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  • Perspective Is Everything

    - by juanlarios
    Sitting on a window seat on my way back from Seattle I looked out the window and saw the large body of water. I was reminded of childhood memories of running as hard as I could through burning hot sand with the anticipation of the splash of the ocean. Looking out the window the water appeared like a sheet draped over land. I couldn’t help but ponder how perspective changes everything.  Over the last several days I had a chance to attend the MVP Summit in Redmond. I had a great time with fellow MVP’s and the SharePoint Product Group. Although I can’t say much about what was discussed and what is coming in the future, I want to share some realizations I had while experiencing the MVP summit.  The SharePoint Product is ever-improving, full of innovation but also a reactionary embodiment of MVP, client and market feedback. There are several features that come to mind that clients complain about where I have felt helpless in informing them that the features are not as mature as they would like it. Together, we figure out a way to make it work and deal with the limitations. It became clear that there are features that have taken a different purpose in the market place from the original vision. The SP Product group is working hard to react to these changes in vision and make SharePoint better for real life implementations.  It is easy to think that SharePoint should be all things to all people. In reality there are products that are very detailed in specific composites, they do this one thing well but severely lack in other areas.  Its easy sometimes to say, “What was Microsoft thinking with this feature?” the Product group is doing all they can to make the moving pieces better and dealing with challenges with having all of them work together.  Sometimes the features don’t fully embody the vision because of the many challenges, but trust me when I say the product group is really focused on delivery and innovation.  As I was speaking with a fellow MVP throughout the session, we spoke about the iPad 2(ironically announced this past week during the MVP summit) and Microsoft’s possible product answer; I realized the days of reactionary products from MS is over. There are many users that will remember Vista and the painful execution in that product, but there has been a lot of success in Windows 7. There was no rush for a reactionary answer to the Nintendo Wii, as a result a ground breaking and game changing product was brought to market, the XBOX –Kinect! I can’t say much here, but it’s safe to say, expect innovation, and execution of products and technology that will change the market instead of react to them!       There are many things I learned and I would love to share that have to do with perspective, technology, etc… but this is far as I can go in details. This might not be new to you or specifically the message that was shared during the summit. These are just my impressions of the event and the spirit of future vision. Great things ahead!

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  • Framework 4 Features: Summary of Security enhancements

    - by Anthony Shorten
    In the last log entry I mentioned one of the new security features in Oracle Utilities Application Framework 4.0.1. Security is one of the major "tent poles" (to borrow a phrase from Steve Jobs) in this release of the framework. There are a number of security related enhancements requested by customers and as a result of internal reviews that we have introduced. Here is a summary of some of the security enchancements we have added in this release: Security Cache Changes - Security authorization information is automatically cached on the server for performance reasons (security is checked for every single call the product makes for all modes of access). Prior to this release the cache auto-refreshed every 30 minutes (or so). This has beem made more nimble by supporting a cache refresh every minute (or so). This means authorization changes are reflected quicker than before. Business Level security - Business Services are configurable services that are based upon Application Services. Typically, the business service inherited its security profile from its parent service. Whilst this is sufficient for most needs, it is now required to further specify security on the Business Service definition itself. This will allow granular security and allow the same application service to be exposed as different Business Services with their own security. This is particularly useful when you base a Business Service on a query zone. User Propogation - As with other client server applications, the database connections are pooled and shared as needed. This means that a common database user is used to access the database from the pool to allow sharing. Unfortunently, this means that tracability at the database level is that much harder. In Oracle Utilities Application Framework V4 the end userid is now propogated to the database using the CLIENT_IDENTIFIER as part of the Oracle JDBC connection API. This not only means that the common database userid is still used but the end user is indentifiable for the duration of the database call. This can be used for monitoring or to hook into Oracle's database security products. This enhancement is only available to Oracle Database customers. Enhanced Security Definitions - Security Administrators use the product browser front end to control access rights of defined users. While this is sufficient for most sites, a new security portal has been introduced to speed up the maintenance of security information. Oracle Identity Manager Integration - With the popularity of Oracle's Identity Management Suite, the Framework now provides an integration adapter and Identity Manager Generic Transport Connector (GTC) to allow users and group membership to be provisioned to any Oracle Utilities Application Framework based product from Oracle's Identity Manager. This is also available for Oracle Utilties Application Framework V2.2 customers. Refer to My Oracle Support KBid 970785.1 - Oracle Identity Manager Integration Overview. Audit On Inquiry - Typically the configurable audit facility in the Oracle Utilities Application Framework is used to audit changes to records. In Oracle Utilities Application Framework the Business Services and Service Scripts could be configured to audit inquiries as well. Now it is possible to attach auditing capabilities to zones on the product (including base package ones). Time Zone Support - In some of the Oracle Utilities Application Framework based products, the timezone of the end user is a factor in the processing. The user object has been extended to allow the recording of time zone information for use in product functionality. JAAS Suport - Internally the Oracle Utilities Application Framework uses a number of techniques to validate and transmit security information across the architecture. These various methods have been reconciled into using Java Authentication and Authorization Services for standardized security. This is strictly an internal change with no direct on how security operates externally. JMX Based Cache Management - In the last bullet point, I mentioned extra security applied to cache management from the browser. Alternatively a JMX based interface is now provided to allow IT operations to control the cache without the browser interface. This JMX capability can be initiated from a JSR120 compliant JMX console or JMX browser. I will be writing another more detailed blog entry on the JMX enhancements as it is quite a change and an exciting direction for the product line. Data Patch Permissions - The database installer provided with the product required lower levels of security for some operations. At some sites they wanted the ability for non-DBA's to execute the utilities in a controlled fashion. The framework now allows feature configuration to allow delegation for patch execution. User Enable Support - At some sites, the use of temporary staff such as contractors is commonplace. In this scenario, temporary security setups were required and used. A potential issue has arisen when the contractor left the company. Typically the IT group would remove the contractor from the security repository to prevent login using that contractors userid but the userid could NOT be removed from the authorization model becuase of audit requirements (if any user in the product updates financials or key data their userid is recorded for audit purposes). It is now possible to effectively diable the user from the security model to prevent any use of the useridwhilst retaining audit information. These are a subset of the security changes in Oracle Utilities Application Framework. More details about the security capabilities of the product is contained in My Oracle Support KB Id 773473.1 - Oracle Utilities Application Framework Security Overview.

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  • Adventures in Scrum: Lesson 1 &ndash; The failed Sprint

    - by Martin Hinshelwood
    I recently had a conversation with a product owner that wanted to have the Scrum team broken up into smaller units so that less time was wasted on the Scrum Ceremonies! Their complaint was around the need in Scrum to have the entire “Team” (7+-2) involved in the sizing of the work during the “Sprint Planning Meeting”.  The standard flippant answer of all Scrum professionals, “Well that's not Scrum”, does not get you any brownie points in these situations. The response could be “Well we are not doing Scrum then” which in turn leads to “We are doing Scrum…But, we have split the scrum team into units of 2/3 so that they can concentrate on a specific area of work”. While this may work, it is not Scrum and should not be called so… It is just a form of Agile. Don’t get me wrong at this stage, there is nothing wrong with Agile, just don’t call it Scrum. The reason that the Product Owner wants to do this is that, in effect, through a number of miscommunications and failings in our implementation of Scrum, there was NO unit of potentially Shippable software at the end of the first sprint. It does not matter to them that most Scrum teams will fail the first Sprint, even those that are high performing teams. Remember it is the product owners their money! We should NOT break up scrum teams into smaller units for the purpose of having less people tied up in the Scrum Ceremonies. The amount of backlog the Team selects is solely up to the Team… Only the Team can assess what it can accomplish over the upcoming Sprint. - Scrum Guide, Scrum.org The entire team must accept the work and in order to understand what they can accept they must be free to size it as a team. This both encourages common understanding and increases visibility on why team members think a task is of a particular size. This has the benefit of increasing the knowledge of the entire team in the problem domain. A new Team often first realizes that it will either sink or swim as a Team, not individually, in this meeting. The Team realizes that it must rely on itself. As it realizes this, it starts to self-organize to take on the characteristics and behaviour of a real Team. - Scrum Guide, Scrum.org This paragraph goes to the why of having the whole team at the meeting; The goal of Scrum it to produce a unit of potentially shippable software at the end of every Sprint. In order to achieve this we need high performing teams and this is what Scrum as a framework has been optimised to produce. I think that our Product Owner is understandably upset over loosing two weeks work and is losing sight the end goal of Scrum in the failures of the moment. As the man spending the money, I completely understand his perspective and I think that we should not have started Scrum on an internal project, but selected a customer  that is open to the ideas and complications of Scrum. So, what should we have NOT done on our first Scrum project: Should not have had 3 interns as the only on site resource – This lead to bad practices as the experienced guys were not there helping and correcting as they usually would. Should not have had the only experienced guys offsite – With both the experienced technical guys in completely different time zones it was difficult to get time for questions. Helping the guys on site was just plain impossible. Should not have used a part time ScrumMaster – Although the ScrumMaster attended all of the Ceremonies, because they are only in 2 full days of the week it makes it difficult for the team to raise impediments as they go. Should not have used a proxy product owner. – This was probably the worst decision that was made. Mainly because the proxy product owner did not have the same vision as the product owner. While Scrum does not explicitly reject the idea of a Proxy Product Owner, I do not think it works very well in practice. The “single wringable neck” needs to contain both the Money and the Vision as well as attending the required meetings. I will be brining all of these things up at the Sprint Retrospective and we will learn from our mistakes and move on. Do, Inspect then Adapt…   Technorati Tags: Scrum,Sprint Planing,Sprint Retrospective,Scrum.org,Scrum Guide,Scrum Ceremonies,Scrummaster,Product Owner Need Help? Professional Scrum Developer Training SSW has six Professional Scrum Developer Trainers who specialise in training your developers in implementing Scrum with Microsoft's Visual Studio ALM tools.

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  • Guidance: How to layout you files for an Ideal Solution

    - by Martin Hinshelwood
    Creating a solution and having it maintainable over time is an art and not a science. I like being pedantic and having a place for everything, no matter how small. For setting up the Areas to run Multiple projects under one solution see my post on  When should I use Areas in TFS instead of Team Projects and for an explanation of branching see Guidance: A Branching strategy for Scrum Teams. Update 17th May 2010 – We are currently trialling running a single Sprint branch to improve our history. Whenever I setup a new Team Project I implement the basic version control structure. I put “readme.txt” files in the folder structure explaining the different levels, and a solution file called “[Client].[Product].sln” located at “$/[Client]/[Product]/DEV/Main” within version control. Developers should add any projects you need to create to that solution in the format “[Client].[Product].[ProductArea].[Assembly]” and they will automatically be picked up and built automatically when you setup Automated Builds using Team Foundation Build. All test projects need to be done using MSTest to get proper IDE and Team Foundation Build integration out-of-the-box and be named for the assembly that it is testing with a naming convention of “[Client].[Product].[ProductArea].[Assembly].Tests” Here is a description of the folder layout; this content should be replicated in readme files under version control in the relevant locations so that even developers new to the project can see how to do it. Figure: The Team Project level - at this level there should be a folder for each the products that you are building if you are using Areas correctly in TFS 2010. You should try very hard to avoided spaces as these things always end up in a URL eventually e.g. "Code Auditor" should be "CodeAuditor". Figure: Product Level - At this level there should be only 3 folders (DEV, RELESE and SAFE) all of which should be in capitals. These folders represent the three stages of your application production line. Each of them may contain multiple branches but this format leaves all of your branches at the same level. Figure: The DEV folder is where all of the Development branches reside. The DEV folder will contain the "Main" branch and all feature branches is they are being used. The DEV designation specifies that all code in every branch under this folder has not been released or made ready for release. And feature branches MUST merge (Forward Integrate) from Main and stabilise prior to merging (Reverse Integration) back down into Main and being decommissioned. Figure: In the Feature branching scenario only merges are allowed onto Main, no development can be done there. Once we have a mature product it is important that new features being developed in parallel are kept separate. This would most likely be used if we had more than one Scrum team working on a single product. Figure: when we are ready to do a release of our software we will create a release branch that is then stabilised prior to deployment. This protects the serviceability of of our released code allowing developers to fix bugs and re-release an existing version. Figure: All bugs found on a release are fixed on the release.  All bugs found in a release are fixed on the release and a new deployment is created. After the deployment is created the bug fixes are then merged (Reverse Integration) into the Main branch. We do this so that we separate out our development from our production ready code.  Figure: SAFE or RTM is a read only record of what you actually released. Labels are not immutable so are useless in this circumstance.  When we have completed stabilisation of the release branch and we are ready to deploy to production we create a read-only copy of the code for reference. In some cases this could be a regulatory concern, but in most cases it protects the company building the product from legal entanglements based on what you did or did not release. Figure: This allows us to reference any particular version of our application that was ever shipped.   In addition I am an advocate of having a single solution with all the Project folders directly under the “Trunk”/”Main” folder and using the full name for the project folders.. Figure: The ideal solution If you must have multiple solutions, because you need to use more than one version of Visual Studio, name the solutions “[Client].[Product][VSVersion].sln” and have it reside in the same folder as the other solution. This makes it easier for Automated build and improves the discoverability of your code and its dependencies. Send me your feedback!   Technorati Tags: VS ALM,VSTS Developing,VS 2010,VS 2008,TFS 2010,TFS 2008,TFBS

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  • Choosing the right TV tuner - USB or PCI TV tuners, hardware/software, DVB? Hybrid/combo/analog?

    - by Nucleon
    Greetings, I'll start with some background information so you know what I'm trying to accomplish and then get to my question. I work at a Television station in the US and we are working on setting up an online DVR/Podcast system for all of our newscasts. So basically we would be recording every newscast in HD, encoding it to flv/h.264 for viewing in a browser on flash compatible and iphone/ipad devices, eventually migrating to WebM when it's browser compliant. This task is theoretically pretty simple as it all it involves is a TV tuner device and a program like VLC, MythTV or whatever to schedule and dump it to a file, encode it with VLC/FFMPEG and push it to the streaming server. Now to the hardware, in order to accomplish that task, should I use an internal PCI tuner or a USB 2.0 tuner? Is there a difference? The bus speeds of both are not too far apart, and is the bus speed really relevant in this case? Does it matter if the device has a hardware encoder or a software encoder? On many sites the USB was recommended for ease of set up and use, but would it overly task a processor, or is that not a concern as long as it's a decent PC (at least duo core, 6gb ram). What's the difference between the stick USB and the Box USBs? To my understanding analog is basically gone in the US, so we would want a hybrid or combo tuner correct? How do those differ from DVB? Are there any other features or concepts which I am missing which may influence the recommended product. It would be ideal if the device which could work in both Linux and a Windows environment, to my knowledge most Hauppauge are? Example 1: PCI Hauppage http://www.newegg.com/Product/Product.aspx?Item=N82E16815116033 Example 2: USB 2.0 Box http://www.newegg.com/Product/Product.aspx?Item=N82E16815116029 Example 3: USB 2.0 Stick http://www.newegg.com/Product/Product.aspx?Item=N82E16815116031 Any guidance from the Superusers would be much appreciated!

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  • starting oracle 10g on ubuntu, Listener failed to start.

    - by tsegay
    I have installed oracle 10g on a ubuntu 10.x, This is my first time installation. After installing I tried to start it with the command below. tsegay@server-name:/u01/app/oracle/product/10.2.0/db_1/bin$ lsnrctl LSNRCTL for Linux: Version 10.2.0.1.0 - Production on 29-DEC-2010 22:46:51 Copyright (c) 1991, 2005, Oracle. All rights reserved. Welcome to LSNRCTL, type "help" for information. LSNRCTL> start Starting /u01/app/oracle/product/10.2.0/db_1/bin/tnslsnr: please wait... TNSLSNR for Linux: Version 10.2.0.1.0 - Production System parameter file is /u01/app/oracle/product/10.2.0/db_1/network/admin/listener.ora Log messages written to /u01/app/oracle/product/10.2.0/db_1/network/log/listener.log Error listening on: (DESCRIPTION=(ADDRESS=(PROTOCOL=IPC)(KEY=EXTPROC1))) TNS-12555: TNS:permission denied TNS-12560: TNS:protocol adapter error TNS-00525: Insufficient privilege for operation Linux Error: 1: Operation not permitted Listener failed to start. See the error message(s) above... my listener.ora file looks like this: # listener.ora Network Configuration File: /u01/app/oracle/product/10.2.0/db_1/network/admin/listener.ora # Generated by Oracle configuration tools. SID_LIST_LISTENER = (SID_LIST = (SID_DESC = (SID_NAME = PLSExtProc) (ORACLE_HOME = /u01/app/oracle/product/10.2.0/db_1) (PROGRAM = extproc) ) ) LISTENER = (DESCRIPTION_LIST = (DESCRIPTION = (ADDRESS = (PROTOCOL = IPC)(KEY = EXTPROC1)) (ADDRESS = (PROTOCOL = TCP)(HOST = acct-vmserver)(PORT = 1521)) ) ) I can guess the problem is with permission issue, But i dont know where I have to do the change on permission. Any help is appreciated ... EDIT## When i run with the command sudo, i got this tsegay@server-name:/u01/app/oracle/product/10.2.0/db_1$ sudo ./bin/lsnrctl start LSNRCTL for Linux: Version 10.2.0.1.0 - Production on 30-DEC-2010 01:01:03 Copyright (c) 1991, 2005, Oracle. All rights reserved. Starting ./bin/tnslsnr: please wait... ./bin/tnslsnr: error while loading shared libraries: libclntsh.so.10.1: cannot open shared object file: No such file or directory TNS-12547: TNS:lost contact TNS-12560: TNS:protocol adapter error TNS-00517: Lost contact Linux Error: 32: Broken pipe

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  • Use cell formatting (e.g. "Good", "Bad", "Neutral") in formulas?

    - by ngm
    I am compiling a comparison of different pieces of software in an Excel spreadsheet. It is a big long list of features (the rows), with each column being one of the applications I'm evaluating. I've used styles to visually show how well each product meets each feature, as well as the importance of that feature, and now I'm wondering if there's a way I can use those annotations in a formula. The table is like: . | Product A | Product B | Product C Feature A | blah blah blah Feature B | blah blah blah Feature C | blah blah blah .... | .... | etc | Where I've put 'blah' in the table above, in my actual spreadsheet is (potentially lengthy) descriptive text explaining something about this feature in the given product. I've then used the styles "Good", "Neutral" and "Bad" to visually annotate the description, to show how well each product meets that feature. For each feature I've also used the styles Accent4, 60% Accent4, 40% Accent4, etc, to annotate the importance of each feature. Now I'm wondering if somehow I can use those styles (the annotations) to tot up a total score for each product. e.g., Score for feature A = valueof(60% Accent4) * valueof(Good) Is it possible at all?

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  • Report Model; problem regarding many-to-many relations

    - by Koen
    I'm having trouble setting up a report model to create reports with report builder. I guess I'm doing something wrong when configuring the report model, but it might also due to change of primary entity in report builder. I have 3 tables: Client, Address and Product. The Client has PK ClientNumber. The Address and Product both have a FK relation on ClientNumber. The relation between Client and Address is 1-to-many and also between Client and Product: Product-(many:1)-Client-(1:many)-Address. I've created a report model (mostly auto generate) with these 3 tables, for each table I've made an Entity. Now on the Client Entity , I've got 2 roles, Address and Product. They both have a cardinality of 'OptionalMany', because Client can have multiple Addresses or Products. On both Address and Product I have a Client Role with cardinality 'One', because for each Address or Product, there has to be a Client (tried OptionalOne as well...). Now I'm trying to create a report in Report Builder (2.0) where I select fields from these three entities. I'd like an overview of Clients with their main address and their products, but I don't seem to be able to create a report with fields from both Address and Products in it. I start by selecting attributes from Client, and as soon as I add Product for example the Primary entity changes as if I'm selecting Products (instead of Clients). This is a basic example of a problem I'm facing in a much more complex model. I've tried lots of different things for 2 days, but I can't get it to work. Does anyone have an idea how to cope with this? (Using SSRS 2008)

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  • Can't submit new object to WCF DataService because of Primary Key constraint

    - by Rob
    I've got a SQL database that uses Guid's for PK's and upon insert, it generates a NewId(). I have an EF data context setup pointing to that database with the primary keys setup with the Entity key:true, Setter:private and StoreGeneratedPattern:Identity because I want the DB to manage the keys and not have code set the PK property. I have an OData (System.Web.Data.Services.DataService) endpoint to access this data (just like: Hanselman did. I have another app that has a service reference to this service. Upon trying to create a new object from this reference (i.e. Product), the ProductId Primary Key is being defaulted to Guid.Empty when doing var serviceEntities = new ServiceEntities(serviceUri); //OData endpoint var product = new Product(); product.Name = "New Product"; serviceEntities.AddToProducts(product); serviceEntities.SaveChanges(); // error happens here When debugging, I look at the Product.ProductId property and it's set to Guid.Empty. When called SaveChanges, I do not want the ProductId field to be sent to the service. The response I get is: Error processing request stream. Property 'ProductId' is a read-only property and cannot be updated. Please make sure that this property is not present in the request payload. Is there a way to do this or what can I do to get this setup correctly and still have the DB generated the keys. Here is the same setup as the Product example above.

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  • Sanitize a string with non-alphanum repetition

    - by Toto
    I need to sanitize article titles when (creative) users try to "attract attention" with some non-alphanum repetition. Exemples: Buy my product !!!!!!!!!!!!!!!!!!!!!!!! Buy my product !? !? !? !? !? !? Buy my product !!!!!!!!!.......!!!!!!!! Buy my product <----------- Some acceptable solution would be to reduce the repetition of non-alphanum to 2. So I would get: Buy my product !! Buy my product !? !? Buy my product !!..!! Buy my product <-- This solution did not work that well: preg_replace('/(\W{2,})(?=\1+)/', '', $title) Any idea how to do it in PHP with regex? Other better solution is also welcomed (I cannot strip all the non-alphanum characters as they can make sense). Edit: the objective is only to avoid most common issues. The other creative cases will be sanitized manually or sanitized with an other regex.

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  • Formatting inline many-to-many related models presented in django admin

    - by Jonathan
    I've got two django models (simplified): class Product(models.Model): name = models.TextField() price = models.IntegerField() class Invoice(models.Model): company = models.TextField() customer = models.TextField() products = models.ManyToManyField(Product) I would like to see the relevant products as a nice table (of product fields) in an Invoice page in admin and be able to link to the individual respective Product pages. My first thought was using the admin's inline - but django used a select box widget per related Product. This isn't linked to the Product pages, and also as I have thousands of products, and each select box independently downloads all the product names, it quickly becomes unreasonably slow. So I turned to using ModelAdmin.filter_horizontal as suggested here, which used a single instance of a different widget, where you have a list of all Products and another list of related Products and you can add\remove products in the later from the former. This solved the slowness, but it still doesn't show the relevant Product fields, and it ain't linkable. So, what should I do? tweak views? override ModelForms? I Googled around and couldn't find any example of such code...

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  • InstallExecuteSequence cache interferes with custom action operation

    - by Dima G
    I need to upgrade a product that could be installed in per-user context to a new version that is always in per-machine context. The requirements are: Whether the old version was installed in a Per-User (no matter who) or Per-Machine context should be completely seamless to an administrator user that performs the upgrade. The MSI upgrade should succeed without the need to know the password of the user that originally installed the previous version of the product in a Per-User context. The installation should be performed from a single .msi file (no setup.exe is allowed). The installation should be able to run in a silent (non-UI) mode. No reboots are allowed during installation. My strategy is to find in the beginning of the installation whether the product is already installed in per-user context, and if so, to transform the registry keys manually to Per-Machine context (I checked: no additional changes such as file system changes etc. are needed except this transform). I figured out how to move all appropriate keys in the registry from the user settings to the machine settings (pre-loaded appropriate user hive in case it didn't appear in HKEY_USERS) and created custom action that does it - and it does work when I run it as a stand-alone executable before running the MSI. The problem, however, is that when Windows Installer runs InstallExecuteSequence it first creates a 'cached product context' for all products. So when my custom action runs in the course of InstallExecuteSequence, this cache has already been created. Thus FindRelatedProducts action that determines if older product with same upgrade code exists looks on that cache and ignores the changes that my custom action applied. If before running the MSI the previous product was in per-user context, FindRelatedProducts will look at the cache and not apply the upgrade and remove the previous version, because the new product is in per-machine context, even though the previous product version is already configured to per-machine context in the registry by that time by my custom action. What can be done to solve this problem without violating the requirements stated above?

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  • A many-to-many relation joined disallows intellisense/lookup in joined table

    - by BerggreenDK
    I want to be able to select a product and retrieve all sub-parts(products) within it. My approach is to find the Product id and then retrieve the list of ProductParts with that as a parent and while fetching those, follow the key back to the Product child to get the name and details of each Part. I was hoping to use something similar to: part.linked_product_id.name I have two tables. One for [Product] and and a relation [ProductPart] that has two FK ID's to [Product] Table Product() { int ID; // (PRIMARY, NOT NULL) String Name; ... details removed for overview purpose... } Table ProductPart() { int Product_ID; // FK (linked with relation to Product/parent) int Part_Product_ID; // FK (linked with relation to Product/childen) ... details removed for overview purpose... } I have checked the SQL-diagram and it shows the two relations (both are one to many) and in my DBML they also looks right. Here is my LINQ to SQL snippet that doesnt work for me... wondering why my joins dont work as supposed. FaultySnippet() { ProductDataContext db = new ProductDataContext(); var list = ( from part in db.ProductParts join prod in db.Products on part.Part_Product_ID equals prod.ID where (part.Product_ID == product_ID) select new { Name = part.Part_Product_ID. ?? // <-- NO details from Joined table? ... rest of properties from ProductPart join... I hoped... } ); }

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  • Oracle SQL: ROLLUP not summing correctly

    - by tommy-o-dell
    Hi guys, Rollup seems to be working correcly to count the number of units, but not the number of trains. Any idea what could be causing that? The output from the query looks like this. The sum of the Units column in yellow is 53 but the rollup is showing 51. The number of units adds up correctly though... And here's the oracle SQL query... select t.year, t.week, decode(t.mine_id,NULL,'PF',t.mine_id) as mine_id, decode(t.product,Null,'LF',t.product) as product, decode(t.mine_id||'-'||t.product,'-','PF',t.mine_id||'-'||t.product) as code, count(distinct t.tpps_train_id) as trains, count(1) as units from ( select trn.mine_code as mine_id, trn.train_tpps_id as tpps_train_id, round((con.calibrated_weight_total - con.empty_weight_total),2) as tonnes from widsys.train trn INNER JOIN widsys.consist con USING (train_record_id) where trn.direction = 'N' and (con.calibrated_weight_total-con.empty_weight_total) > 10 and trn.num_cars > 10 and con.consist_no not like '_L%' ) w, ( select to_char(td.datetime_act_comp_dump-7/24, 'IYYY') as year, to_char(td.datetime_act_comp_dump-7/24, 'IW') as week, td.mine_code as mine_id, td.train_id as tpps_train_id, pt.product_type_code as product from tpps.train_details td inner join tpps.ore_products op using (ore_product_key) inner join tpps.product_types pt using (product_type_key) where to_char(td.datetime_act_comp_dump-7/24, 'IYYY') = 2010 and to_char(td.datetime_act_comp_dump-7/24, 'IW') = 12 order by td.datetime_act_comp_dump asc ) t where w.mine_id = t.mine_id and w.tpps_train_id = t.tpps_train_id having t.product is not null or t.mine_id is null group by t.year, t.week, rollup( t.mine_id, t.product)

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  • Problem with displaying image from DB using asp.net MVC 2

    - by Renato
    Hello! I'm having trouble with displaying image from db. I think that method for saving image is working, because I see in DB that varbinary fields have some value, and that image type is correct. Also the size of image. But when I want to display image for product i don't get anything. Just blank space.. here is my code... public byte[] GetImage(int productID) { Product product = products.GetByID(productID); byte[] imageData = product.ImageData.ToArray(); return imageData; } That code is in my controller. Second is code from view : <% if (product.ImageData != null) { %> <img src='/product/getimage/<%= Html.Encode(product.ID) %>' alt=""/> <% } %> I tried some solutions found here on stack overflow, and everyone do it like this, but it's working for them. I dont have any idea why images aren't displayed. When i look at source code of page at debugging i have : <img src='/product/getimage/18' alt=""/> I'm using .net 4.0, MVC 2, VS 2010... Thanks in advance

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  • Getting Preferred, Varied Products -- Tough Pseudocode Question

    - by Volomike
    I have a Dallas client who has given me a tough process to work out. I'm seeking your advice. I use PHP, but the language doesn't matter. We can work this out in pseudocode. In a nutshell, this involves showing products on a page based on matching keyword phrases, and using a preferred product provider, but varying this up so that I try to show products from each provider as much as possible when I can. He has 3 product companies: Amazon, eBay, and Overstock. I already have worked out with the API to get products back in an array via a function. He wants to give the user the preference of which one to use primarily -- so a priority number on each. He wants to display anywhere from 1 to 6 products on a page from them. Let's go with 6 for now in this example to start with. Let's assume Amazon first, then eBay, then Overstock as far as priority. He wants me to attempt to take a keyword phrase and find relevant products (all the keywords found in product title) from Amazon, eBay, and Overstock. If we find 1 product from each provider, he wants me to only display one product from each. But if we run out of a particular provider with a matching product, I start over again and grab another product from another provider until we reach 6 products. If there just aren't 6 relevant products, then I do the best I can -- even if I only display one product. If no relevant products, then I don't display anything.

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  • Modules vs. Classes and their influence on descendants of ActiveRecord::Base

    - by Chris
    Here's a Ruby OO head scratcher for ya, brought about by this Rails scenario: class Product < ActiveRecord::Base has_many(:prices) # define private helper methods end module PrintProduct attr_accessor(:isbn) # override methods in ActiveRecord::Base end class Book < Product include PrintProduct end Product is the base class of all products. Books are kept in the products table via STI. The PrintProduct module brings some common behavior and state to descendants of Product. Book is used inside fields_for blocks in views. This works for me, but I found some odd behavior: After form submission, inside my controller, if I call a method on a book that is defined in PrintProduct, and that method calls a helper method defined in Product, which in turn calls the prices method defined by has_many, I'll get an error complaining that Book#prices is not found. Why is that? Book is a direct descendant of Product! More interesting is the following.. As I developed this hierarchy PrintProduct started to become more of an abstract ActiveRecord::Base, so I thought it prudent to redefine everything as such: class Product < ActiveRecord::Base end class PrintProduct < Product end class Book < PrintProduct end All method definitions, etc. are the same. In this case, however, my web form won't load because the attributes defined by attr_accessor (which are "virtual attributes" referenced by the form but not persisted in the DB) aren't found. I'll get an error saying that there is no method Book#isbn. Why is that?? I can't see a reason why the attr_accessor attributes are not found inside my form's fields_for block when PrintProduct is a class, but they are found when PrintProduct is a Module. Any insight would be appreciated. I'm dying to know why these errors are occurring!

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  • How do I write this GROUP BY in mysql UNION query

    - by user1652368
    Trying to group the results of two queries together. When I run this query: SELECT pr_id, pr_sbtcode, pr_sdesc, od_quantity, od_amount FROM ( SELECT `bgProducts`.`pr_id`, `bgProducts`.`pr_sbtcode`, `bgProducts`.`pr_sdesc`, SUM(`od_quantity`) AS `od_quantity`, SUM(`od_amount`) AS `od_amount`, MIN(UNIX_TIMESTAMP(`or_date`)) AS `or_date` FROM `bgOrderMain` JOIN `bgOrderData` JOIN `bgProducts` WHERE `bgOrderMain`.`or_id` = `bgOrderData`.`or_id` AND `od_pr` = `pr_id` AND UNIX_TIMESTAMP(`or_date`) >= '1262322000' AND UNIX_TIMESTAMP(`or_date`) <= '1346990399' AND (`pr_id` = '415' OR `pr_id` = '1088') GROUP BY `bgProducts`.`pr_id` UNION SELECT `bgProducts`.`pr_id`, `bgProducts`.`pr_sbtcode`, `bgProducts`.`pr_sdesc`,SUM(`od_quantity`) AS `od_quantity`, SUM(`od_amount`) AS `od_amount`, MIN(UNIX_TIMESTAMP(`or_date`)) AS `or_date` FROM `npOrderMain` JOIN `npOrderData` JOIN `bgProducts` WHERE `npOrderMain`.`or_id` = `npOrderData`.`or_id` AND `od_pr` = `pr_id` AND UNIX_TIMESTAMP(`or_date`) >= '1262322000' AND UNIX_TIMESTAMP(`or_date`) <= '1346990399' AND (`pr_id` = '415' OR `pr_id` = '1088') GROUP BY `bgProducts`.`pr_id` ) TEMPTABLE3; it produces this result +-------+------------+--------------------------+-------------+-----------+ | pr_id | pr_sbtcode | pr_sdesc | od_quantity | od_amount +-------+------------+--------------------------+-------------+-----------+ | 415 | NP13 | Product 13 | 5 | 125 | 1088 | NPAW | Product AW | 4 | 100 | 415 | NP13 | Product 13 | 5 | 125 | 1088 | NPAW | Product AW | 2 | 50 +-------+------------+--------------------------+-------------+-----------+</pre> What I want to get a result that combines those into 2 lines: +-------+------------+--------------------------+-------------+-----------+ | pr_id | pr_sbtcode | pr_sdesc | od_quantity | od_amount +-------+------------+--------------------------+-------------+-----------+ | 415 | NP13 | Product 13 | 10 | 250 | 1088 | NPAW | Product AW | 6 | 150 +-------+------------+--------------------------+-------------+-----------+</pre> So I added GROUP BY pr_id to the end of the query: SELECT pr_id, pr_sbtcode, pr_sdesc, od_quantity, od_amount FROM ( SELECT `bgProducts`.`pr_id`, `bgProducts`.`pr_sbtcode`, `bgProducts`.`pr_sdesc`, SUM(`od_quantity`) AS `od_quantity`, SUM(`od_amount`) AS `od_amount`, MIN(UNIX_TIMESTAMP(`or_date`)) AS `or_date` FROM `bgOrderMain` JOIN `bgOrderData` JOIN `bgProducts` WHERE `bgOrderMain`.`or_id` = `bgOrderData`.`or_id` AND `od_pr` = `pr_id` AND UNIX_TIMESTAMP(`or_date`) >= '1262322000' AND UNIX_TIMESTAMP(`or_date`) <= '1346990399' AND (`pr_id` = '415' OR `pr_id` = '1088') GROUP BY `bgProducts`.`pr_id` UNION SELECT `bgProducts`.`pr_id`, `bgProducts`.`pr_sbtcode`, `bgProducts`.`pr_sdesc`,SUM(`od_quantity`) AS `od_quantity`, SUM(`od_amount`) AS `od_amount`, MIN(UNIX_TIMESTAMP(`or_date`)) AS `or_date` FROM `npOrderMain` JOIN `npOrderData` JOIN `bgProducts` WHERE `npOrderMain`.`or_id` = `npOrderData`.`or_id` AND `od_pr` = `pr_id` AND UNIX_TIMESTAMP(`or_date`) >= '1262322000' AND UNIX_TIMESTAMP(`or_date`) <= '1346990399' AND (`pr_id` = '415' OR `pr_id` = '1088') GROUP BY `bgProducts`.`pr_id` ) TEMPTABLE3 GROUP BY pr_id; But that just gives me this: +-------+------------+--------------------------+-------------+-----------+ | pr_id | pr_sbtcode | pr_sdesc | od_quantity | od_amount +-------+------------+--------------------------+-------------+-----------+ | 415 | NP13 | Product 13 | 5 | 125 | 1088 | NPAW | Product AW | 4 | 100 +-------+------------+--------------------------+-------------+-----------+ What am I missing here??

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  • Why do we need serialization in web service

    - by Cloud2010
    I have one webservice: public class Product { public int ProductId { get; set; } public string ProductName { get; set; } } public class Service : System.Web.Services.WebService { public Service () { //Uncomment the following line if using designed components //InitializeComponent(); } [WebMethod] public List<Product> GetItems() { List<Product> productList = new List<Product>() { new Product{ProductId=1,ProductName="Pencil"}, new Product{ProductId=2,ProductName="Pen"} }; return productList; } and in a asp.net application I am consuming it like: localhost.Service s = new localhost.Service(); List<localhost.Product> k = new List<localhost.Product>(); k = s.GetItems().ToList(); // i am getting the values here. now my question is do I need to serialize my webmethod as i am returning custom types? when should we serialize ? is it necessary at all, if yes , then what are the conditions?

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  • Need help configuring Castle-Windsor

    - by Jonathas Costa
    I have these base interfaces and providers in one assembly (Assembly1): public interface IEntity { } public interface IDao { } public interface IReadDao<T> : IDao where T : IEntity { IEnumerable<T> GetAll(); } public class NHibernate<T> : IReadDao<T> where T : IEntity { public IEnumerable<T> GetAll() { return new List<T>(); } } And I have this implementation inside another assembly (Assembly2): public class Product : IEntity { public string Code { get; set; } } public interface IProductDao : IReadDao<Product> { IEnumerable<Product> GetByCode(string code); } public class ProductDao : NHibernate<Product>, IProductDao { public IEnumerable<Product> GetByCode(string code) { return new List<Product>(); } } I want to be able to get IRead<Product> and IProductDao from the container. I am using this registration: container.Register( AllTypes.FromAssemblyNamed("Assembly2") .BasedOn(typeof(IReadDao<>)).WithService.FromInterface(), AllTypes.FromAssemblyNamed("Assembly1") .BasedOn(typeof(IReadDao<>)).WithService.Base()); The IReadDao<Product> works great. The container gives me ProductDao. But if I try to get IProductDao, the container throws ComponentNotFoundException. How can I correctly configure the registration?

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  • Tables are not visible in SQL Server Management Studio but they are in Visual Studio using same acco

    - by Germ
    I'm experiencing a weird problem with a particular SQL login. When I connect to the server in Microsoft SQL Server Management Studio (2008) using this account, I cannot see any of the tables, stored procedures etc. that this account should have access to. When I connect to the same server within Visual Studio (2008) with the same account everything is there. I've also had a co-worker connect to the server using the same login and he's able to view everything as well. The strange thing is if I switch logins, I'm able to view objects that the other account has access to which indicates that there isn't a problem with MSSMS on my PC. Does anyone have any suggestions on how I can diagnose this problem? I've check to make sure I don't have any Table filters etc.

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  • Anyone using a CMS with a DAM back-end for Asset Management?

    - by Valien
    Anyone here have any experience with using a CMS system for content and populating the site with images/assets from a DAM system? Working with a large number of assets (photos, logos, files, etc) that will be stored on a DAM system for management, revisions, etc. Would like to build a front-end system to help serve up the assets for the users as well as keep the general site updated with non-asset information (like what's new, faq's, etc.) Any ideas/thoughts on this from anyone who has been down this path? Thanks! ~Allen

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  • End User Ad-Hoc Reporting Tool: Microsoft SQL Server Management Studio or Microsoft Access?

    - by schultkl
    Our centralized IT department has suggested two primary ad hoc query tools for our general user base of approximately 200 staff members: Microsoft SQL Server Management Studio 2008 (SSMS) Microsoft Access 2003 Environment The backend database is a read-only Microsoft SQL Server 2005 database. The schema is 400+ tables; allowing access to the raw data for our general staff would be a disaster. We will be building an "abstraction layer" over the raw data for our general staff to run ad hoc queries against. The abstraction layer will most likely contain a number of views. A number of users have basic knowledge in Microsoft Access; none have used SSMS. Which of the above tools (or alternative) would be best for a decidedly non-techie user base of approximately 200 people? What are the pros and cons of each? Also, the IT department has suggested teaching people T-SQL so they may use SSMS. Is this reasonable?

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  • How do I use BCP or Sql Server Management Studio to get BLOB data our of Sql Server?

    - by Eric
    I'm sorry if this question has been asked already, but I couldn't find it anywhere. I have a table that stores files as BLOBS. The column that holds the file is an image datatype. I would like to be able to extract the binary data out of the column and turn it in to an actual file. I would ideally like to be able to do this with BCP or management studio if possible. I have tried BCP, but for some reason when I try and pull out an office document Word thinks it's corrupt. Here's what I've tried so far (obviously the values have been changed to protect the innocent :): bcp "select document_binary_data from database where id = 12345" queryout "c:\filename.doc" -n -S server -U username -P password This isn't working though? Any thoughts?

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  • Ninject caching an injected DataContext? Lifecycle Management?

    - by awrigley
    I had a series of very bizarre errors being thrown in my repositories. Row not found or changed, 1 of 2 updates failed... Nothing made sense. It was as if my DataContext instance was being cached... Nothing made sense and I was considering a career move. I then noticed that the DataContext instance was passed in using dependency injection, using Ninject (this is the first time I have used DI...). I ripped out the Dependency Injection, and all went back to normal. Instantly. So dependency injection was the issue, but I still don't know why. I am speculating that Ninject was caching the injected DataContext. Is this correct? Is there a way of configuring the lifecycle management of injected parameters? If so, what would be the best configuration to use to have the DataContext behave like a normal DataContext, ie, no caching across requests?

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