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  • Appcrash and possible malware

    - by Chris Lively
    First off, I'm running MS Intune Endpoint Protection. It is completely up to date. On 10/25 @ 11:53PM I came across a site that caused Intune to freak out: Microsoft Antimalware has detected malware or other potentially unwanted software. For more information please see the following: http://go.microsoft.com/fwlink/?linkid=37020&name=Trojan:Win64/Sirefef.B&threatid=2147646729 Name: Trojan:Win64/Sirefef.B ID: 2147646729 Severity: Severe Category: Trojan Path: file:_C:\Windows\System32\consrv.dll Detection Origin: Local machine Detection Type: Concrete Detection Source: Real-Time Protection User: NT AUTHORITY\SYSTEM Process Name: C:\Windows\explorer.exe Signature Version: AV: 1.115.526.0, AS: 1.115.526.0, NIS: 10.7.0.0 Engine Version: AM: 1.1.7801.0, NIS: 2.0.7707.0 I, of course, elected to simply delete the file. Since then my machine has been randomly giving an error about "Host Process for Windows Services" stopped working. There are generally two different pieces of info: Description Faulting Application Path: C:\Windows\System32\svchost.exe Problem signature Problem Event Name: BEX64 Application Name: svchost.exe Application Version: 6.1.7600.16385 Application Timestamp: 4a5bc3c1 Fault Module Name: StackHash_52d4 Fault Module Version: 0.0.0.0 Fault Module Timestamp: 00000000 Exception Offset: 000062bdabe00000 Exception Code: c0000005 Exception Data: 0000000000000008 OS Version: 6.1.7601.2.1.0.256.27 Locale ID: 1033 Additional Information 1: 52d4 Additional Information 2: 52d47b8b925663f9d6437d7892cdf21b Additional Information 3: ed24 Additional Information 4: ed24528f3b69e8539b5c5c2158896d3e and Description Faulting Application Path: C:\Windows\System32\svchost.exe Problem signature Problem Event Name: APPCRASH Application Name: svchost.exe Application Version: 6.1.7600.16385 Application Timestamp: 4a5bc3c1 Fault Module Name: mshtml.dll Fault Module Version: 9.0.8112.16437 Fault Module Timestamp: 4e5f1784 Exception Code: c0000005 Exception Offset: 00000000002ed3c2 OS Version: 6.1.7601.2.1.0.256.27 Locale ID: 1033 Additional Information 1: 3e9e Additional Information 2: 3e9e8b83f6a5f2a25451516023078a83 Additional Information 3: 432a Additional Information 4: 432a0284c502cce3bbb92a3bd555fe65 Intune claims the machine is clean. I've also tried some of the online scanners like trendmicro, all of which claimed the system is clean. Finally, I tried the "sfc /scannow" and it said all was good. I left my machine on after I left last night and there were about 50 of those messages. Ideas on how to proceed?

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  • Metro apps crash on startup, driver or permissions issue?

    - by Vee
    After installing Win8 x64 RC, Metro apps worked correctly, but desktop OpenGL apps were slow and unresponsive. I installed the latest Win8 nVidia drivers, and the OpenGL apps started working correctly. At the same time, because of annoying permission messages, I changed the C:\ drive and all its files ownerships to my user, and gave it full permission. I restarted my pc after installing the drivers, and now Metro apps only show the splash screen, then crash. I tried installing other versions of the nVidia drivers, with the same result. My GPU is a GeForce GTX275. Is this a known problem with nVidia drivers? Or maybe changing the ownership of C:\ is the real problem? Thank you. More information (after looking in the event viewer) I've managed to find the problem and the error in the Event Viewer. I still cannot solve it. Here's the information I found by opening the Mail app and letting it crash: Log Name: Microsoft-Windows-TWinUI/Operational Source: Microsoft-Windows-Immersive-Shell Date: 07/06/2012 15.54.17 Event ID: 5961 Task Category: (5961) Level: Error Keywords: User: VEE-PC\Vittorio Computer: vee-pc Description: Activation of the app microsoft.windowscommunicationsapps_8wekyb3d8bbwe!Microsoft.WindowsLive.Mail for the Windows.Launch contract failed with error: The app didn't start.. Event Xml: <Event xmlns="http://schemas.microsoft.com/win/2004/08/events/event"> <System> <Provider Name="Microsoft-Windows-Immersive-Shell" Guid="{315A8872-923E-4EA2-9889-33CD4754BF64}" /> <EventID>5961</EventID> <Version>0</Version> <Level>2</Level> <Task>5961</Task> <Opcode>0</Opcode> <Keywords>0x4000000000000000</Keywords> <TimeCreated SystemTime="2012-06-07T13:54:17.472416600Z" /> <EventRecordID>6524</EventRecordID> <Correlation /> <Execution ProcessID="3008" ThreadID="6756" /> <Channel>Microsoft-Windows-TWinUI/Operational</Channel> <Computer>vee-pc</Computer> <Security UserID="S-1-5-21-2753614643-3522538917-4071044258-1001" /> </System> <EventData> <Data Name="AppId">microsoft.windowscommunicationsapps_8wekyb3d8bbwe!Microsoft.WindowsLive.Mail</Data> <Data Name="ContractId">Windows.Launch</Data> <Data Name="ErrorCode">-2144927141</Data> </EventData> </Event> Found other stuff, this is another error that appears when opening a Metro app: Log Name: Application Source: ESENT Date: 07/06/2012 16.01.00 Event ID: 490 Task Category: General Level: Error Keywords: Classic User: N/A Computer: vee-pc Description: svchost (1376) SRUJet: An attempt to open the file "C:\Windows\system32\SRU\SRU.log" for read / write access failed with system error 5 (0x00000005): "Access is denied. ". The open file operation will fail with error -1032 (0xfffffbf8). Event Xml: <Event xmlns="http://schemas.microsoft.com/win/2004/08/events/event"> <System> <Provider Name="ESENT" /> <EventID Qualifiers="0">490</EventID> <Level>2</Level> <Task>1</Task> <Keywords>0x80000000000000</Keywords> <TimeCreated SystemTime="2012-06-07T14:01:00.000000000Z" /> <EventRecordID>11854</EventRecordID> <Channel>Application</Channel> <Computer>vee-pc</Computer> <Security /> </System> <EventData> <Data>svchost</Data> <Data>1376</Data> <Data>SRUJet: </Data> <Data>C:\Windows\system32\SRU\SRU.log</Data> <Data>-1032 (0xfffffbf8)</Data> <Data>5 (0x00000005)</Data> <Data>Access is denied. </Data> </EventData> </Event> After changing permissions again (adding Everyone and Creator Owner to System32), the "access denied to sru.log" error disappears, but this one appears in its place: Log Name: Application Source: Microsoft-Windows-Immersive-Shell Date: 07/06/2012 16.16.34 Event ID: 2486 Task Category: (2414) Level: Error Keywords: (64),Process Lifetime Manager User: VEE-PC\Vittorio Computer: vee-pc Description: App microsoft.windowscommunicationsapps_8wekyb3d8bbwe!Microsoft.WindowsLive.Mail did not launch within its allotted time. Event Xml: <Event xmlns="http://schemas.microsoft.com/win/2004/08/events/event"> <System> <Provider Name="Microsoft-Windows-Immersive-Shell" Guid="{315A8872-923E-4EA2-9889-33CD4754BF64}" /> <EventID>2486</EventID> <Version>0</Version> <Level>2</Level> <Task>2414</Task> <Opcode>0</Opcode> <Keywords>0x2000000000000042</Keywords> <TimeCreated SystemTime="2012-06-07T14:16:34.616499600Z" /> <EventRecordID>11916</EventRecordID> <Correlation /> <Execution ProcessID="3008" ThreadID="6996" /> <Channel>Application</Channel> <Computer>vee-pc</Computer> <Security UserID="S-1-5-21-2753614643-3522538917-4071044258-1001" /> </System> <EventData> <Data Name="ApplicationId">microsoft.windowscommunicationsapps_8wekyb3d8bbwe!Microsoft.WindowsLive.Mail</Data> </EventData> </Event> Now I'm stuck. It tells me "Activation of app microsoft.windowscommunicationsapps_8wekyb3d8bbwe!Microsoft.WindowsLive.Mail failed with error: The app didn't start. See the Microsoft-Windows-TWinUI/Operational log for additional information." but I can't find the Microsoft-Windows-TWinUI/Operational log. I'm starting a bounty. I found the TWinUI/Operational log. It only tells me: Log Name: Microsoft-Windows-TWinUI/Operational Source: Microsoft-Windows-Immersive-Shell Date: 07/06/2012 16.28.57 Event ID: 5961 Task Category: (5961) Level: Error Keywords: User: VEE-PC\Vittorio Computer: vee-pc Description: Activation of the app microsoft.windowscommunicationsapps_8wekyb3d8bbwe!Microsoft.WindowsLive.Mail for the Windows.BackgroundTasks contract failed with error: The app didn't start.. Event Xml: <Event xmlns="http://schemas.microsoft.com/win/2004/08/events/event"> <System> <Provider Name="Microsoft-Windows-Immersive-Shell" Guid="{315A8872-923E-4EA2-9889-33CD4754BF64}" /> <EventID>5961</EventID> <Version>0</Version> <Level>2</Level> <Task>5961</Task> <Opcode>0</Opcode> <Keywords>0x4000000000000000</Keywords> <TimeCreated SystemTime="2012-06-07T14:28:57.238140800Z" /> <EventRecordID>6536</EventRecordID> <Correlation /> <Execution ProcessID="3008" ThreadID="2624" /> <Channel>Microsoft-Windows-TWinUI/Operational</Channel> <Computer>vee-pc</Computer> <Security UserID="S-1-5-21-2753614643-3522538917-4071044258-1001" /> </System> <EventData> <Data Name="AppId">microsoft.windowscommunicationsapps_8wekyb3d8bbwe!Microsoft.WindowsLive.Mail</Data> <Data Name="ContractId">Windows.BackgroundTasks</Data> <Data Name="ErrorCode">-2144927141</Data> </EventData> </Event> I need to go deeper. I found a forum thread that told me to look for "DCOM" errors. I found this one related to the app crash "The server Microsoft.WindowsLive.Mail.wwa did not register with DCOM within the required timeout." Log Name: System Source: Microsoft-Windows-DistributedCOM Date: 07/06/2012 16.46.45 Event ID: 10010 Task Category: None Level: Error Keywords: Classic User: VEE-PC\Vittorio Computer: vee-pc Description: The server Microsoft.WindowsLive.Mail.wwa did not register with DCOM within the required timeout. Event Xml: <Event xmlns="http://schemas.microsoft.com/win/2004/08/events/event"> <System> <Provider Name="Microsoft-Windows-DistributedCOM" Guid="{1B562E86-B7AA-4131-BADC-B6F3A001407E}" EventSourceName="DCOM" /> <EventID Qualifiers="0">10010</EventID> <Version>0</Version> <Level>2</Level> <Task>0</Task> <Opcode>0</Opcode> <Keywords>0x8080000000000000</Keywords> <TimeCreated SystemTime="2012-06-07T14:46:45.586943800Z" /> <EventRecordID>2763</EventRecordID> <Correlation /> <Execution ProcessID="804" ThreadID="2364" /> <Channel>System</Channel> <Computer>vee-pc</Computer> <Security UserID="S-1-5-21-2753614643-3522538917-4071044258-1001" /> </System> <EventData> <Data Name="param1">Microsoft.WindowsLive.Mail.wwa</Data> </EventData> </Event>

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  • Why datacenter water cooling is not widespread?

    - by MainMa
    From what I read and hear about datacenters, there are not too many server rooms which use water cooling, and none of the largerst datacenters use water cooling (correct me if I'm wrong). Also, it's relatively easy to buy an ordinary PC components using water cooling, while water cooled rack servers are nearly nonexistent. On the other hand, using water can possibly (IMO): Reduce the power consumption of large datacenters, especially if it is possible to create direct cooled facilities (i.e. the facility is located near a river or the sea). Reduce noise, making it less painful for humans to work in datacenters. Reduce space needed for the servers: On server level, I imagine that in both rack and blade servers, it's easier to pass the water cooling tubes than to waste space to allow the air to pass inside, On datacenter level, if it's still required to keep the alleys between servers for maintenance access to servers, the empty space under the floor and at the ceiling level used for the air can be removed. So why water cooling systems are not widespread, neither on datacenter level, nor on rack/blade servers level? Is it because: The water cooling is hardly redundant on server level? The direct cost of water cooled facility is too high compared to an ordinary datacenter? It is difficult to maintain such system (regularly cleaning the water cooling system which uses water from a river is of course much more complicated and expensive than just vacuum cleaning the fans)?

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  • RPM Spec How to specify in package so that previous RPM is removed

    - by user123819
    Question: What do I put in the foo.spec file so that the rpm's will remove the previous rpm before installing? Description: I have created a spec file that creates rpm's for a few packages that use the same source and provide the same service, each with a slightly different configuration. E.g. they each provide the same "capability" Here's an example of the essentials that my .spec file looks like: %define version 1234 %define name foo %define release 1 %define pkgname %{name}-%{version}-%{release} Name: %{name} Version: %{version} Release: %{release} Provides: %{name} %package one Summary: Summary for foo-one Group: %{group} Obsoletes: %{name} <= %{version} Provides: %{name} = %{version} %description one Blah blah blah %package two Summary: Summary for foo-two Group: %{group} Obsoletes: %{name} <= %{version} Provides: %{name} = %{version} %description two Blah blah blah # %prep, %install, %build and %clean are pretty simple # and omitted here for brevity sake %files one %defattr(-,root,root,-) %{_prefix}/%{pkgname} %files two %defattr(-,root,root,-) %{_prefix}/%{pkgname} When I install the first one, it installs ok. I then remove the first one, and then install the second one, that works fine too. I then install the first one, followed immediately by installing the second one, and they both install, one over the other, but, I was expecting that the second one would be removed before installing the second. Example session: # rpmbuild foo and copy rpms to yum repo $ yum install foo-one ... $ yum list installed|grep foo foo-one.noarch 1234-1 @myrepo $ yum install foo-two ...[Should say that it is removing foo-one, but does not]... $ yum list installed|grep foo foo-one.noarch 1234-1 @myrepo foo-two.noarch 1234-1 @myrepo $ rpm -q --provides foo-one foo = 1234 foo-one = 1234-1 $ rpm -q --provides foo-two foo = 1234 foo-two = 1234-1 What do I put in the foo.spec file so that the rpm's will remove the previous rpm before installing? Thank you, .dave.

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  • Fun with Aggregates

    - by Paul White
    There are interesting things to be learned from even the simplest queries.  For example, imagine you are given the task of writing a query to list AdventureWorks product names where the product has at least one entry in the transaction history table, but fewer than ten. One possible query to meet that specification is: SELECT p.Name FROM Production.Product AS p JOIN Production.TransactionHistory AS th ON p.ProductID = th.ProductID GROUP BY p.ProductID, p.Name HAVING COUNT_BIG(*) < 10; That query correctly returns 23 rows (execution plan and data sample shown below): The execution plan looks a bit different from the written form of the query: the base tables are accessed in reverse order, and the aggregation is performed before the join.  The general idea is to read all rows from the history table, compute the count of rows grouped by ProductID, merge join the results to the Product table on ProductID, and finally filter to only return rows where the count is less than ten. This ‘fully-optimized’ plan has an estimated cost of around 0.33 units.  The reason for the quote marks there is that this plan is not quite as optimal as it could be – surely it would make sense to push the Filter down past the join too?  To answer that, let’s look at some other ways to formulate this query.  This being SQL, there are any number of ways to write logically-equivalent query specifications, so we’ll just look at a couple of interesting ones.  The first query is an attempt to reverse-engineer T-SQL from the optimized query plan shown above.  It joins the result of pre-aggregating the history table to the Product table before filtering: SELECT p.Name FROM ( SELECT th.ProductID, cnt = COUNT_BIG(*) FROM Production.TransactionHistory AS th GROUP BY th.ProductID ) AS q1 JOIN Production.Product AS p ON p.ProductID = q1.ProductID WHERE q1.cnt < 10; Perhaps a little surprisingly, we get a slightly different execution plan: The results are the same (23 rows) but this time the Filter is pushed below the join!  The optimizer chooses nested loops for the join, because the cardinality estimate for rows passing the Filter is a bit low (estimate 1 versus 23 actual), though you can force a merge join with a hint and the Filter still appears below the join.  In yet another variation, the < 10 predicate can be ‘manually pushed’ by specifying it in a HAVING clause in the “q1” sub-query instead of in the WHERE clause as written above. The reason this predicate can be pushed past the join in this query form, but not in the original formulation is simply an optimizer limitation – it does make efforts (primarily during the simplification phase) to encourage logically-equivalent query specifications to produce the same execution plan, but the implementation is not completely comprehensive. Moving on to a second example, the following query specification results from phrasing the requirement as “list the products where there exists fewer than ten correlated rows in the history table”: SELECT p.Name FROM Production.Product AS p WHERE EXISTS ( SELECT * FROM Production.TransactionHistory AS th WHERE th.ProductID = p.ProductID HAVING COUNT_BIG(*) < 10 ); Unfortunately, this query produces an incorrect result (86 rows): The problem is that it lists products with no history rows, though the reasons are interesting.  The COUNT_BIG(*) in the EXISTS clause is a scalar aggregate (meaning there is no GROUP BY clause) and scalar aggregates always produce a value, even when the input is an empty set.  In the case of the COUNT aggregate, the result of aggregating the empty set is zero (the other standard aggregates produce a NULL).  To make the point really clear, let’s look at product 709, which happens to be one for which no history rows exist: -- Scalar aggregate SELECT COUNT_BIG(*) FROM Production.TransactionHistory AS th WHERE th.ProductID = 709;   -- Vector aggregate SELECT COUNT_BIG(*) FROM Production.TransactionHistory AS th WHERE th.ProductID = 709 GROUP BY th.ProductID; The estimated execution plans for these two statements are almost identical: You might expect the Stream Aggregate to have a Group By for the second statement, but this is not the case.  The query includes an equality comparison to a constant value (709), so all qualified rows are guaranteed to have the same value for ProductID and the Group By is optimized away. In fact there are some minor differences between the two plans (the first is auto-parameterized and qualifies for trivial plan, whereas the second is not auto-parameterized and requires cost-based optimization), but there is nothing to indicate that one is a scalar aggregate and the other is a vector aggregate.  This is something I would like to see exposed in show plan so I suggested it on Connect.  Anyway, the results of running the two queries show the difference at runtime: The scalar aggregate (no GROUP BY) returns a result of zero, whereas the vector aggregate (with a GROUP BY clause) returns nothing at all.  Returning to our EXISTS query, we could ‘fix’ it by changing the HAVING clause to reject rows where the scalar aggregate returns zero: SELECT p.Name FROM Production.Product AS p WHERE EXISTS ( SELECT * FROM Production.TransactionHistory AS th WHERE th.ProductID = p.ProductID HAVING COUNT_BIG(*) BETWEEN 1 AND 9 ); The query now returns the correct 23 rows: Unfortunately, the execution plan is less efficient now – it has an estimated cost of 0.78 compared to 0.33 for the earlier plans.  Let’s try adding a redundant GROUP BY instead of changing the HAVING clause: SELECT p.Name FROM Production.Product AS p WHERE EXISTS ( SELECT * FROM Production.TransactionHistory AS th WHERE th.ProductID = p.ProductID GROUP BY th.ProductID HAVING COUNT_BIG(*) < 10 ); Not only do we now get correct results (23 rows), this is the execution plan: I like to compare that plan to quantum physics: if you don’t find it shocking, you haven’t understood it properly :)  The simple addition of a redundant GROUP BY has resulted in the EXISTS form of the query being transformed into exactly the same optimal plan we found earlier.  What’s more, in SQL Server 2008 and later, we can replace the odd-looking GROUP BY with an explicit GROUP BY on the empty set: SELECT p.Name FROM Production.Product AS p WHERE EXISTS ( SELECT * FROM Production.TransactionHistory AS th WHERE th.ProductID = p.ProductID GROUP BY () HAVING COUNT_BIG(*) < 10 ); I offer that as an alternative because some people find it more intuitive (and it perhaps has more geek value too).  Whichever way you prefer, it’s rather satisfying to note that the result of the sub-query does not exist for a particular correlated value where a vector aggregate is used (the scalar COUNT aggregate always returns a value, even if zero, so it always ‘EXISTS’ regardless which ProductID is logically being evaluated). The following query forms also produce the optimal plan and correct results, so long as a vector aggregate is used (you can probably find more equivalent query forms): WHERE Clause SELECT p.Name FROM Production.Product AS p WHERE ( SELECT COUNT_BIG(*) FROM Production.TransactionHistory AS th WHERE th.ProductID = p.ProductID GROUP BY () ) < 10; APPLY SELECT p.Name FROM Production.Product AS p CROSS APPLY ( SELECT NULL FROM Production.TransactionHistory AS th WHERE th.ProductID = p.ProductID GROUP BY () HAVING COUNT_BIG(*) < 10 ) AS ca (dummy); FROM Clause SELECT q1.Name FROM ( SELECT p.Name, cnt = ( SELECT COUNT_BIG(*) FROM Production.TransactionHistory AS th WHERE th.ProductID = p.ProductID GROUP BY () ) FROM Production.Product AS p ) AS q1 WHERE q1.cnt < 10; This last example uses SUM(1) instead of COUNT and does not require a vector aggregate…you should be able to work out why :) SELECT q.Name FROM ( SELECT p.Name, cnt = ( SELECT SUM(1) FROM Production.TransactionHistory AS th WHERE th.ProductID = p.ProductID ) FROM Production.Product AS p ) AS q WHERE q.cnt < 10; The semantics of SQL aggregates are rather odd in places.  It definitely pays to get to know the rules, and to be careful to check whether your queries are using scalar or vector aggregates.  As we have seen, query plans do not show in which ‘mode’ an aggregate is running and getting it wrong can cause poor performance, wrong results, or both. © 2012 Paul White Twitter: @SQL_Kiwi email: [email protected]

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  • Time not propagating to machines on Windows domain

    - by rbeier
    We have a two-domain Active Directory forest: ourcompany.com at the root, and prod.ourcompany.com for production servers. Time is propagating properly through the root domain, but servers in the child domain are unable to sync via NTP. So the time on these servers is starting to drift, since they're relying only on the hardware clock. WHen I type "net time" on one of the production servers, I get the following error: Could not locate a time-server. More help is available by typing NET HELPMSG 3912. When I type "w32tm /resync", i get the following: Sending resync command to local computer The computer did not resync because no time data was available. "w32tm /query /source" shows the following: Free-running System Clock We have three domain controllers in the prod.ourcompany.com subdomain (overkill, but the result of a migration - we haven't gotten rid of one of the old ones yet.) To complicate matters, the domain controllers are all virtualized, running on two different physical hosts. But the time on the domain controllers themselves is accurate - the servers that aren't DCs are the ones having problems. Two of the DCs are running Server 2003, including the PDC emulator. The third DC is running Server 2008. (I could move the PDC emulator role to the 2008 machine if that would help.) The non-DC servers are all running Server 2008. All other Active Directory functionality works fine in the production domain - we're only seeing problems with NTP. I can manually sync each machine to the time source (the PDC emulator) by doing the following: net time \\dc1.prod.ourcompany.com /set /y But this is just a one-off, and it doesn't cause automated time syncing to start working. I guess I could create a scheduled task which runs the above command periodically, but I'm hoping there's a better way. Does anyone have any ideas as to why this isn't working, and what we can do to fix it? Thanks for your help, Richard

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  • Metro: Grouping Items in a ListView Control

    - by Stephen.Walther
    The purpose of this blog entry is to explain how you can group list items when displaying the items in a WinJS ListView control. In particular, you learn how to group a list of products by product category. Displaying a grouped list of items in a ListView control requires completing the following steps: Create a Grouped data source from a List data source Create a Grouped Header Template Declare the ListView control so it groups the list items Creating the Grouped Data Source Normally, you bind a ListView control to a WinJS.Binding.List object. If you want to render list items in groups, then you need to bind the ListView to a grouped data source instead. The following code – contained in a file named products.js — illustrates how you can create a standard WinJS.Binding.List object from a JavaScript array and then return a grouped data source from the WinJS.Binding.List object by calling its createGrouped() method: (function () { "use strict"; // Create List data source var products = new WinJS.Binding.List([ { name: "Milk", price: 2.44, category: "Beverages" }, { name: "Oranges", price: 1.99, category: "Fruit" }, { name: "Wine", price: 8.55, category: "Beverages" }, { name: "Apples", price: 2.44, category: "Fruit" }, { name: "Steak", price: 1.99, category: "Other" }, { name: "Eggs", price: 2.44, category: "Other" }, { name: "Mushrooms", price: 1.99, category: "Other" }, { name: "Yogurt", price: 2.44, category: "Other" }, { name: "Soup", price: 1.99, category: "Other" }, { name: "Cereal", price: 2.44, category: "Other" }, { name: "Pepsi", price: 1.99, category: "Beverages" } ]); // Create grouped data source var groupedProducts = products.createGrouped( function (dataItem) { return dataItem.category; }, function (dataItem) { return { title: dataItem.category }; }, function (group1, group2) { return group1.charCodeAt(0) - group2.charCodeAt(0); } ); // Expose the grouped data source WinJS.Namespace.define("ListViewDemos", { products: groupedProducts }); })(); Notice that the createGrouped() method requires three functions as arguments: groupKey – This function associates each list item with a group. The function accepts a data item and returns a key which represents a group. In the code above, we return the value of the category property for each product. groupData – This function returns the data item displayed by the group header template. For example, in the code above, the function returns a title for the group which is displayed in the group header template. groupSorter – This function determines the order in which the groups are displayed. The code above displays the groups in alphabetical order: Beverages, Fruit, Other. Creating the Group Header Template Whenever you create a ListView control, you need to create an item template which you use to control how each list item is rendered. When grouping items in a ListView control, you also need to create a group header template. The group header template is used to render the header for each group of list items. Here’s the markup for both the item template and the group header template: <div id="productTemplate" data-win-control="WinJS.Binding.Template"> <div class="product"> <span data-win-bind="innerText:name"></span> <span data-win-bind="innerText:price"></span> </div> </div> <div id="productGroupHeaderTemplate" data-win-control="WinJS.Binding.Template"> <div class="productGroupHeader"> <h1 data-win-bind="innerText: title"></h1> </div> </div> You should declare the two templates in the same file as you declare the ListView control – for example, the default.html file. Declaring the ListView Control The final step is to declare the ListView control. Here’s the required markup: <div data-win-control="WinJS.UI.ListView" data-win-options="{ itemDataSource:ListViewDemos.products.dataSource, itemTemplate:select('#productTemplate'), groupDataSource:ListViewDemos.products.groups.dataSource, groupHeaderTemplate:select('#productGroupHeaderTemplate'), layout: {type: WinJS.UI.GridLayout} }"> </div> In the markup above, six properties of the ListView control are set when the control is declared. First the itemDataSource and itemTemplate are specified. Nothing new here. Next, the group data source and group header template are specified. Notice that the group data source is represented by the ListViewDemos.products.groups.dataSource property of the grouped data source. Finally, notice that the layout of the ListView is changed to Grid Layout. You are required to use Grid Layout (instead of the default List Layout) when displaying grouped items in a ListView. Here’s the entire contents of the default.html page: <!DOCTYPE html> <html> <head> <meta charset="utf-8"> <title>ListViewDemos</title> <!-- WinJS references --> <link href="//Microsoft.WinJS.0.6/css/ui-dark.css" rel="stylesheet"> <script src="//Microsoft.WinJS.0.6/js/base.js"></script> <script src="//Microsoft.WinJS.0.6/js/ui.js"></script> <!-- ListViewDemos references --> <link href="/css/default.css" rel="stylesheet"> <script src="/js/default.js"></script> <script src="/js/products.js" type="text/javascript"></script> <style type="text/css"> .product { width: 200px; height: 100px; border: white solid 1px; font-size: x-large; } </style> </head> <body> <div id="productTemplate" data-win-control="WinJS.Binding.Template"> <div class="product"> <span data-win-bind="innerText:name"></span> <span data-win-bind="innerText:price"></span> </div> </div> <div id="productGroupHeaderTemplate" data-win-control="WinJS.Binding.Template"> <div class="productGroupHeader"> <h1 data-win-bind="innerText: title"></h1> </div> </div> <div data-win-control="WinJS.UI.ListView" data-win-options="{ itemDataSource:ListViewDemos.products.dataSource, itemTemplate:select('#productTemplate'), groupDataSource:ListViewDemos.products.groups.dataSource, groupHeaderTemplate:select('#productGroupHeaderTemplate'), layout: {type: WinJS.UI.GridLayout} }"> </div> </body> </html> Notice that the default.html page includes a reference to the products.js file: <script src=”/js/products.js” type=”text/javascript”></script> The default.html page also contains the declarations of the item template, group header template, and ListView control. Summary The goal of this blog entry was to explain how you can group items in a ListView control. You learned how to create a grouped data source, a group header template, and declare a ListView so that it groups its list items.

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  • Creating an SMF service for mercurial web server

    - by Chris W Beal
    I'm working on a project at the moment, which has a number of contributers. We're managing the project gate (which is stand alone) with mercurial. We want to have an easy way of seeing the changelog, so we can show management what is going on.  Luckily mercurial provides a basic web server which allows you to see the changes, and drill in to change sets. This can be run as a daemon, but as it was running on our build server, every time it was rebooted, someone needed to remember to start the process again. This is of course a classic usage of SMF. Now I'm not an experienced person at writing SMF services, so it took me 1/2 an hour or so to figure it out the first time. But going forward I should know what I'm doing a bit better. I did reference this doc extensively. Taking a step back, the command to start the mercurial web server is $ hg serve -p <port number> -d So we somehow need to get SMF to run that command for us. In the simplest form, SMF services are really made up of two components. The manifest Usually lives in /var/svc/manifest somewhere Can be imported from any location The method Usually live in /lib/svc/method I simply put the script straight in that directory. Not very repeatable, but it worked Can take an argument of start, stop, or refresh Lets start with the manifest. This looks pretty complex, but all it's doing is describing the service name, the dependencies, the start and stop methods, and some properties. The properties can be by instance, that is to say I could have multiple hg serve processes handling different mercurial projects, on different ports simultaneously Here is the manifest I wrote. I stole extensively from the examples in the Documentation. So my manifest looks like this $ cat hg-serve.xml <?xml version="1.0"?> <!DOCTYPE service_bundle SYSTEM "/usr/share/lib/xml/dtd/service_bundle.dtd.1"> <service_bundle type='manifest' name='hg-serve'> <service name='application/network/hg-serve' type='service' version='1'> <dependency name='network' grouping='require_all' restart_on='none' type='service'> <service_fmri value='svc:/milestone/network:default' /> </dependency> <exec_method type='method' name='start' exec='/lib/svc/method/hg-serve %m' timeout_seconds='2' /> <exec_method type='method' name='stop' exec=':kill' timeout_seconds='2'> </exec_method> <instance name='project-gate' enabled='true'> <method_context> <method_credential user='root' group='root' /> </method_context> <property_group name='hg-serve' type='application'> <propval name='path' type='astring' value='/src/project-gate'/> <propval name='port' type='astring' value='9998' /> </property_group> </instance> <stability value='Evolving' /> <template> <common_name> <loctext xml:lang='C'>hg-serve</loctext> </common_name> <documentation> <manpage title='hg' section='1' /> </documentation> </template> </service> </service_bundle> So the only things I had to decide on in this are the service name "application/network/hg-serve" the start and stop methods (more of which later) and the properties. This is the information I need to pass to the start method script. In my case the port I want to start the web server on "9998", and the path to the source gate "/src/project-gate". These can be read in to the start method. So now lets look at the method scripts $ cat /lib/svc/method/hg-serve #!/sbin/sh # # # Copyright (c) 2012, Oracle and/or its affiliates. All rights reserved. # # Standard prolog # . /lib/svc/share/smf_include.sh if [ -z $SMF_FMRI ]; then echo "SMF framework variables are not initialized." exit $SMF_EXIT_ERR fi # # Build the command line flags # # Get the port and directory from the SMF properties port=`svcprop -c -p hg-serve/port $SMF_FMRI` dir=`svcprop -c -p hg-serve/path $SMF_FMRI` echo "$1" case "$1" in 'start') cd $dir /usr/bin/hg serve -d -p $port ;; *) echo "Usage: $0 {start|refresh|stop}" exit 1 ;; esac exit $SMF_EXIT_OK This is all pretty self explanatory, we read the port and directory using svcprop, and use those simply to run a command in the start case. We don't need to implement a stop case, as the manifest says to use "exec=':kill'for the stop method. Now all we need to do is import the manifest and start the service, but first verify the manifest # svccfg verify /path/to/hg-serve.xml If that doesn't give an error try importing it # svccfg import /path/to/hg-serve.xml If like me you originally put the hg-serve.xml file in /var/svc/manifest somewhere you'll get an error and told to restart the import service svccfg: Restarting svc:/system/manifest-import The manifest being imported is from a standard location and should be imported with the command : svcadm restart svc:/system/manifest-import # svcadm restart svc:/system/manifest-import and you're nearly done. You can look at the service using svcs -l # svcs -l hg-serve fmri svc:/application/network/hg-serve:project-gate name hg-serve enabled false state disabled next_state none state_time Thu May 31 16:11:47 2012 logfile /var/svc/log/application-network-hg-serve:project-gate.log restarter svc:/system/svc/restarter:default contract_id 15749 manifest /var/svc/manifest/network/hg/hg-serve.xml dependency require_all/none svc:/milestone/network:default (online) And look at the interesting properties # svcprop hg-serve hg-serve/path astring /src/project-gate hg-serve/port astring 9998 ...stuff deleted.... Then simply enable the service and if every things gone right, you can point your browser at http://server:9998 and get a nice graphical log of project activity. # svcadm enable hg-serve # svcs -l hg-serve fmri svc:/application/network/hg-serve:project-gate name hg-serve enabled true state online next_state none state_time Thu May 31 16:18:11 2012 logfile /var/svc/log/application-network-hg-serve:project-gate.log restarter svc:/system/svc/restarter:default contract_id 15858 manifest /var/svc/manifest/network/hg/hg-serve.xml dependency require_all/none svc:/milestone/network:default (online) None of this is rocket science, but a bit fiddly. Hence I thought I'd blog it. It might just be you see this in google and it clicks with you more than one of the many other blogs or how tos about it. Plus I can always refer back to it myself in 3 weeks, when I want to add another project to the server, and I've forgotten how to do it.

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  • Metro: Grouping Items in a ListView Control

    - by Stephen.Walther
    The purpose of this blog entry is to explain how you can group list items when displaying the items in a WinJS ListView control. In particular, you learn how to group a list of products by product category. Displaying a grouped list of items in a ListView control requires completing the following steps: Create a Grouped data source from a List data source Create a Grouped Header Template Declare the ListView control so it groups the list items Creating the Grouped Data Source Normally, you bind a ListView control to a WinJS.Binding.List object. If you want to render list items in groups, then you need to bind the ListView to a grouped data source instead. The following code – contained in a file named products.js — illustrates how you can create a standard WinJS.Binding.List object from a JavaScript array and then return a grouped data source from the WinJS.Binding.List object by calling its createGrouped() method: (function () { "use strict"; // Create List data source var products = new WinJS.Binding.List([ { name: "Milk", price: 2.44, category: "Beverages" }, { name: "Oranges", price: 1.99, category: "Fruit" }, { name: "Wine", price: 8.55, category: "Beverages" }, { name: "Apples", price: 2.44, category: "Fruit" }, { name: "Steak", price: 1.99, category: "Other" }, { name: "Eggs", price: 2.44, category: "Other" }, { name: "Mushrooms", price: 1.99, category: "Other" }, { name: "Yogurt", price: 2.44, category: "Other" }, { name: "Soup", price: 1.99, category: "Other" }, { name: "Cereal", price: 2.44, category: "Other" }, { name: "Pepsi", price: 1.99, category: "Beverages" } ]); // Create grouped data source var groupedProducts = products.createGrouped( function (dataItem) { return dataItem.category; }, function (dataItem) { return { title: dataItem.category }; }, function (group1, group2) { return group1.charCodeAt(0) - group2.charCodeAt(0); } ); // Expose the grouped data source WinJS.Namespace.define("ListViewDemos", { products: groupedProducts }); })(); Notice that the createGrouped() method requires three functions as arguments: groupKey – This function associates each list item with a group. The function accepts a data item and returns a key which represents a group. In the code above, we return the value of the category property for each product. groupData – This function returns the data item displayed by the group header template. For example, in the code above, the function returns a title for the group which is displayed in the group header template. groupSorter – This function determines the order in which the groups are displayed. The code above displays the groups in alphabetical order: Beverages, Fruit, Other. Creating the Group Header Template Whenever you create a ListView control, you need to create an item template which you use to control how each list item is rendered. When grouping items in a ListView control, you also need to create a group header template. The group header template is used to render the header for each group of list items. Here’s the markup for both the item template and the group header template: <div id="productTemplate" data-win-control="WinJS.Binding.Template"> <div class="product"> <span data-win-bind="innerText:name"></span> <span data-win-bind="innerText:price"></span> </div> </div> <div id="productGroupHeaderTemplate" data-win-control="WinJS.Binding.Template"> <div class="productGroupHeader"> <h1 data-win-bind="innerText: title"></h1> </div> </div> You should declare the two templates in the same file as you declare the ListView control – for example, the default.html file. Declaring the ListView Control The final step is to declare the ListView control. Here’s the required markup: <div data-win-control="WinJS.UI.ListView" data-win-options="{ itemDataSource:ListViewDemos.products.dataSource, itemTemplate:select('#productTemplate'), groupDataSource:ListViewDemos.products.groups.dataSource, groupHeaderTemplate:select('#productGroupHeaderTemplate'), layout: {type: WinJS.UI.GridLayout} }"> </div> In the markup above, six properties of the ListView control are set when the control is declared. First the itemDataSource and itemTemplate are specified. Nothing new here. Next, the group data source and group header template are specified. Notice that the group data source is represented by the ListViewDemos.products.groups.dataSource property of the grouped data source. Finally, notice that the layout of the ListView is changed to Grid Layout. You are required to use Grid Layout (instead of the default List Layout) when displaying grouped items in a ListView. Here’s the entire contents of the default.html page: <!DOCTYPE html> <html> <head> <meta charset="utf-8"> <title>ListViewDemos</title> <!-- WinJS references --> <link href="//Microsoft.WinJS.0.6/css/ui-dark.css" rel="stylesheet"> <script src="//Microsoft.WinJS.0.6/js/base.js"></script> <script src="//Microsoft.WinJS.0.6/js/ui.js"></script> <!-- ListViewDemos references --> <link href="/css/default.css" rel="stylesheet"> <script src="/js/default.js"></script> <script src="/js/products.js" type="text/javascript"></script> <style type="text/css"> .product { width: 200px; height: 100px; border: white solid 1px; font-size: x-large; } </style> </head> <body> <div id="productTemplate" data-win-control="WinJS.Binding.Template"> <div class="product"> <span data-win-bind="innerText:name"></span> <span data-win-bind="innerText:price"></span> </div> </div> <div id="productGroupHeaderTemplate" data-win-control="WinJS.Binding.Template"> <div class="productGroupHeader"> <h1 data-win-bind="innerText: title"></h1> </div> </div> <div data-win-control="WinJS.UI.ListView" data-win-options="{ itemDataSource:ListViewDemos.products.dataSource, itemTemplate:select('#productTemplate'), groupDataSource:ListViewDemos.products.groups.dataSource, groupHeaderTemplate:select('#productGroupHeaderTemplate'), layout: {type: WinJS.UI.GridLayout} }"> </div> </body> </html> Notice that the default.html page includes a reference to the products.js file: <script src=”/js/products.js” type=”text/javascript”></script> The default.html page also contains the declarations of the item template, group header template, and ListView control. Summary The goal of this blog entry was to explain how you can group items in a ListView control. You learned how to create a grouped data source, a group header template, and declare a ListView so that it groups its list items.

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  • Help setting up a secondary authoritative DNS server.

    - by GLB03
    We have three Authoritative DNS servers and three recursive/caching DNS servers on my campus. Authoritative servers DNS1- Windows 2003 DNS2- Old Red Hat ----- Replacing w/ newer version DNS3- Windows 2008 (I installed) Caching and Recursive resolvers servers Server1- Windows 2003 Server2- CentOS 5.2 (I installed) Server3- CentOS 5.3 (I installed) I am replacing DNS2 with a newer Red Hat version, but have no documentation on how it was implemented. I have setup caching and windows authoritative servers, but not a linux secondary authoritative server. I have a perl script from the original server that pulls data from our DNS1 server. We use DJBDNS and TinyDNS on our linux servers. Our Network Engineer says the DNS2 server I am replacing is an authoritative server that doesn't need to be caching, but the only instructions I see is for an Authoritative server that does caching as well. Can someone point me in the right directions. I thought I was on the right track with using these instructions but when I query my new dns server I get "No response from server", I have temporarily disabled iptables to eliminate it from being an issue. ps -aux | grep dns avahi 3493 0.0 0.2 2600 1272 ? Ss Apr24 0:05 avahi-daemon: running [newdns2.local] root 5254 0.0 0.1 3920 680 pts/0 R+ 09:56 0:00 grep dns root 6451 0.0 0.0 1528 308 ? S Apr29 0:00 supervise tinydns dnslog 6454 0.0 0.0 1540 308 ? S Apr29 0:00 multilog t ./main tinydns 9269 0.0 0.0 1652 308 ? S Apr29 0:00 /usr/local/bin/tinydns

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  • Improving Manageability of Virtual Environments

    - by Jeff Victor
    Boot Environments for Solaris 10 Branded Zones Until recently, Solaris 10 Branded Zones on Solaris 11 suffered one notable regression: Live Upgrade did not work. The individual packaging and patching tools work correctly, but the ability to upgrade Solaris while the production workload continued running did not exist. A recent Solaris 11 SRU (Solaris 11.1 SRU 6.4) restored most of that functionality, although with a slightly different concept, different commands, and without all of the feature details. This new method gives you the ability to create and manage multiple boot environments (BEs) for a Solaris 10 Branded Zone, and modify the active or any inactive BE, and to do so while the production workload continues to run. Background In case you are new to Solaris: Solaris includes a set of features that enables you to create a bootable Solaris image, called a Boot Environment (BE). This newly created image can be modified while the original BE is still running your workload(s). There are many benefits, including improved uptime and the ability to reboot into (or downgrade to) an older BE if a newer one has a problem. In Solaris 10 this set of features was named Live Upgrade. Solaris 11 applies the same basic concepts to the new packaging system (IPS) but there isn't a specific name for the feature set. The features are simply part of IPS. Solaris 11 Boot Environments are not discussed in this blog entry. Although a Solaris 10 system can have multiple BEs, until recently a Solaris 10 Branded Zone (BZ) in a Solaris 11 system did not have this ability. This limitation was addressed recently, and that enhancement is the subject of this blog entry. This new implementation uses two concepts. The first is the use of a ZFS clone for each BE. This makes it very easy to create a BE, or many BEs. This is a distinct advantage over the Live Upgrade feature set in Solaris 10, which had a practical limitation of two BEs on a system, when using UFS. The second new concept is a very simple mechanism to indicate the BE that should be booted: a ZFS property. The new ZFS property is named com.oracle.zones.solaris10:activebe (isn't that creative? ). It's important to note that the property is inherited from the original BE's file system to any BEs you create. In other words, all BEs in one zone have the same value for that property. When the (Solaris 11) global zone boots the Solaris 10 BZ, it boots the BE that has the name that is stored in the activebe property. Here is a quick summary of the actions you can use to manage these BEs: To create a BE: Create a ZFS clone of the zone's root dataset To activate a BE: Set the ZFS property of the root dataset to indicate the BE To add a package or patch to an inactive BE: Mount the inactive BE Add packages or patches to it Unmount the inactive BE To list the available BEs: Use the "zfs list" command. To destroy a BE: Use the "zfs destroy" command. Preparation Before you can use the new features, you will need a Solaris 10 BZ on a Solaris 11 system. You can use these three steps - on a real Solaris 11.1 server or in a VirtualBox guest running Solaris 11.1 - to create a Solaris 10 BZ. The Solaris 11.1 environment must be at SRU 6.4 or newer. Create a flash archive on the Solaris 10 system s10# flarcreate -n s10-system /net/zones/archives/s10-system.flar Configure the Solaris 10 BZ on the Solaris 11 system s11# zonecfg -z s10z Use 'create' to begin configuring a new zone. zonecfg:s10z create -t SYSsolaris10 zonecfg:s10z set zonepath=/zones/s10z zonecfg:s10z exit s11# zoneadm list -cv ID NAME STATUS PATH BRAND IP 0 global running / solaris shared - s10z configured /zones/s10z solaris10 excl Install the zone from the flash archive s11# zoneadm -z s10z install -a /net/zones/archives/s10-system.flar -p You can find more information about the migration of Solaris 10 environments to Solaris 10 Branded Zones in the documentation. The rest of this blog entry demonstrates the commands you can use to accomplish the aforementioned actions related to BEs. New features in action Note that the demonstration of the commands occurs in the Solaris 10 BZ, as indicated by the shell prompt "s10z# ". Many of these commands can be performed in the global zone instead, if you prefer. If you perform them in the global zone, you must change the ZFS file system names. Create The only complicated action is the creation of a BE. In the Solaris 10 BZ, create a new "boot environment" - a ZFS clone. You can assign any name to the final portion of the clone's name, as long as it meets the requirements for a ZFS file system name. s10z# zfs snapshot rpool/ROOT/zbe-0@snap s10z# zfs clone -o mountpoint=/ -o canmount=noauto rpool/ROOT/zbe-0@snap rpool/ROOT/newBE cannot mount 'rpool/ROOT/newBE' on '/': directory is not empty filesystem successfully created, but not mounted You can safely ignore that message: we already know that / is not empty! We have merely told ZFS that the default mountpoint for the clone is the root directory. List the available BEs and active BE Because each BE is represented by a clone of the rpool/ROOT dataset, listing the BEs is as simple as listing the clones. s10z# zfs list -r rpool/ROOT NAME USED AVAIL REFER MOUNTPOINT rpool/ROOT 3.55G 42.9G 31K legacy rpool/ROOT/zbe-0 1K 42.9G 3.55G / rpool/ROOT/newBE 3.55G 42.9G 3.55G / The output shows that two BEs exist. Their names are "zbe-0" and "newBE". You can tell Solaris that one particular BE should be used when the zone next boots by using a ZFS property. Its name is com.oracle.zones.solaris10:activebe. The value of that property is the name of the clone that contains the BE that should be booted. s10z# zfs get com.oracle.zones.solaris10:activebe rpool/ROOT NAME PROPERTY VALUE SOURCE rpool/ROOT com.oracle.zones.solaris10:activebe zbe-0 local Change the active BE When you want to change the BE that will be booted next time, you can just change the activebe property on the rpool/ROOT dataset. s10z# zfs get com.oracle.zones.solaris10:activebe rpool/ROOT NAME PROPERTY VALUE SOURCE rpool/ROOT com.oracle.zones.solaris10:activebe zbe-0 local s10z# zfs set com.oracle.zones.solaris10:activebe=newBE rpool/ROOT s10z# zfs get com.oracle.zones.solaris10:activebe rpool/ROOT NAME PROPERTY VALUE SOURCE rpool/ROOT com.oracle.zones.solaris10:activebe newBE local s10z# shutdown -y -g0 -i6 After the zone has rebooted: s10z# zfs get com.oracle.zones.solaris10:activebe rpool/ROOT rpool/ROOT com.oracle.zones.solaris10:activebe newBE local s10z# zfs mount rpool/ROOT/newBE / rpool/export /export rpool/export/home /export/home rpool /rpool Mount the original BE to see that it's still there. s10z# zfs mount -o mountpoint=/mnt rpool/ROOT/zbe-0 s10z# ls /mnt Desktop export platform Documents export.backup.20130607T214951Z proc S10Flar home rpool TT_DB kernel sbin bin lib system boot lost+found tmp cdrom mnt usr dev net var etc opt Patch an inactive BE At this point, you can modify the original BE. If you would prefer to modify the new BE, you can restore the original value to the activebe property and reboot, and then mount the new BE to /mnt (or another empty directory) and modify it. Let's mount the original BE so we can modify it. (The first command is only needed if you haven't already mounted that BE.) s10z# zfs mount -o mountpoint=/mnt rpool/ROOT/zbe-0 s10z# patchadd -R /mnt -M /var/sadm/spool 104945-02 Note that the typical usage will be: Create a BE Mount the new (inactive) BE Use the package and patch tools to update the new BE Unmount the new BE Reboot Delete an inactive BE ZFS clones are children of their parent file systems. In order to destroy the parent, you must first "promote" the child. This reverses the parent-child relationship. (For more information on this, see the documentation.) The original rpool/ROOT file system is the parent of the clones that you create as BEs. In order to destroy an earlier BE that is that parent of other BEs, you must first promote one of the child BEs to be the ZFS parent. Only then can you destroy the original BE. Fortunately, this is easier to do than to explain: s10z# zfs promote rpool/ROOT/newBE s10z# zfs destroy rpool/ROOT/zbe-0 s10z# zfs list -r rpool/ROOT NAME USED AVAIL REFER MOUNTPOINT rpool/ROOT 3.56G 269G 31K legacy rpool/ROOT/newBE 3.56G 269G 3.55G / Documentation This feature is so new, it is not yet described in the Solaris 11 documentation. However, MOS note 1558773.1 offers some details. Conclusion With this new feature, you can add and patch packages to boot environments of a Solaris 10 Branded Zone. This ability improves the manageability of these zones, and makes their use more practical. It also means that you can use the existing P2V tools with earlier Solaris 10 updates, and modify the environments after they become Solaris 10 Branded Zones.

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  • Creating a Training Lab on Windows Azure

    - by Michael Stephenson
    Originally posted on: http://geekswithblogs.net/michaelstephenson/archive/2013/06/17/153149.aspxThis week we are preparing for a training course that Alan Smith will be running for the support teams at one of my customers around Windows Azure. In order to facilitate the training lab we have a few prerequisites we need to handle. One of the biggest ones is that although the support team all have MSDN accounts the local desktops they work on are not ideal for running most of the labs as we want to give them some additional developer background training around Azure. Some recent Azure announcements really help us in this area: MSDN software can now be used on Azure VM You don't pay for Azure VM's when they are no longer used  Since the support team only have limited experience of Windows Azure and the organisation also have an Enterprise Agreement we decided it would be best value for money to spin up a training lab in a subscription on the EA and then we can turn the machines off when we are done. At the same time we would be able to spin them back up when the users need to do some additional lab work once the training course is completed. In order to achieve this I wanted to create a powershell script which would setup my training lab. The aim was to create 18 VM's which would be based on a prebuilt template with Visual Studio and the Azure development tools. The script I used is described below The Start & Variables The below text will setup the powershell environment and some variables which I will use elsewhere in the script. It will also import the Azure Powershell cmdlets. You can see below that I will need to download my publisher settings file and know some details from my Azure account. At this point I will assume you have a basic understanding of Azure & Powershell so already know how to do this. Set-ExecutionPolicy Unrestrictedcls $startTime = get-dateImport-Module "C:\Program Files (x86)\Microsoft SDKs\Windows Azure\PowerShell\Azure\Azure.psd1"# Azure Publisher Settings $azurePublisherSettings = '<Your settings file>.publishsettings'  # Subscription Details $subscriptionName = "<Your subscription name>" $defaultStorageAccount = "<Your default storage account>"  # Affinity Group Details $affinityGroup = '<Your affinity group>' $dataCenter = 'West Europe' # From Get-AzureLocation  # VM Details $baseVMName = 'TRN' $adminUserName = '<Your admin username>' $password = '<Your admin password>' $size = 'Medium' $vmTemplate = '<The name of your VM template image>' $rdpFilePath = '<File path to save RDP files to>' $machineSettingsPath = '<File path to save machine info to>'    Functions In the next section of the script I have some functions which are used to perform certain actions. The first is called CreateVM. This will do the following actions: If the VM already exists it will be deleted Create the cloud service Create the VM from the template I have created Add an endpoint so we can RDP to them all over the same port Download the RDP file so there is a short cut the trainees can easily access the machine via Write settings for the machine to a log file  function CreateVM($machineNo) { # Specify a name for the new VM $machineName = "$baseVMName-$machineNo" Write-Host "Creating VM: $machineName"       # Get the Azure VM Image      $myImage = Get-AzureVMImage $vmTemplate   #If the VM already exists delete and re-create it $existingVm = Get-AzureVM -Name $machineName -ServiceName $serviceName if($existingVm -ne $null) { Write-Host "VM already exists so deleting it" Remove-AzureVM -Name $machineName -ServiceName $serviceName }   "Creating Service" $serviceName = "bupa-azure-train-$machineName" Remove-AzureService -Force -ServiceName $serviceName New-AzureService -Location $dataCenter -ServiceName $serviceName   Write-Host "Creating VM: $machineName" New-AzureQuickVM -Windows -name $machineName -ServiceName $serviceName -ImageName $myImage.ImageName -InstanceSize $size -AdminUsername $adminUserName -Password $password  Write-Host "Updating the RDP endpoint for $machineName" Get-AzureVM -name $machineName -ServiceName $serviceName ` | Add-AzureEndpoint -Name RDP -Protocol TCP -LocalPort 3389 -PublicPort 550 ` | Update-AzureVM    Write-Host "Get the RDP File for machine $machineName" $machineRDPFilePath = "$rdpFilePath\$machineName.rdp" Get-AzureRemoteDesktopFile -name $machineName -ServiceName $serviceName -LocalPath "$machineRDPFilePath"   WriteMachineSettings "$machineName" "$serviceName" }    The delete machine settings function is used to delete the log file before we start re-running the process.  function DeleteMachineSettings() { Write-Host "Deleting the machine settings output file" [System.IO.File]::Delete("$machineSettingsPath"); }    The write machine settings function will get the VM and then record its details to the log file. The importance of the log file is that I can easily provide the information for all of the VM's to our infrastructure team to be able to configure access to all of the VM's    function WriteMachineSettings([string]$vmName, [string]$vmServiceName) { Write-Host "Writing to the machine settings output file"   $vm = Get-AzureVM -name $vmName -ServiceName $vmServiceName $vmEndpoint = Get-AzureEndpoint -VM $vm -Name RDP   $sb = new-object System.Text.StringBuilder $sb.Append("Service Name: "); $sb.Append($vm.ServiceName); $sb.Append(", "); $sb.Append("VM: "); $sb.Append($vm.Name); $sb.Append(", "); $sb.Append("RDP Public Port: "); $sb.Append($vmEndpoint.Port); $sb.Append(", "); $sb.Append("Public DNS: "); $sb.Append($vmEndpoint.Vip); $sb.AppendLine(""); [System.IO.File]::AppendAllText($machineSettingsPath, $sb.ToString());  } # end functions    Rest of Script In the rest of the script it is really just the bit that orchestrates the actions we want to happen. It will load the publisher settings, select the Azure subscription and then loop around the CreateVM function and create 16 VM's  Import-AzurePublishSettingsFile $azurePublisherSettings Set-AzureSubscription -SubscriptionName $subscriptionName -CurrentStorageAccount $defaultStorageAccount Select-AzureSubscription -SubscriptionName $subscriptionName  DeleteMachineSettings    "Starting creating Bupa International Azure Training Lab" $numberOfVMs = 16  for ($index=1; $index -le $numberOfVMs; $index++) { $vmNo = "$index" CreateVM($vmNo); }    "Finished creating Bupa International Azure Training Lab" # Give it a Minute Start-Sleep -s 60  $endTime = get-date "Script run time " + ($endTime - $startTime)    Conclusion As you can see there is nothing too fancy about this script but in our case of creating a small isolated training lab which is not connected to our corporate network then we can easily use this to provision the lab. Im sure if this is of use to anyone you can easily modify it to do other things with the lab environment too. A couple of points to note are that there are some soft limits in Azure about the number of cores and services your subscription can use. You may need to contact the Azure support team to be able to increase this limit. In terms of the real business value of this approach, it was not possible to use the existing desktops to do the training on, and getting some internal virtual machines would have been relatively expensive and time consuming for our ops team to do. With the Azure option we are able to spin these machines up for a temporary period during the training course and then throw them away when we are done. We expect the costing of this test lab to be very small, especially considering we have EA pricing. As a ball park I think my 18 lab VM training environment will cost in the region of $80 per day on our EA. This is a fraction of the cost of the creation of a single VM on premise.

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  • Migrateing to Windows Server 2008 R2 Domain Controllers - a few Questions/Issues

    - by Chris
    Ok so here's our setup: We have 2 Windows2k3 Domain Controllers. I am trying to replace them with Windows 2008 R2. The Win2k3 servers are DC01 and DC02. The Windows2k8 servers are DC1 and DC2. I prepared the Windows Server 2003 Forest Schema for a Domain Controller That Runs Windows Server 2008 or Windows Server 2008 R2. Then with both of the new servers up as member servers I dcpromo'd DC1 using the advanced option and added it successfully to my exisiting domain. Roles are GC, DNS and Active Directory Domain Services.I transferred The PDC, RID pool manager and Infrastructure master FSMO to the new DC.(DC1) The Schema master and Domain naming master are still on the old DC (DC01). The first issue I'm encountering is when i dcpromo the second DC (DC2) and select "Replicate data over the network from and existing domain controller" I select the new DC to replicate from (DC1) I get the following error: "Failed to identify the requested replica partner (dc1.xxx.org) as a valid domain controller with a machine account for (DC2$). This is likely due to either the machine account not being replicated to this domain controller because of replication latency or the domain controller not advertising the Active Directory Domain Services. Please consider retrying the operation with \dc01.xxx.org as the replica partner. "The server is unwilling to process the request." Is this because the Schema master and Domain naming master roles are still on the old DC (DC01)? And if so, if I transfer Schema master and Domain naming master roles to DC1 what is the risk or breaking my AD? I'm a little paranoid because this process HAS to be transparent. ANY down time or interruption will result in me getting a verbal ass kicking from my I.T. Director. Both of the new servers DNS point the the old DNS servers (DC01 and DC02) not themselves by the way. Thanks in Advance -Chris

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  • Fun with Aggregates

    - by Paul White
    There are interesting things to be learned from even the simplest queries.  For example, imagine you are given the task of writing a query to list AdventureWorks product names where the product has at least one entry in the transaction history table, but fewer than ten. One possible query to meet that specification is: SELECT p.Name FROM Production.Product AS p JOIN Production.TransactionHistory AS th ON p.ProductID = th.ProductID GROUP BY p.ProductID, p.Name HAVING COUNT_BIG(*) < 10; That query correctly returns 23 rows (execution plan and data sample shown below): The execution plan looks a bit different from the written form of the query: the base tables are accessed in reverse order, and the aggregation is performed before the join.  The general idea is to read all rows from the history table, compute the count of rows grouped by ProductID, merge join the results to the Product table on ProductID, and finally filter to only return rows where the count is less than ten. This ‘fully-optimized’ plan has an estimated cost of around 0.33 units.  The reason for the quote marks there is that this plan is not quite as optimal as it could be – surely it would make sense to push the Filter down past the join too?  To answer that, let’s look at some other ways to formulate this query.  This being SQL, there are any number of ways to write logically-equivalent query specifications, so we’ll just look at a couple of interesting ones.  The first query is an attempt to reverse-engineer T-SQL from the optimized query plan shown above.  It joins the result of pre-aggregating the history table to the Product table before filtering: SELECT p.Name FROM ( SELECT th.ProductID, cnt = COUNT_BIG(*) FROM Production.TransactionHistory AS th GROUP BY th.ProductID ) AS q1 JOIN Production.Product AS p ON p.ProductID = q1.ProductID WHERE q1.cnt < 10; Perhaps a little surprisingly, we get a slightly different execution plan: The results are the same (23 rows) but this time the Filter is pushed below the join!  The optimizer chooses nested loops for the join, because the cardinality estimate for rows passing the Filter is a bit low (estimate 1 versus 23 actual), though you can force a merge join with a hint and the Filter still appears below the join.  In yet another variation, the < 10 predicate can be ‘manually pushed’ by specifying it in a HAVING clause in the “q1” sub-query instead of in the WHERE clause as written above. The reason this predicate can be pushed past the join in this query form, but not in the original formulation is simply an optimizer limitation – it does make efforts (primarily during the simplification phase) to encourage logically-equivalent query specifications to produce the same execution plan, but the implementation is not completely comprehensive. Moving on to a second example, the following query specification results from phrasing the requirement as “list the products where there exists fewer than ten correlated rows in the history table”: SELECT p.Name FROM Production.Product AS p WHERE EXISTS ( SELECT * FROM Production.TransactionHistory AS th WHERE th.ProductID = p.ProductID HAVING COUNT_BIG(*) < 10 ); Unfortunately, this query produces an incorrect result (86 rows): The problem is that it lists products with no history rows, though the reasons are interesting.  The COUNT_BIG(*) in the EXISTS clause is a scalar aggregate (meaning there is no GROUP BY clause) and scalar aggregates always produce a value, even when the input is an empty set.  In the case of the COUNT aggregate, the result of aggregating the empty set is zero (the other standard aggregates produce a NULL).  To make the point really clear, let’s look at product 709, which happens to be one for which no history rows exist: -- Scalar aggregate SELECT COUNT_BIG(*) FROM Production.TransactionHistory AS th WHERE th.ProductID = 709;   -- Vector aggregate SELECT COUNT_BIG(*) FROM Production.TransactionHistory AS th WHERE th.ProductID = 709 GROUP BY th.ProductID; The estimated execution plans for these two statements are almost identical: You might expect the Stream Aggregate to have a Group By for the second statement, but this is not the case.  The query includes an equality comparison to a constant value (709), so all qualified rows are guaranteed to have the same value for ProductID and the Group By is optimized away. In fact there are some minor differences between the two plans (the first is auto-parameterized and qualifies for trivial plan, whereas the second is not auto-parameterized and requires cost-based optimization), but there is nothing to indicate that one is a scalar aggregate and the other is a vector aggregate.  This is something I would like to see exposed in show plan so I suggested it on Connect.  Anyway, the results of running the two queries show the difference at runtime: The scalar aggregate (no GROUP BY) returns a result of zero, whereas the vector aggregate (with a GROUP BY clause) returns nothing at all.  Returning to our EXISTS query, we could ‘fix’ it by changing the HAVING clause to reject rows where the scalar aggregate returns zero: SELECT p.Name FROM Production.Product AS p WHERE EXISTS ( SELECT * FROM Production.TransactionHistory AS th WHERE th.ProductID = p.ProductID HAVING COUNT_BIG(*) BETWEEN 1 AND 9 ); The query now returns the correct 23 rows: Unfortunately, the execution plan is less efficient now – it has an estimated cost of 0.78 compared to 0.33 for the earlier plans.  Let’s try adding a redundant GROUP BY instead of changing the HAVING clause: SELECT p.Name FROM Production.Product AS p WHERE EXISTS ( SELECT * FROM Production.TransactionHistory AS th WHERE th.ProductID = p.ProductID GROUP BY th.ProductID HAVING COUNT_BIG(*) < 10 ); Not only do we now get correct results (23 rows), this is the execution plan: I like to compare that plan to quantum physics: if you don’t find it shocking, you haven’t understood it properly :)  The simple addition of a redundant GROUP BY has resulted in the EXISTS form of the query being transformed into exactly the same optimal plan we found earlier.  What’s more, in SQL Server 2008 and later, we can replace the odd-looking GROUP BY with an explicit GROUP BY on the empty set: SELECT p.Name FROM Production.Product AS p WHERE EXISTS ( SELECT * FROM Production.TransactionHistory AS th WHERE th.ProductID = p.ProductID GROUP BY () HAVING COUNT_BIG(*) < 10 ); I offer that as an alternative because some people find it more intuitive (and it perhaps has more geek value too).  Whichever way you prefer, it’s rather satisfying to note that the result of the sub-query does not exist for a particular correlated value where a vector aggregate is used (the scalar COUNT aggregate always returns a value, even if zero, so it always ‘EXISTS’ regardless which ProductID is logically being evaluated). The following query forms also produce the optimal plan and correct results, so long as a vector aggregate is used (you can probably find more equivalent query forms): WHERE Clause SELECT p.Name FROM Production.Product AS p WHERE ( SELECT COUNT_BIG(*) FROM Production.TransactionHistory AS th WHERE th.ProductID = p.ProductID GROUP BY () ) < 10; APPLY SELECT p.Name FROM Production.Product AS p CROSS APPLY ( SELECT NULL FROM Production.TransactionHistory AS th WHERE th.ProductID = p.ProductID GROUP BY () HAVING COUNT_BIG(*) < 10 ) AS ca (dummy); FROM Clause SELECT q1.Name FROM ( SELECT p.Name, cnt = ( SELECT COUNT_BIG(*) FROM Production.TransactionHistory AS th WHERE th.ProductID = p.ProductID GROUP BY () ) FROM Production.Product AS p ) AS q1 WHERE q1.cnt < 10; This last example uses SUM(1) instead of COUNT and does not require a vector aggregate…you should be able to work out why :) SELECT q.Name FROM ( SELECT p.Name, cnt = ( SELECT SUM(1) FROM Production.TransactionHistory AS th WHERE th.ProductID = p.ProductID ) FROM Production.Product AS p ) AS q WHERE q.cnt < 10; The semantics of SQL aggregates are rather odd in places.  It definitely pays to get to know the rules, and to be careful to check whether your queries are using scalar or vector aggregates.  As we have seen, query plans do not show in which ‘mode’ an aggregate is running and getting it wrong can cause poor performance, wrong results, or both. © 2012 Paul White Twitter: @SQL_Kiwi email: [email protected]

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  • How to set up the jdbc driver to connect to hsqldb from libreoffice?

    - by rumtscho
    I am trying to "split" a LibreOffice .odb file into a HSQL database and an OpenOffice document containing forms and macros. I am trying to follow the instructions from this thread: Within a few minutes you can convert your embedded HSQLDB to a stand-alone HSQLDB which is just a very fine database engine. 1) Download and extract the current version from http://hsqldb.org/ and point the Java class path in ToolsOptionsJava to the new hsqldb.jar 2) Extract the database folder from your embedded database and rename the files data, properties, script to name.data name.properties, name.script where "name." is an arbitrary name prefix. 3) Connect a Base document to an existing JDBC database such as jdbc:hsqldb:file:/home/chenier/hsqldb/name;default_schema=true;shutdown=true;hsqldb.default_table_type=cached;get_column_name=false (again, "name" refers to your own file name prefix). This local single-user connection gives you much more than the embedded HSQLDB. 4) Copy queries, forms and reports from the old database over to the new one. The wizard presents me with a window expecting two inputs: a "Datasource URL" and a "JDBC driver class". As far as I can tell, the tutorial above only tells me what to put into the Datasource URL. As for the JDBC driver class, I have no idea what to write into this field. I tried the fully-qualified name of the Java class, org.hsqldb.jdbc.JDBCDriver as given in the HSQLDB documentation. When that failed, I tried the physical path /var/lib/hsqldb/lib/hsqldb.jar (although that should have been unnecessary, because first I pointed to this path as described under 1 and then restarted LibreOffice). In both cases, "Test class" failed with the message "The JDBC driver could not be loaded". OpenOffice's documentation doesn't say anything sensible about the field, it was something like "enter the JDBC driver in this box". Any ideas what I should enter there to get the connection working?

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  • Help setting up an secondary authoritative DNS server.

    - by GLB03
    We have three Authoritative DNS servers and three recursive/caching DNS servers on my campus. Authoritative servers DNS1- Windows 2003 DNS2- Old Red Hat ----- Replacing w/ newer version DNS3- Windows 2008 (I installed) Caching and Recursive resolvers servers Server1- Windows 2003 Server2- CentOS 5.2 (I installed) Server3- CentOS 5.3 (I installed) I am replacing DNS2 with a newer Red Hat version, but have no documentation on how it was implemented. I have setup caching and windows authoritative servers, but not a linux secondary authoritative server. I have a perl script from the original server that pulls data from our DNS1 server. We use DJBDNS and TinyDNS on our linux servers. Our Network Engineer says the DNS2 server I am replacing is an authoritative server that doesn't need to be caching, but the only instructions I see is for an Authoritative server that does caching as well. Can someone point me in the right directions. I thought I was on the right track with using these instructions but when I query my new dns server I get "No response from server", I have temporarily disabled iptables to eliminate it from being an issue. ps -aux | grep dns avahi 3493 0.0 0.2 2600 1272 ? Ss Apr24 0:05 avahi-daemon: running [newdns2.local] root 5254 0.0 0.1 3920 680 pts/0 R+ 09:56 0:00 grep dns root 6451 0.0 0.0 1528 308 ? S Apr29 0:00 supervise tinydns dnslog 6454 0.0 0.0 1540 308 ? S Apr29 0:00 multilog t ./main tinydns 9269 0.0 0.0 1652 308 ? S Apr29 0:00 /usr/local/bin/tinydns

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  • virtual memory commited

    - by vinu
    After a server bounce happens, and after around 40-45 days time period, we receive continuous “Committed Virtual Memory” alerts which indicates the usage of swap space in the magnitude of 4GB This also causes the application to perform very slowly and experience a number of stalled transactions. Server Setup: 4 Tomcat Servers (version 7.0.22) that are load balanced (not clustered) by 2 Apache Servers. And the Apache servers themselves supply static content and routing to these 4 tomcat servers. Java Runtime Version: java version "1.6.0_30" Java(TM) SE Runtime Environment (build 1.6.0_30-b12) Java HotSpot(TM) 64-Bit Server VM (build 20.5-b03, mixed mode Memory Startup Parameters: MEMORY_OPTIONS="-Xms1024m -Xmx1024m -Xss192k -XX:MaxGCPauseMillis=500 -XX:+HeapDumpOnOutOfMemoryError -XX:MaxPermSize=256m -XX:+CMSClassUnloadingEnabled" Monitoring – Wily monitoring is available in all the production servers that monitors key server parameters and sends out configurable alert emails based on pre defined settings. Note: Each of the servers also has two other separate tomcat domains that run different applications Investigated area: There is no Heap Memory Leak and the GC is running fine without any issues over any period of time The current busy thread count corresponds directly to the application usage – weekends and nights have lesser no. of threads compared to business hours ThreadLocal uses a WeakReference internally. If the ThreadLocal is not strongly referenced, it will be garbage-collected, even though various threads have values stored via that ThreadLocal. Additionally, ThreadLocal values are actually stored in the Thread; if a thread dies, all of the values associated with that thread through a ThreadLocal are collected. If you have a ThreadLocal as a final class member, that's a strong reference, and it cannot be collected until the class is unloaded. But this is how any class member works, and isn't considered a memory leak. The cited problem only comes into play when the value stored in a ThreadLocal strongly references that ThreadLocal—sort of a circular reference. In this case, the value (a SimpleDateFormat), has no backwards reference to the ThreadLocal. There's no memory leak in this code. Can anyone please let me know what could be the cause of this and what to be monitored?

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  • Cluster FIle System

    - by Ben
    We are looking for to choose a clustered file system for our in house appplication. Let me first highlight my requirement. we have a storage and 2 servers at present.We get the data files from remote servers to our server and on both servers we are running our application to access those data and make a final result as per our requirements. In future may be after 3-4 months, we can add another servers in current cluster pool to handle more data load from remote location data senders. So my requirement is that to integrate same storage partition on 2-3 servers , it might be 4-5 more servers in future, My application read data from storage partition and write back to storage partition. Is there any bottleneck / limitation from RHCS , GFS2 or anything.? We are new with RHCS + GFS and all. Can we have any other better approach or someway to deal with our requirement light way? what is the best OS version for this ? how's RHEL 6.4 64 bit ? please share some case study or some gudie reference as per past experiences with such environnmnets Regards, Ben

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  • Migrating to Windows Server 2008 R2 Domain Controllers - a few Questions/Issues

    - by Chris
    Ok so here's our setup: We have 2 Windows 2003 Domain Controllers. I am trying to replace them with Windows 2008 R2. The 2003 servers are named DC01 and DC02. The 2008 R2 servers are DC1 and DC2. I prepared the Windows Server 2003 Forest Schema for a Domain Controller that runs Windows Server 2008 or Windows Server 2008 R2. Then with both of the new servers up as member servers I ran dcpromo on DC1 using the advanced option and added it successfully to my existing domain. It's roles are GC, DNS and Active Directory Domain Services. I transferred The PDC Emulator, RID Pool Manager, and Infrastructure Master roles to DC1. The Schema Master and Domain Naming master are still on DC01. The first issue that I'm encountering is when I dcpromo the DC2 and select "Replicate data over the network from and existing domain controller" I select that I want to replicate from DC1 and I get the following error: Failed to identify the requested replica partner (dc1.xxx.org) as a valid domain controller with a machine account for (DC2$). This is likely due to either the machine account not being replicated to this domain controller because of replication latency or the domain controller not advertising the Active Directory Domain Services. Please consider retrying the operation with \dc01.xxx.org as the replica partner. "The server is unwilling to process the request. Is this because the Schema Master and Domain Naming Master roles are still on the old DC01? And if so, if I transfer Schema Master and Domain Naming Master roles to DC1 what is the risk or breaking my AD? I'm a little paranoid because this process HAS to be transparent. ANY down time or interruption will result in me getting a verbal ass kicking from my I.T. Director. Both of the new servers DNS point the the old DNS servers (DC01 and DC02) not themselves by the way.

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  • How to organise storage for media content such as video and music?

    - by thor
    Currently, we have a single server hosting all content: music, video and software. This content is downloaded by users through HTTP. Now free space is coming to an end and we are exploring different ways of extending our storage capacity. We want to do it cheap, simple and reliable (protected from disk/ server faults). Currenly, we see two ways: Add a couple of cheap servers with 4 disks (RAID1 ?), run some distributed file-system on top, like GlusterFS. Pros: hopefully, we will see all our disks as single flat file system, just dump content into it and be done. Cons: could be tricky in configuration and handling of faults. Add a couple of cheap servers, all running HTTP servers. Each piece of content (be it a music file or video) is placed on randomly selected two servers. Pros: don't have to deal with RAID, as content is duplicated; single server failure does not bring down any part of content; doubled distribution capacity (as any signle file could be downloaded from any of two servers hosting it). Cons: requires some scripting on part of distribution of content, adding/ removing servers. Do we miss any other ways? Which of the aforementioned options seems to be the best?

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  • EFS Remote Encryption

    - by Apoulet
    We have been trying to setup EFS across our domain. Unfortunately Reading/Writing file over network share does not work, we get an "Access Denied" error. Another worrying fact is that I managed to get it working for 1 machine but no other would work. The machines are all Windows 2008R2, running as VM under ESXi host. According to: http://technet.microsoft.com/en-us/library/bb457116.aspx#EHAA We setup the involved machine to be trusted for delegation The user are not restricted and can be trusted for delegation. The users have logged-in on both side and can read/write encrypted files without issues locally. I enabled Kerberos logging in the registry and this is the relevant logs that I get on the machine that has the encrypted files. In order for all certificate that the user possess (Only Key Name changes): Event ID 5058: Audit Success, "Other System Events" Key file operation. Subject: Security ID: {MyDOMAIN}\{MyID} Account Name: {MyID} Account Domain: {MyDOMAIN} Logon ID: 0xbXXXXXXX Cryptographic Parameters: Provider Name: Microsoft Software Key Storage Provider Algorithm Name: Not Available. Key Name: {CE885431-9B4F-47C2-8415-2D766B999999} Key Type: User key. Key File Operation Information: File Path: C:\Users\{MyID}\AppData\Roaming\Microsoft\Crypto\RSA\S-1-5-21-4585646465656-260371901-2912106767-1207\66099999999991e891f187e791277da03d_dfe9ecd8-31c4-4b0f-9b57-6fd3cab90760 Operation: Read persisted key from file. Return Code: 0x0[/code] Event ID 5061: Audit Faillure, "System Intergrity" [code]Cryptographic operation. Subject: Security ID: {MyDOMAIN}\{MyID} Account Name: {MyID} Account Domain: {MyDOMAIN} Logon ID: 0xbXXXXXXX Cryptographic Parameters: Provider Name: Microsoft Software Key Storage Provider Algorithm Name: RSA Key Name: {CE885431-9B4F-47C2-8415-2D766B999999} Key Type: User key. Cryptographic Operation: Operation: Open Key. Return Code: 0x8009000b Could this be related to this error from the CryptAcquireContext function NTE_BAD_KEY_STATE 0x8009000BL The user password has changed since the private keys were encrypted. The problem is that the users I using at the moment can not change their password.

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  • Using NFS for scalable PHP/MySQL web application

    - by Jeroen Moons
    Here's the situation: I have a PHP/MySQL web application that accepts user uploads (pdf files). From these pdf files' pages a preview image is made on the fly and presented to the web app's users. Some pdfs might be on the large side, most will be under 50 MB but some extreme cases could be as large as a few hundred MB. A little waiting for the preview image for large pdf files is acceptable but no more than a minute let's say. Everything is running on one server for now, but soon the app will hit the server's limit on both storage and processing power. My idea to solve the problem: To deal with this situation I had the idea of having one or more pdf processing servers as needed, and one or more file storage servers. These two types of servers are mounted to the server on which the actual app runs using NFS. The app could then use GearMan to delegate pdf processing tasks to these processing servers. The processing server can mount the storage server and read the file stored there, process it and write its output to that server. The servers I'm talking about will be amazon ec2 instances. The web app returns a link to the resulting pdf preview image on the storage server that was used which can then be used on the front end to show the image to the user. My question: I have zero experience with apps that use multiple servers, is this idea viable or is there a better way to do it? Is an NFS setup fast and reliable enough for this situation?

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  • Migrating to AWS Cloud with auto-scaling - where to put Redis and ElasticSearch?

    - by RobMasters
    I've been trying to research this topic but haven't found anywhere that recommends where to install services such as Redis and ElasticSearch when migrating to a cloud framework. I'm currently running a Symfony2 application on 2 static servers - one is running MySQL and the other is the public facing web server, which also has Redis and ElasticSearch running on it. Both of these servers are virtualised, but they're static in terms of not being able to replicate at present (various aspects are still dependent on the local filesystem). The goal is to migrate to AWS and use auto-scaling to be able to spin up and kill web servers as required, but I'm not clear on what I should put on each EC2 instance. Should they be single-responsibility only? i.e. Set up individual instances for the web server(s), Redis, and ElasticSearch and most likely an RDS instance for MySQL and only set up auto-scaling on the web server(s)? I don't foresee having to scale the ElasticSearch server anytime soon as it's only driving the search functionality, but it's possible that Redis may need to be replicated at some point - but should this be done manually? I'm not sure of how this could be done automatically as each instance needs to be configured to know about it's master/slave(s) as far as I know. I'd appreciate advice on this. One more quick question while I'm here - how would I be able to deploy code changes when there are X web servers currently active? I'm using a Capifony deployment script (Symfony2 version of Capistrano), which I think can handle multiple servers easily enough by specifying an array of :domain addresses...but how can should this be handled when the number of web servers can vary?

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  • When should NTPd broadcast/broadcastclient be used instead of client/server or peer modes?

    - by Luke404
    The NTP deamon if often used in its simplest mode, which is client/server: you specify one or more server directives in your ntp.conf and your clients will use those servers. In addition to that, when you run your own NTP servers, it is good practice to peer them together, so if one of them looses connectivity to its upstream servers, it will get time from its peers. But NTPd can also work with broadcast and/or multicast distribution of time data, with the documentation stating: broadcast and multicast modes are intended for configurations involving one or a few servers and a possibly very large client population The documentation also says elsewhere: It is possible and frequently useful to configure a host as both broadcast client and broadcast server. A number of hosts configured this way and sharing a common broadcast address will automatically organize themselves in an optimum configuration based on stratum and synchronization distance. I can see one obvious administrative benefit: you don't have to manually specify and update your list of NTP servers in the clients ntp.conf, so to me it looks tempting to use broadcast mode even for a small client population (say 5+ clients with 3~4 servers). I expect network traffic to be a little higher with broadcasts instead of client/server associations, but given the usual gigabit ethernet LAN the impact should be negligible unless you have a very very large number of hosts in the same broadcast domain. At the end of the day, when should broadcast mode be used or avoided? Are there pros and cons I haven't seen?

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  • Managing rolling deployments in the cloud

    - by Josh Nankin
    Recently I've been experimenting with various cloud management tools like RightScale, Scalr, custom scripts for managing a variety of servers, each hosting several roles (app, db, load balancer, job queues, etc). The one thing I find lacking in most solutions is a way to do rolling deployments, i.e. running deployments sequentially across a number of servers with the same role. For instance, I dont want to build all of my webservers at the same time, as that will almost definitely result in some down time or 500s for my customers. I'd rather have one or two servers build at a time, while other servers are still available to handle requests. The other alternative is obviously to launch new servers that automatically update themselves on boot, but this isn't as cost effective, and most likely requires more time for the build to complete (it's faster to build on an existing server than to launch a new server and kill old ones). We've all heard of the big companies having the famous "push to build" button (companies like Twilio, Etsy, etc.) but it seems that they all have custom implementations of this. I'm not talking about a simple ssh-loop, clusterssh, or even an mcollective - I preferably want something with a nice simple interface that allows me to specify something like a RightScript or a Scalr script to run on a set of servers with a specific role, and it builds them sequentially. Does any one know of easy ways to get this done, or is this a candidate for a new open source project?

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