insert into purchase_receive(id, apply_order_id, receive_quantity, receive_date, receive_address, signer, stock_in_no, stock_in_date, stock_out_no, stock_out_date) values (#{id}, #{applyOrderId}, #{receiveQuantity}, #{receiveDate}, #{receiveAddress}, #{signer}, #{stockInNo}, #{stockInDate}, #{stockOutNo}, #{stockOutDate}) update purchase_receive t set t.apply_order_id= #{applyOrderId}, t.receive_quantity= #{receiveQuantity}, t.receive_date= #{receiveDate}, t.receive_address= #{receiveAddress}, t.signer= #{signer}, t.stock_in_no= #{stockInNo}, t.stock_in_date= #{stockInDate}, t.stock_out_no= #{stockOutNo}, t.stock_out_date= #{stockOutDate} where 1=1 and t.id= #{id} and t.apply_order_id= #{applyOrderId}