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I am developing a database in MS Access 2010. I have two tables, one for Deals (tblDeals), and one for the Deal Items (tblDealItems).

I need to track the history for the data in these tables, so I am using a DateEffective field and DateEnd field in each of them.

The problem is that the data in each of the two tables can vary independently on different dates, which makes it difficult (impossible for me, actually) to return a recordset which has the true history of the series of events which occur during the deal.

The tables have the following data for one particular deal, "Deal 3":

tblDeals:
DealID DealName AssetClassID DateEffective DateEnd
------ -------- ------------ ------------- -------
3      Deal 3   3            1 Jan 2010    1 Jul 2011
3      Deal 3   2            1 Jul 2011    1 Oct 2011
3      Deal 3   1            1 Oct 2011 

tblDealItems:
DealItemID DealID CategoryID ParticipantID Amount DateEffective DateEnd
---------- ------ ---------- ------------- ------ ------------- -------
13         3      3          2             1500   1 Jan 2010    1 Jun 2011
13         3      1          2             1500   1 Jun 2011    6 Jun 2011
13         3      1          2             6000   6 Jun 2011    1 Sep 2011
13         3      3          2             6000   1 Sep 2011 

So the actual history of the Deal is this (created manually - this (with the exception of the "Description" column - which is there so it is obvious what has changed in each row) is what I would like to return):

Date       (Description)         DealID DealName AssetClassID CategoryID ParticipantID Amount
---------- --------------------- ------ -------- ------------ ---------- ------------- ------
1 Jan 2010 (Deal 3 Created)      3      Deal 3   3            3          2             1500
1 Jun 2011 (Category Changed)    3      Deal 3   3            1          2             1500
6 Jun 2011 (Amount Changed)      3      Deal 3   3            1          2             6000
1 Jul 2011 (Asset Class Changed) 3      Deal 3   2            1          2             6000
1 Sep 2011 (Category Changed)    3      Deal 3   2            3          2             6000
1 Oct 2011 (Asset Class Changed) 3      Deal 3   1            3          2             6000

Obviously, if I join the two tables on their shared key, I get a table with twelve rows (3 * 4) instead of the six rows which describe the history.

I know that I need to be able to join the tables together in some way so that I can generate the true history of the deal, but I just don't know how! (I'm really an Excel guy, not a SQL one!)

I think I have worked out exactly what is required to solve the problem specified above:

For each date in qryDates, I need to find the largest tblDeals.DateEffective which is less than or equal to that date and the largest tblDealItems.DateEffective which is less than or equal to that date.

I the need to return the row from a query joining tblDeals and tblDealItems which has those two exact dates.

Any help gratefully received.

share|improve this question
    
you'll never get the DESCRIPTION, as you need to compare valued in different rows. The other clolumns are easy to get with the CASE WHEN and a WHERE comparing start and end dates in the 12 rows of the join. –  Martin Sep 24 '11 at 14:36
    
Hi Martin: Yes, I agree. The DESCRIPTION is an attribute I've added so that it is obvious to a human what the change is in each row. I will amend the question to account for this. –  Nick Sep 24 '11 at 14:56
    
Hi Martin: It is fine to know that this is easy for you, but it is not helpful to tell me that it is easy for you! I am unable to understand what is required to achieve this result, hence my asking the question. If it is easy, I would be grateful if you could assist me a bit further in answering this. –  Nick Sep 24 '11 at 14:58
4  
It is not easy for anyone to use CASE WHEN with Access (Jet/ACE) database engine ... because they don't support it. :-) –  HansUp Sep 24 '11 at 16:12
1  
Just trying get it as simple as possible so that there are no extraneous elements confusing the situation. @onedaywhere is being a good editor! –  Nick Sep 26 '11 at 10:46

1 Answer 1

up vote 2 down vote accepted

I'm omitting 'Description' for the moment because it adds quite a bit of complexity (and might be better suited to a report anyhow):

First

 CREATE VIEW qryDates 
 AS
  SELECT DISTINCT T1.DealID, 
         T1.DateEffective AS tblDeals_DateEffective, 
         (
          SELECT MAX(T2.DateEffective)
            FROM tblDealItems AS T2
           WHERE T1.DealID = T2.DealID
                 AND T2.DateEffective <= T1.DateEffective
         ) AS tblDealItems_DateEffective
    FROM tblDeals AS T1;

Second:

 CREATE VIEW qryDates2
 AS
  SELECT DISTINCT T2.DealID, 
         T2.DateEffective AS tblDealItems_DateEffective, 
         (
          SELECT MAX(T1.DateEffective)
            FROM tblDeals AS T1
           WHERE T1.DealID = T2.DealID
                 AND T1.DateEffective <= T2.DateEffective
         ) AS tblDeals_DateEffective
    FROM tblDealItems AS T2

Then

SELECT T2.DateEffective AS [Date], '' AS Description, 
       T1.DealName, T1.AssetClassID, 
       T2.CategoryID, T2.ParticipantID, T2.Amount
  FROM (
       tblDeals AS T1
       INNER JOIN 
       qryDates2 AS Q2
          ON T1.DateEffective = Q2.tblDeals_DateEffective
             AND T1.DealID = Q2.DealID
       )
       INNER JOIN tblDealItems AS T2
          ON T2.DateEffective = Q2.tblDealItems_DateEffective
             AND T2.DealID = Q2.DealID
UNION 
SELECT T1.DateEffective AS [Date], '' AS Description, 
       T1.DealName, T1.AssetClassID, 
       T2.CategoryID, T2.ParticipantID, T2.Amount
  FROM (
       tblDeals AS T1
       INNER JOIN 
       qryDates AS Q1 
          ON T1.DateEffective = Q1.tblDeals_DateEffective
             AND T1.DealID = Q1.DealID
       )
       INNER JOIN tblDealItems AS T2
          ON T2.DateEffective = Q1.tblDealItems_DateEffective
             AND T2.DealID = Q1.DealID;

The quality of the data in your sample is good: in reality the joins may need to be outer to compensate for bad data. Note your tblDeals table is not fully normlized (hint: DealName is repeated).

Note:

Obviously, if I join the two tables on their shared key, I get a table with twelve rows (3 * 4) instead of the six rows which describe the history.

you can get the set of unique event dates for each deal using UNION:

SELECT DealID, DateEffective
  FROM tblDeals
UNION 
SELECT DealID, DateEffective
  FROM tblDealItems;

Here's a repro: creates a new mdb in temp folder, creates tables and views (note CREATE VIEW does work in Access ;) , adds test data (as per question) then executes query and shows results in a messagebox; no references required, just copy+paste into any VBA module e.g. use a new Excel workbook :)

Sub NickNick2()

  On Error Resume Next
  Kill Environ$("temp") & "\DropMe.mdb"
  On Error GoTo 0

  Dim cat
  Set cat = CreateObject("ADOX.Catalog")

  With cat
    .Create _
        "Provider=Microsoft.Jet.OLEDB.4.0;" & _
        "Data Source=" & _
        Environ$("temp") & "\DropMe.mdb"

    With .ActiveConnection

      Dim Sql As String

      Sql = "CREATE TABLE tblDeals (DealID INT, DealName VARCHAR(100), AssetClassID INT, DateEffective DATETIME, DateEnd DATETIME);"
      .Execute Sql

      Sql = "CREATE TABLE tblDealItems (DealItemID INT, DealID INT, CategoryID INT, ParticipantID INT, Amount INT, DateEffective DATETIME, DateEnd DATETIME);"
      .Execute Sql

      Sql = _
          " CREATE VIEW qryDates  " & _
          " AS " & _
          "  SELECT DISTINCT T1.DealID,  " & _
          "         T1.DateEffective AS tblDeals_DateEffective,  " & _
          "         ( " & _
          "          SELECT MAX(T2.DateEffective) " & _
          "            FROM tblDealItems AS T2 " & _
          "           WHERE T1.DealID = T2.DealID " & _
          "                 AND T2.DateEffective <= T1.DateEffective " & _
          "         ) AS tblDealItems_DateEffective " & _
          "    FROM tblDeals AS T1;"
      .Execute Sql

      Sql = _
      " CREATE VIEW qryDates2 " & _
      " AS " & _
      "  SELECT DISTINCT T2.DealID,  " & _
      "         T2.DateEffective AS tblDealItems_DateEffective,  " & _
      "         ( " & _
      "          SELECT MAX(T1.DateEffective) " & _
      "            FROM tblDeals AS T1 " & _
      "           WHERE T1.DealID = T2.DealID " & _
      "                 AND T1.DateEffective <= T2.DateEffective " & _
      "         ) AS tblDeals_DateEffective " & _
      "    FROM tblDealItems AS T2;"
      .Execute Sql

      Sql = _
      "INSERT INTO tblDeals VALUES (3, 'Deal 3', 3, '2010-01-01 00:00:00', '2011-07-01 00:00:00');"
      .Execute Sql
      Sql = _
      "INSERT INTO tblDeals VALUES (3, 'Deal 3', 2, '2011-07-01 00:00:00', '2011-10-01 00:00:00');"
      .Execute Sql
      Sql = _
      "INSERT INTO tblDeals VALUES (3, 'Deal 3', 1, '2011-10-01 00:00:00', NULL);"
      .Execute Sql
      Sql = _
      "INSERT INTO tblDealItems VALUES (13, 3, 3, 2, 1500, '2010-01-01 00:00:00', '2011-06-01 00:00:00');"
      .Execute Sql
      Sql = _
      "INSERT INTO tblDealItems VALUES (13, 3, 1, 2, 1500, '2011-06-01 00:00:00', '2011-06-06 00:00:00');"
      .Execute Sql
      Sql = _
      "INSERT INTO tblDealItems VALUES (13, 3, 1, 2, 6000, '2011-06-06 00:00:00', '2011-09-01 00:00:00');"
      .Execute Sql
      Sql = _
      "INSERT INTO tblDealItems VALUES (13, 3, 3, 2, 6000, '2011-09-01 00:00:00', NULL);"
      .Execute Sql

      Sql = _
      "SELECT T2.DateEffective AS [Date], '' AS Description, " & _
      "       T1.DealName, T1.AssetClassID,  " & _
      "       T2.CategoryID, T2.ParticipantID, T2.Amount " & _
      "  FROM ( " & _
      "       tblDeals AS T1 " & _
      "       INNER JOIN  " & _
      "       qryDates2 AS Q2 " & _
      "          ON T1.DateEffective = Q2.tblDeals_DateEffective " & _
      "             AND T1.DealID = Q2.DealID " & _
      "       ) " & _
      "       INNER JOIN tblDealItems AS T2 " & _
      "          ON T2.DateEffective = Q2.tblDealItems_DateEffective " & _
      "             AND T2.DealID = Q2.DealID " & _
      "UNION  " & _
      "SELECT T1.DateEffective AS [Date], '' AS Description,  " & _
      "       T1.DealName, T1.AssetClassID,  " & _
      "       T2.CategoryID, T2.ParticipantID, T2.Amount " & _
      "  FROM ( " & _
      "       tblDeals AS T1 " & _
      "       INNER JOIN  " & _
      "       qryDates AS Q1  " & _
      "          ON T1.DateEffective = Q1.tblDeals_DateEffective " & _
      "             AND T1.DealID = Q1.DealID " & _
      "       ) "
      Sql = Sql & _
      "       INNER JOIN tblDealItems AS T2 " & _
      "          ON T2.DateEffective = Q1.tblDealItems_DateEffective " & _
      "             AND T2.DealID = Q1.DealID " & _
      " ORDER " & _
      "    BY 1;"

      Dim rs
      Set rs = .Execute(Sql)
      MsgBox rs.GetString

    End With
    Set .ActiveConnection = Nothing
  End With
End Sub
share|improve this answer
    
Thank you for the information on the Union of the DateEffectives, this was where I can give myself a small pat on the back in that I was able to discover that myself, although it does not play a part in the ultimate solution. –  Nick Sep 26 '11 at 11:54
    
@Nick: hope you can follow the above to getting the Description column. And don't forget to accept the best answer ;) –  onedaywhen Sep 26 '11 at 11:54
    
Thank you for letting me know about the denormalisation. Because the table records the DateEffective and DateEnd, every time there is a UPDATE change to the data, instead of the data being overwritten, the DateEnd field is updated and a new row with all the previous values (and the changed one(s) are then added at the end of the database. I understand that this is necessarily involve some denormalisation. Do you have a better suggestion for tracking the history of the records? –  Nick Sep 26 '11 at 11:57
    
Arrrgh! It doesn't work! I have five dummy deals in my test DB, and the query is returning all the permuations for each of the different deals. Should there be another join somehwere so it's not just dates that are being checked, but also the ID to ensure that they are the correct combo. Also (and rather belatedly, this may alternatively be the source of the problem) does not DateEnd need to be taken into account so that old items are only being matched with items that are not newer... Blimey this is a terrifically difficult problem. Thanks for your help. –  Nick Sep 26 '11 at 12:20
1  
@Nick: Got there in the end ;) p.s. I came from an Excel background too but got sucked into the SQL world, so watch out! –  onedaywhen Sep 26 '11 at 15:28

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