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  • How to diagnose issue between mobo, RAID, and SSD cache drive? [migrated]

    - by goober
    Background This issue is happening on my custom-built desktop. Relevant specs: Motherboard: ASUS P8Z68-V PRO Utilizing Intel RST technology (application that uses unused SSD as cache) Processor: Intel core i7-2600k (not overclocked) HDDs: RAID1 of 2x Seagate Barracuda 1TB (ST31000524AS) (RAID performed via z68 chipset) Machine has run fine for ~1 year with no issues, and has been well-maintained (dust, etc.) What Happened Random Freezing issues -- intermittent Looked at the RST application screen to see that the acceleration cache was listed as "unavailable" -- recommended that I power down and reconnect the drive. Reconnected the drive to no avail. Attempted to move the drive to another SATA port. Acceleration option disappeared from RST software. Now, the freeze happens whenever loading something particularly data-driven (a video, a game, etc.) Steps Attempted Reconnected the drive to no avail. Updated Intel RST software to v. 11.6.0.1030 to see if that made a difference. Attempted to move the drive to another SATA port. Acceleration option disappeared from RST software. Connected the drive as its own volume. Formatted it, ran disk check errors -- all seems fine. Reconnected the drive and selected it again as the cache drive. Now, what happens when there is a freeze: Machine freezes I am unable to perform any command Screen then goes black I hit the reset button During boot, all drives show as "Disabled" and I am told no volume can be found I then hit the reset button (or power off/on) again. Either the next time (or sometimes after repeating this once more), the metadata cache is reconstructed and the system boots fine, showing the SSD as a cache. Question I believe this is an issue with the SSD itself, but how can I be sure since connecting it separately appeared to show no problems? I want to make sure it's not an issue with the motherboard, SATA ports, etc.

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  • Configuring two nearby WLANs: should I use the same ssid?

    - by Rory
    I'm configuring a home network for basic internet use (ie don't really need connectivity between workstations on the network). My brick walls mean a single wireless router doesn't provide good coverage throughout the house, so I have purchased two powerline adapters and now have the incoming modem/wireless router at one end of the house plugged into a powerline adapter, and at the other end of the house the other powerline adapter plugged into another wireless router. Currently the two wireless networks have different ssids. (The powerline adapters only do power-Ethernet; they're not wireless access points themselves.) This works well, except when I move between rooms and would ideally like my devices (iPad, phones, laptops) to switch from the weak to the strong signal. Sometimes there's enough signal that they hold on to the weak connects instead of switching to the strong one. Should I name the two networks the same ssid, and if so what is the actual effect? Do the signals get confused, is the bandwidth affected, will this help my devices seamlessly move from one to the other, or is the ssid just a cosmetic thing that actually doesn't have any impact on this situation? Are there any other settings that I should configure to make my setup optimal?

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  • Some doubts about the use of usermod and groupmod command

    - by AndreaNobili
    I am not yet a true "Linux guy" and I have the following doubts about how exactly do the following shell procedure (a list of commands steps) founded in a tutorial that I am following (I want deeply understand what I am doing before do it): sudo passwd root then login again as root usermod -l miner pi usermod -m -d /home/miner miner groupmod -n miner pi exit So at the beginning it enable the root account and I have to login again in the system as root...this is perfectly clear for me. And now I have the followings doubts: 1) The usermod command: usermod -l miner pi usermod -m -d /home/miner miner Reading the official documentation of the usermod command I understand that this command modify the informations related to an existing account Reading the documentation it seems to me that the -l parmether modify the name of the user pi in miner and then the -m -d paramether move the contents of the old home directory to the new one (named miner) and use this new directory as home directory My doubt is: what exactly do the executions of these operation? I think that: Rename the existing pi user in miner Then move the content of the old home directory (the pi home directory? or what?) into a new directory (/home/miner) that now is the home directory for the miner user. Is it right? The the second doubt is related to this command groupmod -n miner pi It seems to me that change the group name from pi in miner But what exactly is a group in Linux and why is it used? Tnx

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  • mod_perl custom configuration directives don't work when placed in .htaccess and there is <Location>

    - by al_l_ex
    I'm trying to complete Redmine's feature request #2693: Use Redmine.pm to authenticate for any directory (1). I have not much knowledge on all these things and need help. Redmine uses mod_perl module Redmine.pm for authentication & authorization. This module defines several custom configuration directives. I've successfully modified patch from (1) and it works when all config is in <Location>: <Location /digischrank/test> AuthType basic AuthName "Digischrank Test" Require valid-user PerlAccessHandler Apache::Authn::Redmine::access_handler PerlAuthenHandler Apache::Authn::Redmine::authen_handler RedmineDSN "DBI:mysql:database=SomedaTaBAse;host=localhost" RedmineDbUser "SoMeuSer" RedmineDbPass "SomePaSS" RedmineProject "digischrank" </Location> But when I move one of these directives (RedmineProject, see (1)) in .htaccess file, Redmine.pm doesn't see it! I've tried to change <Location> to <Directory> and add AllowOverride All. Directives from .htaccess is visible, but remaining ones from <Directory> - not. I don't want to move all directives to each .htaccess. When I add <Location> in addition to <Directory>, again - only directives from <Location> are visible. As far as I know, directives should be merged. I miss something?

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  • What are the typical methods used to scale up/out email storage servers?

    - by nareshov
    Hi, What I've tried: I have two email storage architectures. Old and new. Old: courier-imapds on several (18+) 1TB-storage servers. If one of them show signs of running out of disk space, we migrate a few email accounts to another server. the servers don't have replicas. no backups either. New: dovecot2 on a single huge server with 16TB (SATA) storage and a few SSDs we store fresh mails on the SSDs and run a doveadm purge to move mails older than a day to the SATA disks there is an identical server which has a max-15min-old rsync backup from the primary server higher-ups/management wanted to pack in as much storage as possible per server in order to minimise the cost of SSDs per server the rsync'ing is done because GlusterFS wasn't replicating well under that high small/random-IO. scaling out was expected to be done with provisioning another pair of such huge servers on facing disk-crunch issues like in the old architecture, manual moving of email accounts would be done. Concerns/doubts: I'm not convinced with the synchronously-replicated filesystem idea works well for heavy random/small-IO. GlusterFS isn't working for us yet, I'm not sure if there's another filesystem out there for this use case. The idea was to keep identical pairs and use DNS round-robin for email delivery and IMAP/POP3 access. And if one the servers went down for whatever reasons (planned/unplanned), we'd move the IP to the other server in the pair. In filesystems like Lustre, I get the advantage of a single namespace whereby I do not have to worry about manually migrating accounts around and updating MAILHOME paths and other metadata/data. Questions: What are the typical methods used to scale up/out with the traditional software (courier-imapd / dovecot)? Do traditional software that store on a locally mounted filesystem pose a roadblock to scale out with minimal "problems"? Does one have to re-write (parts of) these to work with an object-storage of some sort - such as OpenStack object storage?

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  • How to find what files / directories are not copied yet?

    - by user8676
    Hi all, I found the following 'nice' situation: An archive of few disks (actually three disks) which has a bunch of photos (more or less) organized. Well, this is good. A big disk shared on a network which has a bunch of photos which has another folder structure (even if is somewhat recognizable for a human being) than the archive described above, but some of the files on this big network share are the same with the files from the archive. Well, this is bad. What we need is to move the different (new) files from the network share in the archive (perhaps we'll use for this a new disk added to archive). The program that we need is different from a regular File Duplicate Finder program because usually the File Duplicate Finder finds the duplicates from all sources comparing each file with another. We want to find the differences between the two sources. It is fine for us to have a report generated in text file which after this we'll use to do our move. A Windows solution will be preferred. Any ideas? TIA

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  • Server Hosting + AWS

    - by ledy
    Since my dedicated servers are hosted at a "normal" hosting service, I wonder if there is a really cheap way to extend the server farm with AWS instances. E.g. it seems to be a effient and flexible solution with data storage and ressources for ocassional data processing, too. However, it might be very in-efficient to mix two data centres and transfering data from current webhoster to amazon and vice-versa. In my case, the traffic for this continuous data exchange seems to be expensive and the delay for moving the data back to the hoster leads into a lack or delay. How are best practises for mixing non-aws and aws systems? E.g.: How to move the hosters data to aws as log file storage to run urchin analysis and/or port the log file data into a bigtable for exhausting analysis there. After working with the data: how to bring it back to the hoster and use the data with the webservers there? I am not going to move all the server farm to amazon, only "separate" parts or tasks if the transfer/exchange does not lead to increased cost.

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  • Copied a file with winscp; only winscp can see it

    - by nilbus
    I recently copied a 25.5GB file from another machine using WinSCP. I copied it to C:\beth.tar.gz, and WinSCP can still see the file. However no other app (including Explorer) can see the file. What might cause this, and how can I fix it? The details that might or might not matter WinSCP shows the size of the file (C:\beth.tar.gz) correctly as 27,460,124,080 bytes, which matches the filesize on the remote host Neither explorer, cmd (command line prompt w/ dir C:\), the 7Zip archive program, nor any other File Open dialog can see the beth.tar.gz file under C:\ I have configured Explorer to show hidden files I can move the file to other directories using WinSCP If I try to move the file to Users/, UAC prompts me for administrative rights, which I grant, and I get this error: Could not find this item The item is no longer located in C:\ When I try to transfer the file back to the remote host in a new directory, the transfer starts successfully and transfers data The transfer had about 30 minutes remaining when I left it for the night The morning after the file transfer, I was greeted with a message saying that the connection to the server had been lost. I don't think this is relevant, since I did not tell it to disconnect after the file was done transferring, and it likely disconnected after the file transfer finished. I'm using an old version of WinSCP - v4.1.8 from 2008 I can view the file properties in WinSCP: Type of file: 7zip (.gz) Location: C:\ Attributes: none (Ready-only, Hidden, Archive, or Ready for indexing) Security: SYSTEM, my user, and Administrators group have full permissions - everything other than "special permissions" is checked under Allow for all 3 users/groups (my user, Administrators, SYSTEM) What's going on?!

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  • Weird Outlook Behavior; Creating its own file folder

    - by Carol Caref
    Outlook is doing a very strange thing. It has created a folder on its own (which, whenever I completely delete, comes back, with a different name). Mail that goes into this folder will not go to any other folder unless I forward it. If I move the email or create a rule to always move mail from particular senders to the Inbox, it moves for a while, but then goes back into the created folder. The first one was called "junk" but it was in addition to my normal junk email folder. When I forwarded all the messages (some were junk, but most were not) and totally deleted that folder, a new one, called "unwanted" appeared that acted the same way. It seems that once one email goes into this folder, then any email from that person also goes into the folder. I have discussed this with the tech person at work. There is no evidence of virus or any other identifiable reason for this to happen. We have searched the Internet and not found anything like this either.

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  • Fix elements within objects at their position? (Prevent movement when resizing)

    - by Skadier
    I would like to know if it is possible to fix elements at their absolute position within custom elements in InDesign CS5? I created a kind of speech bubble and I would like to place a stripline within this bubble to separate two content areas. Just a little scheme to show the desired layout as Pseudo-Markup :D <speech-bubble> <textbox>HEADER SECTION</textbox> <stripline> <textbox>Some other text</textbox> </speech-bubble> I created something like this but with two separate elements which aren't connected. So I have to select both of them in order to move the whole bubble. Then I tried to connect them using Object->Paths->Create linked path but then the stripline moves and the HEADER SECTION moves too. All in all I would like to have a speech bubble which can be resized in order to hold more text but it shouldn't make the HEADER_SECTION larger or move the stripline. Hope you understand what I mean :D Thanks in advance!

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  • Why can I not edit, delete directories inside of this directory

    - by user43053
    Hello there, First, I thought this was PHP related, but maybe it isn't. My original post, which may be irrelevant now is located at the bottom. The problem is I have a directory : /articles/. In it are 10 sub directories. I have been changing the permissions lately, but now it seems all the permissions of the parent folder, sub-folders and files are either chmod 755 or 777. I cannot move, delete or edit files inside of this parent directory or sub-directories with my FTP-client. I can however edit, delete, create new files and directories and change them with PHP-functions without problems. What may the problem be? OLD POST. Ignore everything below this line: If I create a directory with mkdir(), or create a file with fopen(), file_put_contents() or SimpleXMLElement::asXML(), I am unable to access the file with my FTP-client or c-Panel File Manager. If I try to delete or edit them, I get errors. Dreamweaver suggests it is a permission problem or a network or filesystem fault (but I've set the permissions with chmod() to 0777, and when I check the cPanel, it confirms chmod 777. I also tried to use fileowner() and the function returns int(99), the same owner as those files that I could access with my FTP-client. It seems files and directories created with PHP can only be modified or be deleted with PHP. I thought this must be a server setup related issue, so I write it here. I am on a shared server, and I have no idea about setting up servers. EDIT: It seems the problem is different. I cannot move files with FTP-client to the parent, or sub-directories either. This problem may not be PHP related, then. It seems the problem applies to any directory, regardless of whether it was created by PHP. EDIT 2: The parent directory has chmod 755. Thank you for your time. Kind regards Marius

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  • Can't create system image. 0x80780119 error after upgrade from 8 to 8.1

    - by cichy202
    I have upgraded my Windows 8 PC to 8.1 yesterday and it seemed like everything is working fine until I tried to create System Image. I got an error 0x80780119 saying that there is to little space on one of the partitions. I started looking into this problem and indeed one of the partitions does not meet the requirements. There are following partitions on my drive: DISKPART> list partition Partition ### Type Size Offset ------------- ---------------- ------- ------- Partition 1 Recovery 300 MB 1024 KB Partition 2 System 100 MB 301 MB Partition 3 Reserved 128 MB 401 MB Partition 4 Primary 74 GB 529 MB Partition 5 Primary 390 GB 75 GB Partition 1 has only 13MB free space. Partition 2 has 70MB free space, partition 3 is MSFTRES, partition 4 is my C drive with around 35GB free and partition 5 is not included in system image. Partitions were create like this during installation of Windows 8 - clean install from scratch. I am using UEFI so the drive is GPT formatted. So I thought, OK I can resize my C drive a little, move the partitions and expand the 1st one. I tried using GParted but it is not able to move the MSFTRES partition. It does not recognize the file system on it. So the question is: Is it possible to "clean up" the 1st partition in anyway? If not, is there anything special about MSFTRES partition? Or can I just remove it and create it a little further and just flag it as msftres with GParted?

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  • Automatic switching of network card when vm is moved

    - by spock
    I have two hosts in a pool and I used to be able to move the vm around and they will start without any problem. But after I played around with some network setting, which I don't remember what, I started getting "This VM needs storage that cannot be seen from that server" message. As you can tell I am a beginner with Xenserver. Here is the very simple environment: 2 host servers with their own local hard disk and network card. One is a Pool master. Problem: Power off a vm and move vm from one server to another, or clone one vm to the other server. It used to be able to start up right away. Now, I need to delete one of the network that does not belong to the server, then it will start. Otherwise, the above error msg popup. The two networks (one for each network card in each host) are in the Networking tab of the vm, as well as in the host's networking tab. I googled but all I got to empty the DVD drive, which is not the problem here. Thanks in advance!

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  • Windows 7 "freezes" (chills?), and then "unfreezes" for about 1 minute.

    - by gbc001
    Hi, I have an Acer Timeline 1810T netbook (4GB RAM) with Windows 7 x64. About once or twice a day, it "freezes" - the reason i put this in quotation marks is that it does not really freeze, as in you cant move mouse, etc. I can move my mouse and jump between different applications, but I cant use the applications for anything. So I can jump between notepad and Firefox, but I cant browse to a new web page. I have been trying to determine the source of this misery for a while now, and I suspect it has something to do with the hard drive - indirectly if not directly. Here are some screen shots of the resource monitor during a "freeze" and during normal operation: Freeze: http://imgur.com/Gcgq1.jpg Normal operation: imgur.com/mlHaI.jpg As you can see, CPU is fine during freeze, but the disk is going bananas.. Does anyone have an idea of what these reading mean, or about the problem in general? There seems to be no specific activity that sets this off - it can be during browsing, or during media playback with nothing else open. Very appreciative of any help!

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  • Force.com presents Database.com SQL Azure/Amazon RDS unfazed

    - by Sarang
    At the DreamForce 2010 event in San Francisco Force.com unveiled their next big thing in the Fat SaaS portfolio "Database.com".  I am still wondering how would they would've shelled out for that domain name. Now why would a already established SaaS player foray into a key building block like Database? Potentially allowing enterprises to build apps that do not utilize the Force.com stack! One key reason is being seen as the Fat SaaS player with evey trick in the SaaS space under his belt. You want CRM come hither, want a custom development PaaS like solution welcome home (VMForce), want all your apps to talk to a cloud DB and minimize latency by having it reside closer to you cloud apps? You've come to the right place sire! Other is potentially killing foray of smaller DB players like Oracle (Not surprisingly, the Database.com offering is a highly customized and scalable Oracle database) from entering the lucrative SaaS db marketplace. The feature set promised looks great out of the box for someone who likes to visualize cool new architectures. The ground realities are certainly going to be a lot different considering the SOAP/REST style access patterns in lieu of the comfortable old shoe of SQL. Microsoft suffered heavily with SDS (SQL Data Services) offering in early 2009 and had to pull the plug on the product only to reintroduce as a simple SQL Server in the cloud, SQL Windows Azure. Though MSFT is playing cool by providing OData semantics to work with SQL Windows Azure satisfying atleast some needs of the Web-Style to a DB. The other features like Social data models including Profiles, Status updates, feeds seem interesting as well. (Although I beleive social is just one of the aspects of large scale collaborative computing). All these features start "Free" for devs its a good news but the good news stops here. The overall pricing model of $ per Users per Transactions / Month is highly disproportionate compared to Amazon RDS (Based on MySQL) or SQL Windows Azure (Based on MSSQL). Roger Jennigs of Oakleaf did an interesting comparo based on 3, 10, 100, 500 users and it turns out that Database.com going by current understanding is way too expensive for the services on offer. The offering may not impact the decision for DotNet shops mulling their cloud stategy or even some Java/MySQL shops thinking about Amazon RDS, however for enterprises having already invested in other force.com offerings this could be a very important piece in the cloud strategy jigsaw. One which would address a key cloud DB issue of "Latency" for them at least it will help having the DB in the neighborhood. The tooling and "SQL like" access provider drivers (Think ODBC/JDBC) will be available later this year. Progress Software has already announced their JDBC driver stack for Database.com. It remains to be seen how effective the overall solutions proves to be in the longer run but for starts its a important decision towards consolidating Force.com's already strong positioning in the SaaS space. As always contrasting views are welcome! :)

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  • Ancillary Objects: Separate Debug ELF Files For Solaris

    - by Ali Bahrami
    We introduced a new object ELF object type in Solaris 11 Update 1 called the Ancillary Object. This posting describes them, using material originally written during their development, the PSARC arc case, and the Solaris Linker and Libraries Manual. ELF objects contain allocable sections, which are mapped into memory at runtime, and non-allocable sections, which are present in the file for use by debuggers and observability tools, but which are not mapped or used at runtime. Typically, all of these sections exist within a single object file. Ancillary objects allow them to instead go into a separate file. There are different reasons given for wanting such a feature. One can debate whether the added complexity is worth the benefit, and in most cases it is not. However, one important case stands out — customers with very large 32-bit objects who are not ready or able to make the transition to 64-bits. We have customers who build extremely large 32-bit objects. Historically, the debug sections in these objects have used the stabs format, which is limited, but relatively compact. In recent years, the industry has transitioned to the powerful but verbose DWARF standard. In some cases, the size of these debug sections is large enough to push the total object file size past the fundamental 4GB limit for 32-bit ELF object files. The best, and ultimately only, solution to overly large objects is to transition to 64-bits. However, consider environments where: Hundreds of users may be executing the code on large shared systems. (32-bits use less memory and bus bandwidth, and on sparc runs just as fast as 64-bit code otherwise). Complex finely tuned code, where the original authors may no longer be available. Critical production code, that was expensive to qualify and bring online, and which is otherwise serving its intended purpose without issue. Users in these risk adverse and/or high scale categories have good reasons to push 32-bits objects to the limit before moving on. Ancillary objects offer these users a longer runway. Design The design of ancillary objects is intended to be simple, both to help human understanding when examining elfdump output, and to lower the bar for debuggers such as dbx to support them. The primary and ancillary objects have the same set of section headers, with the same names, in the same order (i.e. each section has the same index in both files). A single added section of type SHT_SUNW_ANCILLARY is added to both objects, containing information that allows a debugger to identify and validate both files relative to each other. Given one of these files, the ancillary section allows you to identify the other. Allocable sections go in the primary object, and non-allocable ones go into the ancillary object. A small set of non-allocable objects, notably the symbol table, are copied into both objects. As noted above, most sections are only written to one of the two objects, but both objects have the same section header array. The section header in the file that does not contain the section data is tagged with the SHF_SUNW_ABSENT section header flag to indicate its placeholder status. Compiler writers and others who produce objects can set the SUNW_SHF_PRIMARY section header flag to mark non-allocable sections that should go to the primary object rather than the ancillary. If you don't request an ancillary object, the Solaris ELF format is unchanged. Users who don't use ancillary objects do not pay for the feature. This is important, because they exist to serve a small subset of our users, and must not complicate the common case. If you do request an ancillary object, the runtime behavior of the primary object will be the same as that of a normal object. There is no added runtime cost. The primary and ancillary object together represent a logical single object. This is facilitated by the use of a single set of section headers. One can easily imagine a tool that can merge a primary and ancillary object into a single file, or the reverse. (Note that although this is an interesting intellectual exercise, we don't actually supply such a tool because there's little practical benefit above and beyond using ld to create the files). Among the benefits of this approach are: There is no need for per-file symbol tables to reflect the contents of each file. The same symbol table that would be produced for a standard object can be used. The section contents are identical in either case — there is no need to alter data to accommodate multiple files. It is very easy for a debugger to adapt to these new files, and the processing involved can be encapsulated in input/output routines. Most of the existing debugger implementation applies without modification. The limit of a 4GB 32-bit output object is now raised to 4GB of code, and 4GB of debug data. There is also the future possibility (not currently supported) to support multiple ancillary objects, each of which could contain up to 4GB of additional debug data. It must be noted however that the 32-bit DWARF debug format is itself inherently 32-bit limited, as it uses 32-bit offsets between debug sections, so the ability to employ multiple ancillary object files may not turn out to be useful. Using Ancillary Objects (From the Solaris Linker and Libraries Guide) By default, objects contain both allocable and non-allocable sections. Allocable sections are the sections that contain executable code and the data needed by that code at runtime. Non-allocable sections contain supplemental information that is not required to execute an object at runtime. These sections support the operation of debuggers and other observability tools. The non-allocable sections in an object are not loaded into memory at runtime by the operating system, and so, they have no impact on memory use or other aspects of runtime performance no matter their size. For convenience, both allocable and non-allocable sections are normally maintained in the same file. However, there are situations in which it can be useful to separate these sections. To reduce the size of objects in order to improve the speed at which they can be copied across wide area networks. To support fine grained debugging of highly optimized code requires considerable debug data. In modern systems, the debugging data can easily be larger than the code it describes. The size of a 32-bit object is limited to 4 Gbytes. In very large 32-bit objects, the debug data can cause this limit to be exceeded and prevent the creation of the object. To limit the exposure of internal implementation details. Traditionally, objects have been stripped of non-allocable sections in order to address these issues. Stripping is effective, but destroys data that might be needed later. The Solaris link-editor can instead write non-allocable sections to an ancillary object. This feature is enabled with the -z ancillary command line option. $ ld ... -z ancillary[=outfile] ...By default, the ancillary file is given the same name as the primary output object, with a .anc file extension. However, a different name can be provided by providing an outfile value to the -z ancillary option. When -z ancillary is specified, the link-editor performs the following actions. All allocable sections are written to the primary object. In addition, all non-allocable sections containing one or more input sections that have the SHF_SUNW_PRIMARY section header flag set are written to the primary object. All remaining non-allocable sections are written to the ancillary object. The following non-allocable sections are written to both the primary object and ancillary object. .shstrtab The section name string table. .symtab The full non-dynamic symbol table. .symtab_shndx The symbol table extended index section associated with .symtab. .strtab The non-dynamic string table associated with .symtab. .SUNW_ancillary Contains the information required to identify the primary and ancillary objects, and to identify the object being examined. The primary object and all ancillary objects contain the same array of sections headers. Each section has the same section index in every file. Although the primary and ancillary objects all define the same section headers, the data for most sections will be written to a single file as described above. If the data for a section is not present in a given file, the SHF_SUNW_ABSENT section header flag is set, and the sh_size field is 0. This organization makes it possible to acquire a full list of section headers, a complete symbol table, and a complete list of the primary and ancillary objects from either of the primary or ancillary objects. The following example illustrates the underlying implementation of ancillary objects. An ancillary object is created by adding the -z ancillary command line option to an otherwise normal compilation. The file utility shows that the result is an executable named a.out, and an associated ancillary object named a.out.anc. $ cat hello.c #include <stdio.h> int main(int argc, char **argv) { (void) printf("hello, world\n"); return (0); } $ cc -g -zancillary hello.c $ file a.out a.out.anc a.out: ELF 32-bit LSB executable 80386 Version 1 [FPU], dynamically linked, not stripped, ancillary object a.out.anc a.out.anc: ELF 32-bit LSB ancillary 80386 Version 1, primary object a.out $ ./a.out hello worldThe resulting primary object is an ordinary executable that can be executed in the usual manner. It is no different at runtime than an executable built without the use of ancillary objects, and then stripped of non-allocable content using the strip or mcs commands. As previously described, the primary object and ancillary objects contain the same section headers. To see how this works, it is helpful to use the elfdump utility to display these section headers and compare them. The following table shows the section header information for a selection of headers from the previous link-edit example. Index Section Name Type Primary Flags Ancillary Flags Primary Size Ancillary Size 13 .text PROGBITS ALLOC EXECINSTR ALLOC EXECINSTR SUNW_ABSENT 0x131 0 20 .data PROGBITS WRITE ALLOC WRITE ALLOC SUNW_ABSENT 0x4c 0 21 .symtab SYMTAB 0 0 0x450 0x450 22 .strtab STRTAB STRINGS STRINGS 0x1ad 0x1ad 24 .debug_info PROGBITS SUNW_ABSENT 0 0 0x1a7 28 .shstrtab STRTAB STRINGS STRINGS 0x118 0x118 29 .SUNW_ancillary SUNW_ancillary 0 0 0x30 0x30 The data for most sections is only present in one of the two files, and absent from the other file. The SHF_SUNW_ABSENT section header flag is set when the data is absent. The data for allocable sections needed at runtime are found in the primary object. The data for non-allocable sections used for debugging but not needed at runtime are placed in the ancillary file. A small set of non-allocable sections are fully present in both files. These are the .SUNW_ancillary section used to relate the primary and ancillary objects together, the section name string table .shstrtab, as well as the symbol table.symtab, and its associated string table .strtab. It is possible to strip the symbol table from the primary object. A debugger that encounters an object without a symbol table can use the .SUNW_ancillary section to locate the ancillary object, and access the symbol contained within. The primary object, and all associated ancillary objects, contain a .SUNW_ancillary section that allows all the objects to be identified and related together. $ elfdump -T SUNW_ancillary a.out a.out.anc a.out: Ancillary Section: .SUNW_ancillary index tag value [0] ANC_SUNW_CHECKSUM 0x8724 [1] ANC_SUNW_MEMBER 0x1 a.out [2] ANC_SUNW_CHECKSUM 0x8724 [3] ANC_SUNW_MEMBER 0x1a3 a.out.anc [4] ANC_SUNW_CHECKSUM 0xfbe2 [5] ANC_SUNW_NULL 0 a.out.anc: Ancillary Section: .SUNW_ancillary index tag value [0] ANC_SUNW_CHECKSUM 0xfbe2 [1] ANC_SUNW_MEMBER 0x1 a.out [2] ANC_SUNW_CHECKSUM 0x8724 [3] ANC_SUNW_MEMBER 0x1a3 a.out.anc [4] ANC_SUNW_CHECKSUM 0xfbe2 [5] ANC_SUNW_NULL 0 The ancillary sections for both objects contain the same number of elements, and are identical except for the first element. Each object, starting with the primary object, is introduced with a MEMBER element that gives the file name, followed by a CHECKSUM that identifies the object. In this example, the primary object is a.out, and has a checksum of 0x8724. The ancillary object is a.out.anc, and has a checksum of 0xfbe2. The first element in a .SUNW_ancillary section, preceding the MEMBER element for the primary object, is always a CHECKSUM element, containing the checksum for the file being examined. The presence of a .SUNW_ancillary section in an object indicates that the object has associated ancillary objects. The names of the primary and all associated ancillary objects can be obtained from the ancillary section from any one of the files. It is possible to determine which file is being examined from the larger set of files by comparing the first checksum value to the checksum of each member that follows. Debugger Access and Use of Ancillary Objects Debuggers and other observability tools must merge the information found in the primary and ancillary object files in order to build a complete view of the object. This is equivalent to processing the information from a single file. This merging is simplified by the primary object and ancillary objects containing the same section headers, and a single symbol table. The following steps can be used by a debugger to assemble the information contained in these files. Starting with the primary object, or any of the ancillary objects, locate the .SUNW_ancillary section. The presence of this section identifies the object as part of an ancillary group, contains information that can be used to obtain a complete list of the files and determine which of those files is the one currently being examined. Create a section header array in memory, using the section header array from the object being examined as an initial template. Open and read each file identified by the .SUNW_ancillary section in turn. For each file, fill in the in-memory section header array with the information for each section that does not have the SHF_SUNW_ABSENT flag set. The result will be a complete in-memory copy of the section headers with pointers to the data for all sections. Once this information has been acquired, the debugger can proceed as it would in the single file case, to access and control the running program. Note - The ELF definition of ancillary objects provides for a single primary object, and an arbitrary number of ancillary objects. At this time, the Oracle Solaris link-editor only produces a single ancillary object containing all non-allocable sections. This may change in the future. Debuggers and other observability tools should be written to handle the general case of multiple ancillary objects. ELF Implementation Details (From the Solaris Linker and Libraries Guide) To implement ancillary objects, it was necessary to extend the ELF format to add a new object type (ET_SUNW_ANCILLARY), a new section type (SHT_SUNW_ANCILLARY), and 2 new section header flags (SHF_SUNW_ABSENT, SHF_SUNW_PRIMARY). In this section, I will detail these changes, in the form of diffs to the Solaris Linker and Libraries manual. Part IV ELF Application Binary Interface Chapter 13: Object File Format Object File Format Edit Note: This existing section at the beginning of the chapter describes the ELF header. There's a table of object file types, which now includes the new ET_SUNW_ANCILLARY type. e_type Identifies the object file type, as listed in the following table. NameValueMeaning ET_NONE0No file type ET_REL1Relocatable file ET_EXEC2Executable file ET_DYN3Shared object file ET_CORE4Core file ET_LOSUNW0xfefeStart operating system specific range ET_SUNW_ANCILLARY0xfefeAncillary object file ET_HISUNW0xfefdEnd operating system specific range ET_LOPROC0xff00Start processor-specific range ET_HIPROC0xffffEnd processor-specific range Sections Edit Note: This overview section defines the section header structure, and provides a high level description of known sections. It was updated to define the new SHF_SUNW_ABSENT and SHF_SUNW_PRIMARY flags and the new SHT_SUNW_ANCILLARY section. ... sh_type Categorizes the section's contents and semantics. Section types and their descriptions are listed in Table 13-5. sh_flags Sections support 1-bit flags that describe miscellaneous attributes. Flag definitions are listed in Table 13-8. ... Table 13-5 ELF Section Types, sh_type NameValue . . . SHT_LOSUNW0x6fffffee SHT_SUNW_ancillary0x6fffffee . . . ... SHT_LOSUNW - SHT_HISUNW Values in this inclusive range are reserved for Oracle Solaris OS semantics. SHT_SUNW_ANCILLARY Present when a given object is part of a group of ancillary objects. Contains information required to identify all the files that make up the group. See Ancillary Section. ... Table 13-8 ELF Section Attribute Flags NameValue . . . SHF_MASKOS0x0ff00000 SHF_SUNW_NODISCARD0x00100000 SHF_SUNW_ABSENT0x00200000 SHF_SUNW_PRIMARY0x00400000 SHF_MASKPROC0xf0000000 . . . ... SHF_SUNW_ABSENT Indicates that the data for this section is not present in this file. When ancillary objects are created, the primary object and any ancillary objects, will all have the same section header array, to facilitate merging them to form a complete view of the object, and to allow them to use the same symbol tables. Each file contains a subset of the section data. The data for allocable sections is written to the primary object while the data for non-allocable sections is written to an ancillary file. The SHF_SUNW_ABSENT flag is used to indicate that the data for the section is not present in the object being examined. When the SHF_SUNW_ABSENT flag is set, the sh_size field of the section header must be 0. An application encountering an SHF_SUNW_ABSENT section can choose to ignore the section, or to search for the section data within one of the related ancillary files. SHF_SUNW_PRIMARY The default behavior when ancillary objects are created is to write all allocable sections to the primary object and all non-allocable sections to the ancillary objects. The SHF_SUNW_PRIMARY flag overrides this behavior. Any output section containing one more input section with the SHF_SUNW_PRIMARY flag set is written to the primary object without regard for its allocable status. ... Two members in the section header, sh_link, and sh_info, hold special information, depending on section type. Table 13-9 ELF sh_link and sh_info Interpretation sh_typesh_linksh_info . . . SHT_SUNW_ANCILLARY The section header index of the associated string table. 0 . . . Special Sections Edit Note: This section describes the sections used in Solaris ELF objects, using the types defined in the previous description of section types. It was updated to define the new .SUNW_ancillary (SHT_SUNW_ANCILLARY) section. Various sections hold program and control information. Sections in the following table are used by the system and have the indicated types and attributes. Table 13-10 ELF Special Sections NameTypeAttribute . . . .SUNW_ancillarySHT_SUNW_ancillaryNone . . . ... .SUNW_ancillary Present when a given object is part of a group of ancillary objects. Contains information required to identify all the files that make up the group. See Ancillary Section for details. ... Ancillary Section Edit Note: This new section provides the format reference describing the layout of a .SUNW_ancillary section and the meaning of the various tags. Note that these sections use the same tag/value concept used for dynamic and capabilities sections, and will be familiar to anyone used to working with ELF. In addition to the primary output object, the Solaris link-editor can produce one or more ancillary objects. Ancillary objects contain non-allocable sections that would normally be written to the primary object. When ancillary objects are produced, the primary object and all of the associated ancillary objects contain a SHT_SUNW_ancillary section, containing information that identifies these related objects. Given any one object from such a group, the ancillary section provides the information needed to identify and interpret the others. This section contains an array of the following structures. See sys/elf.h. typedef struct { Elf32_Word a_tag; union { Elf32_Word a_val; Elf32_Addr a_ptr; } a_un; } Elf32_Ancillary; typedef struct { Elf64_Xword a_tag; union { Elf64_Xword a_val; Elf64_Addr a_ptr; } a_un; } Elf64_Ancillary; For each object with this type, a_tag controls the interpretation of a_un. a_val These objects represent integer values with various interpretations. a_ptr These objects represent file offsets or addresses. The following ancillary tags exist. Table 13-NEW1 ELF Ancillary Array Tags NameValuea_un ANC_SUNW_NULL0Ignored ANC_SUNW_CHECKSUM1a_val ANC_SUNW_MEMBER2a_ptr ANC_SUNW_NULL Marks the end of the ancillary section. ANC_SUNW_CHECKSUM Provides the checksum for a file in the c_val element. When ANC_SUNW_CHECKSUM precedes the first instance of ANC_SUNW_MEMBER, it provides the checksum for the object from which the ancillary section is being read. When it follows an ANC_SUNW_MEMBER tag, it provides the checksum for that member. ANC_SUNW_MEMBER Specifies an object name. The a_ptr element contains the string table offset of a null-terminated string, that provides the file name. An ancillary section must always contain an ANC_SUNW_CHECKSUM before the first instance of ANC_SUNW_MEMBER, identifying the current object. Following that, there should be an ANC_SUNW_MEMBER for each object that makes up the complete set of objects. Each ANC_SUNW_MEMBER should be followed by an ANC_SUNW_CHECKSUM for that object. A typical ancillary section will therefore be structured as: TagMeaning ANC_SUNW_CHECKSUMChecksum of this object ANC_SUNW_MEMBERName of object #1 ANC_SUNW_CHECKSUMChecksum for object #1 . . . ANC_SUNW_MEMBERName of object N ANC_SUNW_CHECKSUMChecksum for object N ANC_SUNW_NULL An object can therefore identify itself by comparing the initial ANC_SUNW_CHECKSUM to each of the ones that follow, until it finds a match. Related Other Work The GNU developers have also encountered the need/desire to support separate debug information files, and use the solution detailed at http://sourceware.org/gdb/onlinedocs/gdb/Separate-Debug-Files.html. At the current time, the separate debug file is constructed by building the standard object first, and then copying the debug data out of it in a separate post processing step, Hence, it is limited to a total of 4GB of code and debug data, just as a single object file would be. They are aware of this, and I have seen online comments indicating that they may add direct support for generating these separate files to their link-editor. It is worth noting that the GNU objcopy utility is available on Solaris, and that the Studio dbx debugger is able to use these GNU style separate debug files even on Solaris. Although this is interesting in terms giving Linux users a familiar environment on Solaris, the 4GB limit means it is not an answer to the problem of very large 32-bit objects. We have also encountered issues with objcopy not understanding Solaris-specific ELF sections, when using this approach. The GNU community also has a current effort to adapt their DWARF debug sections in order to move them to separate files before passing the relocatable objects to the linker. The details of Project Fission can be found at http://gcc.gnu.org/wiki/DebugFission. The goal of this project appears to be to reduce the amount of data seen by the link-editor. The primary effort revolves around moving DWARF data to separate .dwo files so that the link-editor never encounters them. The details of modifying the DWARF data to be usable in this form are involved — please see the above URL for details.

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  • Book Review (Book 10) - The Information: A History, a Theory, a Flood

    - by BuckWoody
    This is a continuation of the books I challenged myself to read to help my career - one a month, for year. You can read my first book review here, and the entire list is here. The book I chose for March 2012 was: The Information: A History, a Theory, a Flood by James Gleick. I was traveling at the end of last month so I’m a bit late posting this review here. Why I chose this book: My personal belief about computing is this: All computing technology is simply re-arranging data. We take data in, we manipulate it, and we send it back out. That’s computing. I had heard from some folks about this book and it’s treatment of data. I heard that it dealt with the basics of data - and the semantics of data, information and so on. It also deals with the earliest forms of history of information, which fascinates me. It’s similar I was told, to GEB which a favorite book of mine as well, so that was a bonus. Some folks I talked to liked it, some didn’t - so I thought I would check it out. What I learned: I liked the book. It was longer than I thought - took quite a while to read, even though I tend to read quickly. This is the kind of book you take your time with. It does in fact deal with the earliest forms of human interaction and the basics of data. I learned, for instance, that the genesis of the binary communication system is based in the invention of telegraph (far-writing) codes, and that the earliest forms of communication were expensive. In fact, many ciphers were invented not to hide military secrets, but to compress information. A sort of early “lol-speak” to keep the cost of transmitting data low! I think the comparison with GEB is a bit over-reaching. GEB is far more specific, fanciful and so on. In fact, this book felt more like something fro Richard Dawkins, and tended to wander around the subject quite a bit. I imagine the author doing his research and writing each chapter as a book that followed on from the last one. This is what possibly bothered those who tended not to like it, I think. Towards the middle of the book, I think the author tended to be a bit too fragmented even for me. He began to delve into memes, biology and more - I think he might have been better off breaking that off into another work. The existentialism just seemed jarring. All in all, I liked the book. I recommend it to any technical professional, specifically ones involved with data technology in specific. And isn’t that all of us? :)

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  • Subterranean IL: Fault exception handlers

    - by Simon Cooper
    Fault event handlers are one of the two handler types that aren't available in C#. It behaves exactly like a finally, except it is only run if control flow exits the block due to an exception being thrown. As an example, take the following method: .method public static void FaultExample(bool throwException) { .try { ldstr "Entering try block" call void [mscorlib]System.Console::WriteLine(string) ldarg.0 brfalse.s NormalReturn ThrowException: ldstr "Throwing exception" call void [mscorlib]System.Console::WriteLine(string) newobj void [mscorlib]System.Exception::.ctor() throw NormalReturn: ldstr "Leaving try block" call void [mscorlib]System.Console::WriteLine(string) leave.s Return } fault { ldstr "Fault handler" call void [mscorlib]System.Console::WriteLine(string) endfault } Return: ldstr "Returning from method" call void [mscorlib]System.Console::WriteLine(string) ret } If we pass true to this method the following gets printed: Entering try block Throwing exception Fault handler and the exception gets passed up the call stack. So, the exception gets thrown, the fault handler gets run, and the exception propagates up the stack afterwards in the normal way. If we pass false, we get the following: Entering try block Leaving try block Returning from method Because we are leaving the .try using a leave.s instruction, and not throwing an exception, the fault handler does not get called. Fault handlers and C# So why were these not included in C#? It seems a pretty simple feature; one extra keyword that compiles in exactly the same way, and with the same semantics, as a finally handler. If you think about it, the same behaviour can be replicated using a normal catch block: try { throw new Exception(); } catch { // fault code goes here throw; } The catch block only gets run if an exception is thrown, and the exception gets rethrown and propagates up the call stack afterwards; exactly like a fault block. The only complications that occur is when you want to add a fault handler to a try block with existing catch handlers. Then, you either have to wrap the try in another try: try { try { // ... } catch (DirectoryNotFoundException) { // ... // leave.s as normal... } catch (IOException) { // ... throw; } } catch { // fault logic throw; } or separate out the fault logic into another method and call that from the appropriate handlers: try { // ... } catch (DirectoryNotFoundException ) { // ... } catch (IOException ioe) { // ... HandleFaultLogic(); throw; } catch (Exception e) { HandleFaultLogic(); throw; } To be fair, the number of times that I would have found a fault handler useful is minimal. Still, it's quite annoying knowing such functionality exists, but you're not able to access it from C#. Fortunately, there are some easy workarounds one can use instead. Next time: filter handlers.

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  • ODI 11g - Dynamic and Flexible Code Generation

    - by David Allan
    ODI supports conditional branching at execution time in its code generation framework. This is a little used, little known, but very powerful capability - this let's one piece of template code behave dynamically based on a runtime variable's value for example. Generally knowledge module's are free of any variable dependency. Using variable's within a knowledge module for this kind of dynamic capability is a valid use case - definitely in the highly specialized area. The example I will illustrate is much simpler - how to define a filter (based on mapping here) that may or may not be included depending on whether at runtime a certain value is defined for a variable. I define a variable V_COND, if I set this variable's value to 1, then I will include the filter condition 'EMP.SAL > 1' otherwise I will just use '1=1' as the filter condition. I use ODIs substitution tags using a special tag '<$' which is processed just prior to execution in the runtime code - so this code is included in the ODI scenario code and it is processed after variables are substituted (unlike the '<?' tag).  So the lines below are not equal ... <$ if ( "#V_COND".equals("1")  ) { $> EMP.SAL > 1 <$ } else { $> 1 = 1 <$ } $> <? if ( "#V_COND".equals("1")  ) { ?> EMP.SAL > 1 <? } else { ?> 1 = 1 <? } ?> When the <? code is evaluated the code is executed without variable substitution - so we do not get the desired semantics, must use the <$ code. You can see the jython (java) code in red is the conditional if statement that drives whether the 'EMP.SAL > 1' or '1=1' is included in the generated code. For this illustration you need at least the ODI 11.1.1.6 release - with the vanilla 11.1.1.5 release it didn't work for me (may be patches?). As I mentioned, normally KMs don't have dependencies on variables - since any users must then have these variables defined etc. but it does afford a lot of runtime flexibility if such capabilities are required - something to keep in mind, definitely.

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  • Diving into Scala with Cay Horstmann

    - by Janice J. Heiss
    A new interview with Java Champion Cay Horstmann, now up on otn/java, titled  "Diving into Scala: A Conversation with Java Champion Cay Horstmann," explores Horstmann's ideas about Scala as reflected in his much lauded new book,  Scala for the Impatient.  None other than Martin Odersky, the inventor of Scala, called it "a joy to read" and the "best introduction to Scala". Odersky was so enthused by the book that he asked Horstmann if the first section could be made available as a free download on the Typesafe Website, something Horstmann graciously assented to. Horstmann acknowledges that some aspects of Scala are very complex, but he encourages developers to simply stay away from those parts of the language. He points to several ways Java developers can benefit from Scala: "For example," he says, " you can write classes with less boilerplate, file and XML handling is more concise, and you can replace tedious loops over collections with more elegant constructs. Typically, programmers at this level report that they write about half the number of lines of code in Scala that they would in Java, and that's nothing to sneeze at. Another entry point can be if you want to use a Scala-based framework such as Akka or Play; you can use these with Java, but the Scala API is more enjoyable. " Horstmann observes that developers can do fine with Scala without grasping the theory behind it. He argues that most of us learn best through examples and not through trying to comprehend abstract theories. He also believes that Scala is the most attractive choice for developers who want to move beyond Java and C++.  When asked about other choices, he comments: "Clojure is pretty nice, but I found its Lisp syntax a bit off-putting, and it seems very focused on software transactional memory, which isn't all that useful to me. And it's not statically typed. I wanted to like Groovy, but it really bothers me that the semantics seems under-defined and in flux. And it's not statically typed. Yes, there is Groovy++, but that's in even sketchier shape. There are a couple of contenders such as Kotlin and Ceylon, but so far they aren't real. So, if you want to do work with a statically typed language on the JVM that exists today, Scala is simply the pragmatic choice. It's a good thing that it's such a nice choice." Learn more about Scala by going to the interview here.

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  • Criteria for a programming language to be considered "mature"

    - by Giorgio
    I was recently reading an answer to this question, and I was struck by the statement "The language is mature". So I was wondering what we actually mean when we say that "A programming language is mature"? Normally, a programming language is initially developed out of a need, e.g. Try out / implement a new programming paradigm or a new combination of features that cannot be found in existing languages. Try to solve a problem or overcome a limitation of an existing language. Create a language for teaching programming. Create a language that solves a particular class of problems (e.g. concurrency). Create a language and an API for a special application field, e.g. the web (in this case the language might reuse a well-known paradigm, but the whole API must be new). Create a language to push your competitor out of the market (in this case the creator might want the new language to be very similar to an existing one, in order to attract developers to the new programming language and platform). Regardless of what the original motivation and scenario in which a language has been created, eventually some languages are considered mature. In my intuition, this means that the language has achieved (at least one of) its goals, e.g. "We can now use language X as a reliable tool for writing web applications." This is however a bit vague, so I wanted to ask what you consider the most important criteria (if any) that are applied when saying that a language is mature. IMPORTANT NOTE This question is (on purpose) language-agnostic because I am only interested in general criteria. Please write only language-agnostic answers and comments! I am not asking whether any specific "language X is mature" or "which programming languages can be considered mature", or whether "language X is more mature than language Y": please avoid posting any opinions or reference about any specific languages because these are out of the scope of this question. EDIT To make the question more precise, by criteria I mean such things as "tool support", "adoption by the industry", "stability", "rich API", "large user community", "successful application record", "standardization", "clean and uniform semantics", and so on.

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  • Eclipse Helios on OS X Snow Leopard crashes frequently when editing certain PHP files

    - by William
    I use Eclipse Helios (Eclipse Platform: 3.6.0.I20100608-0911, Eclipse IDE for PHP Developers: 1.3.0.20100617-0520) all the time on OS X (Snow Leopard), and it seems I only run into trouble whenever I'm editing a PHP file that's part of the WordPress blogging framework. When I move my cursor to a variable or function name, that often triggers the beach ball of death. I suspect Eclipse is trying to look up that variable/function and for some reason that causes an endless loop. Sometimes it's not just variables or functions. Just today I was trying to replace all occurrences of a quoted string. Every time I clicked "Replace All", the program would freeze immediately after the string was replaced and the text cursor was moved to the replaced position. I think the moving of the text cursor is important, because I got the same result when I searched for the string (thus moving the cursor), but NOT when I searched for a nonexistent string. I tried disabling everything in my preferences related to marked occurrences, hovering, code assistance, etc. Nothing helps. I use Eclipse for all my projects, and I find that it's only WordPress projects where this happens. Here's my eclipse.ini file: -startup ../../../plugins/org.eclipse.equinox.launcher_1.1.0.v20100507.jar --launcher.library ../../../plugins/org.eclipse.equinox.launcher.cocoa.macosx_1.1.0.v20100503 -product org.eclipse.epp.package.php.product --launcher.defaultAction openFile -showsplash org.eclipse.platform --launcher.XXMaxPermSize 512m --launcher.defaultAction openFile -vmargs -Dosgi.requiredJavaVersion=1.5 -XstartOnFirstThread -Dorg.eclipse.swt.internal.carbon.smallFonts -XX:PermSize=128m -XX:MaxPermSize=128m -XX:MaxGCPauseMillis=10 -XX:MaxHeapFreeRatio=70 -XX:+UseConcMarkSweepGC -XX:+CMSIncrementalMode -XX:+CMSIncrementalPacing -XX:CompileThreshold=5 -Xms128m -Xmx512m -Xss2m -Xdock:icon=../Resources/Eclipse.icns -XstartOnFirstThread -Dorg.eclipse.swt.internal.carbon.smallFonts -framework ../../../plugins/org.eclipse.osgi.services_3.2.100.v20100503.jar I have 4GB of RAM, so I don't know if the problem is I'm underutilizing my resources. Here's what I see over and over in the error log: !ENTRY org.eclipse.jface 2 0 2011-01-16 16:26:21.533 !MESSAGE Keybinding conflicts occurred. They may interfere with normal accelerator operation. !SUBENTRY 1 org.eclipse.jface 2 0 2011-01-16 16:26:21.533 !MESSAGE A conflict occurred for ALT+COMMAND+Q P: Binding(ALT+COMMAND+Q P, ParameterizedCommand(Command(org.eclipse.ui.views.showView,Show View, Shows a particular view, Category(org.eclipse.ui.category.views,Views,Commands for opening views,true), org.eclipse.ui.handlers.ShowViewHandler@2a46d1, [Lorg.eclipse.ui.internal.commands.Parameter;@18f50c2,,true), [Lorg.eclipse.core.commands.Parameterization;@1ff1855), org.eclipse.ui.defaultAcceleratorConfiguration, org.eclipse.ui.contexts.window,,cocoa,system) Binding(ALT+COMMAND+Q P, ParameterizedCommand(Command(org.eclipse.ui.views.showView,Show View, Shows a particular view, Category(org.eclipse.ui.category.views,Views,Commands for opening views,true), org.eclipse.ui.handlers.ShowViewHandler@2a46d1, [Lorg.eclipse.ui.internal.commands.Parameter;@18f50c2,,true), [Lorg.eclipse.core.commands.Parameterization;@96b40c), org.eclipse.ui.defaultAcceleratorConfiguration, org.eclipse.ui.contexts.window,,cocoa,system) !ENTRY org.eclipse.core.net 1 0 2011-01-16 16:26:22.217 !MESSAGE System property http.proxyHost has been set to 127.0.0.1 by an external source. This value will be overwritten using the values from the preferences !ENTRY org.eclipse.core.net 1 0 2011-01-16 16:26:22.217 !MESSAGE System property http.proxyPort has been set to 8888 by an external source. This value will be overwritten using the values from the preferences !ENTRY org.eclipse.core.net 1 0 2011-01-16 16:26:22.218 !MESSAGE System property https.proxyHost has been set to 127.0.0.1 by an external source. This value will be overwritten using the values from the preferences !ENTRY org.eclipse.core.net 1 0 2011-01-16 16:26:22.219 !MESSAGE System property https.proxyPort has been set to 8888 by an external source. This value will be overwritten using the values from the preferences I did some experimenting with the particular script that's giving me trouble. It's a hybrid of HTML and PHP, so Eclipse has to do both HTML and PHP validation. I wondered if the HTML validation had something to do with it, so I created a new file, copied the contents over, and messed with the doctype element. I found that if I replaced the well-formed XHTML 1.0 Strict doctype element with a generic doctype (as such: <!DOCTYPE html>), then I did not crash the program just by moving the cursor around. I set all HTML validation rules to "Ignore", but it still didn't solve my problems. For now, I'm just going to echo the doctype using PHP instead of entering it literally. That seems to prevent crashes. I notice that when I move the cursor around the document, Eclipse displays the "xpath" to my current location at the bottom of the screen. Sometimes there's a delay while it figures out my current path. Perhaps when it's validating against the Strict doctype, it has problems quickly calculating the xpath as I move the cursor around? Maybe it has a stack overflow that causes it to crash.

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  • 1136: Incorrect number of arguments. Expected 0.? AS3 Flash Cs4

    - by charmaine
    Basically i am working through a book called..Foundation Actionscript 3.0 Animation, making things move. i am now on Chapter 9 - collision detection. On two lines of my code i get the 1135 error, letting me know that i have an incorrect number of arguments. Can anybody help me out on why this may be? package { import flash.display.Sprite; import flash.events.Event; public class Bubbles extends Sprite { private var balls:Array; private var numBalls:Number = 10; private var centerBall:Ball; private var bounce:Number = -1; private var spring:Number = 0.2; public function Bubbles() { init(); } private function init():void { balls = new Array(); centerBall = new Ball(100, 0xcccccc); addChild(centerBall); centerBall.x = stage.stageWidth / 2; centerBall.y = stage.stageHeight / 2; for(var i:uint = 0; i < numBalls; i++) { var ball:Ball = new Ball(Math.random() * 40 + 5, Math.random() * 0xffffff); ball.x = Math.random() * stage.stageWidth; ball.y = Math.random() * stage.stageHeight; ball.vx = Math.random() * 6 - 3; ball.vy = Math.random() * 6 - 3; addChild(ball); balls.push(ball); } addEventListener(Event.ENTER_FRAME, onEnterFrame); } private function onEnterFrame(event:Event):void { for(var i:uint = 0; i < numBalls; i++) { var ball:Ball = balls[i]; move(ball); var dx:Number = ball.x - centerBall.x; var dy:Number = ball.y - centerBall.y; var dist:Number = Math.sqrt(dx * dx + dy * dy); var minDist:Number = ball.radius + centerBall.radius; if(dist < minDist) { var angle:Number = Math.atan2(dy, dx); var tx:Number = centerBall.x + Math.cos(angle) * minDist; var ty:Number = centerBall.y + Math.sin(angle) * minDist; ball.vx += (tx - ball.x) * spring; ball.vy += (ty - ball.y) * spring; } } } ***private function move(ball:Ball):void*** { ball.x += ball.vx; ball.y += ball.vy; if(ball.x + ball.radius > stage.stageWidth) { ball.x = stage.stageWidth - ball.radius; ball.vx *= bounce; } else if(ball.x - ball.radius < 0) { ball.x = ball.radius; ball.vx *= bounce; } ***if(ball.y + ball.radius > stage.stageHeight)*** { ball.y = stage.stageHeight - ball.radius; ball.vy *= bounce; } else if(ball.y - ball.radius < 0) { ball.y = ball.radius; ball.vy *= bounce; } } } } The bold parts are the lines im having trouble with! please help..thanks in advance!!

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  • using java Calendar

    - by owca
    I have a simple task. There are two classes : Ticket and Date. Ticket contains event, event place and event date which is a Date object. I also need to provide a move() method for Date object, so I used Calendar and Calendar's add(). Everything looks fine apart of the output. I constantly get 5,2,1 as the date's day,month,year. Lines with asterix return proper date. The code : Ticket class : public class Ticket { private String what; private String where; private Date when; public Ticket(String s1, String s2, Data d){ this.what = s1; this.where = s2; this.when = d; } *public Date giveDate(){ System.out.println("when in giveDate() "+this.when); return this.when; } public String toString(){ return "what: "+this.what+"\n"+"where: "+this.where+"\n"+"when: "+this.when; } } Date class: import java.util.Calendar; import java.util.GregorianCalendar; public class Date { public int day; public int month; public int year; public Date(int x, int y, int z){ *System.out.println("x: "+x); *System.out.println("y: "+y); *System.out.println("z: "+z); this.day = x; this.month = y; this.year = z; *System.out.println("this.day: "+this.day); *System.out.println("this.month: "+this.month); *System.out.println("this.year: "+this.year); } public Date move(int p){ *System.out.println("before_change: "+this.day+","+this.month+","+this.year); Calendar gc = new GregorianCalendar(this.year, this.month, this.day); System.out.println("before_adding: "+gc.DAY_OF_MONTH+","+gc.MONTH+","+gc.YEAR); gc.add(Calendar.DAY_OF_YEAR, p); System.out.println("after_adding: "+gc.DAY_OF_MONTH+","+gc.MONTH+","+gc.YEAR); this.year = gc.YEAR; this.day = gc.DAY_OF_MONTH; this.month = gc.MONTH; return this; } @Override public String toString(){ return this.day+","+this.month+","+this.year; } } Main for testing : public class Main { public static void main(String[] args) { Date date1=new Date(30,4,2002); Ticket event1=new Ticket("Peter Gabriel's gig", "London",date1 ); Ticket event2=new Ticket("Diana Kroll's concert", "Glasgow",date1 ); Date date2=event2.giveDate(); date2.move(30); Ticket event3=new Ticket("X's B-day", "some place",date2 ); System.out.println(date1); System.out.println(event1); System.out.println(event2); System.out.println(event3); } } And here's my output. I just can't get it where 5,2,1 come from :/ x: 30 y: 4 z: 2002 this.day: 30 this.month: 4 this.year: 2002 when in giveDate() 6,12,2004 before_change: 6,12,2004 before_adding: 5,2,1 after_adding: 5,2,1 5,2,1 what: Peter Gabriel's gig where: London when: 5,2,1 (...)

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  • Allocation algorithm help, using Python.

    - by Az
    Hi there, I've been working on this general allocation algorithm for students. The pseudocode for it (a Python implementation) is: for a student in a dictionary of students: for student's preference in a set of preferences (ordered from 1 to 10): let temp_project be the first preferred project check if temp_project is available if so, allocate it to them and make the project UNavailable to others Quite simply this will try to allocate projects by starting from their most preferred. The way it works, out of a set of say 100 projects, you list 10 you would want to do. So the 10th project wouldn't be the "least preferred overall" but rather the least preferred in their chosen set, which isn't so bad. Obviously if it can't allocate a project, a student just reverts to the base case which is an allocation of None, with a rank of 11. What I'm doing is calculating the allocation "quality" based on a weighted sum of the ranks. So the lower the numbers (i.e. more highly preferred projects), the better the allocation quality (i.e. more students have highly preferred projects). That's basically what I've currently got. Simple and it works. Now I'm working on this algorithm that tries to minimise the allocation weight locally (this pseudocode is a bit messy, sorry). The only reason this will probably work is because my "search space" as it is, isn't particularly large (just a very general, anecdotal observation, mind you). Since the project is only specific to my Department, we have their own limits imposed. So the number of students can't exceed 100 and the number of preferences won't exceed 10. for student in a dictionary/list/whatever of students: where i = 0 take the (i)st student, (i+1)nd student for their ranks: allocate the projects and set local_weighting to be sum(student_i.alloc_proj_rank, student_i+1.alloc_proj_rank) these are the cases: if local_weighting is 2 (i.e. both ranks are 1): then i += 1 and and continue above if local weighting is = N>2 (i.e. one or more ranks are greater than 1): let temp_local_weighting be N: pick student with lowest rank and then move him to his next rank and pick the other student and reallocate his project after this if temp_local_weighting is < N: then allocate those projects to the students move student with lowest rank to the next rank and reallocate other if temp_local_weighting < previous_temp_allocation: let these be the new allocated projects try moving for the lowest rank and reallocate other else: if this weighting => previous_weighting let these be the allocated projects i += 1 and move on for the rest of the students So, questions: This is sort of a modification of simulated annealing, but any sort of comments on this would be appreciated. How would I keep track of which student is (i) and which student is (i+1) If my overall list of students is 100, then the thing would mess up on (i+1) = 101 since there is none. How can I circumvent that? Any immediate flaws that can be spotted? Extra info: My students dictionary is designed as such: students[student_id] = Student(student_id, student_name, alloc_proj, alloc_proj_rank, preferences) where preferences is in the form of a dictionary such that preferences[rank] = {project_id}

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