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  • SQLite self-join performance

    - by Derk
    What I essentially want, is to retreive all features and values of products which have a particular feature and value. For example: I want to know all available hard drive sizes of products that have an Intel processor. I have three tables: product_to_value (product_id, feature_id, value_id) features (id, value) // for example Processor family, Storage size, etc. values (id, value) // for example Intel, 60GB, etc The simplified query I have now: SELECT features.name, featurevalues.name, featurevalues.value FROM products, products as prod2, features, features as feat2, values, values as val2 WHERE products.feature = features.id AND products.value = values.id AND products.product = prod2.product AND prod2.feature_id = feat2.id AND prod2.value_id = val2.id AND features.id = ? AND feat2.id = ? All columns have an index. I am using SQLite. The problem is that it's very slow (70ms per query, without the self-join it's <1ms). Is there a smarter way to fetch data like this? Or is this too much to ask from SQLite? I personally think I am simply overlooking something, as I am quite new to SQLite.

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  • Problem with duplicates in a SQL Join

    - by Chris Ballance
    I have the following result set from a join of three tables, an articles table, a products table, an articles to products mapping table. I would like to have the results with duplicates removed similar to a select distinct on content id. Current result set: [ContendId] [Title] [productId] 1 article one 2 1 article one 3 1 article one 9 4 article four 1 4 article four 10 4 article four 14 5 article five 1 6 article six 8 6 article six 10 6 article six 11 6 article six 13 7 article seven 14 Desired result set: [ContendId] [Title] [productId] 1 article one * 4 article four * 5 article five * 6 article six * 7 article seven * Here is condensed example of the relevant SQL: IF EXISTS (SELECT * FROM sys.objects WHERE object_id = OBJECT_ID(N'tempdb.dbo.products') AND type = (N'U')) drop table tempdb.dbo.products go CREATE TABLE tempdb.dbo.products ( productid int, productname varchar(255) ) go IF EXISTS (SELECT * FROM sys.objects WHERE object_id = OBJECT_ID(N'articles') AND type = (N'U')) drop table tempdb.dbo.articles go create table tempdb.dbo.articles ( contentid int, title varchar(255) ) IF EXISTS (SELECT * FROM sys.objects WHERE object_id = OBJECT_ID(N'articles') AND type = (N'U')) drop table tempdb.dbo.articles go create table tempdb.dbo.articles ( contentid int, title varchar(255) ) IF EXISTS (SELECT * FROM sys.objects WHERE object_id = OBJECT_ID(N'articleproducts') AND type = (N'U')) drop table tempdb.dbo.articleproducts go create table tempdb.dbo.articleproducts ( contentid int, productid int ) insert into tempdb.dbo.products values (1,'product one'), (2,'product two'), (3,'product three'), (4,'product four'), (5,'product five'), (6,'product six'), (7,'product seven'), (8,'product eigth'), (9,'product nine'), (10,'product ten'), (11,'product eleven'), (12,'product twelve'), (13,'product thirteen'), (14,'product fourteen') insert into tempdb.dbo.articles VALUES (1,'article one'), (2, 'article two'), (3, 'article three'), (4, 'article four'), (5, 'article five'), (6, 'article six'), (7, 'article seven'), (8, 'article eight'), (9, 'article nine'), (10, 'article ten') INSERT INTO tempdb.dbo.articleproducts VALUES (1,2), (1,3), (1,9), (4,1), (4,10), (4,14), (5,1), (6,8), (6,10), (6,11), (6,13), (7,14) GO select DISTINCT(a.contentid), a.title, p.productid from articles a JOIN articleproducts ap ON a.contentid = ap.contentid JOIN products p ON a.contentid = ap.contentid AND p.productid = ap.productid ORDER BY a.contentid

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  • Ruby and RSS2 Feed not displaying image

    - by pcasa
    Trying to create a simple RSS2 Feed that I could later pass on to FeedBurner but can't get RSS feed to display images at all. Also, from what I have read having xml.instruct! on top might cause IE to complain it's not a valid feed. Is this true? My Code looks like xml.instruct! xml.rss "version" => "2.0", "xmlns:dc" => "http://purl.org/dc/elements/1.1/" do xml.channel do xml.title "Store" xml.link url_for :only_path => false, :controller => 'products' xml.description "Store" xml.pubDate @products.first.updated_at.rfc822 if @products.any? @products.each do |product| xml.item do xml.title product.name xml.pubDate (product.updated_at.rfc822) xml.image do xml.url domain_host + product.product_image.url(:small) xml.title "Store" xml.link url_for :only_path => false, :controller => 'products' end xml.link url_for :only_path => false, :controller => 'products', :action => 'show', :id => product.permalink xml.description product.fine_print xml.guid url_for :only_path => false, :controller => 'products', :action => 'show', :id => product.permalink end end end end

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  • Bug with DataBinding in WPF Host in Winforms?

    - by Tigraine
    Hi Guys, I've spent far too much time with this and can't find the mistake. Maybe I'm missing something very obvious or I may have just found a bug in the WPF Element Host for Winforms. I am binding a ListView to a ObeservableList that lives on my ProductListViewModel. I'm trying to implement searching for the ListView with the general Idea to just change the ObservableList with a new list that is filtered. Anyway, the ListView Binding code looks like this: <ListView ItemsSource="{Binding Path=Products}" SelectedItem="{Binding Path=SelectedItem}" SelectionMode="Single"> <ListView.ItemContainerStyle> <Style TargetType="{x:Type ListViewItem}"> <Setter Property="IsSelected" Value="{Binding IsSelected, Mode=TwoWay}"></Setter> </Style> </ListView.ItemContainerStyle> <ListView.ItemTemplate> <DataTemplate> <TextBlock Text="{Binding Name}"></TextBlock> </DataTemplate> </ListView.ItemTemplate> </ListView> And the ViewModel code is as vanilla as it can get: private ObservableCollection<ProductViewModel> products; public ObservableCollection<ProductViewModel> Products { get { return products; } private set { if (products != value) { products = value; OnPropertyChanged("Products"); } } } Now the problem here: Once I debug into my OnPropertyChanged method, I can see that there are no subscribers to the PropertyChanged event (it's null), so nothing happens on the UI.. I already tried Mode=TwoWay and other Binding modes, it seems I can't get the ListView to subscribe to the ItemsSource... Can anyone help me with this? I'm just about to forget about the ElemenHost and just do it in Winforms greetings Daniel

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  • Large Product catalog with statistics - alternatives to Sql Server?

    - by Eric P
    I am building UI for a large product catalog (millions of products). I am using Sql Server, FreeText search and ASP.NET MVC. Tables are normalized and indexed. Most queries take less then a second to return. The issue is this. Let's say user does the search by keyword. On search results page I need to display/query for: First 20 matching products (paged, sorted) Total count of matching products for paging List of stores only of matching products List of brands only of matching products List of colors only of matching products Each query takes about .5 to 1 seconds. Altogether it is like 5 seconds. I would like to get the whole page to load under 1 second. There are several approaches: Optimize queries even more. I already spent a lot of time on this one, so not sure it can be pushed further. Load products first, then load the rest of the information using AJAX. More like a workaround. Will need to revise UI. Re-organize data to be more Report friendly. Already aggregated a lot of fields. I checked out several similar sites. For ex. zappos.com. Not only they display the same information as I would like in under 1 second, but they also include statistics (number of results in each category). The following is the search for keyword "white" http://www.zappos.com/white How do sites like zappos, amazon make their results, filters and stats appear almost instantly?

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  • Centralized Windows/Mac Patch Management that is easy to use

    - by BiggsTRC
    I'm looking for advice on what patch management solutions you would recommend based upon your experience. I'm also looking for which ones you would not recommend based upon your experience. We have a mixed network of Windows and Mac clients. Our central servers are all Windows servers, although I have considered putting in a Mac server to better handle our Mac clients. The issue we are facing currently is that we need to maintain the patches on all of our third-party applications. Right now we use WSUS, which handles with patching of Windows and some Microsoft products but that is about it. I need something to cover the other applications, specifically things like Adobe products (Reader, Flash, Dreamweaver, etc.) Our network isn't that big (maybe 200 clients) and I don't have a person to dedicate just to patching and maintaining a patch management solution. Thus very large and complicated solutions like System Center are most likely out. I have recently been looking at Dell's Kace K1000 solution (http://www.kace.com/products/systems-management-appliance/). It seems simple and it provides a lot of tools in one package that I would like/need as well. I like the fact that it is self-contained in an appliance and that it is designed for solutions like mine. However, I'm not sure if this is the best solution. I've also looked some at Shavlik's Netchk solution (http://www.shavlik.com/netchk-protect.aspx) but I don't need an anti-virus product. However, it looks like they might have a very good patch database. My question is this: What are your thoughts on these to products? Are there better products out there? Are there issues that I'm not considering? I want something that is very good at patching a broad range of products, that is simple to use, that takes a minimal amount of management (like WSUS), and that (hopefully) works with Mac and Windows.

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  • Function inserted not all records

    - by user1799459
    I wrote the following code by data transfer from Access to Firebird def FirebirdDatetime(dt): return '\'%s.%s.%s\'' % (str(dt.day).rjust(2,'0'), str(dt.month).rjust(2,'0'), str(dt.year).rjust(4,'0')) def SelectFromAccessTable(tablename): return 'select * from [' + tablename+']' def InsertToFirebirdTable(tablename, row): values='' i=0 for elem in row: i+=1 #print type(elem) if type(elem) == int: temp = str(elem) elif (type(elem) == str) or (type(elem)==unicode): temp = '\'%s\'' % (elem,) elif type(elem) == datetime.datetime: temp =FirebirdDatetime(elem) elif type(elem) == decimal.Decimal: temp = str(elem) elif elem==None: temp='null' if (i<len(row)): values+=temp+', ' else: values+=temp return 'insert into '+tablename+' values ('+values+')' def AccessToFirebird(accesstablename, firebirdtablename, accesscursor, firebirdcursor): SelectSql=SelectFromAccessTable(accesstablename) for row in accesscursor.execute(SelectSql): InsertSql=InsertToFirebirdTable(firebirdtablename, row) InsertSql=InsertSql print InsertSql firebirdcursor.execute(InsertSql) In the main module there is an AccessToFirebird function call conAcc = pyodbc.connect('DRIVER={Microsoft Access Driver (*.mdb, *.accdb)};DBQ=D:\ThirdTask\Northwind.accdb') SqlAccess=conAcc.cursor(); conn.begin() cur=conn.cursor() sql.AccessToFirebird('Customers', 'CLIENTS', SqlAccess, cur) conn.commit() conn.begin() cur=conn.cursor() sql.AccessToFirebird('??????????', 'EMPLOYEES', SqlAccess, cur) sql.AccessToFirebird('????', 'ROLES', SqlAccess, cur) sql.AccessToFirebird('???? ???????????', 'EMPLOYEES_ROLES', SqlAccess, cur) sql.AccessToFirebird('????????', 'DELIVERY', SqlAccess, cur) sql.AccessToFirebird('??????????', 'SUPPLIERS', SqlAccess, cur) sql.AccessToFirebird('????????? ?????? ???????', 'TAX_STATUS_OF_ORDERS', SqlAccess, cur) sql.AccessToFirebird('????????? ???????? ? ??????', 'STATE_ORDER_DETAILS', SqlAccess, cur) sql.AccessToFirebird('????????? ???????', 'CONDITION_OF_ORDERS', SqlAccess, cur) sql.AccessToFirebird('??????', 'ORDERS', SqlAccess, cur) sql.AccessToFirebird('?????', 'BILLS', SqlAccess, cur) sql.AccessToFirebird('????????? ?????? ?? ????????????', 'STATUS_PURCHASE_ORDER', SqlAccess, cur) sql.AccessToFirebird('?????? ?? ????????????', 'ORDERS_FOR_ACQUISITION', SqlAccess, cur) sql.AccessToFirebird('???????? ? ?????? ?? ????????????', 'INFORMPURCHASEORDER', SqlAccess, cur) sql.AccessToFirebird('??????', 'PRODUCTS', SqlAccess, cur) conn.commit() conAcc.commit() conn.close() conAcc.close() But as a result, not all records have been inserted into the table Products (Table Goods - Northwind database), for example, does not work request insert into PRODUCTS values ('4', 1, 'NWTB-1', '?????????? ???', null, 13.5000, 18.0000, 10, 40, '10 ??????? ?? 20 ?????????', '10 ??????? ?? 20 ?????????', 10, '???????', '') In ibexpert to this request message issued can't format message 13:587 -- message file C:\Windows\firebird.msg not found. conversion error from string "10 ?????????±???? ???? 20 ???°???µ?‚????????". Worked only requests insert into PRODUCTS values ('1', 82, 'NWTC-82', '???????', null, 2.0000, 4.0000, 20, 100, null, null, null, '????', '') insert into PRODUCTS values ('9', 83, 'NWTCS-83', '???????????? ?????', null, 0.5000, 1.8000, 30, 200, null, null, null, '????? ? ???????', '') insert into PRODUCTS values ('1', 97, 'NWTC-82', '???????', null, 3.0000, 5.0000, 50, 200, null, null, null, '????', '') insert into PRODUCTS values ('6', 98, 'NWTSO-98', '??????? ???', null, 1.0000, 1.8900, 100, 200, null, null, null, '????', '') insert into PRODUCTS values ('6', 99, 'NWTSO-99', '??????? ??????', null, 1.0000, 1.9500, 100, 200, null, null, null, '????', '') other records were not inserted.

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  • makefile pathing issues on OSX

    - by Justin808
    OK, I thought I would try one last update and see if it gets me anywhere. I've created a very small test case. This should not build anything, it just tests the path settings. Also I've setup the path so there are no spaces. The is the smallest, simplest test case I could come up with. This makefile will set the path, echo the path, run avr-gcc -v with the full path specified and then try to run it without the full path specified. It should find avr-gcc in the path on the second try, but does not. makefile TOOLCHAIN := /Users/justinzaun/Desktop/AVRBuilder.app/Contents/Resources/avrchain PATH := ${TOOLCHAIN}/bin:${PATH} export PATH all: @echo ${PATH} @echo -------- "${TOOLCHAIN}/bin/avr-gcc" -v @echo -------- avr-gcc -v output JUSTINs-MacBook-Air:Untitled justinzaun$ make /Users/justinzaun/Desktop/AVRBuilder.app/Contents/Resources/avrchain/bin:/usr/bin:/bin:/usr/sbin:/sbin:/usr/local/bin:/usr/X11/bin -------- "/Users/justinzaun/Desktop/AVRBuilder.app/Contents/Resources/avrchain/bin/avr-gcc" -v Using built-in specs. COLLECT_GCC=/Users/justinzaun/Desktop/AVRBuilder.app/Contents/Resources/avrchain/bin/avr-gcc COLLECT_LTO_WRAPPER=/Users/justinzaun/Desktop/AVRBuilder.app/Contents/Resources/avrchain/bin/../libexec/gcc/avr/4.6.3/lto-wrapper Target: avr Configured with: /Users/justinzaun/Development/AVRBuilder/Packages/gccobj/../gcc/configure --prefix=/Users/justinzaun/Development/AVRBuilder/Packages/gccobj/../build/ --exec-prefix=/Users/justinzaun/Development/AVRBuilder/Packages/gccobj/../build/ --datadir=/Users/justinzaun/Development/AVRBuilder/Packages/gccobj/../build/ --target=avr --enable-languages=c,objc,c++ --disable-libssp --disable-lto --disable-nls --disable-libgomp --disable-gdbtk --disable-threads --enable-poison-system-directories Thread model: single gcc version 4.6.3 (GCC) -------- avr-gcc -v make: avr-gcc: No such file or directory make: *** [all] Error 1 JUSTINs-MacBook-Air:Untitled justinzaun$ Original Question I'm trying to set the path from within the makefile. I can't seem to do this on OSX. Setting the path with PATH := /new/bin/:$(PATH) does not work. See my makefile below. makefile PROJECTNAME = Untitled # Name of target controller # (e.g. 'at90s8515', see the available avr-gcc mmcu # options for possible values) MCU = atmega640 # id to use with programmer # default: PROGRAMMER_MCU=$(MCU) # In case the programer used, e.g avrdude, doesn't # accept the same MCU name as avr-gcc (for example # for ATmega8s, avr-gcc expects 'atmega8' and # avrdude requires 'm8') PROGRAMMER_MCU = $(MCU) # Source files # List C/C++/Assembly source files: # (list all files to compile, e.g. 'a.c b.cpp as.S'): # Use .cc, .cpp or .C suffix for C++ files, use .S # (NOT .s !!!) for assembly source code files. PRJSRC = main.c \ utils.c # additional includes (e.g. -I/path/to/mydir) INC = # libraries to link in (e.g. -lmylib) LIBS = # Optimization level, # use s (size opt), 1, 2, 3 or 0 (off) OPTLEVEL = s ### You should not have to touch anything below this line ### PATH := /Users/justinzaun/Library/Developer/Xcode/DerivedData/AVR_Builder-gxiykwiwjywvoagykxvmotvncbyd/Build/Products/Debug/AVR\ Builder.app/Contents/Resources/avrchain/bin:/usr/bin:/bin:$(PATH) CPATH := /Users/justinzaun/Library/Developer/Xcode/DerivedData/AVR_Builder-gxiykwiwjywvoagykxvmotvncbyd/Build/Products/Debug/AVR\ Builder.app/Contents/Resources/avrchain/include # HEXFORMAT -- format for .hex file output HEXFORMAT = ihex # compiler CFLAGS = -I. $(INC) -g -mmcu=$(MCU) -O$(OPTLEVEL) \ -fpack-struct -fshort-enums \ -funsigned-bitfields -funsigned-char \ -Wall -Wstrict-prototypes \ -Wa,-ahlms=$(firstword \ $(filter %.lst, $(<:.c=.lst))) # c++ specific flags CPPFLAGS = -fno-exceptions \ -Wa,-ahlms=$(firstword \ $(filter %.lst, $(<:.cpp=.lst)) \ $(filter %.lst, $(<:.cc=.lst)) \ $(filter %.lst, $(<:.C=.lst))) # assembler ASMFLAGS = -I. $(INC) -mmcu=$(MCU) \ -x assembler-with-cpp \ -Wa,-gstabs,-ahlms=$(firstword \ $(<:.S=.lst) $(<.s=.lst)) # linker LDFLAGS = -Wl,-Map,$(TRG).map -mmcu=$(MCU) \ -lm $(LIBS) ##### executables #### CC=avr-gcc OBJCOPY=avr-objcopy OBJDUMP=avr-objdump SIZE=avr-size AVRDUDE=avrdude REMOVE=rm -f ##### automatic target names #### TRG=$(PROJECTNAME).out DUMPTRG=$(PROJECTNAME).s HEXROMTRG=$(PROJECTNAME).hex HEXTRG=$(HEXROMTRG) $(PROJECTNAME).ee.hex # Start by splitting source files by type # C++ CPPFILES=$(filter %.cpp, $(PRJSRC)) CCFILES=$(filter %.cc, $(PRJSRC)) BIGCFILES=$(filter %.C, $(PRJSRC)) # C CFILES=$(filter %.c, $(PRJSRC)) # Assembly ASMFILES=$(filter %.S, $(PRJSRC)) # List all object files we need to create OBJDEPS=$(CFILES:.c=.o) \ $(CPPFILES:.cpp=.o) \ $(BIGCFILES:.C=.o) \ $(CCFILES:.cc=.o) \ $(ASMFILES:.S=.o) # Define all lst files. LST=$(filter %.lst, $(OBJDEPS:.o=.lst)) # All the possible generated assembly # files (.s files) GENASMFILES=$(filter %.s, $(OBJDEPS:.o=.s)) .SUFFIXES : .c .cc .cpp .C .o .out .s .S \ .hex .ee.hex .h .hh .hpp # Make targets: # all, disasm, stats, hex, writeflash/install, clean all: $(TRG) $(TRG): $(OBJDEPS) $(CC) $(LDFLAGS) -o $(TRG) $(OBJDEPS) #### Generating assembly #### # asm from C %.s: %.c $(CC) -S $(CFLAGS) $< -o $@ # asm from (hand coded) asm %.s: %.S $(CC) -S $(ASMFLAGS) $< > $@ # asm from C++ .cpp.s .cc.s .C.s : $(CC) -S $(CFLAGS) $(CPPFLAGS) $< -o $@ #### Generating object files #### # object from C .c.o: $(CC) $(CFLAGS) -c $< -o $@ # object from C++ (.cc, .cpp, .C files) .cc.o .cpp.o .C.o : $(CC) $(CFLAGS) $(CPPFLAGS) -c $< -o $@ # object from asm .S.o : $(CC) $(ASMFLAGS) -c $< -o $@ #### Generating hex files #### # hex files from elf .out.hex: $(OBJCOPY) -j .text \ -j .data \ -O $(HEXFORMAT) $< $@ .out.ee.hex: $(OBJCOPY) -j .eeprom \ --change-section-lma .eeprom=0 \ -O $(HEXFORMAT) $< $@ #### Information #### info: @echo PATH: @echo "$(PATH)" $(CC) -v which $(CC) #### Cleanup #### clean: $(REMOVE) $(TRG) $(TRG).map $(DUMPTRG) $(REMOVE) $(OBJDEPS) $(REMOVE) $(LST) $(REMOVE) $(GENASMFILES) $(REMOVE) $(HEXTRG) error JUSTINs-MacBook-Air:Untitled justinzaun$ make avr-gcc -I. -g -mmcu=atmega640 -Os -fpack-struct -fshort-enums -funsigned-bitfields -funsigned-char -Wall -Wstrict-prototypes -Wa,-ahlms=main.lst -c main.c -o main.o make: avr-gcc: No such file or directory make: *** [main.o] Error 1 JUSTINs-MacBook-Air:Untitled justinzaun$ If I change my CC= to include the full path: CC=/Users/justinzaun/Library/Developer/Xcode/DerivedData/AVR_Builder-gxiykwiwjywvoagykxvmotvncbyd/Build/Products/Debug/AVR\ Builder.app/Contents/Resources/avrchain/bin/avr-gcc then it finds it, but this doesn't seem the correct way to do things. For instance its trying to use the system as not the one in the correct path. update - Just to be sure, I'm adding the output of my ls command too so everyone knows the file exist. Also I've added a make info target to the makefile and showing that output as well. JUSTINs-MacBook-Air:Untitled justinzaun$ ls /Users/justinzaun/Library/Developer/Xcode/DerivedData/AVR_Builder-gxiykwiwjywvoagykxvmotvncbyd/Build/Products/Debug/AVR\ Builder.app/Contents/Resources/avrchain/bin ar avr-elfedit avr-man avr-strip objcopy as avr-g++ avr-nm avrdude objdump avr-addr2line avr-gcc avr-objcopy c++ ranlib avr-ar avr-gcc-4.6.3 avr-objdump g++ strip avr-as avr-gcov avr-ranlib gcc avr-c++ avr-gprof avr-readelf ld avr-c++filt avr-ld avr-size ld.bfd avr-cpp avr-ld.bfd avr-strings nm JUSTINs-MacBook-Air:Untitled justinzaun$ Output of make info with the \ in my path JUSTINs-MacBook-Air:Untitled justinzaun$ make info PATH: /Users/justinzaun/Library/Developer/Xcode/DerivedData/AVR_Builder-gxiykwiwjywvoagykxvmotvncbyd/Build/Products/Debug/AVR\ Builder.app/Contents/Resources/avrchain/bin:/usr/bin:/bin:/usr/sbin:/sbin:/usr/local/bin:/usr/X11/bin avr-gcc -v make: avr-gcc: No such file or directory make: *** [info] Error 1 JUSTINs-MacBook-Air:Untitled justinzaun$ Output of make info with the \ not in my path JUSTINs-MacBook-Air:Untitled justinzaun$ make info PATH: /Users/justinzaun/Library/Developer/Xcode/DerivedData/AVR_Builder-gxiykwiwjywvoagykxvmotvncbyd/Build/Products/Debug/AVR Builder.app/Contents/Resources/avrchain/bin:/usr/bin:/bin:/usr/sbin:/sbin:/usr/local/bin:/usr/X11/bin avr-gcc -v make: avr-gcc: No such file or directory make: *** [info] Error 1 JUSTINs-MacBook-Air:Untitled justinzaun$ update - When I have my CC set to include the full path as described above, this is the result of make info. JUSTINs-MacBook-Air:Untitled justinzaun$ make info PATH: /Users/justinzaun/Library/Developer/Xcode/DerivedData/AVR_Builder-gxiykwiwjywvoagykxvmotvncbyd/Build/Products/Debug/AVR Builder.app/Contents/Resources/avrchain/bin:/usr/bin:/bin:/usr/sbin:/sbin:/usr/local/bin:/usr/X11/bin /Users/justinzaun/Library/Developer/Xcode/DerivedData/AVR_Builder-gxiykwiwjywvoagykxvmotvncbyd/Build/Products/Debug/AVR\ Builder.app/Contents/Resources/avrchain/bin/avr-gcc -v Using built-in specs. COLLECT_GCC=/Users/justinzaun/Library/Developer/Xcode/DerivedData/AVR_Builder-gxiykwiwjywvoagykxvmotvncbyd/Build/Products/Debug/AVR Builder.app/Contents/Resources/avrchain/bin/avr-gcc COLLECT_LTO_WRAPPER=/Users/justinzaun/Library/Developer/Xcode/DerivedData/AVR_Builder-gxiykwiwjywvoagykxvmotvncbyd/Build/Products/Debug/AVR Builder.app/Contents/Resources/avrchain/bin/../libexec/gcc/avr/4.6.3/lto-wrapper Target: avr Configured with: /Users/justinzaun/Development/AVRBuilder/Packages/gccobj/../gcc/configure --prefix=/Users/justinzaun/Development/AVRBuilder/Packages/gccobj/../build/ --exec-prefix=/Users/justinzaun/Development/AVRBuilder/Packages/gccobj/../build/ --datadir=/Users/justinzaun/Development/AVRBuilder/Packages/gccobj/../build/ --target=avr --enable-languages=c,objc,c++ --disable-libssp --disable-lto --disable-nls --disable-libgomp --disable-gdbtk --disable-threads --enable-poison-system-directories Thread model: single gcc version 4.6.3 (GCC) which /Users/justinzaun/Library/Developer/Xcode/DerivedData/AVR_Builder-gxiykwiwjywvoagykxvmotvncbyd/Build/Products/Debug/AVR\ Builder.app/Contents/Resources/avrchain/bin/avr-gcc /Users/justinzaun/Library/Developer/Xcode/DerivedData/AVR_Builder-gxiykwiwjywvoagykxvmotvncbyd/Build/Products/Debug/AVR Builder.app/Contents/Resources/avrchain/bin/avr-gcc JUSTINs-MacBook-Air:Untitled justinzaun$

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  • Trying to manually recreate a simple generate/scaffolding script

    - by montooner
    I'm trying to understand Rails from the ground up. I want to learn how to manually create basic show-all/show-single/CRUD functionality in the framework. I currently am working on the display-all functionality, but am stopped by an error when I try to request all items in the Products db Here are the steps I've taken so far: script/generate controller Products script/generate model Products rake db:migrate modified products_controller.rb to add: def index() { @products = Product.all} (error: uninitialized constant ProductsController::Product) ideally, dump all orders in the view What's the fix?

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  • How to Load Dependent Files on Demand + Check if They're Loaded or Not?

    - by br4inwash3r
    I'm trying to implement an assets/dependency loader that i've found from an old article at 24Ways.org. most of you might be familiar with it. it's from this article by Christian Heilmann: http://24ways.org/2007/keeping-javascript-dependencies-at-bay i've modified the script to load CSS files as well. and it's now quite close to what i want. but i still need to do some checking to see wether an asset have been completely loaded or not. just wondering if you guys have any ideas :) here's what my script currently looked like: var assetLoader = { assets: { products: { js: 'products.js', css: 'products.css', loaded: false }, articles: { js: 'articles.js', css: 'articles.css', loaded: false }, [...] cycle: { js: 'jquery.cycle.min.js', loaded: false }, swfobject: { js: 'jquery.swfobject.min.js', loaded: false } }, add: function(asset) { var comp = assetLoader.assets[asset]; var path = '/path/to/assets/'; if (comp && comp.loaded == false) { if (comp.js) { // load js var js = document.createElement('script'); js.src = path + 'js/' + comp.js; js.type = 'text/javascript'; js.charset = 'utf-8'; // append to document document.getElementsByTagName('body')[0].appendChild(js); } if (comp.css) { // load css var css = document.createElement('link'); css.rel = 'stylesheet'; css.href = path + 'css/' + comp.css; css.type = 'text/css'; css.media = 'screen, projection'; css.charset = 'utf-8'; // append to document document.getElementsByTagName('head')[0].appendChild(css); } } }, check: function(asset) { assetLoader.assets[asset].loaded = true; } } Christian explains this method in his article in great detail. I don't want to confuse you guys anymore with my bad english :P and here's an example of how i run the script: ... // load jquery cycle plugin if (page=='tvc' || page=='products') { if (!assetLoader.assets.cycle.loaded) { assetLoader.add('cycle'); } } // load products page assets if (!assetLoader.assets.products.loaded) { assetLoader.add('products'); } ... this kind of approach is very problematic though. coz assets loads asynchronously, which means some of the code inside products.js that depends on jquery.cycle.js might continue running before jquery.cycle.js is even loaded resulting in errors. while i'm quite aware that scripts can be attached with an onload event, i'm just not really sure how to implement it to my script. anyone care to help me? please... :P

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  • Which of these queries is preferable?

    - by bread
    I've written the same query as a subquery and a self-join. Is there any obvious argument for one over the other here? SUBQUERY: SELECT prod_id, prod_name FROM products WHERE vend_id = (SELECT vend_id FROM products WHERE prod_id = ‘DTNTR’); SELF-JOIN: SELECT p1.prod_id, p1.prod_name FROM products p1, products p2 WHERE p1.vend_id = p2.vend_id AND p2.prod_id = ‘DTNTR’;

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  • How to achieve an eagerly loaded, filtered child collection with the NHibernate criteria API

    - by vakman
    Is it possible to use the criteria api to load a set of parent objects along with a filtered, eagerly loaded set of child objects? I'm trying to query a list of categories and at the same time load the categories products that start with the letter M. The query below gives me the results I want but the Products are not eagerly loaded, that is NHibernate performs additional queries when I enumerate the Product collection: var categoriesWithProducts = session.CreateCriteria<Category>() .SetFetchMode("Products", FetchMode.Eager) .CreateCriteria("Products") .Add(Expression.Like("Name", "M%")) .List<Category>(); What am I missing here?

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  • Synchronize Data between a Silverlight ListBox and a User Control

    - by psheriff
    One of the great things about XAML is the powerful data-binding capabilities. If you load up a list box with a collection of objects, you can display detail data about each object without writing any C# or VB.NET code. Take a look at Figure 1 that shows a collection of Product objects in a list box. When you click on a list box you bind the current Product object selected in the list box to a set of controls in a user control with just a very simple Binding statement in XAML.  Figure 1: Synchronizing a ListBox to a User Control is easy with Data Binding Product and Products Classes To illustrate this data binding feature I am going to just create some local data instead of using a WCF service. The code below shows a Product class that has three properties, namely, ProductId, ProductName and Price. This class also has a constructor that takes 3 parameters and allows us to set the 3 properties in an instance of our Product class. C#public class Product{  public Product(int productId, string productName, decimal price)  {    ProductId = productId;    ProductName = productName;    Price = price;  }   public int ProductId { get; set; }  public string ProductName { get; set; }  public decimal Price { get; set; }} VBPublic Class Product  Public Sub New(ByVal _productId As Integer, _                 ByVal _productName As String, _                 ByVal _price As Decimal)    ProductId = _productId    ProductName = _productName    Price = _price  End Sub   Private mProductId As Integer  Private mProductName As String  Private mPrice As Decimal   Public Property ProductId() As Integer    Get      Return mProductId    End Get    Set(ByVal value As Integer)      mProductId = value    End Set  End Property   Public Property ProductName() As String    Get      Return mProductName    End Get    Set(ByVal value As String)      mProductName = value    End Set  End Property   Public Property Price() As Decimal    Get      Return mPrice    End Get    Set(ByVal value As Decimal)      mPrice = value    End Set  End PropertyEnd Class To fill up a list box you need a collection class of Product objects. The code below creates a generic collection class of Product objects. In the constructor of the Products class I have hard-coded five product objects and added them to the collection. In a real-world application you would get your data through a call to service to fill the list box, but for simplicity and just to illustrate the data binding, I am going to just hard code the data. C#public class Products : List<Product>{  public Products()  {    this.Add(new Product(1, "Microsoft VS.NET 2008", 1000));    this.Add(new Product(2, "Microsoft VS.NET 2010", 1000));    this.Add(new Product(3, "Microsoft Silverlight 4", 1000));    this.Add(new Product(4, "Fundamentals of N-Tier eBook", 20));    this.Add(new Product(5, "ASP.NET Security eBook", 20));  }} VBPublic Class Products  Inherits List(Of Product)   Public Sub New()    Me.Add(New Product(1, "Microsoft VS.NET 2008", 1000))    Me.Add(New Product(2, "Microsoft VS.NET 2010", 1000))    Me.Add(New Product(3, "Microsoft Silverlight 4", 1000))    Me.Add(New Product(4, "Fundamentals of N-Tier eBook", 20))    Me.Add(New Product(5, "ASP.NET Security eBook", 20))  End SubEnd Class The Product Detail User Control Below is a user control (named ucProduct) that is used to display the product detail information seen in the bottom portion of Figure 1. This is very basic XAML that just creates a text block and a text box control for each of the three properties in the Product class. Notice the {Binding Path=[PropertyName]} on each of the text box controls. This means that if the DataContext property of this user control is set to an instance of a Product class, then the data in the properties of that Product object will be displayed in each of the text boxes. <UserControl x:Class="SL_SyncListBoxAndUserControl_CS.ucProduct"  xmlns="http://schemas.microsoft.com/winfx/2006/xaml/presentation"  xmlns:x="http://schemas.microsoft.com/winfx/2006/xaml"  HorizontalAlignment="Left"  VerticalAlignment="Top">  <Grid Margin="4">    <Grid.RowDefinitions>      <RowDefinition Height="Auto" />      <RowDefinition Height="Auto" />      <RowDefinition Height="Auto" />    </Grid.RowDefinitions>    <Grid.ColumnDefinitions>      <ColumnDefinition MinWidth="120" />      <ColumnDefinition />    </Grid.ColumnDefinitions>    <TextBlock Grid.Row="0"               Grid.Column="0"               Text="Product Id" />    <TextBox Grid.Row="0"             Grid.Column="1"             Text="{Binding Path=ProductId}" />    <TextBlock Grid.Row="1"               Grid.Column="0"               Text="Product Name" />    <TextBox Grid.Row="1"             Grid.Column="1"             Text="{Binding Path=ProductName}" />    <TextBlock Grid.Row="2"               Grid.Column="0"               Text="Price" />    <TextBox Grid.Row="2"             Grid.Column="1"             Text="{Binding Path=Price}" />  </Grid></UserControl> Synchronize ListBox with User Control You are now ready to fill the list box with the collection class of Product objects and then bind the SelectedItem of the list box to the Product detail user control. The XAML below is the complete code for Figure 1. <UserControl x:Class="SL_SyncListBoxAndUserControl_CS.MainPage"  xmlns="http://schemas.microsoft.com/winfx/2006/xaml/presentation"  xmlns:x="http://schemas.microsoft.com/winfx/2006/xaml"  xmlns:src="clr-namespace:SL_SyncListBoxAndUserControl_CS"  VerticalAlignment="Top"  HorizontalAlignment="Left">  <UserControl.Resources>    <src:Products x:Key="productCollection" />  </UserControl.Resources>  <Grid x:Name="LayoutRoot"        Margin="4"        Background="White">    <Grid.RowDefinitions>      <RowDefinition Height="Auto" />      <RowDefinition Height="*" />    </Grid.RowDefinitions>    <ListBox x:Name="lstData"             Grid.Row="0"             BorderBrush="Black"             BorderThickness="1"             ItemsSource="{Binding                   Source={StaticResource productCollection}}"             DisplayMemberPath="ProductName" />    <src:ucProduct x:Name="prodDetail"                   Grid.Row="1"                   DataContext="{Binding ElementName=lstData,                                          Path=SelectedItem}" />  </Grid></UserControl> The first step to making this happen is to reference the Silverlight project (SL_SyncListBoxAndUserControl_CS) where the Product and Products classes are located. I added this namespace and assigned it a namespace prefix of “src” as shown in the line below: xmlns:src="clr-namespace:SL_SyncListBoxAndUserControl_CS" Next, to use the data from an instance of the Products collection, you create a UserControl.Resources section in the XAML and add a tag that creates an instance of the Products class and assigns it a key of “productCollection”.   <UserControl.Resources>    <src:Products x:Key="productCollection" />  </UserControl.Resources> Next, you bind the list box to this productCollection object using the ItemsSource property. You bind the ItemsSource of the list box to the static resource named productCollection. You can then set the DisplayMemberPath attribute of the list box to any property of the Product class that you want. In the XAML below I used the ProductName property. <ListBox x:Name="lstData"         ItemsSource="{Binding             Source={StaticResource productCollection}}"         DisplayMemberPath="ProductName" /> You now need to create an instance of the ucProduct user contol below the list box. You do this by once again referencing the “src” namespace and typing in the name of the user control. You then set the DataContext property on this user control to a binding. The binding uses the ElementName attribute to bind to the list box name, in this case “lstData”. The Path of the data is SelectedItem. These two attributes together tell Silverlight to bind the DataContext to the selected item of the list box. That selected item is a Product object. So, once this is bound, the bindings on each text box in the user control are updated and display the current product information. <src:ucProduct x:Name="prodDetail"               DataContext="{Binding ElementName=lstData,                                      Path=SelectedItem}" /> Summary Once you understand the basics of data binding in XAML, you eliminate a lot code that is otherwise needed to move data into controls and out of controls back into an object. Connecting two controls together is easy by just binding using the ElementName and Path properties of the Binding markup extension. Another good tip out of this blog is use user controls and set the DataContext of the user control to have all of the data on the user control update through the bindings. NOTE: You can download the complete sample code (in both VB and C#) at my website. http://www.pdsa.com/downloads. Choose Tips & Tricks, then "SL – Synchronize List Box Data with User Control" from the drop-down. Good Luck with your Coding,Paul Sheriff ** SPECIAL OFFER FOR MY BLOG READERS **Visit http://www.pdsa.com/Event/Blog for a free eBook on "Fundamentals of N-Tier".

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  • how can i convert a .tpl file to a .php file? [closed]

    - by kim
    What do I do?? I am building a site and there is a categories.tpl that I want to go where sitemap.php is. sorry i am brand new to all this. let me try to be more clear.id show you a picture but it is marking it as spam. i have a menu at the top of my site like with any retail site. [About Cart Account and Products]. when you click products it takes to you the sitemap.php file. however i need the content from the categories.tpl to appear instead. (Categories in prestashop is another way of saying products) here is the categories.tpl code: {include file=$tpl_dir./breadcrumb.tpl} {include file=$tpl_dir./errors.tpl} {if $category-id AND $category-active} {$category-name|escape:'htmlall':'UTF-8'} {$nb_products|intval} {if $nb_products1}{l s='products'}{else}{l s='product'}{/if} {if $scenes} <!-- Scenes --> {include file=$tpl_dir./scenes.tpl scenes=$scenes} {else} <!-- Category image --> {if $category->id_image} <img src="{$link->getCatImageLink($category->link_rewrite, $category->id_image, 'category')}" alt="{$category->name|escape:'htmlall':'UTF-8'}" title="{$category->name|escape:'htmlall':'UTF-8'}" id="categoryImage" /> {/if} {/if} {if $category->description} <div class="cat_desc">{$category->description}</div> {/if} {if isset($subcategories)} <!-- Subcategories --> <div id="subcategories"> <h3>{l s='Subcategories'}</h3> <ul class="inline_list"> {foreach from=$subcategories item=subcategory} <li> <a href="{$link->getCategoryLink($subcategory.id_category, $subcategory.link_rewrite)|escape:'htmlall':'UTF-8'}" title="{$subcategory.name|escape:'htmlall':'UTF-8'}"> {if $subcategory.id_image} <img src="{$link->getCatImageLink($subcategory.link_rewrite, $subcategory.id_image, 'medium')}" alt="" /> {else} <img src="{$img_cat_dir}default-medium.jpg" alt="" /> {/if} </a> <br /> <a href="{$link->getCategoryLink($subcategory.id_category, $subcategory.link_rewrite)|escape:'htmlall':'UTF-8'}">{$subcategory.name|escape:'htmlall':'UTF-8'}</a> </li> {/foreach} </ul> <br class="clear"/> </div> {/if} {if $products} {include file=$tpl_dir./product-sort.tpl} {include file=$tpl_dir./product-list.tpl products=$products} {include file=$tpl_dir./pagination.tpl} {elseif !isset($subcategories)} <p class="warning">{l s='There is no product in this category.'}</p> {/if} {elseif $category-id} {l s='This category is currently unavailable.'} {/if} and here is the sitemap.php include(dirname(FILE).'/config/config.inc.php'); include(dirname(FILE).'/header.php'); include(dirname(FILE).'/product-sort.php'); $nbProducts = intval(Product::getNewProducts(intval($cookie-id_lang), isset($p) ? intval($p) - 1 : NULL, isset($n) ? intval($n) : NULL, true)); include(dirname(FILE).'/pagination.php'); $smarty-assign(array( 'products' = Product::getNewProducts(intval($cookie-id_lang), intval($p) - 1, intval($n), false, $orderBy, $orderWay), 'nbProducts' = intval($nbProducts))); $smarty-display(_PS_THEME_DIR_.'new-products.tpl'); include(dirname(FILE).'/footer.php'); ?

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  • Fluent NHibermate and Polymorphism and a Newbie!

    - by Andy Baker
    I'm a fluent nhibernate newbie and I'm struggling mapping a hierarchy of polymorhophic objects. I've produced the following Model that recreates the essence of what I'm doing in my real application. I have a ProductList and several specialised type of products; public class MyProductList { public virtual int Id { get; set; } public virtual string Name {get;set;} public virtual IList<Product> Products { get; set; } public MyProductList() { Products = new List<Product>(); } } public class Product { public virtual int Id { get; set; } public virtual string ProductDescription {get;set;} } public class SizedProduct : Product { public virtual decimal Size {get;set;} } public class BundleProduct : Product { public virtual Product BundleItem1 {get;set;} public virtual Product BundleItem2 {get;set;} } Note that I have a specialised type of Product called BundleProduct that has two products attached. I can add any of the specialised types of product to MyProductList and a bundle Product can be made up of any of the specialised types of product too. Here is the fluent nhibernate mapping that I'm using; public class MyListMap : ClassMap<MyList> { public MyListMap() { Id(ml => ml.Id); Map(ml => ml.Name); HasManyToMany(ml => ml.Products).Cascade.All(); } } public class ProductMap : ClassMap<Product> { public ProductMap() { Id(prod => prod.Id); Map(prod => prod.ProductDescription); } } public class SizedProductMap : SubclassMap<SizedProduct> { public SizedProductMap() { Map(sp => sp.Size); } } public class BundleProductMap : SubclassMap<BundleProduct> { public BundleProductMap() { References(bp => bp.BundleItem1).Cascade.All(); References(bp => bp.BundleItem2).Cascade.All(); } } I haven't configured have any reverse mappings, so a product doesn't know which Lists it belongs to or which bundles it is part of. Next I add some products to my list; MyList ml = new MyList() { Name = "Example" }; ml.Products.Add(new Product() { ProductDescription = "PSU" }); ml.Products.Add(new SizedProduct() { ProductDescription = "Extension Cable", Size = 2.0M }); ml.Products.Add(new BundleProduct() { ProductDescription = "Fan & Cable", BundleItem1 = new Product() { ProductDescription = "Fan Power Cable" }, BundleItem2 = new SizedProduct() { ProductDescription = "80mm Fan", Size = 80M } }); When I persist my list to the database and reload it, the list itself contains the items I expect ie MyList[0] has a type of Product, MyList[1] has a type of SizedProduct, and MyList[2] has a type of BundleProduct - great! If I navigate to the BundleProduct, I'm not able to see the types of Product attached to the BundleItem1 or BundleItem2 instead they are always proxies to the Product - in this example BundleItem2 should be a SizedProduct. Is there anything I can do to resove this either in my model or the mapping? Thanks in advance for your help.

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  • Is Financial Inclusion an Obligation or an Opportunity for Banks?

    - by tushar.chitra
    Why should banks care about financial inclusion? First, the statistics, I think this will set the tone for this blog post. There are close to 2.5 billion people who are excluded from the banking stream and out of this, 2.2 billion people are from the continents of Africa, Latin America and Asia (McKinsey on Society: Global Financial Inclusion). However, this is not just a third-world phenomenon. According to Federal Deposit Insurance Corp (FDIC), in the US, post 2008 financial crisis, one family out of five has either opted out of the banking system or has been moved out (American Banker). Moving this huge unbanked population into mainstream banking is both an opportunity and a challenge for banks. An obvious opportunity is the significant untapped customer base that banks can target, so is the positive brand equity a bank can build by fulfilling its social responsibilities. Also, as banks target the cost-conscious unbanked customer, they will be forced to look at ways to offer cost-effective products and services, necessitating technology upgrades and innovations. However, cost is not the only hurdle in increasing the adoption of banking services. The potential users need to be convinced of the benefits of banking and banks will also face stiff competition from unorganized players. Finally, the banks will have to believe in the viability of this business opportunity, and not treat financial inclusion as an obligation. In what ways can banks target the unbanked For financial inclusion to be a success, banks should adopt innovative business models to develop products that address the stated and unstated needs of the unbanked population and also design delivery channels that are cost effective and viable in the long run. Through business correspondents and facilitators In rural and remote areas, one of the major hurdles in increasing banking penetration is connectivity and accessibility to banking services, which makes last mile inclusion a daunting challenge. To address this, banks can avail the services of business correspondents or facilitators. This model allows banks to establish greater connectivity through a trusted and reliable intermediary. In India, for instance, banks can leverage the local Kirana stores (the mom & pop stores) to service rural and remote areas. With a supportive nudge from the central bank, the commercial banks can enlist these shop owners as business correspondents to increase their reach. Since these neighborhood stores are acquainted with the local population, they can help banks manage the KYC norms, besides serving as a conduit for remittance. Banks also have an opportunity over a period of time to cross-sell other financial products such as micro insurance, mutual funds and pension products through these correspondents. To exercise greater operational control over the business correspondents, banks can also adopt a combination of branch and business correspondent models to deliver financial inclusion. Through mobile devices According to a 2012 world bank report on financial inclusion, out of a world population of 7 billion, over 5 billion or 70% have mobile phones and only 2 billion or 30% have a bank account. What this means for banks is that there is scope for them to leverage this phenomenal growth in mobile usage to serve the unbanked population. Banks can use mobile technology to service the basic banking requirements of their customers with no frills accounts, effectively bringing down the cost per transaction. As I had discussed in my earlier post on mobile payments, though non-traditional players have taken the lead in P2P mobile payments, banks still hold an edge in terms of infrastructure and reliability. Through crowd-funding According to the Crowdfunding Industry Report by Massolution, the global crowdfunding industry raised $2.7 billion in 2012, and is projected to grow to $5.1 billion in 2013. With credit policies becoming tighter and banks becoming more circumspect in terms of loan disbursals, crowdfunding has emerged as an alternative channel for lending. Typically, these initiatives target the unbanked population by offering small loans that are unviable for larger banks. Though a significant proportion of crowdfunding initiatives globally are run by non-banking institutions, banks are also venturing into this space. The next step towards inclusive finance Banks by themselves cannot make financial inclusion a success. There is a need for a whole ecosystem that is supportive of this mission. The policy makers, that include the regulators and government bodies, must be in sync, the IT solution providers must put on their thinking caps to come out with innovative products and solutions, communication channels such as internet and mobile need to expand their reach, and the media and the public need to play an active part. The other challenge for financial inclusion is from the banks themselves. While it is true that financial inclusion will unleash a hitherto hugely untapped market, the normal banking model may be found wanting because of issues such as flexibility, convenience and reliability. The business will be viable only when there is a focus on increasing the usage of existing infrastructure and that is possible when the banks can offer the entire range of products and services to the large number of users of essential banking services. Apart from these challenges, banks will also have to quickly master and replicate the business model to extend their reach to the remotest regions in their respective geographies. They will need to ensure that the transactions deliver a viable business benefit to the bank. For tapping cross-sell opportunities, banks will have to quickly roll-out customized and segment-specific products. The bank staff should be brought in sync with the business plan by convincing them of the viability of the business model and the need for a business correspondent delivery model. Banks, in collaboration with the government and NGOs, will have to run an extensive financial literacy program to educate the unbanked about the benefits of banking. Finally, with the growing importance of retail banking and with many unconventional players eyeing the opportunity in payments and other lucrative areas of banking, banks need to understand the importance of micro and small branches. These micro and small branches can help banks increase their presence without a huge cost burden, provide bankers an opportunity to cross sell micro products and offer a window of opportunity for the large non-banked population to transact without any interference from intermediaries. These branches can also help diminish the role of the unorganized financial sector, such as local moneylenders and unregistered credit societies. This will also help banks build a brand awareness and loyalty among the users, which by itself has a cascading effect on the business operations, especially among the rural and un-banked centers. In conclusion, with the increasingly competitive banking sector facing frequent slowdowns and downturns, the unbanked population presents a huge opportunity for banks to enhance their customer base and fulfill their social responsibility.

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  • ACORD LOMA Session Highlights Policy Administration Trends

    - by [email protected]
    Helen Pitts, senior product marketing manager for Oracle Insurance, attended and is blogging from the ACORD LOMA Insurance Forum this week. Above: Paul Vancheri, Chief Information Officer, Fidelity Investments Life Insurance Company. Vancheri gave a presentation during the ACORD LOMA Insurance Systems Forum about the key elements of modern policy administration systems and how insurers can mitigate risk during legacy system migrations to safely introduce new technologies. When I had a few particularly challenging honors courses in college my father, a long-time technology industry veteran, used to say, "If you don't know how to do something go ask the experts. Find someone who has been there and done that, don't be afraid to ask the tough questions, and apply and build upon what you learn." (Actually he still offers this same advice today.) That's probably why my favorite sessions at industry events, like the ACORD LOMA Insurance Forum this week, are those that include insight on industry trends and case studies from carriers who share their experiences and offer best practices based upon their own lessons learned. I had the opportunity to attend a particularly insightful session Wednesday as Craig Weber, senior vice president of Celent's Insurance practice, and Paul Vancheri, CIO of Fidelity Life Investments, presented, "Managing the Dynamic Insurance Landscape: Enabling Growth and Profitability with a Modern Policy Administration System." Policy Administration Trends Growing the business is the top issue when it comes to IT among both life and annuity and property and casualty carriers according to Weber. To drive growth and capture market share from competitors, carriers are looking to modernize their core insurance systems, with 65 percent of those CIOs participating in recent Celent research citing plans to replace their policy administration systems. Weber noted that there has been continued focus and investment, particularly in the last three years, by software and technology vendors to offer modern, rules-based, configurable policy administration solutions. He added that these solutions are continuing to evolve with the ongoing aim of helping carriers rapidly meet shifting business needs--whether it is to launch new products to market faster than the competition, adapt existing products to meet shifting consumer and /or regulatory demands, or to exit unprofitable markets. He closed by noting the top four trends for policy administration either in the process of being adopted today or on the not-so-distant horizon for the future: Underwriting and service desktops New business automation Convergence of ultra-configurable and domain content-rich systems Better usability and screen design Mitigating the Risk When Making the Decision to Modernize Third-party analyst research from advisory firms like Celent was a key part of the due diligence process for Fidelity as it sought a replacement for its legacy policy administration system back in 2005, according to Vancheri. The company's business opportunities were outrunning system capability. Its legacy system had not been upgraded in several years and was deficient from a functionality and currency standpoint. This was constraining the carrier's ability to rapidly configure and bring new and complex products to market. The company sought a new, modern policy administration system, one that would enable it to keep pace with rapid and often unexpected industry changes and ahead of the competition. A cross-functional team that included representatives from finance, actuarial, operations, client services and IT conducted an extensive selection process. This process included deep documentation review, pilot evaluations, demonstrations of required functionality and complex problem-solving, infrastructure integration capability, and the ability to meet the company's desired cost model. The company ultimately selected an adaptive policy administration system that met its requirements to: Deliver ease of use - eliminating paper and rework, while easing the burden on representatives to sell and service annuities Provide customer parity - offering Web-based capabilities in alignment with the company's focus on delivering a consistent customer experience across its business Deliver scalability, efficiency - enabling automation, while simplifying and standardizing systems across its technology stack Offer desired functionality - supporting Fidelity's product configuration / rules management philosophy, focus on customer service and technology upgrade requirements Meet cost requirements - including implementation, professional services and licenses fees and ongoing maintenance Deliver upon business requirements - enabling the ability to drive time to market for new products and flexibility to make changes Best Practices for Addressing Implementation Challenges Based upon lessons learned during the company's implementation, Vancheri advised carriers to evaluate staffing capabilities and cultural impacts, review business requirements to avoid rebuilding legacy processes, factor in dependent systems, and review policies and practices to secure customer data. His formula for success: upfront planning + clear requirements = precision execution. Achieving a Return on Investment Vancheri said the decision to replace their legacy policy administration system and deploy a modern, rules-based system--before the economic downturn occurred--has been integral in helping the company adapt to shifting market conditions, while enabling growth in its direct channel sales of variable annuities. Since deploying its new policy admin system, the company has reduced its average time to market for new products from 12-15 months to 4.5 months. The company has since migrated its other products to the new system and retired its legacy system, significantly decreasing its overall product development cycle. From a processing standpoint Vancheri noted the company has achieved gains in automation, information, and ease of use, resulting in improved real-time data edits, controls for better quality, and tax handling capability. Plus, with by having only one platform to manage, the company has simplified its IT environment and is well positioned to deliver system enhancements for greater efficiencies. Commitment to Continuing the Investment In the short and longer term future Vancheri said the company plans to enhance business functionality to support money movement, wire automation, divorce processing on payout contracts and cost-based tracking improvements. It also plans to continue system upgrades to remain current as well as focus on further reducing cycle time, driving down maintenance costs, and integrating with other products. Helen Pitts is senior product marketing manager for Oracle Insurance focused on life/annuities and enterprise document automation.

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  • Is there a standard site structure format?

    - by artlung
    Is there a standard site structure format? The use of this would be for export and import into a CMS or framework to define the urls, content, metadata for a website. Something tool agnostic would be the goal. JSON, YAML, XML, whatever. Maybe something like: { 'baseurl': 'http://example.com', 'site': [ {'slug': '/', 'title': 'ExampleCo. Inc.'}, {'slug': '/about', 'title': 'About Our Company'}, {'slug': '/services', 'title': 'Our Services'}, {'slug': '/products', 'title': 'Products'}, {'slug': '/products/purchase', 'title': 'Purchase Products Now'}, {'slug': '/products/downloads', 'title': 'Downloads'}, {'slug': '/contact', 'title': 'Contact Us'} ] } My thinking is that it would allow you to quickly populate a content management system or framework with a generic site navigational structure. Does something like this exist?

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  • Take Advantage of Oracle's Ongoing Assurance Effort!

    - by eric.maurice
    Hi, this is Eric Maurice again! A few years ago, I posted a blog entry, which discussed the psychology of patching. The point of this blog entry was that a natural tendency existed for systems and database administrators to be reluctant to apply patches, even security patches, because of the fear of "breaking" the system. Unfortunately, this belief in the principle "if it ain't broke, don't fix it!" creates significant risks for organizations. Running systems without applying the proper security patches can greatly compromise the security posture of the organization because the security controls available in the affected system may be compromised as a result of the existence of the unfixed vulnerabilities. As a result, Oracle continues to strongly recommend that customers apply all security fixes as soon as possible. Most recently, I have had a number of conversations with customers who questioned the need to upgrade their highly stable but otherwise unsupported Oracle systems. These customers wanted to know more about the kind of security risks they were exposed to, by running obsolete versions of Oracle software. As per Oracle Support Policies, Critical Patch Updates are produced for currently supported products. In other words, Critical Patch Updates are not created by Oracle for product versions that are no longer covered under the Premier Support or Extended Support phases of the Lifetime Support Policy. One statement used in each Critical Patch Update Advisory is particularly important: "We recommend that customers upgrade to a supported version of Oracle products in order to obtain patches. Unsupported products, releases and versions are not tested for the presence of vulnerabilities addressed by this Critical Patch Update. However, it is likely that earlier versions of affected releases are also affected by these vulnerabilities." The purpose of this warning is to inform Oracle customers that a number of the vulnerabilities fixed in each Critical Patch Update may affect older versions of a specific product line. In other words, each Critical Patch Update provides a number of fixes for currently supported versions of a given product line (this information is listed for each bug in the Risk Matrices of the Critical Patch Update Advisory), but the unsupported versions in the same product line, while they may be affected by the vulnerabilities, will not receive the fixes, and are therefore vulnerable to attacks. The risk assumed by organizations wishing to remain on unsupported versions is amplified by the behavior of malicious hackers, who typically will attempt to, and sometimes succeed in, reverse-engineering the content of vendors' security fixes. As a result, it is not uncommon for exploits to be published soon after Oracle discloses vulnerabilities with the release of a Critical Patch Update or Security Alert. Let's consider now the nature of the vulnerabilities that may exist in obsolete versions of Oracle software. A number of severe vulnerabilities have been fixed by Oracle over the years. While Oracle does not test unsupported products, releases and versions for the presence of vulnerabilities addressed by each Critical Patch Update, it should be assumed that a number of the vulnerabilities fixed with the Critical Patch Update program do exist in unsupported versions (regardless of the product considered). The most severe vulnerabilities fixed in past Critical Patch Updates may result in full compromise of the targeted systems, down to the OS level, by remote and unauthenticated users (these vulnerabilities receive a CVSS Base Score of 10.0) or almost as critically, may result in the compromise of the affected systems (without compromising the underlying OS) by a remote and unauthenticated users (these vulnerabilities receive a CVSS Base Score of 7.5). Such vulnerabilities may result in complete takeover of the targeted machine (for the CVSS 10.0), or may result in allowing the attacker the ability to create a denial of service against the affected system or even hijacking or stealing all the data hosted by the compromised system (for the CVSS 7.5). The bottom line is that organizations should assume the worst case: that the most critical vulnerabilities are present in their unsupported version; therefore, it is Oracle's recommendation that all organizations move to supported systems and apply security patches in a timely fashion. Organizations that currently run supported versions but may be late in their security patch release level can quickly catch up because most Critical Patch Updates are cumulative. With a few exceptions noted in Oracle's Critical Patch Update Advisory, the application of the most recent Critical Patch Update will bring these products to current security patch level and provide the organization with the best possible security posture for their patch level. Furthermore, organizations are encouraged to upgrade to most recent versions as this will greatly improve their security posture. At Oracle, our security fixing policies state that security fixes are produced for the main code line first, and as a result, our products benefit from the mistakes made in previous version(s). Our ongoing assurance effort ensures that we work diligently to fix the vulnerabilities we find, and aim at constantly improving the security posture our products provide by default. Patch sets include numerous in-depth fixes in addition to those delivered through the Critical Patch Update and, in certain instances, important security fixes require major architectural changes that can only be included in new product releases (and cannot be backported through the Critical Patch Update program). For More Information: • Mary Ann Davidson is giving a webcast interview on Oracle Software Security Assurance on February 24th. The registration link for attending this webcast is located at http://event.on24.com/r.htm?e=280304&s=1&k=6A7152F62313CA09F77EBCEEA9B6294F&partnerref=EricMblog • A blog entry discussing Oracle's practices for ensuring the quality of Critical patch Updates can be found at http://blogs.oracle.com/security/2009/07/ensuring_critical_patch_update_quality.html • The blog entry "To patch or not to patch" is located at http://blogs.oracle.com/security/2008/01/to_patch_or_not_to_patch.html • Oracle's Support Policies are located at http://www.oracle.com/us/support/policies/index.html • The Critical Patch Update & Security Alert page is located at http://www.oracle.com/technetwork/topics/security/alerts-086861.html

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  • Get "As low as" price for bundle product in Magento

    - by dardub
    I'm trying to display a list of bundled products using my custom template. I'm not able to display the dynamic price of the bundle product. Previously for simple products I used: $product->getPrice(); which worked, but it just displays $0.00 for bundle items. looking at ../catalog/products/list.phtml I tried $this->$getPriceHtml($product, true); after extending my block to Mage_Catalog_Block_Product_Abstract I got simple products working again, but bundle products still show $0.00 Is there another way to display the as low as price for dynamic bundle prices? I cleared cache and reindexed and all that good stuff. The price shows up correctly under the default category list, just not under my custom page.

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  • Welcome to the ISV Migration Center (IMC) Team blog

    - by lukasz.romaszewski(at)oracle.com
    Normal 0 false false false EN-US X-NONE X-NONE MicrosoftInternetExplorer4 /* Style Definitions */ table.MsoNormalTable {mso-style-name:"Table Normal"; mso-tstyle-rowband-size:0; mso-tstyle-colband-size:0; mso-style-noshow:yes; mso-style-priority:99; mso-style-qformat:yes; mso-style-parent:""; mso-padding-alt:0in 5.4pt 0in 5.4pt; mso-para-margin:0in; mso-para-margin-bottom:.0001pt; mso-pagination:widow-orphan; font-size:11.0pt; font-family:"Calibri","sans-serif"; mso-ascii-font-family:Calibri; mso-ascii-theme-font:minor-latin; mso-fareast-font-family:"Times New Roman"; mso-fareast-theme-font:minor-fareast; mso-hansi-font-family:Calibri; mso-hansi-theme-font:minor-latin; mso-bidi-font-family:"Times New Roman"; mso-bidi-theme-font:minor-bidi;} Welcome to the ISV Migration Center (IMC) Team blog.The IMC is a a team of senior Oracle technical consultants who's aim is to enable partners to rapidly and successfully adopt and implement Oracle's latest technology.  The IMC consultants are trained and equipped to deliver leading-edge, enterprise-quality technology solutions. This blog has been created to serve as an  information exchange platform on Oracle Fusion Middleware and Database products so you will find how-tos, articles, demos and other technical resources.  We will also publish our upcoming workshops, webcasts and seminars so make sure you check it regularly to get the latest updates.   Here's our team:Lukasz Romaszewski Java & middleware specialist, 8 years experience in architecting, developing and supporting enterprise solutions based on J2EE and Oracle Database technology. At Oracle from April 2008, working as an IMC Migration Consultant in Oracle Partner Hub in Cracow, Poland. Helping Oracle Partners in migrating their solutions to the latest Oracle Fusion Middleware stack, running hands-on migration workshops and seminars across Europe. Experienced in the following areas and products Oracle Weblogic Application Server 11gApplication Development Framework (ADF)Oracle SOA Suite 11gOracle Forms 6i, 10g and 11gOracle Database (PL/SQL, AQ, XML DB)Java EE 5.0 based architecture Murat Teksoz Oracle DB and DB options - Oracle Linux- Apex- Oracle Business intelligence specilist, 13 years experince in Database managment, Performans Tuning, Diagnosting ,Installation and Configurationg database, Database Security, High Avalibility and Disaster Recovery solutions. Working at Oracle IMC Istanbul from September 2008, delivering partner workshops and seminars in Europe and Central Asia. Experienced in the following areas and products Oracle 9i,10g,11g Database SolutionsOracle Partitioning, Total Recall Advantage compressingOracle High Avalability Solutions - Real Application ClusterOracle Disaster Recovery Solutions - Oracle DataguardOracle Grid ControlOracle LinuxOracle Business intelligence solutions - Oracle Bi 10g-11gMigration Tools (Sqldeveloper) - Migrate from SqlServer,Mysql,Sysbase,Db2 to Oracle DatabaseOracle APEX (Application Express Tool) Vadim Melnikov Oracle Database specialist with DB Options, Linux and virtualization skills. Vadim has more than 8 years experience with Oracle products and is now working as Database consultant in Oracle IMC Moscow as employee of FORS Development center, Russian Oracle Platinum partner. Helping Oracle Partners to migrate solutions to Oracle from other platforms and adopt new oracle technologies, running workshops and seminars. Experienced in the following areas and products Oracle Database 9i,10g,11g Database Solutions (SQL, PL/SQL, Installing, Configuring, Performance Tuning, Diagnosting, Database management)Oracle DB options (Partitioning, Total Recall, Advanced compression)Oracle Enterprise ManagerOracle Enterprise LinuxOracle VM 2 for x86Migration to Oracle DatabaseOracle Application Express Gokhan Gungor Java (J2EE) Lead Developer and Architect. Designed and Developed Web Applications, Middleware Systems/Services, Desktop Applications and Back-end Tools/Services using Java, WebLogic Server, JBoss and Open Source Frameworks. Joined Oracle in 2010 as Fussion middleware consultant in Istanbul IMC , responsible for running migration and adoption workshops and seminars covering Java technology, ADF, WebLogic and SOA and providing technical consultancy for migration projects. Experienced in the following areas and products Oracle WebLogic ServerApplication Development Framework (ADF)JDeveloperJava EE (EJB, JMS, Servlet, JSP, JSF, JavaMail, JTA, JAAS, JSTL, JAXB)Java SE (JavaBeans, JDBC, XML, XSL, RMI, JNDI, JAXP)Oracle Database 10g,11g Dmitry Nefedkin Oracle Middleware & Java specialist, 7+ years experience in developing, designing enterprise solutions based on Oracle Database and Middleware, developing Oracle e-Business Suite customizations, designing integration architecture within the companies . Joined Oracle team in October 2010 as IMC FMW Consultant in Oracle Alliances & Channels in Moscow, Russia. Experienced in the following areas and products Oracle Weblogic Application Server 11gOracle Service Bus 11gOracle SOA Suite 10g (BPEL PM, ESB, OWSM)Oracle Application Server 10gOracle Forms 6i and 9iOracle BI PublisherOracle ADF 10gOracle Database (SQL tuning, PL/SQL, AQ, Streams)Java EE 5 developmentCheck out our web site as well: Normal 0 false false false EN-US X-NONE X-NONE MicrosoftInternetExplorer4 /* Style Definitions */ table.MsoNormalTable {mso-style-name:"Table Normal"; mso-tstyle-rowband-size:0; mso-tstyle-colband-size:0; mso-style-noshow:yes; mso-style-priority:99; mso-style-qformat:yes; mso-style-parent:""; mso-padding-alt:0in 5.4pt 0in 5.4pt; mso-para-margin:0in; mso-para-margin-bottom:.0001pt; mso-pagination:widow-orphan; font-size:11.0pt; font-family:"Calibri","sans-serif"; mso-ascii-font-family:Calibri; mso-ascii-theme-font:minor-latin; mso-fareast-font-family:"Times New Roman"; mso-fareast-theme-font:minor-fareast; mso-hansi-font-family:Calibri; mso-hansi-theme-font:minor-latin; mso-bidi-font-family:"Times New Roman"; mso-bidi-theme-font:minor-bidi;} http://www.oracle.com/partners/en/most-popular-resources/027930

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  • Mysql results sorted by list which is unique for each user

    - by ADAM
    Ive got a table of thousands of products and 50 or so authenticated users. These users all show the products on their own web sites and they all require the ability to have them ordered differently. Im guesing i need some kind of seperate table for the orders which contains the product_id, user_id and order column? How do i do this the most efficiently in mysql so as to be very fast, and not slow down if i get millions of products in the database. Is it even wise to do it in mysql or should i be using some kind of other index like solr/lucene? My Product table is called "products" My User table is called "users" A good example of the functionality i need is google search where you can order/supress the results if you are logged in. edit: the product results will be paginated and the users have the authority to edit the products, so its not just ready only

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  • Sun Ray Hardware Last Order Dates & Extension of Premier Support for Desktop Virtualization Software

    - by Adam Hawley
    In light of the recent announcement  to end new feature development for Oracle Virtual Desktop Infrastructure Software (VDI), Oracle Sun Ray Software (SRS), Oracle Virtual Desktop Client (OVDC) Software, and Oracle Sun Ray Client hardware (3, 3i, and 3 Plus), there have been questions and concerns regarding what this means in terms of customers with new or existing deployments.  The following updates clarify some of these commonly asked questions. Extension of Premier Support for Software Though there will be no new feature additions to these products, customers will have access to maintenance update releases for Oracle Virtual Desktop Infrastructure and Sun Ray Software, including Oracle Virtual Desktop Client and Sun Ray Operating Software (SROS) until Premier Support Ends.  To ensure that customer investments for these products are protected, Oracle  Premier Support for these products has been extended by 3 years to following dates: Sun Ray Software - November 2017 Oracle Virtual Desktop Infrastructure - March 2017 Note that OVDC support is also extended to the above dates since OVDC is licensed by default as part the SRS and VDI products.   As a reminder, this only affects the products listed above.  Oracle Secure Global Desktop and Oracle VM VirtualBox will continue to be enhanced with new features from time-to-time and, as a result, they are not affected by the changes detailed in this message. The extension of support means that customers under a support contract will still be able to file service requests through Oracle Support, and Oracle will continue to provide the utmost level of support to our customers as expected,  until the published Premier Support end date.  Following the end of Premier Support, Sustaining Support remains an 'indefinite' period of time.   Sun Ray 3 Series Clients - Last Order Dates For Sun Ray Client hardware, customers can continue to purchase Sun Ray Client devices until the following last order dates: Product Marketing Part Number Last Order Date Last Ship Date Sun Ray 3 Plus TC3-P0Z-00, TC3-PTZ-00 (TAA) September 13, 2013 February 28, 2014 Sun Ray 3 Client TC3-00Z-00 February 28, 2014 August 31, 2014 Sun Ray 3i Client TC3-I0Z-00 February 28, 2014 August 31, 2014 Payflex Smart Cards X1403A-N, X1404A-N February 28, 2014 August 31, 2014 Note the difference in the Last Order Date for the Sun Ray 3 Plus (September 13, 2013) compared to the other products that have a Last Order Date of February 28, 2014. The rapidly approaching date for Sun Ray 3 Plus is due to a supplier phasing-out production of a key component of the 3 Plus.   Given September 13 is unfortunately quite soon, we strongly encourage you to place your last time buy as soon as possible to maximize Oracle's ability fulfill your order. Keep in mind you can schedule shipments to be delivered as late as the end of February 2014, but the last day to order is September 13, 2013. Customers wishing to purchase other models - Sun Ray 3 Clients and/or Sun Ray 3i Clients - have additional time (until February 28, 2014) to assess their needs and to allow fulfillment of last time orders.  Please note that availability of supply cannot be absolutely guaranteed up to the last order dates and we strongly recommend placing last time buys as early as possible.  Warranty replacements for Sun Ray Client hardware for customers covered by Oracle Hardware Systems Support contracts will be available beyond last order dates, per Oracle's policy found on Oracle.com here.  Per that policy, Oracle intends to provide replacement hardware for up to 5 years beyond the last ship date, but hardware may not be available beyond the 5 year period after the last ship date for reasons beyond Oracle's control. In any case, by design, Sun Ray Clients have an extremely long lifespan  and mean time between failures (MTBF) - much longer than PCs, and over the years we have continued to see first- and second generations of Sun Rays still in daily use.  This is no different for the Sun Ray 3, 3i, and 3 Plus.   Because of this, and in addition to Oracle's continued support for SRS, VDI, and SROS, Sun Ray and Oracle VDI deployments can continue to expand and exist as a viable solution for some time in the future. Continued Availability of Product Licenses and Support Oracle will continue to offer all existing software licenses, and software and hardware support including: Product licenses and Premier Support for Sun Ray Software and Oracle Virtual Desktop Infrastructure Premier Support for Operating Systems (for Sun Ray Operating Software maintenance upgrades/support)  Premier Support for Systems (for Sun Ray Operating Software maintenance upgrades/support and hardware warranty) Support renewals For More Information For more information, please refer to the following documents for specific dates and policies associated with the support of these products: Document 1478170.1 - Oracle Desktop Virtualization Software and Hardware Lifetime Support Schedule Document 1450710.1 - Sun Ray Client Hardware Lifetime schedule Document 1568808.1 - Document Support Policies for Discontinued Oracle Virtual Desktop Infrastructure, Sun Ray Software and Hardware and Oracle Virtual Desktop Client Development For Sales Orders and Questions Please contact your Oracle Sales Representative or Saurabh Vijay ([email protected])

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  • Model Binding an IList of selected items only

    - by jeef3
    I have an action method setup: public ActionResult Delete(IList<Product> products) And a table of products in my view. I have got Model Binding working so that on submit I can populate the products list. But I would like to populate it with only the products that are selected via a checkbox. I think I could do it by changing the action method to this: public ActionResult Delete(IList<Product> products, IList<int> toDelete) And passing the list of check boxes to the toDelete but I would really like to avoid changing the method signature if possible. Is there a way to pass only the selected items? Or am I going to have to write a custom ModelBinder?

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  • belongs_to with a custom class_name not producing proper foreign key in Rails 3

    - by Tony
    I am updating an application to Rails 3 and I am having trouble creating a custom foreign key. I have something like this: class Product < ActiveRecord::Base belongs_to :owner, :class_name => 'User' ... end class User < ActiveRecord::Base has_many :products ... end class ProductsController < ApplicationController before_filter :authenticate_user! def index @products = current_user.products end end The view: <%- @products.each do |p| -%> <%= p.created_at %><br /> <%- end -%> I get this error in my Rails log: Mysql::Error: Unknown column 'products.user_id' in 'where clause': SELECT `products`.* FROM `products` WHERE (`products`.user_id = 1) It should see the belongs_to :owner and look for a foreign key called owner_id. I even tried explicitly setting the foreign key and that does not work. I also checked lighthouse for a possible Rails 3 bug but no luck.

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