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  • Can I find out what WCF methods are supported on the endpoint before calling it?

    - by alord1689
    I have a versioning issue with a WCF service contract in which one of the many endpoints which are called for the operation is missing one method from the contract. My question is, how can I make sure the command is available on the client before attempting to call it? I tried: foreach (var od in proxy.Endpoint.Contract.Operations) { if (od.Name == "MyMethodName") { hasMethod = true; break; } } Unfortunately, this is using the contract from the calling app and does not actually describe the implementations on the endpoint itself. As a result, it returns true even though the endpoint has failed to implement the command.

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  • How to write an unit test for WCF behaviors?

    - by katie77
    I am new to unit testing. How do I write a unit test for a method when I am extending a WCF behavior. Since I am not sure of when the class is being instantiated, or I can not change the method signature. In the behavior implementation, I am getting the header and looking up a value in the config. public class IncomingValidator : IDispatchMessageInspector { public object AfterReceiveRequest(ref Message request, IClientChannel channel, InstanceContext instanceContext) { // Grab the header and see if one of the particular values(read from config) is there. } public void BeforeSendReply(ref Message reply, object correlationState) { } }

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  • WCF: Is there a way to return an object that is able to execute on the server?

    - by mafutrct
    Coming from a Java background, this is the way I'm thinking: The server provides an object to the client. This object should be able to execute on the server. Server: private string _S = "A"; public interface IFoo { void Bar(); } private class Foo : IFoo { void Bar() { _S = "B";} } public IFoo GetFoo() { return new Foo(); } Client: IFoo foo = serverChannel.GetFoo(); foo.Bar(); Is this possible? Or is my understanding wrong and this is not how it works in WCF? What would be a better design?

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  • Today on http://endpoint.tv – AppFabric Dashboard Overview

    - by The Official Microsoft IIS Site
    AppFabric has this great new Dashboard that gives you insight into what is happening with your services and workflows. In this video, Senior Programming Writer Michael McKeown shows you what the Dashboard can do for you. Watch it now on endpoint.tv For more on the AppFabric Dashboard see the following articles on MSDN Monitoring Applications Using AppFabric Management UI Features We have more great episodes available at http://endpoint.tv so keep watching Ron Jacobs Host of endpoint.tv...( read more...(read more)

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  • Introducing AutoVue Document Print Service

    - by celine.beck
    We recently announced the availability of our new AutoVue Document Print Service products. For more information, please read the article entitled Print Any Document Type with AutoVue Document Print Services that was posted on our blog. The AutoVue Document Print Service products help address a trivial, yet very common challenge: printing and batch printing documents. The AutoVue Document Print Service is a Web-Services based interface, which allows developers to complement their print server solutions by leveraging AutoVue's printing capabilities within broader enterprise applications like Asset Lifecycle Management, Product Lifecycle Management, Enterprise Content Management solutions, etc. This means that you can leverage the AutoVue Document Print Service products as part of your printing solution to automate the printing of virtually any document type required in any business process. Clients that consume AutoVue's Document Print Service can be written in any language (for example Java or .NET) as long as they understand Web Services Description Language (WSDL) and communicate using Simple Object Access Protocol (SOAP). The print solution consists of three main components, as described in the diagram below: a print server (not included in the AutoVue Document Print Service offering) that will interact with your application to identify the files that need to be printed, the printer to send each file, as well as the print options needed for each file (paper size, page orientation, etc), and collate the print job requests. The print server will also take care of calling the AutoVue Document Print Service to perform the actual printing. The AutoVue Document Print Services send files to a printer for printing. The AutoVue Document Print Service products leverage AutoVue's format- and platform agnostic technology to let you print/batch virtually any type of files, without requiring the authoring application installed on your machine. and Printers As shown above, you can trigger printing from your application either programmatically through automated business processes or manually through human interaction. If documents that need to be printed from your application are stored inside a content repository/Document Management System (DMS) such as Oracle Universal Content Management System (UCM), then the Print Server will need to identify the list of documents and pass the ID of each document to the AutoVue DPS to print. In this case, AutoVue DPS leverages the AutoVue VueLink integration (note: AutoVue VueLink integrations are pre-packaged AutoVue integrations with most common enterprise systems. Check our Website for more information on the subject) to fetch documents out of the document management system for printing. In lieu of the AutoVue VueLink integration, you can also leverage the AutoVue Integration Software Development Kit (iSDK) to build your own connector. If the documents you need to print from your application are not stored in a content management system, the Print Server will need to ensure that files are made available to the AutoVue Document Print Service. The Print Server could for example fetch the files out of your application or an extension to the application could be developed to fetch the files and make them available to the AutoVue DPS. More information on methods to pass on file information to the AutoVue Document Print Service products can be found in the AutoVue Document Print Service Overview documentation available on the Oracle Technology Network. Related article: Any Document Type with AutoVue Document Print Services

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  • The Work Order Printing Challenge

    - by celine.beck
    One of the biggest concerns we've heard from maintenance practitioners is the ability to print and batch print work order details along with its accompanying attachments. Indeed, maintenance workers traditionally rely on work order packets to complete their job. A standard work order packet can include a variety of information like equipment documentation, operating instructions, checklists, end-of-task feedback forms and the likes. Now, the problem is that most Asset Lifecycle Management applications do not provide a simple and efficient solution for process printing with document attachments. Work order forms can be easily printed but attachments are usually left out of the printing process. This sounds like a minor problem, but when you are processing high volume of work orders on a regular basis, this inconvenience can result in important inefficiencies. In order to print work order and its related attachments, maintenance personnel need to print the work order details and then go back to the work order and open each individual attachment using the proper authoring application to view and print each document. The printed output is collated into a work order packet. The AutoVue Document Print Service products that were just released in April 2010 aim at helping organizations address the work order printing challenge. Customers and partners can leverage the AutoVue Document Print Services to build a complete printing solution that complements their existing print server solution with AutoVue's document- and platform-agnostic document print services. The idea is to leverage AutoVue's printing services to invoke printing either programmatically or manually directly from within the work order management application, and efficiently process the printing of complete work order packets, including all types of attachments, from office files to more advanced engineering documents like 2D CAD drawings. Oracle partners like MIPRO Consulting, specialists in PeopleSoft implementations, have already expressed interest in the AutoVue Document Print Service products for their ability to offer print services to the PeopleSoft ALM suite, so that customers are able to print packages of documents for maintenance personnel. For more information on the subject, please consult MIPRO Consulting's article entitled Unsung Value: Primavera and AutoVue Integration into PeopleSoft posted on their blog. The blog post entitled Introducing AutoVue Document Print Service provides additional information on how the solution works. We would also love to hear what your thoughts are on the topic, so please do not hesitate to post your comments/feedback on our blog. Related Articles: Introducing AutoVue Document Print Service Print Any Document Type with AutoVue Document Print Services

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  • Daily tech links for .net and related technologies - June 8-11, 2010

    - by SanjeevAgarwal
    Daily tech links for .net and related technologies - June 8-11, 2010 Web Development ASPNET MVC: Handling Multiple Buttons on a Form with jQuery - Donn Building a MVC2 Template, Part 14, Logging Services - Eric Simple Accordion Menu With jQuery & ASP.NET - Steve Boschi Conditional Validation in MVC -Simonince Creating a RESTful Web Service Using ASP.Net MVC Part 23 – Bug Fixes and Area Support - Shoulders of Giants Web Design The Principles Of Cross-Browser CSS Coding - Louis Lazaris Transparency...(read more)

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  • Excel tables creation upon MySQL data import (new feature in MySQL for Excel 1.2.x)

    - by Javier Treviño
    In this blog post we are going to talk about one of the features included since MySQL for Excel 1.2.0, you can install the latest GA or maintenance version using the MySQL Installer or optionally you can download directly any GA or non-GA version from the MySQL Developer Zone. Remember how easy is to dump data from a MySQL table, view or stored procedure to an Excel worksheet? (If you don't you can check out this other post: How To - Guide to Importing Data from a MySQL Database to Excel using MySQL for Excel). In version 1.2.0 we introduced some advanced options for the Import MySQL Data operation regarding Excel tables. The Advanced Options dialog shown above is accessible from any Import Data dialog. When the Create an Excel table for the imported MySQL table data option is checked (which is by default), MySQL for Excel will create an Excel table (also known in Excel jargon as a ListObject) from the Excel range containing the imported MySQL data. This "little feature" enables the right-away usage of the Excel table in data analysis, like including it for summarization on a PivotTable, including a summarization row at the end of the table's data, sorting or filtering the table's data by clicking the drop-down button next to each column's header, among other actions. The Excel tables that are created automatically from imported MySQL data will have a name like [UserPrefix].<SchemaName>.<DbObjectName> for tables and views, and <Prefix>.<SchemaName>.<ProcedureName>.<ResultSetName> for stored procedures.  Notice the first piece of the name is an optional [UserPrefix], the prefix is only used if the Prefix Excel tables with the following text option is checked, notice that the suggested prefix is "MySQL" but it can be changed to whatever text is suitable for you. Excel tables must have a table style so they are easily identified. There are a lot of predefined Excel table styles, by default the MySqlDefault style is applied, which is the style you have seen applied to imported data for Edit Sessions, and which adds simple and elegant formatting to the table. If you wish to change it to any of the predefined Excel table style you can do it through the drop-down list on the Use style [[styles drop-down]] for the new Excel table option. Excel tables are the basic construction blocks for building data analysis or self-service Business Intelligence using other more advanced Excel tools like Power Pivot, Power View or Power Map. This feature empowers imported MySQL data to use it in more advanced ways.  We hope you give this and the other new features in the 1.2.x version family a try! Remember that your feedback is very important for us, so drop us a message and follow us: MySQL on Windows (this) Blog: https://blogs.oracle.com/MySqlOnWindows/ MySQL for Excel forum: http://forums.mysql.com/list.php?172 Facebook: http://www.facebook.com/mysql YouTube channel: https://www.youtube.com/user/MySQLChannel Cheers!

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  • Designing A 2-Way SSL RESTful API

    - by Mithir
    I am starting to develop a WCF API, which should serve some specific clients. We don't know which devices will be using the API so I thought that using a RESTful API will be the most flexible choice. All devices using the API would be authenticated using an SSL certificate (client side certificate), and our API will have a certificate as well ( so its a 2 Way SSL) I was reading this question over SO, and I saw the answers about authentication using Basic-HTTP or OAuth, but I was thinking that in my case these are not needed, I can already trust the client because it possesses the client-side certificate. Is this design ok? Am I missing anything? Maybe there's a better way of doing this?

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  • How to recover data files from xampp-windows to xampp-linux after crash?

    - by David Buehler
    My Windows box died after I developed a database in xampp on it; fortunately I have a backup of the entire F:/TestWeb/Xampp partition. Unfortunately, I did not do an Export (nor dump) of the "Lws2" database before the crash. I have replaced the defunct machine with one running Mint7 (based on Ubuntu 9.04 "Jaunty Jackalope") and installed xampp-linux into the /opt partition, so the new xampp now runs fine in /opt/lampp, and says all the elements are secured by passwords (which I just assigned during this installation.) I assumed that Xamp-Windows installed in November would migrate easily to xampp-linux installed iin February -- a bad assumption. It apparently would have been simple if I had known enough to do an Export or a Dump before the crash, but.... The backup was done to a Network Attached Storage drive, which is formatted as "vfat" so the backup does not carry with it any valid ownership permissions from MySql on NTFS. I now see from my backup that the old data resided in \TestWeb\Xampp\Mysql\Data\Lws2\ and consists of 7 ".frm" files which define my tables. The actual data -- I suppose a ".sql" file or files -- has disappeared, and I am resigning myself to two days of retyping it. But I do not wish to do the table layouts all over again. So I copied Data tree to /opt/lampp/Data -- PhpMyAdmin does not see it. So I copied Lws2 tree to /opt/lampp/Lws2 -- PhpMyAdmin does not see it. So I copied Data tree to /opt/lampp/var/mysql/Data -- PhpMyAdmin does not see it. So I copied Lws2 tree to /opt/lampp/var/mysql/Lws2 -- PhpMyAdmin does not see it. So I adjusted all the permissions to stop saying owner "nobody" to owner "root" and gave full permissions to all groups and to all others, with permissions percolating down, in all 4 trees. You guessed it -- PhpMyAdmin does not see any database named Lws2, only its 4 default ones. I double-checked the permissions and rebooted Linux and repeated the tests. At some point in that process I did see PhpMyAdmin showing "lws2(7)" but when I clicked on it I saw a "no table found" message. I have not been able to recreate that experience. Apparently there are some setup files for MySql and for PhpMyAdmin which need to be set up by running a wizard or two or by editing the files directly. I grepped the TestWeb tree and found an old "ldir = "C:TestWeb\Xampp\MySql\" and a "DataDir = C:TestWeb\Xampp\MySql\" in a .php file and in a .bat file, but I cannot find the corresponding config file names on the /opt partition/ -- so it looks as if these wizards have not been run to create them. What config files files does Linux use to setup MySql config files for PhpMyAdmin? What wizards do I need to run to point the MySql engine and the PhpMyAdmin at the folder /opt/lampp/data/ with its lws2 folder inside it? Or which files do I need to edit, with a sample of what it normally says under Linux? Incidentally, I remember I converted from MyISAM with its .MYD and .MYI files to InnoDB after entering only a small amount of the data -- and I do not know what file types to look for -- perhaps my data is still there but under another guise or in another place? Is it something as simple as linux needing to see "/data/" instead of /Data? I will check that out while waiting for a response. If anyone can point me to documentation that discusses this level of detail -- I will read it avidly! In any case, thanks for any clarification you can give on this thorny problem. wizdum

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  • Imitating Exchange Server's "RBAC AuthZ" in my own application... (is there something similar?)

    - by makerofthings7
    Exchange 2010 has a delegation model where groups of winrm cmdlets are essentally grouped into roles, and the roles assigned to a user. (Image source) This is a great & flexible model considering how I can leverage all the benefits of PowerShell, while using the right low level technologies (WCF, SOAP etc), and requiring no additional software on the client side. (Image source) Question(s) Is there a way for me to leverage Exchange's delegation model in my .NET application? Has anyone attempted to imitate this model? If I must start from scratch, how would I go about imitating this approach?

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  • Storing game objects with generic object information

    - by Mick
    In a simple game object class, you might have something like this: public abstract class GameObject { protected String name; // other properties protected double x, y; public GameObject(String name, double x, double y) { // etc } // setters, getters } I was thinking, since a lot of game objects (ex. generic monsters) will share the same name, movement speed, attack power, etc, it would be better to have all that information shared between all monsters of the same type. So I decided to have an abstract class "ObjectData" to hold all this shared information. So whenever I create a generic monster, I would use the same pre-created "ObjectData" for it. Now the above class becomes more like this: public abstract class GameObject { protected ObjectData data; protected double x, y; public GameObject(ObjectData data, double x, double y) { // etc } // setters, getters public String getName() { return data.getName(); } } So to tailor this specifically for a Monster (could be done in a very similar way for Npcs, etc), I would add 2 classes. Monster which extends GameObject, and MonsterData which extends ObjectData. Now I'll have something like this: public class Monster extends GameObject { public Monster(MonsterData data, double x, double y) { super(data, x, y); } } This is where my design question comes in. Since MonsterData would hold data specific to a generic monster (and would vary with what say NpcData holds), what would be the best way to access this extra information in a system like this? At the moment, since the data variable is of type ObjectData, I'll have to cast data to MonsterData whenever I use it inside the Monster class. One solution I thought of is this, but this might be bad practice: public class Monster extends GameObject { private MonsterData data; // <- this part here public Monster(MonsterData data, double x, double y) { super(data, x, y); this.data = data; // <- this part here } } I've read that for one I should generically avoid overwriting the underlying classes variables. What do you guys think of this solution? Is it bad practice? Do you have any better solutions? Is the design in general bad? How should I redesign this if it is? Thanks in advanced for any replies, and sorry about the long question. Hopefully it all makes sense!

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  • Fraud and Anomaly Detection using Oracle Data Mining YouTube-like Video

    - by chberger
    I've created and recorded another YouTube-like presentation and "live" demos of Oracle Advanced Analytics Option, this time focusing on Fraud and Anomaly Detection using Oracle Data Mining.  [Note:  It is a large MP4 file that will open and play in place.  The sound quality is weak so you may need to turn up the volume.] Data is your most valuable asset. It represents the entire history of your organization and its interactions with your customers.  Predictive analytics leverages data to discover patterns, relationships and to help you even make informed predictions.   Oracle Data Mining (ODM) automatically discovers relationships hidden in data.  Predictive models and insights discovered with ODM address business problems such as:  predicting customer behavior, detecting fraud, analyzing market baskets, profiling and loyalty.  Oracle Data Mining, part of the Oracle Advanced Analytics (OAA) Option to the Oracle Database EE, embeds 12 high performance data mining algorithms in the SQL kernel of the Oracle Database. This eliminates data movement, delivers scalability and maintains security.  But, how do you find these very important needles or possibly fraudulent transactions and huge haystacks of data? Oracle Data Mining’s 1 Class Support Vector Machine algorithm is specifically designed to identify rare or anomalous records.  Oracle Data Mining's 1-Class SVM anomaly detection algorithm trains on what it believes to be considered “normal” records, build a descriptive and predictive model which can then be used to flags records that, on a multi-dimensional basis, appear to not fit in--or be different.  Combined with clustering techniques to sort transactions into more homogeneous sub-populations for more focused anomaly detection analysis and Oracle Business Intelligence, Enterprise Applications and/or real-time environments to "deploy" fraud detection, Oracle Data Mining delivers a powerful advanced analytical platform for solving important problems.  With OAA/ODM you can find suspicious expense report submissions, flag non-compliant tax submissions, fight fraud in healthcare claims and save huge amounts of money in fraudulent claims  and abuse.   This presentation and several brief demos will show Oracle Data Mining's fraud and anomaly detection capabilities.  

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  • How to build a .Net app which runs on desktop and as a Windows Service

    - by Mike
    Ok, I hope this is not too much confusing (with my poor English). I want to build a small .Net 4.0 app which monitors several other applications on a Windows Server OR on a regular Windows PC. It will have a WPF GUI with a variety of graphical controls. The app will be used in the following scenarios: If installed on a PC it should run as a “normal” single Windows desktop app If installed on a Server, it should run as a Windows Service. To use/manage the app it must have the same WPF GUI as in scenario 1 and the GUI should be run on the Server or on a remote PC At the moment I consider to write the application logic and connect it to the WPF GUI using a self-hosted WCF Data Service IN BOTH SCENARIOS. Since I’m not a pro developer I suppose it’s possible that I've missed something ;-) Will this work? Are there other/better solutions? Any answer or comment is highly appreciated.

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  • Core Data migration problem: "Persistent store migration failed, missing source managed object model

    - by John Gallagher
    The Background A Cocoa Non Document Core Data project with two Managed Object Models. Model 1 stays the same. Model 2 has changed, so I want to migrate the store. I've created a new version by Design Data Model Add Model Version in Xcode. The difference between versions is a single relationship that's been changed from to a one to many. I've made my changes to the model, then saved. I've made a new Mapping Model that has the old model as a source and new model as a destination. I've ensured all Mapping Models and Data Models and are being compiled and all are copied to the Resource folder of my app bundle. I've switched on migrations by passing in a dictionary with the NSMigratePersistentStoresAutomaticallyOption key as [NSNumber numberWithBool:YES] when adding the Persistent Store. Rather than merging all models in the bundle, I've specified the two models I want to use (model 1 and the new version of model 2) and merged them using modelByMergingModels: The Problem No matter what I do to migrate, I get the error message: "Persistent store migration failed, missing source managed object model." What I've Tried I clean after every single build. I've tried various combinations of having only the model I'm migrating to in Resources, being compiled, or both. Since the error message implies it can't find the source model for my migration, I've tried having every version of the model in both the Resources folder and being compiled. I've made sure I'm not making a really basic error by switching back to the original version of my data model. The app runs fine. I've deleted the Mapping Model and the new version of the model, cleaned, then recreated both. I've tried making a different change in the new model - deleting an entity instead. I'm at my wits end. I can't help but think I've made a huge mistake somewhere that I'm not seeing. Any ideas?

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  • MS Access 2003: Can data disappear from records and how do I test for this and prevent it?

    - by user328960
    Problem and about the database: Data from a record in Access 2003 database has disappeared. This database has 1 backend and 3 frontends, multiple users and is hosted on Citrix. Within this database, we have records of all clients served, ranging in the 1000s. Background info: The form for client data entry is set up with various subforms, including both a "programs enrolled" subform and a "services" subform. A client can be enrolled in multiple programs. Once enrolled in a program, services can be entered for that program area using the services subform. There are multiple fields in the services subform, one of which is a drop-down field allowing you to choose from the programs a client has been enrolled in (the list is updated for that client whenever he is enrolled in a new program). The problem details: For one specific record and one specific program area, the program has disappeared from the "programs enrolled" subform and all of the related services have disappeared from the "services" subform for a period of 3 months of data entry. However, other programs and services for this record did not disappear. Questions: Is the disappearance of data a common Access 2003 problem? Are there tests in place that can be run to see if data is disappearing and catch that data? If so, what are they? If there is specific code involved, what is it? What can be done to prevent the disappearing of data (other than using a different database)?

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  • Why is my WCF RIA Services custom object deserializing with an extra list member?

    - by oasasaurus
    I have been developing a Silverlight WCF RIA Services application dealing with mock financial transactions. To more efficiently send summary data to the client without going overboard with serialized entities I have created a summary class that isn’t in my EDM, and figured out how to serialize and send it over the wire to the SL client using DataContract() and DataMember(). Everything seemed to be working out great, until I tried to bind controls to a list inside my custom object. The list seems to always get deserialized with an extra, almost empty entity in it that I don’t know how to get rid of. So, here are some of the pieces. First the relevant bits from the custom object class: <DataContract()> _ Public Class EconomicsSummary Public Sub New() RecentTransactions = New List(Of Transaction) TotalAccountHistory = New List(Of Transaction) End Sub Public Sub New(ByVal enUser As EntityUser) Me.UserId = enUser.UserId Me.UserName = enUser.UserName Me.Accounts = enUser.Accounts Me.Jobs = enUser.Jobs RecentTransactions = New List(Of Transaction) TotalAccountHistory = New List(Of Transaction) End Sub <DataMember()> _ <Key()> _ Public Property UserId As System.Guid <DataMember()> _ Public Property NumTransactions As Integer <DataMember()> _ <Include()> _ <Association("Summary_RecentTransactions", "UserId", "User_UserId")> _ Public Property RecentTransactions As List(Of Transaction) <DataMember()> _ <Include()> _ <Association("Summary_TotalAccountHistory", "UserId", "User_UserId")> _ Public Property TotalAccountHistory As List(Of Transaction) End Class Next, the relevant parts of the function called to return the object: Public Function GetEconomicsSummary(ByVal guidUserId As System.Guid) As EconomicsSummary Dim objOutput As New EconomicsSummary(enUser) For Each objTransaction As Transaction In (From t As Transaction In Me.ObjectContext.Transactions.Include("Account") Where t.Account.aspnet_User_UserId = guidUserId Select t Order By t.TransactionDate Descending Take 10) objTransaction.User_UserId = objOutput.UserId objOutput.RecentTransactions.Add(objTransaction) Next objOutput.NumTransactions = objOutput.RecentTransactions.Count … Return objOutput End Function Notice that I’m collecting the NumTransactions count before serialization. Should be 10 right? It is – BEFORE serialization. The DataGrid is bound to the data source as follows: <sdk:DataGrid AutoGenerateColumns="False" Height="100" MaxWidth="{Binding ElementName=aciSummary, Path=ActualWidth}" ItemsSource="{Binding Source={StaticResource EconomicsSummaryRecentTransactionsViewSource}, Mode=OneWay}" Name="gridRecentTransactions" RowDetailsVisibilityMode="VisibleWhenSelected" IsReadOnly="True"> <sdk:DataGrid.Columns> <sdk:DataGridTextColumn x:Name="TransactionDateColumn" Binding="{Binding Path=TransactionDate, StringFormat=\{0:d\}}" Header="Date" Width="SizeToHeader" /> <sdk:DataGridTextColumn x:Name="AccountNameColumn" Binding="{Binding Path=Account.Title}" Header="Account" Width="SizeToCells" /> <sdk:DataGridTextColumn x:Name="CurrencyAmountColumn" Binding="{Binding Path=CurrencyAmount, StringFormat=\{0:c\}}" Header="Amount" Width="SizeToHeader" /> <sdk:DataGridTextColumn x:Name="TitleColumn" Binding="{Binding Path=Title}" Header="Description" Width="SizeToCells" /> <sdk:DataGridTextColumn x:Name="ItemQuantityColumn" Binding="{Binding Path=ItemQuantity}" Header="Qty" Width="SizeToHeader" /> </sdk:DataGrid.Columns> </sdk:DataGrid> You might be wondering where the ItemsSource is coming from, that looks like this: <CollectionViewSource x:Key="EconomicsSummaryRecentTransactionsViewSource" Source="{Binding Path=DataView.RecentTransactions, ElementName=EconomicsSummaryDomainDataSource}" /> When I noticed that the DataGrid had the extra row I tried outputting some data after the data source finishes loading, as follows: Private Sub EconomicsSummaryDomainDataSource_LoadedData(ByVal sender As System.Object, ByVal e As System.Windows.Controls.LoadedDataEventArgs) Handles EconomicsSummaryDomainDataSource.LoadedData If e.HasError Then System.Windows.MessageBox.Show(e.Error.ToString, "Load Error", System.Windows.MessageBoxButton.OK) e.MarkErrorAsHandled() End If Dim objSummary As EconomicsSummary = CType(EconomicsSummaryDomainDataSource.Data(0), EconomicsSummary) Dim sb As New StringBuilder("") sb.AppendLine(String.Format("Num Transactions: {0} ({1})", objSummary.RecentTransactions.Count.ToString(), objSummary.NumTransactions.ToString())) For Each objTransaction As Transaction In objSummary.RecentTransactions sb.AppendLine(String.Format("Recent TransactionId {0} dated {1} CurrencyAmount {2} NewBalance {3}", objTransaction.TransactionId.ToString, objTransaction.TransactionDate.ToString("d"), objTransaction.CurrencyAmount.ToString("c"), objTransaction.NewBalance.ToString("c"))) Next txtDebug.Text = sb.ToString() End Sub Output from that looks like this: Num Transactions: 11 (10) Recent TransactionId 2283 dated 6/1/2010 CurrencyAmount $31.00 NewBalance $392.00 Recent TransactionId 2281 dated 5/31/2010 CurrencyAmount $33.00 NewBalance $361.00 Recent TransactionId 2279 dated 5/28/2010 CurrencyAmount $8.00 NewBalance $328.00 Recent TransactionId 2277 dated 5/26/2010 CurrencyAmount $22.00 NewBalance $320.00 Recent TransactionId 2275 dated 5/24/2010 CurrencyAmount $5.00 NewBalance $298.00 Recent TransactionId 2273 dated 5/21/2010 CurrencyAmount $19.00 NewBalance $293.00 Recent TransactionId 2271 dated 5/20/2010 CurrencyAmount $20.00 NewBalance $274.00 Recent TransactionId 2269 dated 5/19/2010 CurrencyAmount $48.00 NewBalance $254.00 Recent TransactionId 2267 dated 5/18/2010 CurrencyAmount $42.00 NewBalance $206.00 Recent TransactionId 2265 dated 5/14/2010 CurrencyAmount $5.00 NewBalance $164.00 Recent TransactionId 0 dated 6/1/2010 CurrencyAmount $0.00 NewBalance $361.00 So I have a few different questions: -First and foremost, where the devil is that extra Transaction entity coming from and how do I get rid of it? Does it have anything to do with the other list of Transaction entities being serialized as part of the EconomicsSummary class (TotalAccountHistory)? Do I need to decorate the EconomicsSummary class members a little more/differently? -Second, where are the peculiar values coming from on that extra entity? PRE-POSTING UPDATE 1: I did a little checking, it looks like that last entry is the first one in the TotalAccountHistory list. Do I need to do something with CollectionDataContract()? PRE-POSTING UPDATE 2: I fixed one bug in TotalAccountHistory, since the objects weren’t coming from the database their keys weren’t unique. So I set the keys on the Transaction entities inside TotalAccountHistory to be unique and guess what? Now, after deserialization RecentTransactions contains all its original items, plus every item in TotalAccountHistory. I’m pretty sure this has to do with the deserializer getting confused by two collections of the same type. But I don’t yet know how to resolve it…

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  • How to import data to SAP

    - by Mehmet AVSAR
    Hi, As a complete stranger in town of SAP, I want to transfer my own application's (mobile salesforce automation) data to SAP. My application has records of customers, stocks, inventory, invoices (and waybills), cheques, payments, collections, stock transfer data etc. I have an additional database which holds matchings of records. ie. A customer with ID 345 in my application has key 120-035-0223 in SAP. Every record, for sure, has to know it's counterpart, including parameters. After searching Google and SAP help site for a day, I covered that it's going to be a bit more pain than I expected. Especially SAP site does not give even a clue on it. Say I couldn't find. We transferred our data to some other ERP systems, some of which wanted XML files, some other exposed their APIs. My point is, is Sql Server's SSIS an option for me? I hope it is, so I can fight on my own territory. Since client requests would vary a lot, I count flexibility as most important criteria. Also, I want to transfer as much data as I could. Any help is appreciated. Regards,

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  • Accessing data stored in another unit Delphi

    - by Hendriksen123
    In Unit2 of my program i have the following code: TValue = Record NewValue, OldValue, SavedValue : Double; end; TData = Class(TObject) Public EconomicGrowth : TValue; Inflation : TValue; Unemployment : TValue; CurrentAccountPosition : TValue; AggregateSupply : TValue; AggregateDemand : TValue; ADGovernmentSpending : TValue; ADConsumption : TValue; ADInvestment : TValue; ADNetExports : TValue; OverallTaxation : TValue; GovernmentSpending : TValue; InterestRates : TValue; IncomeTax : TValue; Benefits : TValue; TrainingEducationSpending : TValue; End; I then declare Data : TData in the Var. when i try to do the following however in Unit1: ShowMessage(FloatToStr(Unit2.Data.Inflation.SavedValue)); I get an EAccessViolation message. Is there any way to access the data stored in 'Data' from Unit1 without getting errors?

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  • Image Wells, Core Data, and Sqlite files.

    - by Sway
    I've got a mac application that I've developed. I use it to create sqlite files that are bundled with my iphone app. The mac app uses Core Data and bindings and is working fine except for one "weird" issue. I use an NSImageView (or Image Well) to allow me to drag and drop jpg files. This is bound through to an optional binary attribute in my model class. For some reason when I drag and drop a 4k jpg file it onto the image well and save the sqlite file. The data saved to the binary column is over 15 times larger than it should be. Whereas if I use an application like SQLiteManager and add the image into the row in the database. The binary data is the correct (expected size). File 4k jpg Actual size: 2371. Persisted via Core Data size: 35810. Can anyone give me a suggestion as to why this might be happening? Do I need to set some setting in Interface Builder or write some custom code?

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  • How to show data in dataTable lable:data in jsf

    - by palakolanusrinu
    Hi How to display lable: data name: srinu in multiple rows using dataTable in jsf right now i'm getting like | lable | data| data srinu i want it in this formate lable: data name: srinu code which used is <h:dataTable id="fundInfo" value="#{clientFundInfo}" border="1" var="client" first="0" rows="5" rules="all"> <h:column> <h:outputText value="CLIENT:"/> <h:outputText value="#{client.clientName}"></h:outputText> </h:column> <h:column> <h:outputText value="FUND:"/> <h:outputText value="#{client.fundName}"></h:outputText> </h:column> <h:column> <h:outputText value="Employer Identification Number:"/> <h:outputText value="#{client.empIdentificationNum}"></h:outputText> </h:column> <h:column><h:outputText value="FISCAL YEAR ENDED:"/> <h:outputText value="#{client.fye}"></h:outputText> </h:column> <h:column><h:outputText value="Shares Outstanding"/> <h:outputText value="#{client.sharesOutstanding}"></h:outputText> </h:column> </h:dataTable>

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  • jquery slide to attribute with specific data attribute value

    - by Alex M
    Ok, so I have the following nav with absolute urls: <ul class="nav navbar-nav" id="main-menu"> <li class="first active"><a href="http://example.com/" title="Home">Home</a></li> <li><a href="http://example.com/about.html" title="About">About</a></li> <li><a href="http://example.com/portfolio.html" title="Portfolio">Portfolio</a></li> <li class="last"><a href="example.com/contact.html" title="Contact">Contact</a></li> </ul> and then articles with the following data attributes: <article class="row page" id="about" data-url="http://example.com/about.html"> <div class="one"> </div> <div class="two" </div> </article> and when you click the link in the menu I would like to ignore the fact it is a hyperlink and slide to the current article based on its attribute data-url. I started with what I think is the obvious: $('#main-menu li a').on('click', function(event) { event.preventDefault(); var pageUrl = $(this).attr('href'); )}; and have tried find and animate but then I don't know how to reference the article with data-url="http://example.com/about.html". Any help would be most appreciated. Thanks

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  • Syncing two separate structures to the same master data

    - by Mike Burton
    I've got multiple structures to maintain in my application. All link to the same records, and one of them could be considered the "master" in that it reflects actual relationships held in files on disk. The other structures are used to "call out" elements of the main design for purchase and work orders. I'm struggling to come up with a pattern that deals appropriately with changes to the master data. As an example, the following trees might refer to the same data: A |_ B |_ C |_ D |_ E |_ B |_ C |_ D A |_ B E C |_ D A |_ B C D E These secondary structures follow internal rules, but their overall structure is usually user-determined. In all cases (including the master), any element can be used in multiple locations and in multiple trees. When I add a child to any element in the tree, I want to either automatically build the secondary structure for each instance of the "master" element or at least advertise the situation to the user and allow them to manually generate the data required for the secondary trees. Is there any pattern which might apply to this situation? I've been treating it as a view problem, but it turns out to be more complicated than that when you look at the initial generation of the data.

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  • iPhone Core Data problem

    - by Junior B.
    This is my first project with Core Data, I followed the Event tutorial provided by Apple that helped me to understand the basic of core data in iPhone. But now, working over my project, I've a problem adding data into my database. When i create an object and set the data, if I try to get it back, the system returns me a strange sequence of characters. This is what i see in log if I try to log it: 2010-05-11 00:16:43.523 FG[2665:207] Package: ‡}00å 2010-05-11 00:16:43.525 FG[2665:207] Package: ‡}00å 2010-05-11 00:16:43.526 FG[2665:207] Package: ‡}00å 2010-05-11 00:16:43.527 FG[2665:207] Package: ‡}00å 2010-05-11 00:16:43.527 FG[2665:207] Package: ‡}00å 2010-05-11 00:16:43.527 FG[2665:207] Items: 5 What kind of problem could be this? Edit: This is the part of the code that generate the error: package = (Package *)[NSEntityDescription insertNewObjectForEntityForName:@"Package" inManagedObjectContext:moc]; theNodes = [doc nodesForXPath:@"//pack" error:&error]; for (CXMLElement *theElement in theNodes) { // Create a counter variable as type "int" int counter; // Loop through the children of the current node for(counter = 0; counter < [theElement childCount]; counter++) { if([[[theElement childAtIndex:counter] name] isEqualToString: @"id"]) [package setIdPackage:[[theElement childAtIndex:counter] stringValue]]; if([[[theElement childAtIndex:counter] name] isEqualToString: @"title"]) [package setPackageTitle:[[theElement childAtIndex:counter] stringValue]]; if([[[theElement childAtIndex:counter] name] isEqualToString: @"category"]) [package setCategory:[[theElement childAtIndex:counter] stringValue]]; if([[[theElement childAtIndex:counter] name] isEqualToString: @"lang"]) [package setLang:[[theElement childAtIndex:counter] stringValue]]; if([[[theElement childAtIndex:counter] name] isEqualToString: @"number"]) { NSNumberFormatter * f = [[NSNumberFormatter alloc] init]; [f setNumberStyle:NSNumberFormatterDecimalStyle]; NSNumber * myNumber = [f numberFromString:[[theElement childAtIndex:counter] stringValue]]; [f release]; [package setNumber:myNumber]; } } } NSLog([NSString stringWithFormat:@"=== %s ===\nID: %s\nCategory: %s\nLanguage: %s",[package packageTitle], [package idPackage] ,[package category],[package lang]]);

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  • Core Data, Bindings, value transformers : crash when saving

    - by Gael
    Hi, I am trying to store a PNG image in a core data store backed by an sqlite database. Since I intend to use this database on an iPhone I can't store NSImage objects directly. I wanted to use bindings and an NSValueTransformer subclass to handle the transcoding from the NSImage (obtained by an Image well on my GUI) to an NSData containing the PNG binary representation of the image. I wrote the following code for the ValueTransformer : + (Class)transformedValueClass { return [NSImage class]; } + (BOOL)allowsReverseTransformation { return YES; } - (id)transformedValue:(id)value { if (value == nil) return nil; return [[[NSImage alloc] initWithData:value] autorelease]; } - (id)reverseTransformedValue:(id)value { if (value == nil) return nil; if(![value isKindOfClass:[NSImage class]]) { NSLog(@"Type mismatch. Expecting NSImage"); } NSBitmapImageRep *bits = [[value representations] objectAtIndex: 0]; NSData *data = [bits representationUsingType:NSPNGFileType properties:nil]; return data; } The model has a transformable property configured with this NSValueTransformer. In Interface Builder a table column and an image well are both bound to this property and both have the proper value transformer name (an image dropped in the image well shows up in the table column). The transformer is registered and called every time an image is added or a row is reloaded (checked with NSLog() calls). The problem arises when I am trying to save the managed objects. The console output shows the error message : [NSImage length]: unrecognized selector sent to instance 0x1004933a0 It seems like core data is using the value transformer to obtain the NSImage back from the NSData and then tries to save the NSImage instead of the NSData. There are probably workarounds such as the one presented in this post but I would really like to understand why my approach is flawn. Thanks in advance for your ideas and explanations.

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