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  • TFS Disk Structure - and "Add new folder" vs "Add solution"

    - by NealWalters
    Our organization recently got TFS 2008 set up ready for our use. I have a practice TeamProject available to play with. To simplify slightly, we previous organized our code on disk like this: -EC - Main - Database - someScript1.sql - someScript2.sql - Documents - ReleaseNotes_V1.doc - Source - Common - Company.EC.Common.Biztalk.Artifacts [folder] - Company.EC.Common.BizTalk.Components [folder] - Company.EC.Common.Biztalk.Deployment [folder] - Company.EC.BookTransfer.BizTalk.sln - BookTransfer - Company.EC.BookTransfer.BizTalk.Artifacts [folder] - Company.EC.BookTransfer.BizTalk.Components [folder] - Company.EC.BookTransfer.BizTalk.Components.UnitTest [folder] - Company.EC.BookTransfer.BizTalk.Deployment [folder] - Company.EC.BookTransfer.BizTalk.sln I'm trying to decide, do I want to check in the entire c:\EC directory? Or do I want to open each solution and checkin. What are the pros and cons of each? It seems like by doing the "Add Files/Folder" option, I could check in everything at once and it would match the disk structure. It also looks like that if I check in each solution separately, that creates another working folder in my Workspace. I think if I check in by "add files/folder", I will have one workspace and that would be better. But most of the books and samples I see talk about checking in projects and solutions. P.S. I know I need to add more to my disk structure in accordance with the Branch/Merge guidelines, but that is not the question I'm asking here. Thanks, Neal Walters

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  • Source Control Manager Backend

    - by Gabriel Parenza
    Hi Friends, What do you think is a better approach for Source Control Manager Backend. I am weighing File system vs Hosted Subversion service. Hosted Subversion-- (My company already has another group taking care of this) Advantages: * Zero maintenance on our end * Auto-backup and recovery * Reliability by auto-backup and file redundancy. * File history view in built, file merge, file diff On the other hand, while File system does not have the featured mentioned above but is much more simpler. Moreover, if files are hosted on Linux machine, which is backed up, it takes care of file system crash issues. Subversion will need working copies, which are going to be on this same Linux machine, and hence the need to not have an extra layer. Folks, I am looking for stronger reasons why I should take Subversion instead of keeping thing simple and going with File System. Let me know your opinions. Very thanks in advance, Gabriel. PS: I have explored few Commercial Source Manager, and have decide to go this route as it better suits our need.

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  • what's the best way, using the TFS API, to add a label to a file?

    - by jcollum
    I'd like to add a label to a set of files using the TFS API. My code looks like this: VersionControlLabel label = new VersionControlLabel(this.vcServer, this.label, this.vcServer.AuthenticatedUser, this.labelScopeDirectory, this.labelComment); List<LabelItemSpec> labelSpecs = new List<LabelItemSpec>(); // iterate files and versions foreach (var fileAndVersion in this.filesAndVersions) { VersionSpec vs = null; Item i = null; // i have no idea why the itemspec is needed instead of the item and version... ItemSpec iSpec = new ItemSpec("{0}/{1}".FormatString(this.source, fileAndVersion.Key), RecursionType.None); GetItemAndVersionSpec(fileAndVersion.Key, fileAndVersion.Value, out vs, out i); labelSpecs.Add(new LabelItemSpec(iSpec, vs, false)); } this.vcServer.CreateLabel(label, labelSpecs.ToArray(), LabelChildOption.Merge); (there are some extension methods in there... this is all largely lifted from this blog post) The thing that concerns me is things like this in the MSDN docs: This enumeration supports the .NET Framework infrastructure and is not intended to be used directly from your code. So MSDN is telling me not to use that enumeration (LabelChildOption), which is afaik the only way to create a label and add it to a file. Is there a better way? Is this sort of a "grey" area in the TFS API?

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  • SVN Question regarding branching and third party vendor branching

    - by fritzone
    Hi, We are developing an application which consists of: a source code base given to us by a partner infrequently. This is a somewhat working code, "final" version of something. They have their own release cycle and version tracking. on the code base above we make our changes. These can be either bugfixes or development of new features. Till now, we managed to create some code mayhem, as a result we would like to put all this in a SVN repository. I would like to ask you what you think is the best practice for this to happen with the less pain. The followings are our things that we consider important: We would like to track our bugfixes/changes since we cannot send back bugfixes to our software vendor, but we can report a bug (and they might or might not fix it). All we develop on their code remains "in-house" they are not interested in our changes. As long as we don't get a new codebase from the vendor, we consider their latest version to be the stable one we are working on. This might be branched down further, but the result is always a stable trunk, the build is done based on this "stable" trunk. When the vendor releases a new version we would like to merge our "stable" trunk (which contains a lot of changes) with their changes, thus creating a new "stable" trunk. For each version we deploy (to clients) we should be able later to fix bugs only on that version, for clients who have installed our system using that specific version There are more developers working on the codebase... (as usual :) Thanks a lot for the tips.

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  • How to set "Run this program as an administrator" programatically.

    - by Patrick
    I'm having a problem with good ol' bdeadmin.exe in Vista. First, let's get the predictable responses out of the way: "You should not require your application to be elevated." This one does. C'est la vie. "You need to embed a manifest file." It is already compiled, it is many years old, the company that created it has no intention of doing it again, and it is installed from a Merge Module (MSM file). "BDE is obsolete, you should be using dbExpress" One and a half million lines of code. 'Nuff said. "Drop a manifest file next to the EXE." Tried that, did nothing. As a test, that same manifest file was able to make several other EXE files require elevation, just not the one I wanted. Something in there is preventing the external manifest from being read. "Create a shortcut and set SLDF_RUNAS_USER." Can't do that, it's a Control Panel applet. The only thing that worked was setting "Run this program as an administrator" under the Compatibility tab of its Properties window. I shouldn't have to tell users to do this. Bad for business. I need to have the installer do this. The MSM file uses a static path. Any ideas?

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  • In NHIbernate, why does SaveOrUpdate() update the Version, but SaveOrUpdateCopy() doesn't?

    - by Daniel T.
    I have a versioned entity, and this is what happens when I use SaveOrUpdate() vs. SaveOrUpdateCopy(): // create new entity var entity = new Entity{ Id = Guid.Empty }); Console.WriteLine(entity.Version); // prints out 0 // save the new entity GetNewSession(); entity.SaveOrUpdate(); Console.WriteLine(entity.Version); // prints out 1 GetNewSession(); // loads the persistent entity into the session, so we have to use // SaveOrUpdateCopy() to merge the following transient entity var dbEntity = Database.GetAll<Entity>(); // new, transient entity used to update the persistent entity in the session var newEntity = new Entity{ Id = Guid.Empty }); newEntity.SaveOrUpdateCopy(); Console.WriteLine(entity.Version); // prints out 1, but should be 2 Why is the version number is not updated for SaveOrUpdateCopy()? As I understand it, the transient entity is merged with the persistent entity. The SQL calls confirm that the data is updated. At this point, shouldn't newEntity become persistent, and the version number incremented?

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  • Table design issues - should I create separate fields or store as a blob

    - by Ali
    Hi guys I'm working on my web based ordering system and we would like to maintain a kind of task history for each of our orders. A hsitory in the sense that we would like to maintain a log of who did what on an order like lets say an order has been entered - we would like to know if the order was acknowledged for an example. Or lets say somebody followed up on the order - etc. Consider that there are numerous situations like this for each order would it be wise to create a schema on the lines of: Orders ID - title - description - date - is_ack - is_follow - ack_by ..... That accounts to a lot of fields - on teh other hand I could have one LongText field called 'history' and fill it with a serialised object holding all the information. However in the latter case I can't run a query to lets say retrieve all orders that have not been acknowledged and stuff like that. With time requirements woudl change and I would be required to modify it to allow for more detailed tracking and that is why I need to set up a way which would be feasible to scale upon yet I don't want to be restricted on the SQL side too much.

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  • Did you love the game Mouse Trap as a kid, or something similar? (Programmer Psychology) [closed]

    - by Robert Oschler
    When I was a kid I absolutely fell in love with games that had as a core feature, the need to understand interconnecting structures. My favorite of all time was Mouse Trap. For the younger crowd out there, this was a very cool board game where you built the mouse trap out of the included plastic pieces as you played, with the end goal to trigger the mouse trap. The fully assembled mouse trap was a Rube Goldberg style invention where one operation triggered the next and the next and so on, until the last step dropped a cage on a little plastic mouse. Sometimes when I'm programming and I'm reviewing a particularly complex interaction between components and objects, while tracking the flow path mentally, I say to myself "It's a Mouse Trap!" and I wonder if my early addiction to that game and others like it was portent to my becoming a programmer. Another realization I have sometimes when looking at my code is how daunted I feel at the share complexity involved, followed by a darker comedic amazement at my expectation that it will all come together and work. How about you? Did you find yourself drawn to games that at their heart featured interacting control paths when growing up? Robert.

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  • git branch naming best practices

    - by skiphoppy
    I've been using a local git repository interacting with my group's CVS repository for several months, now. I've made an almost neurotic number of branches, most of which have thankfully merged back into my trunk. But naming is starting to become an issue. If I have a task easily named with a simple label, but I accomplish it in three stages which each include their own branch and merge situation, then I can repeat the branch name each time, but that makes the history a little confusing. If I get more specific in the names, with a separate description for each stage, then the branch names start to get long and unwieldy. I did learn looking through old threads here that I could start naming branches with a / in the name, i.e., topic/task, or something like that. I may start doing that and seeing if it helps keep things better organized. What are some best practices for naming git branches? Edit: Nobody has actually suggested any naming conventions. I do delete branches when I'm done with them. I just happen to have several around due to management constantly adjusting my priorities. :) As an example of why I might need more than one branch on a task, suppose I need to commit the first discrete milestone in the task to the group's CVS repository. At that point, due to my imperfect interaction with CVS, I would perform that commit and then kill that branch. (I've seen too much weirdness interacting with CVS if I try to continue to use the same branch at that point.)

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  • Help with debugging COM errors? (.mdi to .pdf file conversions using Microsoft Office Document Imagi

    - by RyanW
    I thought I had a working solution for converting .mdi files to PDF using the Microsoft Office Document Imaging object model. The solution is in a Windows Service, but now I'm running into some errors that I'm having trouble tracking down info on. The exception I get is: The server threw an exception. (Exception from HRESULT: 0x80010105 (RPC_E_SERVERFAULT)) System.Runtime.InteropServices.COMException (0x80010105): The server threw an exception. (Exception from HRESULT: 0x80010105 (RPC_E_SERVERFAULT)) at MODI.DocumentClass.Create(String FileOpen) at DocumentStore.Mdi2PDF(String path, String newPath) Then, in the Event Viewer there is the following Application error: Faulting application MyWindowsServiceName.exe, version 1.0.0.0, time stamp 0x4b97f185, faulting module mso.dll, version 12.0.6425.1000, time stamp 0x49d65443, exception code 0xc0000005, fault offset 0x0000bd8e, process id 0xa5c, application start time 0x01cac08cf032914b. Here's the method that is doing the conversion: private int? Mdi2PDF(String path, String newPath) { int? pageCount = null; string tmpTif = Path.GetTempFileName(); MODI.Document mdiDoc = new MODI.Document(); mdiDoc.Create(path); mdiDoc.SaveAs(tmpTif, MODI.MiFILE_FORMAT.miFILE_FORMAT_TIFF_LOSSLESS, MODI.MiCOMP_LEVEL.miCOMP_LEVEL_HIGH); mdiDoc.Close(false); pageCount = Tiff2PDF(tmpTif, newPath); if (File.Exists(tmpTif)) File.Delete(tmpTif); return pageCount; } I removed all threading from the service invoking this, so that only the primary thread was initializing the MODI object, but still got the error, so it doesn't appear to be threading related. I also built a a console apps converting hundreds of documents and DID NOT get the exception. So, it seems to be caused by creating too many instances of the MODI object, but only instantiated within a Service? Doesn't quite make sense. Anybody have any clues about these errors and how to debug them further?

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  • ASP.NET MVC Concurrency with RowVersion in Edit Action

    - by Jorin
    I'm wanting to do a simple edit form for our Issue Tracking app. For simplicity, the HttpGet Edit action looks something like this: // Issues/Edit/12 public ActionResult Edit(int id) { var thisIssue = edmx.Issues.First(i => i.IssueID == id); return View(thisIssue); } and then the HttpPost action looks something like this: [HttpPost] public ActionResult Edit(int id, FormCollection form) { // this is the dumb part where I grab the object before I update it. // concurrency is sidestepped here. var thisIssue = edmx.Issues.Single(c => c.IssueID == id); TryUpdateModel(thisIssue); if (ModelState.IsValid) { edmx.SaveChanges(); TempData["message"] = string.Format("Issue #{0} successfully modified.", id); return RedirectToAction("Index"); } return View(thisIssue); } Which works wonderfully. However, the concurrency check doesn't work because in the Post, I'm re-retreiving the current entity right before I attempt to update it. However, with EF, I don't know how to use the fanciness of SaveChanges() but attach my thisIssue to the context. I tried to call edmx.Issues.Attach(thisIssue) but I get The object cannot be attached because it is already in the object context. An object can only be reattached when it is in an unchanged state. How do I handle concurrency in MVC with EF and/or how do I properly Attach my edited object to the context? Thanks in advance

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  • "no block given" errors with cache_money

    - by emh
    i've inherited a site that in production is generating dozens of "no block given" exceptions every 5 minutes. the top of the stack trace is: vendor/gems/nkallen-cache-money-0.2.5/lib/cash/accessor.rb:42:in `add' vendor/gems/nkallen-cache-money-0.2.5/lib/cash/accessor.rb:33:in `get' vendor/gems/nkallen-cache-money-0.2.5/lib/cash/accessor.rb:22:in `call' vendor/gems/nkallen-cache-money-0.2.5/lib/cash/accessor.rb:22:in `fetch' vendor/gems/nkallen-cache-money-0.2.5/lib/cash/accessor.rb:31:in `get' so it appears that the problem is in the cache money plugin. has anyone experienced something similar? i've cut and pasted the relevant code below -- anyone more familiar with blocks able to discern any obvious problems? 11 def fetch(keys, options = {}, &block) 12 case keys 13 when Array 14 keys = keys.collect { |key| cache_key(key) } 15 hits = repository.get_multi(keys) 16 if (missed_keys = keys - hits.keys).any? 17 missed_values = block.call(missed_keys) 18 hits.merge!(missed_keys.zip(Array(missed_values)).to_hash) 19 end 20 hits 21 else 22 repository.get(cache_key(keys), options[:raw]) || (block ? block.call : nil) 23 end 24 end 25 26 def get(keys, options = {}, &block) 27 case keys 28 when Array 29 fetch(keys, options, &block) 30 else 31 fetch(keys, options) do 32 if block_given? 33 add(keys, result = yield(keys), options) 34 result 35 end 36 end 37 end 38 end 39 40 def add(key, value, options = {}) 41 if repository.add(cache_key(key), value, options[:ttl] || 0, options[:raw]) == "NOT_STORED\r\n" 42 yield 43 end 44 end

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  • Best Practices for Setup and Management of an Open Source Project

    - by VirtuosiMedia
    Later this year I want to release a PHP framework that I've been working on as open source. I do use source control (SVN), but it's on an extremely limited basis. I'm self-taught, I develop by myself and don't have the experience of working with large teams. I have some ideas about what can help make a project successful, but I'm fuzzy on some of the details. Since it's not yet released, I want to do everything I can to set up the right infrastructure from the beginning. What do I need to know in order to setup and manage a successful project? Some ideas that I have to make it successful (beyond marketing it): Good documentation and tutorials Automated unit tests and builds to push update to the website A clear roadmap Bug Tracking integrated with the source control A style guide to keep the code consistent along with clear A forum for the community to get support, share ideas, etc. A good example application built with the framework A blog to keep the community informed Maintaining backwards compatibility wherever possible Some of my questions: How do I setup and automate a one step submit-test-commit-generate API docs-push update to website process? How do I handle (technically) submissions from other users? How can I ensure that those submissions must be approved before being integrated? What are some of the pitfalls that can be avoided in terms of the project community? I'd prefer to have it be as friendly and helpful as possible without a lot of drama. I'd love to learn from your experience on any of these points. If you think I'm missing anything big, please share that as well. Any resources (preferably geared toward a beginner) that you could point me towards would also be greatly appreciated.

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  • SQL Server 2008 Running trigger after Insert, Update locks original table

    - by Polity
    Hi Folks, I have a serious performance problem. I have a database with (related to this problem), 2 tables. 1 Table contains strings with some global information. The second table contains the string stripped down to each individual word. So the string is like indexed in the second table, word by word. The validity of the data in the second table is of less important then the validity of the data in the first table. Since the first table can grow like towards 1*10^6 records and the second table having an average of like 10 words for 1 string can grow like 1*10^7 records, i use a nolock in order to read the second this leaves me free for inserting new records without locking it (Expect many reads on both tables). I have a script which keeps on adding and updating rows to the first table in a MERGE statement. On average, the data beeing merged are like 20 strings a time and the scripts runs like ones every 5 seconds. On the first table, i have a trigger which is beeing invoked on a Insert or Update, which takes the newly inserted or updated data and calls a stored procedure on it which makes sure the data is indexed in the second table. (This takes some significant time). The problem is that when having the trigger disbaled, Reading the first table happens in a few ms. However, when enabling the trigger and your in bad luck of trying to read the first table while this is beeing updated, Our webserver gives you a timeout after 10 seconds (which is way to long anyways). I can quess from this part that when running the trigger, the first table is kept (partially) in a lock untill the trigger is completed. What do you think, if i'm right, is there a easy way around this? Thanks in advance! Cheers, Koen

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  • Eclipse / Aptana File Sync Solutions

    - by Brad
    Our development team uses Eclipse + Aptana to do their web development work. Currently, most of them are mapping their Eclipse projects directly to the web server. I'd rather them create a local project and use that to sync to the web server project directory they are working on. The issue is that there aren't any good solutions which is just appalling given the popularity of the two. The FileSync plugin for Eclipse is only one-way. Meaning if another developer makes a change to the file on the server, another dev isn't even notified and could overwrite the change. The File Transfer option in Aptana 2.0 doesn't support any sort of Sync, just manually uploading/downloading files. The Sync option in Aptana 1.5.1 doesn't allow you to merge files when they are different. You can only update one or the other. It does however allow you to view a diff (but only if you right click and select) and in that diff you can't make any changes. I did find a way to allow files to be uploaded to their Sync repositories in Aptana using Eclipse Monkey. However it doesn't work if a user saves multiple files at once, 'Save All', again it doesn't work. And additionally, there is no notification if a user opens a local file that has an updated copy on the server. I tried to add one using Eclipse Monkey but I couldn't find any sort of listener in the Eclipse API to do it and any Eclipse Monkey documentation is far and few between. My only solution at this point is just to let them continue to map directly to the server or ask them to do a manual download before they do any work (but again what if someone uploads a change right after they do that). Anyone have any ideas?

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  • stock management of assemblys and its sub parts

    - by The Disintegrator
    I have to track the stock of individual parts and kits (assembly) and can't find a satisfactory way of doing this. Sample bogus and hyper simplified database: Table prod: prodID 1 prodName Flux capacitor prodCost 900 prodPrice 1350 (900*1.5) prodStock 3 - prodID 2 prodName Mr Fusion prodCost 300 prodPrice 600 (300*2) prodStock 2 - prodID 3 prodName Time travel kit prodCost 1650 (1350+300) prodPrice 2145 (1650*1.3) prodStock 2 Table rels relID 1 relSrc 1 (Flux capacitor) relType 4 (is a subpart of) relDst 3 (Time travel kit) - relID 2 relSrc 2 (Mr Fusion) relType 4 (is a subpart of) relDst 3 (Time travel kit) prodPrice: it's calculated based on the cost but not in a linear way. In this example for costs of 500 or less, the markup is a 200%. For costs of 500-1000 the markup is 150%. For costs of 1000+ the markup is 130% That's why the time travel kit is much cheaper than the individual parts prodStock: here is my problem. I can sell kits or the individual parts, So the stock of the kits is virtual. The problem when I buy: Some providers sell me the Time Travel kit as a whole (with one barcode) and some sells me the individual parts (with a different barcode) So when I load the stock I don't know how to impute it. The problem when I sell: If I only sell kits, calculate the stock would be easy: "I have 3 Flux capacitors and 2 Mr Fusions, so I have 2 Time travel kits and a Flux Capacitor" But I can sell Kits or individual parts. I have to track the stock of the individual parts and the possible kits at the same time (and I have to compensate for the sell price) Probably this is really simple, but I can't see a simple solution. Resuming: I have to find a way of tracking the stock and the database/program is the one who has to do it (I cant ask the clerk to correct the stock) I'm using php+MySql. But this is more a logical problem than a programing one

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  • jqModal/JQuery problem, div not updating with new content?

    - by echoesofspring
    I'm hoping someone can point a relative jQuery/jqModal newbie in the right direction for debugging this error. I'm loading an html fragment into a div and then use jqModal to display that div as a modal dialog. The problem is that the div is displayed but not with my updated html. I'm showing my jqModal dialog in the response from a jquery call, function foo is called from an onclick event: function foo(url) { $.ajax({ type: "GET", url: url, success: function(msg) { $('#ajaxmodal').html(msg); $('#ajaxmodal').jqmShow(); } }); } ajaxmodal is a simple div. Initially I thought the problem must be in the html snippet (msg) I'm passing to the callback, but I don't think that's it, I get the err (see below) even when I comment out the $('#ajaxmodal').html(msg) line or pass it hardcode html. I think I have jqModal configured correctly, other calls using our ajaxmodal div work correctly, I'm able to display the modal, update the content based the server response, etc. When I try to debug in firebug, I get the following error following the call to .jqmShow(). I have seen the err on occasion in other places when it seemed maybe the page hadn't loaded yet, and I confess I'm confused about that, since we've wrapped our jqModal selectors in a $(document).ready() call, so maybe I have a larger issue that this call just happens to trigger? From the jquery.jqModal.js file, line 64: js err is $(':input:visible',h.w)[0] is undefined in the line: f=function(h){try{$(':input:visible',h.w)[0].focus();}catch(_){}} When I step through this in firefox, h.w[0] seems ok, it references our '#ajaxmodal' div. Thanks in advance for any suggestions in tracking this down?

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  • How does 'lazy' work?

    - by Matt Fenwick
    What is the difference between these two functions? I see that lazy is intended to be lazy, but I don't understand how that is accomplished. -- | Identity function. id :: a -> a id x = x -- | The call '(lazy e)' means the same as 'e', but 'lazy' has a -- magical strictness property: it is lazy in its first argument, -- even though its semantics is strict. lazy :: a -> a lazy x = x -- Implementation note: its strictness and unfolding are over-ridden -- by the definition in MkId.lhs; in both cases to nothing at all. -- That way, 'lazy' does not get inlined, and the strictness analyser -- sees it as lazy. Then the worker/wrapper phase inlines it. -- Result: happiness Tracking down the note in MkId.lhs (hopefully this is the right note and version, sorry if it's not): Note [lazyId magic] ~~~~~~~~~~~~~~~~~~~ lazy :: forall a?. a? -> a? (i.e. works for unboxed types too) Used to lazify pseq: pseq a b = a `seq` lazy b Also, no strictness: by being a built-in Id, all the info about lazyId comes from here, not from GHC.Base.hi. This is important, because the strictness analyser will spot it as strict! Also no unfolding in lazyId: it gets "inlined" by a HACK in CorePrep. It's very important to do this inlining after unfoldings are exposed in the interface file. Otherwise, the unfolding for (say) pseq in the interface file will not mention 'lazy', so if we inline 'pseq' we'll totally miss the very thing that 'lazy' was there for in the first place. See Trac #3259 for a real world example. lazyId is defined in GHC.Base, so we don't have to inline it. If it appears un-applied, we'll end up just calling it. I don't understand that because it refers to lazyId instead of lazy. How does lazy work?

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  • REST application, Transactions, Cache drop

    - by Julian Davchev
    Hi, I am building REST API in php with memcache layer on top for caching all resources. After some reading experience it turns out it's best when documents are as simple as posible...mainly due to dropping cache sequences. So if there is 'building','room' entities for the 'room' document I would only place the id of the 'building' and not the whole data of it. Then on api client side I would merge data as needed. Problem becomes when I need to update/insert (most cases more than one table). I update one resource but on second update system fails or whatever and there becomes database inconsistancies. I see several solutions: 1. Implement rest transactions which I find wrong and complex as idea is to be stateless and easy. 2. On update/insert actions I pass more complex data (not single entities) so I can force transactions on API level. But this will make it weird that your GET document structure is same as PUT document structure. And again somehow make drop sequences complex. Any pointers are more than welcome. Cheers,

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  • How to Disable/Enable WYSIWYG editor in Magento 1.4

    - by latvian
    Hi When entering code in CMS static block(possible page as well) and in this code there is empty DIV tags such us: <a href="javascript:hide1(),show2(),hide3()"><div class="dropoff_button"></div></a> The DIV tags will be gone next time you open the block to edit. it will look as this <a href="javascript:hide1(),show2(),hide3()"> </a> without the div tags ...and saving again it modifies your code. I think it something to do with the 'show/hide editor'. By default it goes into the WYSIWYG editor, so when updating static block i don't see any other solution than 1."hide the editor' by clicking 'show/hide editor' 2.delete the old code from the editor 3. get code that doesn't miss the DIVs 4. Merge new code with code in 3 in some other editing software than magento 5. paste result in the magento editor, 6. Save Is this bug? What is your solution? Can i turn of WYSIWYG editor?

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  • automated email downloading and treading similar messages

    - by Michael
    Okay here it is : I have built an c# console app that downloads email, save attachments , and stores the subject, from, to, body to a MS SQL Database. I use aspNetPOP3 Component to do this. I have build a front end ASP.NET application to search and view the messages. Works great. Next Steps (this is where I need help ): Now I want my users (of the asp.net app) to reply to this message send the email to the originator, and tread any additional replies back and forth on from that original message(like basecamp). This would allow my end user not to have to log-in to a system, they just continue using email (our users can as well). The question is what should I use to determine if messages are related? Subject line I think is a bad approach. I believe the best method i've seen so far is way basecamp does it, but I'm not sure how that is done, here is a real example of the reply to address from a basecamp email (I've changed the host name): [email protected] Basecamp obviously are prefixing the pre-pending a tracking id to the email address, however , when I try this with my mail service, it's rejected. Is this the best approach, is there a way I can accomplish this, is there a better approach, or even a better email component tool? Thanks, Mike

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  • How do you tune Eclipse IDE? How do you use Eclipse IDE?

    - by Kirzilla
    Hello, I've started to read the book "Code Craft" by Pete Goodliffe. The fourth chapter is about instruments that developer uses during his daily work; this chapter made me to review my work and I've seriously decided to make it easier with fully personalized IDE. Eclipse IDE is what I've started my learning from... I've read documentation and found that it's really easy to do tasks routine from Eclipse. We are using Mantis for tracking tasks and it was great surprise for me to find out Mantis Connector for Mylyn. Also I was pretty glad to see SVN client integrated into Eclipse IDE. Also I've found UML2 tool for Eclipse, but was disappointed because there is no any graphic interface for building diagramms. (Or, maybe, I'm was searching in wrong place?) What useful plugins do you use in your daily work? How do you use Eclipse for collaboration in your team? Do you have any links about intergration Eclipse IDE experience in dev. team? Thank you!

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  • Reference a Map by name within Velocity Template

    - by Wiretap
    Pretty sure there is an easy answer to this, but just can't find the right VTL syntax. In my context I'm passing a Map which contains other Maps. I'd like to reference these inner maps by name and assign them within my template. The inner maps are constructed by different parts of the app, and then added to the context by way of example public static void main( String[] args ) throws Exception { VelocityEngine ve = new VelocityEngine(); ve.init(); Template t = ve.getTemplate( "test.vm" ); VelocityContext context = new VelocityContext(); Map<String,Map<String,String>> messageData = new HashMap<String, Map<String,String>>(); Map<String,String> data_map = new HashMap<String,String>(); data_map.put("data_1","1234"); data_map.put("a_date", "31-Dec-2009"); messageData.put("inner_map", data_map); context.put("msgData", messageData); StringWriter writer = new StringWriter(); t.merge( context, writer ); System.out.println( writer.toString() ); } Template - test.vm #set ($in_map = $msgData.get($inner_map) ) data: $in_map.data_1 $in_map.a_date

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  • Persisting complex data between postbacks in ASP.NET MVC

    - by Robert Wagner
    I'm developing an ASP.NET MVC 2 application that connects to some services to do data retrieval and update. The services require that I provide the original entity along with the updated entity when updating data. This is so it can do change tracking and optimistic concurrency. The services cannot be changed. My problem is that I need to somehow store the original entity between postbacks. In WebForms, I would have used ViewState, but from what I have read, that is out for MVC. The original values do not have to be tamper proof as the services treat them as untrusted. The entities would be (max) 1k and it is an intranet app. The options I have come up are: Session - Ruled out - Store the entity in the Session, but I don't like this idea as there are no plans to share session between URL - Ruled out - Data is too big HiddenField - Store the serialized entity in a hidden field, perhaps with encryption/encoding HiddenVersion - The entities have a (SQL) version field on them, which I could put into a hidden field. Then on a save I get "original" entity from the services and compare the versions, doing my own optimistic concurrency. Cookies - Like 3 or 4, but using a cookie instead of a hidden field I'm leaning towards option 4, although 3 would be simpler. Are these valid options or am I going down the wrong track? Is there a better way of doing this?

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  • Magento - Authorize.net - Get Payment Update for expired transactions

    - by pspahn
    Magento 1.6.1 I have set up Authorize.net (AIM) for the client's store. Previously they were using saved CC method and entering information manually in Authorize.net's merchant terminal. Most of it is working as expected, however for transactions that are flagged as 'Suspected Fraud' by Authorize.net, if the client does not update the transaction manually before the authorization expires, using 'Get Payment Update' in Magento fails because the transaction is expired (I believe it's five days for an authorize only transaction). For the client, it seems the only way to update this order in Magento is to simply delete the order, as it doesn't appear the Paygate model knows about expired transactions. Performing 'Get Payment Update' simply returns 'There is no update for this payment'. I have already modified the file: /app/code/core/Mage/Paygate/Model/Authorize.net to have the correct API URL as described in issue #27117 ( http://www.magentocommerce.com/bug-tracking/issue?issue=12991 - must be logged in to view ). This resolved the button not working for all other orders; however this does not fix the issue I am describing. Is anyone familiar with Authorize.net's AIM API so that we can update these orders in Magento to something that makes sense (canceled, etc.) without having to delete the order? I am thinking it should be a case of adding a new order status to Magento, checking the update for an 'Expired' status, and setting the order to the newly created order status. -- edit -- I just ran a diff for the file mentioned above and noticed that Magento 1.7.0.2 includes the _isTransactionExpired() method which seems like it would be the fix. Can it be as simple as updating this model with the newer version?

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