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  • Excel formula: can MATCH recognise 'n'&"01", or 'n'&"02 "

    - by Mike
    I have an Excel sheet (source) that has simple ID numbers in column A (01 to 40000). In another sheet (child) I have these same ID numbers in column A but with either an additional 01 or 02 added on; e.g. 0101 or 0102, 250001 or 250002, etc. Therefore this list of ID numbers is nearly twice as long. In column B there are figures. I'm trying to extract the data from column B in the child sheet, and based on whether it has a "01" or a "02" place the figure into either column B or C of the source sheet. My idea is to use INDEX/MATCH, but I'm not sure how the match would be written to take into account the NOT EXACT MATCH of the lookup value. MATCH(A1&"01",child!A1:A100000,). Any tips and links greatly appreciated. Mike.

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  • Self-signed certificates for a known community

    - by costlow
    Recently announced changes scheduled for Java 7 update 51 (January 2014) have established that the default security slider will require code signatures and the Permissions Manifest attribute. Code signatures are a common practice recommended in the industry because they help determine that the code your computer will run is the same code that the publisher created. This post is written to help users that need to use self-signed certificates without involving a public Certificate Authority. The role of self-signed certificates within a known community You may still use self-signed certificates within a known community. The difference between self-signed and purchased-from-CA is that your users must import your self-signed certificate to indicate that it is valid, whereas Certificate Authorities are already trusted by default. This works for known communities where people will trust that my certificate is mine, but does not scale widely where I cannot actually contact or know the systems that will need to trust my certificate. Public Certificate Authorities are widely trusted already because they abide by many different requirements and frequent checks. An example would be students in a university class sharing their public certificates on a mailing list or web page, employees publishing on the intranet, or a system administrator rolling certificates out to end-users. Managed machines help this because you can automate the rollout, but they are not required -- the major point simply that people will trust and import your certificate. How to distribute self-signed certificates for a known community There are several steps required to distribute a self-signed certificate to users so that they will properly trust it. These steps are: Creating a public/private key pair for signing. Exporting your public certificate for others Importing your certificate onto machines that should trust you Verify work on a different machine Creating a public/private key pair for signing Having a public/private key pair will give you the ability both to sign items yourself and issue a Certificate Signing Request (CSR) to a certificate authority. Create your public/private key pair by following the instructions for creating key pairs.Every Certificate Authority that I looked at provided similar instructions, but for the sake of cohesiveness I will include the commands that I used here: Generate the key pair.keytool -genkeypair -alias erikcostlow -keyalg EC -keysize 571 -validity 730 -keystore javakeystore_keepsecret.jks Provide a good password for this file. The alias "erikcostlow" is my name and therefore easy to remember. Substitute your name of something like "mykey." The sigalg of EC (Elliptical Curve) and keysize of 571 will give your key a good strong lifetime. All keys are set to expire. Two years or 730 days is a reasonable compromise between not-long-enough and too-long. Most public Certificate Authorities will sign something for one to five years. You will be placing your keys in javakeystore_keepsecret.jks -- this file will contain private keys and therefore should not be shared. If someone else gets these private keys, they can impersonate your signature. Please be cautious about automated cloud backup systems and private key stores. Answer all the questions. It is important to provide good answers because you will stick with them for the "-validity" days that you specified above.What is your first and last name?  [Unknown]:  First LastWhat is the name of your organizational unit?  [Unknown]:  Line of BusinessWhat is the name of your organization?  [Unknown]:  MyCompanyWhat is the name of your City or Locality?  [Unknown]:  City NameWhat is the name of your State or Province?  [Unknown]:  CAWhat is the two-letter country code for this unit?  [Unknown]:  USIs CN=First Last, OU=Line of Business, O=MyCompany, L=City, ST=CA, C=US correct?  [no]:  yesEnter key password for <erikcostlow>        (RETURN if same as keystore password): Verify your work:keytool -list -keystore javakeystore_keepsecret.jksYou should see your new key pair. Exporting your public certificate for others Public Key Infrastructure relies on two simple concepts: the public key may be made public and the private key must be private. By exporting your public certificate, you are able to share it with others who can then import the certificate to trust you. keytool -exportcert -keystore javakeystore_keepsecret.jks -alias erikcostlow -file erikcostlow.cer To verify this, you can open the .cer file by double-clicking it on most operating systems. It should show the information that you entered during the creation prompts. This is the file that you will share with others. They will use this certificate to prove that artifacts signed by this certificate came from you. If you do not manage machines directly, place the certificate file on an area that people within the known community should trust, such as an intranet page. Import the certificate onto machines that should trust you In order to trust the certificate, people within your known network must import your certificate into their keystores. The first step is to verify that the certificate is actually yours, which can be done through any band: email, phone, in-person, etc. Known networks can usually do this Determine the right keystore: For an individual user looking to trust another, the correct file is within that user’s directory.e.g. USER_HOME\AppData\LocalLow\Sun\Java\Deployment\security\trusted.certs For system-wide installations, Java’s Certificate Authorities are in JAVA_HOMEe.g. C:\Program Files\Java\jre8\lib\security\cacerts File paths for Mac and Linux are included in the link above. Follow the instructions to import the certificate into the keystore. keytool -importcert -keystore THEKEYSTOREFROMABOVE -alias erikcostlow -file erikcostlow.cer In this case, I am still using my name for the alias because it’s easy for me to remember. You may also use an alias of your company name. Scaling distribution of the import The easiest way to apply your certificate across many machines is to just push the .certs or cacerts file onto them. When doing this, watch out for any changes that people would have made to this file on their machines. Trusted.certs: When publishing into user directories, your file will overwrite any keys that the user has added since last update. CACerts: It is best to re-run the import command with each installation rather than just overwriting the file. If you just keep the same cacerts file between upgrades, you will overwrite any CAs that have been added or removed. By re-importing, you stay up to date with changes. Verify work on a different machine Verification is a way of checking on the client machine to ensure that it properly trusts signed artifacts after you have added your signing certificate. Many people have started using deployment rule sets. You can validate the deployment rule set by: Create and sign the deployment rule set on the computer that holds the private key. Copy the deployment rule set on to the different machine where you have imported the signing certificate. Verify that the Java Control Panel’s security tab shows your deployment rule set. Verifying an individual JAR file or multiple JAR files You can test a certificate chain by using the jarsigner command. jarsigner -verify filename.jar If the output does not say "jar verified" then run the following command to see why: jarsigner -verify -verbose -certs filename.jar Check the output for the term “CertPath not validated.”

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  • How can I compare two columns in Excel to highlight words that don't match?

    - by Jez Vander Brown
    (I'm using Microsoft excel 2010) OK, lets say I have a list of phrases in both column A and column B (see screen shot below) What I would like to happen whether it be with a macro, VBA or formula is: If there is a word in any cell in column A that isn't any of the words in any cell in column B to highlight that word in red. For example: in cell A9 the word "buy" is there, but the word buy isn't mentioned anywhere in column B so i would like the word buy to highlight in red. How can I accomplish this? (I think a macro/vba would be the best option but I have no idea how to create it, or even if its possible.)

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  • Filtering option list values based on security in UCM

    - by kyle.hatlestad
    Fellow UCM blog writer John Sim recently posted a comment asking about filtering values based on the user's security. I had never dug into that detail before, but thought I would take a look. It ended up being tricker then I originally thought and required a bit of insider knowledge, so I thought I would share. The first step is to create the option list table in Configuration Manager. You want to define the column for the option list value and any other columns desired. You then want to have a column which will store the security attribute to apply to the option list value. In this example, we'll name the column 'dGroupName'. Next step is to create a View based on the new table. For the Internal and Visible column, you can select the option list column name. Then click on the Security tab, uncheck the 'Publish view data' checkbox and select the 'Use standard document security' radio button. Click on the 'Edit Values...' button and add the values for the option list. In the dGroupName field, enter the Security Group (or Account if you use Accounts for security) to apply to that value. Create the custom metadata field and apply the View just created. The next step requires file system access to the server. Open the file [ucm directory]\data\schema\views\[view name].hda in a text editor. Below the line '@Properties LocalData', add the line: schSecurityImplementorColumnMap=dGroupName:dSecurityGroup The 'dGroupName' value designates the column in the table which stores the security value. 'dSecurityGroup' indicates the type of security to check against. It would be 'dDocAccount' if using Accounts. Save the file and restart UCM. Now when a user goes to the check-in page, they will only see the options for which they have read and write privileges to the associated Security Group. And on the Search page, they will see the options for which they have just read access. One thing to note is if a value that a user normally can't view on Check-in or Search is applied to a document, but the document is viewable by the user, the user will be able to see the value on the Content Information screen.

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  • Tips for adapting Date table to Power View forecasting #powerview #powerbi

    - by Marco Russo (SQLBI)
    During the keynote of the PASS Business Analytics Conference, Amir Netz presented the new forecasting capabilities in Power View for Office 365. I immediately tried the new feature (which was immediately available, a welcome surprise in a Microsoft announcement for a new release) and I had several issues trying to use existing data models. The forecasting has a few requirements that are not compatible with the “best practices” commonly used for a calendar table until this announcement. For example, if you have a Year-Month-Day hierarchy and you want to display a line chart aggregating data at the month level, you use a column containing month and year as a string (e.g. May 2014) sorted by a numeric column (such as 201405). Such a column cannot be used in the x-axis of a line chart for forecasting, because you need a date or numeric column. There are also other requirements and I wrote the article Prepare Data for Power View Forecasting in Power BI on SQLBI, describing how to create columns that can be used with the new forecasting capabilities in Power View for Office 365.

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  • SQL SERVER – Finding Different ColumnName From Almost Identitical Tables

    - by pinaldave
    I have mentioned earlier on this blog that I love social media – Facebook and Twitter. I receive so many interesting questions that sometimes I wonder how come I never faced them in my real life scenario. Well, let us see one of the similar situation. Here is one of the questions which I received on my social media handle. “Pinal, I have a large database. I did not develop this database but I have inherited this database. In our database we have many tables but all the tables are in pairs. We have one archive table and one current table. Now here is interesting situation. For a while due to some reason our organization has stopped paying attention to archive data. We did not archive anything for a while. If this was not enough we  even changed the schema of current table but did not change the corresponding archive table. This is now becoming a huge huge problem. We know for sure that in current table we have added few column but we do not know which ones. Is there any way we can figure out what are the new column added in the current table and does not exist in the archive tables? We cannot use any third party tool. Would you please guide us?” Well here is the interesting example of how we can use sys.column catalogue views and get the details of the newly added column. I have previously written about EXCEPT over here which is very similar to MINUS of Oracle. In following example we are going to create two tables. One of the tables has extra column. In our resultset we will get the name of the extra column as we are comparing the catalogue view of the column name. USE AdventureWorks2012 GO CREATE TABLE ArchiveTable (ID INT, Col1 VARCHAR(10), Col2 VARCHAR(100), Col3 VARCHAR(100)); CREATE TABLE CurrentTable (ID INT, Col1 VARCHAR(10), Col2 VARCHAR(100), Col3 VARCHAR(100), ExtraCol INT); GO -- Columns in ArchiveTable but not in CurrentTable SELECT name ColumnName FROM sys.columns WHERE OBJECT_NAME(OBJECT_ID) = 'ArchiveTable' EXCEPT SELECT name ColumnName FROM sys.columns WHERE OBJECT_NAME(OBJECT_ID) = 'CurrentTable' GO -- Columns in CurrentTable but not in ArchiveTable SELECT name ColumnName FROM sys.columns WHERE OBJECT_NAME(OBJECT_ID) = 'CurrentTable' EXCEPT SELECT name ColumnName FROM sys.columns WHERE OBJECT_NAME(OBJECT_ID) = 'ArchiveTable' GO DROP TABLE ArchiveTable; DROP TABLE CurrentTable; GO The above query will return us following result. I hope this solves the problems. It is not the most elegant solution ever possible but it works. Here is the puzzle back to you – what native T-SQL solution would you have provided in this situation? Reference: Pinal Dave (http://blog.sqlauthority.com) Filed under: PostADay, SQL, SQL Authority, SQL Query, SQL Server, SQL System Table, SQL Tips and Tricks, T SQL, Technology

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  • Why to avoid SELECT * from tables in your Views

    - by Jeff Smith
    -- clean up any messes left over from before: if OBJECT_ID('AllTeams') is not null  drop view AllTeams go if OBJECT_ID('Teams') is not null  drop table Teams go -- sample table: create table Teams (  id int primary key,  City varchar(20),  TeamName varchar(20) ) go -- sample data: insert into Teams (id, City, TeamName ) select 1,'Boston','Red Sox' union all select 2,'New York','Yankees' go create view AllTeams as  select * from Teams go select * from AllTeams --Results: -- --id          City                 TeamName ------------- -------------------- -------------------- --1           Boston               Red Sox --2           New York             Yankees -- Now, add a new column to the Teams table: alter table Teams add League varchar(10) go -- put some data in there: update Teams set League='AL' -- run it again select * from AllTeams --Results: -- --id          City                 TeamName ------------- -------------------- -------------------- --1           Boston               Red Sox --2           New York             Yankees -- Notice that League is not displayed! -- Here's an even worse scenario, when the table gets altered in ways beyond adding columns: drop table Teams go -- recreate table putting the League column before the City: -- (i.e., simulate re-ordering and/or inserting a column) create table Teams (  id int primary key,  League varchar(10),  City varchar(20),  TeamName varchar(20) ) go -- put in some data: insert into Teams (id,League,City,TeamName) select 1,'AL','Boston','Red Sox' union all select 2,'AL','New York','Yankees' -- Now, Select again for our view: select * from AllTeams --Results: -- --id          City       TeamName ------------- ---------- -------------------- --1           AL         Boston --2           AL         New York -- The column labeled "City" in the View is actually the League, and the column labelled TeamName is actually the City! go -- clean up: drop view AllTeams drop table Teams

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  • Tips for adapting Date table to Power View forecasting #powerview #powerbi

    - by Marco Russo (SQLBI)
    During the keynote of the PASS Business Analytics Conference, Amir Netz presented the new forecasting capabilities in Power View for Office 365. I immediately tried the new feature (which was immediately available, a welcome surprise in a Microsoft announcement for a new release) and I had several issues trying to use existing data models. The forecasting has a few requirements that are not compatible with the “best practices” commonly used for a calendar table until this announcement. For example, if you have a Year-Month-Day hierarchy and you want to display a line chart aggregating data at the month level, you use a column containing month and year as a string (e.g. May 2014) sorted by a numeric column (such as 201405). Such a column cannot be used in the x-axis of a line chart for forecasting, because you need a date or numeric column. There are also other requirements and I wrote the article Prepare Data for Power View Forecasting in Power BI on SQLBI, describing how to create columns that can be used with the new forecasting capabilities in Power View for Office 365.

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  • JavaOne Session Report: “50 Tips in 50 Minutes for GlassFish Fans”

    - by Janice J. Heiss
    At JavaOne 2012 on Monday, Oracle’s Engineer Chris Kasso, and Technology Evangelist Arun Gupta, presented a head-spinning session (CON4701) in which they offered 50 tips for GlassFish fans. Kasso and Gupta alternated back and forth with each presenting 10 tips at a time. An audience of about (appropriately) 50 attentive and appreciative developers was on hand in what has to be one of the most information-packed sessions ever at JavaOne!Aside: I experienced one of the quiet joys of JavaOne when, just before the session began, I spotted Java Champion and JavaOne Rock Star Adam Bien sitting nearby – Adam is someone I have been fortunate to know for many years.GlassFish is a freely available, commercially supported Java EE reference implementation. The session prioritized quantity of tips over depth of information and offered tips that are intended for both seasoned and new users, that are meant to increase the range of functional options available to GlassFish users. The focus was on lesser-known dimensions of GlassFish. Attendees were encouraged to pursue tips that contained new information for them. All 50 tips can be accessed here.Below are several examples of more elaborate tips and a final practical tip on how to get in touch with these folks. Tip #1: Using the login Command * To execute a remote command with asadmin you must provide the admin's user name and password.* The login command allows you to store the login credentials to be reused in subsequent commands.* Can be logged into multiple servers (distinguish by host and port). Example:     % asadmin --host ouch login     Enter admin user name [default: admin]>     Enter admin password>     Login information relevant to admin user name [admin]     for host [ouch] and admin port [4848] stored at     [/Users/ckasso/.asadminpass] successfully.     Make sure that this file remains protected.     Information stored in this file will be used by     asadmin commands to manage the associated domain.     Command login executed successfully.     % asadmin --host ouch list-clusters     c1 not running     Command list-clusters executed successfully.Tip #4: Using the AS_DEBUG Env Variable* Environment variable to control client side debug output* Exposes: command processing info URL used to access the command:                           http://localhost:4848/__asadmin/uptime Raw response from the server Example:   % export AS_DEBUG=true  % asadmin uptime  CLASSPATH= ./../glassfish/modules/admin-cli.jar  Commands: [uptime]  asadmin extension directory: /work/gf-3.1.2/glassfish3/glassfish/lib/asadm      ------- RAW RESPONSE  ---------   Signature-Version: 1.0   message: Up 7 mins 10 secs   milliseconds_value: 430194   keys: milliseconds   milliseconds_name: milliseconds   use-main-children-attribute: false   exit-code: SUCCESS  ------- RAW RESPONSE  ---------Tip #11: Using Password Aliases * Some resources require a password to access (e.g. DB, JMS, etc.).* The resource connector is defined in the domain.xml.Example:Suppose the DB resource you wish to access requires an entry like this in the domain.xml:     <property name="password" value="secretp@ssword"/>But company policies do not allow you to store the password in the clear.* Use password aliases to avoid storing the password in the domain.xml* Create a password alias:     % asadmin create-password-alias DB_pw_alias     Enter the alias password>     Enter the alias password again>     Command create-password-alias executed successfully.* The password is stored in domain's encrypted keystore.* Now update the password value in the domain.xml:     <property name="password" value="${ALIAS=DB_pw_alias}"/>Tip #21: How to Start GlassFish as a Service * Configuring a server to automatically start at boot can be tedious.* Each platform does it differently.* The create-service command makes this easy.   Windows: creates a Windows service Linux: /etc/init.d script Solaris: Service Management Facility (SMF) service * Must execute create-service with admin privileges.* Can be used for the DAS or instances* Try it first with the --dry-run option.* There is a (unsupported) _delete-serverExample:     # asadmin create-service domain1     The Service was created successfully. Here are the details:     Name of the service:application/GlassFish/domain1     Type of the service:Domain     Configuration location of the service:/work/gf-3.1.2.2/glassfish3/glassfish/domains     Manifest file location on the system:/var/svc/manifest/application/GlassFish/domain1_work_gf-3.1.2.2_glassfish3_glassfish_domains/Domain-service-smf.xml.     You have created the service but you need to start it yourself. Here are the most typical Solaris commands of interest:     * /usr/bin/svcs  -a | grep domain1  // status     * /usr/sbin/svcadm enable domain1 // start     * /usr/sbin/svcadm disable domain1 // stop     * /usr/sbin/svccfg delete domain1 // uninstallTip #34: Posting a Command via REST* Use wget/curl to execute commands on the DAS.Example:  Deploying an application   % curl -s -S \       -H 'Accept: application/json' -X POST \       -H 'X-Requested-By: anyvalue' \       -F id=@/path/to/application.war \       -F force=true http://localhost:4848/management/domain/applications/application* Use @ before a file name to tell curl to send the file's contents.* The force option tells GlassFish to force the deployment in case the application is already deployed.* Use wget/curl to execute commands on the DAS.Example:  Deploying an application   % curl -s -S \       -H 'Accept: application/json' -X POST \       -H 'X-Requested-By: anyvalue' \       -F id=@/path/to/application.war \       -F force=true http://localhost:4848/management/domain/applications/application* Use @ before a file name to tell curl to send the file's contents.* The force option tells GlassFish to force the deployment in case the application is already deployed.Tip #46: Upgrading to a Newer Version * Upgrade applications and configuration from an earlier version* Upgrade Tool: Side-by-side upgrade– GUI: asupgrade– CLI: asupgrade --c– What happens ?* Copies older source domain -> target domain directory* asadmin start-domain --upgrade* Update Tool and pkg: In-place upgrade– GUI: updatetool, install all Available Updates– CLI: pkg image-update– Upgrade the domain* asadmin start-domain --upgradeTip #50: How to reach us?* GlassFish Forum: http://www.java.net/forums/glassfish/glassfish* [email protected]* @glassfish* facebook.com/glassfish* youtube.com/GlassFishVideos* blogs.oracle.com/theaquariumArun Gupta acknowledged that their method of presentation was experimental and actively solicited feedback about the session. The best way to reach them is on the GlassFish user forum.In addition, check out Gupta’s new book Java EE 6 Pocket Guide.

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  • Positive result, negative result and current balance. How do you make starting balance show current result?

    - by Tine
    I have 3 columns. Column A shows positive result and if the result is negative then it is in a column B. Column B shows negative result and if the result is positive then it is in a column A. (meaning that either columns can have 0.00 in the cell (empty zero cells)). Column C has starting assets and it also shows the current balance that while result A or B are adding up and current balance is showing the current result. What is the proper formula for this I hope I was clear with my problem. Please help. Thanks in advance!

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  • Ruby on Rails - How to migrate code from float to decimal?

    - by user1723110
    So I've got a ruby on rails code which use float a lot (lots of "to_f"). It uses a database with some numbers also stored as "float" type. I would like to migrate this code and the database to decimal only. Is it as simple as migrating the database columns to decimal (adding a decimal column, copying float column to decimal one, deleting float column, renaming decimal column to old float column name), and replacing "to_f" with "to_d" in the code? Or do I need to do more than that? Thanks a lot everyone Raphael

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  • Application specific environment variable settings

    - by SuperElectric
    I'm trying to work around a known bug in Ubuntu 9.10, where using the scrollbar in emacs causes text to be highlighted, and the cursor to move. This page here shows that you can fix this by setting an environment variable before launching emacs: $ GDK_NATIVE_WINDOWS=1 emacs So a lazy fix would be to alias "emacs" in my .bashrc: alias emacs="GDK_NATIVE_WINDOWS=1 emacs" This, however, has the drawback of setting this environment variable for all subsequent commands run from that shell. Is there any way to set GDK_NATIVE_WINDOWS=1 for just emacs, whenever I run emacs?

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  • Lining things up while using columns

    - by Charles
    I have a request that may not be possible. I'd like to line up the elements of a form so that the inputs all start at the same place: Name: [ ] Company: [ ] Some question with a long name: [ ] But my list is (somewhat) long and I would like to show them in multiple columns on screens that are wide enough. Ideally, I'd find a POSH method (table-free is semantically appropriate, I think) that works on a reasonable number of browsers. My current page uses a table. I tried CSS with columns: auto; -moz-column-count: auto; -moz-column-width: auto; -webkit-column-count: auto; -webkit-column-width: auto; but Firefox (at least) won't break a table across columns.

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  • Conditional formatting & vlookup

    - by zorama
    Please help me with the formula: Main Sheet is Sheet2 B COLUMN I want to look up sheet1 A & B columns with Sheet2 A & B columns from 1 workbook that if sheet2 A are same/equal as Sheet1 A column, also if Sheet2 B column are same/equal as Sheet1 B column , how will I highlight the Sheet2 B column that if Sheet1 A & B + Sheet2 A & B are exactly equal . EXAMPLE: SHEET 1 SHEET 2 SHEET 2 Result A B A B A B CODE NO CODE NO CODE NO A 12 B 205 B 205 (highlight to red) B 105 B 20 B 20 (highlight to red) A 45 B 100 B 100 A 56 A 56 A 56 (highlight to red) A 78 B 25 B 25 A 100 A 12 A 12 (highlight to red) B 77 A 45 A 45 (highlight to red) B 108 A 20000 A 20000 B 20 B 205

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  • Checking All Checkboxes in a GridView Using jQuery

    In May 2006 I wrote two articles that showed how to add a column of checkboxes to a GridView and offer the ability for users to check (or uncheck) all checkboxes in the column with a single click of the mouse. The first article, Checking All CheckBoxes in a GridView, showed how to add "Check All" and "Uncheck All" buttons to the page above the GridView that, when clicked, checked or unchecked all of the checkboxes. The second article, Checking All CheckBoxes in a GridView Using Client-Side Script and a Check All CheckBox, detailed how to add a checkbox to the checkbox column in the grid's header row that would check or uncheck all checkboxes in the column.

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  • Using Unity – Part 5

    - by nmarun
    In the previous article of the series, I talked about constructor and property (setter) injection. I wanted to write about how to work with arrays and generics in Unity in this blog, after seeing how lengthy this one got, I’ve decided to write about generics in the next one. This one will only concentrate on arrays. My Product4 class has the following definition: 1: public interface IProduct 2: { 3: string WriteProductDetails(); 4: } 5:  6: public class Product4 : IProduct 7: { 8: public string Name { get; set; } 9: public ILogger[] Loggers { get; set; } 10:  11: public Product4(string productName, ILogger[] loggers) 12: { 13: Name = productName; 14: Loggers = loggers; 15: } 16:  17: public string WriteProductDetails() 18: { 19: StringBuilder productDetails = new StringBuilder(); 20: productDetails.AppendFormat("{0}<br/>", Name); 21: for (int i = 0; i < Loggers.Count(); i++) 22: { 23: productDetails.AppendFormat("{0}<br/>", Loggers[i].WriteLog()); 24: } 25: 26: return productDetails.ToString(); 27: } 28: } The key parts are line 4 where we declare an array of ILogger and line 5 where-in the constructor passes an instance of an array of ILogger objects. I’ve created another class – FakeLogger: 1: public class FakeLogger : ILogger 2: { 3: public string WriteLog() 4: { 5: return string.Format("Type: {0}", GetType()); 6: } 7: } It’s implementation is the same as what we had for the FileLogger class. Coming to the web.config file, first add the following aliases. The alias for FakeLogger should make sense right away. ILoggerArray defines an array of ILogger objects. I’ll tell why we need an alias for System.String data type. 1: <typeAlias alias="string" type="System.String, mscorlib" /> 2: <typeAlias alias="ILoggerArray" type="ProductModel.ILogger[], ProductModel" /> 3: <typeAlias alias="FakeLogger" type="ProductModel.FakeLogger, ProductModel"/> Next is to create mappings for the FileLogger and FakeLogger classes: 1: <type type="ILogger" mapTo="FileLogger" name="logger1"> 2: <lifetime type="singleton" /> 3: </type> 4: <type type="ILogger" mapTo="FakeLogger" name="logger2"> 5: <lifetime type="singleton" /> 6: </type> Finally, for the real deal: 1: <type type="IProduct" mapTo="Product4" name="ArrayProduct"> 2: <typeConfig extensionType="Microsoft.Practices.Unity.Configuration.TypeInjectionElement,Microsoft.Practices.Unity.Configuration, Version=1.2.0.0, Culture=neutral, PublicKeyToken=31bf3856ad364e35"> 3: <constructor> 4: <param name="productName" parameterType="string" > 5: <value value="Product name from config file" type="string"/> 6: </param> 7: <param name="loggers" parameterType="ILoggerArray"> 8: <array> 9: <dependency name="logger2" /> 10: <dependency name="logger1" /> 11: </array> 12: </param> 13: </constructor> 14: </typeConfig> 15: </type> Here’s where I’m saying, that if a type of IProduct is requested to be resolved, map it to type Product4. Furthermore, the Product4 has two constructor parameters – a string and an array of type ILogger. You might have observed the first parameter of the constructor is named ‘productName’ and that matches the value in the name attribute of the param element. The parameterType of ‘string’ maps to ‘System.String, mscorlib’ and is defined in the type alias above. The set up is similar for the second constructor parameter. The name matches the name of the parameter (loggers) and is of type ILoggerArray, which maps to an array of ILogger objects. We’ve also decided to add two elements to this array when unity resolves it – an instance of FileLogger and one of FakeLogger. The click event of the button does the following: 1: //unityContainer.RegisterType<IProduct, Product4>(); 2: //IProduct product4 = unityContainer.Resolve<IProduct>(); 3: IProduct product4 = unityContainer.Resolve<IProduct>("ArrayConstructor"); 4: productDetailsLabel.Text = product4.WriteProductDetails(); It’s worth mentioning here about the change in the format of resolving the IProduct to create an instance of Product4. You cannot use the regular way (the commented lines) to get an instance of Product4. The reason is due to the behavior of Unity which Alex Ermakov has brilliantly explained here. The corresponding output of the action is: You have a couple of options when it comes to adding dependency elements in the array node. You can: - leave it empty (no dependency elements declared): This will only create an empty array of loggers. This way you can check for non-null condition, in your mock classes. - add multiple dependency elements with the same name 1: <param name="loggers" parameterType="ILoggerArray"> 2: <array> 3: <dependency name="logger2" /> 4: <dependency name="logger2" /> 5: </array> 6: </param> With this you’ll see two instances of FakeLogger in the output. This article shows how Unity allows you to instantiate objects with arrays. Find the code here.

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  • Listing SQL Columns

    - by Bunch
    When I am writing up stored procedures in SSMS sometimes I need to know what column types are used in a table. For instance I will know the table name but I might not remember exactly the length of a varchar column or if a column stored the data as an integer or varchar. And I may not want to scroll through all the tables in Object Explorer to find the one I want. A lot of times it is easier if I can just write a quick query to pull up the information I need. The syntax to do something like this is pretty easy. SELECT COLUMN_NAME, DATA_TYPE, CHARACTER_MAXIMUM_LENGTH FROM yourdbname.information_schema.columns WHERE TABLE_NAME = ‘yourtablename’ After running that you will get a listing in the Results pane just like any other query with the column name, data type and length (if any). Technorati Tags: SQL

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  • JSF command button attribute is transferred incorrectly

    - by Oleg Rybak
    I have following code in jsf page, backed by jsf managed bean <h:dataTable value="#{poolBean.pools}" var="item"> <h:column> <f:facet name="header"> <h:outputLabel value="Id"/> </f:facet> <h:outputText value="#{item.id}"/> </h:column> <h:column> <f:facet name="header"> <h:outputLabel value="Start Range"/> </f:facet> <h:inputText value="#{item.startRange}" required="true"/> </h:column> <h:column> <f:facet name="header"> <h:outputText value="End Range"/> </f:facet> <h:inputText value="#{item.endRange}" required="true"/> </h:column> <h:column> <f:facet name="header"> <h:outputText value="Pool type"/> </f:facet> <h:selectOneMenu value="#{item.poolType}" required="true"> <f:selectItems value="#{poolBean.poolTypesMenu}"/> </h:selectOneMenu> </h:column> <h:column> <f:facet name="header"/> <h:commandButton id="ModifyPool" actionListener="#{poolBean.updatePool}" image="img/update.gif" title="Modify Pool"> <f:attribute name="pool" value="#{item}"/> </h:commandButton> </h:column> </h:dataTable> This code fragment is dedicated to editing come collection of items. Each row of the table contains "edit" button that submits changed values of the row to the server. It has the item itself as an attribute. Submit is performed by calling actionListener method in the backing managed bean. This code runs correctly on Glassfish v 2.1 But when the server was updated to Glassfish v 2.1.1, the attribute stopped to be passed correctly. Instead of passing edited item (when we change the values in table row, we are actually changing the underlying object fields), the source item is submitted to server, i.e. the item that was previously given to the page. All the changes that were made on the page are discarded. I tried to update jsf version from 1.2_02 to 1.2_14 (we are using jsf RI), but it had no effect. Perhaps anyone came across the same problem? Any help and suggestions will be appreciated.

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  • Can printf change its parameters??

    - by martani_net
    EDIT: complete code with main is here http://codepad.org/79aLzj2H and once again this is were the weird behavious is happening for (i = 0; i<tab_size; i++) { //CORRECT OUTPUT printf("%s\n", tableau[i].capitale); printf("%s", tableau[i].pays); printf("%s\n", tableau[i].commentaire); //WRONG OUTPUT //printf("%s --- %s --- %s |\n", tableau[i].capitale, tableau[i].pays, tableau[i].commentaire); } I have an array of the following strcuture struct T_info { char capitale[255]; char pays[255]; char commentaire[255]; }; struct T_info *tableau; This is how the array is populated int advance(FILE *f) { char c; c = getc(f); if(c == '\n') return 0; while(c != EOF && (c == ' ' || c == '\t')) { c = getc(f); } return fseek(f, -1, SEEK_CUR); } int get_word(FILE *f, char * buffer) { char c; int count = 0; int space = 0; while((c = getc(f)) != EOF) { if (c == '\n') { buffer[count] = '\0'; return -2; } if ((c == ' ' || c == '\t') && space < 1) { buffer[count] = c; count ++; space++; } else { if (c != ' ' && c != '\t') { buffer[count] = c; count ++; space = 0; } else /* more than one space*/ { advance(f); break; } } } buffer[count] = '\0'; if(c == EOF) return -1; return count; } void fill_table(FILE *f,struct T_info *tab) { int line = 0, column = 0; fseek(f, 0, SEEK_SET); char buffer[MAX_LINE]; char c; int res; int i = 0; while((res = get_word(f, buffer)) != -999) { switch(column) { case 0: strcpy(tab[line].capitale, buffer); column++; break; case 1: strcpy(tab[line].pays, buffer); column++; break; default: strcpy(tab[line].commentaire, buffer); column++; break; } /*if I printf each one alone here, everything works ok*/ //last word in line if (res == -2) { if (column == 2) { strcpy(tab[line].commentaire, " "); } //wrong output here printf("%s -- %s -- %s\n", tab[line].capitale, tab[line].pays, tab[line].commentaire); column = 0; line++; continue; } column = column % 3; if (column == 0) { line++; } /*EOF reached*/ if(res == -1) return; } return ; } Edit : trying this printf("%s -- ", tab[line].capitale); printf("%s --", tab[line].pays); printf("%s --\n", tab[line].commentaire); gives me as result -- --abi -- Emirats arabes unis I expect to get Abu Dhabi -- Emirats arabes unis -- Am I missing something?

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  • Problem with evaluating XPath expression in Java

    - by JSteve
    Can somebody help me find the mistake I am doing in evaluating following XPath expression? I want to get all "DataTable" nodes under the node "Model" in my xml through XPath. Here is my XML doc: <?xml version="1.0" encoding="UTF-8"?> <Root> <Application> <Model> <DataSet name="ds" primaryTable="Members" openRows="1"> <DataTable name="Members" openFor="write"> <DataColumn name="id" type="String" mandatory="true" primaryKey="true" valueBy="user"/> <DataColumn name="name" type="String" mandatory="true" valueBy="user"/> <DataColumn name="address" type="String" mandatory="false" valueBy="user"/> <DataColumn name="city" type="String" mandatory="false" valueBy="user"/> <DataColumn name="country" type="String" mandatory="false" valueBy="user"/> </DataTable> </DataSet> </Model> <View> <Composite> <Grid> <Label value="ID:" row="0" column="0" /> <Label value="Name:" row="1" column="0" /> <Label value="Address:" row="2" column="0" /> <Label value="City:" row="3" column="0" /> <Label value="Country:" row="4" column="0" /> <TextField name="txtId" row="0" column="1" /> <TextField name="txtName" row="1" column="1" /> <TextField name="txtAddress" row="2" column="1" /> <TextField name="txtCity" row="3" column="1" /> <TextField name="txtCountry" row="4" column="1" /> </Grid> </Composite> </View> </Application> </Root> Here the Java code to extract required node list: try { DocumentBuilderFactory domFactory = DocumentBuilderFactory.newInstance(); domFactory.setNamespaceAware(true); domFactory.setIgnoringComments(true); domFactory.setIgnoringElementContentWhitespace(true); DocumentBuilder builder = domFactory.newDocumentBuilder(); Document dDoc = builder.parse("D:\TEST\myFile.xml"); XPath xpath = XPathFactory.newInstance().newXPath(); NodeList nl = (NodeList) xpath.evaluate("//Model//DataTable", dDoc, XPathConstants.NODESET); System.out.println(nl.getLength()); }catch (Exception ex) { System.out.println(ex.getMessage()); } There is no problem in loading and parsing xml file and I can see correct nodes in dDoc. Problem is with xpath that returns nothing on evaluating my expression. I tried many other expressions for testing purpose but every time resulting NodeList "nl" does not have any item

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  • Prolog Cut Not Working

    - by user2295607
    Im having a problem with Prolog since cut is not doing what (i believe) its supposed to do: % line-column handlers checkVallEle(_, _, 6, _):- write('FAIL'), !, fail. checkVallEle(TABULEIRO, VALUE, LINE, COLUMN):- COLUMN>5, NL is LINE+1, checkVallEle(TABULEIRO, VALUE, NL, 0). % if this fails, it goes to the next checkVallEle(TABULEIRO, VALUE, LINE, COLUMN):- (checkHorizontal(TABULEIRO, VALUE, LINE, COLUMN, 0), write('HORIZONTAL '); checkVertical(TABULEIRO, VALUE, LINE, COLUMN, 0), write('VERTICAL'); checkDiagonalRight(TABULEIRO, VALUE, LINE, COLUMN, 0), write('DIAGONALRIGHT'); checkDiagonalLeft(TABULEIRO, VALUE, LINE, COLUMN, 0), write('DIAGONALLEFT')), write('WIN'). % goes to the next if above fails checkVallEle(TABULEIRO, VALUE, LINE, COLUMN):- NC is COLUMN+1, checkVallEle(TABULEIRO, VALUE, LINE, NC). What I wish to do is that if the code ever reaches the first statement, that is, if the line is ever 6, it fails (since it went out of range), without checking for more possibilities. But what happens is, when it reaches the first statement, it keeps going to the below statements and ignores the cut symbol, and I dont see why. I just want the statement to fail when it reaches the first line. I also made an experience... run(6):-write('done'), !, fail. run(X):-X1 is X+1, run(X1). And this is what i get from tracing: | ?- run(0). 1 1 Call: run(0) ? 2 2 Call: _1079 is 0+1 ? 2 2 Exit: 1 is 0+1 ? 3 2 Call: run(1) ? 4 3 Call: _3009 is 1+1 ? 4 3 Exit: 2 is 1+1 ? 5 3 Call: run(2) ? 6 4 Call: _4939 is 2+1 ? 6 4 Exit: 3 is 2+1 ? 7 4 Call: run(3) ? 8 5 Call: _6869 is 3+1 ? 8 5 Exit: 4 is 3+1 ? 9 5 Call: run(4) ? 10 6 Call: _8799 is 4+1 ? 10 6 Exit: 5 is 4+1 ? 11 6 Call: run(5) ? 12 7 Call: _10729 is 5+1 ? 12 7 Exit: 6 is 5+1 ? 13 7 Call: run(6) ? 14 8 Call: write(done) ? done 14 8 Exit: write(done) ? 13 7 Fail: run(6) ? 11 6 Fail: run(5) ? 9 5 Fail: run(4) ? 7 4 Fail: run(3) ? 5 3 Fail: run(2) ? 3 2 Fail: run(1) ? 1 1 Fail: run(0) ? no What are all those Fails after the write? is it still backtracing to previous answers? Is this behaviour the reason why cut is failing in my first code? Please enlighten me.

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  • Can I select 0 columns in SQL Server?

    - by Woody Zenfell III
    I am hoping this question fares a little better than the similar Create a table without columns. Yes, I am asking about something that will strike most as pointlessly academic. It is easy to produce a SELECT result with 0 rows (but with columns), e.g. SELECT a = 1 WHERE 1 = 0. Is it possible to produce a SELECT result with 0 columns (but with rows)? e.g. something like SELECT NO COLUMNS FROM Foo. (This is not valid T-SQL.) I came across this because I wanted to insert several rows without specifying any column data for any of them. e.g. (SQL Server 2005) CREATE TABLE Bar (id INT NOT NULL IDENTITY PRIMARY KEY) INSERT INTO Bar SELECT NO COLUMNS FROM Foo -- Invalid column name 'NO'. -- An explicit value for the identity column in table 'Bar' can only be specified when a column list is used and IDENTITY_INSERT is ON. One can insert a single row without specifying any column data, e.g. INSERT INTO Foo DEFAULT VALUES. One can query for a count of rows (without retrieving actual column data from the table), e.g. SELECT COUNT(*) FROM Foo. (But that result set, of course, has a column.) I tried things like INSERT INTO Bar () SELECT * FROM Foo -- Parameters supplied for object 'Bar' which is not a function. -- If the parameters are intended as a table hint, a WITH keyword is required. and INSERT INTO Bar DEFAULT VALUES SELECT * FROM Foo -- which is a standalone INSERT statement followed by a standalone SELECT statement. I can do what I need to do a different way, but the apparent lack of consistency in support for degenerate cases surprises me. I read through the relevant sections of BOL and didn't see anything. I was surprised to come up with nothing via Google either.

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  • Manipulating columns of numbers in elisp

    - by ~unutbu
    I have text files with tables like this: Investment advisory and related fees receivable (161,570 ) (71,739 ) (73,135 ) Net purchases of trading investments (93,261 ) (30,701 ) (11,018 ) Other receivables 61,216 (10,352 ) (69,313 ) Restricted cash 20,658 (20,658 ) - Other current assets (39,643 ) 14,752 64 Other non-current assets 71,896 (26,639 ) (26,330 ) Since these are accounting numbers, parenthesized numbers indicate negative numbers. Dashes represent 0 or no number. I'd like to be able to mark a rectangular region such as third column above, call a function (format-column), and automatically have (-73135-11018-69313+64-26330)/1000 sitting in my kill-ring. Even better would be -73.135-11.018-69.313+0.064-26.330 but I couldn't figure out a way to transform 64 -- 0.064. This is what I've come up with: (defun format-column () "format accounting numbers in a rectangular column. format-column puts the result in the kill-ring" (interactive) (let ((p (point)) (m (mark)) ) (copy-rectangle-to-register 0 (min m p) (max m p) nil) (with-temp-buffer (insert-register 0) (goto-char (point-min)) (while (search-forward "-" nil t) (replace-match "" nil t)) (goto-char (point-min)) (while (search-forward "," nil t) (replace-match "" nil t)) (goto-char (point-min)) (while (search-forward ")" nil t) (replace-match "" nil t)) (goto-char (point-min)) (while (search-forward "(" nil t) (replace-match "-" nil t) (just-one-space) (delete-backward-char 1) ) (goto-char (point-min)) (while (search-forward "\n" nil t) (replace-match " " nil t)) (goto-char (point-min)) (kill-new (mapconcat 'identity (split-string (buffer-substring (point-min) (point-max))) "+")) (kill-region (point-min) (point-max)) (insert "(") (yank 2) (goto-char (point-min)) (while (search-forward "+-" nil t) (replace-match "-" nil t)) (goto-char (point-max)) (insert ")/1000") (kill-region (point-min) (point-max)) ) ) ) (global-set-key "\C-c\C-f" 'format-column) Although it seems to work, I'm sure this function is poorly coded. The repetitive calls to goto-char, search-forward, and replace-match and the switching from buffer to string and back to buffer seems ugly and inelegant. My entire approach may be wrong-headed, but I don't know enough elisp to make this more beautiful. Do you see a better way to write format-column, and/or could you make suggestions on how to improve this code?

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  • Cross join (pivot) with n-n table containing values

    - by Styx31
    I have 3 tables : TABLE MyColumn ( ColumnId INT NOT NULL, Label VARCHAR(80) NOT NULL, PRIMARY KEY (ColumnId) ) TABLE MyPeriod ( PeriodId CHAR(6) NOT NULL, -- format yyyyMM Label VARCHAR(80) NOT NULL, PRIMARY KEY (PeriodId) ) TABLE MyValue ( ColumnId INT NOT NULL, PeriodId CHAR(6) NOT NULL, Amount DECIMAL(8, 4) NOT NULL, PRIMARY KEY (ColumnId, PeriodId), FOREIGN KEY (ColumnId) REFERENCES MyColumn(ColumnId), FOREIGN KEY (PeriodId) REFERENCES MyPeriod(PeriodId) ) MyValue's rows are only created when a real value is provided. I want my results in a tabular way, as : Column | Month 1 | Month 2 | Month 4 | Month 5 | Potatoes | 25.00 | 5.00 | 1.60 | NULL | Apples | 2.00 | 1.50 | NULL | NULL | I have successfully created a cross-join : SELECT MyColumn.Label AS [Column], MyPeriod.Label AS [Period], ISNULL(MyValue.Amount, 0) AS [Value] FROM MyColumn CROSS JOIN MyPeriod LEFT OUTER JOIN MyValue ON (MyValue.ColumnId = MyColumn.ColumnId AND MyValue.PeriodId = MyPeriod.PeriodId) Or, in linq : from p in MyPeriods from c in MyColumns join v in MyValues on new { c.ColumnId, p.PeriodId } equals new { v.ColumnId, v.PeriodId } into values from nv in values.DefaultIfEmpty() select new { Column = c.Label, Period = p.Label, Value = nv.Amount } And seen how to create a pivot in linq (here or here) : (assuming MyDatas is a view with the result of the previous query) : from c in MyDatas group c by c.Column into line select new { Column = line.Key, Month1 = line.Where(l => l.Period == "Month 1").Sum(l => l.Value), Month2 = line.Where(l => l.Period == "Month 2").Sum(l => l.Value), Month3 = line.Where(l => l.Period == "Month 3").Sum(l => l.Value), Month4 = line.Where(l => l.Period == "Month 4").Sum(l => l.Value) } But I want to find a way to create a resultset with, if possible, Month1, ... properties dynamic. Note : A solution which results in a n+1 query : from c in MyDatas group c by c.Column into line select new { Column = line.Key, Months = from l in line group l by l.Period into period select new { Period = period.Key, Amount = period.Sum(l => l.Value) } }

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  • Mapping issue with multi-field primary keys using hibernate/JPA annotations

    - by Derek Clarkson
    Hi all, I'm stuck with a database which is using multi-field primary keys. I have a situation where I have a master and details table, where the details table's primary key contains fields which are also the foreign key's the the master table. Like this: Master primary key fields: master_pk_1 Details primary key fields: master_pk_1 details_pk_2 details_pk_3 In the Master class we define the hibernate/JPA annotations like this: @Id @GeneratedValue(strategy = GenerationType.SEQUENCE, generator = "idGenerator") @Column(name = "master_pk_1") private long masterPk1; @OneToMany(cascade=CascadeType.ALL) @JoinColumn(name = "master_pk_1", referencedColumnName = "master_pk_1") private List<Details> details = new ArrayList<Details>(); And in the details class I have defined the id and back reference like this: @EmbeddedId @AttributeOverrides( { @AttributeOverride( name = "masterPk1", column = @Column(name = "master_pk_1")), @AttributeOverride(name = "detailsPk2", column = @Column(name = "details_pk_2")), @AttributeOverride(name = "detailsPk2", column = @Column(name = "details_pk_2")) }) private DetailsPrimaryKey detailsPrimaryKey = new DetailsPrimaryKey(); @ManyToOne @JoinColumn(name = "master_pk_1", referencedColumnName = "master_pk_1", insertable=false) private Master master; The goal of all of this was that I could create a new master, add some details to it, and when saved, JPA/Hibernate would generate the new id for master in the masterPk1 field, and automatically pass it down to the details records, storing it in the matching masterPk1 field in the DetailsPrimaryKey class. At least that's what the documentation I've been looking at implies. What actually happens is that hibernate appears to corectly create and update the records in the database, but not pass the key to the details classes in memory. Instead I have to manually set it myself. I also found that without the insertable=true added to the back reference to master, that hibernate would create sql that had the master_pk_1 field listed twice in the insert statement, resulting in the database throwing an exception. My question is simply is this arrangement of annotations correct? or is there a better way of doing it?

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