Multiple Tables On Same Page

Mar 7, 2008

Hi,

Could we display two tables in the same page of a report?

Many Thanks,Zulfi

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Page 3 - Multiple Tables Without Relationship

Mar 20, 2007

Inner join vs outer join:

Inner join will remove rows from the first table if there is not a corresponding row in the 2nd table. Outer join will keep the rows, and use all NULL values to fill in the gaps in the 2nd table.

In general outer joins are more likely to grow a result set and inner joins are more likely to shrink one (though that will depend on the data and the query). For this reason, it is usually better when building complex queries to try to do your inner joins before your outer joins, because then you will keep your result set smaller for longer and thus the later joins can run faster.

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(This is due to Row growth, not column growth)
(KeepTogether is set to true)

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Computergirl
 

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Feb 19, 2008

hello to all..

can someone tell me how I counld get a pagefooter linked textbox to show a data bound
page footer in a report having 8 tables....???
I have tried the common solution showed on the previous forums..
They worked when there was only one table...
where in i could place a group in 1 of the cells in the table body of the report.
but now since der are 8 tables in the report.. d job is become very tricky.

the page footer is not showing up on all the pages of the report.
it only shows on the first page of the report.

Plz help......

Regards
Savio.

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I have a report where in I have a combination of matrix ,table data regions.

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Now how can I keep them all fixed in their same position. Most of the tables have fixed size rows  and some who have high size of rows have been put at the end . What settings we can set?

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Dec 10, 2007

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Jan 21, 2008

Hi,

I have a report with 2 columns.I have a list which has 4 textboxes attached to a dataset's fields.
Report Interactive Size:8.5in, 11in
Margins:0.1in, 0.1in, 0.5in, 0.5in (L;R;T;B)
Body Size : 3.125in, 1in
List Size:2.875in, 0.75in
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I start to get the correct report on second page which has 2 columns.
If I export to pdf, everything is is fine no problems at all.
I am using VS 2008 Pro and local reports.
What am I missing?
Thanks for help.

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Mar 21, 2008

Hi! I have a general SQL CE v3.5 design question related to table/file layout. I have an system that has multiple tables that fall into categories of data access. The 3 categories of data access are:


1 is for configuration-related data. There is one application that will read/write to the data, and a second application that will read the data on startup.

1 is for high-performance temporal storage of data. The data objects are all the same type, but they are our own custom object and not just simple types.

1 is for logging where the data will be permanent - unless the configured size/recycling settings cause a resize or cleanup. There will be one application writing alot [potentially] of data depending on log settings, and another application searching/reading sections of data.
When working with data and designing the layout, I like to approach things from a data-centric mindset, because this seems to result in a better performing system. That said, I am thinking about using 3 individual SDF files for the above data access scenarios - as opposed to a single SDF with multiple tables. I'm thinking this would provide better performance in SQL CE because the query engine will not have alot of different types of queries going against the same database file. For instance, the temporal storage is basically reading/writing/deleting various amounts of data. And, this is different from the logging, where the log can grow pretty large - definitely bigger than the default 128 MB. So, it seems logical to manage them separately.

I would greatly appreciate any suggestions from the SQL CE experts with regard to my approach. If there are any tips/tricks with respect to different data access scenarios - taking into account performance, type of data access, etc. - I would love to take a look at that.

Thanks in advance for any help/suggestions,
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Whether I need to create separate data flow task for each file or separate package? In addition to these, example : while importing product data into product table, if product ID already exists, we need to ignore it and upload only the new records.

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Sep 8, 2006

I have just taken over the job of sorting out a rather poorly designed database. It looks like it was 'upsized' from an access database to the SQL server. The SQL server is the 2000 version.

Now I am trying to generate a report of what the students in the database are owing by referencing the Receipt table and then all the available payment methods and allocations. I was wondering if there was anyway to work out data being displayed twice (Let me demonstrate)

Note1: All the tables are linked by a key of ReceiptNo. From what I can see there is a table for every payment type and allocation but no link between the two other then the receipt number.

Using the query:
SELECT T_Receipt.ReceiptNo, T_cheque.Amount AS Chq_Amount, T_credit.Amount AS Cre_Amount, StandingOrder.Amount AS Stn_Amount,
T_BankTransfer.amount AS Bnk_Amount, T_cash.TotalAmount AS Cas_Amount, T_RentPayment.AmountPayed AS Ren_Paid,
T_AdminPayment.AmountPaid AS Adm_Paid, T_InternetBilling.Total AS Int_Paid, T_Utilities.AmountPaid AS Util_Amount,
T_InvoicePayment.amountPaid AS Inv_Paid, T_OtherPayments.paymentAmount AS Oth_Paid, T_parkingBill.paymentAmount AS Prk_Paid,
T_TelephoneBills.TelephoneCredit AS Tel_Paid, T_DepositPayment.[Deposit payment] AS Dep_Amount, T_Receipt.cancelled AS Canceled,
T_Receipt.RemittanceReceiptNo AS Rec_Ref, T_Receipt.Student
FROM T_Receipt INNER JOIN
T_DepositPayment ON T_Receipt.ReceiptNo = T_DepositPayment.receiptNo LEFT OUTER JOIN
T_RentPayment ON T_Receipt.ReceiptNo = T_RentPayment.RentPaymentNo LEFT OUTER JOIN
StandingOrder ON T_Receipt.ReceiptNo = StandingOrder.ReceiptNo LEFT OUTER JOIN
T_TelephoneBills ON T_Receipt.ReceiptNo = T_TelephoneBills.ReceiptNo LEFT OUTER JOIN
T_parkingBill ON T_Receipt.ReceiptNo = T_parkingBill.ReceiptNo LEFT OUTER JOIN
T_OtherPayments ON T_Receipt.ReceiptNo = T_OtherPayments.ReceiptNo LEFT OUTER JOIN
T_InvoicePayment ON T_Receipt.ReceiptNo = T_InvoicePayment.receiptNo LEFT OUTER JOIN
T_cash ON T_Receipt.ReceiptNo = T_cash.ReceiptNo LEFT OUTER JOIN
T_AdminPayment ON T_Receipt.ReceiptNo = T_AdminPayment.ReceiptNo LEFT OUTER JOIN
T_BankTransfer ON T_Receipt.ReceiptNo = T_BankTransfer.receiptNo LEFT OUTER JOIN
T_Utilities ON T_Receipt.ReceiptNo = T_Utilities.receiptNo LEFT OUTER JOIN
T_credit ON T_Receipt.ReceiptNo = T_credit.ReceiptNo LEFT OUTER JOIN
T_cheque ON T_Receipt.ReceiptNo = T_cheque.ReceiptNo LEFT OUTER JOIN
T_InternetBilling ON T_Receipt.ReceiptNo = T_InternetBilling.ReceiptNo
GROUP BY T_Receipt.Student, T_Receipt.ReceiptNo, T_cheque.Amount, T_credit.Amount, StandingOrder.Amount, T_BankTransfer.amount, T_cash.TotalAmount,
T_AdminPayment.AmountPaid, T_InternetBilling.Total, T_Utilities.AmountPaid, T_InvoicePayment.amountPaid, T_OtherPayments.paymentAmount,
T_parkingBill.paymentAmount, T_TelephoneBills.TelephoneCredit, T_Receipt.cancelled, T_Receipt.RemittanceReceiptNo,
T_DepositPayment.[Deposit payment], T_RentPayment.AmountPayed, T_Receipt.Student
HAVING (T_Receipt.Student LIKE N'06%')

Which gives a result of:




RecNo.
30429
Cheque
250
Deposit
250


30429
679.98
250


This is fine but when I do analysis on this it appears as though the student has paid two deposit payments. I was wondering with out querying each table independently from an application if there was a criteria to specify that I only get one deposit result.
So as such say, give me all the payments but I only want one result from the other tables. I though about discrete but that wouldn't work here.

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Hi!

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best regards and thanks

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Code Snippet
<ReferenceFiles>

<File>


<FileName>Ref_Categories.txt</FileName>
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blah blah blah
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I wrote this stored procedure. P.S please ignore the syntax.
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etc

as



Select a.UserId, b.UserId, c.UserId FROM Table1 a, Table2 b, Table3 c

WHERE

name LIKE '%' @name '%'

OR nationality LIKE '%' @nationality '%'

OR phone LIKE '%' @phone '%'

etc
 
But I got an error when I am trying to execute this code because the nulls values so I wrote
 1 @name var(30),
2
3 @nationality (30),
4
5 @phone int,
6
7 etc
8
9 as
10
11
12
13 Select a.UserId, b.UserId, c.UserId FROM Table1 a, Table2 b, Table3 c
14
15 WHERE
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17 name LIKE '%' ISNULL(@name, '') '%'
18
19 OR nationality LIKE '%' ISNULL(@nationality,'') '%'
20
21 OR phone LIKE '%' ISNULL(@phone,'') '%'
22
23 etc
24
25

 
Also the error still exist.
What is the best way to search for multiple parameters in multiple tables ?
 
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Hello,
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delete dbo.tblcase

where dbo.tblcase.case_id in ('299760', '299757', '299739', '299732', '299902',
'299901', '299897', '299894', '299873', '299872', '299870', '299865', '299860',
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delete dbo.tblcaseclient

where dbo.tblcaseclient.case_id in ('299760', '299757', '299739', '299732', '299902',
'299901', '299897', '299894', '299873', '299872', '299870', '299865', '299860',
'299858', '299854', '299846', '299838', '299834', '299821', '299813', '299803')

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'299901', '299897', '299894', '299873', '299872', '299870', '299865', '299860',
'299858', '299854', '299846', '299838', '299834', '299821', '299813', '299803')

delete dbo.tblcaselawyer

where dbo.tblcaselawyer.case_id in ('299760', '299757', '299739', '299732', '299902',
'299901', '299897', '299894', '299873', '299872', '299870', '299865', '299860',
'299858', '299854', '299846', '299838', '299834', '299821', '299813', '299803')

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'299901', '299897', '299894', '299873', '299872', '299870', '299865', '299860',
'299858', '299854', '299846', '299838', '299834', '299821', '299813', '299803')

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Jun 1, 2007

Hi,



I have searched but not found quite the best way to look at this so far..



I have an application that outputs data to several text files (up to 30). These have commonality by an object name, but then contain completely different column data.



In DTS I had each of the source text file connections going to one OLE DB connection and then individual transform data tasks pointing to the one OLE DB connection.



Looking at SSIS, it would appear that I would need to have one source and one destination for each of these and therefore 30 parallel data flows?



Just wondering if there is a neater way of doing this??



It is a regular data import that happens a few times a day - the text files are named the same as the SQL tables - ie app_userdata.txt goes to app_userdata table.



Hope that explains ok and thanks in advance.



Mike

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