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  • How to Convert multiple sets of Data going from left to right to top to bottom the Pythonic way?

    - by ThinkCode
    Following is a sample of sets of contacts for each company going from left to right. ID Company ContactFirst1 ContactLast1 Title1 Email1 ContactFirst2 ContactLast2 Title2 Email2 1 ABC John Doe CEO [email protected] Steve Bern CIO [email protected] How do I get them to go top to bottom as shown? ID Company Contactfirst ContactLast Title Email 1 ABC John Doe CEO [email protected] 1 ABC Steve Bern CIO [email protected] I am hoping there is a Pythonic way of solving this task. Any pointers or samples are really appreciated! p.s : In the actual file, there are 10 sets of contacts going from left to right and there are few thousand such records. It is a CSV file and I loaded into MySQL to manipulate the data.

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  • How to add data manually in core data entity

    - by pankaj
    Hi I am working on core data for the first time. I have just created an entity and attributes for that entity. I want to add some data inside the entity(u can say i want to add data in a table), earlier i when i was using sqlite, i would add data using terminal. But here in core data i am not able to find a place where i can manually add data. I just want to add data in entity and display it in a UITableView. I have gone through the the documentation of core data but it does not explain how to add data manually although it explains how i can add it programmiticaly but i dont need to do it programically. I want to do it manually. Thanks in advance

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  • What is a good approach for a Data Access Layer?

    - by Adil Mughal
    Our software is a customized Human Resource Management System (HRMS) using ASP.NET with Oracle as the database and now we are actually moving to make it a product that supports multiple tenants with their own databases. Our options: Use NHibernate to support Multiple databases and use of OO. But we concern related to NHibernate learning curve and any problem we faced. Make a generalized DAL which will continue working with Oracle using stored procedures and use tools to convert it to other databases such as SQL Server or MySql. There is a risk associated with having to support multiple database-dependent versions of a single script. Provide the software as a Service (SaaS) and maintain the way we conduct business. However there can may be clients who do not want or trust the Cloud or other SaaS business models. With this in mind, what's the best Data access layer technique?

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  • How do I set default values on new properties for existing entities after light weight core data migration?

    - by Moritz
    I've successfully completed light weight migration on my core data model. My custom entity Vehicle received a new property 'tirePressure' which is an optional property of type double with the default value 0.00. When 'old' Vehicles are fetched from the store (Vehicles that were created before the migration took place) the value for their 'tirePressure' property is nil. (Is that expected behavior?) So I thought: "No problem, I'll just do this in the Vehicle class:" - (void)awakeFromFetch { [super awakeFromFetch]; if (nil == self.tirePressure) { [self willChangeValueForKey:@"tirePressure"]; self.tirePressure = [NSNumber numberWithDouble:0.0]; [self didChangeValueForKey:@"tirePressure"]; } } Since "change processing is explicitly disabled around" awakeFromFetch I thought the calls to willChangeValueForKey and didChangeValueForKey would mark 'tirePresure' as dirty. But they don't. Every time these Vehicles are fetched from the store 'tirePressure' continues to be nil despite having saved the context.

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  • How do you verify the correct data is in a data mart?

    - by blockcipher
    I'm working on a data warehouse and I'm trying to figure out how to best verify that data from our data cleansing (normalized) database makes it into our data marts correctly. I've done some searches, but the results so far talk more about ensuring things like constraints are in place and that you need to do data validation during the ETL process (E.g. dates are valid, etc.). The dimensions were pretty easy as I could easily either leverage the primary key or write a very simple and verifiable query to get the data. The fact tables are more complex. Any thoughts? We're trying to make this very easy for a subject matter export to run a couple queries, see some data from both the data cleansing database and the data marts, and visually compare the two to ensure they are correct.

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  • Select data from three different tables with null data

    - by user3678972
    I am new in Sql. My question is how to get data from three different tables with null values. I have tried a query as below: SELECT * FROM [USER] JOIN [Location] ON ([Location].UserId = [USER].Id) JOIN [ParentChild] ON ([ParentChild].UserId = [USER].Id) WHERE ParentId=7 which I find from this link. Its working fine but, it not fetches all and each data associated with the ParentId Something like it only fetches data which are available in all tables, but also omits some data which not available in Location tables but it comes under the given ParentId. For example: UserId ParentId 1 7 8 7 For userId 8, there is data available in Location table,so it fetches all data. But there is no data for userId 1 available in Location table, so the query didn't work for this. But I want all and every data. If there is no data for userId then it can return only null columns. Is it possible ?? hope everyone can understand my problem.

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  • How does Core Data determine if an NSObjects data can be dropped?

    - by Kevin
    In the app I am working on now I was storing about 500 images in Core Data. I have since pulled those images out and store them in the file system now, but in the process I found that the app would crash on the device if I had an array of 500 objects with image data in them. An array with 500 object ids with the image data in those objects worked fine. The 500 objects without the image data also worked fine. I found that I got the best performance with both an array of object ids and image data stored on the filesystem instead of in core data. The conclusion I came to was that if I had an object in an array that told Core Data I was "using" that object and Core Data would hold on to the data. Is this correct?

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  • How to handle encryption key conflicts when synchronizing data?

    - by Rafael
    Assume that there is data that gets synchronized between several devices. The data is protected with a symmetric encryption algorithm and a key. The key is stored on each device and encrypted with a password. When a user changes the password only the key gets re-encrypted. Under normal circumstances, when there is a good network connection to other peers, the current key gets synchronized and all data on the new device gets encrypted with the same key. But how to handle situations where a new device doesn’t have a network connection and e.g. creates its own new, but incompatible key? How to keep the usability as high as possible under such circumstances? The application could detect that there is no network and hence refuse to start. That’s very bad usability in my opinion, because the application isn’t functional at all in this case. I don’t consider this a solution. The application could ignore the missing network connection and create a new key. But what to do when the application gains a network connection? There will be several incompatible keys and some parts of the underlying data could only be encrypted with one key and other parts with another key. The situation would get worse if there would be more keys than just two and the application would’ve to ask every time for a password when another object that should get decrypted with another key would be needed. It is very messy and time consuming to try to re-encrypt all data that is encrypted with another key with a main key. What should be the main key at all in this case? The oldest key? The key with the most encrypted objects? What if the key got synchronized but not all objects that got encrypted with this particular key? How should the user know for which particular password the application asks and why it takes probably very long to re-encrypt the data? It’s very hard to describe encryption “issues” to users. So far I didn’t find an acceptable solution, nor some kind of generic strategy. Do you have some hints about a concrete strategy or some books / papers that describe synchronization of symmetrically encrypted data with keys that could cause conflicts?

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  • How to switch from Core Data automatic lightweight migration to manual?

    - by Jaanus
    My situation is similar to this question. I am using lightweight migration with the following code, fairly vanilla from Apple docs and other SO threads. It runs upon app startup when initializing the Core Data stack. NSDictionary *options = [NSDictionary dictionaryWithObjectsAndKeys: [NSNumber numberWithBool:YES], NSMigratePersistentStoresAutomaticallyOption, [NSNumber numberWithBool:YES], NSInferMappingModelAutomaticallyOption, nil]; NSError *error = nil; NSString *storeType = nil; if (USE_SQLITE) { // app configuration storeType = NSSQLiteStoreType; } else { storeType = NSBinaryStoreType; } persistentStoreCoordinator = [[NSPersistentStoreCoordinator alloc] initWithManagedObjectModel:[self managedObjectModel]]; // the following line sometimes crashes on app startup if (![persistentStoreCoordinator addPersistentStoreWithType:storeType configuration:nil URL:[self persistentStoreURL] options:options error:&error]) { // handle the error } For some users, especially with slower devices, I have crashes confirmed by logs at the indicated line. I understand that a fix is to switch this to manual mapping and migration. What is the recipe to do that? The long way for me would be to go through all Apple docs, but I don't recall there being good examples and tutorials specifically for schema migration.

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  • Bridging the Gap in Cloud, Big Data, and Real-time

    - by Dain C. Hansen
    Normal 0 false false false EN-US X-NONE X-NONE /* Style Definitions */ table.MsoNormalTable {mso-style-name:"Table Normal"; mso-tstyle-rowband-size:0; mso-tstyle-colband-size:0; mso-style-noshow:yes; mso-style-priority:99; mso-style-qformat:yes; mso-style-parent:""; mso-padding-alt:0in 5.4pt 0in 5.4pt; mso-para-margin:0in; mso-para-margin-bottom:.0001pt; mso-pagination:widow-orphan; font-size:10.0pt; font-family:"Calibri","sans-serif"; mso-bidi-font-family:"Times New Roman";} With all the buzz of around big data and cloud computing, it is easy to overlook one of your most precious commodities—your data. Today’s businesses cannot stand still when it comes to data. Market success now depends on speed, volume, complexity, and keeping pace with the latest data integration breakthroughs. Are you up to speed with big data, cloud integration, real-time analytics? Join us in this three part blog series where we’ll look at each component in more detail. Meet us online on October 24th where we’ll take your questions about what issues you are facing in this brave new world of integration. Let’s start first with Cloud. What happens with your data when you decide to implement a private cloud architecture? Or public cloud? Data integration solutions play a vital role migrating data simply, efficiently, and reliably to the cloud; they are a necessary ingredient of any platform as a service strategy because they support cloud deployments with data-layer application integration between on-premise and cloud environments of all kinds. For private cloud architectures, consolidation of your databases and data stores is an important step to take to be able to receive the full benefits of cloud computing. Private cloud integration requires bidirectional replication between heterogeneous systems to allow you to perform data consolidation without interrupting your business operations. In addition, integrating data requires bulk load and transformation into and out of your private cloud is a crucial step for those companies moving to private cloud. In addition, the need for managing data services as part of SOA/BPM solutions that enable agile application delivery and help build shared data services for organizations. But what about public Cloud? If you have moved your data to a public cloud application, you may also need to connect your on-premise enterprise systems and the cloud environment by moving data in bulk or as real-time transactions across geographies. For public and private cloud architectures both, Oracle offers a complete and extensible set of integration options that span not only data integration but also service and process integration, security, and management. For those companies investing in Oracle Cloud, you can move your data through Oracle SOA Suite using REST APIs to Oracle Messaging Cloud Service —a new service that lets applications deployed in Oracle Cloud securely and reliably communicate over Java Messaging Service . As an example of loading and transforming data into other public clouds, Oracle Data Integrator supports a knowledge module for Salesforce.com—now available on AppExchange. Other third-party knowledge modules are being developed by customers and partners every day. To learn more about how to leverage Oracle’s Data Integration products for Cloud, join us live: Data Integration Breakthroughs Webcast on October 24th 10 AM PST.

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  • How to Secure a Data Role by Multiple Business Units

    - by Elie Wazen
    In this post we will see how a Role can be data secured by multiple Business Units (BUs).  Separate Data Roles are generally created for each BU if a corresponding data template generates roles on the basis of the BU dimension. The advantage of creating a policy with a rule that includes multiple BUs is that while mapping these roles in HCM Role Provisioning Rules, fewer number of entires need to be made. This could facilitate maintenance for enterprises with a large number of Business Units. Note: The example below applies as well if the securing entity is Inventory Organization. Let us take for example the case of a user provisioned with the "Accounts Payable Manager - Vision Operations" Data Role in Fusion Applications. This user will be able to access Invoices in Vision Operations but will not be able to see Invoices in Vision Germany. Figure 1. A User with a Data Role restricting them to Data from BU: Vision Operations With the role granted above, this is what the user will see when they attempt to select Business Units while searching for AP Invoices. Figure 2.The List Of Values of Business Units is limited to single one. This is the effect of the Data Role granted to that user as can be seen in Figure 1 In order to create a data role that secures by multiple BUs,  we need to start by creating a condition that groups those Business Units we want to include in that data role. This is accomplished by creating a new condition against the BU View .  That Condition will later be used to create a data policy for our newly created Role.  The BU View is a Database resource and  is accessed from APM as seen in the search below Figure 3.Viewing a Database Resource in APM The next step is create a new condition,  in which we define a sql predicate that includes 2 BUs ( The ids below refer to Vision Operations and Vision Germany).  At this point we have simply created a standalone condition.  We have not used this condition yet, and security is therefore not affected. Figure 4. Custom Role that inherits the Purchase Order Overview Duty We are now ready to create our Data Policy.  in APM, we search for our newly Created Role and Navigate to “Find Global Policies”.  we query the Role we want to secure and navigate to view its global policies. Figure 5. The Job Role we plan on securing We can see that the role was not defined with a Data Policy . So will create one that uses the condition we created earlier.   Figure 6. Creating a New Data Policy In the General Information tab, we have to specify the DB Resource that the Security Policy applies to:  In our case this is the BU View Figure 7. Data Policy Definition - Selection of the DB Resource we will secure by In the Rules Tab, we  make the rule applicable to multiple values of the DB Resource we selected in the previous tab.  This is where we associate the condition we created against the BU view to this data policy by entering the Condition name in the Condition field Figure 8. Data Policy Rule The last step of Defining the Data Policy, consists of  explicitly selecting  the Actions that are goverened by this Data Policy.  In this case for example we select the Actions displayed below in the right pane. Once the record is saved , we are ready to use our newly secured Data Role. Figure 9. Data Policy Actions We can now see a new Data Policy associated with our Role.  Figure 10. Role is now secured by a Data Policy We now Assign that new Role to the User.  Of course this does not have to be done in OIM and can be done using a Provisioning Rule in HCM. Figure 11. Role assigned to the User who previously was granted the Vision Ops secured role. Once that user accesses the Invoices Workarea this is what they see: In the image below the LOV of Business Unit returns the two values defined in our data policy namely: Vision Operations and Vision Germany Figure 12. The List Of Values of Business Units now includes the two we included in our data policy. This is the effect of the data role granted to that user as can be seen in Figure 11

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  • First Day of Data Integration Track at Oracle OpenWorld 2012

    - by Irem Radzik
    OpenWorld started full speed for us today with a great set of sessions in the Data Integration track. After the exciting keynote session on Oracle Database 12c in the morning; Brad Adelberg, VP of Development for Data Integration products, presented Oracle’s data integration product strategy. His session highlighted the new requirements for data integration to achieve pervasive and continuous access to trusted data. The new requirements and product focus areas presented in this session are: Provide access to any data at any source On premise or on cloud Enable zero downtime operations and maximum performance Leverage real-time data for accurate business insights And ensure high quality data is used across the enterprise During the session Brad walked over how Oracle’s data integration products, Oracle Data Integrator, Oracle GoldenGate, Oracle Enterprise Data Quality, and Oracle Data Service Integrator, deliver on these requirements and how recent product releases build on this strategy. Soon after Brad’s session we heard from a panel of Oracle GoldenGate customers, St. Jude Medical, Equifax, and Bank of America, how they achieved zero downtime operations using Oracle GoldenGate. The panel presented different use cases of GoldenGate, from Active-Active replication to offloading reporting. Especially St. Jude Medical’s implementation, which involves the alert management system for patients that use their pacemakers, reminded me in some cases downtime of mission-critical systems can be a matter of life or death. It is very comforting to hear that GoldenGate delivers highly-reliable continuous availability for life-saving medical systems. In the afternoon, Nick Wagner from the Product Management team and I followed the customer panel with the review of Oracle GoldenGate 11gR2’s New Features.  Many questions we received from audience were about GoldenGate’s new Integrated Capture for Oracle Database and the enhanced Conflict Management features, as well as how GoldenGate compares to Oracle Streams. In addition to giving details on GoldenGate’s unique capability to capture changed data with a direct integration to the Oracle DBMS engine, we reminded the audience that enhancements to Oracle GoldenGate will continue, while Streams will be primarily maintained. Last but not least, Tim Garrod and Ryan Fonnett from Raymond James presented a unified real-time data integration solution using Oracle Data Integrator and GoldenGate for their operational data store (ODS). The ODS supports application services across the enterprise and providing timely data is a critical requirement. In this solution, Oracle GoldenGate does the log-based change data capture for Oracle Data Integrator’s near real-time data integration between heterogeneous systems. As Raymond James’ ODS supports mission-critical services for their advisors, the project team had to set up this integration environment to be highly available. During the session, Ryan and Tim explained how they use ODI to enable automated process execution and “always-on” integration processes. Their presentation included 2 demonstrations that focused on CDC patterns deployed with ODI and the automated multi-instance execution and monitoring. We are very grateful to Tim and Ryan for their very-well prepared presentation at OpenWorld this year. Day 2 (Tuesday) will be also a busy day in our track. In addition to the Fusion Middleware Innovation Awards ceremony at 11:45am at Moscone West 3001, we have the following DI sessions Real-World Operational Reporting Customer Panel 11:45am Moscone West- 3005 Oracle Data Integrator Product Update and Future Strategy 1:15pm Moscone West- 3005 High-volume OLTP with Oracle GoldenGate: Best Practices from Comcast 1:15pm Moscone West- 3005 Everything You need to Know about Monitoring Oracle GoldenGate 5pm Moscone West-3005 If you are at OpenWorld please join us in these sessions. For a full review of data integration track at OpenWorld please see our Focus-On document.

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  • ADO.NET Data Services Entity Framework request error when property setter is internal

    - by Jim Straatman
    I receive an error message when exposing an ADO.NET Data Service using an Entity Framework data model that contains an entity (called "Case") with an internal setter on a property. If I modify the setter to be public (using the entity designer), the data services works fine. I don’t need the entity "Case" exposed in the data service, so I tried to limit which entities are exposed using SetEntitySetAccessRule. This didn’t work, and service end point fails with the same error. public static void InitializeService(IDataServiceConfiguration config) { config.SetEntitySetAccessRule("User", EntitySetRights.AllRead); } The error message is reported in a browser when the .svc endpoint is called. It is very generic, and reads “Request Error. The server encountered an error processing the request. See server logs for more details.” Unfortunately, there are no entries in the System and Application event logs. I found this stackoverflow question that shows how to configure tracing on the service. After doing so, the following NullReferenceExceptoin error was reported in the trace log. Does anyone know how to avoid this exception when including an entity with an internal setter? Blockquote 131076 3 0 2 MOTOJIM http://msdn.microsoft.com/en-US/library/System.ServiceModel.Diagnostics.TraceHandledException.aspx Handling an exception. 685a2910-19-128703978432492675 System.NullReferenceException, mscorlib, Version=2.0.0.0, Culture=neutral, PublicKeyToken=b77a5c561934e089 Object reference not set to an instance of an object. at System.Data.Services.Providers.ObjectContextServiceProvider.PopulateMemberMetadata(ResourceType resourceType, MetadataWorkspace workspace, IDictionary2 entitySets, IDictionary2 knownTypes) at System.Data.Services.Providers.ObjectContextServiceProvider.PopulateMetadata(IDictionary2 knownTypes, IDictionary2 entitySets) at System.Data.Services.Providers.BaseServiceProvider.PopulateMetadata() at System.Data.Services.DataService1.CreateProvider(Type dataServiceType, Object dataSourceInstance, DataServiceConfiguration&amp; configuration) at System.Data.Services.DataService1.EnsureProviderAndConfigForRequest() at System.Data.Services.DataService1.ProcessRequestForMessage(Stream messageBody) at SyncInvokeProcessRequestForMessage(Object , Object[] , Object[] ) at System.ServiceModel.Dispatcher.SyncMethodInvoker.Invoke(Object instance, Object[] inputs, Object[]&amp; outputs) at System.ServiceModel.Dispatcher.DispatchOperationRuntime.InvokeBegin(MessageRpc&amp; rpc) at System.ServiceModel.Dispatcher.ImmutableDispatchRuntime.ProcessMessage5(MessageRpc&amp; rpc) at System.ServiceModel.Dispatcher.ImmutableDispatchRuntime.ProcessMessage4(MessageRpc&amp; rpc) at System.ServiceModel.Dispatcher.ImmutableDispatchRuntime.ProcessMessage3(MessageRpc&amp; rpc) at System.ServiceModel.Dispatcher.ImmutableDispatchRuntime.ProcessMessage2(MessageRpc&amp; rpc) at System.ServiceModel.Dispatcher.ImmutableDispatchRuntime.ProcessMessage1(MessageRpc&amp; rpc) at System.ServiceModel.Dispatcher.MessageRpc.Process(Boolean isOperationContextSet) </StackTrace> <ExceptionString>System.NullReferenceException: Object reference not set to an instance of an object. at System.Data.Services.Providers.ObjectContextServiceProvider.PopulateMemberMetadata(ResourceType resourceType, MetadataWorkspace workspace, IDictionary2 entitySets, IDictionary2 knownTypes) at System.Data.Services.Providers.ObjectContextServiceProvider.PopulateMetadata(IDictionary2 knownTypes, IDictionary2 entitySets) at System.Data.Services.Providers.BaseServiceProvider.P

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  • Vaio Laptop wireless connectivity loss after some minute

    - by Mehran Meidani
    I have a big problem with my laptop, My laptop loss it's connectivity to internet randomly! for Example sometimes it's ok up to 1h but usually the problem occurred after 5 min. When I run these command, i can continue working with internet : ipconfig /release ipconfig /renew If i turn wireless off and on, the problem don't solved I have another laptop (Macbook pro) and it doesn't have any problem I use Linksys E2000 as an wireless access point Model : Sony vaio sa21gx OS : Windows 7 SP1 Thank you for your help and sorry for my bad english :)

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  • Excel data range - to sum series within date range

    - by Mark
    I have a set of data that I would like to manipulate but my problem is not straight forward. In this data I have date ranges that include multiple entries of the same date on some days and not on others. What I need to accomplish is to manage a trading account so that no more than 1% of the account is put at risk on any given day (retrospectively). To do this, when a series of trades falls on the same day, I need to total the risk associated with each of those trades so that I can limit the total risk of the combined trades by limiting the position size I take in each. Here is a sample set of the data I am working with. As you can see, there are 5 trades on Jan 3. Each of these trades comes with a risk value. I need to add the risk values of these 5 trades so that I can compare it to an account value and then determine if I should take more than 1 position in each trade. As you can see there are different numbers of trades that occur on the 4th, 5th 6th and 9th. I need the values returned in each row so that I can further manipulate them in the spreadsheet. I am not new to Excel, but cannot come up with a solution here - your input is much appreciated. Forgive the presentation below - I cannot upload a pic (new user) and the format does not carry across from excel. I have aligned the first several lines manually. Thx. Date ............. Pair ....... L/S ...... Initial Risk .......Win ......Loss ....BE. ....Avg Gain Avg Loss pips/swing 1/3/2012 ....EUR/USD ....S .............15 ................1 ..................................10 ..........................15. .. 1/3/2012 ....USD/CHF .....L ............15 ..........................................1 ..........0 1/3/2012 ....AUD/USD ....S .............15 ................1 .................................16 ...........................18 1/3/2012 ....NZD/USD ....S .............15 ................1 ...................................7 .............................8 1/3/2012 ....AUD/JPY .... S .............10 ................1 .................................25 ............................20 1/4/2012 ....EUR/USD ....L .............20 ................1 .................................19 ...........................19 1/4/2012 ....USD/CHF ....S ............ 15 ................1 .................................17 ...........................20 1/4/2012 EUR/JPY L 20 1 0 1/5/2012 EUR/USD L 15 1 10 20 1/5/2012 GBP/USD L 20 1 15 20 1/5/2012 USD/CHF S 15 1 0 1/5/2012 USD/JPY S 10 1 7 10 1/5/2012 USD/CAD S 15 1 28 36 1/5/2012 AUD/USD L 15 1 20 20 1/6/2012 USD/CAD S 15 1 5 -10 1/6/2012 EUR/JPY L 15 1 7 7 1/9/2012 AUD/USD S 15 1 22 30 1/9/2012 NZD/USD S 15 1 10 15

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  • PowerPoint Paste HTML Loss of Color

    - by Tim
    I am trying to paste HTML into powerpoint 2007. Everything works ok except that I lose the color of the text and the font. I am using the paste special method selecting html. Now I have read that some people have fixed the color loss problem by setting a color printer as their default. But that does not seem to be working for me nor would it fix the font. Thank you for any help.

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  • Import exponetial fixed width format data into Excel

    - by Tom Daniel
    I've received a bunch of text data files consiting of Lots of records (30K/file) of 3 fields each of 5-place numbers in exponential format: s0.nnnnnEsee (where s is +/-, n is a digit and ee is the exponent (always 2 digit). When I open the file in Notepad, the format is perfectly uniform throughout each file, but when I import it to Excel using Data|Import|Fixed Width, many of the data values get messed up, no matter what format (text, exponential, various custom tries) I assign to the cells. Looking at the Notepad version, it appears that leading + signs were replaced with a space in the data file, but the sign of the exponential is always there. This means that some fields begin with a space, and this appears to confuse the Excel import routine. I get the same result in Excel 2003 and 2007. I'm sure there's a straightforward solution (hopefully without a messy VBA routine), but I can't figure out what to try next. :-) To clarify (hopefully), here are some input records and the corresponding text input to Excel: Notepad Excel -0.11311E+01 0.10431E-04 0.27018E-03 -0.11311E 1.0431E-05 2.7018E-04 0.19608E+00-0.81414E-02-0.89553E-02 0.19608E -8.1414E-03 8.9553E-03 etc. Whoopee! Solved my own problem - in the spirit of Jeopardy, now that I've begun the question, here's the answer - Use a different "File Origin" - several other than the default "Unicode UTF..." work fine! What a pain. Hope this helps somebody else avoid a few unpleasant hours! Aloha from Kona, Tom

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  • Recover data from quick formatted DVD-R

    - by Andrii Kalytiiuk
    I need to recover data from quick-formatted DVD-R. Please advise a free of charge option (cheap commercial tools will be ok either). Disk was partially recorded with Windows built in disk recorder and recording most likely was not complete. Afterwards I have inserted partially recorded DVD again and on Windows recorder's message box 'How to use this disk?' selected - 'use for CD/DVD player' and data was completely lost - as new recording session was started. Files of photos were recorded on disk. What I have tried so far: DiskInternals CD-DVD recovery - sees 5 jpg files but can't show preview. Tool is commercial - trial version does not allow to recover files. CDCheck - doesn't see any files and reports errors at attempt to scand DVD CD Recovery Toolbox Free - does not even recognize DVD drive ISO Buster - recognizes two files - one MP3 file for 99% of recorded size and one ARC file for about 100 KB MiniTool Power Data Recovery - Free Edition - does not see any files on DVD Stellar Phoenix CD DVD Data Recovery - does not see any files BinaryBiz Virtual Lab - sees DVD disk but needs license to browse content Please advise how is it possible to recover files from DVD.

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  • Data loss by randomly unplugging the computer during runtime

    - by Kan
    I'm from Austria and we and the Germans have some sort of bad science-show which runs every day. What I call it would rougly translate to "half-knowledge" if you want so. By the way: It is called "Galileo". So they thought they'd make a computer myth busters video right now, and I couldn't believe what I saw and heard... The strangest thing to me was that they asked: "Does unplugging the computer damage your data?" Then they started up some machine with Vista on it, started copying some files and randomly unplugged the PC cable, the whole thing around 50 times. After their computer continued to start up normally, they just said "nothing can happen, your data or computer can't be damaged". They of course excluded unsaved data in running programs like text editors from this. I asked myself: What the hell are their "computer experts" saying? You can't tell by unplugging the cable 50 times if that can damage your computer. Can unplugging the cable during runtime cause data loss (as said by the moderator of the show)? (I destroyed my windows registry once during a reset)

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  • Oracle SQL Developer Data Modeler: What Tables Aren’t In At Least One SubView?

    - by thatjeffsmith
    Organizing your data model makes the information easier to consume. One of the organizational tools provided by Oracle SQL Developer Data Modeler is the ‘SubView.’ In a nutshell, a SubView is a subset of your model. The Challenge: I’ve just created a model which represents my entire ____________ application. We’ll call it ‘residential lending.’ Instead of having all 100+ tables in a single model diagram, I want to break out the tables by module, e.g. appraisals, credit reports, work histories, customers, etc. I’ve spent several hours breaking out the tables to one or more SubViews, but I think i may have missed a few. Is there an easy way to see what tables aren’t in at least ONE subview? The Answer Yes, mostly. The mostly comes about from the way I’m going to accomplish this task. It involves querying the SQL Developer Data Modeler Reporting Schema. So if you don’t have the Reporting Schema setup, you’ll need to do so. Got it? Good, let’s proceed. Before you start querying your Reporting Schema, you might need a data model for the actual reporting schema…meta-meta data! You could reverse engineer the data modeler reporting schema to a new data model, or you could just reference the PDFs in \datamodeler\reports\Reporting Schema diagrams directory. Here’s a hint, it’s THIS one The Query Well, it’s actually going to be at least 2 queries. We need to get a list of distinct designs stored in your repository. For giggles, I’m going to get a listing including each version of the model. So I can query based on design and version, or in this case, timestamp of when it was added to the repository. We’ll get that from the DMRS_DESIGNS table: SELECT DISTINCT design_name, design_ovid, date_published FROM DMRS_designs Then I’m going to feed the design_ovid, down to a subquery for my child report. select name, count(distinct diagram_id) from DMRS_DIAGRAM_ELEMENTS where design_ovid = :dESIGN_OVID and type = 'Table' group by name having count(distinct diagram_id) < 2 order by count(distinct diagram_id) desc Each diagram element has an entry in this table, so I need to filter on type=’Table.’ Each design has AT LEAST one diagram, the master diagram. So any relational table in this table, only having one listing means it’s not in any SubViews. If you have overloaded object names, which is VERY possible, you’ll want to do the report off of ‘OBJECT_ID’, but then you’ll need to correlate that to the NAME, as I doubt you’re so intimate with your designs that you recognize the GUIDs So I’m going to cheat and just stick with names, but I think you get the gist. My Model Of my almost 90 tables, how many of those have I not added to at least one SubView? Now let’s run my report! Voila! My ‘BEER2′ table isn’t in any SubView! It says ’1′ because the main model diagram counts as a view. So if the count came back as ’2′, that would mean the table was in the main model diagram and in 1 SubView diagram. And I know what you’re thinking, what kind of residential lending program would have a table called ‘BEER2?’ Let’s just say, that my business model has some kinks to work out!

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  • Diagnosing packet loss / high latency in Ubuntu

    - by Sam Gammon
    We have a Linux box (Ubuntu 12.04) running Nginx (1.5.2), which acts as a reverse proxy/load balancer to some Tornado and Apache hosts. The upstream servers are physically and logically close (same DC, sometimes same-rack) and show sub-millisecond latency between them: PING appserver (10.xx.xx.112) 56(84) bytes of data. 64 bytes from appserver (10.xx.xx.112): icmp_req=1 ttl=64 time=0.180 ms 64 bytes from appserver (10.xx.xx.112): icmp_req=2 ttl=64 time=0.165 ms 64 bytes from appserver (10.xx.xx.112): icmp_req=3 ttl=64 time=0.153 ms We receive a sustained load of about 500 requests per second, and are currently seeing regular packet loss / latency spikes from the Internet, even from basic pings: sam@AM-KEEN ~> ping -c 1000 loadbalancer PING 50.xx.xx.16 (50.xx.xx.16): 56 data bytes 64 bytes from loadbalancer: icmp_seq=0 ttl=56 time=11.624 ms 64 bytes from loadbalancer: icmp_seq=1 ttl=56 time=10.494 ms ... many packets later ... Request timeout for icmp_seq 2 64 bytes from loadbalancer: icmp_seq=2 ttl=56 time=1536.516 ms 64 bytes from loadbalancer: icmp_seq=3 ttl=56 time=536.907 ms 64 bytes from loadbalancer: icmp_seq=4 ttl=56 time=9.389 ms ... many packets later ... Request timeout for icmp_seq 919 64 bytes from loadbalancer: icmp_seq=918 ttl=56 time=2932.571 ms 64 bytes from loadbalancer: icmp_seq=919 ttl=56 time=1932.174 ms 64 bytes from loadbalancer: icmp_seq=920 ttl=56 time=932.018 ms 64 bytes from loadbalancer: icmp_seq=921 ttl=56 time=6.157 ms --- 50.xx.xx.16 ping statistics --- 1000 packets transmitted, 997 packets received, 0.3% packet loss round-trip min/avg/max/stddev = 5.119/52.712/2932.571/224.629 ms The pattern is always the same: things operate fine for a while (<20ms), then a ping drops completely, then three or four high-latency pings (1000ms), then it settles down again. Traffic comes in through a bonded public interface (we will call it bond0) configured as such: bond0 Link encap:Ethernet HWaddr 00:xx:xx:xx:xx:5d inet addr:50.xx.xx.16 Bcast:50.xx.xx.31 Mask:255.255.255.224 inet6 addr: <ipv6 address> Scope:Global inet6 addr: <ipv6 address> Scope:Link UP BROADCAST RUNNING MASTER MULTICAST MTU:1500 Metric:1 RX packets:527181270 errors:1 dropped:4 overruns:0 frame:1 TX packets:413335045 errors:0 dropped:0 overruns:0 carrier:0 collisions:0 txqueuelen:0 RX bytes:240016223540 (240.0 GB) TX bytes:104301759647 (104.3 GB) Requests are then submitted via HTTP to upstream servers on the private network (we can call it bond1), which is configured like so: bond1 Link encap:Ethernet HWaddr 00:xx:xx:xx:xx:5c inet addr:10.xx.xx.70 Bcast:10.xx.xx.127 Mask:255.255.255.192 inet6 addr: <ipv6 address> Scope:Link UP BROADCAST RUNNING MASTER MULTICAST MTU:1500 Metric:1 RX packets:430293342 errors:1 dropped:2 overruns:0 frame:1 TX packets:466983986 errors:0 dropped:0 overruns:0 carrier:0 collisions:0 txqueuelen:0 RX bytes:77714410892 (77.7 GB) TX bytes:227349392334 (227.3 GB) Output of uname -a: Linux <hostname> 3.5.0-42-generic #65~precise1-Ubuntu SMP Wed Oct 2 20:57:18 UTC 2013 x86_64 GNU/Linux We have customized sysctl.conf in an attempt to fix the problem, with no success. Output of /etc/sysctl.conf (with irrelevant configs omitted): # net: core net.core.netdev_max_backlog = 10000 # net: ipv4 stack net.ipv4.tcp_ecn = 2 net.ipv4.tcp_sack = 1 net.ipv4.tcp_fack = 1 net.ipv4.tcp_tw_reuse = 1 net.ipv4.tcp_tw_recycle = 0 net.ipv4.tcp_timestamps = 1 net.ipv4.tcp_window_scaling = 1 net.ipv4.tcp_no_metrics_save = 1 net.ipv4.tcp_max_syn_backlog = 10000 net.ipv4.tcp_congestion_control = cubic net.ipv4.ip_local_port_range = 8000 65535 net.ipv4.tcp_syncookies = 1 net.ipv4.tcp_synack_retries = 2 net.ipv4.tcp_thin_dupack = 1 net.ipv4.tcp_thin_linear_timeouts = 1 net.netfilter.nf_conntrack_max = 99999999 net.netfilter.nf_conntrack_tcp_timeout_established = 300 Output of dmesg -d, with non-ICMP UFW messages suppressed: [508315.349295 < 19.852453>] [UFW BLOCK] IN=bond1 OUT= MAC=<mac addresses> SRC=118.xx.xx.143 DST=50.xx.xx.16 LEN=68 TOS=0x00 PREC=0x00 TTL=51 ID=43221 PROTO=ICMP TYPE=3 CODE=1 [SRC=50.xx.xx.16 DST=118.xx.xx.143 LEN=40 TOS=0x00 PREC=0x00 TTL=249 ID=10220 DF PROTO=TCP SPT=80 DPT=53817 WINDOW=8190 RES=0x00 ACK FIN URGP=0 ] [517787.732242 < 0.443127>] Peer 190.xx.xx.131:59705/80 unexpectedly shrunk window 1155488866:1155489425 (repaired) How can I go about diagnosing the cause of this problem, on a Debian-family Linux box?

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  • Can find any /.ecryptfs dir to retrieve my encrypted home dir

    - by Roberto de Armas
    At firs sorry for my english, it isn't my native languaje. I've readed some questions similar but no the exactly whith the same problem. I've moved my home directory to a separated partitión (Ubuntu 11.10) following this tutorial http://www.ubuntu-es.org/node/58233 After checking that they were all my files and folders (forgetting that one of dirs was encrypted by ecryptfs) i've installed fedora 16. Well, suprised when in my home folder was an Readme.txt advising me that my folder was unmounted for security reasons and proposing to type in comand line "ecryptfs-mount-Private" (din't work) or make click on labeled icon "acces your private data desktop" (neither din't work). After three days reading all i could find on the internet, i follow The Dustin Kirkland tutorial in http://blog.dustinkirkland.com/2011/04/introducing-ecryptfs-recover-private.html, but any /.ecryptfs was found. I'm sure that the data are somewere (the size of the moved dir is identical to the original one). Any help would by greatly appreciated. Thaks a lot.

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  • Refreshing imported MySQL data with MySQL for Excel

    - by Javier Rivera
    Welcome to another blog post from the MySQL for Excel Team. Today we're going to talk about a new feature included since MySQL for Excel 1.3.0, you can install the latest GA or maintenance version using the MySQL Installer or optionally you can download directly any GA or non-GA version from the MySQL Developer Zone.As some users suggested in our forums we should be maintaining the link between tables and Excel not only when editing data through the Edit MySQL Data option, but also when importing data via Import MySQL Data. Before 1.3.0 this process only provided you with an offline copy of the Table's data into Excel and you had no way to refresh that information from the DB later on. Now, with this new feature we'll show you how easy is to work with the latest available information at all times. This feature is transparent to you (it doesn't require additional steps to work as long as the users had the Create an Excel Table for the imported MySQL table data option enabled. To ensure you have this option checked, click over Advanced Options... after the Import Data dialog is displayed). The current blog post assumes you already know how to import data into excel, you could always take a look at our previous post How To - Guide to Importing Data from a MySQL Database to Excel using MySQL for Excel if you need further reference on that topic. After importing Data from a MySQL Table into Excel, you can refresh the data in 3 ways.1. Simply right click over the range of the imported data, to show the pop-up menu: Click over the Refresh button to obtain the latest copy of the data in the table. 2. Click the Refresh button on the Data ribbon: 3. Click the Refresh All button in the Data ribbon (beware this will refresh all Excel tables in the Workbook): Please take a note of a couple of details here, the first one is about the size of the table. If by the time you refresh the table new columns had been added to it, and you originally have imported all columns, the table will grow to the right. The same applies to rows, if the table has new rows and you did not limit the results , the table will grow to to the bottom of the sheet in Excel. The second detail you should take into account is this operation will overwrite any changes done to the cells after the table was originally imported or previously refreshed: Now with this new feature, imported data remains linked to the data source and is available to be updated at all times. It empowers the user to always be able to work with the latest version of the imported MySQL data. We hope you like this this new feature and give it a try! Remember that your feedback is very important for us, so drop us a message with your comments, suggestions for this or other features and follow us at our social media channels: MySQL on Windows (this) Blog: https://blogs.oracle.com/MySqlOnWindows/ MySQL for Excel forum: http://forums.mysql.com/list.php?172 Facebook: http://www.facebook.com/mysql YouTube channel: https://www.youtube.com/user/MySQLChannel Thanks!

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  • Analyzing data from same tables in diferent db instances.

    - by Oscar Reyes
    Short version: How can I map two columns from table A and B if they both have a common identifier which in turn may have two values in column C Lets say: A --- 1 , 2 B --- ? , 3 C ----- 45, 2 45, 3 Using table C I know that id 2 and 3 belong to the same item ( 45 ) and thus "?" in table B should be 1. What query could do something like that? EDIT Long version ommited. It was really boring/confusing EDIT I'm posting some output here. From this query: select distinct( rolein) , activityin from taskperformance@dm_prod where activityin in ( select activityin from activities@dm_prod where activityid in ( select activityid from activities@dm_prod where activityin in ( select distinct( activityin ) from taskperformance where rolein = 0 ) ) ) I have the following parts: select distinct( activityin ) from taskperformance where rolein = 0 Output: http://question1337216.pastebin.com/f5039557 select activityin from activities@dm_prod where activityid in ( select activityid from activities@dm_prod where activityin in ( select distinct( activityin ) from taskperformance where rolein = 0 ) ) Output: http://question1337216.pastebin.com/f6cef9393 And finally: select distinct( rolein) , activityin from taskperformance@dm_prod where activityin in ( select activityin from activities@dm_prod where activityid in ( select activityid from activities@dm_prod where activityin in ( select distinct( activityin ) from taskperformance where rolein = 0 ) ) ) Output: http://question1337216.pastebin.com/f346057bd Take for instace activityin 335 from first query ( from taskperformance B) . It is present in actvities from A. But is not in taskperformace in A ( but a the related activities: 92, 208, 335, 595 ) Are present in the result. The corresponding role in is: 1

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  • How to debug packet loss ?

    - by Gene Vincent
    I wrote a C++ application (running on Linux) that serves an RTP stream of about 400 kbps. To most destinations this works fine, but some destinations expericence packet loss. The problematic destinations seem to have a slower connection in common, but it should be plenty fast enough for the stream I'm sending. Since these destinations are able to receive similar RTP streams for other applications without packet loss, my application might be at fault. I already verified a few things: - in a tcpdump, I see all RTP packets going out on the sending machine - there is a UDP send buffer in place (I tried sizes between 64KB and 300KB) - the RTP packets mostly stay below 1400 bytes to avoid fragmentation What can a sending application do to minimize the possibility of packet loss and what would be the best way to debug such a situation ?

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