I am working with a rather hairy Stored Proc which returns XML (the XML is transformed with a stylesheet and printed out to a page; essentially a GridView in XML). I have a requirement to aggregate multiple rows (with the same ID, of course) into a single row only if the value of a particular column is not one of two specific values (in which case the columns are not aggregated).
In effect I need to do the following (in pseudocode):
select quoteID, customerName, shippingCharges, description, /*other columns*/ from quotes q inner join customers c on q.customerID = c.customerID where shipDate between @fromDate and @toDate for xml explicit if description != "Insurance" and description != "Pickup": /*aggregate the rows for that quoteID into one single row adding together charges and the like as needed*/ else: /*nothing - okay to have multiple rows*/
How should I go about handling this type of logic? My first guess would be to put all the values into a temp table (or CTE) and then somehow check all of the data to see if I need to extract and combine rows but I'm drawing a blank as to how that actually is done, which is usually an indicator it's not the correct way of doing it...
Would this be better (and perhaps easier?) to do in the XSL transformation file instead? My choices are limited to three options:
- Aggregate in the stored procedure, leave XSLT untouched
- Aggregate in the XSLT, leave stored procedure untouched
- This can't be achieved with the way the data is being returned currently (or can't be achieved without lots of time-consuming workarounds)
One of the issues I'm facing is that the records will usually have the same ID field, and therefore the totals are coming out incorrect because I am summing the whole record (which calculates the total for the field I want and the field that I don't want).
For example a record might be something like:
1234 Insurance 54.65 1234 Shipping Charge 160.00 1234 Some Other Charge 15.00
and I would want the finished result to be like this:
1234 Shipment 175.00 1234 Insurance 54.65
what's happening is this:
1234 Shipment 229.65 1234 Insurance 229.65
and it's throwing the totals off.
The strategy I was using was to create a CTE called "AggregateData" that sums up the various amounts and groups by the ID and the Description; this fails because it gives the above result (sums for each description, so the value appears twice and is added twice on the report). The closest I have gotten is to NOT group it by the Description but instead wrapping it in the
Max function (Yes, I know that's not a good idea). This gives me the correct totals but the description isn't accurately being reflected e.g. some records should be "Insurance" but are showing "Shipment" instead.