Transact SQL :: BETWEEN Using String Dates Doesn't Work In Some Cases

Sep 21, 2015

I put this series of select statements to verify that the BETWEEN statement is working properly. I should always get “Between” below.

SELECT
CASEWHEN'1/1/15'BETWEEN'1/1/15'AND'1/31/15'THEN'Between'ELSE'Not
Between'END
SELECT
CASEWHEN'1/31/15'BETWEEN'1/1/15'AND'1/31/15'THEN'Between'ELSE'Not
Between'END

[Code] .....

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May 10, 2007



I am testing a set of SSIS packages, In order to test my SSIS packages for errors I have two negative test cases



1) I didn't provide checkpoint file for the checkpoint enabled package.

2) I provide a wrong configuration file



Even though I am using a script task in my "on error" event of my SSIS package. It is not executed. (Perhaps because the package doesn't even execute).



My problem is that SSIS itself puts just a simple one liner in windows event log "Package Failure Error". It does not provide which package failed, why it failed etc. Therefore the admin who gets the ticket to resolve the issue has no clue of what is going wrong and where!



Since my custom logger doesn't even run, I don't know how can I put more details into the windows event log.



How can I resolve this?



regards,

Abhishek.

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I've tried this versions of the query:


Code:

SELECT (...) CONVERT(DATETIME,PAYMENTS_RECEIVED.PYR_DATE,103), (...)
FROM RESERVES LEFT OUTER JOIN (...)
WHERE (PAYMENTS_RECEIVED.PYR_DATE BETWEEN '20/03/2006' AND '21/03/2006')



and...


Code:

SELECT (...) PAYMENTS_RECEIVED.PYR_DATE, (...)
FROM RESERVES LEFT OUTER JOIN (...)
WHERE (PAYMENTS_RECEIVED.PYR_DATE >= CONVERT(DATETIME,'20/03/2006',103)) AND (PAYMENTS_RECEIVED.PYR_DATE < CONVERT(DATETIME,'21/03/2006',103))



I also tried adding " 00:00:00 a.m." to the dates to be converted in the second piece of code. If I recall correctly, "103" is the convertion code meaning "dd/mm/yyyy". That is, I expect people to type in a date like "27/03/2006" and get the table records from that date.

Weirdest thing of all is that, when using the query builder of a sqlsource control in Visual Studio Web Developer Express 2005 this following query works just fine as I expect:


Code:

SELECT (...) PAYMENTS_RECEIVED.PYR_DATE, (...)
FROM RESERVES LEFT OUTER JOIN (...)
WHERE (PAYMENTS_RECEIVED.PYR_DATE >= CONVERT(DATETIME, '20/03/2006', 103)) AND (PAYMENTS_RECEIVED.PYR_DATE < CONVERT(DATETIME, ' 21 / 03 / 2006 ', 103))



Both the server and the DB are the same in all cases, but in the first two I run the query from a (working of other queries) vbscript asp 3 page.

I know that similar posts exist already (I've searched for this before posting), but I can't fix it, at least not with the usual answer on this one (that seems to be using the convert function as in the first piece of code). Thanks in advance!!!

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And this one does not:

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or

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Have this table

ACCOU  NAME      NAME TODATE                            ID     EDUCAT    EXPIRYDATE
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011647 MILUCON Empl1 1900-01-01 00:00:00.000 9751 VCA-basis 2016-06-24 00:00:00.000
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Need to get it like

ACCOU  NAME      NAME TODATE                            ID     EDUCAT    EXPIRYDATEstring
011647 MILUCON Empl1 1900-01-01 00:00:00.000 9751 VCA-basis 1900-01-01 00:00:00.000 2016-06-24 00:00:00.000
011647 MILUCON Empl1 1900-01-01 00:00:00.000 9751 VCA-VOL  2018-02-11 00:00:00.000

In other words I need to Aggregate the 2 dates and concatenated into a new string col string so basically a sum with a group by but instead of a sum I need to concatenate the string. I know this should be possible using stuff and for xml path but I can't seem to get my head around it everything I try concatenates all the strings, not just the appropriate ones.

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CREATE TRIGGER TransferToABII ON [dbo].[CALGeneral]
FOR INSERT
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@EndDate smalldatetime,
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END
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http://www.sqlserverstudy.com

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------------------------------------------------------------

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(PPI.CreateDate = PP.PrevDate))


What I am trying to do is...get the previous day's portfolioIndex row's CloseIndex and create a new one for today's row.

As ugly as it is, it works when I execute it in the SQL Query Analyzer, but when I try to create the stored procedure, the syntax check complains that the PortfolioIndex reference at the UPDATE... part is AMBIGUOUS...yet when I define it in the SP as P.PortfolioIndex, it fails at run time saying there is no object named P.PortfolioIndex (well, of course there isn't!).

How can I make this work (and if possible, make it prettier too! *L* ;) )

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