THEN Stock.REFERENCE WHEN CAST(Stock.DOCUMENTID as int) = 44 THEN Stock.REFERENCE WHEN CAST(Stock.DOCUMENTID as int) = 34 THEN Stock.REFERENCE WHEN CAST(Stock.DOCUMENTID as int) = 43 THEN Stock.REFERENCE WHEN CAST(Stock.DOCUMENTID as int) = 40 THEN Stock.REFERENCE ELSE '' END AS 'Invoice No',
Stock.VALUEDATE AS 'Stock.VALUEDATE', JurnalTrans.DESCRIPTION AS 'JurnalTrans.DESCRIPTION', JurnalTrans.REF2 AS 'JurnalTrans.REF2', JurnalTransMoves.SUF AS 'JurnalTransMoves.SUF', JurnalTransMoves_1.SUF AS 'JurnalTransMoves_1.SUF', JurnalTransMoves.TRANSID AS 'JURNALTRANSMOVES.TRANSID'
FROM JURNALTRANSMOVES AS JurnalTransMoves_1 INNER JOIN JURNALTRANSMOVES AS JurnalTransMoves INNER JOIN (SELECT DISTINCT JURNALTRANSID, RECEIPTSTOCKID, FULLMATCH, TABLFNUM, CKCODE, RSORT, RUSEFID FROM RECEIPTJURNALMATCH) AS ReceiptJurnalMatch_1 ON ReceiptJurnalMatch_1.JURNALTRANSID = JurnalTransMoves.ID INNER JOIN ACCOUNTS AS Accounts ON JurnalTransMoves.ACCOUNTKEY = Accounts.ACCOUNTKEY INNER JOIN JURNALTRANS AS JurnalTrans ON JurnalTransMoves.TRANSID = JurnalTrans.TRANSID INNER JOIN STOCK AS Stock ON JurnalTrans.STOCKID = Stock.ID ON JurnalTransMoves_1.TRANSID = JurnalTrans.TRANSID AND JurnalTransMoves_1.ACCOUNTKEY = Accounts.ACCOUNTKEY LEFT OUTER JOIN ITEMS AS Items INNER JOIN STOCKMOVES ON Items.ITEMKEY = STOCKMOVES.ITEMKEY INNER JOIN ITEMSORTNAMES AS ItemSortNames ON Items.SORTGROUP = ItemSortNames.ITEMSORTCODE ON Stock.ID = STOCKMOVES.STOCKID LEFT OUTER JOIN ACCSORTNAMES AS AccSortNames ON Accounts.SORTGROUP = AccSortNames.ACCSORTCODE LEFT OUTER JOIN CREDITTERMS AS CreditTerms ON Accounts.CREDITTERMSCODE = CreditTerms.CREDITTERMSCODE LEFT OUTER JOIN DOCUMENTSDEF AS DocumentsDef ON Stock.DOCUMENTID = DocumentsDef.DOCUMENTID
WHERE Accounts.SORTGROUP Between '3001' And '3020' AND Accounts.ACCOUNTKEY IN ('123456')
I need to write the countryid of table 2 to the field countryid in table1 using the criteria of the correspoinding country name table 2 to country of table 1 if it write countryid else 0..
Hi, I have one table (PermProportionalCosting) that contains employeecode, costcentre and proportionpercentage. An employee may have two or more records in this table, indicating that their salary has been split across multiple costcentres.
Another table (Employee) contains a default costcentre for each employee.
Another table (TransActualHistoricalMaster) contains the hours paid to each employee for each pay period.
My query so far selects all employees and the total hours worked from the TransMaster table, and then selects the costcentre and proportionpercentage from the PermProportionalCosting table. Multiple lines are created for all employees in the PermProportionalCosting table, with each line indicating the proportionpercentage and associated costcentre.
This is my query so far:
SELECT TransActualHistoricalMaster.EmployeeCode, Employee.PreferredName, Employee.LastName, CostCentre.Description, PermanentProportionalCosting.CostCentreCode,PermanentProportionalCosting.PercentageSplit, TransActualHistoricalMaster.OrdHours FROM TransActualHistoricalMaster INNER JOIN Employee ON TransActualHistoricalMaster.EmployeeCode = Employee.EmployeeCode INNER JOIN CostCentre ON Employee.CostCentreCode = CostCentre.CostCentreCode FULL OUTER JOIN PermanentProportionalCosting ON TransActualHistoricalMaster.EmployeeCode = PermanentProportionalCosting.EmployeeCode GROUP BY TransActualHistoricalMaster.EmployeeCode, Employee.PreferredName, Employee.LastName, CostCentre.Description, PermanentProportionalCosting.CostCentreCode, PermanentProportionalCosting.PercentageSplit, TransActualHistoricalMaster.OrdHours
This next bit is what I am unsure of.
I would like the CostCentre field from the Employee table to go into the PermanentProportionalCosting.CostCentreCode column where the employee doesn't have a record in the PermanentProportionalCosting table. In the above query, there is a null value for each employee that doesn't have a record in the PermanentProportionalCosting table, so I would like my query to replace the null value with the costcentre from the Employee table.
I need create a field to store tax rate. I need only 2 decimal points. I defined the field as decimal, precision=5 and scale=2. Does it mean that it can hold value from 0.00 to 999.99?
Hi, I have a concern about adding a new field to a table with image field - which is huge. Will there be a problem with some databases, where they have a hard time locating data correctly after such a large field? Previously this happened to me, and what was advised to put all the big fields at the end of the table. Thanks.
does anyone know if there is a way, or perhaps a custom toolbox control that is already developed that allows you to drag an entire dataset into a table, instead of pulling everything in field by field...?
I am having a table called as status ,in that table one field is there i.e. currentstatus. the rows which are having currentstatus as "ticket closed",i want to move those rows into other table called repository which is having same table structure as status table. I can do programatically. but is there any way for every 3 months system has to check and do this action means moving to repository table automatically?
(Below are the three tables along with their fields)
1) tblEmailAddress Table a) EmailAddress b) Emailid (each EmailAddress has this corresponding Emailid)
2) tblEmailGroupLink Table a) Emailid b) Unsubscribed
3) Remove_List Table
a) EmailAddress
What I'd like to accomplish is...
A) To compare the EmailAddress field of all the records in the Remove_list Table to the EmailAddress field of all the records in the tblEmailAddress Table and if there is a match, get the Emailid field value.
B) Go to the tblEmailGroupLink Table and lookup the Emailid and change the value of the Unsubscribed field to 'True' for that record.
Is it possible to create a cumulative log using SSIS? basiclly I have 5 logs which hold failed records. I would like to create a cumulative log and send it via email using SSIS. thoughts?
SQL Server 2000 SP3Hi,How can I get the cumulative weeks from a givedate to the currentdate. I know I can get the weeknumber by using datepart(wk,getdate())but this will giveme the week number for this year. What if I want to know the number ofweeksthat have passed since june 1 2001. If I use datepart(wk,'20010106') Iwillget the week number for 2001 but I would like the number of weeksexpired between then now.Thanks,Reg
I have a table consisting of 3 columns: Parent varchar(50), Child varchar(50), Pop int.
The table is setup as follows:
Parent Child Pop ---------------------------------- Europe France 0 France Paris 1 New York New York City 10 North America United States 0 North America Canada 0 United States New York 0 United States Washington 0 Washington Redmond 200 Washington Seattle 100 World Europe 0 World North America 0
This is just some sample data modified a tiny bit from an example of a hierachical print out sample that is a stored procedure that allows me to pass any place and see all of that place's children/grandchildren.
I need to figure out how to write a query to show me cumulative sums (ROLLUP?) of the whole tree. So the output should basically be something like this (it can include parent and child columns too):
World Null 311 World Europe 1 Europe France 1 France Paris 1 World North America 310 North America United States 310 North America Canada 0 United States New York 10 United States Washington 300 New York New York City 10 Washington Redmond 200 Washington Seattle 100
Hopefully you understand what i'm looking for. I've tried using WITH ROLLUP and I also tried using an Inner Join but I'm not really sure what I need to do to pull this off. I seem to only be able to get it to work 1-2 levels deep but not through the whole tree.
In the emp table : > > EMPNO ENAME SAL > ================== > 7369 SMITH 1000 > 7499 ALLEN 2000 > 7521 WARD 3000 > 7566 JONES 4000 > 7654 MARTIN 5000 > > there is a requirement to have a calculated col. > called cummulative sal > > EMPNO ENAME SAL CUMMULATIVE_SAL > 7369 SMITH 1000 1000 > 7499 ALLEN 2000 3000 > 7521 WARD 3000 6000 > 7566 JONES 4000 10000 > 7654 MARTIN 5000 15000 > >
How to show this calculated col. by using one select statement? I could get the result using Empno. in my query as -- select ename,sal,(select sum(sal) from emp k where k.empno <= e.empno) as cum from emp e order by ename
but I was asked to get the same result if empno. col is not there?
SUCKS........... the below code is giving the result but I don't know how you could use operator (<) on two strings to compare......???? select ename,sal,(select sum(sal) from emp k where k.ename <= e.ename) as cum from emp e order by ename
Someone tell me if this is the right approach or is there a better way of getting the thing done.
I have 2 tables: Order(ID, Quantity) and Product(ID,Name, Price) and I want to add a calculated field in Order table based on the price column in the Product table. How do i do that?
this query returns the values i want in the table.
select a.quantity * b.price from tblCustomerPurchases as a join tblProduct as b on a.ID=b.ID
Hopefully I am posting this question in the correct forum. I am still learning about SQL 2005. Here is my issue. I have an access db that I archive weekly into and SQL server table. I have used the dst wizard to create an import job and initally that worked fine. field I have as the primary key in the access db cannot be the primary key in the sql table since I archive weekly and that primary key field will be imported several time over. I overcame this initally by not having a primary key in the sql table. This table is strictly for reference. However, now I need to setup a unique field for each of the records in the sql table. What I have done so far is create a recordID field in the sql table that is an int and set as yes to Identify (auotnumber). That worked great and created unique id for all existing records. The problem now is on the import. When I try to import the access table i am getting an error because of the extra field in the sql table, and the error is saying cannot import null value into this field. So... my final question is how can I import the access table into the sql table with one extra field which is the autonumber unique field? Thanks a bunch for any asistance.
I would like to create a procedure which create views by taking parameters the table name and a field value (@Dist).
However I still receive the must declare the scalar variable "@Dist" error message although I use .sp_executesql for executing the particularized query.
Below code.
ALTER Procedure [dbo].[sp_ViewCreate] /* Input Parameters */ @TableName Varchar(20), @Dist Varchar(20) AS Declare @SQLQuery AS NVarchar(4000) Declare @ParamDefinition AS NVarchar(2000)
SET @QUERY = "INSERT INTO tblDocTable(FileName, FileType, ImportExportID, BuildingID, Document)
SELECT '"+@fName+"' AS FileName, '"+@fType+"' AS FileType, " + cast(@fID as nvarchar(18)) + " as ImportExportID, '"+@bID+"' AS BuildingID, * FROM OPENROWSET( BULK '" +@fPath+"' ,SINGLE_BLOB)
AS Document"
EXEC (@QUERY)
This puts some values including a pdf or .doc file into a table, tblDocTable.
Is it possible to change this so that I can get the values from a table rather than as parameters. The Query would be in the form of: insert into tblDocTable (a, b, c, d) select a,b,c,d from tblimportExport.
tblImportExport has the path for the document (DocPath) so I would subsitute that field, ie. DocPath, for the @fPath variable.
Otherwise I can see only doing a Fetch next from tblIportExport where I would put every field into a variable and then run this exec query on these. Thus looping thru every row in tblImportExport.
Hi,There are 3 tablesTable,TableDetails,TableDaily.With structureTABLE:TableID UserID Money---------- ---------- ----------(int) (int) (money)TABLEDETAILS:TableDetailsID TableID ItemID PaidForItem DayID---------- ---------- ---------- ---------- ----------(int) (int) (int) (money) (int)TABLEDAILY:TableDailyID TableID PaidForItem Money Total Change---------- ---------- ---------- ---------- ---------- ----------(int) (int) (money) (money) (PaidForItem + Money) (money)"Table" holds id for user and his money amount, which changes during time. "TableDetails" holds data about items user bought, amount paid for them and dayid which relates to one particular day."TableDaily" holds history. I do not know how to update this table.I created job whish runs stored procedure. This procedure sums "PaidForItem" using group by TableID and WHERE DAYID = '11'.Problem is with Change column. This column sould hold difference between today's Total and previous one etc.Current procedure looks like this:INSERT INTO TableDaily (TableID, PaidForItem, Money, DayID)SELECT TableDetails.TableID, SUM(PaidForItem) AS PaidForItem, Table.Money, (SELECT DayID FROM Days WHERE (Aktive = 1)) AS DayIDFROM TableDetails INNER JOIN Table ON TableDetails.TableID = Table.TableID GROUP BY TableDetails.TableID, Table.Money
SELECT '201305' AS PAYPERIOD, EMPLOYEE, RIGHT ('000' + CAST (DEPT_ID AS VARCHAR(3)) ,3) AS DEPARTMENT, COUNT (EMPCODE) AS BONUSCOUNT_YTD FROM Table1 WHERE (YEAR = 2013 AND PERIOD < 2) GROUP BY EMPCODE, YEAR, PERIOD, DEPT_ID
[Code] ...
How can I get the counts to be cumulative? In other words, if an employee appears in pay period 201305 that's 1, if they then appear in pay period 201306 that becomes 2.
I tried to install "Cumulative update package 2 for SQL Server 2005 Service Pack 2" Everything went well except for the "SQL Server Database Services" update. It errored out as it was trying to "Finalize" the update.
Kicker to this whole thing is the database file "temp_MS_AgentSigningCertificate_database.mdf" does not even exist.
I could not see any references to it in the master database. I checked the registry and I can find a couple of search references for it. It apparently may have been a database that existed in the server at one time.
I am not sure if I should remove the registry references to the database.
Below is a part of the install summary where it has failed: =========================================================== Product Installation Status Product : SQL Server Database Services 2005 (MSSQLSERVER) Product Version (Previous): 3050 Product Version (Final) : Status : Failure Log File : C:Program FilesMicrosoft SQL Server90Setup BootstrapLOGHotfixSQL9_Hotfix_KB936305_sqlrun_sql.msp.log Error Number : 29537 Error Description : MSP Error: 29537 SQL Server Setup has encountered the following problem: [Microsoft][SQL Native Client][SQL Server]A file activation error occurred. The physical file name 'F:Data emp_MS_AgentSigningCertificate_database.mdf' may be incorrect. Diagnose and correct additional errors, and retry the operation.. To continue, correct the problem, and then run SQL Server Setup again.
If someone can tell me what I need to do to resolve this issue, I would greatly appreciate it.
I want to display subtotals for a column only for that page. Like;
Index Value ----------------------------- 1 4 2 5 Subtotal 9 ---------------------------- 3 1 4 2 Subtotal 3 Total 12
RunningValue gives cumulative totals. I need subtotals for each visible page only. Is there a way to do it ? Constraints: I'm using a table. And I shouldn't use page breaks on my report.
I have found two cumulative update packages available for sql 2005 sp2 - build 3161 (http://support.microsoft.com/kb/935356) and build 3175 (http://support.microsoft.com/kb/936305).
The fixes are supposed to be cumulative and include all fixes since the last service pack, but the list of hotfixes in each package is different.
Does build 3175 contain the fixes in build 3161? What about fixes mentioned in build 3175 that have version lowere than 3161 - are they included in build 3161?