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  • e-interview: SunSpace to WebCenter migration

    - by me
    I had the pleasure to do an e-interview with Ana Neves around the SunSpace to WebCenter migration project.  Below is the english version of the interview.  Enjoy   Peter, you joined Oracle in 2009 through the acquisition of Sun. Becoming a part of Oracle meant many changes. The internal collaboration platform was one of them, as per a post you wrote back in 2011. Sun had SunSpace. How would you describe SunSpace? SunSpace was the internal Community and Social Collaboration platform for the Sun's Global Sales and Services Organization. SunSpace served around 600 communities with a main focus around technology, products and services. SunSpace was a big success. Within 3 months of its launch SunSpace had over 20,000 users and it won the Atlassian "Not just another wiki" Award for the best use of Confluence (https://blogs.oracle.com/peterreiser/entry/goodbye_sunspace_hello_webcenter). What made SunSpace so special? 1. People centric versus  Web centric The main concept of SunSpace put the person in the middle of everything. All relevant information, resources  etc. where dynamically pushed to a person's  myProfile ( Facebook like interface) based on the person's interest and  needs.  2. Ease to use  SunSpace was really easy to use. We spent a lot of time on social interaction design to optimize the user experience.  Also we integrated some sophisticated technology to hide complexity from the user. As example - when a user added a document to SunSpace - we analyzed the content of the document and suggested related metadata and tags to the user based on a sophisticated algorithm which was integrated with the corporate taxonomy. Based on this metadata the document was automatically shared with the relevant communities.  3. Easy to find One of the main use cases for SunSpace was that  a user could quickly find the content and information they needed for their job.  The search implementation was based on:  optimized search engine algorithm using social value based ranking enhancements community facilitated search optimization  faceted search which recommended highly relevant  content like products, communities and experts 4. Social Adoption  - How to build vibrant communities You can deploy the coolest social technology but what if the users are not using it?   To drive user adoption we implemented two  complementary models: 4.1 Community Methodology  We developed a set of best practices on how to create, run and sustain communities including: community structure and types (e.g. Community of Practice, Community of Interest etc.) & tips and tricks on how to build a "vibrant " communities, Community Health check etc.  These best practices where constantly tuned and updated by the community of community drivers. 4.2. Social Value System To drive user adoption there is ONE key  question you  have to answer for each individual user: What's In It For Me (WIIFM) We developed a Social Value System called Community Equity which measures the social value flow between People, Content and Metadata. Based on this technology we added "Gamfication" techniques (although at that time this term did not exist ) to SunSpace to honor people for the active contribution and participation.  As example: All  social credentials a user earned trough active community participation where dynamically displayed on her/his myProfile. How would you describe WebCenter? Oracle WebCenter (@oraclewebcenter) is the Oracle's  user engagement platform for social business. It helps people work together more efficiently through contextual collaboration tools that optimize connections between people, information, and applications and ensures users have access to the right information in the context of the business process in which they are engaged. Oracle WebCenter can help your organization deliver contextual and targeted Web experiences to users and enable employees to access information and applications through intuitive portals, composite applications, and mash-ups. How does it compare to SunSpace in terms of functionality? Before I answer this question, I would like to point out some limitation we started to see with the current SunSpace implementation. Due to the massive growth of the user population (>20,000 users), we experienced  performance and scalability challenges with the current technology. Also at the time - Sun Internal Communications and SunIT planned to replace the entire Sun Intranet with SunSpace. We  kicked-off a project to evaluate the enterprise level technology which eventually would replace the good old static Intranet.  And then Oracle acquired Sun. We already had defined the functional requirements for the Intranet replacement with a Social Enterprise Stack and we just needed to evaluate the functional requirements against WebCenter   Below are the summary of this evaluation  MyProfile SunSpace WebCenter How WebCenter Works Home MyProfile: to access, click on your name at the top of any WebCenter page Your name, title, and reporting line are displayed.  Sub-tabs show your activity stream (Activities); people in your network (Connections); files you have uploaded (Documents); your contact information (Organization); and any personal information you wish to share (About).   Files MyFiles Allows you to upload, download and store documents or wiki pages within folders and subfolders.  The WebDav interface allows you to download / upload files / folders with a simple drag and drop to / from your local machine.  Tagging is supported and recommended. Network HomeMyConnections Home: displays the activity stream of individuals in your network.MyConnections: shows individuals in your network.  Click on a person's name to see their contact info and link to their profile. Status Updates MyProfle > Activties Add and displays  your recent activties and status updates. Watches Preferences > Subscriptions > Current Subscriptions Receive email notifications when  pages / spaces you watch are modified. Drafts N/A WebCenter does not support Drafts Settings Preferences: to access, click on 'Preferences' at the top of any WebCenter page Set your general preferences, as well as your WebCenter messaging, search and mail settings. MyCommunities MySpaces: to access, click on 'Spaces' at the top of any WebCenter page Displays MySpaces (communities you are a member of); and Recent Spaces (communities you have recently visited). Community SunSpace Webcenter How Webcenter Works Home Home Displays a community introduction and activity stream.  Members can add messages, links or documents via the Community Message Board. No Top Contributors widget. People Members Lists members of the community. The Mail All Members feature allows moderators and participants to send a message to all members of the community. Membership Management can be found under > Manage > Members News News Members can post and access latest community news and they can subscribe to news using an RSS reader Documents Documents Allows community members to upload, download and store documents or wiki pages within folders and subfolders.  The WebDav interface allows participants to download / upload files / folders with a simple drag and drop to / from your local machine.  Tagging is supported and recommended. Wiki Wiki Allows community members to create and update web pages with a WYSIWYG editor.  Note: WebCenter does not support macros or portlet embedding. Forum Forum Post community forum topics. Contribute to community forum conversations.  N/A Calendar Update and/or view the Community Calendar. N/A Analytics Displays detailed analytics data (views,downloads, unique users etc.) for Pages, Wiki, Documents, and Forum in a given community space. What is the adoption of WebCenter at Oracle? The entire Intranet serving around 100,000 users  is running on WebCenter Content.  For professional communities we use WebCenter Portal and Spaces. Currently we have around 6,000 community spaces with  around 40,000 members.  Does Oracle have any metrics to assess usage and impact of WebCenter? Can you give us some examples? Sure -  we have a lot of metrics   For the Intranet we use traditional metrics like pageviews, monthly unique visitors and unique visits.  For Communities we use the WebCenter Portal/Spaces analytics service which gives as a wealth of data. The key metrics we track are: Space traffic (PageViews, Unique Users) Wiki,Documents (views, downloads etc.) Forum (users, views, posts etc.) Registered members over time  Depending on the community we can filter/segment the metrics by User Properties e.g. Country, Organization, Job Role etc. What are you doing to improve usage and impact? 1. We  integrating the WebCenter social services/fabric into all  main business applications. As example The Fusion CRM deployment is seamless integrated with Oracle Social Network (OSN) and all conversation around an opportunity or customer engagement is  done in OSN (see youtube video). 2. We drive Social Best Practice trough a program called "Social Networking & Business Collaboration (SNBC) program" You worked both with WebCenter and SunSpace. Knowing what you know today, if you had the chance to choose between the two, which one would you choose? Why? That's a tricky question   In the early days of  the Social Enterprise implementation (we started SunSpace in 2006), we needed an agile and easy to deploy technology to keep up with the users requirements. Sometimes we pushed two releases per day  and we were in a permanent perpetual beta mode - SunSpace was perfect for that.  After the social implementation matured over time - community generated content became business critical and we saw a change in the  requirements from agile to stability, scalability and reliability  of the infrastructure.  WebCenter is the right choice for such an enterprise-level deployment.  You are a WebCenter Evangelist at Oracle. What do you do as part of that role? Our  role is to help position Oracle as one of the key thought leaders and solutions provider for Social Business. In addition we drive social innovation trough our Oracle Appslab  team. Is that a full time role? Yes  How many other Evangelists are there in Oracle? We are currently 5 people in the WebCenter evangelist team (@webcentervoices): Christian Finn (@cfinn) leads the team - Christian came from the Microsoft Sharepoint product management team and is a recognized expert in Social Business and Enterprise Collaboration. Noël Jaffré  (@noeljaffre) is our Web Experience Management (WEM) guru and came to Oracle via FatWire acquisition (now WebCenter Sites). Jake Kuramoto (@theapplab) is part of the Oracle AppsLab innovation  team - Jake is well known as  the driving force behind  http://theappslab.com  a blog around social and innovation.  Noel Portugal (@noelportugal) is a developer in the Oracle AppsLab innovation team - he is the inventor of OraTweet - Oracle's internal tweeting platform  Peter Reiser (@peterreiser) is  a Social Business guru and the inventor of SunSpace and Community Equity.  What area of the business do you and the rest of the Evangelists sit in? What area of the organisation is responsible for WebCenter? We are part of the WebCenter product management  organization.  Is WebCenter part of the Knowledge Management strategy? Oracle WebCenter is the Oracle's user engagement platform for social business. It brings together the most complete portfolio of portal, web experience management, content, social and collaboration technologies into a single product suite and is the product foundation of the Oracle Knowledge Management strategy.  I am aware Oracle also uses Beehive internally. How would you describe Beehive? Oracle Beehive provides an integrated set of communication and collaboration services built on a single scalable, secure, enterprise-class platform Beehive is  internally used for enterprise wide mail, calendar and real collaboration (Web conferencing) services.  Are Beehive and WebCenter connected? Historically Beehive and WebCenter Portal & Content had some overlap in functionally. (Hey - if  a company has an acquisition strategy to strengthen its product offering and accelerate  innovation, it's pretty normal that functional overlap exists  :- )) A key objective of the WebCenter strategy is  to combine all social and collaboration offerings under the WebCenter product family. That means that certain Beehive components  will be integrated into the overall WebCenter product offering.  Are there any other internal collaboration tools at Oracle? Which ones There here are two other main social tools which are widely used at Oracle  Oracle Connect was the first social tool the Oracle AppsLab team created in 2007 - see (Jake's blog post for details). It is still extensively used. ... and as a former Sun guy I like this quote from the blog post:  "Traffic to Connect peaked right after the Sun merger in 2010, when it served several hundred thousand pageviews each month; since then, traffic has subsided, but still averages tens of thousands of pageviews to several thousand users each month." Oratweet - Oracle internal microblogging platform has been used since June 2008 and it is still growing.  It's entirely written in Oracle Application Express (APEX) which is a rapid web application development tool for the Oracle database. Wanna try it out? Here you can download the code.  What is Oracle's strategy regarding (all these) collaboration tools? Pretty straight forward. The strategy is to seamless  integrate the WebCenter social & collaboration services into all Business Applications to help customers to socialize their enterprise. 

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  • HPCM 11.1.2.x - Outline Optimisation for Calculation Performance

    - by Jane Story
    When an HPCM application is first created, it is likely that you will want to carry out some optimisation on the HPCM application’s Essbase outline in order to improve calculation execution times. There are several things that you may wish to consider. Because at least one dense dimension for an application is required to deploy from HPCM to Essbase, “Measures” and “AllocationType”, as the only required dimensions in an HPCM application, are created dense by default. However, for optimisation reasons, you may wish to consider changing this default dense/sparse configuration. In general, calculation scripts in HPCM execute best when they are targeting destinations with one or more dense dimensions. Therefore, consider your largest target stage i.e. the stage with the most assignment destinations and choose that as a dense dimension. When optimising an outline in this way, it is not possible to have a dense dimension in every target stage and so testing with the dense/sparse settings in every stage is the key to finding the best configuration for each individual application. It is not possible to change the dense/sparse setting of individual cloned dimensions from EPMA. When a dimension that is to be repeated in multiple stages, and therefore cloned, is defined in EPMA, every instance of that dimension has the same storage setting. However, such manual changes may not be preserved in all cases. Please see below for full explanation. However, once the application has been deployed from EPMA to HPCM and from HPCM to Essbase, it is possible to make the dense/sparse changes to a cloned dimension directly in Essbase. This can be done by editing the properties of the outline in Essbase Administration Services (EAS) and manually changing the dense/sparse settings of individual dimensions. There are two methods of deployment from HPCM to Essbase from 11.1.2.1. There is a “replace” deploy method and an “update” deploy method: “Replace” will delete the Essbase application and replace it. If this method is chosen, then any changes made directly on the Essbase outline will be lost. If you use the update deploy method (with or without archiving and reloading data), then the Essbase outline, including any manual changes you have made (i.e. changes to dense/sparse settings of the cloned dimensions), will be preserved. Notes If you are using the calculation optimisation technique mentioned in a previous blog to calculate multiple POVs (https://blogs.oracle.com/pa/entry/hpcm_11_1_2_optimising) and you are calculating all members of that POV dimension (e.g. all months in the Period dimension) then you could consider making that dimension dense. Always review Block sizes after all changes! The maximum block size recommended in the Essbase Database Administrator’s Guide is 100k for 32 bit Essbase and 200k for 64 bit Essbase. However, calculations may perform better with a larger than recommended block size provided that sufficient memory is available on the Essbase server. Test different configurations to determine the most optimal solution for your HPCM application. Please note that this blog article covers HPCM outline optimisation only. Additional performance tuning can be achieved by methodically testing database settings i.e data cache, index cache and/or commit block settings. For more information on Essbase tuning best practices, please review these items in the Essbase Database Administrators Guide. For additional information on the commit block setting, please see the previous PA blog article https://blogs.oracle.com/pa/entry/essbase_11_1_2_commit

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  • Managing Scripts in Oracle SQL Developer

    - by thatjeffsmith
    You backup your databases, right? You backup you home computer – your media collection, tax documents, bank accounts, etc, right? You backup your handy-dandy SQL scripts, right? Ok, now that I’ve got your head nodding, I want to answer a question I get every so often: How can I manage my scripts in SQL Developer? This is an interesting question. First, it assumes that one SHOULD manage their scripts in their IDE. Now, what I think the question generally gets around to is, how can we: Navigate to our scripts Open them Execute them What a good IDE should have is an interface to your existing Version Control System (VCS.) SQL Developer supports out-of-the-box both Subversion and Git. You can also download an extension via check-for-updates to get support for CVS. Now, what I’m about to show you COULD be done without versioning and controlling your scripts – but I want to ask you why you wouldn’t want to do this? So, I’m going to proceed and assume that you do INDEED version your scripts already. Seeing what scripts you’ve already got in your repository This is very straightforward – just open the Team Versions panel. Then connect to your repository. Shows you the files in your source control system. Now, I could ‘preview’ said file right away. If I open the file from here, we get a temp file copy down from the server to the local machine. This is a local temp copy of the controlled script – I can read/execute, but not write to it. And that might be all you need. But, if your script calls other scripts, then you’re going to want to check out the server copy of your stuff down your local SVN working copy directory. That way when your script calls another script – you’re executing the PRODUCTION APPROVED copies of said scripts. And if you do SPOOL or other file I/O stuff, it will work as expected. To get to those said client copies of your scripts… Enter the Files Panel The Files panel is accessible from the View menu. You can get to your files, one of two ways. If you’ve touched the file recently, you can see it under the Recent tree. Otherwise, you can navigate to your local ‘checked out’ copies of your script(s). Open your local copies, see what’s changed, etc. And I can access the change history and see what’s been touched… What changes am I going to ‘push out’ if I commit this back to the server? Most of us work on teams, yes? This panel also gives me a heads up if someone else is making changes to the same file. I can see the ‘incoming’ changes as well. To Sum It Up… If I want to get a script to run: do a full get to your local directory open the script(s) The files panel will tell you if your local copy is out of date from the server and if you have made local changes you’ve forgotten to commit back up to the server and your fellow teammates. Now, if you’re the selfish type and don’t want to share, that’s fine. But you should still be backing up your scripts, and you can still use the Files panel to manage your scripts.

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  • ASP.NET MVC 3 Hosting :: How to Deploy Web Apps Using ASP.NET MVC 3, Razor and EF Code First - Part II

    - by mbridge
    In previous post, I have discussed on how to work with ASP.NET MVC 3 and EF Code First for developing web apps. In this post, I will demonstrate on working with domain entity with deep object graph, Service Layer and View Models and will also complete the rest of the demo application. In the previous post, we have done CRUD operations against Category entity and this post will be focus on Expense entity those have an association with Category entity. Domain Model Category Entity public class Category   {       public int CategoryId { get; set; }       [Required(ErrorMessage = "Name Required")]       [StringLength(25, ErrorMessage = "Must be less than 25 characters")]       public string Name { get; set;}       public string Description { get; set; }       public virtual ICollection<Expense> Expenses { get; set; }   } Expense Entity public class Expense     {                public int ExpenseId { get; set; }                public string  Transaction { get; set; }         public DateTime Date { get; set; }         public double Amount { get; set; }         public int CategoryId { get; set; }         public virtual Category Category { get; set; }     } We have two domain entities - Category and Expense. A single category contains a list of expense transactions and every expense transaction should have a Category. Repository class for Expense Transaction Let’s create repository class for handling CRUD operations for Expense entity public class ExpenseRepository : RepositoryBase<Expense>, IExpenseRepository     {     public ExpenseRepository(IDatabaseFactory databaseFactory)         : base(databaseFactory)         {         }                } public interface IExpenseRepository : IRepository<Expense> { } Service Layer If you are new to Service Layer, checkout Martin Fowler's article Service Layer . According to Martin Fowler, Service Layer defines an application's boundary and its set of available operations from the perspective of interfacing client layers. It encapsulates the application's business logic, controlling transactions and coordinating responses in the implementation of its operations. Controller classes should be lightweight and do not put much of business logic onto it. We can use the service layer as the business logic layer and can encapsulate the rules of the application. Let’s create a Service class for coordinates the transaction for Expense public interface IExpenseService {     IEnumerable<Expense> GetExpenses(DateTime startDate, DateTime ednDate);     Expense GetExpense(int id);             void CreateExpense(Expense expense);     void DeleteExpense(int id);     void SaveExpense(); } public class ExpenseService : IExpenseService {     private readonly IExpenseRepository expenseRepository;            private readonly IUnitOfWork unitOfWork;     public ExpenseService(IExpenseRepository expenseRepository, IUnitOfWork unitOfWork)     {                  this.expenseRepository = expenseRepository;         this.unitOfWork = unitOfWork;     }     public IEnumerable<Expense> GetExpenses(DateTime startDate, DateTime endDate)     {         var expenses = expenseRepository.GetMany(exp => exp.Date >= startDate && exp.Date <= endDate);         return expenses;     }     public void CreateExpense(Expense expense)     {         expenseRepository.Add(expense);         unitOfWork.Commit();     }     public Expense GetExpense(int id)     {         var expense = expenseRepository.GetById(id);         return expense;     }     public void DeleteExpense(int id)     {         var expense = expenseRepository.GetById(id);         expenseRepository.Delete(expense);         unitOfWork.Commit();     }     public void SaveExpense()     {         unitOfWork.Commit();     } } View Model for Expense Transactions In real world ASP.NET MVC applications, we need to design model objects especially for our views. Our domain objects are mainly designed for the needs for domain model and it is representing the domain of our applications. On the other hand, View Model objects are designed for our needs for views. We have an Expense domain entity that has an association with Category. While we are creating a new Expense, we have to specify that in which Category belongs with the new Expense transaction. The user interface for Expense transaction will have form fields for representing the Expense entity and a CategoryId for representing the Category. So let's create view model for representing the need for Expense transactions. public class ExpenseViewModel {     public int ExpenseId { get; set; }       [Required(ErrorMessage = "Category Required")]     public int CategoryId { get; set; }       [Required(ErrorMessage = "Transaction Required")]     public string Transaction { get; set; }       [Required(ErrorMessage = "Date Required")]     public DateTime Date { get; set; }       [Required(ErrorMessage = "Amount Required")]     public double Amount { get; set; }       public IEnumerable<SelectListItem> Category { get; set; } } The ExpenseViewModel is designed for the purpose of View template and contains the all validation rules. It has properties for mapping values to Expense entity and a property Category for binding values to a drop-down for list values of Category. Create Expense transaction Let’s create action methods in the ExpenseController for creating expense transactions public ActionResult Create() {     var expenseModel = new ExpenseViewModel();     var categories = categoryService.GetCategories();     expenseModel.Category = categories.ToSelectListItems(-1);     expenseModel.Date = DateTime.Today;     return View(expenseModel); } [HttpPost] public ActionResult Create(ExpenseViewModel expenseViewModel) {                      if (!ModelState.IsValid)         {             var categories = categoryService.GetCategories();             expenseViewModel.Category = categories.ToSelectListItems(expenseViewModel.CategoryId);             return View("Save", expenseViewModel);         }         Expense expense=new Expense();         ModelCopier.CopyModel(expenseViewModel,expense);         expenseService.CreateExpense(expense);         return RedirectToAction("Index");              } In the Create action method for HttpGet request, we have created an instance of our View Model ExpenseViewModel with Category information for the drop-down list and passing the Model object to View template. The extension method ToSelectListItems is shown below public static IEnumerable<SelectListItem> ToSelectListItems(         this IEnumerable<Category> categories, int  selectedId) {     return           categories.OrderBy(category => category.Name)                 .Select(category =>                     new SelectListItem                     {                         Selected = (category.CategoryId == selectedId),                         Text = category.Name,                         Value = category.CategoryId.ToString()                     }); } In the Create action method for HttpPost, our view model object ExpenseViewModel will map with posted form input values. We need to create an instance of Expense for the persistence purpose. So we need to copy values from ExpenseViewModel object to Expense object. ASP.NET MVC futures assembly provides a static class ModelCopier that can use for copying values between Model objects. ModelCopier class has two static methods - CopyCollection and CopyModel.CopyCollection method will copy values between two collection objects and CopyModel will copy values between two model objects. We have used CopyModel method of ModelCopier class for copying values from expenseViewModel object to expense object. Finally we did a call to CreateExpense method of ExpenseService class for persisting new expense transaction. List Expense Transactions We want to list expense transactions based on a date range. So let’s create action method for filtering expense transactions with a specified date range. public ActionResult Index(DateTime? startDate, DateTime? endDate) {     //If date is not passed, take current month's first and last dte     DateTime dtNow;     dtNow = DateTime.Today;     if (!startDate.HasValue)     {         startDate = new DateTime(dtNow.Year, dtNow.Month, 1);         endDate = startDate.Value.AddMonths(1).AddDays(-1);     }     //take last date of start date's month, if end date is not passed     if (startDate.HasValue && !endDate.HasValue)     {         endDate = (new DateTime(startDate.Value.Year, startDate.Value.Month, 1)).AddMonths(1).AddDays(-1);     }     var expenses = expenseService.GetExpenses(startDate.Value ,endDate.Value);     //if request is Ajax will return partial view     if (Request.IsAjaxRequest())     {         return PartialView("ExpenseList", expenses);     }     //set start date and end date to ViewBag dictionary     ViewBag.StartDate = startDate.Value.ToShortDateString();     ViewBag.EndDate = endDate.Value.ToShortDateString();     //if request is not ajax     return View(expenses); } We are using the above Index Action method for both Ajax requests and normal requests. If there is a request for Ajax, we will call the PartialView ExpenseList. Razor Views for listing Expense information Let’s create view templates in Razor for showing list of Expense information ExpenseList.cshtml @model IEnumerable<MyFinance.Domain.Expense>   <table>         <tr>             <th>Actions</th>             <th>Category</th>             <th>                 Transaction             </th>             <th>                 Date             </th>             <th>                 Amount             </th>         </tr>       @foreach (var item in Model) {              <tr>             <td>                 @Html.ActionLink("Edit", "Edit",new { id = item.ExpenseId })                 @Ajax.ActionLink("Delete", "Delete", new { id = item.ExpenseId }, new AjaxOptions { Confirm = "Delete Expense?", HttpMethod = "Post", UpdateTargetId = "divExpenseList" })             </td>              <td>                 @item.Category.Name             </td>             <td>                 @item.Transaction             </td>             <td>                 @String.Format("{0:d}", item.Date)             </td>             <td>                 @String.Format("{0:F}", item.Amount)             </td>         </tr>          }       </table>     <p>         @Html.ActionLink("Create New Expense", "Create") |         @Html.ActionLink("Create New Category", "Create","Category")     </p> Index.cshtml @using MyFinance.Helpers; @model IEnumerable<MyFinance.Domain.Expense> @{     ViewBag.Title = "Index"; }    <h2>Expense List</h2>    <script src="@Url.Content("~/Scripts/jquery.unobtrusive-ajax.min.js")" type="text/javascript"></script> <script src="@Url.Content("~/Scripts/jquery-ui.js")" type="text/javascript"></script> <script src="@Url.Content("~/Scripts/jquery.ui.datepicker.js")" type="text/javascript"></script> <link href="@Url.Content("~/Content/jquery-ui-1.8.6.custom.css")" rel="stylesheet" type="text/css" />      @using (Ajax.BeginForm(new AjaxOptions{ UpdateTargetId="divExpenseList", HttpMethod="Get"})) {     <table>         <tr>         <td>         <div>           Start Date: @Html.TextBox("StartDate", Html.Encode(String.Format("{0:mm/dd/yyyy}", ViewData["StartDate"].ToString())), new { @class = "ui-datepicker" })         </div>         </td>         <td><div>            End Date: @Html.TextBox("EndDate", Html.Encode(String.Format("{0:mm/dd/yyyy}", ViewData["EndDate"].ToString())), new { @class = "ui-datepicker" })          </div></td>          <td> <input type="submit" value="Search By TransactionDate" /></td>         </tr>     </table>         }   <div id="divExpenseList">             @Html.Partial("ExpenseList", Model)     </div> <script type="text/javascript">     $().ready(function () {         $('.ui-datepicker').datepicker({             dateFormat: 'mm/dd/yy',             buttonImage: '@Url.Content("~/Content/calendar.gif")',             buttonImageOnly: true,             showOn: "button"         });     }); </script> Ajax search functionality using Ajax.BeginForm The search functionality of Index view is providing Ajax functionality using Ajax.BeginForm. The Ajax.BeginForm() method writes an opening <form> tag to the response. You can use this method in a using block. In that case, the method renders the closing </form> tag at the end of the using block and the form is submitted asynchronously by using JavaScript. The search functionality will call the Index Action method and this will return partial view ExpenseList for updating the search result. We want to update the response UI for the Ajax request onto divExpenseList element. So we have specified the UpdateTargetId as "divExpenseList" in the Ajax.BeginForm method. Add jQuery DatePicker Our search functionality is using a date range so we are providing two date pickers using jQuery datepicker. You need to add reference to the following JavaScript files to working with jQuery datepicker. - jquery-ui.js - jquery.ui.datepicker.js For theme support for datepicker, we can use a customized CSS class. In our example we have used a CSS file “jquery-ui-1.8.6.custom.css”. For more details about the datepicker component, visit jquery UI website at http://jqueryui.com/demos/datepicker . In the jQuery ready event, we have used following JavaScript function to initialize the UI element to show date picker. <script type="text/javascript">     $().ready(function () {         $('.ui-datepicker').datepicker({             dateFormat: 'mm/dd/yy',             buttonImage: '@Url.Content("~/Content/calendar.gif")',             buttonImageOnly: true,             showOn: "button"         });     }); </script> Summary In this two-part series, we have created a simple web application using ASP.NET MVC 3 RTM, Razor and EF Code First CTP 5. I have demonstrated patterns and practices  such as Dependency Injection, Repository pattern, Unit of Work, ViewModel and Service Layer. My primary objective was to demonstrate different practices and options for developing web apps using ASP.NET MVC 3 and EF Code First. You can implement these approaches in your own way for building web apps using ASP.NET MVC 3. I will refactor this demo app on later time.

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  • [EF + ORACLE] Updating and Deleting Entities

    - by JTorrecilla
    Prologue In previous chapters we have seen how to insert data through EF, with and without sequences. In this one, we are going to see how to Update and delete Data from the DB. Updating data The update of the Entity Data (properties) is a very common and easy action. Before of change any of the properties of the Entity, we can check the EntityState property, and we can see that is EntityState.Unchanged.   For making an update it is needed to get the Entity which will be modified. In the following example, I use the GetEmployeeByNumber to get a valid Entity: 1: EMPLEADOS emp=GetEmployeeByNumber(2); 2: emp.Name="a"; 3: emp.Phone="2"; 4: emp.Mail="aa"; After modifying the desired properties of the Entity, we are going to check again Entitystate property, which now has the EntityState.Modified value. To persist the changes to the DB is necessary to invoke the SaveChanges function of our context. 1: context.SaveChanges(); After modifying the desired properties of the Entity, we are going to check again Entitystate property, which now has the EntityState.Modified value. To persist the changes to the DB is necessary to invoke the SaveChanges function of our context. If we check again the EntityState property we will see that the value will be EntityState.Unchanged.   Deleting Data Another easy action is to delete an Entity.   The first step to delete an Entity from the DB is to select the entity: 1: CLIENTS selectedClient = GetClientByNumber(15); 2: context.CLIENTES.DeleteObject(clienteSeleccionado); Before invoking the DeleteObject function, we will check EntityStet which value must be EntityState.Unchanged. After deleting the object, the state will be changed to EntitySate.Deleted. To commit the action we have to invoke the SaveChanges function. Aftar that, the EntityState property will be EntityState.Detached. Cascade Entity Framework lets cascade updates and deletes, although I never see cascade updates. What is a cascade delete? A cascade delete is an action that allows to delete all the related object to the object we desire to delete. This option could be established in the DB manager, or it could be in the EF model designer. For example: With a given relation (1-N) between clients and requests. The common situation must be to let delete those clients whose have no requests. If we select the relation between both entities, and press the second mouse button, we can see the properties panel of the relation. The props are: This grid shows the relations indicating the Master table(Clients) and the end point (Cabecera or Requests) The property “End 1 OnDelete” indicates the action to do when a Entity from the Master will be deleted. There are two options: - None: No action will be done, it is said, if a Entity has details entities it could not be deleted. - Cascade: It will delete all related entities to the master Entity. If we enable the cascade delete in a relation, and we invoke the DeleteObject function of the set, we could observe that all the related object indicates a Entitystate.Deleted state. Like an update, insert or common delete, until we commit the changes with SaveChanges function, the data would not be commited. Si habilitamos el borrado en cascada de una relación, e invocamos a la función DeleteObject del conjunto, podremos observar que todas las entidades de Detalle (de la relación indicada) presentan el valor EntityState.Deleted en la propiedad EntityState. Del mismo modo que en el borrado, inserción o actualización, hasta que no se invoque al método SaveChanges, los cambios no van a ser confirmados en la Base de Datos. Finally In this chapter we have seen how to update a Entity, how to delete an Entity and how to implement Cascade Deleting through EF. In next chapters we will see how to query the DB data.

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  • What are they buying &ndash; work or value?

    - by Jamie Kurtz
    When was the last time you ordered a pizza like this: “I want the high school kid in the back to do the following… make a big circle with some dough, curl up the edges, then put some sauce on it using a small ladle, then I want him to take a handful of shredded cheese from the metal container and spread it over the circle and sauce, then finally I want the kid to place 36 pieces of pepperoni over the top of the cheese” ?? Probably never. My typical pizza order usually goes more like this: “I want a large pepperoni pizza”. In the world of software development, we try so hard to be all things agile. We: Write lots of unit tests We refactor our code, then refactor it some more We avoid writing lengthy requirements documents We try to keep processes to a minimum, and give developers freedom And we are proud of our constantly shifting focus (i.e. we’re “responding to change”) Yet, after all this, we fail to really lean and capitalize on one of agile’s main differentiators (from the twelve principles behind the Agile Manifesto): “Working software is the primary measure of progress.” That is, we foolishly commit to delivering tasks instead of features and bug fixes. Like my pizza example above, we fall into the trap of signing contracts that bind us to doing tasks – rather than delivering working software. And the biggest problem here… by far the most troubling outcome… is that we don’t let working software be a major force in all the work we do. When teams manage to ruthlessly focus on the end product, it puts them on the path of true agile. It doesn’t let them accidentally write too much documentation, or spend lots of time and money on processes and fancy tools. It forces early testing that reveals problems in the feature or bug fix. And it forces lots and lots of customer interaction.  Without that focus on the end product as your deliverable… by committing to a list of tasks instead of a list features and bug fixes… you are doomed to NOT be agile. You will end up just doing stuff, spending time on the keyboard, burning time on timesheets. Doing tasks doesn’t force you to minimize documentation. It makes it much harder to respond to change. And it will eventually force you and the client into contract haggling. Because the customer isn’t really paying you to do stuff. He’s ultimately paying for features and bug fixes. And when the customer doesn’t get what they want, responding with “well, look at the contract - we did all the tasks we committed to” doesn’t typically generate referrals or callbacks. In short, if you’re trying to deliver real value to the customer by going agile, you will most certainly fail if all you commit to is a list of things you’re going to do. Give agile what it needs by committing to features and bug fixes – not a list of ToDo items. So the next time you are writing up a contract, remember that the customer should be buying this: Not this:

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  • Building an ASP.Net 4.5 Web forms application - part 4

    - by nikolaosk
    ?his is the fourth post in a series of posts on how to design and implement an ASP.Net 4.5 Web Forms store that sells posters on line.There are 3 more posts in this series of posts.Please make sure you read them first.You can find the first post here. You can find the second post here. You can find the third post here.  In this new post we will build on the previous posts and we will demonstrate how to display the posters per category.We will add a ListView control on the PosterList.aspx and will bind data from the database. We will use the various templates.Then we will write code in the PosterList.aspx.cs to fetch data from the database.1) Launch Visual Studio and open your solution where your project lives2) Open the PosterList.aspx page. We will add some markup in this page. Have a look at the code below  <section class="posters-featured">                    <ul>                         <asp:ListView ID="posterList" runat="server"                            DataKeyNames="PosterID"                            GroupItemCount="3" ItemType="PostersOnLine.DAL.Poster" SelectMethod="GetPosters">                            <EmptyDataTemplate>                                      <table id="Table1" runat="server">                                            <tr>                                                  <td>We have no data.</td>                                            </tr>                                     </table>                              </EmptyDataTemplate>                              <EmptyItemTemplate>                                     <td id="Td1" runat="server" />                              </EmptyItemTemplate>                              <GroupTemplate>                                    <tr ID="itemPlaceholderContainer" runat="server">                                          <td ID="itemPlaceholder" runat="server"></td>                                    </tr>                              </GroupTemplate>                              <ItemTemplate>                                    <td id="Td2" runat="server">                                          <table>                                                <tr>                                                      <td>&nbsp;</td>                                                      <td>                                                <a href="PosterDetails.aspx?posterID=<%#:Item.PosterID%>">                                                    <img src="<%#:Item.PosterImgpath%>"                                                        width="100" height="75" border="1"/></a>                                             </td>                                            <td>                                                <a href="PosterDetails.aspx?posterID=<%#:Item.PosterID%>">                                                    <span class="PosterName">                                                        <%#:Item.PosterName%>                                                    </span>                                                </a>                                                            <br />                                                <span class="PosterPrice">                                                               <b>Price: </b><%#:String.Format("{0:c}", Item.PosterPrice)%>                                                </span>                                                <br />                                                        </td>                                                </tr>                                          </table>                                    </td>                              </ItemTemplate>                              <LayoutTemplate>                                    <table id="Table2" runat="server">                                          <tr id="Tr1" runat="server">                                                <td id="Td3" runat="server">                                                      <table ID="groupPlaceholderContainer" runat="server">                                                            <tr ID="groupPlaceholder" runat="server"></tr>                                                      </table>                                                </td>                                          </tr>                                          <tr id="Tr2" runat="server"><td id="Td4" runat="server"></td></tr>                                    </table>                              </LayoutTemplate>                        </asp:ListView>                    </ul>               </section>  3) We have a ListView control on the page called PosterList. I set the ItemType property to the Poster class and then the SelectMethod to the GetPosters method.  I will create this method later on.   (ItemType="PostersOnLine.DAL.Poster" SelectMethod="GetPosters")Then in the code below  I have the data-binding expression Item  available and the control becomes strongly typed.So when the user clicks on the link of the poster's category the relevant information will be displayed (photo,name and price)                                            <td>                                                <a href="PosterDetails.aspx?posterID=<%#:Item.PosterID%>">                                                    <img src="<%#:Item.PosterImgpath%>"                                                        width="100" height="75" border="1"/></a>                                             </td>4)  Now we need to write the simple method to populate the ListView control.It is called GetPosters method.The code follows   public IQueryable<Poster> GetPosters([QueryString("id")] int? PosterCatID)        {            PosterContext ctx = new PosterContext();            IQueryable<Poster> query = ctx.Posters;            if (PosterCatID.HasValue && PosterCatID > 0)            {                query = query.Where(p=>p.PosterCategoryID==PosterCatID);            }            return query;                    } This is a very simple method that returns information about posters related to the PosterCatID passed to it.I bind the value from the query string to the PosterCatID parameter at run time.This is all possible due to the QueryStringAttribute class that lives inside the System.Web.ModelBinding and gets the value of the query string variable id.5) I run my application and then click on the "Midfilders" link. Have a look at the picture below to see the results.  In the Site.css file I added some new CSS rules to make everything more presentable. .posters-featured {    width:840px;    background-color:#efefef;}.posters-featured   a:link, a:visited,    a:active, a:hover {        color: #000033;    }.posters-featured    a:hover {        background-color: #85c465;    }  6) I run the application again and this time I do not choose any category, I simply navigate to the PosterList.aspx page. I see all the posters since no query string was passed as a parameter.Have a look at the picture below   ?ake sure you place breakpoints in the code so you can see what is really going on.In the next post I will show you how to display poster details.Hope it helps!!!

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  • Parsing Concerns

    - by Jesse
    If you’ve ever written an application that accepts date and/or time inputs from an external source (a person, an uploaded file, posted XML, etc.) then you’ve no doubt had to deal with parsing some text representing a date into a data structure that a computer can understand. Similarly, you’ve probably also had to take values from those same data structure and turn them back into their original formats. Most (all?) suitably modern development platforms expose some kind of parsing and formatting functionality for turning text into dates and vice versa. In .NET, the DateTime data structure exposes ‘Parse’ and ‘ToString’ methods for this purpose. This post will focus mostly on parsing, though most of the examples and suggestions below can also be applied to the ToString method. The DateTime.Parse method is pretty permissive in the values that it will accept (though apparently not as permissive as some other languages) which makes it pretty easy to take some text provided by a user and turn it into a proper DateTime instance. Here are some examples (note that the resulting DateTime values are shown using the RFC1123 format): DateTime.Parse("3/12/2010"); //Fri, 12 Mar 2010 00:00:00 GMT DateTime.Parse("2:00 AM"); //Sat, 01 Jan 2011 02:00:00 GMT (took today's date as date portion) DateTime.Parse("5-15/2010"); //Sat, 15 May 2010 00:00:00 GMT DateTime.Parse("7/8"); //Fri, 08 Jul 2011 00:00:00 GMT DateTime.Parse("Thursday, July 1, 2010"); //Thu, 01 Jul 2010 00:00:00 GMT Dealing With Inaccuracy While the DateTime struct has the ability to store a date and time value accurate down to the millisecond, most date strings provided by a user are not going to specify values with that much precision. In each of the above examples, the Parse method was provided a partial value from which to construct a proper DateTime. This means it had to go ahead and assume what you meant and fill in the missing parts of the date and time for you. This is a good thing, especially when we’re talking about taking input from a user. We can’t expect that every person using our software to provide a year, day, month, hour, minute, second, and millisecond every time they need to express a date. That said, it’s important for developers to understand what assumptions the software might be making and plan accordingly. I think the assumptions that were made in each of the above examples were pretty reasonable, though if we dig into this method a little bit deeper we’ll find that there are a lot more assumptions being made under the covers than you might have previously known. One of the biggest assumptions that the DateTime.Parse method has to make relates to the format of the date represented by the provided string. Let’s consider this example input string: ‘10-02-15’. To some people. that might look like ‘15-Feb-2010’. To others, it might be ‘02-Oct-2015’. Like many things, it depends on where you’re from. This Is America! Most cultures around the world have adopted a “little-endian” or “big-endian” formats. (Source: Date And Time Notation By Country) In this context,  a “little-endian” date format would list the date parts with the least significant first while the “big-endian” date format would list them with the most significant first. For example, a “little-endian” date would be “day-month-year” and “big-endian” would be “year-month-day”. It’s worth nothing here that ISO 8601 defines a “big-endian” format as the international standard. While I personally prefer “big-endian” style date formats, I think both styles make sense in that they follow some logical standard with respect to ordering the date parts by their significance. Here in the United States, however, we buck that trend by using what is, in comparison, a completely nonsensical format of “month/day/year”. Almost no other country in the world uses this format. I’ve been fortunate in my life to have done some international travel, so I’ve been aware of this difference for many years, but never really thought much about it. Until recently, I had been developing software for exclusively US-based audiences and remained blissfully ignorant of the different date formats employed by other countries around the world. The web application I work on is being rolled out to users in different countries, so I was recently tasked with updating it to support different date formats. As it turns out, .NET has a great mechanism for dealing with different date formats right out of the box. Supporting date formats for different cultures is actually pretty easy once you understand this mechanism. Pulling the Curtain Back On the Parse Method Have you ever taken a look at the different flavors (read: overloads) that the DateTime.Parse method comes in? In it’s simplest form, it takes a single string parameter and returns the corresponding DateTime value (if it can divine what the date value should be). You can optionally provide two additional parameters to this method: an ‘System.IFormatProvider’ and a ‘System.Globalization.DateTimeStyles’. Both of these optional parameters have some bearing on the assumptions that get made while parsing a date, but for the purposes of this article I’m going to focus on the ‘System.IFormatProvider’ parameter. The IFormatProvider exposes a single method called ‘GetFormat’ that returns an object to be used for determining the proper format for displaying and parsing things like numbers and dates. This interface plays a big role in the globalization capabilities that are built into the .NET Framework. The cornerstone of these globalization capabilities can be found in the ‘System.Globalization.CultureInfo’ class. To put it simply, the CultureInfo class is used to encapsulate information related to things like language, writing system, and date formats for a certain culture. Support for many cultures are “baked in” to the .NET Framework and there is capacity for defining custom cultures if needed (thought I’ve never delved into that). While the details of the CultureInfo class are beyond the scope of this post, so for now let me just point out that the CultureInfo class implements the IFormatInfo interface. This means that a CultureInfo instance created for a given culture can be provided to the DateTime.Parse method in order to tell it what date formats it should expect. So what happens when you don’t provide this value? Let’s crack this method open in Reflector: When no IFormatInfo parameter is provided (i.e. we use the simple DateTime.Parse(string) overload), the ‘DateTimeFormatInfo.CurrentInfo’ is used instead. Drilling down a bit further we can see the implementation of the DateTimeFormatInfo.CurrentInfo property: From this property we can determine that, in the absence of an IFormatProvider being specified, the DateTime.Parse method will assume that the provided date should be treated as if it were in the format defined by the CultureInfo object that is attached to the current thread. The culture specified by the CultureInfo instance on the current thread can vary depending on several factors, but if you’re writing an application where a single instance might be used by people from different cultures (i.e. a web application with an international user base), it’s important to know what this value is. Having a solid strategy for setting the current thread’s culture for each incoming request in an internationally used ASP .NET application is obviously important, and might make a good topic for a future post. For now, let’s think about what the implications of not having the correct culture set on the current thread. Let’s say you’re running an ASP .NET application on a server in the United States. The server was setup by English speakers in the United States, so it’s configured for US English. It exposes a web page where users can enter order data, one piece of which is an anticipated order delivery date. Most users are in the US, and therefore enter dates in a ‘month/day/year’ format. The application is using the DateTime.Parse(string) method to turn the values provided by the user into actual DateTime instances that can be stored in the database. This all works fine, because your users and your server both think of dates in the same way. Now you need to support some users in South America, where a ‘day/month/year’ format is used. The best case scenario at this point is a user will enter March 13, 2011 as ‘25/03/2011’. This would cause the call to DateTime.Parse to blow up since that value doesn’t look like a valid date in the US English culture (Note: In all likelihood you might be using the DateTime.TryParse(string) method here instead, but that method behaves the same way with regard to date formats). “But wait a minute”, you might be saying to yourself, “I thought you said that this was the best case scenario?” This scenario would prevent users from entering orders in the system, which is bad, but it could be worse! What if the order needs to be delivered a day earlier than that, on March 12, 2011? Now the user enters ‘12/03/2011’. Now the call to DateTime.Parse sees what it thinks is a valid date, but there’s just one problem: it’s not the right date. Now this order won’t get delivered until December 3, 2011. In my opinion, that kind of data corruption is a much bigger problem than having the Parse call fail. What To Do? My order entry example is a bit contrived, but I think it serves to illustrate the potential issues with accepting date input from users. There are some approaches you can take to make this easier on you and your users: Eliminate ambiguity by using a graphical date input control. I’m personally a fan of a jQuery UI Datepicker widget. It’s pretty easy to setup, can be themed to match the look and feel of your site, and has support for multiple languages and cultures. Be sure you have a way to track the culture preference of each user in your system. For a web application this could be done using something like a cookie or session state variable. Ensure that the current user’s culture is being applied correctly to DateTime formatting and parsing code. This can be accomplished by ensuring that each request has the handling thread’s CultureInfo set properly, or by using the Format and Parse method overloads that accept an IFormatProvider instance where the provided value is a CultureInfo object constructed using the current user’s culture preference. When in doubt, favor formats that are internationally recognizable. Using the string ‘2010-03-05’ is likely to be recognized as March, 5 2011 by users from most (if not all) cultures. Favor standard date format strings over custom ones. So far we’ve only talked about turning a string into a DateTime, but most of the same “gotchas” apply when doing the opposite. Consider this code: someDateValue.ToString("MM/dd/yyyy"); This will output the same string regardless of what the current thread’s culture is set to (with the exception of some cultures that don’t use the Gregorian calendar system, but that’s another issue all together). For displaying dates to users, it would be better to do this: someDateValue.ToString("d"); This standard format string of “d” will use the “short date format” as defined by the culture attached to the current thread (or provided in the IFormatProvider instance in the proper method overload). This means that it will honor the proper month/day/year, year/month/day, or day/month/year format for the culture. Knowing Your Audience The examples and suggestions shown above can go a long way toward getting an application in shape for dealing with date inputs from users in multiple cultures. There are some instances, however, where taking approaches like these would not be appropriate. In some cases, the provider or consumer of date values that pass through your application are not people, but other applications (or other portions of your own application). For example, if your site has a page that accepts a date as a query string parameter, you’ll probably want to format that date using invariant date format. Otherwise, the same URL could end up evaluating to a different page depending on the user that is viewing it. In addition, if your application exports data for consumption by other systems, it’s best to have an agreed upon format that all systems can use and that will not vary depending upon whether or not the users of the systems on either side prefer a month/day/year or day/month/year format. I’ll look more at some approaches for dealing with these situations in a future post. If you take away one thing from this post, make it an understanding of the importance of knowing where the dates that pass through your system come from and are going to. You will likely want to vary your parsing and formatting approach depending on your audience.

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  • Version control of software refactoring

    - by Muhammad Alkarouri
    What is the best way of doing version control of large scale refactoring? My typical style of programming (actually of writing documents as well) is getting something out as quickly as possible and then refactoring it. Typically, refactoring takes place at the same time as adding other functionality. In addition to standard refactoring of classes and functions, functions may move from one file to another, files get split and merged or just reordered. For the time being, I am using version control as a lone user, so there is no issue of interaction with other developers at this stage. Still, version control gives me two aspects: Backup and ability to revert to a good version "in case". Looking at the history tells me how the project progressed and the flow of ideas. I am using mercurial on windows using TortoiseHg which enables selections of hunks to commit. The reason I mention this is that I would like advice on the granularity of a commit in refactoring. Should I split refactoring from functionality added always in committing? I have looked at the answers of http://stackoverflow.com/questions/68459/refactoring-and-source-control-how-to but it doesn't answer my question. That question focuses on collaboration with a team. This one concentrates on having a history that is understandable in future (assuming I don't rewrite history as some VCS seem to allow).

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  • pointer being freed was not allocated. Complex malloc history help

    - by Martin KS
    I've followed the guides helpfully linked here: http://stackoverflow.com/questions/295778/iphone-debugging-pointer-being-freed-was-not-allocated-errors but the malloc_history is really throwing me for a loop, can anyone shed any light on the following: ALLOC 0x185c600-0x18605ff [size=16384]: thread_a068a4e0 |start | main | UIApplicationMain | -[UIApplication _run] | CFRunLoopRunInMode | CFRunLoopRunSpecific | PurpleEventCallback | _UIApplicationHandleEvent | -[UIApplication sendEvent:] | -[UIApplication handleEvent:withNewEvent:] | -[UIApplication _reportAppLaunchFinished] | CA::Transaction::commit() | CA::Context::commit_transaction(CA::Transaction*) | CALayerCommitIfNeeded | CALayerCommitIfNeeded | CALayerCommitIfNeeded | CALayerCommitIfNeeded | CALayerCommitIfNeeded | CALayerCommitIfNeeded | CA::Context::commit_layer(_CALayer*, unsigned int, unsigned int, void*) | CA::Render::encode_set_object(CA::Render::Encoder*, unsigned long, unsigned int, CA::Render::Object*, unsigned int) | CA::Render::Layer::encode(CA::Render::Encoder*) const | CA::Render::Image::encode(CA::Render::Encoder*) const | CA::Render::Encoder::encode_data_async(void const*, unsigned long, void (*)(void const*, void*), void*) | CA::Render::Encoder::encode_bytes(void const*, unsigned long) | CA::Render::Encoder::grow(unsigned long) | realloc | malloc_zone_realloc ---- FREE 0x185c600-0x18605ff [size=16384]: thread_a068a4e0 |start | main | UIApplicationMain | -[UIApplication _run] | CFRunLoopRunInMode | CFRunLoopRunSpecific | PurpleEventCallback | _UIApplicationHandleEvent | -[UIApplication sendEvent:] | -[UIApplication handleEvent:withNewEvent:] | -[UIApplication _reportAppLaunchFinished] | CA::Transaction::commit() | CA::Context::commit_transaction(CA::Transaction*) | CALayerCommitIfNeeded | CALayerCommitIfNeeded | CALayerCommitIfNeeded | CALayerCommitIfNeeded | CALayerCommitIfNeeded | CALayerCommitIfNeeded | CA::Context::commit_layer(_CALayer*, unsigned int, unsigned int, void*) | CA::Render::encode_set_object(CA::Render::Encoder*, unsigned long, unsigned int, CA::Render::Object*, unsigned int) | CA::Render::Layer::encode(CA::Render::Encoder*) const | CA::Render::Image::encode(CA::Render::Encoder*) const | CA::Render::Encoder::encode_data_async(void const*, unsigned long, void (*)(void const*, void*), void*) | CA::Render::Encoder::encode_bytes(void const*, unsigned long) | CA::Render::Encoder::grow(unsigned long) | realloc | malloc_zone_realloc ALLOC 0x185e000-0x185e62f [size=1584]: thread_a068a4e0 |start | main | UIApplicationMain | GSEventRun | GSEventRunModal | CFRunLoopRunInMode | CFRunLoopRunSpecific | __NSFireDelayedPerform | -[UITableView _userSelectRowAtIndexPath:] | -[UITableView _selectRowAtIndexPath:animated:scrollPosition:notifyDelegate:] | -[PLAlbumView tableView:didSelectRowAtIndexPath:] | -[PLUIAlbumViewController albumView:selectedPhoto:] | PLNotifyImagePickerOfImageAvailability | -[UIImagePickerController _imagePickerDidCompleteWithInfo:] | -[GalleryViewController imagePickerController:didFinishPickingMediaWithInfo:] | UIImageJPEGRepresentation | CGImageDestinationFinalize | _CGImagePluginWriteJPEG | writeOne | _cg_jpeg_start_compress | _cg_jinit_compress_master | _cg_jinit_c_prep_controller | alloc_sarray | alloc_large | malloc | malloc_zone_malloc ---- FREE 0x185e000-0x185e62f [size=1584]: thread_a068a4e0 |start | main | UIApplicationMain | GSEventRun | GSEventRunModal | CFRunLoopRunInMode | CFRunLoopRunSpecific | __NSFireDelayedPerform | -[UITableView _userSelectRowAtIndexPath:] | -[UITableView _selectRowAtIndexPath:animated:scrollPosition:notifyDelegate:] | -[PL AlbumView tableView:didSelectRowAtIndexPath:] | -[PLUIAlbumViewController albumView:selectedPhoto:] | PLNotifyImagePickerOfImageAvailability | -[UIImagePickerController _imagePickerDidCompleteWithInfo:] | -[GalleryViewController imagePickerController:didFinishPickingMediaWithInfo:] | UIImageJPEGRepresentation | CGImageDestinationFinalize | _CGImagePluginWriteJPEG | writeOne | _cg_jpeg_abort | free_pool | free ALLOC 0x185c800-0x185ea1f [size=8736]: thread_a068a4e0 |start | main | UIApplicationMain | GSEventRun | GSEventRunModal | CFRunLoopRunInMode | CFRunLoopRunSpecific | __NSFireDelayedPerform | -[UITableView _userSelectRowAtIndexPath:] | -[UITableView _selectRowAtIndexPath:animated:scrollPosition:notifyDelegate:] | -[PLAlbumView tableView:didSelectRowAtIndexPath:] | -[PLUIAlbumViewController albumView:selectedPhoto:] | PLNotifyImagePickerOfImageAvailability | -[UIImagePickerController _imagePickerDidCompleteWithInfo:] | -[GalleryViewController imagePickerController:didFinishPickingMediaWithInfo:] | -[UIImage initWithData:] | _UIImageRefFromData | CGImageSourceCreateImageAtIndex | makeImagePlus | _CGImagePluginInitJPEG | initImageJPEG | calloc | malloc_zone_calloc

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  • Hibernate - Batch update returned unexpected row count from update: 0 actual row count: 0 expected:

    - by Sujee
    Hi All, I get following hibernate error. I am able to identify the function which causes the issue. Unfortunately there are several DB calls in the function. I am unable to find the line which causes the issue since hibernate flush the session at the end of the transaction. The below mentioned hibernate error looks like a general error. it doesn't even mentioned which Bean causes the issue. Anyone familiar with this hibernate error? Looking forward your help. Thanks in advance. Sujee. org.hibernate.StaleStateException: Batch update returned unexpected row count from update: 0 actual row count: 0 expected: 1 at org.hibernate.jdbc.BatchingBatcher.checkRowCount(BatchingBatcher.java:93) at org.hibernate.jdbc.BatchingBatcher.checkRowCounts(BatchingBatcher.java:79) at org.hibernate.jdbc.BatchingBatcher.doExecuteBatch(BatchingBatcher.java:58) at org.hibernate.jdbc.AbstractBatcher.executeBatch(AbstractBatcher.java:195) at org.hibernate.engine.ActionQueue.executeActions(ActionQueue.java:235) at org.hibernate.engine.ActionQueue.executeActions(ActionQueue.java:142) at org.hibernate.event.def.AbstractFlushingEventListener.performExecutions(AbstractFlushingEventListener.java:297) at org.hibernate.event.def.DefaultFlushEventListener.onFlush(DefaultFlushEventListener.java:27) at org.hibernate.impl.SessionImpl.flush(SessionImpl.java:985) at org.hibernate.impl.SessionImpl.managedFlush(SessionImpl.java:333) at org.hibernate.transaction.JDBCTransaction.commit(JDBCTransaction.java:106) at org.springframework.orm.hibernate3.HibernateTransactionManager.doCommit(HibernateTransactionManager.java:584) at org.springframework.transaction.support.AbstractPlatformTransactionManager.processCommit(AbstractPlatformTransacti onManager.java:500) at org.springframework.transaction.support.AbstractPlatformTransactionManager.commit(AbstractPlatformTransactionManag er.java:473) at org.springframework.transaction.interceptor.TransactionAspectSupport.doCommitTransactionAfterReturning(Transaction AspectSupport.java:267) at org.springframework.transaction.interceptor.TransactionInterceptor.invoke(TransactionInterceptor.java:106) at org.springframework.aop.framework.ReflectiveMethodInvocation.proceed(ReflectiveMethodInvocation.java:170) at org.springframework.aop.framework.JdkDynamicAopProxy.invoke(JdkDynamicAopProxy.java:176)

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  • UniqueConstraint in EmbeddedConfiguration

    - by LantisGaius
    I just started using db4o on C#, and I'm having trouble setting the UniqueConstraint on the DB.. here's the db4o configuration static IObjectContainer db = Db4oEmbedded.OpenFile(dbase.Configuration(), "data.db4o"); static IEmbeddedConfiguration Configuration() { IEmbeddedConfiguration dbConfig = Db4oEmbedded.NewConfiguration(); // Initialize Replication dbConfig.File.GenerateUUIDs = ConfigScope.Globally; dbConfig.File.GenerateVersionNumbers = ConfigScope.Globally; // Initialize Indexes dbConfig.Common.ObjectClass(typeof(DAObs.Environment)).ObjectField("Key").Indexed(true); dbConfig.Common.Add(new Db4objects.Db4o.Constraints.UniqueFieldValueConstraint(typeof(DAObs.Environment), "Key")); return dbConfig; } and the object to serialize: class Environment { public string Key { get; set; } public string Value { get; set; } } everytime I get to commiting some values, an "Object reference not set to an instance of an object." Exception pops up, with a stack trace pointing to the UniqueFieldValueConstraint. Also, when I comment out the two lines after the "Initialize Indexes" comment, everything runs fine (Except you can save non-unique keys, which is a problem)~ Commit code (In case I'm doing something wrong in this part too:) public static void Create(string key, string value) { try { db.Store(new DAObs.Environment() { Key = key, Value = value }); db.Commit(); } catch (Db4objects.Db4o.Events.EventException ex) { System.Console.WriteLine (DateTime.Now + " :: Environment.Create\n" + ex.InnerException.Message +"\n" + ex.InnerException.StackTrace); db.Rollback(); } } Help please? Thanks in advance~

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  • Cannot login to Activeadmin after gem update

    - by user1883793
    After bundle update I cannot login to my Activeadmin, here is the log. Is it because the unpermitted params? do I need to config strong parameter to make admin login work? I already have this code for devise: def configure_permitted_parameters devise_parameter_sanitizer.for(:sign_in) { |u| u.permit(:email, :password, :remember_me) } devise_parameter_sanitizer.for(:sign_up) { |u| u.permit(:username, :email, :password) } end Started POST "/admin/login" for 127.0.0.1 at 2013-10-30 22:33:25 +1300 Processing by ActiveAdmin::Devise::SessionsController#create as HTML Parameters: {"utf8"=>"?", "authenticity_token"=>"MhoM/R/oVfad/iiov2zpqfoJ5XOSLda6rTl/V2cMIZE=", "admin_user"=>{"email"=>"[email protected]", "password"=>"[FILTERED]", "remember_me"=>"0"}, "commit"=>"Login"} Completed 401 Unauthorized in 0.6ms Processing by ActiveAdmin::Devise::SessionsController#new as HTML Parameters: {"utf8"=>"?", "authenticity_token"=>"MhoM/R/oVfad/iiov2zpqfoJ5XOSLda6rTl/V2cMIZE=", "admin_user"=>{"email"=>"[email protected]", "password"=>"[FILTERED]", "remember_me"=>"0"}, "commit"=>"Login"} Unpermitted parameters: email, password, remember_me Rendered /home/jcui/.rvm/gems/ruby-1.9.3-p194/gems/activeadmin-0.6.2/app/views/active_admin/devise/shared/_links.erb (0.6ms) Rendered /home/jcui/.rvm/gems/ruby-1.9.3-p194/gems/activeadmin-0.6.2/app/views/active_admin/devise/sessions/new.html.erb within layouts/active_admin_logged_out (118.2ms) Completed 200 OK in 130.7ms (Views: 129.9ms | ActiveRecord: 0.0ms | Solr: 0.0ms)

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  • Nature of Lock is child table while deletion(sql server)

    - by Mubashar Ahmad
    Dear Devs From couple of days i am thinking of a following scenario Consider I have 2 tables with parent child relationship of kind one-to-many. On removal of parent row i have to delete the rows in child those are related to parents. simple right? i have to make a transaction scope to do above operation i can do this as following; (its psuedo code but i am doing this in c# code using odbc connection and database is sql server) begin transaction(read committed) Read all child where child.fk = p1 foreach(child) delete child where child.pk = cx delete parent where parent.pk = p1 commit trans OR begin transaction(read committed) delete all child where child.fk = p1 delete parent where parent.pk = p1 commit trans Now there are couple of questions in my mind Which one of above is better to use specially considering a scenario of real time system where thousands of other operations(select/update/delete/insert) are being performed within a span of seconds. does it ensure that no new child with child.fk = p1 will be added until transaction completes? If yes for 2nd question then how it ensures? do it take the table level locks or what. Is there any kind of Index locking supported by sql server if yes what it does and how it can be used. Regards Mubashar

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  • db4o Replication System: NullReferenceException?

    - by virtualmic
    Hi, I am trying to do standard bi-directional replication as follows. However, I get a NullReferenceException. This is a separate replication project. I did import the classes involved in the original project (such as Item, Category etc.) in this replication project. What am I doing wrong? (If I debug using VS, I can see that changedObjects does have all the changed objects; there seems to be some problem inside Replicate function) IObjectContainer local = Db4oFactory.OpenFile(@"G:\Work\School\MIS\VINMIS\Inventory\bin\Debug\vin.db4o"); IObjectContainer far = Db4oFactory.OpenFile(@"\\crs-lap\c$\vinmis\vin.db4o"); ; IReplicationSession replication = Replication.Begin(local, far); IObjectSet changedObjects = replication.ProviderA().ObjectsChangedSinceLastReplication(); while(changedObjects.HasNext()) replication.Replicate(changedObjects.Next()); // Exception!!! replication.Commit(); changedObjects = replication.ProviderB().ObjectsChangedSinceLastReplication(); while (changedObjects.HasNext()) replication.Replicate(changedObjects.Next()); replication.Commit(); Regards, Saurabh.

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  • git branch naming best practices

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

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  • Need help with animation on iPhone

    - by Arun Ravindran
    I'm working on an animated clock application for the iPhone, and I have to pivot all the 3 nodes in the view, which I have obtained in the following code: [CATransaction begin]; [CATransaction setValue:(id)kCFBooleanTrue forKey:kCATransactionDisableActions]; clockarm.layer.anchorPoint = CGPointMake(0.0, 0.0); [CATransaction commit]; [CATransaction begin]; [CATransaction setValue:(id)kCFBooleanFalse forKey:kCATransactionDisableActions]; [CATransaction setValue:[NSNumber numberWithFloat:50.0] forKey:kCATransactionAnimationDuration]; CABasicAnimation *animation; animation = [CABasicAnimation animationWithKeyPath:@"transform.rotation.z"]; animation.fromValue = [NSNumber numberWithFloat:-60.0]; animation.toValue = [NSNumber numberWithFloat:2 * M_PI]; animation.timingFunction = [CAMediaTimingFunction functionWithName: kCAMediaTimingFunctionLinear]; animation.delegate = self; [clockarm.layer addAnimation:animation forKey:@"rotationAnimation"]; animation.timingFunction = [CAMediaTimingFunction functionWithName:kCAMediaTimingFunctionEaseInEaseOut]; [CATransaction commit]; The problem it's just rotating once, ie. only 360 degree and then stopping. I want to raotate the needles indefinitely. How would I do that?

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  • How to permanently remove xcuserdata under the project.xcworkspace and resolve uncommitted changes

    - by JeffB6688
    I am struggling with a problem with a merge conflict (see Cannot Merge due to conflict with UserInterfaceState.xcuserstate). Based on feedback, I needed to remove the UserInterfaceState.xcuserstate using git rm. After considerable experimentation, I was able to remove the file with "git rm -rf project.xcworkspace/xcuserdata". So while I was on the branch I was working on, it almost immediately came back as a file that needed to be committed. So I did the git rm on the file again and just switched back to the master. Then I performed a git rm on the file again. The operation again removed the file. But I am still stuck. If I try to merge the branch into the master branch, it again says that I have uncommitted changes. So I go to commit the change. But this time, it shows UserInterfaceState.xcuserstate as the file to commit, but the box is unchecked and it can't be checked. So I can't move forward. Is there a way to use 'git rm' to permanently remove xcuserdata under the project.xcworkspace? Help!! Any ideas?

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  • Porting Oracle Procedure to PostgreSQL

    - by Grasper
    I am porting an Oracle function into Postgres PGPLSQL.. I have been using this guide: http://www.postgresql.org/docs/8.1/static/plpgsql.html CREATE OR REPLACE PROCEDURE DATA_UPDATE (mission NUMBER, task NUMBER) AS BEGIN IF mission IS NOT NULL THEN UPDATE MISSION_OBJECTIVE MO SET (MO.MO_TKR_TOTAL_OFF_SCHEDULED, MO.MO_TKR_TOTAL_RECEIVERS) = (SELECT NVL(SUM(RR.TRQ_FUEL_OFFLOAD),0), NVL(SUM(RR.TRQ_NUMBER_RECEIVERS),0) FROM REFUELING_REQUEST RR, MISSION_REQUEST_PAIRING MRP WHERE MO.MSN_INT_ID = MRP.MSN_INT_ID AND MO.MO_INT_ID = MRP.MO_INT_ID AND MRP.REQ_INT_ID = RR.REQ_INT_ID) WHERE MO.MSN_INT_ID = mission AND MO.MO_INT_ID = task ; END IF ; COMMIT ; END ; I've got it this far: CREATE OR REPLACE FUNCTION DATA_UPDATE (NUMERIC, NUMERIC) RETURNS integer as ' DECLARE mission ALIAS for $1; task ALIAS for $2; BEGIN IF mission IS NOT NULL THEN UPDATE MISSION_OBJECTIVE MO SET (MO.MO_TKR_TOTAL_OFF_SCHEDULED, MO.MO_TKR_TOTAL_RECEIVERS) = (SELECT COALESCE(SUM(RR.TRQ_FUEL_OFFLOAD),0), COALESCE(SUM(RR.TRQ_NUMBER_RECEIVERS),0) FROM REFUELING_REQUEST RR, MISSION_REQUEST_PAIRING MRP WHERE MO.MSN_INT_ID = MRP.MSN_INT_ID AND MO.MO_INT_ID = MRP.MO_INT_ID AND MRP.REQ_INT_ID = RR.REQ_INT_ID) WHERE MO.MSN_INT_ID = mission AND MO.MO_INT_ID = task ; END IF; COMMIT; END; ' LANGUAGE plpgsql; This is the error I get: ERROR: syntax error at or near "SELECT" LINE 1: ...OTAL_OFF_SCHEDULED, MO.MO_TKR_TOTAL_RECEIVERS) = (SELECT COA... I do not know why this isn't working... any ideas?

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  • SVN checkout browser

    - by phazei
    I've been looking all over for a SVN browser. Now I'm not talking about anything like WebSVN or TRAC, I don't want to browse the repository; I want to browse the checkout. I'm looking for a program that lets me browse the checkout (working copy) and shows me the info I'd normally need to SSH for. So I could mark specific files or folders for some commit button, or see the status, or view a diff between the working and a prev version. Basically a web GUI for a svn checkout. A [windows] program that can let you work on a remote checkout as if it were local would also work. Currently I have a checkout on my server running under dev.mysite.com. I log in via ftp and edit and upload the files. I also keep SSH open so I can do a svn st to see what files I've worked on and to commit changes. I want to work on the files on the same environment so I can't simply use a local checkout. But I don't want to need to work via SSH. Are there any apps such as I described? Like a repo browser but for checkouts to do commits. Like WebTortoiseSVN or such. Thanks

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  • How can I coordinate code review tool and RCS (specifically git)

    - by Chris Nelson
    We're committed to git for code management. We're trying to find a tool that will help us systematize code reviews. We're considering Gerrit and Code Collaborator but would welcome other suggestions. We're having a problem answering the question, "How do we know every commit was reviewed?" (Or "What commits have yet to be reviewed?") One answer would be to submit every commit or every push for review and track incomplete reviews in the review tool. I'm not entirely happy with relying on a another tool -- especially if it's not open source -- to tell us this. What seems to be a better answer is to rely on sign offs in git (e.g., "Signed-off-by: Chris Nelson") and use a hook in the review tool to sign off commits on behalf of the reviewer. And advantage of this is if we use some other review mechanism for some commits, we have just one place to look for results. One problem with this is that we can't require review before push because the review tool is unlikely to have access to the developer's private repository clone to add the sign-off. Any ideas on integrating code review with code management to achieve ease of use and high visibility of unreviewed changes?

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  • Maintain denormalized data with NHibernate EventListener

    - by Michael Valenty
    I have one bit of denormalized data used for performance reasons and I'm trying to maintain the data with an NHibernate event listener rather than a trigger. I'm not convinced this is the best approach, but I'm neck deep into it and I want to figure this out before moving on. I'm getting following error: System.InvalidOperationException : Collection was modified; enumeration operation may not execute. System.ThrowHelper.ThrowInvalidOperationException(ExceptionResource resource) System.Collections.Generic.List`1.Enumerator.MoveNextRare() System.Collections.Generic.List`1.Enumerator.MoveNext() NHibernate.Engine.ActionQueue.ExecuteActions(IList list) NHibernate.Engine.ActionQueue.ExecuteActions() NHibernate.Event.Default.AbstractFlushingEventListener.PerformExecutions (IEventSource session) NHibernate.Event.Default.DefaultFlushEventListener.OnFlush(FlushEvent event) NHibernate.Impl.SessionImpl.Flush() NHibernate.Transaction.AdoTransaction.Commit() Here's the code to make happen: using (var tx = session.BeginTransaction()) { var business = session .Get<Business>(1234) .ChangeZipCodeTo("92011"); session.Update(business); tx.Commit(); // error happens here } and the event listener: public void OnPostUpdate(PostUpdateEvent @event) { var business = @event.Entity as Business; if (business != null) { var links = @event.Session .CreateQuery("select l from BusinessCategoryLink as l where l.Business.BusinessId = :businessId") .SetParameter("businessId", business.BusinessId) .List<BusinessCategoryLink>(); foreach (var link in links) { link.Location = business.Location; @event.Session.Update(link); } } }

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  • How do I implement repository pattern and unit of work when dealing with multiple data stores?

    - by Jason
    I have a unique situation where I am building a DDD based system that needs to access both Active Directory and a SQL database as persistence. Initially this wasnt a problem because our design was setup where we had a unit of work that looked like this: public interface IUnitOfWork { void BeginTransaction() void Commit() } and our repositories looked like this: public interface IRepository<T> { T GetByID() void Save(T entity) void Delete(T entity) } In this setup our load and save would handle the mapping between both data stores because we wrote it ourselves. The unit of work would handle transactions and would contain the Linq To SQL data context that the repositories would use for persistence. The active directory part was handled by a domain service implemented in infrastructure and consumed by the repositories in each Save() method. Save() was responsible with interacting with the data context to do all the database operations. Now we are trying to adapt it to entity framework and take advantage of POCO. Ideally we would not need the Save() method because the domain objects are being tracked by the object context and we would just need to add a Save() method on the unit of work to have the object context save the changes, and a way to register new objects with the context. The new proposed design looks more like this: public interface IUnitOfWork { void BeginTransaction() void Save() void Commit() } public interface IRepository<T> { T GetByID() void Add(T entity) void Delete(T entity) } This solves the data access problem with entity framework, but does not solve the problem with our active directory integration. Before, it was in the Save() method on the repository, but now it has no home. The unit of work knows nothing other than the entity framework data context. Where should this logic go? I argue this design only works if you only have one data store using entity framework. Any ideas how to best approach this issue? Where should I put this logic?

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  • Map large integer to a phrase

    - by Alexander Gladysh
    I have a large and "unique" integer (actually a SHA1 hash). I want (for no other reason than to have fun) to find an algorithm to convert that SHA1 hash to a (pseudo-)English phrase. The conversion should be reversible (i.e., knowing the algorithm, one must be able to convert the phrase back to SHA1 hash.) The possible usage of the generated phrase: the human readable version of Git commit ID, like a motto for a given program version (which is built from that commit). (As I said, this is "for fun". I don't claim that this is very practical — or be much more readable than the SHA1 itself.) A better algorithm would produce shorter, more natural-looking, more unique phrases. The phrase need not make sense. I would even settle for a whole paragraph of nonsense. (Though quality — englishness — of a paragraph should probably be better than for a mere phrase.) A variation: it is OK if I will be able to work only with a part of hash. Say, first six digits is OK. Possible approach: In the past I've attempted to build a probability table (of words), and generate phrases as Markov chains, seeding the generator (picking branches from probability tree), according to the bits I read from the SHA. This was not very successful, the resulting phrases were too long and ugly. I'm not sure if this was a bug, or the general flaw in the algorithm, since I had to abandon it early enough. Now I'm thinking about attempting to solve the problem once again. Any advice on how to approach this? Do you think Markov chain approach can work here? Something else?

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  • Best way to fork SVN project with Git

    - by Jeremy Thomerson
    I have forked an SVN project using Git because I needed to add features that they didn't want. But at the same time, I wanted to be able to continue pulling in features or fixes that they added to the upstream version down into my fork (where they don't conflict). So, I have my Git project with the following branches: master - the branch I actually build and deploy from feature_* - feature branches where I work or have worked on new things, which I then merge to master when complete vendor-svn - my local-only git-svn branch that allows me to "git svn rebase" from their svn repo vendor - my local branch that i merge vendor-svn into. then i push this (vendor) branch to the public git repo (github) So, my flow is something like this: git checkout vendor-svn git svn rebase git checkout vendor git merge vendor-svn git push origin vendor Now, the question comes here: I need to review each commit that they made (preferably individually since at this point I'm about twenty commits behind them) before merging them into master. I know that I could run git checkout master; git merge vendor, but this would pull in all changes and commit them, without me being able to see if they conflict with what I need. So, what's the best way to do this? Git seems like a great tool for handling forks of projects since you can pull and push from multiple repos - I'm just not experienced with it enough to know the best way of doing this. Here's the original SVN project I'm talking about: https://appkonference.svn.sourceforge.net/svnroot/appkonference My fork is at github.com/jthomerson/AsteriskAudioKonf (sorry - I couldn't make it a link since I'm a new user here)

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