Sorting Table While Inserting

May 29, 2007

Hi Friends,

How can we insert records in sorted order

like consider a table

No Name Phone
1 test112345
1 test123455
2 test268638
3 test367684
4 test454808
4 test474594


if i add a new record like this

2 test234454

it should go in specific order. so that the final table should look
something like this

No Name Phone
1 test112345
1 test123455
2 test234454
2 test268638
3 test367684
4 test454808
4 test474594

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Hello,

I am a little new at T-SQL. and I could use a suggestion on the best way to accomplish this task. I have an application where I must loop through a table in Microsoft SQL Server 2005, find the records that match and break them up into groups where the value of the Thickness field is in groups of ( <=8).

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The table itself has the following
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1 |19809 |A | 2 |NULL |
2 |19809 |A | 2 |NULL
3 |19809 |A | 2 |NULL
4 |19809 |A | 2 |NULL
5 |19809 |A | 2 |NULL
6 |19809 |A | 2 |NULL |
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11 |19721 |B | 2 |NULL |
12 |19721 |B | 2 |NULL |

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Order Number |Zipcode | Sack(A, B, C,or D)| Thickness |Bundle|
1 |19809 |A | 2 |1 |
2 |19809 |A | 2 |1
3 |19809 |A | 2 |1
4 |19809 |A | 2 |1
5 |19809 |A | 2 |NULL
6 |19809 |A | 2 |NULL |
7 |19721 |B | 4 |NULL |
8 |19721 |B | 3 |NULL |
9 |19721 |B | 2 |NULL |
10 |19721 |B | 5 |NULL |
11 |19721 |B | 2 |NULL |
12 |19721 |B | 2 |NULL |

Notice there are two records that are not bundles for sack A. I need to place them in a separate bundle called 2. The result will be as follows
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1 |19809 |A | 2 |1 |
2 |19809 |A | 2 |1
3 |19809 |A | 2 |1
4 |19809 |A | 2 |1
5 |19809 |A | 2 |2
6 |19809 |A | 2 |2 |
7 |19721 |B | 4 |NULL|
8 |19721 |B | 3 |NULL
9 |19721 |B | 2 |NULL
10 |19721 |B | 5 |NULL |
11 |19721 |B | 2 |NULL |
12 |19721 |B | 2 |NULL |

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2 |19809 |A | 2 |1
3 |19809 |A | 2 |1
4 |19809 |A | 2 |1
5 |19809 |A | 2 |2
6 |19809 |A | 2 |2 |
7 |19721 |B | 4 |1 |
8 |19721 |B | 3 |1 |
9 |19721 |B | 2 |2 |
10 |19721 |B | 5 |2 |
11 |19721 |B | 2 |3 |
12 |19721 |B | 2 |3|

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Thank you for any help you can give me

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Code Block


Hi,

I'm working on a database for a financial client and part of what i need to do is calculate a value from two separate rows in the same table and insert the result in the same table as a new row. I have a way of doing so but i consider it to be extremely inelegant and i'm hoping there's a better way of doing it. A description of the existing database schema (which i have control over) will help in explaining the problem:

Table Name: metrics_ladder

id security_id metric_id value
1 3 80 125.45
2 3 81 548.45
3 3 82 145.14
4 3 83 123.32
6 4 80 453.75
7 4 81 234.23
8 4 82 675.42
.
.
.

Table Name: metric_details

id metric_id metric_type_id metric_name
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2 81 2 Fiscal Enterprise Value Current Fiscal Year
3 82 2 Fiscal Enterprise value Forward Fiscal year 1
4 83 2 Fiscal Enterprise Value Forward Fiscal Year 2
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6 102 3 Calendar Enterprise Value Current Fiscal Year
5 103 3 Calendar Enterprise value Forward Year 1
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Table Name: metric_type_details

id metric_type_id metric_type_name
1 1 Raw
2 2 Fiscal
3 3 Calendar
4 4 Calculated

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id security_id metric_id value
1 3 101 <calculated value>
2 3 102 <calculated value>
3 3 103 <calculated value>
4 3 104 <calculated value>

Metric with metric_id = 101 (Calendar Enterprise value Historic Year 1) will be calculated by taking 10/12 of the value for metric_id 80 plus 2/12 of the value for metric_id 81.

Similarly, metric_id 102 will be equal to 10/12 of the value for metric_id 81 plus 2/12 of the value for metric_id 82,

metric_id 103 will be equal to 10/12 of the value for metric_id 82 plus 2/12 of the value for metric_id 83 and finally

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As i could think of no better way of doing this (and hence the reason for this thread) I am currently achieving this by pivoting the relevant data from the metrics_ladder so that the required data for each security is in one row, storing the result in a new column then unpivoting again to store the result in the metrics_ladder table. So the above data in nmetrics_ladder becomes:

security_id 80 81 82 83 101 102
----------- -- -- -- -- -- --
3 125.45 548.45 145.14 123.32 <calculated value> <calculated value>
4 ...
.
.
.

which is then unpivoted.

The SQL that achieves this is more or less as follows:

*********
START SQL
*********

declare @calendar_averages table (security_id int, [101] decimal(38,19), [102] decimal(38,19), [103] decimal(38,19), [104] decimal(38,19),etc...)


-- Dummy year variable to make it easier to use MONTH() function
-- to convert 3 letter month to number. i.e. JAN -> 1, DEC -> 12 etc...
DECLARE @DUMMY_YEAR VARCHAR(4)
SET @DUMMY_YEAR = 1900;

with temp(security_id, metric_id, value)
as
(
select ml.security_id, ml.metric_id, ml.value
from metrics_ladder ml
where ml.metric_id in (80,81,82,83,84,85,86,87,88,etc...)
-- only consider securities with fiscal year end not equal to december
and ml.security_id in (select security_id from company_details where fiscal_year_end <> 'dec')
)
insert into @calendar_averages
select temppivot.security_id
-- Net Income
,(CONVERT(DECIMAL, MONTH(cd.fiscal_year_end + @DUMMY_YEAR))/12*[80])
+((12 - CONVERT(DECIMAL, MONTH(cd.fiscal_year_end + @DUMMY_YEAR)))/12*[81]) as [101]
,(CONVERT(DECIMAL, MONTH(cd.fiscal_year_end + @DUMMY_YEAR))/12*[81])
+((12 - CONVERT(DECIMAL, MONTH(cd.fiscal_year_end + @DUMMY_YEAR)))/12*[82]) as [102]
,(CONVERT(DECIMAL, MONTH(cd.fiscal_year_end + @DUMMY_YEAR))/12*[82])
+((12 - CONVERT(DECIMAL, MONTH(cd.fiscal_year_end + @DUMMY_YEAR)))/12*[83]) as [103]
,NULL as [104]
-- Share Holders Equity
,(CONVERT(DECIMAL, MONTH(cd.fiscal_year_end + @DUMMY_YEAR))/12*[84])
+((12 - CONVERT(DECIMAL, MONTH(cd.fiscal_year_end + @DUMMY_YEAR)))/12*[85]) as [105]
,(CONVERT(DECIMAL, MONTH(cd.fiscal_year_end + @DUMMY_YEAR))/12*[85])
+((12 - CONVERT(DECIMAL, MONTH(cd.fiscal_year_end + @DUMMY_YEAR)))/12*[86]) as [106]
,(CONVERT(DECIMAL, MONTH(cd.fiscal_year_end + @DUMMY_YEAR))/12*[86])
+((12 - CONVERT(DECIMAL, MONTH(cd.fiscal_year_end + @DUMMY_YEAR)))/12*[87]) as [107]
,NULL as [108]
-- Capex
-- Sales
-- Accounts payable
etc...
..
..
from temp
pivot
(
sum(value)
for metric_id in ([80],[81],[82],[83],[84],[85],[86],[87],[88],etc...)
) as temppivot
inner join company_details cd on temppivot.security_id = cd.security_id

*********
END SQL
*********

The result then needs to be unpivoted and stored in metrics_ladder.

And FINALLY, the question! Is there a more elegant way of achieving this??? I have complete control over the database schema so if creating mapping tables or anything along those lines would help it is possible. Also, is SQL not really suited for such operations and would it therefore be better done in C#/VB.NET.

Many thanks (if you've read this far!)

M.

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Jan 18, 2004

I've got a string value in C# that contains:

"<?xml version="1.0"?><?qbxml version="2.0"?><QBXML><QBXMLMsgsRq onError="stopOnError"><JournalEntryAddRq requestID="1"><JournalEntryAdd><TxnDate>2003-11-18</TxnDate><JournalDebitLine><AccountRef>
<FullName>1200</FullName>
</AccountRef>
<Amount>160.06</Amount>
<Memo>613663</Memo>
<ClassRef>
<FullName>Buffalo</FullName>
</ClassRef></JournalDebitLine><JournalCreditLine><AccountRef>
<FullName>5687</FullName>
</AccountRef>
<Amount>160.06</Amount>
<Memo>613663</Memo>
<ClassRef>
<FullName>Buffalo</FullName>
</ClassRef></JournalCreditLine><JournalDebitLine><AccountRef>
<FullName>1200</FullName>
</AccountRef>
<Amount>133.85</Amount>
<Memo>300931</Memo>
<ClassRef>
<FullName>Buffalo</FullName>
</ClassRef></JournalDebitLine><JournalCreditLine><AccountRef>
<FullName>5687</FullName>
</AccountRef>
<Amount>133.85</Amount>
<Memo>300931</Memo>
<ClassRef>
<FullName>Buffalo</FullName>
</ClassRef></JournalCreditLine></Journ
alEntryAdd></JournalEntryAddRq></QBXMLMsgsRq></QBXML>"


I'm passing that string to an insert stored procedure that hits a varchar field (varchar 5000).

problem is, nothing is showing up in the database.
there are no errors, but the field I have shows nothign in it after the insert.

if i run a test and set my string to "this is a test" it goes into the table from the SP_insert no problem.

So i'm figuring, somehow the formatting of the XML string in C# isn't kosher with MS SQL.

the above text is the exact string value from VS.NET command output (? mystring).

I'm really in need of help here guys. I'm trying to log this XML result into a log table for reference if there are ever any problems I can look in the log table @ the xml.

but i can't get it to insert.

Help!

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Aug 24, 2004

I have the 3 tables below. I want to be able to add more than one item to a quote. I thought I had designed the tables so that I could have more than one item in a quote....? I've tried to do this:

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but it doesn't work. Am I totally missing something here?



Code:

CREATE TABLE Item (
cat_ref VARCHAR(5)PRIMARY KEY,
descrip VARCHAR(50),
date_added SMALLDATETIME,
date_last_pricecheck SMALLDATETIME,
cat_type VARCHAR(20),
contract VARCHAR(10),
cost_price SMALLMONEY,
installation_charge SMALLMONEY,
commercial_markup SMALLMONEY,
supplier_name VARCHAR(20),
supplier_phone VARCHAR(20),
notes VARCHAR(500))


CREATE TABLE has_quote (
quote_id INT IDENTITY (1,1) PRIMARY KEY,
date_of_quote SMALLDATETIME,
service_desk_contact VARCHAR(20),
category INTEGER,
cat_ref VARCHAR(5)FOREIGN KEY
REFERENCES Item(cat_ref),
first_name VARCHAR(10),
surname VARCHAR(10),
customer_phone VARCHAR(20),
FOREIGN KEY (first_name, surname, customer_phone)
REFERENCES Customer(first_name, surname, customer_phone)
ON DELETE CASCADE
ON UPDATE CASCADE)

CREATE TABLE Customer (
first_name VARCHAR(10),
surname VARCHAR(10),
customer_phone VARCHAR(20),
contract VARCHAR(10),
location VARCHAR(20),
email VARCHAR(50),
cust_id INT IDENTITY (1,1),
PRIMARY KEY (first_name, surname, customer_phone))

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May 23, 2008

Hello,

I have created a CTE to combine some data. I have also created a temporary table that I need this data that the CTE returns to be inserted to and then everything that is in this temp table needs to be inserted to an existing table in my database. I don't know how to select the values from the CTE into the temp table?

Create Table #TempLabTestConfigImport
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units varchar(32) null, table_name varchar(30) null,
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Insert Into #TempLabTestConfigImport
(labtestkey,valuecode,value_description,value_type,units,table_name,field_name)


Does my select go here??? I tried select * and it doesn't like that syntax...

With labtestcheck (labtestcode)
as
(
select a.labtestcode
from EMR_temp_labtest_configupdate a
Where Not Exists (Select * From lab_test_add_conf b where b.labtest_key = a.labtestcode)
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select row_number() over (partition by t.labtestcode order by b.valuecode) as count,
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Hi, i am new to SQL. I have this problem here, i need a little help.

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Hi,

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but I can't work out how to select the value from one table and insert it into another table in a single query. Using a subquery or combining with a select has not worked.

Is this a job for a datacursor or is there a simpler way?

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