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  • SQL to select random mix of rows fairly [migrated]

    - by Matt Sieker
    Here's my problem: I have a set of tables in a database populated with data from a client that contains product information. In addition to the basic product information, there is also information about the manufacturer, and categories for those products (a product can be in one or more categories). These categories are then referred to as "Product Categories", and which stores these products are available at. These tables are updated once a week from a feed from the customer. Since for our purposes, some of the product categories are the same, or closely related for our purposes, there is another level of categories called "General Categories", a general category can have one or more product categories. For the scope of these tables, here's some rough numbers: Data Tables: Products: 475,000 Manufacturers: 1300 Stores: 150 General Categories: 245 Product Categories: 500 Mapping Tables: Product Category -> Product: 655,000 Stores -> Products: 50,000,000 Now, for the actual problem: As part of our software, we need to select n random products, given a store and a general category. However, we also need to ensure a good mix of manufacturers, as in some categories, a single manufacturer dominates the results, and selecting rows at random causes the results to strongly favor that manufacturer. The solution that is currently in place, works for most cases, involves selecting all of the rows that match the store and category criteria, partition them on manufacturer, and include their row number from within their partition, then select from that where the row number for that manufacturer is less than n, and use ROWCOUNT to clamp the total rows returned to n. This query looks something like this: SET ROWCOUNT 6 select p.Id, GeneralCategory_Id, Product_Id, ISNULL(m.DisplayName, m.Name) AS Vendor, MSRP, MemberPrice, FamilyImageName from (select p.Id, gc.Id GeneralCategory_Id, p.Id Product_Id, ctp.Store_id, Manufacturer_id, ROW_NUMBER() OVER (PARTITION BY Manufacturer_id ORDER BY NEWID()) AS 'VendorOrder', MSRP, MemberPrice, FamilyImageName from GeneralCategory gc inner join GeneralCategoriesToProductCategories gctpc ON gc.Id=gctpc.GeneralCategory_Id inner join ProductCategoryToProduct pctp on gctpc.ProductCategory_Id = pctp.ProductCategory_Id inner join Product p on p.Id = pctp.Product_Id inner join StoreToProduct ctp on p.Id = ctp.Product_id where gc.Id = @GeneralCategory and ctp.Store_id=@StoreId and p.Active=1 and p.MemberPrice >0) p inner join Manufacturer m on m.Id = p.Manufacturer_id where VendorOrder <=6 order by NEWID() SET ROWCOUNT 0 (I've tried to somewhat format it to make it cleaner, but I don't think it really helps) Running this query with an execution plan shows that for the majority of these tables, it's doing a Clustered Index Seek. There are two operations that take up roughly 90% of the time: Index Seek (Nonclustered) on StoreToProduct: 17%. This table just contains the key of the store, and the key of the product. It seems that NHibernate decided not to make a composite key when making this table, but I'm not concerned about this at this point, as compared to the other seek... Clustered Index Seek on Product: 69%. I really have no clue how I could make this one more performant. On categories without a lot of products, performance is acceptable (<50ms), however larger categories can take a few hundred ms, with the largest category taking 3s (which has about 170k products). It seems I have two ways to go from this point: Somehow optimize the existing query and table indices to lower the query time. As almost every expensive operation is already a clustered index scan, I don't know what could be done there. The inner query could be tuned to not return all of the possible rows for that category, but I am unsure how to do this, and maintain the requirements (random products, with a good mix of manufacturers) Denormalize this data for the purpose of this query when doing the once a week import. However, I am unsure how to do this and maintain the requirements. Does anyone have any input on either of these items?

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  • Multitenancy in SQL Azure

    - by cibrax
    If you are building a SaaS application in Windows Azure that relies on SQL Azure, it’s probably that you will need to support multiple tenants at database level. This is short overview of the different approaches you can use for support that scenario, A different database per tenant A new database is created and assigned when a tenant is provisioned. Pros Complete isolation between tenants. All the data for a tenant lives in a database only he can access. Cons It’s not cost effective. SQL Azure databases are not cheap, and the minimum size for a database is 1GB.  You might be paying for storage that you don’t really use. A different connection pool is required per database. Updates must be replicated across all the databases You need multiple backup strategies across all the databases Multiple schemas in a database shared by all the tenants A single database is shared among all the tenants, but every tenant is assigned to a different schema and database user. Pros You only pay for a single database. Data is isolated at database level. If the credentials for one tenant is compromised, the rest of the data for the other tenants is not. Cons You need to replicate all the database objects in every schema, so the number of objects can increase indefinitely. Updates must be replicated across all the schemas. The connection pool for the database must maintain a different connection per tenant (or set of credentials) A different user is required per tenant, which is stored at server level. You have to backup that user independently. Centralizing the database access with store procedures in a database shared by all the tenants A single database is shared among all the tenants, but nobody can read the data directly from the tables. All the data operations are performed through store procedures that centralize the access to the tenant data. The store procedures contain some logic to map the database user to an specific tenant. Pros You only pay for a single database. You only have a set of objects to maintain and backup. Cons There is no real isolation. All the data for the different tenants is shared in the same tables. You can not use traditional ORM like EF code first for consuming the data. A different user is required per tenant, which is stored at server level. You have to backup that user independently. SQL Federations A single database is shared among all the tenants, but a different federation is used per tenant. A federation in few words, it’s a mechanism for horizontal scaling in SQL Azure, which basically uses the idea of logical partitions to distribute data based on certain criteria. Pros You only have a single database with multiple federations. You can use filtering in the connections to pick the right federation, so any ORM could be used to consume the data. Cons There is no real isolation at that database level. The isolation is enforced programmatically with federations.

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  • What are best practices for collecting, maintaining and ensuring accuracy of a huge data set?

    - by Kyle West
    I am posing this question looking for practical advice on how to design a system. Sites like amazon.com and pandora have and maintain huge data sets to run their core business. For example, amazon (and every other major e-commerce site) has millions of products for sale, images of those products, pricing, specifications, etc. etc. etc. Ignoring the data coming in from 3rd party sellers and the user generated content all that "stuff" had to come from somewhere and is maintained by someone. It's also incredibly detailed and accurate. How? How do they do it? Is there just an army of data-entry clerks or have they devised systems to handle the grunt work? My company is in a similar situation. We maintain a huge (10-of-millions of records) catalog of automotive parts and the cars they fit. We've been at it for a while now and have come up with a number of programs and processes to keep our catalog growing and accurate; however, it seems like to grow the catalog to x items we need to grow the team to y. I need to figure some ways to increase the efficiency of the data team and hopefully I can learn from the work of others. Any suggestions are appreciated, more though would be links to content I could spend some serious time reading. THANKS! Kyle

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  • Add a custom variable to an email header already within a gmail inbox

    - by Ali
    Hi guys - this may seem odd but I was wondering if it was possible to add custom header details to emails already in an inbox. Like lets say I wish to add in the Header of the email something like - myvariable = myvalue and then be able to query it somehow. I'm looking at code from Iloha mail and most of the details like subject and from recieved etc are in the headers and you can search through them. SO is it possible to add my own custom variable to an email header and query it in the same way? How can it be done using php? EDIT ==================== Thanks I know how you can modify the headers of sent messages plus also query for custom variables in message headers however in this case I want to know if it would be possible to add a custom variable in a recieved message already in my inbox. Actually let me define the situation here. I'm working on a google apps solution which requires maintaining references to emails. Basically the application is as such that when an email comes in - we create an order from that email and wish to maintain a reference to that EXACT email by some kind of identifier which would enable us to identify that email. The fact is that we don't want to download the emails in a database and maintain a separate store as we would want to keep all the emailing on GMAIL. We just need: A way to be able to 'link' to a specific email permanently - the UID is just a sequence number and not very reliable. We couldn't find any property of emails that could function as a unique ID or primary key and so we thought if we could instead generate a key on our end and store it in a custom variable on the email itself. However it seems unfortunately that there isn't a way to manipulate headers of an already existing email. :( is there any solution to this problem I could use any IDEA !

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

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

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  • Internal and External Bug-Tracking Setup

    - by devdude
    Most of you certainly use some kind of bugtracker. Maybe internally only, once a customer files a bug via email or phone you add a new ticket by yourself. Sometimes weekly project meetings can be great source of new tickets coming preferably in flavors of excel sheets that the PM on the other side of the table loves to maintain and chase after you. The more advanced (and transparent) version: Allow the customer to file (and see the progress of) his bugs directly into you bugtracker. Systems like JIRA allow you to use profiles to have certain access rights, etc. But now the question: The bug raised by a user not necessary translates into 1 bug in a specific module/method/EJB/class. The version of the (your) web application he uses does not translate into the version of the class that is causing the error. How you maintain the internal part of the ticket with all the nasty techy details and the same time the make-the-user-feel-good ticket (need more info, accepted, in progress,..) ? Creating 2 tickets for internal and external ? Link them ? Any smart recipes to share ?

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  • Abusing the word "library"

    - by William Pursell
    I see a lot of questions, both here on SO and elsewhere, about "maintaining common libraries in a VCS". That is, projects foo and bar both depend on libbaz, and the questioner is wondering how they should import the source for libbaz into the VCS for each project. My question is: WTF? If libbaz is a library, then foo doesn't need its source code at all. There are some libraries that are reasonably designed to be used in this manner (eg gnulib), but for the most part foo and bar ought to just link against the library. I guess my thinking is: if you cut-and-paste source for a library into your own source tree, then you obviously don't care about future updates to the library. If you care about updates, then just link against the library and trust the library maintainers to maintain a stable API. If you don't trust the API to remain stable, then you can't blindly update your own copy of the source anyway, so what is gained? To summarize the question: why would anyone want to maintain a copy of a library in the source code for a project rather than just linking against that library and requiring it as a dependency? If the only answer is "don't want the dependency", then why not just distribute a copy of the library along with your app, but keep them totally separate?

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  • How does real-time collaboration with multiple clients work in a system using operation transformati

    - by Saikat Chakrabarti
    I just finished reading High-Latency, Low-Bandwidth Windowing in the Jupiter Collaboration System and I mostly followed everything until part 6: global consistency. This part describes how the system described in the paper can be extended to accomodate for multiple clients connected to the server. However, the explanation is very short and essentially says the system will work if the central server merely forwards client messages to all the other clients. I don't really understand how this works though. What state vector would be sent in the message that is sent to all the other clients? Does the server maintain separate state vectors for each client? Does it maintain a separate copy of the widgets locally for each client? The simple example I can think of is this setup: imagine client A, server, and client B with client A and client B both connected to the server. To start, all three have the state object "ABCD". Then, client A sends the message "insert character F at position 0" at the same time client B sends the message "insert character G at position 0" to the server. It seems like simply relaying client A's message to client B and vice versa doesn't actually handle this case. So what exactly does the server do?

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  • Starting a new business with former colleagues, advice needed

    - by Sparafusile
    I was recently contacted by a former boss of mine who is thinking of starting a new business. The business will be online only it will by my job to design, build, and maintain the software going into it. I will also have to maintain the server it's running on, being the only technical person on the team. I will be one of four members of the business, the other three being the actual business know-hows and salesmen. The other three are shouldering the cost of getting the business going (incorporation, attorney fees, etc) and we will be splitting the cost of the server. I have no business knowledge at all, and don't want any part of it, I am only interested in the technical aspects. Now that we are finalizing our plans, determining roles, and getting ready to start actual work, we have come to the point where we have to determine what percentage stake each of us has. Since I have never done anything like this before, or met anyone that has, I don't know what I should expect. Can anyone give me some pointers on what to ask for in this deal?

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  • Is there any way to combine transparency and "ajax usability" with HTML templates

    - by Sam
    I'm using HTML_Template_Flexy in PHP but the question should apply to any language or template library. I am outputting a list of relatively complex objects. In the beginning I just iterated over a list of the objects and called a toHtml method on them. When I was about to have my layout designer look over the template I noticed that it was too opaque and that he would have ended up looking through and/or editing many additional php source files to see what really gets generated by the toHtml method. So I extracted most of the HTML strings in the php classes up to the template which made for one clear file where you can see the whole page structure at once. However this causes problems when you want to add an object to the list using javascript. Then I have to keep the old toHtml method and maintain both the main template and the html strings at the same time, so I can output just the HTML for a new object that should be added to the page. So I'm back to the idea of using smaller templates for the objects that make up the page, but I was wondering if there was some easy way of having my cake and eating it too by having one template that shows the whole page but also the mini-templates for smaller objects on the page. Edit: Yes, updating the page is not a problem at all. My concern is with having both maintainability and transparency of the template files. If I have one single template for the whole page, then I must maintain mini-templates of the objects that are shown on the page. If I just have the mini-templates and include them from the higher-level template it becomes more difficult to look at the top-level html and imagine what the end result will look like.

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  • Search implementation dilemma: full text vs. plain SQL

    - by Ethan
    I have a MySQL/Rails app that needs search. Here's some info about the data: Users search within their own data only, so searches are narrowed down by user_id to begin with. Each user will have up to about five thousand records (they accumulate over time). I wrote out a typical user's records to a text file. The file size is 2.9 MB. Search has to cover two columns: title and body. title is a varchar(255) column. body is column type text. This will be lightly used. If I average a few searches per second that would be surprising. It's running an a 500 MB CentOS 5 VPS machine. I don't want relevance ranking or any kind of fuzziness. Searches should be for exact strings and reliably return all records containing the string. Simple date order -- newest to oldest. I'm using the InnoDB table type. I'm looking at plain SQL search (through the searchlogic gem) or full text search using Sphinx and the Thinking Sphinx gem. Sphinx is very fast and Thinking Sphinx is cool, but it adds complexity, a daemon to maintain, cron jobs to maintain the index. Can I get away with plain SQL search for a small scale app?

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  • maintaining continuous count in php

    - by LiveEn
    I have a small problem maintain a count for the position. i have written a function function that will select all the users within a page and positions them in the order. Eg: Mike Position 1 Steve Postion 2.............. .... Jacob Position 30 but the problem that i have when i move to the second page, the count is started from first Eg: Jenny should be number 31 but the list goes, Jenny Position 1 Tanya Position 2....... Below is my function function nrk($duty,$page,$position) { $url="http://www.test.com/people.php?q=$duty&start=$page"; $ch=curl_init(); curl_setopt($ch,CURLOPT_URL,$url); $result=curl_exec($ch); $dom = new DOMDocument(); @$dom->loadHTML($result); $xpath=new DOMXPath($dom); $elements = $xpath->evaluate("//div"); foreach ($elements as $element) { $name = $element->getElementsByTagName("name")->item(0)->nodeValue; $position=$position+1; echo $name." Position:".$position."<br>"; } return $position; } Below is the for loop where i try to loop thru the page count for ($page=0;$page<=$pageNumb;$page=$page + 10) { nrk($duty,$page,$position); } I dont want to maintain a array key value in the for each coz i drop certain names...

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  • Apache module, is it possible to have asynchronous processing

    - by prashant2361
    Hi, I have a requirement where I need to send continous updates to my clients. Client is browser in this case. We have some data which updates every sec, so once client connects to our server, we maintain a persistent connection and keep pushing data to the client. I am looking for suggestions of this implementation at the server end. Basically what I need is this: 1. client connects to server. I maintain the socket and metadata about the socket. metadata contains what updates need to be send to this client 2. server process now waits for new client connections 3. One other process will have the list of all the sockets opened and will go through each of them and send the updates if required. Can we do something like this in apache module: 1. apache process gets the new connection. It maintains the state for the connection. It keeps the state in some global memory and returns back to root process to signify that it is done so that it can accept the new connection 2. the apache process though has returned the status to root process but it is also executing parallely where it going through its global store and sending updates to the client, if any. So can a apache process do these things: 1. Have more than one connection associated with it 2. Asynchronously waiting for new connection and at the same time processing the previous connections? Regards Prashant

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  • LINQ to SQL - How to efficiently do either an AND or an OR search for multiple criteria

    - by Dan Diplo
    I have an ASP.NET MVC site (which uses Linq To Sql for the ORM) and a situation where a client wants a search facility against a bespoke database whereby they can choose to either do an 'AND' search (all criteria match) or an 'OR' search (any criteria match). The query is quite complex and long and I want to know if there is a simple way I can make it do both without having to have create and maintain two different versions of the query. For instance, the current 'AND' search looks something like this (but this is a much simplified version): private IQueryable<SampleListDto> GetSampleSearchQuery(SamplesCriteria criteria) { var results = from r in Table where (r.Id == criteria.SampleId) && (r.Status.SampleStatusId == criteria.SampleStatusId) && (r.Job.JobNumber.StartsWith(criteria.JobNumber)) && (r.Description.Contains(criteria.Description)) select r; } I could copy this and replace the && with || operators to get the 'OR' version, but feel there must be a better way of achieving this. Does anybody have any suggestions how this can be achieved in an efficient and flexible way that is easy to maintain? Thanks.

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  • sharing message object between web applications

    - by jezhilvalan
    I need to share java mail message objects between two web applications(A and B). WebApplication A obtains the message and write it to the outputStream for(int i=0;i<messagesArr.length;i++){ uid = pop3FolderObj.getUID(messagesArr[i]); //storing messages with uid names inorder to maintain uniqueness File f = new File("F:/PersistedMessagesFolder" + uid); FileOutputStream fos = new FileOutputStream(f); messagesArr[i].writeTo(fos); fos.flush(); fos.close(); } Is FileOutputStream the best output stream for persisting message objects? Is it possible to use ObjectOutputStream for message object persistence? WebApplication B reads the message object via InputStream FileInputStream fis = new FileInputStream("F:/MessagesPersistedFolder"+uid); MimeMessage mm = new MimeMessage(sessionObj,fis); What if the mail message object which is already written via WebApplication A is not a MimeMessage? How can I read non-mime messages using input stream? MimeMessage constructor mandates sessionObj as the first parameter? How can I obtain this sessionObj in WebApplicationB? Do I have to again establish store connection with the same emailid,emailpassword,popserver and port(already used in WebApplication A) with the email server inorder to obtain this session object? Even if obtained, will this session object remains the same as that of the session object which is priorly obtained in WebApplicationA? Since I am using uids to name Message objects (inorder to maintain uniqueness of file names) how can I share these uids between WebApplication A and WebApplication B? WebApplication B needs the uid inorder to access the specific file which is present in "F:/MessagesPersistedFolder" Please help me in resolving the aforeseen issues.

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  • Good PHP / MYSQL hashing solution for large number of text values

    - by Dave
    Short descriptio: Need hashing algorithm solution in php for large number of text values. Long description. PRODUCT_OWNER_TABLE serial_number (auto_inc), product_name, owner_id OWNER_TABLE owner_id (auto_inc), owener_name I need to maintain a database of 200000 unique products and their owners (AND all subsequent changes to ownership). Each product has one owner, but an owner may have MANY different products. Owner names are "Adam Smith", "John Reeves", etc, just text values (quite likely to be unicode as well). I want to optimize the database design, so what i was thinking was, every week when i run this script, it fetchs the owner of a proudct, then checks against a table i suppose similar to PRODUCT_OWNER_TABLE, fetching the owner_id. It then looks up owner_id in OWNER_TABLE. If it matches, then its the same, so it moves on. The problem is when its different... To optimize the database, i think i should be checking against the other "owner_name" entries in OWNER_TABLE to see if that value exists there. If it does, then i should use that owner_id. If it doesnt, then i should add another entry. Note that there is nothing special about the "name". as long as i maintain the correct linkagaes AND make the OWNER_TABLE "read-only, append-new" type table - I should be able create a historical archive of ownership. I need to do this check for 200000 entries, with i dont know how many unique owner names (~50000?). I think i need a hashing solution - the OWNER_TABLE wont be sorted, so search algos wont be optimal. programming language is PHP. database is MYSQL.

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  • Is it possible to have asynchronous processing

    - by prashant2361
    Hi, I have a requirement where I need to send continuous updates to my clients. Client is browser in this case. We have some data which updates every sec, so once client connects to our server, we maintain a persistent connection and keep pushing data to the client. I am looking for suggestions of this implementation at the server end. Basically what I need is this: 1. client connects to server. I maintain the socket and metadata about the socket. metadata contains what updates need to be send to this client 2. server process now waits for new client connections 3. One other process will have the list of all the sockets opened and will go through each of them and send the updates if required. Can we do something like this in Apache module: 1. Apache process gets the new connection. It maintains the state for the connection. It keeps the state in some global memory and returns back to root process to signify that it is done so that it can accept the new connection 2. the Apache process though has returned the status to root process but it is also executing in parallel where it going through its global store and sending updates to the client, if any. So can a Apache process do these things: 1. Have more than one connection associated with it 2. Asynchronously waiting for new connection and at the same time processing the previous connections? Regards Prashant

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  • lightweight/portable VCS for server-hopping DBA?

    - by Aaron
    I'm looking for a VCS that'll help me keep all of my work scripts in-sync. Requirements: Portable (as in flash drive, not code-level) Run on Windows XP and Server 2003+ No installation dependencies (Cygwin, perl, Python) I use Mercurial on my work machine for version control of the various T-SQL, ksh, perl, and CMD/BAT scripts that I maintain as a MS SQL Server DBA and Unix sysadmin. So far, hg has worked for my AIX boxes- I mount my home directory as I login, and deal with the repo as if it were local. I haven't been able to find a similar solution for the Windows machines I use. Most of them I do not have Local Admin rights; even if I did, I'd rather not install (and maintain) Python + Mercurial on all of them. I can't get to my home directory on them remotely, which leaves a client running on each machine as the only option. Bonus points for an answer that would let me use a single repo for both the Windows and Unix machines. :) I'm running WinXP, with heavy use of Cygwin and a CrunchBang VM.

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  • Issue with Callback method and maintaining CultureInfo and ASP.Net HttpRuntime

    - by Little Larry Sellers
    Hi All, Here is my issue. I am working on an E-commerce solution that is deployed to multiple European countries. We persist all exceptions within the application to SQL Server and I have found that there are records in the DB that have a DateTime in the future! We define the culture in the web.config, for example pt-PT, and the format expected is DD-MM-YYYY. After debugging I found the issue with these 'future' records in the DB is because of Callback methods we use. For example, in our Caching architecture we use Callbacks, as such - CacheItemRemovedCallback ReloadCallBack = new CacheItemRemovedCallback(OnRefreshRequest); When I check the current threads CultureInfo, on these Callbacks it is en-US instead of pt-PT and also the HttpContext is null. If an exception occurs on the Callback our exception manager reports it as MM-DD-YYYY and thus it is persisted to SQL Server incorrectly. Unfortunately, in the exception manager code, we use DateTime.Now, which is fine if it is not a callback. I can't change this code to be culture specific due to it being shared across other verticals. So, why don't callbacks into ASP.Net maintain context? Is there any way to maintain it on this callback thread? What are the best practices here? Thanks.

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  • Are Tuples a poor design decision in C#?

    - by Jason Webb
    With the addition of the Tuple class in .net 4, I have been trying to decide if using them in my design is a bad choice or not. The way I see it, a Tuple is a shortcut to writing a result class (I am sure there are other uses too). So this: public class ResultType { public string StringValue { get; set; } public int IntValue { get; set; } } public ResultType GetAClassedValue() { //..Do Some Stuff ResultType result = new ResultType { StringValue = "A String", IntValue = 2 }; return result; } Is equivalent to this: public Tuple<string, int> GetATupledValue() { //...Do Some stuff Tuple<string, int> result = new Tuple<string, int>("A String", 2); return result; } So setting aside the possibility that I am missing the point of Tuples, is the example with a Tuple a bad design choice? To me it seems like less clutter, but not as self documenting and clean. Meaning that with the type ResultType, it is very clear later on what each part of the class means but you have extra code to maintain. With the Tuple<string, int> you will need to look up and figure out what each Item represents, but you write and maintain less code. Any experience you have had with this choice would be greatly appreciated.

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  • Parsing XHTML with inline tags

    - by user290796
    Hi, I'm trying to parse an XHTML document using TBXML on the iPhone (although I would be happy to use either libxml2 or NSXMLParser if it would be easier). I need to extract the content of the body as a series of paragraphs and maintain the inline tags, for example: <!DOCTYPE html PUBLIC "-//W3C//DTD XHTML 1.1//EN" "http://www.w3.org/TR/xhtml11/DTD/xhtml11.dtd"> <html xmlns="http://www.w3.org/1999/xhtml" xml:lang="en"> <head> <title>Title</title> <link rel="stylesheet" href="css/style.css" type="text/css"/> <meta http-equiv="Content-Type" content="application/xhtml+xml; charset=utf-8"/> </head> <body> <div class="body"> <div> <h3>Title</h3> <p>Paragraph with <em>inline</em> tags</p> <img src="image.png" /> </div> </div> </body> </html> I need to extract the paragraph but maintain the <em>inline</em> content with the paragraph, all my testing so far has extracted that as a subelement without me knowing exactly where it fitted in the paragraph. Can anyone suggest a way to do this? Thanks.

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  • SSRS code variable resetting on new page

    - by edmicman
    In SSRS 2008 I am trying to maintain a SUM of SUMs on a group using custom Code. The reason is that I have a table of data, grouped and returning SUMs of the data. I have a filter on the group to remove lines where group sums are zero. Everything works except I'm running into problems with the group totals - it should be summing the visible group totals but is instead summing the entire dataset. There's tons of articles about how to work around this, usually using custom code. I've made custom functions and variables to maintain a counter: Public Dim GroupMedTotal as Integer Public Dim GrandMedTotal as Integer Public Function CalcMedTotal(ThisValue as Integer) as Integer GroupMedTotal = GroupMedTotal + ThisValue GrandMedTotal = GrandMedTotal + ThisValue Return ThisValue End Function Public Function ReturnMedSubtotal() as Integer Dim ThisValue as Integer = GroupMedTotal GroupMedTotal = 0 Return ThisValue End Function Basically CalcMedTotal is fed a SUM of a group, and maintains a running total of that sum. Then in the group total line I output ReturnMedSubtotal which is supposed to give me the accumulated total and reset it for the next group. This actually works great, EXCEPT - it is resetting the GroupMedTotal value on each page break. I don't have page breaks explicitly set, it's just the natural break in the SSRS viewer. And if I export the results to Excel everything works and looks correctly. If I output Code.GroupMedTotal on each group row, I see it count correctly, and then if a group spans multiple pages on the next page GroupMedTotal is reset and begins counting from zero again. Any help in what's going on or how to work around this? Thanks!

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  • Performance improvement of client server system

    - by Tanuj
    I have a legacy client server system where the server maintains a record of some data stored in a sqlite database. The data is related to monitoring access patterns of files stored on the server. The client application is basically a remote viewer of the data. When the client is launched, it connects to the server and gets the data from the server to display in a grid view. The data gets updated in real time on the server and the view in the client automatically gets refreshed. There are two problems with the current implementation: When the database gets too big, it takes a lot of time to load the client. What are the best ways to deal with this. One option is to maintain a cache at the client side. How to best implement a cache ? How can the server maintain a diff so that it only sends the diff during the refresh cycle. There can be multiple clients and each client needs to display the latest data available on the server. The server is a windows service daemon. Both the client and the server are implemented in C#

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  • Cache layer for MVC - Model or controller?

    - by Industrial
    Hi everyone, I am having some second thoughts about where to implement the caching part. Where is the most appropriate place to implement it, you think? Inside every model, or in the controller? Approach 1 (psuedo-code): // mycontroller.php MyController extends Controller_class { function index () { $data = $this->model->getData(); echo $data; } } // myModel.php MyModel extends Model_Class{ function getData() { $data = memcached->get('data'); if (!$data) { $query->SQL_QUERY("Do query!"); } return $data; } } Approach 2: // mycontroller.php MyController extends Controller_class { function index () { $dataArray = $this->memcached->getMulti('data','data2'); foreach ($dataArray as $key) { if (!$key) { $data = $this->model->getData(); $this->memcached->set($key, $data); } } echo $data; } } // myModel.php MyModel extends Model_Class{ function getData() { $query->SQL_QUERY("Do query!"); return $data; } } Thoughts: Approach 1: No multiget/multi-set. If a high number of keys would be returned, overhead would be caused. Easier to maintain, all database/cache handling is in each model Approach 2: Better performancewise - multiset/multiget is used More code required Harder to maintain Tell me what you think!

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  • Connection Pool Strategy: Good, Bad or Ugly?

    - by Drew
    I'm in charge of developing and maintaining a group of Web Applications that are centered around similar data. The architecture I decided on at the time was that each application would have their own database and web-root application. Each application maintains a connection pool to its own database and a central database for shared data (logins, etc.) A co-worker has been positing that this strategy will not scale because having so many different connection pools will not be scalable and that we should refactor the database so that all of the different applications use a single central database and that any modifications that may be unique to a system will need to be reflected from that one database and then use a single pool powered by Tomcat. He has posited that there is a lot of "meta data" that goes back and forth across the network to maintain a connection pool. My understanding is that with proper tuning to use only as many connections as necessary across the different pools (low volume apps getting less connections, high volume apps getting more, etc.) that the number of pools doesn't matter compared to the number of connections or more formally that the difference in overhead required to maintain 3 pools of 10 connections is negligible compared to 1 pool of 30 connections. The reasoning behind initially breaking the systems into a one-app-one-database design was that there are likely going to be differences between the apps and that each system could make modifications on the schema as needed. Similarly, it eliminated the possibility of system data bleeding through to other apps. Unfortunately there is not strong leadership in the company to make a hard decision. Although my co-worker is backing up his worries only with vagueness, I want to make sure I understand the ramifications of multiple small databases/connections versus one large database/connection pool.

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