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  • WCF Service Layer in n-layered application: performance considerations

    - by Marconline
    Hi all. When I went to University, teachers used to say that in good structured application you have presentation layer, business layer and data layer. This is what I heard for more than 5 years. When I started working I discovered that this is true but sometimes is better to have more than just three layers. Two or three days ago I discovered this article by John Papa that explain how to use Entity Framework in layered application. According to that article you should have: UI Layer and Presentation Layer (Model View Pattern) Service Layer (WCF) Business Layer Data Access Layer Service Layer is, to me, one of the best ideas I've ever heard since I work. Your UI is then completely "diconnected" from Business and Data Layer. Now when I went deeper by looking into provided source code, I began to have some questions. Can you help me in answering them? Question #0: is this a good enterpise application template in your opinion? Question #1: where should I host the service layer? Should it be a Windows Service or what else? Question #2: in the source code provided the service layer expose just an endpoint with WSHttpBinding. This is the most interoperable binding but (I think) the worst in terms of performances (due to serialization and deserializations of objects). Do you agree? Question #3: if you agree with me at Question 2, which kind of binding would you use? Looking forward to hear from you. Have a nice weekend! Marco

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  • Accounting System for Winforms / SQL Server applications

    - by Craig L
    If you were going to write a vertical market C# / WinForms / SQL Server application and needed an accounting "engine" for it, what software package would you chose ? By vertical market, I mean the application is intended to solve a particular set of business problems, not be a generic accounting application. Thus the value add of the program is the 70% of non-accounting related functionality present in the finished product. The 30% of accounting functionality is merely to enable the basic accounting needs of the business. I said all that to lead up to this: The accounting engine needs to be a royalty-free runtime license and not super expensive. I've found a couple C#/SQL Server accounting apps that can be had with source code and a royalty free run time for $150k+ and that would be fine for greenfield development funded by a large bankroll, but for smaller apps, that sort of capital outlay isn't feasible. Something along the lines of $5k to $15k for a royalty-free runtime would be more reasonable. Open-source would be even better. By accounting engine, I mean something that takes care of at a minimum: General Ledger Invoices Statements Accounts Receivable Payments / Credits Basically, an accounting engine should be something that lets the developer concentrate on the value added (industry specific business best practices / processes) part of the solution and not have to worry about how to implement the low level details of a double entry accounting system. Ideally, the accounting engine would be something that is licensed on a royalty free run-time basis. Suggestions, please ?

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  • General N-Tier Architecture Question

    - by whatispunk
    In an N-Tier app you're supposed to have a business logic layer and a data access layer. Is it bad to simply have two assemblies: BusinessLogicLayer.dll and DataAccessLayer.dll to handle all this logic? How do you actually represent these layers. It seems silly, the way I've seen it, to have a BusinessLogic class library containing classes like: CustomerBusinessLogic.cs, OrderBusinessLogic.cs, etc. each calling their appropriately named cousin in the DataAccessLayer class library, i.e. CustomerDataAccess.cs, OrderDataAccess.cs. I want to create a web app using MVP and it doesn't seem so cut and dry as this. There are lots of opinions about where the business logic is supposed to be put in MVP and I'm not sure I've found a really great answer yet. I want this project to be easily testable, and I am trying to adhere to TDD methodologies as best I can. I intend to use MSTest and Rhino Mocks for testing. I was thinking of something like the following for my architecture: I'd use LINQ-To-SQL to talk to the database. WCF services to define data contract interfaces for the business logic layer. Then use MVP with ASP.NET Forms for the UI/BLL. Now, this isn't the start of this project, most of the LINQ stuff is already done, so its stuck. The WCF service would replace the existing DataAccessLayer assembly and the UI/BLL would replace the BusinessLogicLayer assembly etc. This sort of makes sense in my head, but its getting really late. Anyone that's traveled down this path have any guidance? Good links? Warnings? Thanks!

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  • How to force c# binary int division to return a double?

    - by Wayne
    How to force double x = 3 / 2; to return 1.5 in x without the D suffix or casting? Is there any kind of operator overload that can be done? Or some compiler option? Amazingly, it's not so simple to add the casting or suffix for the following reason: Business users need to write and debug their own formulas. Presently C# is getting used like a DSL (domain specific language) in that these users aren't computer science engineers. So all they know is how to edit and create a few types of classes to hold their "business rules" which are generally just math formulas. But they always assume that double x = 3 / 2; will return x = 1.5 however in C# that returns 1. A. they always forget this, waste time debugging, call me for support and we fix it. B. they think it's very ugly and hurts the readability of their business rules. As you know, DSL's need to be more like natural language. Yes. We are planning to move to Boo and build a DSL based on it but that's down the road. Is there a simple solution to make double x = 3 / 2; return 1.5 by something external to the class so it's invisible to the users? Thanks! Wayne

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  • How to force c# binary int division to return a double?

    - by Wayne
    How to force double x = 3 / 2; to return 1.5 in x without the D suffix or casting? Is there any kind of operator overload that can be done? Or some compiler option? Amazingly, it's not so simple to add the casting or suffix for the following reason: Business users need to write and debug their own formulas. Presently C# is getting used like a DSL (domain specific language) in that these users aren't computer science engineers. So all they know is how to edit and create a few types of classes to hold their "business rules" which are generally just math formulas. But they always assume that double x = 3 / 2; will return x = 1.5 however in C# that returns 1. A. they always forget this, waste time debugging, call me for support and we fix it. B. they think it's very ugly and hurts the readability of their business rules. As you know, DSL's need to be more like natural language. Yes. We are planning to move to Boo and build a DSL based on it but that's down the road. Is there a simple solution to make double x = 3 / 2; return 1.5 by something external to the class so it's invisible to the users? Thanks! Wayne

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  • Should the entity framework + self tracking entities be saving me time

    - by sipwiz
    I've been using the entity framework in combination with the self tracking entity code generation templates for my latest silverlight to WCF application. It's the first time I've used the entity framework in a real project and my hope was that I would save myself a lot of time and effort by being able to automatically update the whole data access layer of my project when my database schema changed. Happily I've found that to be the case, updating my database schema by adding a new table, changing column names, adding new columns etc. etc. can be propagated to my business object classes by using the update from database option on the entity framework model. Where I'm hurting is the CRUD operations within my WCF service in response to actions on my Silverlight client. I use the same self tracking entity framework business objects in my Silverlight app but I find I'm continually having to fight against problems such as foreign key associations not being handled correctly when updating an object or the change tracker getting confused about the state of an object at the Silverlight end and the data access operation within the WCF layer throwing a wobbly. It's got to a point where I have now spent more time dealing with this quirks than I have on my previous project where I used Linq-to-SQL as the starting point for rolling my own business objects. Is it just me being hopeless or is the self tracking entities approach something that should be avoided until it's more mature?

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  • Authenticated WCF: Getting the Current Security Context

    - by bradhe
    I have the following scenario: I have various user's data stored in my database. This data was entered via a web app. We'd like to expose this data back to the user over a web service so that they can integrate their data with their applications. We would also like to expose some business logic over these services. As such we do not want to use OData. This is a multi-tenant application so I only want to expose their data back to them and not other users. Likewise, the business logic we expose should be relative to the authenticated user. I would like let the user use an OASIS scheme to authenticate with the web service -- WCF already allows for this out of the box as far as I understand -- or perhaps we can issue them certificates to authenticate with. That bit hasn't really been worked out yet. Here is a bit of pseudo-code of how I envision this would work within the service: function GetUsersData(id) var user := Lookup User based on Username from Auth Context var data := Get Data From Repository based on "user" return data end function For the business logic scenario I think it would look something like this: function PerformBusinessLogic(someData) var user := Lookup User based on Username from Auth Context var returnValue := Perform some logic based on supplied data return returnValue end function The hard bit here is getting the current username (or cert info in the cert scenario) that the user authenticated with! Does WCF even enable this scenario? If not would WSE3 enable this? Thanks,

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  • ECM (Niche Vs Mass Market)

    - by Luj Reyes
    Hi Everyone, I recently started a little company with a couple of guys. Ours is the typical startup, a lot of ideas, dreams, talent and work hours :P. Our initial business plan was to develop a DM (Document Manager) with several features found on DropBox and other tools but with a big differentiator. Then we got in the team this Business Guy (I must say that several of us could be called 'Business Guys' but we are mainly hackers, he is just Another 'Networking Guy'), and along with him came this market analysis for a DM aimed at a very specific and narrow niche. We have many elements to believe in his market study and the idea is the classic "The market is X million, so if we grab a 10%...", and the market is really there to grab because all big providers deemed it too little and fled, let's say that the market is 5 million USD and demand very specific features. If we decide to go for this niche product we face a sales cycle of about 7 months, and the main goal of these revenue is to develop more ambitious projects. (Institutional VC is out of the question if you want to keep a marginal ownership of your company in my country). The only overlap between the niche and the mass market product features is the ability to store documents; everything else requires that we focus all of our efforts towards one or the other. I've studied a lot about the differences between Mass and Niche Markets, but I want to hear from people with actual experience. So everything comes down to this: If you have a really “saleable” idea what is the right thing to do: to go for the niche or go for the big prize and target primarily the mass market? Thanks for your input

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  • PL/SQL - How to pull data from 3 tables based on latest created date

    - by Nancy
    Hello, I'm hoping someone can help me as I've been stuck on this problem for a few days now. Basically I'm trying to pull data from 3 tables in Oracle: 1) Orders Table 2) Vendor Table and 3) Master Data Table. Here's what the 3 tables look like: Table 1: BIZ_DOC2 (Orders table) OBJECTID (Unique key) UNIQUE_DOC_NAME (Document Name i.e. ORD-005) CREATED_AT (Date the order was created) Table 2: UDEF_VENDOR (Vendors Table): PARENT_OBJECT_ID (This matches up to the ObjectId in the Orders table) VENDOR_OBJECT_NAME (This is the name of the vendor i.e. Acme) Table 3: BIZ_UNIT (Master Data table) PARENT_OBJECT_ID (This matches up to the ObjectID in the Orders table) BIZ_UNIT_OBJECT_NAME (This is the name of the business unit i.e. widget A, widget B) Note: The Vendors Table and Master Data do not have a link between them except through the Orders table. I can join all of the data from the tables and it looks something like this: Before selecting latest order date: ORD-005 | Widget A | Acme | 3/14/10 ORD-005 | Widget B | Acme | 3/14/10 ORD-004 | Widget C | Acme | 3/10/10 Ideally I'd like to return the latest order for each vendor. However, each order may contain multiple business units (e.g. types of widgets) so if a Vendor's latest record is ORD-005 and the order contains 2 business units, here's what the result set should look like by the following columns: UNIQUE_DOC_NAME, BIZ_UNIT_OBJECT_NAME, VENDOR_OBJECT_NAME, CREATED_AT After selecting by latest order date: ORD-005 | Widget A | Acme | 3/14/10 ORD-005 | Widget B | Acme | 3/14/10 I tried using Select Max and several variations of sub-queries but I just can't seem to get it working. Any help would be hugely appreciated!

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  • Bi-directional view model syncing with "live" collections and properties (MVVM)

    - by Schneider
    I am getting my knickers in a twist recently about View Models (VM). Just like this guy I have come to the conclusion that the collections I need to expose on my VM typically contain a different type to the collections exposed on my business objects. Hence there must be a bi-directional mapping or transformation between these two types. (Just to complicate things, on my project this data is "Live" such that as soon as you change a property it gets transmitted to other computers) I can just about cope with that concept, using a framework like Truss, although I suspect there will be a nasty surprise somewhere within. Not only must objects be transformed but a synchronization between these two collections is required. (Just to complicate things I can think of cases where the VM collection might be a subset or union of business object collections, not simply a 1:1 synchronization). I can see how to do a one-way "live" sync, using a replicating ObservableCollection or something like CLINQ. The problem then becomes: What is the best way to create/delete items? Bi-directinal sync does not seem to be on the cards - I have found no such examples, and the only class that supports anything remotely like that is the ListCollectionView. Would bi-directional sync even be a sensible way to add back into the business object collection? All the samples I have seen never seem to tackle anything this "complex". So my question is: How do you solve this? Is there some technique to update the model collections from the VM? What is the best general approach to this?

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  • What is a good programming language/environment for Linux database applications?

    - by Dkellygb
    I could use some advice on my move from the Windows world to Linux. For my business, I have used VB6 and Microsoft Access with both Access databases and SQL server in the past. The easy to use forms, report writers and programming language were perfect for CRUD apps and analysis for our small hotel/restaurant business. After using Linux at home for some time I would like to convert our small business. Our server is already a Linux box using Samba. I am happy with the OpenOffice.org applications instead of Microsoft Office. The only thing which is holding me back is a desktop database application where I can develop the forms and reports we require. Base does not seem to be up to the job yet from my experience. I would like something like VB.Net with visual studio (express) but I would like to avoid Mono – I just don’t see the point of it. (You can correct me if I’m wrong.) But a good collection of forms, controls and a good report writer would be ideal. I have looked at web based stuff like Ruby on Rails, but I think a webserver for our 5 pc network is overkill. I don’t mind running a proper database on our Ubuntu 9.10 server. I may have exposed a few prejudices above but my mind is open. Any thoughts?

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  • Return type from DAL class (Sql ce, Linq to Sql)

    - by bretddog
    Hi, Using VS2008 and Sql CE 3.5, and preferably Linq to Sql. I'm learning database, and unsure about DAL methods return types and how/where to map the data over to my business objects: I don't want direct UI binding. A business object class UserData, and a class UserDataList (Inherits List(Of UserData)), is represented in the database by the table "Users". I use SQL Compact and run SqlMetal which creates dbml/designer.vb file. This gives me a class with a TableAttribute: <Table()> _ Partial Public Class Users I'm unsure how to use this class. Should my business object know about this class, such that the DAL can return the type Users, or List(Of Users) ? So for example the "UserDataService Class" is a part of the DAL, and would have for example the functions GetAll and GetById. Will this be correct : ? Public Class UserDataService Public Function GetAll() As List(Of Users) Dim ctx As New MyDB(connection) Dim q As List(Of Users) = From n In ctx.Users Select n Return q End Function Public Function GetById(ByVal id As Integer) As Users Dim ctx As New MyDB(connection) Dim q As Users = (From n In ctx.Users Where n.UserID = id Select n).Single Return q End Function And then, would I perhaps have a method, say in the UserDataList class, like: Public Class UserDataList Inherits List(Of UserData) Public Sub LoadFromDatabase() Me.clear() Dim database as New UserDataService dim users as List(Of Users) users = database.GetAll() For each u in users dim newUser as new UserData newUser.Id = u.Id newUser.Name = u.Name Me.Add(newUser) Next End Sub End Class Is this a sensible approach? Would appreciate any suggestions/alternatives, as this is my first attempt on a database DAL. cheers!

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  • rookie MySql question about paging; Is one query enough?

    - by Camran
    I have managed to get paging to work, almost. I want to display to the user, total nr of records found, and the currently displayed records. Ex: 4000 found, displaying 0-100. I am testing this with the nr 2 (because I don't have that many records, have like 20). So I am using LIMIT $start, $nr_results; Do I have to make two queries in order to display the results the way I want, one query fetching all records and then make a mysql_num_rows to get all records, then the one with the LIMIT ? I have this: mysql_num_rows($qry_result); $total_pages = ceil($num_total / $res_per_page); //$res_per_page==2 and $num_total = 2 if ($p - 10 < 1) { $pagemin=1; } else { $pagemin = $p - 10; } if ($p + 10 $total_pages) { $pagemax = $total_pages; } else { $pagemax = $p + 10; } Here is the query: SELECT mt.*, fordon.*, boende.*, elektronik.*, business.*, hem_inredning.*, hobby.* FROM classified mt LEFT JOIN fordon ON fordon.classified_id = mt.classified_id LEFT JOIN boende ON boende.classified_id = mt.classified_id LEFT JOIN elektronik ON elektronik.classified_id = mt.classified_id LEFT JOIN business ON business.classified_id = mt.classified_id LEFT JOIN hem_inredning ON hem_inredning.classified_id = mt.classified_id LEFT JOIN hobby ON hobby.classified_id = mt.classified_id ORDER BY modify_date DESC LIMIT 0, 2 Thanks, if you need more input let me know. Basically Q is, do I have to make two queries?

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  • Start with remoting or with WCF

    - by Sheldon
    Hi. I'm just starting with distributed application development. I need to create (all by myself) an enterprise application for document management. That application will run on an intranet (within the firewall, no internet access is required now, BUT is probably that will be later). The application needs to manage images that will be stored within MySQL Server (as blobs) and those images will be then recovered by the app and eventually one or more of them will be converted to PDF. Performance is the most important non-functional requirement. I have a couple of doubts. What do you suggest to use, .NET Remoting or WCF over TCP-IP (I think second one is the best for the moment I need to expose the business logic over internet, changing the protocol). Where do you suggest to make the transformation of the images to pdf files, I'm using iText. (I have thought to have the business logic stored within the IIS and exposed via WCF, and that business logic to be responsible of getting the images and transforming them to PDF, that because the IIS and the MySQL Server are the same physical machine). I ask about where to do the transformation because the app must be accessible from multiple devices, and for example, for mobile devices, the pdf maybe is not necessary. Thank you very much in advance.

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  • Spring: Bean fails to read off values from external Properties file when using @Value annotation

    - by daydreamer
    XML Configuration <beans xmlns="http://www.springframework.org/schema/beans" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xmlns:util="http://www.springframework.org/schema/util" xsi:schemaLocation="http://www.springframework.org/schema/beans http://www.springframework.org/schema/beans/spring-beans-3.0.xsd http://www.springframework.org/schema/util http://www.springframework.org/schema/util/spring-util.xsd"> <util:properties id="mongoProperties" location="file:///storage/local.properties" /> <bean id="mongoService" class="com.business.persist.MongoService"></bean> </beans> and MongoService looks like @Service public class MongoService { @Value("#{mongoProperties[host]}") private String host; @Value("#{mongoProperties[port]}") private int port; @Value("#{mongoProperties[database]}") private String database; private Mongo mongo; private static final Logger LOGGER = LoggerFactory.getLogger(MongoService.class); public MongoService() throws UnknownHostException { LOGGER.info("host=" + host + ", port=" + port + ", database=" + database); mongo = new Mongo(host, port); } public void putDocument(@Nonnull final DBObject document) { LOGGER.info("inserting document - " + document.toString()); mongo.getDB(database).getCollection(getCollectionName(document)).insert(document, WriteConcern.SAFE); } I write my MongoServiceTest as public class MongoServiceTest { @Autowired private MongoService mongoService; public MongoServiceTest() throws UnknownHostException { mongoRule = new MongoRule(); } @Test public void testMongoService() { final DBObject document = DBContract.getUniqueQuery("001"); document.put(DBContract.RVARIABLES, "values"); document.put(DBContract.PVARIABLES, "values"); mongoService.putDocument(document); } and I see failures in tests as 12:37:25.224 [main] INFO c.s.business.persist.MongoService - host=null, port=0, database=null java.lang.NullPointerException at com.business.persist.MongoServiceTest.testMongoService(MongoServiceTest.java:40) Which means bean was not able to read the values from local.properties local.properties ### === MongoDB interaction === ### host="127.0.0.1" port=27017 database=contract How do I fix this? update It doesn't seem to read off the values even after creating setters/getters for the fields. I am really clueless now. How can I even debug this issue? Thanks much!

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  • What are the responsibilities of the data layer?

    - by alimac83
    I'm working on a project where I had to add a data layer to my application. I've always thought that the data layer is purely responsible for CRUD functions ie. shouldn't really contain any logic but should simply retrieve data for the business layer to manipulate. However I'm a little confused with my project because I'm not sure whether I've structured my app correctly for this scenario. Basically I'm trying to retrieve a list of products from the database that fall within a certain pricing threshold. At the moment I have a function in my data layer that basically returns all products where price min threshold and price < max threshold. But it got me thinking that maybe this is incorrect. Should the data layer simply return a list of ALL products and then the business logic do the filtering? I'm pretty confused over whether the data layer should simply provide methods that allow the business layer to get raw data or whether it should be responsible for getting filtered data too? If anyone has an article or something explaining this in detail it'd be very helpful. Thanks

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  • Are bad data issues that common?

    - by Water Cooler v2
    I've worked for clients that had a large number of distinct, small to mid-sized projects, each interacting with each other via properly defined interfaces to share data, but not reading and writing to the same database. Each had their own separate database, their own cache, their own file servers/system that they had dedicated access to, and so they never caused any problems. One of these clients is a mobile content vendor, so they're lucky in a way that they do not have to face the same problems that everyday business applications do. They can create all those separate compartments where their components happily live in isolation of the others. However, for many business applications, this is not possible. I've worked with a few clients, one of whose applications I am doing the production support for, where there are "bad data issues" on an hourly basis. Yeah, it's that crazy. Some data records from one of the instances (lower than production, of course) would have been run a couple of weeks ago, and caused some other user's data to get corrupted. And then, a data script will have to be written to fix this issue. And I've seen this happening so much with this client that I have to ask. I've seen this happening at a moderate rate with other clients, but this one just seems to be out of order. If you're working with business applications that share a large amount of data by reading and writing to/from the same database, are "bad data issues" that common in your environment?

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  • Best way to unit test Collection?

    - by limc
    I'm just wondering how folks unit test and assert that the "expected" collection is the same/similar as the "actual" collection (order is not important). To perform this assertion, I wrote my simple assert API:- public void assertCollection(Collection<?> expectedCollection, Collection<?> actualCollection) { assertNotNull(expectedCollection); assertNotNull(actualCollection); assertEquals(expectedCollection.size(), actualCollection.size()); assertTrue(expectedCollection.containsAll(actualCollection)); assertTrue(actualCollection.containsAll(expectedCollection)); } Well, it works. It's pretty simple if I'm asserting just bunch of Integers or Strings. It can also be pretty painful if I'm trying to assert a collection of Hibernate domains, say for example. The collection.containsAll(..) relies on the equals(..) to perform the check, but I always override the equals(..) in my Hibernate domains to check only the business keys (which is the best practice stated in the Hibernate website) and not all the fields of that domain. Sure, it makes sense to check just against the business keys, but there are times I really want to make sure all the fields are correct, not just the business keys (for example, new data entry record). So, in this case, I can't mess around with the domain.equals(..) and it almost seems like I need to implement some comparators for just unit testing purposes instead of relying on collection.containsAll(..). Are there some testing libraries I could leverage here? How do you test your collection? Thanks.

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  • what is the best practice approach for n-tier application development with entity framework?

    - by samsur
    I am building an application using entity framework. I am using the T4 template to generate self tracking entities. Currently, I am thinking of creating the entity framework code in a separate project. In this same project, I would have partial classes with additional methods for the entities. I am thinking of creating a separate project for a service layer (WCF) with methods for the upper/presentation tier. The WCF layer will reference the entity framework project. The methods in the WCF layer will return the entities or accept the entities as the parameters. I am thinkg of creating a third project for the presentation layer (ASP.net), this will make calls to the WCF service but will also need to reference the entities as the WCF methods take these types as the parameters/return types. In short, i want to use the STE entities generated by the T4 template as a DTO to be used in all layers. I was originally thinking of creating a business logic layer that maps to each entities. Example: If i have a customer class, the Business Layer would have a CustomerBLL class and then methods in the customerBLL will be used by the service layer. I was also trying to create a DTO in this business layer. I however found that this approach is very time consuming and i do not see a major benefit as it would create more maintenance work. What is the best practice for n-tier application development using entity framework 4?

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  • Does this query fetch unnecessary information? Should I change the query?

    - by Camran
    I have this classifieds website, and I have about 7 tables in MySql where all data is stored. I have one main table, called "classifieds". In the classifieds table, there is a column called classified_id. This is not the PK, or a key whatsoever. It is just a number which is used for me to JOIN table records together. Ex: classifieds table: fordon table: id => 33 id => 12 classified_id => 10 classified_id => 10 ad_id => 'bmw_m3_92923' This above is linked together by the classified_id column. Now to the Q, I use this method to fetch all records WHERE the column ad_id matches any of the values inside an array, called in this case $ad_arr: SELECT mt.*, fordon.*, boende.*, elektronik.*, business.*, hem_inredning.*, hobby.* FROM classified mt LEFT JOIN fordon ON fordon.classified_id = mt.classified_id LEFT JOIN boende ON boende.classified_id = mt.classified_id LEFT JOIN elektronik ON elektronik.classified_id = mt.classified_id LEFT JOIN business ON business.classified_id = mt.classified_id LEFT JOIN hem_inredning ON hem_inredning.classified_id = mt.classified_id LEFT JOIN hobby ON hobby.classified_id = mt.classified_id WHERE mt.ad_id IN ('$ad_arr')"; Is this good or would this actually fetch unnecessary information? Check out this Q I posted couple of days ago. In the comments HLGEM is commenting that it is wrong etc etc. What do you think? http://stackoverflow.com/questions/2782275/another-rookie-question-how-to-implement-count-here Thanks

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  • is there a signal emiter/consumer engine (like in Django) for .NET (C#)

    - by user118657
    Has .NET (C#) anything like Django's Signals engine? Our business logic become really complicated over few years of adding new features. I'm going to re-architecture it. Currently all features are very coupled that makes regression errors while changing something one one place - some other place may be broken. I really like Django's apps idea where separate applications introduce new functionality and are absolutely separate. Communication between apps is implemented though signals. I wounder if there is something in .NET that allows to divide project business to many separated "apps" (plug-ins, zones, modules, you name it) and make communication using some kind of "signals". For example we have simple order flow. We can add "coupon app" that if exists in the project adds abilities to use discount coupon. We can add "cross sale" module that if exists adds abilities to offer cross-sale products Email notification module that if exists adds abilities to send order email notifications. But in the same time all this modules are "self-contained" means that communication between them is done using emitting signals (ORDER_PROCCESS_START, ORDER_SUCCESS, etcs) and other modules can subscribe to this signals and process them in required way. This architecture is not related to web, all business logic is processed on the server side like without working with HTTP directly. I wonder if it's good architecture from code maintaining and testing point of few, is it possible to do this in .NET? Any drawbacks that I don't realize now?

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  • What kind of data do I pass into a Django Model.save() method?

    - by poswald
    Lets say that we are getting POSTed a form like this in Django: rate=10 items= [23,12,31,52,83,34] The items are primary keys of an Item model. I have a bunch of business logic that will run and create more items based on this data, the results of some db lookups, and some business logic. I want to put that logic into a save signal or an overridden Model.save() method of another model (let's call it Inventory). The business logic will run when I create a new Inventory object using this form data. Inventory will look like this: class Inventory(models.Model): picked_items = models.ManyToManyField(Item, related_name="items_picked_set") calculated_items = models.ManyToManyField(Item, related_name="items_calculated_set") rate = models.DecimalField() ... other fields here ... New calculated_items will be created based on the passed in items which will be stored as picked_items. My question is this: is it better for the save() method on this model to accept: the request object (I don't really like this coupling) the form data as arguments or kwargs (a list of primary keys and the other form fields) a list of Items (The caller form or view will lookup the list of Items and create a list as well as pass in the other form fields) some other approach? I know this is a bit subjective, but I was wondering what the general idea is. I've looked through a lot of code but I'm having a hard time finding a pattern I like.

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  • data ownership and performance

    - by Ami
    We're designing a new application and we ran into some architectural question when thinking about data ownership. we broke down the system into components, for example Customer and Order. each of this component/module is responsible for a specific business domain, i.e. Customer deals with CRUD of customers and business process centered around customers (Register a n new customer, block customer account, etc.). each module is the owner of a set of database tables, and only that module may access them. if another module needs data that is owned by another module, it retrieves it by requesting it from that module. so far so good, the question is how to deal with scenarios such as a report that needs to show all the customers and for each customer all his orders? in such a case we need to get all the customers from the Customer module, iterate over them and for each one get all the data from the Order module. performance won't be good...obviously it would be much better to have a stored proc join customers table and orders table, but that would also mean direct access to the data that is owned by another module, creating coupling and dependencies that we wish to avoid. this is a simplified example, we're dealing with an enterprise application with a lot of business entities and relationships, and my goal is to keep it clean and as loosely coupled as possible. I foresee in the future many changes to the data scheme, and possibly splitting the system into several completely separate systems. I wish to have a design that would allow this to be done in a relatively easy way. Thanks!

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  • Question about architecting asp.net mvc application ?

    - by Misnomer
    I have read little bit about architecture and also patterns in order to follow the best practices. So this is the architecture we have and I wanted to know what you think of it and any proposed changes or improvements to it - Presentation Layer - Contains all the views,controllers and any helper classes that the view requires also it containes the reference to Model Layer and Business Layer. Business Project - Contains all the business logic and validation and security helper classes that are being used by it. It contains a reference to DataAccess Layer and Model Layer. Data Access Layer - Contains the actual queries being made on the entity classes(CRUD) operations on the entity classes. It contains reference to Model Layer. Model Layer - Contains the entity framework model,DTOs,Enums.Does not really have a reference to any of the above layers. What are your thoughts on the above architecture ? The problem is that I am getting confused by reading about like say the repository pattern, domain driven design and other design patterns. The architecture we have although not that strict still is relatively alright I think and does not really muddle things but I maybe wrong. I would appreciate any help or suggestions here. Thanks !

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  • Wordpress and Dynamic Programming Php

    - by user1675146
    I have geography pages for two types of business listings. Each page goes from state, county, city, but I need to have the same geography shared between two types of business. My two business types are dentist and chiropractors. I am trying to have a permalink structure like this: enter code here xyz.com/dentist/alabama enter code here xyz.com/dentist/alabama/polk-county/ enter code here xyz.com/chiropractors/alabama/ enter code here xyz.com/chiropractors/alabama/polk-county/ I originally was going to load the geography as pages and subpages, but with that method I cannot get the permalink separated by the type chiropractor and dentist. So now I have created a custom post type one for chiropractor and one for dentist which give me the permalink xyz.com/dentist and xyz.com/chiropractor. My question is now how to handle my category geography page. I was wondering if in wordpress it is possible to create a shell page such as xyz.com/dentist/[state]/ and then through php dynamically build a page for each state? So where it shows [state] it will be replaced with the actual state such as alabama, california etc when that specific page is viewed. But the shell page is just 1 page in the database. If so could someone give me a basic explanation on how to instruct a programmer to do this? Thank you.

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