Need help in analyzing the performance aspects of compounding

Hi all,
i am analyzing the performance aspects of compounding.
can anyone guide me about how do i go about?

when i displayed this table, it is showing some timestamps and validity period for the queries.  i am having some difficulty in understanding this table details.
can u please guide me regarding this ?
also can anyone please help me on how do i analyze the OLAP processor performance for the  queries that use compounding?

Similar Messages

  • Need help in optimising the performance of a query

    Need help in optimising the performance of a query. Below is the query that is executed on TABLE_A, TABLE_B and TABLE_C with record counts as 10M, 10m and 42 (only) respectively and it takes around 5-7 minutes to get 40 records:
    SELECT DISTINCT a.T_ID_, a.FIRSTNAME, b.T_CODE, b.PRODUCT,
    CASE WHEN TRUNC(b.DATE) +90 = TRUNC(SYSDATE) THEN -90 WHEN TRUNC(b.DATE) +30 = TRUNC(SYSDATE) THEN -30 ELSE 0 END AS T_DATE FROM TABLE_B b
    INNER JOIN TABLE_A a ON (a.T_ID_ = b.T_ID_) LEFT JOIN TABLE_C c ON b.PRODUCT = c.PRODUCT
    WHERE b.STATUS = 'T' AND (b.TYPE = 'ACTION'
    AND ( TRUNC(b.DATE) + 1 = TRUNC(SYSDATE) ) ) AND b.PRODUCT = 2;
    Note: Indices on the join columns are available in the respective tables
    Please let me know if there is any better way to write it.
    Edited by: 862944 on Aug 18, 2011 9:52 AM

    862944 wrote:
    Need help in optimising the performance of a query. Below is the query that is executed on TABLE_A, TABLE_B and TABLE_C with record counts as 10M, 10m and 42 (only) respectively and it takes around 5-7 minutes to get 40 records:
    SELECT DISTINCT a.T_ID_, a.FIRSTNAME, b.T_CODE, b.PRODUCT,
    CASE WHEN TRUNC(b.DATE) +90 = TRUNC(SYSDATE) THEN -90 WHEN TRUNC(b.DATE) +30 = TRUNC(SYSDATE) THEN -30 ELSE 0 END AS T_DATE FROM TABLE_B b
    INNER JOIN TABLE_A a ON (a.T_ID_ = b.T_ID_) LEFT JOIN TABLE_C c ON b.PRODUCT = c.PRODUCT
    WHERE b.STATUS = 'T' AND (b.TYPE = 'ACTION'
    AND ( TRUNC(b.DATE) + 1 = TRUNC(SYSDATE) ) ) AND b.PRODUCT = 2;
    Note: Indices on the join columns are available in the respective tables
    Please let me know if there is any better way to write it.
    Edited by: 862944 on Aug 18, 2011 9:52 AM[When Your Query Takes Too Long|https://forums.oracle.com/forums/thread.jspa?messageID=1812597]

  • Need help in improving the performance for the sql query

    Thanks in advance for helping me.
    I was trying to improve the performance of the below query. I tried the following methods used merge instead of update, used bulk collect / Forall update, used ordered hint, created a temp table and upadated the target table using the same. The methods which I used did not improve any performance. The data count which is updated in the target table is 2 million records and the target table has 15 million records.
    Any suggestions or solutions for improving performance are appreciated
    SQL query:
    update targettable tt
    set mnop = 'G',
    where ( x,y,z ) in
    select a.x, a.y,a.z
    from table1 a
    where (a.x, a.y,a.z) not in (
    select b.x,b.y,b.z
    from table2 b
    where 'O' = b.defg
    and mnop = 'P'
    and hijkl = 'UVW';

    987981 wrote:
    I was trying to improve the performance of the below query. I tried the following methods used merge instead of update, used bulk collect / Forall update, used ordered hint, created a temp table and upadated the target table using the same. The methods which I used did not improve any performance. And that meant what? Surely if you spend all that time and effort to try various approaches, it should mean something? Failures are as important teachers as successes. You need to learn from failures too. :-)
    The data count which is updated in the target table is 2 million records and the target table has 15 million records.Tables have rows btw, not records. Database people tend to get upset when rows are called records, as records exist in files and a database is not a mere collection of records and files.
    The failure to find a single faster method with the approaches you tried, points to that you do not know what the actual performance problem is. And without knowing the problem, you still went ahead, guns blazing.
    The very first step in dealing with any software engineering problem, is to identify the problem. Seeing the symptoms (slow performance) is still a long way from problem identification.
    Part of identifying the performance problem, is understanding the workload. Just what does the code task the database to do?
    From your comments, it needs to find 2 million rows from 15 million rows. Change these rows. And then write 2 million rows back to disk.
    That is not a small workload. Simple example. Let's say that the 2 million row find is 1ms/row and the 2 million row write is also 1ms/row. This means a 66 minute workload. Due to the number of rows, an increase in time/row either way, will potentially have 2 million fold impact.
    So where is the performance problem? Time spend finding the 2 million rows (where other tables need to be read, indexes used, etc)? Time spend writing the 2 million rows (where triggers and indexes need to be fired and maintained)? Both?

  • Needed help to improve the performance of a select query?

    Hi,
    I have been preparing a report which involves data to be fetched from 4 to 5 different tables and calculation has to performed on some columns also,
    i planned to write a single cursor to populate 1 temp table.i have used INLINE VIEW,EXISTS more frequently in the select query..please go through the query and suggest me a better way to restructure the query.
    cursor c_acc_pickup_incr(p_branch_code varchar2, p_applDate date, p_st_dt date, p_ed_dt date) is
    select sca.branch_code "BRANCH",
    sca.cust_ac_no "ACCOUNT",
    to_char(p_applDate, 'YYYYMM') "YEARMONTH",
    sca.ccy "CURRENCY",
    sca.account_class "PRODUCT",
    sca.cust_no "CUSTOMER",
    sca.ac_desc "DESCRIPTION",
    null "LOW_BAL",
    null "HIGH_BAL",
    null "AVG_CR_BAL",
    null "AVG_DR_BAL",
    null "CR_DAYS",
    null "DR_DAYS",
    --null                                 "CR_TURNOVER",       
    --null                                 "DR_TURNOVER",       
    null "DR_OD_DAYS",
    (select sum(gf.limit_amount * (scal.linkage_percentage / 100)) +
    (case when (p_applDate >= sca.tod_limit_start_date and
    p_applDate <= nvl(sca.tod_limit_end_date, p_applDate)) then
    sca.tod_limit else 0 end) dd
    from getm_facility gf, sttm_cust_account_linkages scal
    where gf.line_code || gf.line_serial = scal.linked_ref_no
    and cust_ac_no = sca.cust_ac_no) "OD_LIMIT",
    --sc.credit_rating                      "CR_GRADE",        
    null "AVG_NET_BAL",
    null "UNAUTH_OD_AMT",
    sca.acy_blocked_amount "AMT_BLOCKED",
    (select sum(amt)
    from ictb_entries_history ieh
    where ieh.acc = sca.cust_ac_no
    and ieh.brn = sca.branch_code
    and ieh.drcr = 'D'
    and ieh.liqn = 'Y'
    and ieh.entry_passed = 'Y'
    and ieh.ent_dt between p_st_dt and p_ed_dt
    and exists (
    select * from ictm_pr_int ipi, ictm_rule_frm irf
    where ipi.product_code = ieh.prod
    and ipi.rule = irf.rule_id
    and irf.book_flag = 'B')) "DR_INTEREST",
    (select sum(amt)
    from ictb_entries_history ieh
    where ieh.acc = sca.cust_ac_no
    and ieh.brn = sca.branch_code
    and ieh.drcr = 'C'
    and ieh.liqn = 'Y'
    and ieh.entry_passed = 'Y'
    and ieh.ent_dt between p_st_dt and p_ed_dt
    and exists (
    select * from ictm_pr_int ipi, ictm_rule_frm irf
    where ipi.product_code = ieh.prod
    and ipi.rule = irf.rule_id
    and irf.book_flag = 'B')) "CR_INTEREST",
    (select sum(amt) from ictb_entries_history ieh
    where ieh.brn = sca.branch_code
    and ieh.acc = sca.cust_ac_no
    and ieh.ent_dt between p_st_dt and p_ed_dt
    and exists (
    select product_code
    from ictm_product_definition ipd
    where ipd.product_code = ieh.prod
    and ipd.product_type = 'C')) "FEE_INCOME",
    sca.record_stat "ACC_STATUS",
    case when (trunc(sca.ac_open_date,'MM') = trunc(p_applDate,'MM')
    and not exists (select 1
    from ictm_tdpayin_details itd
    where itd.multimode_payopt = 'Y'
    and itd.brn = sca.branch_code
    and itd.acc = sca.cust_ac_no
    and itd.multimode_offset_brn is not null
    and itd.multimode_tdoffset_acc is not null))
    then 1 else 0 end "NEW_ACC_FOR_THE_MONTH",
    case when (trunc(sca.ac_open_date,'MM') = trunc(p_applDate,'MM')
    and trunc(sc.cif_creation_date,'MM') = trunc(p_applDate,'MM')
    and not exists (select 1
    from ictm_tdpayin_details itd
    where itd.multimode_payopt = 'Y'
    and itd.brn = sca.branch_code
    and itd.acc = sca.cust_ac_no
    and itd.multimode_offset_brn is not null
    and itd.multimode_tdoffset_acc is not null))
    then 1 else 0 end "NEW_ACC_FOR_NEW_CUST",
    (select 1 from dual
    where exists (select 1 from ictm_td_closure_renew itcr
    where itcr.brn = sca.branch_code
    and itcr.acc = sca.cust_ac_no
    and itcr.renewal_date = sysdate)
    or exists (select 1 from ictm_tdpayin_details itd
    where itd.multimode_payopt = 'Y'
    and itd.brn = sca.branch_code
    and itd.acc = sca.cust_ac_no
    and itd.multimode_offset_brn is not null
    and itd.multimode_tdoffset_acc is not null)) "RENEWED_OR_ROLLOVER",
    (select maturity_date from ictm_acc ia
    where ia.brn = sca.branch_code
    and ia.acc = sca.cust_ac_no) "MATURITY_DATE",
    sca.ac_stat_no_dr "DR_DISALLOWED",
    sca.ac_stat_no_cr "CR_DISALLOWED",
    sca.ac_stat_block                     "BLOCKED_ACC",       Not Reqd
    sca.ac_stat_dormant "DORMANT_ACC",
    sca.ac_stat_stop_pay "STOP_PAY_ACC", --New
    sca.ac_stat_frozen "FROZEN_ACC",
    sca.ac_open_date "ACC_OPENING_DT",
    sca.address1 "ADD_LINE_1",
    sca.address2 "ADD_LINE_2",
    sca.address3 "ADD_LINE_3",
    sca.address4 "ADD_LINE_4",
    sca.joint_ac_indicator "JOINT_ACC",
    sca.acy_avl_bal "CR_BAL",
    0 "DR_BAL",
    0 "CR_BAL_LCY", t
    0 "DR_BAL_LCY",
    null "YTD_CR_MOVEMENT",
    null "YTD_DR_MOVEMENT",
    null "YTD_CR_MOVEMENT_LCY",
    null "YTD_DR_MOVEMENT_LCY",
    null "MTD_CR_MOVEMENT",
    null "MTD_DR_MOVEMENT",
    null "MTD_CR_MOVEMENT_LCY",
    null "MTD_DR_MOVEMENT_LCY",
    'N' "BRANCH_TRFR", --New
    sca.provision_amount "PROVISION_AMT",
    sca.account_type "ACCOUNT_TYPE",
    nvl(sca.tod_limit, 0) "TOD_LIMIT",
    nvl(sca.sublimit, 0) "SUB_LIMIT",
    nvl(sca.tod_limit_start_date, global.min_date) "TOD_START_DATE",
    nvl(sca.tod_limit_end_date, global.max_date) "TOD_END_DATE"
    from sttm_cust_account sca, sttm_customer sc
    where sca.branch_code = p_branch_code
    and sca.cust_no = sc.customer_no
    and ( exists (select 1 from actb_daily_log adl
    where adl.ac_no = sca.cust_ac_no
    and adl.ac_branch = sca.branch_code
    and adl.trn_dt = p_applDate
    and adl.auth_stat = 'A')
    or exists (select 1 from catm_amount_blocks cab
    where cab.account = sca.cust_ac_no
    and cab.branch = sca.branch_code
    and cab.effective_date = p_applDate
    and cab.auth_stat = 'A')
    or exists (select 1 from ictm_td_closure_renew itcr
    where itcr.acc = sca.cust_ac_no
    and itcr.brn = sca.branch_code
    and itcr.renewal_date = p_applDate)
    or exists (select 1 from sttm_ac_stat_change sasc
    where sasc.cust_ac_no = sca.cust_ac_no
    and sasc.branch_code = sca.branch_code
    and sasc.status_change_date = p_applDate
    and sasc.auth_stat = 'A')
    or exists (select 1 from cstb_acc_brn_trfr_log cabtl
    where cabtl.branch_code = sca.branch_code
    and cabtl.cust_ac_no = sca.cust_ac_no
    and cabtl.process_status = 'S'
    and cabtl.process_date = p_applDate)
    or exists (select 1 from sttbs_provision_history sph
    where sph.branch_code = sca.branch_code
    and sph.cust_ac_no = sca.cust_ac_no
    and sph.esn_date = p_applDate)
    or exists (select 1 from sttms_cust_account_dormancy scad
    where scad.branch_code = sca.branch_code
    and scad.cust_ac_no = sca.cust_ac_no
    and scad.dormancy_start_dt = p_applDate)
    or sca.maker_dt_stamp = p_applDate
    or sca.status_since = p_applDate
    l_tb_acc_det ty_tb_acc_det_int;
    l_brnrec cvpks_utils.rec_brnlcy;
    l_acbr_lcy sttms_branch.branch_lcy%type;
    l_lcy_amount actbs_daily_log.lcy_amount%type;
    l_xrate number;
    l_dt_rec sttm_dates%rowtype;
    l_acc_rec sttm_cust_account%rowtype;
    l_acc_stat_row ty_r_acc_stat;
    Edited by: user13710379 on Jan 7, 2012 12:18 AM

    I see it more like shown below (possibly with no inline selects
    Try to get rid of the remaining inline selects ( left as an exercise ;) )
    and rewrite traditional joins as ansi joins as problems might arise using mixed syntax as I have to leave so I don't have time to complete the query
    select sca.branch_code "BRANCH",
           sca.cust_ac_no "ACCOUNT",
           to_char(p_applDate, 'YYYYMM') "YEARMONTH",
           sca.ccy "CURRENCY",
           sca.account_class "PRODUCT",
           sca.cust_no "CUSTOMER",
           sca.ac_desc "DESCRIPTION",
           null "LOW_BAL",
           null "HIGH_BAL",
           null "AVG_CR_BAL",
           null "AVG_DR_BAL",
           null "CR_DAYS",
           null "DR_DAYS",
    --     null "CR_TURNOVER",
    --     null "DR_TURNOVER",
           null "DR_OD_DAYS",
           w.dd "OD_LIMIT",
    --     sc.credit_rating "CR_GRADE",
           null "AVG_NET_BAL",
           null "UNAUTH_OD_AMT",
           sca.acy_blocked_amount "AMT_BLOCKED",
           x.dr_int "DR_INTEREST",
           x.cr_int "CR_INTEREST",
           y.fee_amt "FEE_INCOME",
           sca.record_stat "ACC_STATUS",
           case when trunc(sca.ac_open_date,'MM') = trunc(p_applDate,'MM')
                 and not exists(select 1
                                  from ictm_tdpayin_details itd
                                 where itd.multimode_payopt = 'Y'
                                   and itd.brn = sca.branch_code
                                   and itd.acc = sca.cust_ac_no
                                   and itd.multimode_offset_brn is not null
                                   and itd.multimode_tdoffset_acc is not null
                then 1
                else 0
           end "NEW_ACC_FOR_THE_MONTH",
           case when (trunc(sca.ac_open_date,'MM') = trunc(p_applDate,'MM')
                 and trunc(sc.cif_creation_date,'MM') = trunc(p_applDate,'MM')
                 and not exists(select 1
                                  from ictm_tdpayin_details itd
                                 where itd.multimode_payopt = 'Y'
                                   and itd.brn = sca.branch_code
                                   and itd.acc = sca.cust_ac_no
                                   and itd.multimode_offset_brn is not null
                                   and itd.multimode_tdoffset_acc is not null
                then 1
                else 0
           end "NEW_ACC_FOR_NEW_CUST",
           (select 1 from dual
             where exists(select 1
                            from ictm_td_closure_renew itcr
                           where itcr.brn = sca.branch_code
                             and itcr.acc = sca.cust_ac_no
                             and itcr.renewal_date = sysdate
                or exists(select 1
                            from ictm_tdpayin_details itd
                           where itd.multimode_payopt = 'Y'
                             and itd.brn = sca.branch_code
                             and itd.acc = sca.cust_ac_no
                             and itd.multimode_offset_brn is not null
                             and itd.multimode_tdoffset_acc is not null
           ) "RENEWED_OR_ROLLOVER",
           m.maturity_date "MATURITY_DATE",
           sca.ac_stat_no_dr "DR_DISALLOWED",
           sca.ac_stat_no_cr "CR_DISALLOWED",
    --     sca.ac_stat_block "BLOCKED_ACC", --Not Reqd
           sca.ac_stat_dormant "DORMANT_ACC",
           sca.ac_stat_stop_pay "STOP_PAY_ACC", --New
           sca.ac_stat_frozen "FROZEN_ACC",
           sca.ac_open_date "ACC_OPENING_DT",
           sca.address1 "ADD_LINE_1",
           sca.address2 "ADD_LINE_2",
           sca.address3 "ADD_LINE_3",
           sca.address4 "ADD_LINE_4",
           sca.joint_ac_indicator "JOINT_ACC",
           sca.acy_avl_bal "CR_BAL",
           0 "DR_BAL",
           0 "CR_BAL_LCY", t
           0 "DR_BAL_LCY",
           null "YTD_CR_MOVEMENT",
           null "YTD_DR_MOVEMENT",
           null "YTD_CR_MOVEMENT_LCY",
           null "YTD_DR_MOVEMENT_LCY",
           null "MTD_CR_MOVEMENT",
           null "MTD_DR_MOVEMENT",
           null "MTD_CR_MOVEMENT_LCY",
           null "MTD_DR_MOVEMENT_LCY",
           'N' "BRANCH_TRFR", --New
           sca.provision_amount "PROVISION_AMT",
           sca.account_type "ACCOUNT_TYPE",
           nvl(sca.tod_limit, 0) "TOD_LIMIT",
           nvl(sca.sublimit, 0) "SUB_LIMIT",
           nvl(sca.tod_limit_start_date, global.min_date) "TOD_START_DATE",
           nvl(sca.tod_limit_end_date, global.max_date) "TOD_END_DATE"
      from sttm_cust_account sca,
           sttm_customer sc,
           (select sca.cust_ac_no
                   sum(gf.limit_amount * (scal.linkage_percentage / 100)) +
                       case when p_applDate >= sca.tod_limit_start_date
                             and p_applDate <= nvl(sca.tod_limit_end_date, p_applDate)
                            then sca.tod_limit else 0
                       end
                      ) dd
              from sttm_cust_account sca
                   getm_facility gf,
                   sttm_cust_account_linkages scal
             where gf.line_code || gf.line_serial = scal.linked_ref_no
               and cust_ac_no = sca.cust_ac_no
             group by sca.cust_ac_no
           ) w,
           (select acc,
                   brn,
                   sum(decode(drcr,'D',amt)) dr_int,
                   sum(decode(drcr,'C',amt)) cr_int
              from ictb_entries_history ieh
             where ent_dt between p_st_dt and p_ed_dt
               and drcr in ('C','D')
               and liqn = 'Y'
               and entry_passed = 'Y'
               and exists(select null
                            from ictm_pr_int ipi,
                                 ictm_rule_frm irf
                           where ipi.rule = irf.rule_id
                             and ipi.product_code = ieh.prod 
                             and irf.book_flag = 'B'
             group by acc,brn
           ) x,
           (select acc,
                   brn,
                   sum(amt) fee_amt
              from ictb_entries_history ieh
             where ieh.ent_dt between p_st_dt and p_ed_dt
               and exists(select product_code
                            from ictm_product_definition ipd
                           where ipd.product_code = ieh.prod
                             and ipd.product_type = 'C'
             group by acc,brn
           ) y,
           ictm_acc m,
           (select sca.cust_ac_no,
                   sca.branch_code
                   coalesce(nvl2(coalesce(t1.ac_no,t1.ac_branch),'exists',null),
                            nvl2(coalesce(t2.account,t2.account),'exists',null),
                            nvl2(coalesce(t3.acc,t3.brn),'exists',null),
                            nvl2(coalesce(t4.cust_ac_no,t4.branch_code),'exists',null),
                            nvl2(coalesce(t5.cust_ac_no,t5.branch_code),'exists',null),
                            nvl2(coalesce(t6.cust_ac_no,t6.branch_code),'exists',null),
                            nvl2(coalesce(t7.cust_ac_no,t7.branch_code),'exists',null),
                            decode(sca.maker_dt_stamp,p_applDate,'exists'),
                            decode(sca.status_since,p_applDate,'exists')
                           ) existence
              from sttm_cust_account sca
                   left outer join
                   (select ac_no,ac_branch
                      from actb_daily_log
                     where trn_dt = p_applDate
                       and auth_stat = 'A'
                   ) t1
                on (sca.cust_ac_no = t1.ac_no
               and  sca.branch_code = t1.ac_branch
                   left outer join
                   (select account,account
                      from catm_amount_blocks
                     where effective_date = p_applDate
                       and auth_stat = 'A'
                   ) t2
                on (sca.cust_ac_no = t2.account
               and  sca.branch_code = t2.branch
                   left outer join
                   (select acc,brn
                      from ictm_td_closure_renew itcr
                     where renewal_date = p_applDate
                   ) t3
                on (sca.cust_ac_no = t3.acc
               and  sca.branch_code = t3.brn
                   left outer join
                   (select cust_ac_no,branch_code
                      from sttm_ac_stat_change
                     where status_change_date = p_applDate
                       and auth_stat = 'A'
                   ) t4
                on (sca.cust_ac_no = t4.cust_ac_no
               and  sca.branch_code = t4.branch_code
                   left outer join
                   (select cust_ac_no,branch_code
                      from cstb_acc_brn_trfr_log
                     where process_date = p_applDate
                       and process_status = 'S'
                   ) t5
                on (sca.cust_ac_no = t5.cust_ac_no
               and  sca.branch_code = t5.branch_code
                   left outer join
                   (select cust_ac_no,branch_code
                      from sttbs_provision_history
                     where esn_date = p_applDate
                   ) t6
                on (sca.cust_ac_no = t6.cust_ac_no
               and  sca.branch_code = t6.branch_code
                   left outer join
                   (select cust_ac_no,branch_code
                      from sttms_cust_account_dormancy
                     where dormancy_start_dt = p_applDate
                   ) t7
                on (sca.cust_ac_no = t7.cust_ac_no
               and  sca.branch_code = t7.branch_code
           ) z
    where sca.branch_code = p_branch_code
       and sca.cust_no = sc.customer_no
       and sca.cust_ac_no = w.cust_ac_no
       and sca.cust_ac_no = x.acc
       and sca.branch_code = x.brn
       and sca.cust_ac_no = y.acc
       and sca.branch_code = y.brn
       and sca.cust_ac_no = m.acc
       and sca.branch_code = m.brn
       and sca.cust_ac_no = z.sca.cust_ac_no
       and sca.branch_code = z.branch_code
       and z.existence is not nullRegards
    Etbin

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    You will need:
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    add D to achieve "Y"
    You will need:
    an internet provider which supports <specs>
    add "E" to achieve "Z"
    You will need:
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    I have no idea what "fully optimized" means.
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    Best of luck.

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    Hi,
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  • Need help to trace the place where error occuring in Web UI of type System

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    Hi Nagaraj,
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    regards,
    Sarangamath

  • Need help in formatting the Date - Date does not

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    from  table REdited by: Lucy Discover on Jul 7, 2011 11:34 AM
    Edited by: Lucy Discover on Jul 7, 2011 1:05 PM

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  • Need help in understanding the error ORA-01843: not a valid month - ECX_ACT

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    muthu.

  • I Need Help to Access The Source Code From A Form to Know the Calculation Formula

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    Hi, 
    Thanks for the reply. This is a view and [AmountDue] is supposed to be [CurrentDueAmount] + [PastDueAmount] - [PaidAmount]. The view is not calculating [PaidAmount] right . Below is the complete code of the view. Do you see anything wrong in the code ?
    Thanks. 
    SELECT     [isi].[InvoiceID], [ii].[DueDate], [SubInvoiceID] = [isi].[ID], [INV_FacilityID] = [if].[ID], [if].[FacilityID],
    [iff].[FacilityFeeID], [LoanID] = NULL, [isi].[PortfolioID], [isi].[Portfolio], 
                          [PaymentType] = [isis_fee].[SectionType], [Name]
    = [iff].[Name], [ReceivedAmount], [dates].[CurrentDueAmount], 
                          [PastDueAmount] = CASE WHEN ISNULL([ReceivedAmount],
    0) > 0 THEN [pastdue].[PastDueFeeAmount] + ISNULL([ReceivedAmount], 0) 
                          WHEN ISNULL([ReceivedAmount], 0) 
                          < 0 THEN /* We bring past due to zero and
    apply reset to current. */ CASE WHEN [pastdue].[PastDueFeeAmount] + ISNULL([ReceivedAmount], 0) 
                          < 0 THEN 0 ELSE [pastdue].[PastDueFeeAmount]
    + ISNULL([ReceivedAmount], 0) END WHEN ISNULL([ReceivedAmount], 0) = 0 AND 
                          [pastdue].[PastDueFeeAmount] < 0 THEN 0 ELSE
    [pastdue].[PastDueFeeAmount] END, [PaidAmount] = CASE WHEN ISNULL([ReceivedAmount], 0) 
                          < 0 THEN /* We bring past due to zero and
    apply rest to current. */ CASE WHEN [pastdue].[PastDueFeeAmount] + ISNULL([ReceivedAmount], 0) 
                          < 0 THEN - ([pastdue].[PastDueFeeAmount]
    + ISNULL([ReceivedAmount], 0)) ELSE 0 END WHEN ISNULL([ReceivedAmount], 0) = 0 AND 
                          [pastdue].[PastDueFeeAmount] < 0 THEN - [pastdue].[PastDueFeeAmount]
    ELSE 0 END, [AmountDue] = [unpaid].[UnpaidFeeAmount], [ID] = [iff].[FacilityFeeID]
    FROM         [dbo].[INV_SubInvoice] isi JOIN
                          [dbo].[INV_Invoice] ii ON [isi].[InvoiceID]
    = [ii].[ID] JOIN
                          [dbo].[INV_Facility] [if] ON [isi].[ID] = [if].[SubInvoiceID]
    JOIN
                          [dbo].[INV_FacilityFee] iff ON [if].[ID] = [iff].[INV_FacilityID]
    JOIN
                              (SELECT     [sis_fee].[ID],
    [sis_fee].[SectionTypeCode], [SectionType] = [st_fee].[Name], [sis_fee].[INV_FacilityFeeID]
                                FROM      
       [dbo].[INV_SubInvoiceSection] sis_fee JOIN
                   [dbo].[INV_SectionType] st_fee ON [sis_fee].[SectionTypeCode] = [st_fee].[Code]
                                WHERE      [INV_FacilityFeeID]
    IS NOT NULL AND [StatusCode] = 'BILL') isis_fee ON [iff].[ID] = [isis_fee].[INV_FacilityFeeID] JOIN
                              (SELECT     [iffa].[SectionID],
    [AccrualDeterminationDateMax] = MAX([iffa].[AccrualDeterminationDate]), 
                   [AccrualDeterminationDateMin] = MIN([iffa].[AccrualDeterminationDate]), [CurrentDueAmount] = SUM([iffa].[AccruedFeeAmount]), 
                   [ReceivedAmount] = SUM([iffa].[ReceivedFeeAmount])
                                FROM      
       [dbo].[INV_FacilityFeeAccrual] iffa
                                GROUP BY [iffa].[SectionID])
    dates ON [isis_fee].[ID] = [dates].[SectionID] LEFT JOIN
                              (SELECT     *
                                FROM      
       [dbo].[INV_FacilityFeeAccrual]) unpaid ON [dates].[SectionID] = [unpaid].[SectionID] AND 
                          [dates].[AccrualDeterminationDateMax] = [unpaid].[AccrualDeterminationDate]
    LEFT JOIN
                              (SELECT     [SectionID],
    [PastDueFeeAmount] = SUM([PastDueFeeAmount])
                                FROM      
       [dbo].[INV_FacilityFeeAccrual]
                                GROUP BY [SectionID]) pastdue
    ON [dates].[SectionID] = [pastdue].[SectionID]
    UNION
    SELECT     [isi].[InvoiceID], [ii].[DueDate], [SubInvoiceID] = [isi].[ID], [INV_FacilityID] = [if].[ID], [if].[FacilityID],
    [FacilityFeeID] = NULL, [il].[LoanID], [isi].[PortfolioID], [isi].[Portfolio], 
                          [PaymentType] = [isis_loan].[SectionType], [Name]
    = [il].[Name], [ReceivedAmount], [CurrentDueAmount], [PastDueAmount] = CASE WHEN ISNULL([ReceivedAmount], 
                          0) > 0 THEN [PastDueAmount] + ISNULL([ReceivedAmount],
    0) WHEN ISNULL([ReceivedAmount], 0) 
                          < 0 THEN /* We bring past due to zero and
    apply rest to current. */ CASE WHEN [PastDueAmount] + ISNULL([ReceivedAmount], 0) 
                          < 0 THEN 0 ELSE [PastDueAmount] + ISNULL([ReceivedAmount],
    0) END WHEN ISNULL([ReceivedAmount], 0) = 0 AND 
                          [PastDueAmount] < 0 THEN 0 ELSE [PastDueAmount]
    END, 
                          [PaidAmount] = CASE WHEN [isis_loan].[SectionTypeCode]
    = 'LOAN_PRIN' THEN 0 ELSE CASE WHEN ISNULL([ReceivedAmount], 0) 
                          < 0 THEN /* We bring past due to zero and
    apply rest to current. */ CASE WHEN [PastDueAmount] + ISNULL([ReceivedAmount], 0) 
                          < 0 THEN - ([PastDueAmount] + ISNULL([ReceivedAmount],
    0)) ELSE 0 END WHEN ISNULL([ReceivedAmount], 0) = 0 AND 
                          [PastDueAmount] < 0 THEN - [PastDueAmount]
    ELSE 0 END END, 
                          [AmountDue] = CASE WHEN [isis_loan].[SectionTypeCode]
    = 'LOAN_PRIN' THEN [CurrentDueAmount] ELSE [unpaid].[AmountDue] END, [ID] = [il].[LoanID]
    FROM         [dbo].[INV_SubInvoice] isi JOIN
                          [dbo].[INV_Invoice] ii ON [isi].[InvoiceID]
    = [ii].[ID] JOIN
                          [dbo].[INV_Facility] [if] ON [isi].[ID] = [if].[SubInvoiceID]
    JOIN
                          [dbo].[INV_Loan] il ON [if].[ID] = [il].[INV_FacilityID]
    JOIN
                              (SELECT     [sis_loan].[ID],
    [sis_loan].[SectionTypeCode], [SectionType] = [st_loan].[Name], [sis_loan].[INV_LoanID]
                                FROM      
       [dbo].[INV_SubInvoiceSection] sis_loan JOIN
                   [dbo].[INV_SectionType] st_loan ON [sis_loan].[SectionTypeCode] = [st_loan].[Code]
                                WHERE      [INV_LoanID]
    IS NOT NULL AND [StatusCode] = 'BILL') isis_loan ON [il].[ID] = [isis_loan].[INV_LoanID] JOIN
                              (SELECT     [iffa].[SectionID],
    [AccrualDeterminationDateMax] = MAX([iffa].[AccrualDeterminationDate]), 
                   [AccrualDeterminationDateMin] = MIN([iffa].[AccrualDeterminationDate]), [CurrentDueAmount] = SUM([iffa].[ExpectedPrincipalAmount]), 
                   [ReceivedAmount] = SUM([ReceivedPrincipalAmount])
                                FROM      
       [dbo].[INV_LoanPrincipalAmortization] iffa
                                GROUP BY [iffa].[SectionID]
                                UNION
                                SELECT     [iffa].[SectionID],
    [AccrualDeterminationDateMax] = MAX([iffa].[AccrualDeterminationDate]), 
                  [AccrualDeterminationDateMin] = MIN([iffa].[AccrualDeterminationDate]), [CurrentDueAmount] = SUM([iffa].[AccruedInterestAmount]), 
                  [ReceivedAmount] = SUM([ReceivedInterestAmount])
                                FROM      
      [dbo].[INV_LoanCashInterestAccrual] iffa
                                GROUP BY [iffa].[SectionID]
                                UNION
                                SELECT     [iffa].[SectionID],
    [AccrualDeterminationDateMax] = MAX([iffa].[AccrualDeterminationDate]), 
                  [AccrualDeterminationDateMin] = MIN([iffa].[AccrualDeterminationDate]), [CurrentDueAmount] = SUM([iffa].[AccruedInterestAmount]), 
                  [ReceivedAmount] = SUM([ReceivedInterestAmount])
                                FROM      
      [dbo].[INV_LoanPIKInterestAccrual] iffa
                                GROUP BY [iffa].[SectionID])
    dates ON [isis_loan].[ID] = [dates].[SectionID] LEFT JOIN
                              (SELECT     [AmountDue]
    = [UnpaidPrincipalAmount], [SectionID], [AccrualDeterminationDate]
                                FROM      
       [dbo].[INV_LoanPrincipalAmortization]
                                UNION
                                SELECT     [AmountDue]
    = [UnpaidInterestAmount], [SectionID], [AccrualDeterminationDate]
                                FROM      
      [dbo].[INV_LoanCashInterestAccrual]
                                UNION
                                SELECT     [AmountDue]
    = [UnpaidInterestAmount], [SectionID], [AccrualDeterminationDate]
                                FROM      
      [dbo].[INV_LoanPIKInterestAccrual]) unpaid ON [dates].[SectionID] = [unpaid].[SectionID] AND 
                          [dates].[AccrualDeterminationDateMax] = [unpaid].[AccrualDeterminationDate]
    LEFT JOIN
                              (SELECT     [PastDueAmount]
    = SUM([PastDuePrincipalAmount]), [SectionID]
                                FROM      
       [dbo].[INV_LoanPrincipalAmortization]
                                GROUP BY [SectionID]
                                UNION
                                SELECT     [PastDueAmount]
    = SUM([PastDueInterestAmount]), [SectionID]
                                FROM      
      [dbo].[INV_LoanCashInterestAccrual]
                                GROUP BY [SectionID]
                                UNION
                                SELECT     [PastDueAmount]
    = SUM([PastDueInterestAmount]), [SectionID]
                                FROM      
      [dbo].[INV_LoanPIKInterestAccrual]
                                GROUP BY [SectionID]) pastdue
    ON [dates].[SectionID] = [pastdue].[SectionID]
    UNION
    SELECT     [isi].[InvoiceID], [ii].[DueDate], [SubInvoiceID] = [isi].[ID], [INV_FacilityID] = [if].[ID], [if].[FacilityID],
    [FacilityFeeID] = NULL, [il].[LoanID], [isi].[PortfolioID], [isi].[Portfolio], 
                          [PaymentType] = 'PIK Interest Applied', [Name]
    = [il].[Name], [ReceivedAmount], [CurrentDueAmount] = - [dates].[CurrentDueAmount], 
                          [PastDueAmount] = - CASE WHEN ISNULL([ReceivedAmount],
    0) > 0 THEN [PastDueAmount] + ISNULL([ReceivedAmount], 0) WHEN ISNULL([ReceivedAmount], 0) 
                          < 0 THEN /* We bring past due to zero and
    apply rest to current. */ CASE WHEN [PastDueAmount] + ISNULL([ReceivedAmount], 0) 
                          < 0 THEN 0 ELSE [PastDueAmount] + ISNULL([ReceivedAmount],
    0) END WHEN ISNULL([ReceivedAmount], 0) = 0 AND 
                          [PastDueAmount] < 0 THEN 0 ELSE [PastDueAmount]
    END, [PaidAmount] = - CASE WHEN ISNULL([ReceivedAmount], 0) 
                          < 0 THEN /* We bring past due to zero and
    apply rest to current. */ CASE WHEN [PastDueAmount] + ISNULL([ReceivedAmount], 0) 
                          < 0 THEN - ([PastDueAmount] + ISNULL([ReceivedAmount],
    0)) ELSE 0 END WHEN ISNULL([ReceivedAmount], 0) = 0 AND 
                          [PastDueAmount] < 0 THEN - [PastDueAmount]
    ELSE 0 END, [AmountDue] = - [AmountDue], [ID] = [il].[LoanID]
    FROM         [dbo].[INV_SubInvoice] isi JOIN
                          [dbo].[INV_Invoice] ii ON [isi].[InvoiceID]
    = [ii].[ID] JOIN
                          [dbo].[INV_Facility] [if] ON [isi].[ID] = [if].[SubInvoiceID]
    JOIN
                          [dbo].[INV_Loan] il ON [if].[ID] = [il].[INV_FacilityID]
    JOIN
                              (SELECT     [sis_loan].[ID],
    [sis_loan].[SectionTypeCode], [SectionType] = [st_loan].[Name], [sis_loan].[INV_LoanID]
                                FROM      
       [dbo].[INV_SubInvoiceSection] sis_loan JOIN
                   [dbo].[INV_SectionType] st_loan ON [sis_loan].[SectionTypeCode] = [st_loan].[Code]
                                WHERE      [INV_LoanID]
    IS NOT NULL AND [StatusCode] = 'BILL' AND [sis_loan].[SectionTypeCode] = 'LOAN_INT_PIK') isis_loan ON 
                          [il].[ID] = [isis_loan].[INV_LoanID] JOIN
                              (SELECT     [iffa].[SectionID],
    [AccrualDeterminationDateMax] = MAX([iffa].[AccrualDeterminationDate]), 
                   [AccrualDeterminationDateMin] = MIN([iffa].[AccrualDeterminationDate]), [CurrentDueAmount] = SUM([iffa].[AccruedInterestAmount]), 
                   [ReceivedAmount] = SUM([ReceivedInterestAmount])
                                FROM      
       [dbo].[INV_LoanPIKInterestAccrual] iffa
                                GROUP BY [iffa].[SectionID])
    dates ON [isis_loan].[ID] = [dates].[SectionID] LEFT JOIN
                              (SELECT     [AmountDue]
    = [UnpaidInterestAmount], [SectionID], [AccrualDeterminationDate]
                                FROM      
       [dbo].[INV_LoanPIKInterestAccrual]) unpaid ON [dates].[SectionID] = [unpaid].[SectionID] AND 
                          [dates].[AccrualDeterminationDateMax] = [unpaid].[AccrualDeterminationDate]
    LEFT JOIN
                              (SELECT     [PastDueAmount]
    = SUM([PastDueInterestAmount]), [SectionID]
                                FROM      
       [dbo].[INV_LoanPIKInterestAccrual]
                                GROUP BY [SectionID]) pastdue
    ON [dates].[SectionID] = [pastdue].[SectionID]

  • I have tried everything I know to retrieve the iPhoto Library app.  I detest this new Photo app, which obviously wasn't designed with photographers in mind.  I desperately need help in retrieving the old app and have not been able to do it so far.

    I have tried everything I know to retrieve the iPhoto Library app.  I detest this new Photo app, which obviously wasn't designed with photographers in mind.  I desperately need help in retrieving the old app and have not been able to do it so far.  I have gone to my app folder and tried to update my iPhoto Library.  I have gone to my trash and brought it over to my desktop and still cannot use it.  Please help!

    Try this fix discovered by User photosb189:
    From Finder, hold down the option key on your keyboard and click on the Go menu at the top of the screen
    Select Library from the drop down menu
    Then navigate to Application Support > iLifeAssetManagement > assets
    Right click on the 'sub' folder and choose Compress
    Drag the resulting zip file to your Desktop (as a backup)
    Go to your System Preferences and choose iCloud
    Turn OFF the iCloud Photos option
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