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  • Book review: SQL Server Transaction Log Management

    - by Hugo Kornelis
    It was an offer I could not resist. I was promised a free copy of one of the newest books from Red Gate Books , SQL Server Transaction Log Management (by Tony Davis and Gail Shaw ), with the caveat that I should write a review after reading it. Mind you, not a commercial, “make sure we sell more copies” kind of review, but a review of my actual thoughts. Yes, I got explicit permission to be my usual brutally honest self. A total win/win for me! First, I get a free book – and free is always good,...(read more)

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  • recurring billing / profiles management system

    - by Karl Cassar
    As a company, we have various recurring fees which our clients pay - these can include: hosting plans maintenance agreements SLAs ... I would like to know if anyone knows of a good, web-based recurring billing / payments management system which we could use to help us get more organised regarding this aspect of our business. Basically, we would need to: Create recurring profiles, e.g: Hosting, emails / domain services @ 200eur / year Be able to give free / extend the subscription period, for any reason. Also, we don't have specific products which we would like to choose and charge - all these recurring fees are discussed with the clients, and are created on a per-client basis. I'm not sure if this is the best place to ask for, however since I think most 'webmasters' require such a system to keep track of payment, I thought this would be the place to go for. Thanks in advance!

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  • Is it a good idea to cache data from web services into a database?

    - by Thierry Lam
    Let's assume that Stackoverflow offers web services where you can retrieve all the questions asked by a specific user. A request to get all question from user A can result in the following json output: { { "question": "What is rest?", "date_created": "20/02/2010", "votes": 1, }, { "question": "Which database to use for ...", "date_created": "20/07/2009", "votes": 5, }, } If I want to manipulate and present the data in any ways that I want, will it be wise to dump it in a local database? At some point, I will also want to retrieve all answers for each question and store them in a local database. The workflow that I'm thinking is: User logs in. Web services retrieve all questions asked by the logged in user, dump them in a local database. User wants all answers for a specific question, another web service does the retrieval and dump them in a local database. After user logs out, delete from the local database all questions and answers from that user.

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  • New Oracle Information Rights Management release (11.1.1.3)

    - by Simon Thorpe
    Just released is the latest version of the market leading document security technology from Oracle. Oracle IRM 11g is the result of over 12 years of development and innovation to allow customers to provide persistent security to their most confidential documents and emails. This latest release continues our refinement of the technology and features the following; Continued improvements to the web based Oracle IRM Management Website New features in the out of the box classification model New Java APIs improving application integration support Support for DB2 as the IRM database. Over the coming months we will see more releases from this technology as we improve format support, platform support and continue the strategy to for Oracle IRM as the most secure, scalable and usable document security solution in the market. Want to learn more about Oracle IRM? View our video presentation and demonstration or try using it for your self via our simple online self service demo. Keep up to date on Oracle via this blog or on our Twitter, YouTube and Facebook pages.

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  • How do I correctly model data in SQL-based databases that have some columns in common, but also have

    - by Brandon Weiss
    For instance, let's say I have a User model. Users have things like logins, passwords, e-mail addresses, avatars, etc. But there are two types of Users that will be using this site, let's say Parents and Businesses. I need to store some different information for the Parents (e.g. childrens' names, domestic partner, salaries, etc.) than for the Businesses (e.g. industry, number of employees, etc.), but also some of it is the same, like logins and passwords. How do I correctly structure this in a SQL-based database? Thanks!

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  • ER Diagram flaws

    - by spacker_lechuck
    I have the following ER Diagram for a bank database - customers may have several accounts, accounts may be held jointly by several customers, and each customer is associated with an account set and accounts are members of one or more account sets. What design rules are violated? What modifications should be made and why? So far, a few flaws I'm not sure about are: 1) Redundant owner-address attribute in AcctSets Entity. 2) This ER does not include accounts with multiple owners with different addresses. My Question is: How would I go about fixing these flaws and/or other flaws that I may be missing from my analysis? Thanks!

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  • Performance-Based Management Stinks

    - by andyleonard
    Introduction This post is the forty-eighth part of a ramble-rant about the software business. The current posts in this series can be found on the series landing page . This post is about Performance-Based Management (PBM). Almost… In Mere Christianity , C. S. Lewis refutes an argument with the following statement: It has every amiable quality except that of being useful. I feel the same way about PBM. I am a metrics person. I thrive – intellectually, emotionally, and economically – on business intelligence...(read more)

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  • Table with a lot of attributes

    - by Robert
    Hi, I'm planing to build some database project. One of the tables have a lot of attributes. My question is: What is better, to divide the the class into 2 separate tables or put all of them into one table. below is an example create table User { id, name, surname,... show_name, show_photos, ...) or create table User { id, name, surname,... ) create table UserPrivacy {usr_id, show_name, show_photos, ...) The performance i suppose is similar due to i can use index.

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  • How to organize asp.net mvc project (using entity framework) and a corresponding database project?

    - by Bernie
    I recently switched to vs2010 and am experimenting with asp.net MVC2. I am building a simple website and use the entity framework to design the data model. From the .edmx file, I generate the database tables. After a few iterations, I decided that it would be nice to have version control of the database schema as well, and therefore I added a database project into which I imported the script that is generated from the datamodel. As a result, I have to generate the sql every time that I change the model and redo the import. The database project automatically updates the database. Although the manual steps to generate the sql and the import are annoying, this works pretty well, until I wanted to add the standard tables for user accounts/authorization etc. I can use the framework tools to add the necessary tables, views etc. to the database, but as I do not want to have them in the .edmx model I end up with a third manual step. Is anybody facing similar issues?

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  • SQL Complicated Group / Join by Category

    - by Mike Silvis
    I currently have a database structure with two important tables. 1) Food Types (Fruit, Vegetables, Meat) 2) Specific Foods (Apple, Oranges, Carrots, Lettuce, Steak, Pork) I am currently trying to build a SQL statement such that I can have the following. Fruit < Apple, Orange Vegetables < Carrots, Lettuce Meat < Steak, Port I have tried using a statement like the following Select * From Food_Type join (Select * From Foods) as Foods on Food_Type.Type_ID = Foods.Type_ID but this returns every Specific Food, while I only want the first 2 per category. So I basically need my subquery to have a limit statement in it so that it finds only the first 2 per category. However if I simply do the following Select * From Food_Type join (Select * From Foods LIMIT 2) as Foods on Food_Type.Type_ID = Foods.Type_ID My statement only returns 2 results total.

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  • Keeping track of business rules within IT department?

    - by evaldas-alexander
    I am looking for the best way to keep track of the business rules for both developers and everybody else (support staff / management) in a startup enviroment. The challenge is that our business model requires quite a lot of different business rules, which are created pretty much on the fly and evolving organically after that. After running this project for 3+ years, we have so many of such rules that often the only way to be sure about what the application is supposed to do in a certain situation is to go find the module responsible for that process and analyze its code and comments. That is all fine as long as you have one single developer who created the entire application from the scratch, but every new developer needs to go over pretty much entire codebase in order to understand how the application works. Even bigger problem is that non technical employees don't even have that option and therefore are forced to ask me pretty much every day how some certain case would be handled by the application. Quick example - we only start charging for our customer campaigns once they have been active for at least 72 hours, but at the same time we stop creating invoices for campaigns that belong to insolvent accounts and close such accounts within a month of the first failed charge. That does not apply to accounts that are set to "non-chargeable" which most commonly belongs to us since we are using the service ourselves. The invoices are created on the 1st of each month and include charges from the previous month + any current balance that the account might have. However, some customers are charged only 4 days after their invoice has been generated due to issues with their billing department. In addition to that, invoices are also created when customer deactivates his campaign, but that can only be done once the campaign is not longer under mandatory 6 month contract, unless account manager approves early deactivation. I know, that's quite a lot of rules that need to be taken into account when answering a question "when do we bill our customers", but actually I could still append an asterisk at the end of each sentence in order to disclose some rare exceptions. Of course, it would be easiest just to keep the business rules to the minimum, but we need to adapt to changing marketplace - i.e. less than a year ago we had no contracts whatsoever. One idea that I had so far was a simplistic wiki with categories corresponding to areas such as "Account activation", "Invoicing", "Collection procedures" and so on. Another idea would be to have giant interactive flowchart showing the entire customer "life cycle" from prospecting to account deactivation. What are your experiences / suggestions?

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  • Two Tables Serving as one Model in Rails

    - by matsko
    Is is possible in rails to setup on model which is dependant on a join from two tables? This would mean that for the the model record to be found/updated/destroyed there would need to be both records in both database tables linked together in a join. The model would just be all the columns of both tables wrapped together which may then be used for the forms and so on. This way when the model gets created/updated it is just one form variable hash that gets applied to the model? Is this possible in Rails 2 or 3?

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  • How do I save user specific data in an asp.net site?

    - by Greg McNulty
    I just set up user profiles using asp.net 3.5 using wvd. For each user I would like to store data that they will be updating every day. For example, every time they go for a run they will update time and distance. I intend to allow them to also look up their history of distance and time from any past date. My question is, what does the database schema usually look like for such a set up? Currently asp.net set up a db for me when I made user profiles. Do I just add an extra table for every user? Should there be one big table with all users data? How do I relate a user I'd to their specific data? Etc.... I have never done this before so any ideas on how this is usually done would be very helpful. Thank you.

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  • Getting Started with Oracle Fusion Human Capital Management

    Designed from the ground-up using the latest technology advances and incorporating the best practices gathered from Oracle's thousands of customers, Fusion Applications are 100 percent open standards-based business applications that set a new standard for the way we innovate, work and adopt technology. Delivered as a complete suite of modular applications, Fusion Applications work with your existing portfolio to evolve your business to a new level of performance. In this AppCast, part of a special series on Fusion Applications, you hear about the unique advantages of Fusion Human Capital Management, learn about the scope of the first release and discover how Fusion HCM modules can be used to complement and enhance your existing HCM solutions.

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  • Top Questions and Answers for Pluging into Oracle Database as a Service

    - by David Swanger
    Yesterday we hosted a comprehensive online forum that shared a comprehensive path to help your organization design, deploy, and deliver a Database as a Service cloud. If you missed the online forum, you can watch it on demand by registering here. We received numerous questions.  Below are highlights of the most informative: DBaaS requires a lengthy and careful design efforts. What is the minimum requirements of setting up a scaled-down environment and test it out? You should have an OEM 12c environment for DBaaS administration and then a target database deployment platform that has the key characteristics of what your production environment will look like. This could be a single server or it could be a small pool of hosts if your production DBaaS will be larger and you want to test a more robust / real world configuration with Zones and Pools or DR capabilities for example. How does this benefit companies having their own data center? This allows companies to transform their internal IT to a service delivery model for the database. The benefits to the company are significant cost savings, improved business agility and reduced risk. The benefits to the consumers (internal) of services if much fast provisioning, and response to change in business requirements. From a deployment perspective, is DBaaS's job solely DBA's job? The best deployment model enables the DBA (or end-user) to control the entire process. All resources required to deploy the service are pre-provisioned, and there are no external dependencies (on network, storage, sysadmins teams). The service is created either via a self-service portal or by the DBA. The purpose of self service seems to be that the end user does not rely on the DBA. I just need to give him a template. He decides how much AMM he needs. Why shall I set it one by one. That doesn't seem to be the purpose of self service. Most customers we have worked with define a standardized service catalog, with a few (2 to 5) different classes of service. For each of these classes, there is a pre-defined deployment template, and the user has the ability to select from some pre-defined service sizes. The administrator only has to create this catalog once. Each user then simply selects from the options offered in the catalog.  Looking at DBaaS service definition, it seems to be no different from a service definition provided by a well defined DBA team. Why do you attribute it to DBaaS? There are a couple of perspectives. First, some organizations might already be operating with a high level of standardization and a higher level of maturity from an ITIL or Service Management perspective. Their journey to DBaaS could be shorter and their Service Definition will evolve less but they still might need to add capabilities such as Self Service and Metering/Chargeback. Other organizations are still operating in highly siloed environments with little automation and their formal Service Definition (if they have one) will be a lot less mature today. Therefore their future state DBaaS will look a lot different from their current state, as will their Service Definition. How database as a service impact or help with "Click to Compute" or deploying "Database in cloud infrastructure" DBaaS enables Click to Compute. Oracle DBaaS can be implemented using three architecture models: Oracle Multitenant 12c, native consolidation using Oracle Database and consolidation using virtualization in infrastructure cloud. As Deploy session showed, you get higher consolidating density and efficiency using Multitenant and higher isolation using infrastructure cloud. Depending upon your business needs, DBaaS can be implemented using any of these models. How exactly is the DBaaS different from the traditional db? Storage/OS/DB all together to 'transparently' provide service to applications? Will there be across-databases access by application/user. Some key differences are: 1) The services run on a shared platform. 2) The services can be rapidly provisioned (< 15 minutes). 3) The services are dynamic and can be relocated, grown, shrunk as needed to meet business needs without disruption and rapidly. 4) The user is able to provision the services directly from a standardized service catalog.. With 24x7x365 databases its difficult to find off peak hrs to do basic admin tasks such as gathering stats, running backups, batch jobs. How does pluggable database handle this and different needs/patching downtime of apps databases might be serving? You can gather stats in Oracle Multitenant the same way you had been in regular databases. Regarding patching/upgrading, Oracle Multitenant makes patch/upgrade very efficient in that you can pre-provision a new version/patched multitenant db in a different ORACLE_HOME and then unplug a PDB from its CDB and plug it into the newer/patched CDB in seconds.  Thanks for all the great questions!  If you'd like to learn more and missed the online forum, you can watch it on demand here.

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  • How to do thread management in C++?

    - by Dipan Mehta
    We use pthread for thread management in C based systems. pthread is in general compilable by C++ compiler (like g++). However, what are the better ways of abstractions for threads in C++? Also, for making any system to be working in a multi-threaded system, it is also important to make thread safe. What are the standard libraries that requires alternative (installs) to be thread safe or are they unsafe for multi-threaded environments? Is smart pointers, templates require special measures to make it safe? What are the best practices for the thread managements in C++?

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  • Bulletproof way to DROP and CREATE a database under Continuous Integration.

    - by H. Abraham Chavez
    I am attempting to drop and recreate a database from my CI setup. But I'm finding it difficult to automate the dropping and creation of the database, which is to be expected given the complexities of the db being in use. Sometimes the process hangs, errors out with "db is currently in use" or just takes too long. I don't care if the db is in use, I want to kill it and create it again. Does some one have a straight shot method to do this? alternatively does anyone have experience dropping all objects in the db instead of dropping the db itself? USE master --Create a database IF EXISTS(SELECT name FROM sys.databases WHERE name = 'mydb') BEGIN ALTER DATABASE mydb SET SINGLE_USER --or RESTRICTED_USER --WITH ROLLBACK IMMEDIATE DROP DATABASE uAbraham_MapSifterAuthority END CREATE DATABASE mydb;

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  • Object-based content management system

    - by Adam Maras
    I remember hearing within the last year or two about a content management system either being released or developed that was centralized around product/item information. I'm aware that there are several CMSes that have this capability, but this particular one was built specifically for that task. Also, I remember it winning some sort of award or recognition for upcoming software products. However, I can't for the life of me remember what this CMS was called or who was developing it. Does anyone know what package I'm talking about?

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  • I've created a database table using Visual Studio for my C# program. Now what?

    - by Kevin
    Hi! I'm very new to C#, so please forgive me if I've overlooked something here. I've created a database using Visual Studio (add new item service-based database) called LoadForecast.mdf. I then created a table called ForecastsDB and added some fields. My main question is this: I've created a console application with the intention of writing some data to the newly created database. I've added LoadForecast.mdf as a data source for my program, but is there anything else I should do? I saw an example where the next step was adding a "data diagram", but this was for a visual application, not a console application. Do I still need to diagram the database for my console app? I just want to be able to write new records out to my database table and wasn't sure if there were any other things I needed to do for the VS environment to be "aware" of my database. Thanks for any advise!

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  • SQL Server 2008 R2: StreamInsight changes at RTM: Event Flow Debugger and Management Interface Secur

    - by Greg Low
    In CTP3, I found setting up the StreamInsight Event Flow Debugger fairly easy. For RTM, a number of security changes were made. First config: To be able to connect to the management interface, your user must be added to the Performance Log Users group. After you make this change, you must log off and log back on as the token is only added to your login token when you log on. I forgot this and spent ages trying to work out why I couldn't connect. Second config: You need to reserve the URL that the...(read more)

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  • Working with foreign keys - cannot insert

    - by Industrial
    Hi everyone! Doing my first tryouts with foreign keys in a mySQL database and are trying to do a insert, that fails for this reason: Integrity constraint violation: 1452 Cannot add or update a child row: a foreign key constraint fails Does this mean that foreign keys restrict INSERTS as well as DELETES and/or UPDATES on each table that is enforced with foreign keys relations? Thanks! Updated description: Products ---------------------------- id | type ---------------------------- 0 | 0 1 | 3 ProductsToCategories ---------------------------- productid | categoryid ---------------------------- 0 | 0 1 | 1 Product table has following structure CREATE TABLE IF NOT EXISTS `alpha`.`products` ( `id` MEDIUMINT UNSIGNED NOT NULL AUTO_INCREMENT , `type` TINYINT(2) UNSIGNED NOT NULL DEFAULT 0 , PRIMARY KEY (`id`) , CONSTRAINT `prodsku` FOREIGN KEY (`id` ) REFERENCES `alpha`.`productsToSku` (`product` ) ON DELETE CASCADE, ON UPDATE CASCADE) ENGINE = InnoDB;

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  • How to deploy a Java Swing application with an embedded JavaDB database?

    - by Jonas
    I have implemented an Java Swing application that uses an embedded JavaDB database. The database need to be stored somewhere and the database tables need to be created at the first run. What is the preferred way to do these procedures? Should I always create the database in the local directory, and first check if the database file exist, and if it doesn't exist let the user create the tables (or at least show a message that the tables will be created). Or should I let the user choose a path? but then I have to save the path somewhere. Should I save the path with Preferences.systemRoot();, and check if that variable is set on startup? If the user choses a path and save it in the Preferences, can I get any problems with user permissions? or should it be safe wherever the user store the database? Or how do I handle this? Any other suggestions for this procedure?

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  • Service Account Management in SharePoint 2013

    - by Sahil Malik
    SharePoint, WCF and Azure Trainings: more information My newest article detailing Service Account management in SharePoint 2013 is now online. Who thought such a simple need could have so many nuances. Hope you like it With this, I am going to do a break – not taking time off, but switching gears. My next series of Articles are going to focus on writing Mobile Apps for SharePoint and Office 365. And I intend to cover every single scenario, On Prem, Cloud, Xamarin, HTML5, Cordova, and Native. I will show Windows and iOS, I’m an android dumbass, but space/time permitting I may show cordova android – anyway, for an Android guru the articles will provide enough information get rolling anyway. Read full article ....

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  • Premier Support for Hyperion Enterprise Performance Management System 11.1.1.x Ends July 2013

    - by inowodwo
    Premier Support for Oracle Hyperion Enterprise Performance Management System release 11.1.1.x expires July 2013. After July 2013, Sustaining Support will continue to be provided in accordance with Oracle's Lifetime Support Policy. Customers must follow a supported upgrade path.If your deployment is at EPM System release 11.1.1.4- Your supported upgrade path is directly to release 11.1.2.2.If your deployment is at EPM System Release 11.1.1.3 release- Your supported upgrade path is directly to release 11.1.2.2.If your deployment is at a prior 11.1.1.3 release- The recommended path is to upgrade to release 11.1.1.3. From here, you can continue a direct upgrade to release 11.1.2.2. For more information see Doc ID 1511588.1 or the Oracle Lifetime Support Policy

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  • Inventory management system design problem

    - by Steve F
    What are the conventions for item batch identifiers in inventory management systems? For example: A retail supermarket can order 'Item X' from either 'Supplier A' or 'Supplier B'. When it completes an order for the item from either supplier, it needs to store the record of the receipt. Inventory quantity for the item is increased upon receipt of the order. However it is also required to store some record of the supplier. Thus some sort of batch identifier is required. This batch identifier will uniquely identify the item received and the supplier from whom it is received. A new batch is created each time items are received in stock (for example, after an order). Hence, for purposes of accounting / auditing, information available to identify an item after it was sold comprises of ITEM_CODE, ITEM_NAME, BATCH_CODE. The BATCH_CODE is unique and is associated with DATE_RECEIVED, SUPPLIER_CODE, QTY_RECEIVED. Is this a complete system specification for the above scenario or has anything significant been left out?

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