CREATE PROCEDURE [dbo].[Get1Day] @ExchangeId int , @PairSymbol varchar(50), @StartDate datetime, @EndDate datetime AS SET NOCOUNT ON SET TRANSACTION ISOLATION LEVEL READ UNCOMMITTED SELECT [CRTD_ID] ,[CRTD_Period] ,[CRTD_FirstQuote] ,[CRTD_LastQuote] ,[CRTD_PairSymbol] ,[CRTD_BidOpeningValue] ,[CRTD_BidClosingValue] ,[CRTD_BidLowValue] ,[CRTD_BidHighValue] ,[CRTD_MidOpeningValue] ,[CRTD_MidClosingValue] ,[CRTD_MidLowValue] ,[CRTD_MidHighValue] ,[CRTD_DateIn], [ExchangeId] from [CRT_Data_1Day] where ExchangeId = @ExchangeId AND [CRTD_PairSymbol] = @PairSymbol and [CRTD_DateIn] BETWEEN @StartDate and @EndDate RETURN 0 GO