Whats the diff between this dscl commands?

Hi, I have been trying to "CRUD" users/groups via terminal. But I'm confused which is the correct command.
sudo dscl localhost append /Local/Default/Groups/www GroupMembership millisami
sudo dscl localhost -append /Groups/wheel GroupMembership millisami
Whats the difference between the above commands?

Hi.......
Check this.......
What's the difference between Transferred Records and Added Records?
Manage ODS : Difference of Transferred Records and Added Records
Regards,
Debjani......

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    Hi
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    Hi.......
    Check this.......
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  • Hi guru's what is the diff between for all entries & joins

    hi guru's what is the diff between for all entries & joins

    Hi Vasu,
    Joins are used to fetch data fast from Database tables:
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    If there are no proper key fields between tables don't use Joins;
    Important thing is that don't USE JOINS FOR CLUSTER tableslike BSEG and KONV.
    Only use for Transparenmt tables.
    You can also use joins for the database VIews to fetch the data.
    JOINS
    ... FROM tabref1 [INNER] JOIN tabref2 ON cond
    Effect
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    In a relational data structure, it is quite normal for data that belongs together to be split up across several tables to help the process of standardization (see relational databases). To regroup this information into a database query, you can link tables using the join command. This formulates conditions for the columns in the tables involved. The inner join contains all combinations of lines from the database table determined by tabref1 with lines from the table determined by tabref2, whose values together meet the logical condition (join condition) specified using ON>cond.
    Inner join between table 1 and table 2, where column D in both tables in the join condition is set the same:
    Table 1 Table 2
    A
    B
    C
    D
    D
    E
    F
    G
    H
    a1
    b1
    c1
    1
    1
    e1
    f1
    g1
    h1
    a2
    b2
    c2
    1
    3
    e2
    f2
    g2
    h2
    a3
    b3
    c3
    2
    4
    e3
    f3
    g3
    h3
    a4
    b4
    c4
    3
    |--|||--|
    Inner Join
    A
    B
    C
    D
    D
    E
    F
    G
    H
    a1
    b1
    c1
    1
    1
    e1
    f1
    g1
    h1
    a2
    b2
    c2
    1
    1
    e1
    f1
    g1
    h1
    a4
    b4
    c4
    3
    3
    e2
    f2
    g2
    h2
    |--||||||||--|
    Example
    Output a list of all flights from Frankfurt to New York between September 10th and 20th, 2001 that are not sold out:
    DATA: DATE LIKE SFLIGHT-FLDATE,
    CARRID LIKE SFLIGHT-CARRID,
    CONNID LIKE SFLIGHT-CONNID.
    SELECT FCARRID FCONNID F~FLDATE
    INTO (CARRID, CONNID, DATE)
    FROM SFLIGHT AS F INNER JOIN SPFLI AS P
    ON FCARRID = PCARRID AND
    FCONNID = PCONNID
    WHERE P~CITYFROM = 'FRANKFURT'
    AND P~CITYTO = 'NEW YORK'
    AND F~FLDATE BETWEEN '20010910' AND '20010920'
    AND FSEATSOCC < FSEATSMAX.
    WRITE: / DATE, CARRID, CONNID.
    ENDSELECT.
    If there are columns with the same name in both tables, you must distinguish between them by prefixing the field descriptor with the table name or a table alias.
    Note
    In order to determine the result of a SELECT command where the FROM clause contains a join, the database system first creates a temporary table containing the lines that meet the ON condition. The WHERE condition is then applied to the temporary table. It does not matter in an inner join whether the condition is in the ON or WHEREclause. The following example returns the same solution as the previous one.
    Example
    Output of a list of all flights from Frankfurt to New York between September 10th and 20th, 2001 that are not sold out:
    DATA: DATE LIKE SFLIGHT-FLDATE,
    CARRID LIKE SFLIGHT-CARRID,
    CONNID LIKE SFLIGHT-CONNID.
    SELECT FCARRID FCONNID F~FLDATE
    INTO (CARRID, CONNID, DATE)
    FROM SFLIGHT AS F INNER JOIN SPFLI AS P
    ON FCARRID = PCARRID
    WHERE FCONNID = PCONNID
    AND P~CITYFROM = 'FRANKFURT'
    AND P~CITYTO = 'NEW YORK'
    AND F~FLDATE BETWEEN '20010910' AND '20010920'
    AND FSEATSOCC < FSEATSMAX.
    WRITE: / DATE, CARRID, CONNID.
    ENDSELECT.
    Note
    Since not all of the database systems supported by SAP use the standard syntax for ON conditions, the syntax has been restricted. It only allows those joins that produce the same results on all of the supported database systems:
    Only a table or view may appear to the right of the JOIN operator, not another join expression.
    Only AND is possible in the ON condition as a logical operator.
    Each comparison in the ON condition must contain a field from the right-hand table.
    If an outer join occurs in the FROM clause, all the ON conditions must contain at least one "real" JOIN condition (a condition that contains a field from tabref1 amd a field from tabref2.
    Note
    In some cases, '*' may be specified in the SELECT clause, and an internal table or work area is entered into the INTO clause (instead of a list of fields). If so, the fields are written to the target area from left to right in the order in which the tables appear in the FROM clause, according to the structure of each table work area. There can then be gaps between table work areas if you use an Alignment Request. For this reason, you should define the target work area with reference to the types of the database tables, not simply by counting the total number of fields. For an example, see below:
    Variant 3
    ... FROM tabref1 LEFT [OUTER] JOIN tabref2 ON cond
    Effect
    Selects the data from the transparent database tables and/or views specified in tabref1 and tabref2. tabref1 und tabref2 both have either the same form as in variant 1 or are themselves join expressions. The keyword OUTER can be omitted. The database tables or views specified in tabref1 and tabref2 must be recognized by the ABAP-Dictionary.
    In order to determine the result of a SELECT command where the FROM clause contains a left outer join, the database system creates a temporary table containing the lines that meet the ON condition. The remaining fields from the left-hand table (tabref1) are then added to this table, and their corresponding fields from the right-hand table are filled with ZERO values. The system then applies the WHERE condition to the table.
    Left outer join between table 1 and table 2 where column D in both tables set the join condition:
    Table 1 Table 2
    A
    B
    C
    D
    D
    E
    F
    G
    H
    a1
    b1
    c1
    1
    1
    e1
    f1
    g1
    h1
    a2
    b2
    c2
    1
    3
    e2
    f2
    g2
    h2
    a3
    b3
    c3
    2
    4
    e3
    f3
    g3
    h3
    a4
    b4
    c4
    3
    |--|||--|
    Left Outer Join
    A
    B
    C
    D
    D
    E
    F
    G
    H
    a1
    b1
    c1
    1
    1
    e1
    f1
    g1
    h1
    a2
    b2
    c2
    1
    1
    e1
    f1
    g1
    h1
    a3
    b3
    c3
    2
    NULL
    NULL
    NULL
    NULL
    NULL
    a4
    b4
    c4
    3
    3
    e2
    f2
    g2
    h2
    |--||||||||--|
    Example
    Output a list of all custimers with their bookings for October 15th, 2001:
    DATA: CUSTOMER TYPE SCUSTOM,
    BOOKING TYPE SBOOK.
    SELECT SCUSTOMNAME SCUSTOMPOSTCODE SCUSTOM~CITY
    SBOOKFLDATE SBOOKCARRID SBOOKCONNID SBOOKBOOKID
    INTO (CUSTOMER-NAME, CUSTOMER-POSTCODE, CUSTOMER-CITY,
    BOOKING-FLDATE, BOOKING-CARRID, BOOKING-CONNID,
    BOOKING-BOOKID)
    FROM SCUSTOM LEFT OUTER JOIN SBOOK
    ON SCUSTOMID = SBOOKCUSTOMID AND
    SBOOK~FLDATE = '20011015'
    ORDER BY SCUSTOMNAME SBOOKFLDATE.
    WRITE: / CUSTOMER-NAME, CUSTOMER-POSTCODE, CUSTOMER-CITY,
    BOOKING-FLDATE, BOOKING-CARRID, BOOKING-CONNID,
    BOOKING-BOOKID.
    ENDSELECT.
    If there are columns with the same name in both tables, you must distinguish between them by prefixing the field descriptor with the table name or using an alias.
    Note
    For the resulting set of a SELECT command with a left outer join in the FROM clause, it is generally of crucial importance whether a logical condition is in the ON or WHERE condition. Since not all of the database systems supported by SAP themselves support the standard syntax and semantics of the left outer join, the syntax has been restricted to those cases that return the same solution in all database systems:
    Only a table or view may come after the JOIN operator, not another join statement.
    The only logical operator allowed in the ON condition is AND.
    Each comparison in the ON condition must contain a field from the right-hand table.
    Comparisons in the WHERE condition must not contain a field from the right-hand table.
    The ON condition must contain at least one "real" JOIN condition (a condition in which a field from tabref1 as well as from tabref2 occurs).
    Note
    In some cases, '*' may be specivied as the field list in the SELECT clause, and an internal table or work area is entered in the INTO clause (instead of a list of fields). If so, the fields are written to the target area from left to right in the order in which the tables appear in the llen in der FROM clause, according to the structure of each table work area. There can be gaps between the table work areas if you use an Alignment Request. For this reason, you should define the target work area with reference to the types of the database tables, as in the following example (not simply by counting the total number of fields).
    Example
    Example of a JOIN with more than two tables: Select all flights from Frankfurt to New York between September 10th and 20th, 2001 where there are available places, and display the name of the airline.
    DATA: BEGIN OF WA,
    FLIGHT TYPE SFLIGHT,
    PFLI TYPE SPFLI,
    CARR TYPE SCARR,
    END OF WA.
    SELECT * INTO WA
    FROM ( SFLIGHT AS F INNER JOIN SPFLI AS P
    ON FCARRID = PCARRID AND
    FCONNID = PCONNID )
    INNER JOIN SCARR AS C
    ON FCARRID = CCARRID
    WHERE P~CITYFROM = 'FRANKFURT'
    AND P~CITYTO = 'NEW YORK'
    AND F~FLDATE BETWEEN '20010910' AND '20010920'
    AND FSEATSOCC < FSEATSMAX.
    WRITE: / WA-CARR-CARRNAME, WA-FLIGHT-FLDATE, WA-FLIGHT-CARRID,
    WA-FLIGHT-CONNID.
    ENDSELECT.
    And for all entries,
    this will help u.
    use of FOR ALL ENTRIES:
    1. INNER JOIN
    DBTAB1 <----
    > DBTAB2
    It is used to JOIN two DATABASE tables
    having some COMMON fields.
    2. Whereas
    For All Entries,
    DBTAB1 <----
    > ITAB1
    is not at all related to two DATABASE tables.
    It is related to INTERNAL table.
    3. If we want to fetch data
    from some DBTABLE1
    but we want to fetch
    for only some records
    which are contained in some internal table,
    then we use for alll entries.
    1. simple example of for all entries.
    2. NOTE THAT
    In for all entries,
    it is NOT necessary to use TWO DBTABLES.
    (as against JOIN)
    3. use this program (just copy paste)
    it will fetch data
    from T001
    FOR ONLY TWO COMPANIES (as mentioned in itab)
    4
    REPORT abc.
    DATA : BEGIN OF itab OCCURS 0,
    bukrs LIKE t001-bukrs,
    END OF itab.
    DATA : t001 LIKE TABLE OF t001 WITH HEADER LINE.
    itab-bukrs = '1000'.
    APPEND itab.
    itab-bukrs = '1100'.
    APPEND itab.
    SELECT * FROM t001
    INTO TABLE t001
    FOR ALL ENTRIES IN itab
    WHERE bukrs = itab-bukrs.
    LOOP AT t001.
    WRITE :/ t001-bukrs.
    ENDLOOP.
    cheers,
    Hema.

  • What is the diffrence between OMB plus command and OMB command

    what is the diffrence between OMB plus command and OMB command?
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    Hi Alena,
    Welcome to SDN.
    Check this
    EXIT in Loops and Modularization Units
    Basic form
    EXIT.
    Effect
    Within a loop structure:
    Terminates looop processing (DO, WHILE, LOOP, SELECT).
    Within subroutines and other modularization units (but not in a loop structure):
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    Edited by: Mohinder Singh Chauhan on Aug 1, 2008 8:06 AM

  • What is the diff between general gl a/c, control a/c, reconciliation a/c,

    Dear All
    what is the diff between general gl a/c, control a/c, reconciliation a/c & offsetting a/c.

    Hi,
    Normal GL Account is the account where the accounting entries are posted. GL Accounts will be broadly of two categories like Balance Sheet Accounts (Assets & Liabilities) and Profit & Loss Accounts (Income and Expenses).
    Reconciliation Accounts are used where a subsidiary ledger is maintained. For example for Customers and Vendors details are maintained in separate ledgers but the control totals are posted in the Reconciliation Account which is part of GL Accounts. Similarly reconciliation accounts are maintained for Assets and Materials also. Further, in case of Customer and Vendor accounts the number of line items will be very high, hence only the totals are updated in GL and line items will be individual ledgers. Basically reconciliation account and control account are similar.
    Offsetting Account: In Financial Accounting for every debit there should be a corresponding credit. So when ever any entry posted it will normally hit two GL Accounts. When we look at one line item, we will be interested where the other side of the entry is posted. This entry is the offsetting entry.
    If you find this usel, please assign points.
    Thanks
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