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  • Migrating ODBC information through a batch file

    - by DeskSide
    I am a desktop support technician currently working on a large scale migration project across multiple sites. I am looking at a way to transfer ODBC entries from Windows XP to Windows 7. If anyone knows of a program or anything prebuilt that already does this, please redirect me. I've already looked but haven't found anything, so I'm trying to build my own. I know enough basic programming to read the work of others and monkey around with something that already exists, but not much else. I have come across a custom batch file written at one site that (among other things) exports ODBC information from the old computer and stores it on a server (labelled as y: through net use at the beginning of the file), then later transfers it from the server to a new computer. The pre-existing code is for Windows XP to XP migrations. Here are the pertinate bits of code: echo Exporting ODBC Information start /wait regedit.exe /e "y:\%username%\odbc.reg" HKEY_LOCAL_MACHINE\SOFTWARE\ODBC\ODBC.INI (and later on) echo Importing ODBC start /wait regedit /s "y:\%username%\odbc.reg" We are now migrating from Windows XP to 7, and this part of the batch file still seems to work for this particular site, where Oracle 8i and 10g are used. I'm looking to use my cut down version of this code at multiple sites, and I'm wondering if the same lines of code will still work for anything other than Oracle. Also, my research on this issue has shown that there are different locations in 64 bit operating systems for 32/64 bit entries, and I'm wondering what effect that would have on the code. Could I copy the same data to both parts of the registry, in hopes of catching everything? Any assistance would be appreciated. Thank you for your time.

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  • Low-traffic WordPress website on Apache keeps crashing server

    - by OC2PS
    I have recently moved my low-moderate traffic (1000 UAUs, 5000 pageviews on a busy day) website from shared hosting to a Centos 6 64-bit VPS with Apache and cPanel running on 4 quad-core processor (likely oversold) and 3GB memory (Xen). We've had problems from the beginning. The server keeps crashing. It seems PHP keeps expanding till it consumes all the memory and crashes the server. Some folks have suggested that I should abandon Apache/cPanel/PHP/mySQL and go with nginX/Varnish/PHP-FPM/SQLite. But that's just not possible for me as I am not very tech savvy and need a simple GUI like cPanel to be able to manage the mundane management tasks (can't afford to hire system administrator or get fully managed hosting). I have come across several posts discussing optimization of Apache for WordPress. But all of these lead to articles that are pretty dated such as this ~4 year old one from Jan 2009 - http://thethemefoundry.com/blog/optimize-apache-wordpress/ The article is pretty detailed and seems helpful, but I stumble even on the first step. My httpd.conf only has 2 loadmodule commands LoadModule fastinclude_module modules/mod_fastinclude.so LoadModule bwlimited_module modules/mod_bwlimited.so So I go total bust right there. Further, my httpd.conf says Direct modifications to the Apache configuration file may be lost upon subsequent regeneration of the configuration file. To have modifications retained, all modifications must be checked into the configuration system by running: /usr/local/cpanel/bin/apache_conf_distiller I am having trouble finding where to change the modules in WHM. Please can someone help me with updated guidelines on how to optimize Apache for WordPress? Many thanks! P.S. The WordPress installation also has WP Super Cache installed. P.P.S. I also have phpBB, OpenCart, and Menalto Gallery installed.

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  • Kindle (client) for Mac--text search or highlighting/notes?

    - by doug
    just so we're clear, i'm talking about the client/software version here--ie, that you install on your Mac or PC--not the device. The Kindle client was recently released for the Mac. I downloaded it and bought a couple of Kindle-edition books to view on this client. Astonishingly, two features i consider to be more or less essential to any ebook reader are missing in the Kindle client, either that, or i can't find them: (i) text searching; and (ii) highlighting text. First, does anyone know how to access the search feature? I'm aware of the "Go To" button at the top middle of the reader window--the options in that menu when you click the button are: "Cover", "Table of Contents", "Beginning" and "Location." "Location" requires that you type in an integer (but it doesn't correspond to page number--e.g., typing "167" brought me to the table of contents), not a search term. Second, there's a button on the upper right-hand corner of the window "Show Notes and Marks" yet i can't find any way to highlight text. The only kind of "note" or "mark" i have been able to record is to "bookmark" a page by clicking the "bookmark" button also at the top of the window.

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  • Is there a learnable filter in Thunderbird for non-spam messages (as in Opera Mail)?

    - by Debilski
    One feature I like very much about Opera Mail is that you can have learnable filters for any purpose. So not only can you filter spam messages but also messages that your friends sent you or info mails from web platforms without having to enter each and every mail address you want to filter. It actually works quite satisfying and you can combine it with string filtering, too. It does a few mistakes in the beginning but then improves quickly after you have removed some of the false positives. However, there are a couple of drawbacks with the Opera Mail module. The filters are only ‘virtual’. So, with IMAP there is no easy way of mirroring the filtered structure back on the server and when I’m using webmail I’ll see the whole unfiltered mess in the inbox folder. Opera’s not using the OS X address book — and neither does it use ldap (which is not too important for me at the moment). So, I’m not specifically looking for a Thunderbird solution here, a way to fix things in Opera or Apple Mail should do as well. Or some other E-Mail program I don’t even know about yet. (So, to be clear, I’d like to have: OS X Address Book integration, Learnable filters for any type of filtering, Ability to push filtered folder structure to the IMAP server) But I thought like, if it is possible then most probably there would be an add-on for Thunderbird available. Any ideas?

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  • USB 3.0 ports backwards compatibility problems with 2.0 devices?

    - by AaronLS
    I see some info on the net that suggest that I should be able to get my USB 2.0 devices to work in 3.0 ports. I only have two 2.0 ports on my new computer, and six 3.0 ports. I have installed drives. There's two different drivers, I guess some of the ports are supported by the intel board and some supported by some other chipset on the motherboard. I however have yet to get any of the 3.0 ports to work, and my brother had had the same issue with his devices not working in 3.0 ports on his computer. So I am beginning to wonder if the backwards compatibility isn't reliable for some reason. Maybe manufacturers opting not to implement 2.0 support on the 3.0 ports. I understand that physically the wiring is there, but that is only half the story. Beyond my brother's and my own computers (different motherboards/everything), I have yet to see a 2.0 device work in a 3.0 port. Is there any reason for this apparent device incompatibility? I.e. looking for responses that would indicate what areas to explore for issues or if there is any known cases of manufacturers deviating from spec in hardware or drivers. I am aware it's "supposed" to work :) Update: Does this have any relation to "USB Legacy Support" options in the BIOS? There several options combinations of options with "USB Legacy Support" and "USB 3.0 Legacy Support" and the description for these is a bit confusing, sounds like a bad translation.

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  • How to create a WHM/cPanel account, without creating a new sub-domain?

    - by Cyclops
    I have a basic VPS (full root access), with WHM/cPanel, and am learning the ropes. I'm trying to create a new account for an existing domain (mysite.com), and so far WHM won't let me - it either wants a sub-domain or fake domain, but won't allow two accounts for one domain. In the beginning, there was only the root account, and it wouldn't let me login to cPanel - a quick chat with tech support, and I am informed that I need to create a second account, which I did. So now I have an account, call it ns1me, for domain mysite.com. Now I want to create a django account. I go through the same process, but WHM won't allow me to use mysite.com as the domain for django. The docs recommend a sub-domain, so I fill the box in with django.mysite.com. I then realize that has actually created a sub-domain - going to django.mysite.com shows me its home directory, along with helpful information about what version of Apache, Python, and other mods its running (thanks, Apache). I really don't want a sub-domain, so that's out. Another chat with tech support, and they recommend a fake domain name, as it won't create anything. Sure enough, using a domain of djangomysite.com works, and WHM allows me to create a django account. But of course, I can't send email to [email protected] (where I could to [email protected]). What I want, is to be able to create a second account, associated with mysite.com (so I can run cPanel logged in as django, send email to [email protected], etc) - without creating a whole new sub-domain, or fake domain.

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  • Ubuntu's garbage collection cron job for PHP sessions takes 25 minutes to run, why?

    - by Lamah
    Ubuntu has a cron job set up which looks for and deletes old PHP sessions: # Look for and purge old sessions every 30 minutes 09,39 * * * * root [ -x /usr/lib/php5/maxlifetime ] \ && [ -d /var/lib/php5 ] && find /var/lib/php5/ -depth -mindepth 1 \ -maxdepth 1 -type f -cmin +$(/usr/lib/php5/maxlifetime) ! -execdir \ fuser -s {} 2> /dev/null \; -delete My problem is that this process is taking a very long time to run, with lots of disk IO. Here's my CPU usage graph: The cleanup running is represented by the teal spikes. At the beginning of the period, PHP's cleanup jobs were scheduled at the default 09 and 39 minutes times. At 15:00 I removed the 39 minute time from cron, so a cleanup job twice the size runs half as often (you can see the peaks get twice as wide and half as frequent). Here are the corresponding graphs for IO time: And disk operations: At the peak where there were about 14,000 sessions active, the cleanup can be seen to run for a full 25 minutes, apparently using 100% of one core of the CPU and what seems to be 100% of the disk IO for the entire period. Why is it so resource intensive? An ls of the session directory /var/lib/php5 takes just a fraction of a second. So why does it take a full 25 minutes to trim old sessions? Is there anything I can do to speed this up? The filesystem for this device is currently ext4, running on Ubuntu Precise 12.04 64-bit. EDIT: I suspect that the load is due to the unusual process "fuser" (since I expect a simple rm to be a damn sight faster than the performance I'm seeing). I'm going to remove the use of fuser and see what happens.

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  • Apache on CentOS 5.9 VM serves my optimized images corrupted (but my Mac doesn't)

    - by Robert K
    I'm using a Vagrant VM to mirror the client's environment as closely as I can. As part of our build process we do no optimization of assets early on; that comes as we're ready to take a site live. Needless to say, this issue is beginning to worry me as we need to take the site live very soon. I use ImageOptim to automate optimization of image assets, which runs a whole series of tools (Zopfli, PNGOUT, OptiPNG, AdvPNG, PNGCrush). I always set the optimizations to their maximum setting. After optimization, my PNGs start looking like this: What's weird is, if I serve the same file through my Mac's copy of Apache, not through Vagrant, the image loads fine. In fact, the only time it's ever corrupt like this is when the image is served from the Vagrant VM and its install of Drupal. All optimized JPEGs display only the first ~20% of the image. And PNGs, depending on the image, may show either a portion or the "progressive"-style corruption below. The browser itself makes no difference, the same browser will serve an uncorrupted image from my Mac's Apache instance and a corrupt image from the VM. When I disable all PNG optimizations except PNGCrush, and the removal of the PNG metadata, the image is served corrupted. I'm optimizing JPEG images with JPEGmini. The server is running CentOS 5.9, Apache 2.2.3-85, PHP 5.3.3, and Drupal 7. As best as I can tell the error lies somewhere within the VM, either with Apache or with (perhaps) the network stack. Seems like the tools that optimize the compression of the PNGs and JPEGs are what trigger this error. I've already determined that the .htaccess file isn't interfering with how the images load. What should I try to troubleshoot this?

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  • Identifying test machines in analytics logs

    - by RTigger
    We're just beginning to add analytics to our SaaS application, to begin (among other things) billing clients based on usage. The problem we're running into is there's a few circumstances where our support team will simulate a log in into production to try to reproduce reported issues with a client's configuration. When they log in, an entry will be made into our analytics logs that their specific account has logged in, which we use to calculate billing. A few ideas we had to solve this: 1) We log IP addresses as well as machine keys for each PC that logs in - we could filter out known IP addresses and/or machine keys belonging to support. The drawback is we have to maintain a list of keys / addresses manually. 2) If support (or anyone else internal) runs our application in debug mode (as opposed to release), it will not report analytics. This is fine, as long as support / anyone else remembers to switch to debug mode. 3) Include some sort of reg key / similar setting required to be set when configuring a production system in order to send analytics. Again, fine, as long as our infrastructure team remembers to set the reg key or setting. All of these approaches require some sort of human involvement, which we all know can be iffy at best. Has anyone run into a similar situation? Is there an automated approach to this problem? (PS Of course, we shouldn't be testing in production, but there are a few one-off instances with customer set up that we can't reproduce without logging in as them in production. This is the only time we do so, and this is the case I'm talking about in this question.)

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  • Compiz & Linux compositing: how does it fit into the X architecture?

    - by Latanius
    Not a really "how to solve stuff" question, but... I was wondering how the modern X architecture works, with compiz & all. What I know about it: in the beginning, there was the X server, clients connected (presumably on TCP), and then sent messages to the server to instruct it to show windows etc. because this didn't work (at all? or just fast enough?) for OpenGL & 3D acceleration, additional APIs were created for direct rendering (DRI? and, in addition to the X server, what things did the X clients talk to to render stuff and through what interfaces?) and, finally, enter Compiz: X clients end up (somehow) rendering to OpenGL textures, which is then put together to form a fancy-looking screen with translucent windows, and rendered to the screen. What I'm especially interested in is what components does the system have and how do they connect to each other? Like... if there is a box labelled "compiz" in the system... is it inside the X server? If it's not, how do the rendered images from the apps end up in it? And where does it render to? Is that another X server? Or DRI? Of course, I'd be equally happy if pointed to some docs capable of clearing up the confusion described above (conditional on they being significantly shorter than book-sized entities).

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  • How do I reformat/reinstall an OS on a hard drive after its been wiped by eban?

    - by Aggrevated
    I am trying to install XP SP2 Home on a Dell Inspiron 531s. Yes it came with Vista but I happen to own a legal copy of XP. I bought the hard drive off eBay(used). I changed the bios settings to boot from CD and when I start up the computer it goes to the hard drive which says its been cleaned using eban XX.XXX.XXX. My problem is that I can't get the PC to boot from the XP disk. I have tried putting the disk into another PC it works. I have put the bad hard drive back in and the dvd+rw works. I am really stumped and am beginning to think that the hard drive is unusable. I only have the sata cords for 1 hard drive to be hooked up at a time. Any ideas or suggestions or confirmation that I can't use this hard drive would be appreciated. Yes I am probably a 'noob' but I have installed XP and Vista many times without any problems. I don't need to be put down on my level of experience I just need answers. Thanks Everyone

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  • How do I reformat/reinstall an OS on a hard drive after its been wiped by eban?

    - by Aggrevated
    I am trying to install XP SP2 Home on a Dell Inspiron 531s. Yes it came with Vista but I happen to own a legal copy of XP. I bought the hard drive off eBay(used). I changed the bios settings to boot from CD and when I start up the computer it goes to the hard drive which says its been cleaned using eban XX.XXX.XXX. My problem is that I can't get the PC to boot from the XP disk. I have tried putting the disk into another PC it works. I have put the bad hard drive back in and the dvd+rw works. I am really stumped and am beginning to think that the hard drive is unusable. I only have the sata cords for 1 hard drive to be hooked up at a time. Any ideas or suggestions or confirmation that I can't use this hard drive would be appreciated. Yes I am probably a 'noob' but I have installed XP and Vista many times without any problems. I don't need to be put down on my level of experience I just need answers. Thanks Everyone

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  • Toshiba Satellite C665 Rebooting from Standby

    - by Coodu
    I currently am working on a C665 with a strange issue. When the panel is closed the notebook will put itself to sleep in the usual way, and the power LED changes to the pulse to indicate that the device is asleep. However, when the panel is opened to resume using the notebook, the system will restart itself, instead beginning from the Toshiba logo and proceed to boot back in to W7. I should also note that each time this occurs, the "Windows Startup Recovery" option occurs, indicating that the system was not shut down correctly. Some things I have tried: Updated to latest Toshiba BIOS. Returned BIOS settings to their defaults. Swapped Memory to known good module, tested KGM in both memory slots within system. Confirmed that power settings are set to sleep/wake when power button is pressed. Ran a quick HDD fitness test using a parted magic USB stick. Checked for BSOD logs using BlueScreenView, none found. Ran src, no violations found. Any ideas? I have a good feeling the system is restarting itself, but in the event viewer there is a "Kernel Power" error, but it simply says "The system was not shut down correctly." Perhaps a bad driver? I'm not sure. Any advice would be great.

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  • Using Plesk for webhosting on Ubuntu - Security risk or reasonably safe?

    - by user66952
    Sorry for this newb-question I'm pretty clueless about Plesk, only have limited debian (without Plesk) experience. If the question is too dumb just telling me how to ask a smarter one or what kind of info I should read first to improve the question would be appreciated as well. I want to offer a program for download on my website hosted on an Ubuntu 8.04.4 VPS using Plesk 9.3.0 for web-hosting. I have limited the ssh-access to the server via key only. When setting up the webhosting with Plesk it created an FTP-login & user is that a potential security risk that could bypass the key-only access? I think Plesk itself (even without the ftp-user-account) through it's web-interface could be a risk is that correct or are my concerns exaggerated? Would you say this solution makes a difference if I'm just using it for the next two weeks and then change servers to a system where I know more about security. 3.In other words is one less likely to get hacked within the first two weeks of having a new site up and running than in week 14&15? (due to occurring in less search results in the beginning perhaps, or for whatever reason... )

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  • Is Google tracking our web history even when we do not visit Google or if affiliate websites?

    - by Anoyon-12
    I have recently updated to Google Chrome 29.0.1547.76. And when I click a the new tab button there is a new homepage now. Ok. My current settings forbid from third party cookies being set. And I clear all of my browsing data every time I close or well if its been too long browsing. Ok so there is this help dialog that appears first time you open the new tab page. What I did was Cleared all my browsing settings (From Beginning of time) and then again I went to the new tab, the Help dialog appears. And for the third time I did the same and the Same thing Happened. So For the fourth time I cleared all my Browsing data. Clicked open new tab and then. navigate myself to chrome://settings/cookies. and there were So does this mean google is tracking our web History just for using Chrome. I know Its not Illegal because these cookies only appear when you click the new tab Google Chrome 29.0.1547.76. maybe that was the reason google redesigned the entire New:tab page. From this Google is forcing us to allow them track us. I don't want to set another page as my new:tab page. I just want the old one. Google has a long History of invading Privacy without users consent. There was that Safari incident. I am sure you people remember. So can anyone tell me about this issue? I maybe wrong. So please explain.

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  • Contact Form + jQuery validationengine

    - by BigMad
    I created this contact form, inserting jQuery fadeLabel and validationEngine to beautify the form the file index.php / .html (I have not yet figured out which of the two versions put it) scripts are index: <script src="https://ajax.googleapis.com/ajax/libs/jquery/1.7.2/jquery.min.js"></script> <script src="/js/backtop.js"></script> <script src="/js/fadeLabel.js"></script> <script> $(document).ready(function () { $('form .fadeLabel').fadeLabel(); }); </script> <script src="/js/validationEngine-it.js"></script> <script src="/js/validationEngine.js"></script> <script> $(document).ready(function(){ $("#form_box").validationEngine({ ajaxSubmit: true, ajaxSubmitFile: "contact.php", ajaxSubmitMessage: "Thank you, We will contact you soon !", success : false, failure : function() {} }) }); </script> <script src="/js/contactform.js"></script> however this is the part of the form's code <p id="form_success" class="success hide"><strong>Grazie!</strong> Il tuo messaggio è stato inviato con successo.</p> <form id="form_box"> <fieldset> <p><label for="name">Nome*</label><input type="text" id="name" name="name" class="validate[required] fadeLabel" value=""/></p> <p><label for="email">E-mail*</label><input type="email" id="email" name="email" class="validate[required,custom[email]] fadeLabel" value=""/></p> <p><label for="website">Sito web</label><input type="url" id="website" name="website" class="fadeLabel" value=""/></p> <p><label for="message">Messaggio*</label><textarea id="message" name="message" class="validate[required] fadeLabel" cols="30" rows="10" value=""></textarea></p> </fieldset> <p id="form_submit" class="submit"><button class="send">Invia</button> *Campi obbligatori</p> <p id="form_send" class="send hide">Invio in corso&hellip;</p> <p id="form_error" class="submit error hide"><button class="send">Invia</button> Si prega di correggere l'errore e re-inviarlo.</p> </form> This is the contact.php where it receives the data and sends 2 emails (one for me with the data and a thank you to those who contacted me) contact.php: <?php //include variables $my_email = "[email protected]"; $my_site = "adrianogenovese.com"; session_start(); $name = $_POST['name']; $email = $_POST['email']; $website = $_POST['website']; $message = $_POST['message']; $ip = $_SERVER['REMOTE_ADDR']; //beginning to email me $to = $my_email; $sbj = "Richiesta Informazioni - $my_site"; $msg = " <html> ... //the body of the email to me ... </html> "; $from = $email; $headers = 'MIME-Version: 1.0' . "\n"; $headers .= 'Content-type: text/html; charset=iso-8859-1' . "\n"; $headers .= "From: $from"; mail($to,$sbj,$msg,$headers); //email sent to me //beginning of the email recipient $toClient = $email; $msgClient = " <html> ... //the body of the email recipient ... </html> "; $fromClient = $my_email; $sbjClient = "Grazie $name per aver contattato $my_site "; $headersClient = 'MIME-Version: 1.0' . "\r\n"; $headersClient .= 'Content-type: text/html; charset=iso-8859-1' . "\r\n"; $headersClient .= "From: $fromClient"; mail($toClient,$sbjClient,$msgClient,$headersClient); //mail inviata al cliente //order confirmation email //Reset error session_destroy(); exit; ?> this is the contact form jscript contactform.js: $(document).ready(function() { $(".send").click(function(){ $("#form_send").removeClass('hide'); $("#form_submit").addClass('hide'); $("#form_error").addClass('hide'); var name = $("#name").val(); var email = $("#email").val(); var website = $("#website").val(); var message = $("#message").val(); if (name == "" || email == "" ) { $("#form_send").addClass('hide'); $("#form_error").removeClass('hide'); } else { $.ajax({ type: "POST", url: "contatti/contact.php", data: "name=" + name + "&email=" + email + "&message=" + message + "&website=" + website, dataType: "html", success: function(msg) { $("#form_send").addClass('hide').delay(3000).fadeOut(3000); $("#form_success").removeClass('hide'); $("#form_box").addClass('hide').slideUp(2000).fadeOut(); }, error: function() { alert("An unexpected error occurred..."); } }); } }); //end form });//end Dom The jQuery seem to work very well, I wanted to make sure that the page is not of the form updated or go to another page (the only thing that works for now) compensation reflected in the following problems: I always leave the alert of contactform.js Does not send any mail, it to me to recipient I can not do the work properly. delay () .fadeOut / fadeIn and. SlideUp (). FadeOut () so that the sending of this email appears for 3 seconds "$ (" # form_send "). addClass ('hide')" before you do anything else then the form disappears up using some second type slideUp "$ (" # form_box "). addClass ('hide')" by displaying just the "$ (" # form_success "). removeClass ('hide')" in the address bar also appears the form data (e.g. ../index.php?name=test&email=example%40mail.com&website=&message=helloworld)

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  • Will these optimizations to my Ruby implementation of diff improve performance in a Rails app?

    - by grg-n-sox
    <tl;dr> In source version control diff patch generation, would it be worth it to use the optimizations listed at the very bottom of this writing (see <optimizations>) in my Ruby implementation of diff for making diff patches? </tl;dr> <introduction> I am programming something I have never done before and there might already be tools out there to do the exact thing I am programming but at this point I am having too much fun to care so I am still going to do it from scratch, even if there is a tool for this. So anyways, I am working on a Ruby on Rails app and need a certain feature. Basically I want each entry in a table of mine, let's say for example a table of video games, to have a stored chunk of text that represents a review or something of the sort for that table entry. However, I want this text to be both editable by any registered user and also keep track of different submissions in a version control system. The simplest solution I could think of is just implement a solution that keeps track of the text body and the diff patch history of different versions of the text body as objects in Ruby and then serialize it, preferably in human readable form (so I'll most likely use YAML for this) for editing if needed due to corruption by a software bug or a mistake is made by an admin doing some version editing. So at first I just tried to dive in head first into this feature to find that the problem of generating a diff patch is more difficult that I thought to do efficiently. So I did some research and came across some ideas. Some I have implemented already and some I have not. However, it all pretty much revolves around the longest common subsequence problem, as you would already know if you have already done anything with diff or diff-like features, and optimization the function that solves it. Currently I have it so it truncates the compared versions of the text body from the beginning and end until non-matching lines are found. Then it solves the problem using a comparison matrix, but instead of incrementing the value stored in a cell when it finds a matching line like in most longest common subsequence algorithms I have seen examples of, I increment when I have a non-matching line so as to calculate edit distance instead of longest common subsequence. Although as far as I can tell between the two approaches, they are essentially two sides of the same coin so either could be used to derive an answer. It then back-traces through the comparison matrix and notes when there was an incrementation and in which adjacent cell (West, Northwest, or North) to determine that line's diff entry and assumes all other lines to be unchanged. Normally I would leave it at that, but since this is going into a Rails environment and not just some stand-alone Ruby script, I started getting worried about needing to optimize at least enough so if a spammer that somehow knew how I implemented the version control system and knew my worst case scenario entry still wouldn't be able to hit the server that bad. After some searching and reading of research papers and articles through the internet, I've come across several that seem decent but all seem to have pros and cons and I am having a hard time deciding how well in this situation that the pros and cons balance out. So are the ones listed here worth it? I have listed them with known pros and cons. </introduction> <optimizations> Chop the compared sequences into multiple chucks of subsequences by splitting where lines are unchanged, and then truncating each section of unchanged lines at the beginning and end of each section. Then solve the edit distance of each subsequence. Pro: Changes the time increase as the changed area gets bigger from a quadratic increase to something more similar to a linear increase. Con: Figuring out where to split already seems like you have to solve edit distance except now you don't care how it is changed. Would be fine if this was solvable by a process closer to solving hamming distance but a single insertion would throw this off. Use a cryptographic hash function to both convert all sequence elements into integers and ensure uniqueness. Then solve the edit distance comparing the hash integers instead of the sequence elements themselves. Pro: The operation of comparing two integers is faster than the operation of comparing two strings, so a slight performance gain is received after every comparison, which can be a lot overall. Con: Using a cryptographic hash function takes time to convert all the sequence elements and may end up costing more time to do the conversion that you gain back from the integer comparisons. You could use the built in hash function for a string but that will not guarantee uniqueness. Use lazy evaluation to only calculate the three center-most diagonals of the comparison matrix and then only calculate additional diagonals as needed. And then also use this approach to possibly remove the need on some comparisons to compare all three adjacent cells as desribed here. Pro: Can turn an algorithm that always takes O(n * m) time and make it so only worst case scenario is that time, best case becomes practically linear, and average case is somewhere between the two. Con: It is an algorithm I've only seen implemented in functional programming languages and I am having a difficult time comprehending how to convert this into Ruby based on how it is described at the site linked to above. Make a C module and do the hard work at the native level in C and just make a Ruby wrapper for it so Ruby can make all the calls to it that it needs. Pro: I have to imagine that evaluating something like this in could be a LOT faster. Con: I have no idea how Rails handles apps with ruby code that has C extensions and it hurts the portability of the app. This is an optimization for after the solving of edit distance, but idea is to store additional combined diffs with the ones produced by each version to make a delta-tree data structure with the most recently made diff as the root node of the tree so getting to any version takes worst case time of O(log n) instead of O(n). Pro: Would make going back to an old version a lot faster. Con: It would mean every new commit, the delta-tree would get a new root node that will cost time to reorganize the delta-tree for an operation that will be carried out a lot more often than going back a version, not to mention the unlikelihood it will be an old version. </optimizations> So are these things worth the effort?

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  • A way of doing real-world test-driven development (and some thoughts about it)

    - by Thomas Weller
    Lately, I exchanged some arguments with Derick Bailey about some details of the red-green-refactor cycle of the Test-driven development process. In short, the issue revolved around the fact that it’s not enough to have a test red or green, but it’s also important to have it red or green for the right reasons. While for me, it’s sufficient to initially have a NotImplementedException in place, Derick argues that this is not totally correct (see these two posts: Red/Green/Refactor, For The Right Reasons and Red For The Right Reason: Fail By Assertion, Not By Anything Else). And he’s right. But on the other hand, I had no idea how his insights could have any practical consequence for my own individual interpretation of the red-green-refactor cycle (which is not really red-green-refactor, at least not in its pure sense, see the rest of this article). This made me think deeply for some days now. In the end I found out that the ‘right reason’ changes in my understanding depending on what development phase I’m in. To make this clear (at least I hope it becomes clear…) I started to describe my way of working in some detail, and then something strange happened: The scope of the article slightly shifted from focusing ‘only’ on the ‘right reason’ issue to something more general, which you might describe as something like  'Doing real-world TDD in .NET , with massive use of third-party add-ins’. This is because I feel that there is a more general statement about Test-driven development to make:  It’s high time to speak about the ‘How’ of TDD, not always only the ‘Why’. Much has been said about this, and me myself also contributed to that (see here: TDD is not about testing, it's about how we develop software). But always justifying what you do is very unsatisfying in the long run, it is inherently defensive, and it costs time and effort that could be used for better and more important things. And frankly: I’m somewhat sick and tired of repeating time and again that the test-driven way of software development is highly preferable for many reasons - I don’t want to spent my time exclusively on stating the obvious… So, again, let’s say it clearly: TDD is programming, and programming is TDD. Other ways of programming (code-first, sometimes called cowboy-coding) are exceptional and need justification. – I know that there are many people out there who will disagree with this radical statement, and I also know that it’s not a description of the real world but more of a mission statement or something. But nevertheless I’m absolutely sure that in some years this statement will be nothing but a platitude. Side note: Some parts of this post read as if I were paid by Jetbrains (the manufacturer of the ReSharper add-in – R#), but I swear I’m not. Rather I think that Visual Studio is just not production-complete without it, and I wouldn’t even consider to do professional work without having this add-in installed... The three parts of a software component Before I go into some details, I first should describe my understanding of what belongs to a software component (assembly, type, or method) during the production process (i.e. the coding phase). Roughly, I come up with the three parts shown below:   First, we need to have some initial sort of requirement. This can be a multi-page formal document, a vague idea in some programmer’s brain of what might be needed, or anything in between. In either way, there has to be some sort of requirement, be it explicit or not. – At the C# micro-level, the best way that I found to formulate that is to define interfaces for just about everything, even for internal classes, and to provide them with exhaustive xml comments. The next step then is to re-formulate these requirements in an executable form. This is specific to the respective programming language. - For C#/.NET, the Gallio framework (which includes MbUnit) in conjunction with the ReSharper add-in for Visual Studio is my toolset of choice. The third part then finally is the production code itself. It’s development is entirely driven by the requirements and their executable formulation. This is the delivery, the two other parts are ‘only’ there to make its production possible, to give it a decent quality and reliability, and to significantly reduce related costs down the maintenance timeline. So while the first two parts are not really relevant for the customer, they are very important for the developer. The customer (or in Scrum terms: the Product Owner) is not interested at all in how  the product is developed, he is only interested in the fact that it is developed as cost-effective as possible, and that it meets his functional and non-functional requirements. The rest is solely a matter of the developer’s craftsmanship, and this is what I want to talk about during the remainder of this article… An example To demonstrate my way of doing real-world TDD, I decided to show the development of a (very) simple Calculator component. The example is deliberately trivial and silly, as examples always are. I am totally aware of the fact that real life is never that simple, but I only want to show some development principles here… The requirement As already said above, I start with writing down some words on the initial requirement, and I normally use interfaces for that, even for internal classes - the typical question “intf or not” doesn’t even come to mind. I need them for my usual workflow and using them automatically produces high componentized and testable code anyway. To think about their usage in every single situation would slow down the production process unnecessarily. So this is what I begin with: namespace Calculator {     /// <summary>     /// Defines a very simple calculator component for demo purposes.     /// </summary>     public interface ICalculator     {         /// <summary>         /// Gets the result of the last successful operation.         /// </summary>         /// <value>The last result.</value>         /// <remarks>         /// Will be <see langword="null" /> before the first successful operation.         /// </remarks>         double? LastResult { get; }       } // interface ICalculator   } // namespace Calculator So, I’m not beginning with a test, but with a sort of code declaration - and still I insist on being 100% test-driven. There are three important things here: Starting this way gives me a method signature, which allows to use IntelliSense and AutoCompletion and thus eliminates the danger of typos - one of the most regular, annoying, time-consuming, and therefore expensive sources of error in the development process. In my understanding, the interface definition as a whole is more of a readable requirement document and technical documentation than anything else. So this is at least as much about documentation than about coding. The documentation must completely describe the behavior of the documented element. I normally use an IoC container or some sort of self-written provider-like model in my architecture. In either case, I need my components defined via service interfaces anyway. - I will use the LinFu IoC framework here, for no other reason as that is is very simple to use. The ‘Red’ (pt. 1)   First I create a folder for the project’s third-party libraries and put the LinFu.Core dll there. Then I set up a test project (via a Gallio project template), and add references to the Calculator project and the LinFu dll. Finally I’m ready to write the first test, which will look like the following: namespace Calculator.Test {     [TestFixture]     public class CalculatorTest     {         private readonly ServiceContainer container = new ServiceContainer();           [Test]         public void CalculatorLastResultIsInitiallyNull()         {             ICalculator calculator = container.GetService<ICalculator>();               Assert.IsNull(calculator.LastResult);         }       } // class CalculatorTest   } // namespace Calculator.Test       This is basically the executable formulation of what the interface definition states (part of). Side note: There’s one principle of TDD that is just plain wrong in my eyes: I’m talking about the Red is 'does not compile' thing. How could a compiler error ever be interpreted as a valid test outcome? I never understood that, it just makes no sense to me. (Or, in Derick’s terms: this reason is as wrong as a reason ever could be…) A compiler error tells me: Your code is incorrect, but nothing more.  Instead, the ‘Red’ part of the red-green-refactor cycle has a clearly defined meaning to me: It means that the test works as intended and fails only if its assumptions are not met for some reason. Back to our Calculator. When I execute the above test with R#, the Gallio plugin will give me this output: So this tells me that the test is red for the wrong reason: There’s no implementation that the IoC-container could load, of course. So let’s fix that. With R#, this is very easy: First, create an ICalculator - derived type:        Next, implement the interface members: And finally, move the new class to its own file: So far my ‘work’ was six mouse clicks long, the only thing that’s left to do manually here, is to add the Ioc-specific wiring-declaration and also to make the respective class non-public, which I regularly do to force my components to communicate exclusively via interfaces: This is what my Calculator class looks like as of now: using System; using LinFu.IoC.Configuration;   namespace Calculator {     [Implements(typeof(ICalculator))]     internal class Calculator : ICalculator     {         public double? LastResult         {             get             {                 throw new NotImplementedException();             }         }     } } Back to the test fixture, we have to put our IoC container to work: [TestFixture] public class CalculatorTest {     #region Fields       private readonly ServiceContainer container = new ServiceContainer();       #endregion // Fields       #region Setup/TearDown       [FixtureSetUp]     public void FixtureSetUp()     {        container.LoadFrom(AppDomain.CurrentDomain.BaseDirectory, "Calculator.dll");     }       ... Because I have a R# live template defined for the setup/teardown method skeleton as well, the only manual coding here again is the IoC-specific stuff: two lines, not more… The ‘Red’ (pt. 2) Now, the execution of the above test gives the following result: This time, the test outcome tells me that the method under test is called. And this is the point, where Derick and I seem to have somewhat different views on the subject: Of course, the test still is worthless regarding the red/green outcome (or: it’s still red for the wrong reasons, in that it gives a false negative). But as far as I am concerned, I’m not really interested in the test outcome at this point of the red-green-refactor cycle. Rather, I only want to assert that my test actually calls the right method. If that’s the case, I will happily go on to the ‘Green’ part… The ‘Green’ Making the test green is quite trivial. Just make LastResult an automatic property:     [Implements(typeof(ICalculator))]     internal class Calculator : ICalculator     {         public double? LastResult { get; private set; }     }         One more round… Now on to something slightly more demanding (cough…). Let’s state that our Calculator exposes an Add() method:         ...   /// <summary>         /// Adds the specified operands.         /// </summary>         /// <param name="operand1">The operand1.</param>         /// <param name="operand2">The operand2.</param>         /// <returns>The result of the additon.</returns>         /// <exception cref="ArgumentException">         /// Argument <paramref name="operand1"/> is &lt; 0.<br/>         /// -- or --<br/>         /// Argument <paramref name="operand2"/> is &lt; 0.         /// </exception>         double Add(double operand1, double operand2);       } // interface ICalculator A remark: I sometimes hear the complaint that xml comment stuff like the above is hard to read. That’s certainly true, but irrelevant to me, because I read xml code comments with the CR_Documentor tool window. And using that, it looks like this:   Apart from that, I’m heavily using xml code comments (see e.g. here for a detailed guide) because there is the possibility of automating help generation with nightly CI builds (using MS Sandcastle and the Sandcastle Help File Builder), and then publishing the results to some intranet location.  This way, a team always has first class, up-to-date technical documentation at hand about the current codebase. (And, also very important for speeding up things and avoiding typos: You have IntelliSense/AutoCompletion and R# support, and the comments are subject to compiler checking…).     Back to our Calculator again: Two more R# – clicks implement the Add() skeleton:         ...           public double Add(double operand1, double operand2)         {             throw new NotImplementedException();         }       } // class Calculator As we have stated in the interface definition (which actually serves as our requirement document!), the operands are not allowed to be negative. So let’s start implementing that. Here’s the test: [Test] [Row(-0.5, 2)] public void AddThrowsOnNegativeOperands(double operand1, double operand2) {     ICalculator calculator = container.GetService<ICalculator>();       Assert.Throws<ArgumentException>(() => calculator.Add(operand1, operand2)); } As you can see, I’m using a data-driven unit test method here, mainly for these two reasons: Because I know that I will have to do the same test for the second operand in a few seconds, I save myself from implementing another test method for this purpose. Rather, I only will have to add another Row attribute to the existing one. From the test report below, you can see that the argument values are explicitly printed out. This can be a valuable documentation feature even when everything is green: One can quickly review what values were tested exactly - the complete Gallio HTML-report (as it will be produced by the Continuous Integration runs) shows these values in a quite clear format (see below for an example). Back to our Calculator development again, this is what the test result tells us at the moment: So we’re red again, because there is not yet an implementation… Next we go on and implement the necessary parameter verification to become green again, and then we do the same thing for the second operand. To make a long story short, here’s the test and the method implementation at the end of the second cycle: // in CalculatorTest:   [Test] [Row(-0.5, 2)] [Row(295, -123)] public void AddThrowsOnNegativeOperands(double operand1, double operand2) {     ICalculator calculator = container.GetService<ICalculator>();       Assert.Throws<ArgumentException>(() => calculator.Add(operand1, operand2)); }   // in Calculator: public double Add(double operand1, double operand2) {     if (operand1 < 0.0)     {         throw new ArgumentException("Value must not be negative.", "operand1");     }     if (operand2 < 0.0)     {         throw new ArgumentException("Value must not be negative.", "operand2");     }     throw new NotImplementedException(); } So far, we have sheltered our method from unwanted input, and now we can safely operate on the parameters without further caring about their validity (this is my interpretation of the Fail Fast principle, which is regarded here in more detail). Now we can think about the method’s successful outcomes. First let’s write another test for that: [Test] [Row(1, 1, 2)] public void TestAdd(double operand1, double operand2, double expectedResult) {     ICalculator calculator = container.GetService<ICalculator>();       double result = calculator.Add(operand1, operand2);       Assert.AreEqual(expectedResult, result); } Again, I’m regularly using row based test methods for these kinds of unit tests. The above shown pattern proved to be extremely helpful for my development work, I call it the Defined-Input/Expected-Output test idiom: You define your input arguments together with the expected method result. There are two major benefits from that way of testing: In the course of refining a method, it’s very likely to come up with additional test cases. In our case, we might add tests for some edge cases like ‘one of the operands is zero’ or ‘the sum of the two operands causes an overflow’, or maybe there’s an external test protocol that has to be fulfilled (e.g. an ISO norm for medical software), and this results in the need of testing against additional values. In all these scenarios we only have to add another Row attribute to the test. Remember that the argument values are written to the test report, so as a side-effect this produces valuable documentation. (This can become especially important if the fulfillment of some sort of external requirements has to be proven). So your test method might look something like that in the end: [Test, Description("Arguments: operand1, operand2, expectedResult")] [Row(1, 1, 2)] [Row(0, 999999999, 999999999)] [Row(0, 0, 0)] [Row(0, double.MaxValue, double.MaxValue)] [Row(4, double.MaxValue - 2.5, double.MaxValue)] public void TestAdd(double operand1, double operand2, double expectedResult) {     ICalculator calculator = container.GetService<ICalculator>();       double result = calculator.Add(operand1, operand2);       Assert.AreEqual(expectedResult, result); } And this will produce the following HTML report (with Gallio):   Not bad for the amount of work we invested in it, huh? - There might be scenarios where reports like that can be useful for demonstration purposes during a Scrum sprint review… The last requirement to fulfill is that the LastResult property is expected to store the result of the last operation. I don’t show this here, it’s trivial enough and brings nothing new… And finally: Refactor (for the right reasons) To demonstrate my way of going through the refactoring portion of the red-green-refactor cycle, I added another method to our Calculator component, namely Subtract(). Here’s the code (tests and production): // CalculatorTest.cs:   [Test, Description("Arguments: operand1, operand2, expectedResult")] [Row(1, 1, 0)] [Row(0, 999999999, -999999999)] [Row(0, 0, 0)] [Row(0, double.MaxValue, -double.MaxValue)] [Row(4, double.MaxValue - 2.5, -double.MaxValue)] public void TestSubtract(double operand1, double operand2, double expectedResult) {     ICalculator calculator = container.GetService<ICalculator>();       double result = calculator.Subtract(operand1, operand2);       Assert.AreEqual(expectedResult, result); }   [Test, Description("Arguments: operand1, operand2, expectedResult")] [Row(1, 1, 0)] [Row(0, 999999999, -999999999)] [Row(0, 0, 0)] [Row(0, double.MaxValue, -double.MaxValue)] [Row(4, double.MaxValue - 2.5, -double.MaxValue)] public void TestSubtractGivesExpectedLastResult(double operand1, double operand2, double expectedResult) {     ICalculator calculator = container.GetService<ICalculator>();       calculator.Subtract(operand1, operand2);       Assert.AreEqual(expectedResult, calculator.LastResult); }   ...   // ICalculator.cs: /// <summary> /// Subtracts the specified operands. /// </summary> /// <param name="operand1">The operand1.</param> /// <param name="operand2">The operand2.</param> /// <returns>The result of the subtraction.</returns> /// <exception cref="ArgumentException"> /// Argument <paramref name="operand1"/> is &lt; 0.<br/> /// -- or --<br/> /// Argument <paramref name="operand2"/> is &lt; 0. /// </exception> double Subtract(double operand1, double operand2);   ...   // Calculator.cs:   public double Subtract(double operand1, double operand2) {     if (operand1 < 0.0)     {         throw new ArgumentException("Value must not be negative.", "operand1");     }       if (operand2 < 0.0)     {         throw new ArgumentException("Value must not be negative.", "operand2");     }       return (this.LastResult = operand1 - operand2).Value; }   Obviously, the argument validation stuff that was produced during the red-green part of our cycle duplicates the code from the previous Add() method. So, to avoid code duplication and minimize the number of code lines of the production code, we do an Extract Method refactoring. One more time, this is only a matter of a few mouse clicks (and giving the new method a name) with R#: Having done that, our production code finally looks like that: using System; using LinFu.IoC.Configuration;   namespace Calculator {     [Implements(typeof(ICalculator))]     internal class Calculator : ICalculator     {         #region ICalculator           public double? LastResult { get; private set; }           public double Add(double operand1, double operand2)         {             ThrowIfOneOperandIsInvalid(operand1, operand2);               return (this.LastResult = operand1 + operand2).Value;         }           public double Subtract(double operand1, double operand2)         {             ThrowIfOneOperandIsInvalid(operand1, operand2);               return (this.LastResult = operand1 - operand2).Value;         }           #endregion // ICalculator           #region Implementation (Helper)           private static void ThrowIfOneOperandIsInvalid(double operand1, double operand2)         {             if (operand1 < 0.0)             {                 throw new ArgumentException("Value must not be negative.", "operand1");             }               if (operand2 < 0.0)             {                 throw new ArgumentException("Value must not be negative.", "operand2");             }         }           #endregion // Implementation (Helper)       } // class Calculator   } // namespace Calculator But is the above worth the effort at all? It’s obviously trivial and not very impressive. All our tests were green (for the right reasons), and refactoring the code did not change anything. It’s not immediately clear how this refactoring work adds value to the project. Derick puts it like this: STOP! Hold on a second… before you go any further and before you even think about refactoring what you just wrote to make your test pass, you need to understand something: if your done with your requirements after making the test green, you are not required to refactor the code. I know… I’m speaking heresy, here. Toss me to the wolves, I’ve gone over to the dark side! Seriously, though… if your test is passing for the right reasons, and you do not need to write any test or any more code for you class at this point, what value does refactoring add? Derick immediately answers his own question: So why should you follow the refactor portion of red/green/refactor? When you have added code that makes the system less readable, less understandable, less expressive of the domain or concern’s intentions, less architecturally sound, less DRY, etc, then you should refactor it. I couldn’t state it more precise. From my personal perspective, I’d add the following: You have to keep in mind that real-world software systems are usually quite large and there are dozens or even hundreds of occasions where micro-refactorings like the above can be applied. It’s the sum of them all that counts. And to have a good overall quality of the system (e.g. in terms of the Code Duplication Percentage metric) you have to be pedantic on the individual, seemingly trivial cases. My job regularly requires the reading and understanding of ‘foreign’ code. So code quality/readability really makes a HUGE difference for me – sometimes it can be even the difference between project success and failure… Conclusions The above described development process emerged over the years, and there were mainly two things that guided its evolution (you might call it eternal principles, personal beliefs, or anything in between): Test-driven development is the normal, natural way of writing software, code-first is exceptional. So ‘doing TDD or not’ is not a question. And good, stable code can only reliably be produced by doing TDD (yes, I know: many will strongly disagree here again, but I’ve never seen high-quality code – and high-quality code is code that stood the test of time and causes low maintenance costs – that was produced code-first…) It’s the production code that pays our bills in the end. (Though I have seen customers these days who demand an acceptance test battery as part of the final delivery. Things seem to go into the right direction…). The test code serves ‘only’ to make the production code work. But it’s the number of delivered features which solely counts at the end of the day - no matter how much test code you wrote or how good it is. With these two things in mind, I tried to optimize my coding process for coding speed – or, in business terms: productivity - without sacrificing the principles of TDD (more than I’d do either way…).  As a result, I consider a ratio of about 3-5/1 for test code vs. production code as normal and desirable. In other words: roughly 60-80% of my code is test code (This might sound heavy, but that is mainly due to the fact that software development standards only begin to evolve. The entire software development profession is very young, historically seen; only at the very beginning, and there are no viable standards yet. If you think about software development as a kind of casting process, where the test code is the mold and the resulting production code is the final product, then the above ratio sounds no longer extraordinary…) Although the above might look like very much unnecessary work at first sight, it’s not. With the aid of the mentioned add-ins, doing all the above is a matter of minutes, sometimes seconds (while writing this post took hours and days…). The most important thing is to have the right tools at hand. Slow developer machines or the lack of a tool or something like that - for ‘saving’ a few 100 bucks -  is just not acceptable and a very bad decision in business terms (though I quite some times have seen and heard that…). Production of high-quality products needs the usage of high-quality tools. This is a platitude that every craftsman knows… The here described round-trip will take me about five to ten minutes in my real-world development practice. I guess it’s about 30% more time compared to developing the ‘traditional’ (code-first) way. But the so manufactured ‘product’ is of much higher quality and massively reduces maintenance costs, which is by far the single biggest cost factor, as I showed in this previous post: It's the maintenance, stupid! (or: Something is rotten in developerland.). In the end, this is a highly cost-effective way of software development… But on the other hand, there clearly is a trade-off here: coding speed vs. code quality/later maintenance costs. The here described development method might be a perfect fit for the overwhelming majority of software projects, but there certainly are some scenarios where it’s not - e.g. if time-to-market is crucial for a software project. So this is a business decision in the end. It’s just that you have to know what you’re doing and what consequences this might have… Some last words First, I’d like to thank Derick Bailey again. His two aforementioned posts (which I strongly recommend for reading) inspired me to think deeply about my own personal way of doing TDD and to clarify my thoughts about it. I wouldn’t have done that without this inspiration. I really enjoy that kind of discussions… I agree with him in all respects. But I don’t know (yet?) how to bring his insights into the described production process without slowing things down. The above described method proved to be very “good enough” in my practical experience. But of course, I’m open to suggestions here… My rationale for now is: If the test is initially red during the red-green-refactor cycle, the ‘right reason’ is: it actually calls the right method, but this method is not yet operational. Later on, when the cycle is finished and the tests become part of the regular, automated Continuous Integration process, ‘red’ certainly must occur for the ‘right reason’: in this phase, ‘red’ MUST mean nothing but an unfulfilled assertion - Fail By Assertion, Not By Anything Else!

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  • Difficulty getting Saxon into XQuery mode instead of XSLT

    - by Rosarch
    I'm having difficulty getting XQuery to work. I downloaded Saxon-HE 9.2. It seems to only want to work with XSLT. When I type: java -jar saxon9he.jar I get back usage information for XSLT. When I use the command syntax for XQuery, it doesn't recognize the parameters (like -q), and gives XSLT usage information. Here are some command line interactions: >java -jar saxon9he.jar No source file name Saxon-HE 9.2.0.6J from Saxonica Usage: see http://www.saxonica.com/documentation/using-xsl/commandline.html Options: -a Use xml-stylesheet PI, not -xsl argument -c:filename Use compiled stylesheet from file -config:filename Use configuration file -cr:classname Use collection URI resolver class -dtd:on|off Validate using DTD -expand:on|off Expand defaults defined in schema/DTD -explain[:filename] Display compiled expression tree -ext:on|off Allow|Disallow external Java functions -im:modename Initial mode -ief:class;class;... List of integrated extension functions -it:template Initial template -l:on|off Line numbering for source document -m:classname Use message receiver class -now:dateTime Set currentDateTime -o:filename Output file or directory -opt:0..10 Set optimization level (0=none, 10=max) -or:classname Use OutputURIResolver class -outval:recover|fatal Handling of validation errors on result document -p:on|off Recognize URI query parameters -r:classname Use URIResolver class -repeat:N Repeat N times for performance measurement -s:filename Initial source document -sa Use schema-aware processing -strip:all|none|ignorable Strip whitespace text nodes -t Display version and timing information -T[:classname] Use TraceListener class -TJ Trace calls to external Java functions -tree:tiny|linked Select tree model -traceout:file|#null Destination for fn:trace() output -u Names are URLs not filenames -val:strict|lax Validate using schema -versionmsg:on|off Warn when using XSLT 1.0 stylesheet -warnings:silent|recover|fatal Handling of recoverable errors -x:classname Use specified SAX parser for source file -xi:on|off Expand XInclude on all documents -xmlversion:1.0|1.1 Version of XML to be handled -xsd:file;file.. Additional schema documents to be loaded -xsdversion:1.0|1.1 Version of XML Schema to be used -xsiloc:on|off Take note of xsi:schemaLocation -xsl:filename Stylesheet file -y:classname Use specified SAX parser for stylesheet --feature:value Set configuration feature (see FeatureKeys) -? Display this message param=value Set stylesheet string parameter +param=filename Set stylesheet document parameter ?param=expression Set stylesheet parameter using XPath !option=value Set serialization option >java -jar saxon9he.jar -q:"..\w3xQueryTut.xq" Unknown option -q:..\w3xQueryTut.xq Saxon-HE 9.2.0.6J from Saxonica Usage: see http://www.saxonica.com/documentation/using-xsl/commandline.html Options: -a Use xml-stylesheet PI, not -xsl argument // etc... >java net.sf.saxon.Query -q:"..\w3xQueryTut.xq" Exception in thread "main" java.lang.NoClassDefFoundError: net/sf/saxon/Query Caused by: java.lang.ClassNotFoundException: net.sf.saxon.Query // etc... Could not find the main class: net.sf.saxon.Query. Program will exit. I'm probably making some stupid mistake. Do you know what it could be?

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  • how to store xml structure in a persistence layer?

    - by fayer
    i wonder how i could store a xml structure in a persistence layer. cause the relational data looks like: <entity id="1000070"> <name>apple</name> <entities> <entity id="7002870"> <name>mac</name> <entities> <entity id="7002907"> <name>leopard</name> <entities> <entity id="7024080"> <name>safari</name> </entity> <entity id="7024701"> <name>finder</name> </entity> </entities> </entity> </entities> </entity> <entity id="7024080"> <name>iphone</name> <entities> <entity id="7024080"> <name>3g</name> </entity> <entity id="7024701"> <name>3gs</name> </entity> </entities> </entity> <entity id="7024080"> <name>ipad</name> </entity> </entities> </entity> as you can see, it has no static structure but a dynamical one. mac got 2 descendant levels while iphone got 1 and ipad got 0. i wonder how i could store this data the best way? what are my options. cause it seems impossible to store it in a mysql database due to this dynamical structure. is the only way to store it as a xml file then? is the speed of getting information (xpath/xquery/simplexml) from a xml file worse or greater than from mysql? what are the pros and cons? do i have other options? is storing information in xml files, suited for a lot of users accessing it at the same time? would be great with feedbacks!! thanks!

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  • XSLT Transformation of XML File

    - by Russ Clark
    I've written a simple XML Document that I am trying to transform with an XSLT file, but I get no results when I run the code. Here is my XML document: <?xml version="1.0" encoding="utf-8" ?> <Employee xmlns:i="http://www.w3.org/2001/XMLSchema-instance" xmlns="XSLT_MVC.Controllers"> <ID>42</ID> <Name>Russ</Name> </Employee> And here is the XSLT file: <?xml version="1.0" encoding="utf-8"?> <xsl:stylesheet version="1.0" xmlns:xsl="http://www.w3.org/1999/XSL/Transform" xmlns:msxsl="urn:schemas-microsoft-com:xslt" exclude-result-prefixes="msxsl" xmlns:ex="XSLT_MVC.Controllers" > <xsl:output method="xml" indent="yes"/> <xsl:template match="/"> <xsl:copy> <!--<xsl:apply-templates select="@* | node()"/>--> <xsl:value-of select="ex:Employee/Name"/> </xsl:copy> </xsl:template> </xsl:stylesheet> Here is the code (from a C# console app) I am trying to run to perform the transform: using System; using System.Collections.Generic; using System.Linq; using System.Text; using System.Xml; using System.Xml.Xsl; using System.Xml.XPath; namespace XSLT { class Program { static void Main(string[] args) { Transform(); } public static void Transform() { XPathDocument myXPathDoc = new XPathDocument(@"docs\sampledoc.xml"); XslTransform myXslTrans = new XslTransform(); myXslTrans.Load(@"docs\new.xslt"); XmlTextWriter myWriter = new XmlTextWriter( "results.html", null); myXslTrans.Transform(myXPathDoc, null, myWriter); myWriter.Close(); } } } When I run the code I get a blank html file. I think I may have problems with the namespaces, but am not sure. Can anyone help with this?

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  • Parsing a .NET DataSet returned from a .NET Web Service in Java

    - by Chris Dail
    I have to consume a .NET hosted web service from a Java application. Interoperability between the two is usually very good. The problem I'm running into is that the .NET application developer chose to expose data using the .NET DataSet object. There are lots of articles written as to why you should not do this and how it makes interoperability difficult: http://www.hanselman.com/blog/ReturningDataSetsFromWebServicesIsTheSpawnOfSatanAndRepresentsAllThatIsTrulyEvilInTheWorld.aspx http://www.lhotka.net/weblog/ThoughtsOnPassingDataSetObjectsViaWebServices.aspx http://aspnet.4guysfromrolla.com/articles/051805-1.aspx http://www.theserverside.net/tt/articles/showarticle.tss?id=Top5WSMistakes My problem is that despite this not being recommended practice, I am stuck with having to consume a web service returning a DataSet with Java. When you generate a proxy for something like this with anything other than .NET you basically end up with an object that looks like this: @XmlElement(namespace = "http://www.w3.org/2001/XMLSchema", required = true) protected Schema schema; @XmlAnyElement(lax = true) protected Object any; This first field is the actual schema that should describe the DataSet. When I process this using JAX-WS and JAXB in Java, it bring all of XS-Schema in as Java objects to be represented here. Walking the object tree of JAXB is possible but not pretty. The any field represents the raw XML for the DataSet that is in the schema specified by the schema. The structure of the dataset is pretty consistent but the data types do change. I need access to the type information and the schema does vary from call to call. I've though of a few options but none seem like 'good' options. Trying to generate Java objects from the schema using JAXB at runtime seems to be a bad idea. This would be way too slow since it would need to happen everytime. Brute force walk the schema tree using the JAXB objects that JAX-WS brought in. Maybe instead of using JAXB to parse the schema it would be easier to deal with it as XML and use XPath to try and find the type information I need. Are there other options I have not considered? Is there a Java library to parse DataSet objects easily? What have other people done who may have similar situations?

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  • XSLT generating attributes if source-Element is in parameterfile

    - by Siegfried
    Hi, i got an xml-file with some elements. For some of these is an aqvivalent in a parameter xml-file along with some other elements. I want to add these other elements from parm-file as parameter to output file if element-names are matching. (the Attributes should only be generated if an element "InvoiceHeader" exists in the source-xml. Here is my code... <?xml version="1.0" encoding="UTF-8"?> <xsl:stylesheet version="2.0" xmlns:xsl="http://www.w3.org/1999/XSL/Transform" xmlns:xs="http://www.w3.org/2001/XMLSchema" xmlns:fn="http://www.w3.org/2005/xpath-functions"> <xsl:variable name="rpl" select="document('ParamInvoice.xml')"></xsl:variable> <xsl:output method="xml" version="1.0" encoding="UTF-8" indent="yes"/> <xsl:template match="/"> <xsl:apply-templates></xsl:apply-templates> </xsl:template> <xsl:template match="*"> <xsl:copy> <xsl:if test="$rpl/StoraInvoice/local-name()"> <xsl:call-template name="AttributeErzeugen"> <xsl:with-param name="attr" select="$rpl/StoraInvoice/local-name()"></xsl:with-param> </xsl:call-template> </xsl:if> <xsl:apply-templates></xsl:apply-templates> </xsl:copy> </xsl:template> <xsl:template name="AttributeErzeugen"> <xsl:param name="attr"></xsl:param> <xsl:for-each select="$attr"> <xsl:attribute name="{Attibute/@name}"><xsl:value-of select="."></xsl:value- of></xsl:attribute> </xsl:for-each> </xsl:template> </xsl:stylesheet> and here the param-file <?xml version="1.0" encoding="UTF-8"?> <StoraInvoice> <InvoiceHeader> <Attribute name="Fuehrend">YYY</Attribute> <Attribute name="Feld">FFFF</Attribute> <Attribute name="Format">XYZXYZ</Attribute> </InvoiceHeader> </StoraInvoice> Siegfried

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  • How to add some complex structure in multiple places in an XML file

    - by Guillaume
    I have an XML file which has many section like the one below: <Operations> <Action [some attributes ...]> [some complex content ...] </Action> <Action [some attributes ...]> [some complex content ...] </Action> </Operations> I have to add an <Action/> to every <Operations/>. It seems that an XSLT should be a good solution to this problem: <xsl:template match="Operations/Action[last()]"> <xsl:copy> <xsl:apply-templates select="@*|node()"/> </xsl:copy> <Action>[some complex content ...]</Action> </xsl:template> <xsl:template match="@*|node()"> <xsl:copy> <xsl:apply-templates select="@*|node()"/> </xsl:copy> </xsl:template> My problem is that the content of my <Action/> contains some xPath expressions. For example: <Action code="p_histo01"> <customScript languageCode="gel"> <gel:script xmlns:core="jelly:core" xmlns:gel="jelly:com.niku.union.gel.GELTagLibrary" xmlns:soap="jelly:com.niku.union.gel.SOAPTagLibrary" xmlns:soap-env="http://schemas.xmlsoap.org/soap/envelope/" xmlns:sql="jelly:sql" xmlns:x="jelly:xml" xmlns:xog="http://www.niku.com/xog" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance"> <sql:param value="${gel_stepInstanceId}"/> </gel:script> </customScript> </Action> The ${gel_stepInstanceId} is interpreted by my XSLT but I would like it to be copied as-is. Is that possible? How?

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  • How to get a html elements with python lxml

    - by Damiano
    Hello! I have this html code: <table> <tr> <td class="test"><b><a href="">aaa</a></b></td> <td class="test">bbb</td> <td class="test">ccc</td> <td class="test"><small>ddd</small></td> </tr> <tr> <td class="test"><b><a href="">eee</a></b></td> <td class="test">fff</td> <td class="test">ggg</td> <td class="test"><small>hhh</small></td> </tr> </table> I use this Python code to extract all <td class="test"> with lxml module. import urllib2 import lxml.html code = urllib.urlopen("http://www.example.com/page.html").read() html = lxml.html.fromstring(code) result = html.xpath('//td[@class="test"][position() = 1 or position() = 4]') It works good! The result is: <td class="test"><b><a href="">aaa</a></b></td> <td class="test"><small>ddd</small></td> <td class="test"><b><a href="">eee</a></b></td> <td class="test"><small>hhh</small></td> (so the first and the fourth column of each <tr>) Now, I have to extract: aaa (the title of the link) ddd (text between <small> tag) eee (the title of the link) hhh (text between <small> tag) How could I extract these values? (the problem is that I have to remove <b> tag and get the title of the anchor on the first column and remove <small> tag on the forth column) Thank you!

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