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  • Introduction to Lean Software Development and Kanban Systems

    - by Ben Griswold
    Last year I took myself through a crash course on Lean Software Development and Kanban Systems in preparation for an in-house presentation.  I learned a bunch.  In this series, I’ll be sharing what I learned with you.   If your career looks anything like mine, you have probably been affiliated with a company or two which pushed requirements gathering and documentation to the nth degree. To add insult to injury, they probably added planning process (documentation, requirements, policies, meetings, committees) to the extent that it possibly retarded any progress. In my opinion, the typical company resembles the quote from Tom DeMarco. It isn’t enough just to do things right – we also had to say in advance exactly what we intended to do and then do exactly that. In the 1980s, Toyota turned the tables and revolutionize the automobile industry with their approach of “Lean Manufacturing.” A massive paradigm shift hit factories throughout the US and Europe. Mass production and scientific management techniques from the early 1900’s were questioned as Japanese manufacturing companies demonstrated that ‘Just-in-Time’ was a better paradigm. The widely adopted Japanese manufacturing concepts came to be known as ‘lean production’. Lean Thinking capitalizes on the intelligence of frontline workers, believing that they are the ones who should determine and continually improve the way they do their jobs. Lean puts main focus on people and communication – if people who produce the software are respected and they communicate efficiently, it is more likely that they will deliver good product and the final customer will be satisfied. In time, the abstractions behind lean production spread to logistics, and from there to the military, to construction, and to the service industry. As it turns out, principles of lean thinking are universal and have been applied successfully across many disciplines. Lean has been adopted by companies including Dell, FedEx, Lens Crafters, LLBean, SW Airlines, Digital River and eBay. Lean thinking got its name from a 1990’s best seller called The Machine That Changed the World : The Story of Lean Production. This book chronicles the movement of automobile manufacturing from craft production to mass production to lean production. Tom and Mary Poppendieck, that is.  Here’s one of their books: Implementing Lean Software Thinking: From Concept to Cash Our in-house presentations are supposed to run no more than 45 minutes.  I really cranked and got through my 87 slides in just under an hour. Of course, I had to cheat a little – I only covered the 7 principles and a single practice. In the next part of the series, we’ll dive into Principle #1: Eliminate Waste. And I am going to be a little obnoxious about listing my Lean and Kanban references with every series post.  The references are great and they deserve this sort of attention. 

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  • What does your Python development workbench look like?

    - by Fabian Fagerholm
    First, a scene-setter to this question: Several questions on this site have to do with selection and comparison of Python IDEs. (The top one currently is What IDE to use for Python). In the answers you can see that many Python programmers use simple text editors, many use sophisticated text editors, and many use a variety of what I would call "actual" integrated development environments – a single program in which all development is done: managing project files, interfacing with a version control system, writing code, refactoring code, making build configurations, writing and executing tests, "drawing" GUIs, and so on. Through its GUI, an IDE supports different kinds of workflows to accomplish different tasks during the journey of writing a program or making changes to an existing one. The exact features vary, but a good IDE has sensible workflows and automates things to let the programmer concentrate on the creative parts of writing software. The non-IDE way of writing large programs relies on a collection of tools that are typically single-purpose; they do "one thing well" as per the Unix philosophy. This "non-integrated development environment" can be thought of as a workbench, supported by the OS and generic interaction through a text or graphical shell. The programmer creates workflows in their mind (or in a wiki?), automates parts and builds a personal workbench, often gradually and as experience accumulates. The learning curve is often steeper than with an IDE, but those who have taken the time to do this can often claim deeper understanding of their tools. (Whether they are better programmers is not part of this question.) With advanced editor-platforms like Emacs, the pieces can be integrated into a whole, while with simpler editors like gedit or TextMate, the shell/terminal is typically the "command center" to drive the workbench. Sometimes people extend an existing IDE to suit their needs. What does your Python development workbench look like? What workflows have you developed and how do they work? For the first question, please give the main "driving" program – the one that you use to control the rest (Emacs, shell, etc.) the "small tools" -- the programs you reach for when doing different tasks For the second question, please describe what the goal of the workflow is (eg. "set up a new project" or "doing initial code design" or "adding a feature" or "executing tests") what steps are in the workflow and what commands you run for each step (eg. in the shell or in Emacs) Also, please describe the context of your work: do you write small one-off scripts, do you do web development (with what framework?), do you write data-munching applications (what kind of data and for what purpose), do you do scientific computing, desktop apps, or something else? Note: A good answer addresses the perspectives above – it doesn't just list a bunch of tools. It will typically be a long answer, not a short one, and will take some thinking to produce; maybe even observing yourself working.

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  • How to recover from finite-state-machine breakdown?

    - by Earl Grey
    My question may seems very scientific but I think it's a common problem and seasoned developers and programmers hopefully will have some advice to avoid the problem I mention in title. Btw., what I describe bellow is a real problem I am trying to proactively solve in my iOS project, I want to avoid it at all cost. By finite state machine I mean this I have a UI with a few buttons, several session states relevant to that UI and what this UI represents, I have some data which values are partly displayed in the UI, I receive and handle some external triggers (represented by callbacks from sensors). I made state diagrams to better map the relevant scenarios that are desirable and alowable in that UI and application. As I slowly implement the code, the app starts to behave more and more like it should. However, I am not very confident that it is robust enough. My doubts come from watching my own thinking and implementation process as it goes. I was confident that I had everything covered, but it was enough to make a few brute tests in the UI and I quickly realized that there are still gaps in the behavior ..I patched them. However, as each component depends and behaves based on input from some other component, a certain input from user or some external source trigers a chain of events, state changes..etc. I have several components and each behave like this Trigger received on input - trigger and its sender analyzed - output something (a message, a state change) based on analysis The problem is, this is not completely selfcontained, and my components (a database item, a session state, some button's state)...COULD be changed, influenced, deleted, or otherwise modified, outside the scope of the event-chain or desirable scenario. (phone crashes, battery is empty phone turn of suddenly) This will introduce a nonvalid situation into the system, from which the system potentially COULD NOT BE ABLE to recover. I see this (althought people do not realize this is the problem) in many of my competitors apps that are on apple store, customers write things like this "I added three documents, and after going there and there, i cannot open them, even if a see them." or "I recorded videos everyday, but after recording a too log video, I cannot turn of captions on them.., and the button for captions doesn't work".. These are just shortened examples, customers often describe it in more detail..from the descriptions and behavior described in them, I assume that the particular app has a FSM breakdown. So the ultimate question is how can I avoid this, and how to protect the system from blocking itself? EDIT I am talking in the context of one viewcontroller's view on the phone, I mean one part of the application. I Understand the MVC pattern, I have separate modules for distinct functionality..everything I describe is relevant to one canvas on the UI.

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  • Data Structures usage and motivational aspects

    - by Aubergine
    For long student life I was always wondering why there are so many of them yet there seems to be lack of usage at all in many of them. The opinion didn't really change when I got a job. We have brilliant books on what they are and their complexities, but I never encounter resources which would actually give a good hint of practical usage. I perfectly understand that I have to look at problem , analyse required operations, look for data structure that does them efficiently. However in practice I never do that, not because of human laziness syndrome, but because when it comes to work I acknowledge time priority over self-development. Over time I thought that when I would be better developer I will automatically use more of them - that didn't happen at all or maybe I just didn't. Then I found that the colleagues usually in the same plate as me - knowing more or less some three of data structures and being totally happy about it and refusing to discuss this matter further with me, coming back to conversations about 'cool new languages' 'libraries that do jobs for you' and the joy to work under scrumban etc. I am stuck with ArrayLists, Arrays and SortedMap , which no matter what I do always suffice or either I tweak them to be capable of fulfilling my task. Yes, it might be inefficient but do we really have to care if Intel increases performance over years no matter if we improve our skills? Does new Xeon or IBM machines really care what we use? What if I like build things, but I am not particularly excited whether it is n log(n) or just n? Over twenty years the processing power increased enormously, which gives us freedom of not being critical about which one to use? On top of that new more optimized languages appear which support multiple cores more efficiently. To be more specific: I would like to find motivational material on complex real areas/cases of possible effective usages of data structures. I would be really grateful if you would provide relevant resources. There is similar question ,but in the end the links again mostly describe or do dumb example(vehicles, students or holy grail quest - yes, very relevant) them and people keep referring to the "scenario decides the data structure to use". I want to know these complex scenarios to be able to identify similarities to my scenario and then use them. The complex scenarios where it really matters and not necessarily of quantitive nature. It seems that data structures only concern is efficiency and nothing else? There seems to be no particular convenience for developer in use one over another. (only when I found scientific resources on why exactly simple carbohydrates are evil I stopped eating sugar and candies completely replacing it with less harmful fruits - I hope you can see the analogy)

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  • Canonicalization issue regarding academic URL vs. blog URL

    - by user5395
    I'm sorry if what I am about to write is long-winded. I only wish to be clear. I am an academic in the scientific community. I maintain a web site for my research, teaching, and other professional activities. Until recently, the content for this site was hosted in a directory on my university department's own server. The address is of the typical form (universityname).edu/~(myusername) I decided that I wanted to use WordPress in order to host and manage my page. So I set up a WordPress.com blog and then replaced the index.html file in (universityname).edu/~(myusername) with a new one consisting of a single frame, containing the WordPress.com blog. Now when a user visits (universityname).edu/~(myusername), he or she sees the blog instead. This has been pretty nice because, even when the user clicks on links between pages or posts in the blog, the only thing showing up in the address bar of the browser is www.(universityname).edu/~(myusername), because the blog is constrained to a frame. However, the effect of this change on the search side of things has not been so kind to me. Before, when someone searched for my name in Google, the first result was always (universityname).edu/~(myusername). This is the most desirable outcome, for professional reasons. (Having my academic URL come up first suggests that I am an accredited professional, and not just some crank with a blog!) But now, Google seems to have canonicalized my web presence under the blog's WordPress.com address. It has completely forgotten about my academic URL and considers the WordPress.com address to be the best address representing me on the web. Unfortunately, WordPress.com doesn't support the canonical tag, so I can't tell the blog to advertise itself as my academic URL in the header. (It doesn't seem to help at all that I have used the WordPress.com dashboard to turn on no-indexing of the blog.) One obvious solution would be to use the departmental server to host my content again, and use a local installation of the WordPress platform. For reasons beyond my control, the platform will not be deployed on the departmental server at this time. Another solution would be to use shared hosting with WordPress.org support, because the WordPress.org platform does support the canonical tag (albeit via a plug-in). But this seems to usually require purchasing a domain name and other fees, and there is no guarantee that Google will listen to the canonical tag (it might use whatever domain name I end up with instead). Is there a way I can more cleverly integrate the WordPress.com blog into a page hosted on my department's server? Is there some PHP code I can write to retrieve the blog's contents in a way that Google won't treat as a link / "perceive" the blog? Please note: I am a PHP novice at best. I just feel there should be a simpler solution to all this, within the constraints of what I have described above. Thanks!

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  • Purple Cows, Copernicus, and Shampoo – Lessons in Customer Experience

    - by Christina McKeon
    What makes a great customer experience? And, why should you or your organization care? These are the questions that set the stage for the Oracle Customer Experience Summit, which kicked off yesterday in San Francisco. Day 1: The first day was filled with demos and insights from customer experience experts and Oracle customers sharing what it takes to deliver great customer experiences. Author Seth Godin delivered an entertaining presentation that included an in-depth exploration of the always-connected, always-sharing experience revolution that we are witnessing and yes, talked about the purple cow. It turns out that customer experience is your way to be the purple cow. Before everyone headed out to see Pearl Jam and Kings of Leon at the Oracle customer appreciation event, the day wrapped up with a discussion around building a customer-centric culture. Where do you start? Whom does it involve? What are some pitfalls to avoid? Day 2: The second day addressed the details behind all the questions brought up at the end of Day 1. Before you start on a customer experience initiative, Paul Hagen noted that you must understand you will forge a path similar to Copernicus. You will be proposing ideas and approaches that challenge current thinking in your organization. Just as Copernicus' heliocentric theory started a scientific revolution, your customer-centric efforts will start an experience revolution. If you think customer experience is like a traditional marketing approach, think again. It’s not about controlling your customers and leading them where you want them to go. It might sound like heresy to some, but your customers are already in control, whether or not your company realizes and acknowledges it. And, to survive and thrive, you'll have to focus on customers by thinking outside-in and working towards a brand that is better and more authentic. We learned how Vail Resorts takes this customer-centric approach. Employees must experience the mountain themselves and understand the experience from the guest’s standpoint. This has created a culture where employees do things for guests that are not expected. We also learned a valuable lesson in designing and innovating customer-centered experiences from Kerry Bodine. First you make the thing, and then you make the thing right. In this case, the thing is customer experience. Getting customer experience right means iterative prototyping and testing of your ideas. This is where shampoo comes in—think lather, rinse, repeat. Be prepared to keep repeating until the customer experience is right. Many of these sessions will be posted to YouTube in the coming weeks so be sure to subscribe to our CX channel.

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  • What is the difference between development and R&D?

    - by MainMa
    I was asked by a colleague to explain clearly the difference between ordinary development and research and development (R&D) and was unable to do it. After reading Wikipedia, I still don't have the precise answer. According to Wikipedia (slightly modified): There are two primary models: In one model, the primary function is to develop new products; in the other model, the primary function is to discover and create new knowledge about scientific and technological topics for the purpose of uncovering and enabling development of valuable new products, processes, and services. The first model is confusing. Does it mean that development (not R&D) consists exclusively in adding new features to a product, solving bugs and doing maintenance? What if something which was previously developed as a new feature becomes a separate product? The second model is less confusing, but still, how to qualify whether something is new knowledge or existent knowledge which is just rediscovered? Later, Wikipedia adds that ordinary development is different from R&D because of its: nearly immediate profit or immediate improvement. It's still not clear enough. How to qualify "nearly immediate profit"? What if a task has an immediate profit but requires heavy research? Or if it is basic but has uncertain profit, like the enforcement of a common style over the codebase? For example, does it belong to development or R&D to: Develop an engine which abstracts the access to the database, simplifying and shortening enormously the code of other applications (existent or ones which will be written in future) which should access to the database? Establish a new service-oriented architecture for the entire organization of company resources, in order to move from a bunch of separate and autonomous applications to a set of well-organized, interconnected web services, like what is used by Amazon? Design a new communication protocol to allow faster replication of data between two data centers of the company? Conceive a new type of software testing while working on a specific product, knowing that this type of testing will improve/simplify the testing process? Prove that Functional programming is more appropriate than OOP for a specific application, based on evidence, logic and previous experience? Enhance the existent application by adding gestures on tactile screens, after doing studies and testing that shows that those gestures improve the productivity of the users by a ratio of at least 1.4 for a precise set of tasks? Find a way to strongly enhance the Power usage effectiveness (PUE) of a data center? Create a Domain-Specific Language (DSL)? In short, how could I determine whether I'm doing R&D while working on something?

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  • How employable am I as a programmer?

    - by dsimcha
    I'm currently a Ph.D. student in Biomedical Engineering with a concentration in computational biology and am starting to think about what I want to do after graduate school. I feel like I've accumulated a lot of programming skills while in grad school, but taken a very non-traditional path to learning all this stuff. I'm wondering whether I would have an easy time getting hired as a programmer and could fall back on that if I can't find a good job directly in my field, and if so whether I would qualify for a more prestigious position than "code monkey". Things I Have Going For Me Approximately 4 years of experience programming as part of my research. I believe I have a solid enough grasp of the fundamentals that I could pick up new languages and technologies pretty fast, and could demonstrate this in an interview. Good math and statistics skills. An extensive portfolio of open source work (and the knowledge that working on these projects implies): I wrote a statistics library in D, mostly from scratch. I wrote a parallelism library (parallel map, reduce, foreach, task parallelism, pipelining, etc.) that is currently in review for adoption by the D standard library. I wrote a 2D plotting library for D against the GTK Cairo backend. I currently use it for most of the figures I make for my research. I've contributed several major performance optimizations to the D garbage collector. (Most of these were low-hanging fruit, but it still shows my knowledge of low-level issues like memory management, pointers and bit twiddling.) I've contributed lots of miscellaneous bug fixes to the D standard library and could show the change logs to prove it. (This demonstrates my ability read other people's code.) Things I Have Going Against Me Most of my programming experience is in D and Python. I have very little to virtually no experience in the more established, "enterprise-y" languages like Java, C# and C++, though I have learned a decent amount about these languages from small, one-off projects and discussions about language design in the D community. In general I have absolutely no knowledge of "enterprise-y" technlogies. I've never used a framework before, possibly because most reusable code for scientific work and for D tends to call itself a "library" instead. I have virtually no formal computer science/software engineering training. Almost all of my knowledge comes from talking to programming geek friends, reading blogs, forums, StackOverflow, etc. I have zero professional experience with the official title of "developer", "software engineer", or something similar.

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  • encodingStyle usage in XmlSerializer.Serialize

    - by Vishal Seth
    Can somebody please explain the use of 4th parameter of public void Serialize( XmlWriter xmlWriter, Object o, XmlSerializerNamespaces namespaces, string encodingStyle ) My issue is this: I've following string in one of the fields of my object: "reviewed ?" // music notation When I serialize it, it becomes & # x E; // see it as one word, w/o spaces it won't let me type And it fails when I try to transform this .NET generated XML through another XSL file Is it happening because its serializing using UTF-16? Is there any way I can make it transform using UTF-8 and make this "error" go away? **

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  • How to resolve symbolic links in a shell script

    - by Greg Hewgill
    Given an absolute or relative path (in a Unix-like system), I would like to determine the full path of the target after resolving any intermediate symlinks. Bonus points for also resolving ~username notation at the same time. If the target is a directory, it might be possible to chdir() into the directory and then call getcwd(), but I really want to do this from a shell script rather than writing a C helper. Unfortunately, shells have a tendency to try to hide the existence of symlinks from the user (this is bash on OS X): $ ls -ld foo bar drwxr-xr-x 2 greg greg 68 Aug 11 22:36 bar lrwxr-xr-x 1 greg greg 3 Aug 11 22:36 foo -> bar $ cd foo $ pwd /Users/greg/tmp/foo $ What I want is a function resolve() such that when executed from the tmp directory in the above example, resolve("foo") == "/Users/greg/tmp/bar".

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  • Please explain some of Paul Graham's points on LISP

    - by kunjaan
    I need some help understanding some of the points from Paul Graham's article http://www.paulgraham.com/diff.html A new concept of variables. In Lisp, all variables are effectively pointers. Values are what have types, not variables, and assigning or binding variables means copying pointers, not what they point to. A symbol type. Symbols differ from strings in that you can test equality by comparing a pointer. A notation for code using trees of symbols. The whole language always available. There is no real distinction between read-time, compile-time, and runtime. You can compile or run code while reading, read or run code while compiling, and read or compile code at runtime. What do these points mean How are they different in languages like C or Java? Do any other languages other than LISP family languages have any of these constructs now?

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  • Is Objective C fast enough for DSP/audio programming

    - by morgancodes
    I've been making some progress with audio programming for iPhone. Now I'm doing some performance tuning, trying to see if I can squeeze more out of this little machine. Running Shark, I see that a significant part of my cpu power (16%) is getting eaten up by objc_msgSend. I understand I can speed this up somewhat by storing pointers to functions (IMP) rather than calling them using [object message] notation. But if I'm going to go through all this trouble, I wonder if I might just be better off using C++. Any thoughts on this?

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  • Javascript || or operator with a undefinded variable

    - by bryan sammon
    I have been doing some reading lately one article I read was from Opera. http://dev.opera.com/articles/view/javascript-best-practices/ In that article they write this: Another common situation in JavaScript is providing a preset value for a variable if it is not defined, like so: if(v){ var x = v; } else { var x = 10; } The shortcut notation for this is the double pipe character: var x = v || 10; For some reason I cant get this to work for me. Is it really possible to check to see if v is defined, if not x = 10? --Thanks. Bryan

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  • PostgreSQL lots of writes

    - by strife911
    Hi, I am using postgreSQL for a scientific application (unsupervised clustering). The python program is multi-threaded so that each thread manages its own postmaster process (one per core). Hence, their is a lot of concurrency. Each thread-process loop infinitely though two SQL queries. The first is for reading, the second is for writing. The read operation considers 500 time the amount of rows the write operation considers. Here is the output of dstat: ----total-cpu-usage---- ------memory-usage----- -dsk/total- --paging-- --io/total- usr sys idl wai hiq siq| used buff cach free| read writ| in out | read writ 4 0 32 64 0 0|3599M 63M 57G 1893M|1524k 16M| 0 0 | 98 2046 1 0 35 64 0 0|3599M 63M 57G 1892M|1204k 17M| 0 0 | 68 2062 2 0 32 66 0 0|3599M 63M 57G 1890M|1132k 17M| 0 0 | 62 2033 2 1 32 65 0 0|3599M 63M 57G 1904M|1236k 18M| 0 0 | 80 1994 2 0 31 67 0 0|3599M 63M 57G 1903M|1312k 16M| 0 0 | 70 1900 2 0 37 60 0 0|3599M 63M 57G 1899M|1116k 15M| 0 0 | 71 1594 2 1 37 60 0 0|3599M 63M 57G 1898M| 448k 17M| 0 0 | 39 2001 2 0 25 72 0 0|3599M 63M 57G 1896M|1192k 17M| 0 0 | 78 1946 1 0 40 58 0 0|3599M 63M 57G 1895M| 432k 15M| 0 0 | 38 1937 I am pretty sure I could write more often than that for I have seen it write up to 110-140M on dstat. How can I optimize this process?

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  • (R) How can I get the complement of vector y in vector x

    - by gd047
    That's x \ y using mathematical notation. Suppose x <- c(0,0,0,0,0,0,0,0,0,0,0,0,0,0,0,0,0,1,1,2,1,1,1,3) y <- c(0,0,0,0,0,0,0,0,0,0,0,0,0,0,0,0,0,1,1,1) How can I get a vector with ALL the values in x that are not in y. i.e the result should be: 2,1,1,3 There is a similar question here. However, none of the answers returns the result that I want.

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  • Snort/Barnyard2 Logging

    - by Eric
    I need some help with my Snort/Barnyard2 setup. My goal is to have Snort send unified2 logs to Barnyard2 and then have Barnyard2 send the data to other locations. Here is my currrent setup. OS Scientific Linux 6 Snort Version 2.9.2.3 Barnyard2 Version 2.1.9 Snort command snort -c /etc/snort/snort.conf -i eth2 & Barnyard2 command /usr/local/bin/barnyard2 -c /etc/snort/barnyard2.conf -d /var/log/snort -f snort.log -w /var/log/snort/barnyard.waldo & snort.conf output unified2: filename snort.log, limit 128 barnyard2.conf output alert_syslog: host=127.0.0.1 output database: log, mysql, user=snort dbname=snort password=password host=localhost With this setup, barnyard2 is showing all of the correct information in the database and I'm using BASE to view it on the web GUI. I was hoping to be able to send the full packet data to syslog with barnyard2 but after reading around, it seems that it is impossible to do that. So I then started trying to modify the snort.conf file and add lines like "output alert_full: alert.full". This definitely gave me a lot more information but still not the full packet data like I want. So my question is, is there anyway I can use barnyard2 to send the full packet data of alerts to a human readable file? Since I can't send it directly to syslog, I can create another process to take the data from that file and ship it off to another server. If not, what flags and/or snort.conf configuration would you recommend to get the most data possible but still be able to handle quite a bit of traffic? In the end of it all, these alerts will be shipped to a central server via a SSH tunnel. I'm trying to stay away from databases.

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  • Actual note duration from MIDI duration

    - by Anthony Labarre
    I'm currently implementing an application to perform some tasks on MIDI files, and my current problem is to output the notes I've read to a LilyPond file. I've merged note_on and note_off events to single notes object with absolute start and absolute duration, but I don't really see how to convert that duration to actual music notation. I've guessed that a duration of 376 is a quarter note in the file I'm reading because I know the song, and obviously 188 is an eighth note, but this certainly does not generalise to all MIDI files. Any ideas?

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  • How can I bridge a VM to a remote network?

    - by asciiphil
    I have a system running QEMU/KVM (via libvirt). One of its VMs needs to have a presence on a subnet that is not local to the VM host. I have a Linux system on the remote subnet. Is there a way to set up some sort of tunneled bridge to cause the VM to appear present on the remote system? This will be a temporary situation (hopefully just until the VM owner can configure their system) and network performance and long-term maintainability aren't really issues. To give some more concrete information: My VM host has IP address 192.168.54.155/24. The VM has IP address 192.168.65.71/24. I have a remote system at 192.168.65.254/24. Both the VM host and remote system are running Scientific Linux 6.5. I do not control the network or routing in between the VM host and remote system. I do not have access to the guest OS on the VM. I would like traffic to the VM's IP address to end up at the VM even though its host isn't directly connected to the appropriate network. I've tried using iproute2's tunnelling, but Linux won't let me add a tunnel to a bridge. I've considered using some sort of iptables mangling to route traffic over the tunnel and make the VM think it's on the right network, but I'm not sure whether there are better approaches. What's the best way to accomplish this hack?

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  • Help to translate SQL query to Relational Algebra

    - by Mestika
    Hi everyone, I'm having some difficulties with translating some queries to Relational Algebra. I've a great book about Database Design and here is a chapter about Relational Algebra but I still seem to have some trouble creating the right one: Thoes queries I've most difficuelt with is these: SELECT COUNT( cs.student_id ) AS counter FROM course c, course_student cs WHERE c.id = cs.course_id AND c.course_name = 'Introduction to Database Design' SELECT COUNT( cs.student_id ) FROM Course c INNER JOIN course_student cs ON c.id = cs.course_id WHERE c.course_name = 'Introduction to Database Design' and SELECT COUNT( * ) FROM student JOIN grade ON student.f_name = "Andreas" AND student.l_name = "Pedersen" AND student.id = grade.student_id I know the notation can be a bit hard to paste into HTML forum, but maybe just use some common name or the Greek name. Thanks in advance Mestika

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  • How to use PropertyCriteria on complex property?

    - by user1394710
    I'm new to EPiSERVER. Currently trying to search for a page with a specific property set to a specific value. I need the property CatalogEntryPoint (a ContentReference) to equal something. Here is the criterea: PropertyCriteria secCriteria = new PropertyCriteria(); secCriteria.Condition = CompareCondition.Equal; secCriteria.Name = "CatalogEntryPoint.ID"; secCriteria.Type = PropertyDataType.Number; secCriteria.Value = currentContent.ContentLink.ID.ToString(); secCriteria.Required = true; And here is an excerpt from the search index: { "CatalogEntryPoint": { "$type": "EPiServer.Find.Cms.IndexableContentReference, EPiServer.Find.Cms", "ID$$number": 1073742170, "WorkID$$number": 0, "ProviderName$$string": "CatalogContent", "GetPublishedOrLatest$$bool": false, "IsExternalProvider$$bool": true, "___types": [ "EPiServer.Find.Cms.IndexableContentReference", "EPiServer.Core.ContentReference", "System.Object", "System.IComparable", "EPiServer.Data.Entity.IReadOnly" ] }, It would seem that the CatalogEntryPoint.ID-notation does not work as I'm getting 0 results. How should I write it?

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  • Using 1920x1200 mode on SyncMaster T260HD in Linux

    - by dagorym
    I just got a Samsung SyncMaster T260HD monitor. It works straight out of the box with Windows but I can't seem to get it to work with Linux, which is my primary OS for day to day work. The computer boots up but when going into graphical mode on Linux the monitor gives me a "Mode not supported" error and doesn't display anything. I booted up windows and, using PowerStrip, grabbed the exact ModeLine that should be used to get the equivalent setting in Linux and added it to my xorg config file but it doesn't seem to help. the ModeLine is: ModeLine "1920x1200" 153.9 1920 1984 2016 2080 1200 1203 1209 1235 +hsync -vsync This is the modeline for the working display settings in windows but it doesn't seem to work in Linux My complete entry in the xorg.conf file for the monitor is Section "Monitor" Identifier "Monitor0" ModelName "SyncMaster" DisplaySize 518 324 HorizSync 30.0 - 81.0 VertRefresh 56.0 - 75.0 Option "dpms" ModeLine "1920x1200" 153.9 1920 1984 2016 2080 1200 1203 1209 1235 +hsync -vsync EndSection I'm running Scientific Linux 5.4 (clone of Redhat Enterprise Linux 5.4) but I've tried booting with a recent Linux Mint Distro as well as Ubuntu 9.04 and had the same problem. Any suggestions on other things I should try or might be missing? If anyone's gotten this to work I'd love to know. Thanks.

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  • Is there a fix to display 0 when arithmetic underflow occurs on the Windows 7 calculator?

    - by Pascal Qyy
    I have a problem that exasperates me: When I take the Windows 7 calculator in standard mode, if I do 4, then v (square root), the result is 2 Fine. But, at this point, if I do - (minus), then 2, the result is -1,068281969439142e-19 instead of 0! OK, I know about ? (machine epsilon), and yes, -1,068281969439142e-19 is less than the 64 bits ? (1.11e-16), so, we have an arithmetic underflow, in other words in this case: 0. Great, my computer is able to represent subnormal numbers instead of just flush to zero when this happens, and it seems that it is an improvement! Subnormal values fill the underflow gap with values where the absolute distance between them are the same as for adjacent values just outside of the underflow gap. This is an improvement over the older practice to just have zero in the underflow gap, and where underflowing results were replaced by zero (flush to zero). BUT: this result is false! when you try to explain the concept of the square root to a child and you end up with this kind of result, it only complicates your task... what is the point to represent subnormal numbers in a standard, non scientific calculator? So, is there a way to fix this?

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  • Java type for date/time when using Oracle Date with Hibernate

    - by Marcus
    We have a Oracle Date column. At first in our Java/Hibernate class we were using java.sql.Date. This worked but it didn't seem to store any time information in the database when we save so I changed the Java data type to Timestamp. Now we get this error: springframework.beans.factory.BeanCreationException: Error creating bean with name 'org.springframework.dao.an notation.PersistenceExceptionTranslationPostProcessor#0' defined in class path resource [margin-service-domain -config.xml]: Initialization of bean failed; nested exception is org.springframework.beans.factory.BeanCreatio nException: Error creating bean with name 'sessionFactory' defined in class path resource [m-service-doma in-config.xml]: Invocation of init method failed; nested exception is org.hibernate.HibernateException: Wrong column type: CREATE_TS, expected: timestamp Any ideas on how to map an Oracle Date while retaining the time portion? Update: I can get it to work if I use the Oracle Timestamp data type but I don't want that level of precision ideally. Just want the basic Oracle Date.

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  • Maximum bipartite graph (1,n) "matching"

    - by Imre Kelényi
    I have a bipartite graph. I am looking for a maximum (1,n) "matching", which means that each vertex from partitation A has n associated vertices from partition B. The following figure shows a maximum (1,3) matching in a graph. Edges selected for the matching are red and unselected edges are black. This differs from the standard bipartite matching problem where each vertex is associate with only one other vertex, which could be called (1,1) matching with this notation. If the matching cardinality (n) is not enforced but is an upper bound (vertices from A can have 0 < x <= n associated vertices from B), then the maximum matching can be found easily by transforming the graph to a flow network and finding the max flow. However, this does not guarantee that the maximum number of vertices from A will have n associated pairs from B.

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  • Delphi 10, .NET, how do I convert a hex UTF-8 string to its unicode character?

    - by Evan V.
    Hi all, I am trying to make my web app compatible with international languages and I am stuck with trying to convert escaped characters in my Delphi .NET DLL. The front end code is passing the UTF-8 hex notation with an escape character e.g for ? I pass \uE3818A. In my DLL I capture this and constract the following string '$E3828A'. I need to convert this back to ? and send it to my database, I've been trying to use Encoding.UTF8.GetBytes and Encoding.UTF8.GetString but with no luck. Anyone could help me figure this out? Thank you.

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