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  • Understanding exceptional cases

    - by Justin
    I've been studying the use of exceptions in various php projects (such as Doctrine and Zend Framework). Exceptions seem to be thrown when unordinary input/state occurs. A perfect example is Doctrine throwing an exception when you try to use a invalid query string. I think the creators of the doctrine api understood that first, you can't query data by using an invalid DQL statement, and a developer should immediately be warned that an error has occurred, rather then letting execution continue with the possibility of an error code going un-checked. I also bet that this simplifies reading the code. I can't think of a situation where you would want to use an invalid DQL statement, except unit testing. Since this is true, it's better to avoid plaguing a bunch of code with null/error checks and use exceptions. I've read in books that exceptions shouldn't be thrown when validating dating user input. I've seen examples where of where the guideline is broken. One example is the Zend framework. If supplying an invalid controller or action name, an exception is thrown. Unlike doctrine, the user has more direct control over this sort of input. I know you can configure an error controller and set up a 404 message or what have you, but I'm curious why they have used an exception in this scenario? I guess you can argue the Zend Framework does not know how to continue processing the quest. One last example Is I wrote a function to return some html based on a given resource type. This resource type is hard-coded and sent when a user interacts with a web site (such as clicking a button to display the form to input data). I don't expect users to be mucking around with the request type. Under normal operating conditions, the resource type should be valid. To clean up some logic, I was going to throw an exception if a particular form wasn't found. This is mainly to find the correct form associated with a resource type so proper validation can occur. Does this sound like a valid use case for an exception? Right now it's pretty trivial, but I do plan to implement a restful consumer and re-using a function to map resources to their validation services would be very useful. I can then catch the exception and based on the consumer, return an error message suitable for the request type...

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  • Is multiple domain names and links from same IP causing poor search engine rankings?

    - by John
    I have an ecommerce website which is not doing so well in Google. I am trying to improve this of course, and am looking at some possibilities for why it isn't doing well. The website has four domain names, all of which have been indexed by Google. A few months ago I applied 301 redirects to any requests for two of the domain names so now it is down to two domain names (one is a .net, the other is a .com.au, the others were .net.au and .com). I prefer to use my main domain name (the .com.au), but one of the names has been around for a long time and has more inbound links. According to a PageRank tool, both are PR2. It is a Classic ASP site and up until recently had a lot of querystring parameters. In the last week or so I added URL rewriting so there is now no parameters for most pages. I don't do 301 redirects from the old URLs but instead I add the META canonical tag indicating the preferred new URL. At the same time I redesigned the site and improved title tags, META descriptions, and H tags but it hasn't been long enough yet for Google to index many of these yet. I also looked at what pages Google has indexed and strangely it has some strange pages in the index, there are a lot of pages which are actual keyword searches (more a bunch of random letters than an actual word). What I mean is that it is as if they had typed in something to search for in my search box - there are no links to pages like this and the only way of getting this is to type something in to the search box). So I added a META robots tag with noindex,nofollow anytime that I render pages like this. Years ago I set up a fake price comparison site which lists all my products and links back to my site. It has a different keyword rich domain name but is on the same server and same IP address. It's a completely different layout but does have the same product categories and product descriptions (although I have stripped formatting out of them so they are not identical except in text). I also have a few blog sites which again are on the same server/IP and all have advertising for the website. My questions are: What should I do with the multiple domains, just use one, or continue with two or more? Should I add 301 redirects, not just the META canonical tag? Any idea about Google indexing my search results page, and did I do the right thing with the META robots tag? Is the fake price comparison site likely to be causing problems? Are all the links to the site from other domain names but the same IP address likely to be causing problems? Thanks for any help. Sorry for so many questions in one.

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  • Taking a Projects Development to the Next Level

    - by user1745022
    I have been looking for some advice for a while on how to handle a project I am working on, but to no avail. I am pretty much on my fourth iteration of improving an "application" I am working on; the first two times were in Excel, the third Time in Access, and now in Visual Studio. The field is manufacturing. The basic idea is I am taking read-only data from a massive Sybase server, filtering it and creating much smaller tables in Access daily (using delete and append Queries) and then doing a bunch of stuff. More specifically, I use a series of queries to either combine data from multiple tables or group data in specific ways (aggregate functions), and then I place this data into a table (so I can sort and manipulate data using DAO.recordset and run multiple custom algorithms). This process is then repeated multiple times throughout the database until a set of relevant tables are created. Many times I will create a field in a query with a value such as 1.1 so that when I append it to a table I can store information in the field from the algorithms. So as the process continues the number of fields for the tables change. The overall application consists of 4 "back-end" databases linked together on a shared drive, with various output (either front-end access applications or Excel). So my question is is this how many data driven applications that solve problems essentially work? Each backend database is updated with fresh data daily and updating each takes around 10 seconds (for three) and 2 minutes(for 1). Project Objectives. I want/am moving to SQL Server soon. Front End will be a Web Application (I know basic web-development and like the administration flexibility) and visual-studio will be IDE with c#/.NET. Should these algorithms be run "inside the database," or using a series of C# functions on each server request. I know you're not supposed to store data in a database unless it is an actual data point, and in Access I have many columns that just hold calculations from algorithms in vba. The truth is, I have seen multiple professional Access applications, and have never seen one that has the complexity or does even close to what mine does (for better or worse). But I know some professional software applications are 1000 times better then mine. So Please Please Please give me a suggestion of some sort. I have been completely on my own and need some guidance on how to approach this project the right way.

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  • What is the most appropriate testing method in this scenario?

    - by Daniel Bruce
    I'm writing some Objective-C apps (for OS X/iOS) and I'm currently implementing a service to be shared across them. The service is intended to be fairly self-contained. For the current functionality I'm envisioning there will be only one method that clients will call to do a fairly complicated series of steps both using private methods on the class, and passing data through a bunch of "data mangling classes" to arrive at an end result. The gist of the code is to fetch a log of changes, stored in a service-internal data store, that has occurred since a particular time, simplify the log to only include the last applicable change for each object, attach the serialized values for the affected objects and return this all to the client. My question then is, how do I unit-test this entry point method? Obviously, each class would have thorough unit tests to ensure that their functionality works as expected, but the entry point seems harder to "disconnect" from the rest of the world. I would rather not send in each of these internal classes IoC-style, because they're small and are only made classes to satisfy the single-responsibility principle. I see a couple possibilities: Create a "private" interface header for the tests with methods that call the internal classes and test each of these methods separately. Then, to test the entry point, make a partial mock of the service class with these private methods mocked out and just test that the methods are called with the right arguments. Write a series of fatter tests for the entry point without mocking out anything, testing the entire functionality in one go. This looks, to me, more like "integration testing" and seems brittle, but it does satisfy the "only test via the public interface" principle. Write a factory that returns these internal services and take that in the initializer, then write a factory that returns mocked versions of them to use in tests. This has the downside of making the construction of the service annoying, and leaks internal details to the client. Write a "private" initializer that take these services as extra parameters, use that to provide mocked services, and have the public initializer back-end to this one. This would ensure that the client code still sees the easy/pretty initializer and no internals are leaked. I'm sure there's more ways to solve this problem that I haven't thought of yet, but my question is: what's the most appropriate approach according to unit testing best practices? Especially considering I would prefer to write this test-first, meaning I should preferably only create these services as the code indicates a need for them.

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  • Weird Ubuntu Desktop Boot Partition On External Hard Drive

    - by Magnitus
    I have a Thinkpad with Windows 7. Last time I installed an Ubuntu/Windows dual boot, Windows was never same after and regularly got corrupted so this time, I installed Ubuntu on a separate external hard drive. I took a 500 GB external hard drive and used Windows to shrink the partition on it to 400 GB, freeing 100 GB to install Ubuntu. Then I modified the booting priority of my computer to boot from the external hard drive if present. Then, I installed Ubuntu desktop on the external hard drive using a DVD, picked the most simplistic partitioning scheme I could get away with (didn't go auto as it didn't include the external hard drive as a choice) and voilà. Fast forward some time and I'm trying to refresh my understanding of Linux partitions to install a bunch of servers, so I'm looking at the current partitioning scheme on my external hard drive and find the boot partition puzzling... sda is my integrated hard drive with Windows 7. sdb is my Ubuntu desktop external hard drive. Running parted on sdb, I get this: (parted) print Model: WD My Passport 0740 (scsi) Disk /dev/sdb: 500GB Sector size (logical/physical): 512B/512B Partition Table: msdos Number Start End Size Type File system Flags 1 1049kB 393GB 393GB primary ntfs boot 2 393GB 500GB 107GB extended 5 393GB 425GB 32.8GB logical linux-swap(v1) 6 425GB 500GB 74.6GB logical ext4 At this point, I'm wondering why the ntfs partition is flagged as "boot" and not my ext4 partition which is the partition that contains / (and by extension, /boot since it's not on its own separate partition). Looking at mtab only confirms what I already know: eric@eric-ThinkPad-W530:~$ sudo cat /etc/mtab /dev/sdb6 / ext4 rw,errors=remount-ro 0 0 proc /proc proc rw,noexec,nosuid,nodev 0 0 sysfs /sys sysfs rw,noexec,nosuid,nodev 0 0 none /sys/fs/cgroup tmpfs rw 0 0 none /sys/fs/fuse/connections fusectl rw 0 0 none /sys/kernel/debug debugfs rw 0 0 none /sys/kernel/security securityfs rw 0 0 udev /dev devtmpfs rw,mode=0755 0 0 devpts /dev/pts devpts rw,noexec,nosuid,gid=5,mode=0620 0 0 tmpfs /run tmpfs rw,noexec,nosuid,size=10%,mode=0755 0 0 none /run/lock tmpfs rw,noexec,nosuid,nodev,size=5242880 0 0 none /run/shm tmpfs rw,nosuid,nodev 0 0 none /run/user tmpfs rw,noexec,nosuid,nodev,size=104857600,mode=0755 0 0 none /sys/fs/pstore pstore rw 0 0 systemd /sys/fs/cgroup/systemd cgroup rw,noexec,nosuid,nodev,none,name=systemd 0 0 gvfsd-fuse /run/user/1000/gvfs fuse.gvfsd-fuse rw,nosuid,nodev,user=eric 0 0 /dev/sdb1 /media/eric/My\040Passport fuseblk rw,nosuid,nodev,allow_other,default_permissions,blksize=4096 0 0 My lack of understanding concerning this is not vital to anything (this is only my development desktop partition), but somehow annoys me. Any insight that could shed some light on this would be welcome.

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  • RPi and Java Embedded GPIO: It all begins with hardware

    - by hinkmond
    So, you want to connect low-level peripherals (like blinky-blinky LEDs) to your Raspberry Pi and use Java Embedded technology to program it, do you? You sick foolish masochist. No, just kidding! That's awesome! You've come to the right place. I'll step you though it. And, as with many embedded projects, it all begins with hardware. So, the first thing to do is to get acquainted with the GPIO header on your RPi board. A "header" just means a thingy with a bunch of pins sticking up from it where you can connect wires. See the the red box outline in the photo. Now, there are many ways to connect to that header outlined by the red box in the photo (which the RPi folks call the P1 header). One way is to use a breakout kit like the one at Adafruit. But, we'll just use jumper wires in this example. So, to connect jumper wires to the header you need a map of where to connect which wire. That's why you need to study the pinout in the photo. That's your map for connecting wires. But, as with many things in life, it's not all that simple. RPi folks have made things a little tricky. There are two revisions of the P1 header pinout. One for older boards (RPi boards made before Sep 2012), which is called Revision 1. And, one for those fancy 512MB boards that were shipped after Sep 2012, which is called Revision 2. So, first make sure which board you have: either you have the Model A or B with 128MB or 256MB built before Sep 2012 and you need to look at the pinout for Rev. 1, or you have the Model B with 512MB and need to look at Rev. 2. That's all you need for now. More to come... Hinkmond

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  • Rolling With the Punches

    - by D'Arcy Lussier
    So I’ve been tweeting the last little while “Rolling with the punches” and I’ve had some people ask me what that meant. Whether you’re running a conference (like I am this week), or a project, or a birthday party for a 2 year old, you need to be ready to handle those things that are unexpected. Risk mitigation can only go so far and its at those times that you need to become resourceful. So let me tell you what the last few days have been like. Today is the first day of Prairie Dev Con Winnipeg, a conference that I run. On Friday I was informed that my keynote speaker had lost his voice, one of my speakers had a family emergency and had to back out, and I got a warning from another that he was travelling over the weekend and if there was a storm or something he may not be able to get back by Monday for his talk. A storm didn’t happen, but their car did break down and he was delayed. Finally, Saturday night I took my printing order to Staples. It was at 5 and they closed at 6, and I had a bunch of surveys to be printed and cut. The girl working said that she’d have it ready by the next day (Sunday). Her intent was to come in the next morning and finish the job. Unfortunately, she had to be hospitalized that night and never made it into work…and never informed anyone of the remaining work. They found out at 3pm when I came to pick it up and there was no way they’d be able to cut everything in time. So how did we roll with these punches? - Miguel, my keynote speaker, was a trooper and was able to do the keynote but asked that his session get moved from Monday to Tuesday. This is why I wait until the last day before printing out schedules, they can change up to the event and even later. - I was able to move some sessions around to accommodate my stranded speaker and fill the empty slot from the speaker that couldn’t make it. - Staples was able to get me half the cut surveys so I took those and my wife will pick up the rest today. I altered how we’d collect session surveys, and actually I think it’ll work better. So all of this is to say, plan but also plan for what you can’t plan for – there will be things that happen that blindside you, that you’re not sure how to handle or solve. Stop, take a deep breath, and don’t feel that you need to limit yourself to the boundaries that you initially set for yourself. Roll with the punch and learn from it so that you can avoid the blow next time. Now, back to the conference! D

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  • Optionally Running SPSecurity.RunWithElevatedPrivileges with Delgates

    - by Damon Armstrong
    I was writing some SharePoint code today where I needed to give people the option of running some code with elevated permission.  When you run code in an elevated fashion it normally looks like this: SPSecurity.RunWithElevatedPrivileges(()=> {     //Code to run }); It wasn’t a lot of code so I was initially inclined to do something horrible like this: public void SomeMethod(bool runElevated) {     if(runElevated)     {         SPSecurity.RunWithElevatedPrivileges(()=>         {             //Code to run         });     }     else     {         //Copy of code to run     } } Easy enough, but I did not want to draw the ire of my coworkers for employing the CTRL+C CTRL+V design pattern.  Extracting the code into a whole new method would have been overkill because it was a pretty brief piece of code.  But then I thought, hey, wait, I’m basically just running a delegate, so why not define the delegate once and run it either in an elevated context or stand alone, which resulted in this version which I think is much cleaner because the code is only defined once and it didn’t require a bunch of extra lines of code to define a method: public void SomeMethod(bool runElevated) {     var code = new SPSecurity.CodeToRunElevated(()=>     {         //Code to run     });     if(runElevated)     {         SPSecurity.RunWithElevatedPermissions(code);         }     else     {         Code();     } }

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  • Keeping the meshes "thickness" the same when scaling an object

    - by user1806687
    I've been bashing my head for the past couple of weeks trying to find a way to help me accomplish, on first look very easy task. So, I got this one object currently made out of 5 cuboids (2 sides, 1 top, 1 bottom, 1 back), this is just for an example, later on there will be whole range of different set ups. Now, the thing is when the user chooses to scale the whole object this is what should happen: X scale: top and bottom cuboids should get scaled by a scale factor, sides should get moved so they are positioned just like they were before(in this case at both ends of top and bottom cuboids), back should get scaled so it fits like before(if I simply scale it by a scale factor it will leave gaps on each side). Y scale: sides should get scaled by a scale factor, top and bottom cuboid should get moved, and back should also get scaled. Z scale: sides, top and bottom cuboids should get scaled, back should get moved. Hope you can help, EDIT: So, I've decided to explain the situation once more, this time more detailed(hopefully). I've also made some pictures of how the scaling should look like, where is the problem and the wrong way of scaling. I this example I will be using a thick walled box, with one face missing, where each wall is made by a cuboid(but later on there will be diffrent shapes of objects, where a one of the face might be roundish, or triangle or even under some angle), scaling will be 2x on X axis. 1.This is how the default object without any scaling applied looks like: http://img856.imageshack.us/img856/4293/defaulttz.png 2.If I scale the whole object(all of the meshes) by some scale factor, the problem becomes that the "thickness" of the object walls also change(which I do not want): http://img822.imageshack.us/img822/9073/wrongwaytoscale.png 3.This is how the correct scaling should look like. Appropriate faces gets caled in this case where the scale is on X axis(top, bottom, back): http://imageshack.us/photo/my-images/163/rightwayxscale1.png/ 4.But the scale factor might not be the same for all object all of the times. In this case the back has to get scaled a bit more or it leaves gaps: http://imageshack.us/photo/my-images/9/problemwhenscaling.png/ 5.If everything goes well this is how the final object should look like: http://imageshack.us/photo/my-images/856/rightwayxscale2.png/ So, as you have might noticed there are quite a bit of things to look out when scaling. I am asking you, if any of you have any idea on how to accomplish this scaling. I have tried whole bunch of things, from scaling all of the object by the same scale factor, to subtracting and adding sizes to get the right size. But nothing I tried worked, if one mesh got scaled correctly then others didnt. Donwload the example object. English is not my first language, so I am really sorry if its hard to understand what I am saying.

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  • Summary of our Recent Pull Request Enhancements on CodePlex

    Over the past several weeks, we’ve been incrementally rolling out a bunch of enhancements around our pull request workflow for Git and Mercurial projects. Our goal is to make contributing to open source projects a simple and rewarding experience, and we’ll continue to invest in this area. Here’s a summary of the changes so far, in case you’ve missed them. As always, if you have any feedback, please let us know, whether on our ideas page or via Twitter. Support for branches You can now pick the source and destination branches for your pull request, whether you’re sending one from your fork, or using it within a project to collaborate with your other trusted contributors. A redesigned creation experience Our old pull request creation form was rather lacking. It asked for a title and comment in a small modal dialog, but that was about it. We knew we could do better, so we rethought the experience. Now, when you create a pull request, you’re taken to a new page that let’s you select the source and destination, and gives you information on the diffs and commits that you’re sending, so you can confirm that you’re sending the right set of changes. Inline code snippets in discussion If users comment on code in your pull request, we now display a preview of the snippet of relevant code inline with their comment on the discussion. Subsequent replies on that line are combined in a single thread to preserve your context. No more clicking and hunting to find where the comments are. And you can add another inline comment right from the discussion area. Comment notifications You can now elect receive an e-mail notification if a user comments on your pull request. If it’s on a line of code, we’ll display the relevant code snippet in the e-mail. Redesigned diff viewer Our old diff viewer hadn’t been touched in a while, and was in need of an update. We started with a visual facelift to use standard red/green colors for additions/deletions and remove the noisy “dots” that represented spaces and that littered the diff viewer. Based on feedback that the viewable region for diffs was too small, especially for smaller screen resolutions, we revamped the way the viewport for the code is sized, and now expand it to fill the majority of the browser height when scrolling down. The set of improvements we implemented here also apply anywhere diffs are viewed, not just for pull requests.

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  • Agile team with no dedicated Tester members. Insane or efficient?

    - by MetaFight
    I'm a software developer. I've been thinking a lot about the efficiency of the Software Testers I've worked with so far in my career. In fact, I've been thinking a lot about the Software Testers role in general and have reached a potentially contentious conclusion: Non-developer Software Testers staff are less efficient at software testing than developers. Now, before everyone gets upset, hear me out. This isn't mere opinion: Software Testing and Software Development both require a lot of skills in common: Problem solving Thinking about corner cases Analytical skills The ability to define clear and concise step-by-step scenarios What developers have in addition to this is the ability to automate their tests. Yes, I know non-dev testers can automate their tests too, but that often then becomes a test maintenance issue. Because automating UI tests is essentially programming, non-dev members encounter all the same difficulties software developers encounter: Copy-pasta, lack of code reusibility/maintainability, etc. So, I was wondering. Why not replace all non-dev roles with developer roles? Developers have the skills required to perform Software Testing tasks, and they have the skills to automate tests and keep them maintainable. Would the following work: Hire a bunch of developers and split them into 2 roles: Software developers Software developers doing testing (some manual, mostly automated by writing integration tests, unit tests, etc) Software developers doing application support. (I've removed this as it is probably a separate question altogether) And, in our case since we're doing Agile development, rotate the roles every sprint or two. Also, if at all possible, try to have people spend their Developer stints and Testing stints on different projects. Ideally you would want to reduce the turnover rate per rotation. So maybe you could have 2 groups and make sure the rotation cycles of the groups are elided. So, for example, if each rotation was two sprints long, the two groups would have their rotations 1 sprint apart. That way there's only a 50% turn-over rate per sprint. Am I crazy, or could this work? (Obviously a key component to this working is that all devs want to be in the 3 roles. Let's assume I'm starting a new company and I can hire these ideal people) Edit I've removed the phrase "QA", as apparently we are using it incorrectly where I work.

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  • What is the standard term for my role?

    - by sigil
    I'm doing work that involves writing code and managing developers in a "special projects" division of a large company. I'd like to define my role better and figure out if there's an industry standard term for what I do, so that it will be easier for me to research best practices and work on a career path What I do all day: A macro that connects an Excel sheet to an Access database is acting funny; I get called in to figure out what's happening and debug it. Someone needs data extracted from a bunch of files on Sharepoint. I figure out a client-side solution because I'm not authorized to do anything server-side and getting IT to do anything would take several months and need a business case. A manager wants a new data entry tool for their team. I interview the manager and team members to work out the functional requirements, then design/develop/test the application. Someone needs a VBA script to crunch some data for their presentation that's due in two hours. I drop everything I'm doing to hack out a quick script and run the analysis, without much in the way of testing. A developer has been hired to build a database for one of the teams, since I'm working on too many different things and don't have time to take this project on in the timeframe required. I direct his work and push him to meet certain deadlines, interview stakeholders to get more info that will help him figure out how to build the necessary forms, and modify the functional requirements of the database to fit in the timeframe. Someone wants to load a set of data into a GIS system and set up an ongoing refresh and reporting of this data set. I facilitate the conversation between the GIS developers and the owners of this data set, and design a demo application as proof of concept. It's kind of an "all-purpose programming and IT management" position, but it's not officially IT because the company has an actual IT department with a rigorously defined system of submitting requests, developing code, and managing projects. What I do, I guess, is more of a handyman job, where stuff falls to me because I'm the geekiest one in the room. Is there a standard term in the software world for what I do?

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  • How to import .ops file in Outlook 2007

    - by r0ca
    Hi all, I install ORK.exe on my Windows 7 machine to create a copy of my profile so I will have it as a template to push it to new user. So basically, I ran the Profile Wizard to create an .ops file. I saved it in my documents for the moment. Right now, I'm trying to import that file into my Outlook but I just can't figure it out! My goal is to have a profile template to push to new users when they log in for first time. Thanks a bunch in advance! EDIT: I just figured it out. But I have a problem: When I create my profile, Outlook 2007 on exchange was not in cache mode. So I created my profile with the Profile Wizard with cache mode disabled. I save my outlook.ops in My documents. Then, I enabled cache mode so when I will import my .ops file, it should be restore as cache mode disabled... But When I do that, cache mode is still checked (which I don't want to) Am I doing something wrong? I guess so but I just can't figure it out

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  • Mod Rewrite Help - Pseudo-Subdirectories

    - by Gimpyfuzznut
    I am dealing with a frustrating problem with Joomla that is going to require some url trickery. The idea is straight-forward but after reading a bunch of guides for mod-rewrite, I still can't seem to get it work. Let's say my site is www.mysite.com. Joomla is already performing some rewriting for SEF urls so I have links like www.mysite.com/home and www.mysite.com/news and so on. I want to be able to have (4) pseudo-subdirectories like www.mysite.com/mode1/ and www.mysite.com/mode2/ and so on. These subdirectories should work as if the subdirectory isn't there, ie both www.mysite.com/mode1/home and www.mysite.com/mode2/home should pull up the same www.mysite.com/home. It should point any www.mysite.com/mode1/anypagehere to www.mysite.com/anypagehere. The reason I am asking for this is because I will be reading the url for mode1, mode2, etc, to modify the template page. There will be a landing page that will direct people to /mode1/ and /mode2/ etc and the template will change based on that. Note, that I don't want to actually pass a parameter to the url accessible by a GET or whatever because Joomla removes it (perhaps because of my current mod_rewrite settings). I've pasted the current .htaccess file. RewriteBase /joomla ##########Rewrite rules to block out some common exploits RewriteCond %{QUERY_STRING} mosConfig_[a-zA-Z_]{1,21}(=|\%3D) [OR] # Block out any script trying to base64_encode crap to send via URL RewriteCond %{QUERY_STRING} base64_encode.*\(.*\) [OR] # Block out any script that includes a <script> tag in URL RewriteCond %{QUERY_STRING} (\<|%3C).*script.*(\>|%3E) [NC,OR] # Block out any script trying to set a PHP GLOBALS variable via URL RewriteCond %{QUERY_STRING} GLOBALS(=|\[|\%[0-9A-Z]{0,2}) [OR] # Block out any script trying to modify a _REQUEST variable via URL RewriteCond %{QUERY_STRING} _REQUEST(=|\[|\%[0-9A-Z]{0,2}) # Send all blocked request to homepage with 403 Forbidden error! RewriteRule ^(.*)$ index.php [F,L] ########## Begin - Joomla! core SEF Section RewriteCond %{REQUEST_FILENAME} !-f RewriteCond %{REQUEST_FILENAME} !-d RewriteCond %{REQUEST_URI} !^/index.php RewriteCond %{REQUEST_URI} (/|\.php|\.html|\.htm|\.feed|\.pdf|\.raw|/[^.]*)$ [NC] RewriteRule (.*) index.php #RewriteRule .* - [E=HTTP_AUTHORIZATION:%{HTTP:Authorization},L] ########## End - Joomla! core SEF Section

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  • Task scheduler "hidden" only hides task, not process

    - by Brandi
    I am trying to make an application that acts like a desktop application for all the computers in our network. I have already got a windows forms app that works like I want it to, and I'm using the task scheduler to start it on login. We would really like it if the process as well as the task is hidden from the task manager in order to avoid accidental deletion. Selecting "Hidden" in the task scheduler hides the task (good!) but the process is still visible (not good enough). I tried using the option to run as "SYSTEM" or "LOCAL SERVICE" so that the user would get "access denied" when trying to delete or just wouldn't even view it by default. However, running as a service makes the process invisible on Vista and 7, and the point of my app is to display information interactively. (User can click, sort, etc). Is there any other alternatives to either run the process as someone/something besides the logged in user and still have the logged on user be able to see and interact with it? (Therefore it would list as someone else's app?) From what I've read on the internet, the only ways to actually hide something from the task manager seem hacky and/or difficult and rather involved. I don't really want to write a bunch of C or whatever only to maybe not have it work on Vista/7 anyway. Besides which, for a legitimate app with a legitimate use, I shouldn't have to go to those extremes... I see "Access Denied" all the time for system processes... why is it so hard for me to do the same? So does anyone have any simple solutions? Is it easier than I think to just list something in the task manager as another user? Thanks in advance for any replies.

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  • How to disable the RAID in x3400 M2

    - by BanKtsu
    Hi I just wanna disable the default RAID in my server IBM System X3400 M2 Server(7837-24X),i have 3 disk drives SAS. I want to make them a JBOD "Just a Bunch Of Disks", because I want to install in the drive 0 CentOS, and the other two make them cache files for a squid server. I disable the RAID in the BIOS: System Settings/Adapters and UEFI drivers/LSI Logic Fusion MPT SAS Driver -PciRoot(0x0)/Pci(0x3,0X0)/Pci(0x0,0x0) LSI Logic MPT Setup Utility RAID Properties/Delete Array Later I boot the CentOS live CD and install the OS in the drive 0, and the others 2 mounted like this: *LVM Volume Groups vg_proxyserver 139508 lv_root 51200 / ext4 lv_home 84276 /home ext4 lv_swap 4032 Hard Drive sdb(/dev/sdb) free 140011 sdc(/dev/sdc) free 140011 sdd(/dev/sdd) sdd1 500 /boot ext4 sdd2 139512 vg_proxyserver physical volume(LVM) But when I restart the server give me the error: Boot failed Hard Disk 0 UEFI PXE PciRoot(0x0)/Pci(0x1,0X0)/Pci(0x0,0x0)/MAC(001A64B15130,0X0)) ........PXE-E18:Server response timeout. UEFI PXE PciRoot(0x0)/Pci(0x1,0X0)/Pci(0x0,0x0)/MAC(001A64B15132,0X0)) ........PXE-E18:Server response timeout. and the OS not start. The IBM force me to do a RAID?,why?

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  • Postfix Send Error: Must Issue STARTTLS command

    - by Mary Elizabeth
    Running Ubuntu 12.04 and trying to configure postfix to relay send and receive through GMAIL. Am running into connection issues particularly with TLS. Have tried a bunch of troubleshooting solutions and have changed my main.cf to address TLS but still receive the below errors. Tried debugging connection issues with: `root@mailservice:/etc/postfix# openssl s_client -connect localhost:587 -starttls smtp` and I recveive these errors `connect: Connection refused' 'connect:errno=111` in my logs I see: Jun 11 13:54:31 mailservice postfix/smtp[3765]: warning: cannot get RSA certificate from file /etc/postfix/cert.pem: disabling TLS support Jun 11 13:54:31 mailservice postfix/smtp[3765]: warning: TLS library problem: 3765:error:0906D06C:PEM routines:PEM_read_bio:no start line:pem_lib.c:696:Expecting: TRUSTED CERTIFICATE: Jun 11 13:54:31 mailservice postfix/smtp[3765]: warning: TLS library problem: 3765:error:140DC009:SSL routines:SSL_CTX_use_certificate_chain_file:PEM lib:ssl_rsa.c:729: Jun 11 13:54:31 mailservice postfix/smtp[3765]: 9986B6846A: to= <[email protected]>, relay=smtp.gmail.com[173.194.77.109]:587, delay=0.15, delays=0.02/0.02/0.09/0.02, dsn=5.7.0, status=bounced (host smtp.gmail.com[173.194.77.109] said: 530 5.7.0 Must issue a STARTTLS command first. hd9sm12170509obc.6 (in reply to MAIL FROM command)) The contents of my main.cf (pertaining to TLS) look like this: #TLS Parameters smtpd_tls_cert_file = /etc/ssl/certs/ssl-cert-snakeoil.pem smtpd_tls_key_file = /etc/ssl/private/ssl-cert-snakeoil.key smtpd_tls_session_cache_database = btree:${data_directory}/smtpd_scache smtp_tls_session_cache_database = btree:${data_directory}/smtp_scache #TLS Settings smtp_use_tls = yes smtp_tls_security_level = may smtp_tls_loglevel = 1 smtp_enforce_tls = yes smtp_tls_CAfile = /etc/postfix/cacert.pem smtp_tls_cert_file = /etc/postfix/cert.pem smtp_tls_key_file = $smtp_tls_cert_file smtp_tls_session_cache_dataabase = btree:/var/run/smtp_tls_session_cache smtp_tls_note_starttls_offer = yes smtpd_use_tls = yes smtpd_tls_security)level = may smtpd_tls_auth_only = no smtpd_tls_CAfile = /etc/postfix/cacert.pem smtpd_tls_cert_file = /etc/postfix/cert.pem smtpd_tls_key_file = /etc/postfix/key.pem smtpd_tls_received_header = yes smtpd_tls_session_cache_database = btree:/var/run/smtpd_tls_session_cache smtpd_tls_session_cache_timeout = 3600s tls_random_source = dev:/dev/urandom As far as I can tell everything is in order for a proper TLS Connection, and I am unsure what would need to change in main.cf or elsewhere for mail to send.

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  • How to use Salt Stack with minions all behind NAT (not publicly accessible, default salt ports not open)?

    - by MountainX
    Can Salt Stack minions communicate with the salt master from behind NAT/Firewalls, etc., using standard ports that would be open be default in all consumer NAT routers (and without the minions having a public DNS record or static IP)? I'm working my way through my first salt tutorial, and this is where I'm stuck. I am able to configure iptables on the Ubuntu salt-master. But I have no control over the routers/NAT that the minions will sit behind. So far I tried these settings: /etc/salt/master: publish_port: 465 ret_port: 443 /etc/salt/minion: master_port: 465 That did not work. Background: I have a custom developed application presently running on about 40 Kubuntu laptops (& more planned). Every few months I have to update the application. (Often this just amounts to replacing a .jar file, which requires root permissions.) I also have to run Ubuntu updates and a few other minor things. I've been doing it manually, one by one, using Team Viewer to log into each client. I would like to dramatically improve this process. The two options I'm aware of are either: use reverse ssh tunnels and bash scripts. I tested this and it works. But I don't get any of the reporting, etc., I would get with Salt Stack. use Salt Stack (or similar) management tool. But I need a really simple tool. I can't invest any time in a big learning curve. I looked at Puppet and a bunch of related tools. The only one I found that looked simple enough for me (so far) was Salt Stack. But I'm stuck now because my minion can't reach the salt-master, as stated above. I appreciate suggestions.

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  • Restarting Haproxy Gracefully

    - by Anand Gupta
    As per various blogs, HAproxy can be gracefully restarted using the following command: sudo haproxy -f /etc/haproxy/haproxy.cfg -p /var/run/haproxy.pid -sf $(cat /var/run/haproxy.pid) TO verify this, I had set up a apache bench script which contiguously sent message to haproxy. Ideally, whenever I restarted my server the script should not have an affect on the apache bunch execiton. But, it seems that whenever Haproxy is restarted apache bench scripts terminate and the connection to load balancer is lost. Here is the details of my HaProxy configuration file : global nbproc 4 log 127.0.0.1 local0 log 127.0.0.1 local1 notice #log loghost local0 info maxconn 4096 #chroot /usr/share/haproxy user haproxy group haproxy daemon pidfile /var/run/haproxy.pid stats socket /home/ubuntu/haproxy.sock #debug #quiet defaults log global mode http option httplog option dontlognull retries 3 option redispatch maxconn 2000 contimeout 5000 clitimeout 50000 srvtimeout 50000 listen webstats bind 0.0.0.0:1000 stats enable mode http stats uri /lb?stats stats auth anand:aaaaaaaa #stats refresh listen web-farm 0.0.0.0:80 mode http balance roundrobin option httpchk HEAD /index.php HTTP/1.0 server server2.com 1.1.1.1:80 server serve1.com 1.1.1.2:80 ~ Please let me know what am I missing here.

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  • PHP-APC Installation

    - by Leo
    Trying to get my head around the way to install APC cache on PHP 5.3.13. That's a VPS with apache, configured preferably through whm/cpanel (although not only). I read a bunch of articles where it was suggested to use FastCGI with APC, as suPHP doens't do well with opcode caching, and fcgid_module doesn't do it right for APC either. Noted that fcgid_module is a newer package than FastCGI and that's what whm/cpanel installs for you but ok, that can be solved I guess. Then I'm reading that php-fpm is a much better alternative to manage the php processes, especially for APC. Ok. Then I realised that php-fpm is included in php core since 5.3 and got confused. Does that mean I don't have to use FastCGI/fcgid_module (and what should I use instead of them - mod_php or cgi?)? Or does that mean that I still need to get the older FastCGI module, and configure it to use one process per user (or just one process?)? Or would fcgid_module work as well? And how bad would it be just to go with mod_php/APC to avoid troubles of installing php-fpm and FastCGI (whm/cpanel doesn't support neither) given than Varnish would serve most of the static content anyway - no php process need to be created for static content. Any examples of their FastCGI/fcgid_module/php-fpm/APC configurations would be greatly appreciated as well.

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  • I need a piece software to use with my HP F4280 scanner.

    - by D Connors
    So, I got this printer/scanner about a year ago, and I'm really happy with it. The only thing is that I never really liked the HP scanning software that came with it. A few months ago I reformatted and reinstalled windows 7. Then, once I plugged in the printer, I noticed that windows recognized it automatically, and offered to install all the drivers by itself. So instead of manually installing the driver that came in the CD, I simply let windows automatically install it from its servers, and so far it's great. Instead of HP's scanning software (that really wasn't pleasing me), I got a very simplified interface that is more than enough for my ocasional scanning habits. Until today. Today I had to scan a bunch of old pictures for my father. And that simple interface felt like it was lacking quite a few features to make this repetitive task a little easier. And that's why I'm now looking for a good software to use for scanning. By "good" I mean anything well thought out, and specially anything that will make my life easier when repetitive-scanning. It doesn't need to have professional tweaking options, but having them is not a problem either. You guys got anything?

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  • NFS "Permission Denied" getting cached on NetApp Filer

    - by Christopher Karel
    We have a bunch of Linux boxes mounting NFS shares off a NetApp filer. From time to time, I will flub some part of the export configuration. Typo on one of the allowed hosts, incorrect IP address, etc, etc. No worries, this is usually done on a test system, or with brand new exports that aren't yet in production. However, I've found that once I've been denied permission to mount something from a Linux machine, the failure gets cached for as long as a day. I will correct the problem that was blocking the mount, re-export on the NetApp, and still not be able to mount the share. I'm pretty sure this caching is done at the NetApp side. It normally ages out after a day or so, but it really sucks having to wait until tomorrow to mount a share. I've tried exportfs -f on the NetApp, as well as dns flush. (I found both suggestions via Google) However, neither one works. I would sell my soul if someone could help out with a command/pagan ritual that would clear up this cache issue. --Christopher Karel

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  • Why am I getting a warning that windows is logging on with a temporary profile to run a task scheduler task?

    - by Dan C
    I am having a strange problem with the Windows Server 2008 Task Scheduler. I have to run a small command-line application every few minutes. This application just executes a quick web service call on the localhost and adds an entry to a log file; so it should not need anything special in terms of permissions. First, I created a new user account "my_scheduler" just for the task. This account is a member of the Users group (not sure what other settings I should turn on/off) and set it's password to not expire. I then create a task to run the application every few minutes. I set it to "Run whether user is logged on or not" and turned on "Do not store password. The task will only have access to local resources" (I did this since it's not hitting anything on the network. I did not turn on "Run with highest privileges" since it does not seem to need them. I set the schedule to "After triggered, repeat every 30 minutes for a duration of 1 day" and "Allow task to be run on demand" (no other settings enabled). However, I notice that in the Event Log, I see a bunch of these warnings whenever the task is run: "Windows cannot find the local profile and is logging you on with a temporary profile. Changes you make to this profile will be lost when you log off." Even though I get the warning, the task is executing (I see the log entries appearing). Another (possibly related) issue is that I also see that it's starting multiple copies of the task (within a few seconds of each other) even though it should only start one. This is also a big problem. Any idea how I can fix this? Thanks in advance, Dan

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  • How does a web server/the http protocol handle version control and compression?

    - by Sune Rasmussen
    When a client browser requests a file from the web server, I know that some kind of check is performed, because the files needed to serve the web page may already be cached by the web browser. So, if a file exists in the cache, no files are sent. But if the file on the server has changed since the file was cached in the browser, the file is sent and updated anyhow. Then, if you have compression like gzipping enabled on the server, the files that are to be provided to the client must be gzipped on the way, requiring some amount of server side processing. But how is this managed? The logical approach seems to me, that the web server should have a cache as well, containing the newest version of all files that have been requested within a certain time span, thus a compressed version of these files, so that compression would not have to be done each time a files is requested. And also, how are files eventually requested? Does the browser ask for files, each time it encounters one in the HTML code and the specific file is not stored in the local cache, or does it sum all the files that are needed up and ask for the whole bunch at the same time? But that's only guessing from a programming point of view, and I don't really know. If the answers are very different among web server systems, I'm primarily interested in Apache, but other answers are appreciated, too.

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  • Apache log rotation: logrotate vs rotatelogs vs chronolog

    - by Enrico
    I have been researching log rotation for my server which hosts ~5 fairly high traffic sites. From what I can tell, my options are to use logrotate or to use piped logging with either rotatelogs or chronolog. logrotate requires a restart of apache and both SIGHUP and SIGUSR1 restarts are less than ideal on high traffic sites, because either you drop a bunch of connections or you need to delay compressing the old log until all child processes have died naturally. Also, downtime can be quite significant if compression is enabled. Would using logrotate - without compression and with graceful restart - and compressing old logs after the fact be the best way to minimize downtime? chronolog and rotatelogs sound promising, but are not well documented. I couldn't find examples of using either in combination with vhost specific logs. The chronolog website says, "when the expanded filename changes, the current file is closed and a new one opened". Is this globally? Or is that per AccessLog, CustomLog or ErrorLog directive? Is there a significant difference between chronolog and rotatelogs?

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