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  • Resolving CloudFlare DNS related mail delivery problems

    - by Andy Castles
    I recently started using CloudFlare and am having a few teething problems. Our domain is netlanguages.com and while we have a lot of sub-domains listen, we are currently only trialling a few of the servers through the CloudFlare CDN (for example, www.netlanguages.com is enabled for CDN, netlanguages.com is not). The actual CDN service seems to be reliable, but the problem that we are having is with DNS, and specifically with mail delivery. The background is that we have contact forms on our web site which use PHP mail() to send the details to end-users' email addresses, with the "from" address of the messages being [email protected] which is a valid address on our mail server. Most of the mails are arriving correctly, but a few specific people are not receiving them. The webserver uses qmail to deliver the messages, and the qmail log files show us some of the errors that the receiving mail servers return when they reject the mail delivery attempt. Two examples: Connected to 94.100.176.20 but sender was rejected./Remote host said: 421 DNS problem (interdominios.netlanguages.com). Try again later Connected to 213.186.33.29 but sender was rejected./Remote host said: 451 DNS temporary failure (#4.3.0) From what I can tell, the receiving SMTP server is doing a DNS lookup of some description on either the host of the "from" email address (netlanguages.com) or the server name given in the EHLO command of the SMTP conversation (in the first example above, interdominios.netlanguages.com), both of which should resolve to non-CloudFlare IP addresses. I've read that the CloudFlare DNS service is very reliable and fast but both of the problems above seem to point to a problem with remote servers unable to do DNS lookups. I should also point out that we changed our DNS to CloudFlare on 6th Feb, and since then started experiencing these mail delivery problems. On 22nd Feb we moved our DNS away from CloudFlare to see if the issues were related to CloudFlare and after a few hours delivery began to work. Then on 26th Feb I moved the DNS back to CloudFlare again and delivery problems started again. The issues definitely seems to be related to DNS, but I don't know if it's a configuration issue, or something else. Finally, I should say that our two DNS MX records point to non-CDN A record IP addresses, interdominios.netlanguages.com (the web and qmail server) also points to a non-CDN A record IP address. Does anyone know what the problem could be here? Any light you can shed on this will be most appreciated. Many thanks, Andy

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  • CommunicationException when shutting down JBoss 4.2.2

    - by Brian
    I have deployed an application using JBoss 4.2.2 on a 64-bit RHEL5 server. Since there are other JBoss servers, I had to change some port configurations so that there would be no conflicts when starting the server. So right now I'm using ports-01 from the sample-bindings.xml file that came in the docs/examples/binding-manager/samples directory. In addition, below is a list of all the files I've edited to reflect the new ports: JBOSS_HOME/servers/default/deploy/jboss-web.deployer/server.xml: Changed Connector port - 8080 to 8180 Changed AJP 1.3 Connector port - 8009 to 8109 JBOSS_HOME/server/default/deploy/jbossws.beans/META-INF/jboss-beans.xml Changed 8080 to 8180 JBOSS_HOME/server/default/conf/jboss-service.xml: Changed 8083 to 8183 Changed 1099 to 1299 Changed 1098 to 1298 Changed 4444 to 4644 Changed 4445 to 4645 Changed 4446 to 4646 Changed 4447 to 4647 JBOSS_HOME/server/default/conf/jboss-minimal.xml: Changed 1099 to 1299 Changed 1098 to 1298 When I start the server (binding to localhost) everything is fine and I'm able to access the application. But when I try to shutdown the server I get the following error: Exception in thread "main" javax.naming.CommunicationException: Could not obtain connection to any of these urls: localhost [Root exception is javax.naming.CommunicationException : Failed to connect to server localhost:1099 [Root exception is javax.naming.ServiceUnavailableException: Failed to connect to server localhost:1099 [Root exception is java.net.ConnectException: Connection refused]]] at org.jnp.interfaces.NamingContext.checkRef(NamingContext.java:1562) at org.jnp.interfaces.NamingContext.lookup(NamingContext.java:634) at org.jnp.interfaces.NamingContext.lookup(NamingContext.java:627) at javax.naming.InitialContext.lookup(InitialContext.java:392) at org.jboss.Shutdown.main(Shutdown.java:214) Caused by: javax.naming.CommunicationException: Failed to connect to server localhost:1099 [Root exception is javax.naming.ServiceUnavailableException: Failed to connect to server localhost:1099 [Root exception is java.net.ConnectException: Connection refused]] at org.jnp.interfaces.NamingContext.getServer(NamingContext.java:274) at org.jnp.interfaces.NamingContext.checkRef(NamingContext.java:1533) ... 4 more Caused by: javax.naming.ServiceUnavailableException: Failed to connect to server localhost:1099 [Root exception is java.net.ConnectException: Connection refused] at org.jnp.interfaces.NamingContext.getServer(NamingContext.java:248) ... 5 more Caused by: java.net.ConnectException: Connection refused at java.net.PlainSocketImpl.socketConnect(Native Method) at java.net.PlainSocketImpl.doConnect(PlainSocketImpl.java:333) at java.net.PlainSocketImpl.connectToAddress(PlainSocketImpl.java:195) at java.net.PlainSocketImpl.connect(PlainSocketImpl.java:182) at java.net.SocksSocketImpl.connect(SocksSocketImpl.java:366) at java.net.Socket.connect(Socket.java:525) at java.net.Socket.connect(Socket.java:475) at java.net.Socket.(Socket.java:372) at java.net.Socket.(Socket.java:273) at org.jnp.interfaces.TimedSocketFactory.createSocket(TimedSocketFactory.java:84) at org.jnp.interfaces.TimedSocketFactory.createSocket(TimedSocketFactory.java:77) at org.jnp.interfaces.NamingContext.getServer(NamingContext.java:244) ... 5 more Is there any other file that I need to change the 1099 to 1299, or am I missing some other step?

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  • Write STDOUT & STDERR to a logfile, also write STDERR to screen

    - by Stefan Lasiewski
    I would like to run several commands, and capture all output to a logfile. I also want to print any errors to the screen (or optionally mail the output to someone). Here's an example. The following command will run three commands, and will write all output (STDOUT and STDERR) into a single logfile. { command1 && command2 && command3 ; } > logfile.log 2>&1 Here is what I want to do with the output of these commands: STDERR and STDOUT for all commands goes to a logfile, in case I need it later--- I usually won't look in here unless there are problems. Print STDERR to the screen (or optionally, pipe to /bin/mail), so that any error stands out and doesn't get ignored. It would be nice if the return codes were still usable, so that I could do some error handling. Maybe I want to send email if there was an error, like this: { command1 && command2 && command3 ; } logfile.log 2&1 || mailx -s "There was an error" [email protected] The problem I run into is that STDERR loses context during I/O redirection. A '2&1' will convert STDERR into STDOUT, and therefore I cannot view errors if I do 2 error.log Here are a couple juicier examples. Let's pretend that I am running some familiar build commands, but I don't want the entire build to stop just because of one error so I use the '--keep-going' flag. { ./configure && make --keep-going && make install ; } > build.log 2>&1 Or, here's a simple (And perhaps sloppy) build and deploy script, which will keep going in the event of an error. { ./configure && make --keep-going && make install && rsync -av --keep-going /foo devhost:/foo} > build-and-deploy.log 2>&1 I think what I want involves some sort of Bash I/O Redirection, but I can't figure this out.

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  • How to enable caching on Apache / Ubuntu Linux?

    - by Jim Mischel
    I have a large (several megabytes) XML file that's updated rather frequently (every 10 minutes or less) and gets a lot of traffic. I'd like to implement some caching to reduce bandwidth and server load. Looking at the Apache documents, I see a dizzying array of configuration options that involve various combinations of mod_expires, mod_headers, and mod_cache (and variants). I end up running in circles and the results aren't what I expect. I'm comfortable editing the various configuration files if I have some idea what I'm supposed to change. But at the moment I'm poking around in the dark and that's never a comfortable feeling. So, perhaps if I describe what I want, somebody here can take me by the hand and say, "This is what you need to do." Periodically, this file, call it "stuff.xml" is updated and a new version copied to the directory. The external url would be, for example, http://example.com/stuff.xml. Understand, this part works. Whenever I request the file, I get the expected result. But the file is big and I want to save bandwidth, so first I'd like to implement conditional GET semantics with the If-Modified-Since header. How do I do this? I've enabled mod_headers and mod_expired and added the <FilesMatching> section in my httpd.conf as recommended in countless examples I've seen online, but that didn't change the behavior when made a conditional GET request. I always get a status 200 with the entire document. So how the heck do I implement this? That'll cut down on neeless transfers. I'd also like to limit the amount of data transferred. Seeing as this is XML, gzipping it should save me 50% or more. My next step would be to somehow gzip the file and, if it's not too difficult, store it in memory. That'll cut down on per-access data transfer, and also reduce disk transfers. So how do I implement this type of caching? Thanks in advance.

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  • Dovecot Virtual Users Not Authenticating

    - by blankabout
    We have a standard Postfix/Dovecot installation working perfectly with real users but cannot work out how to add virtual users, all virtual user login attempts fail with authentication errors. Following are snippets from the configuration files: /etc/postfix/main.cf: virtual_mailbox_domains = virtualexample.com virtual_mailbox_base = /var/spool/vhosts virtual_mailbox_recipients = hash:/etc/postfix/virtual_mailbox_recipients /etc/dovecot/dovecot.conf: !include conf.d/*.conf /etc/dovecot/conf.d/10-auth.conf auth_mechanisms = cram-md5 digest-md5 plain passdb { driver = passwd-file # Path for passwd-file. Also set the default password scheme. args = scheme=cram-md5 /etc/cram-md5.pwd } /etc/cram-md5.pwd [email protected]{MD5}$1$uIMvzy92$9Xt67B/qw4u6txkkxzne80 This is a snippet from the log when a login attempt is made: auth: Debug: Loading modules from directory: /usr/lib64/dovecot/auth auth: Debug: Module loaded: /usr/lib64/dovecot/auth/libauthdb_ldap.so auth: Debug: Module loaded: /usr/lib64/dovecot/auth/libdriver_sqlite.so auth: Debug: Module loaded: /usr/lib64/dovecot/auth/libmech_gssapi.so auth: Debug: passwd-file /etc/cram-md5.pwd: Read 1 users auth: Debug: auth client connected (pid=21990) auth: Debug: client in: AUTH#0111#011CRAM-MD5#011service=imap#011lip=1.1.1.1#011rip=2.2.2.2#011lport=143#011rport=51774 auth: Debug: client out: CONT#0111#011PDI1Njc0NjQ1NzQ3MTY0NTkuMTM0MTIxNzkwN0BncDM+ auth: Debug: client in: CONT auth: Debug: passwd-file([email protected],2.2.2.2): lookup: [email protected] file=/etc/cram-md5.pwd auth: Debug: client out: OK#0111#[email protected] auth: Debug: master in: REQUEST#0111630404609#01121990#0111#011b66b5f46b520a08e1d19d3d249be7073 auth: Debug: passwd([email protected],2.2.2.2): lookup auth: passwd([email protected],2.2.2.2): unknown user auth: Error: userdb([email protected],2.2.2.2): user not found from userdb passwd auth: Debug: master out: NOTFOUND#0111630404609 imap: Error: Authenticated user not found from userdb, auth lookup id=1630404609 (client-pid=21990 client-id=1) imap-login: Internal login failure (pid=21990 id=1) (auth failed, 1 attempts): user=, method=CRAM-MD5, rip=2.2.2.2, lip=1.1.1.1, mpid=21993 auth: Debug: auth client connected (pid=22010) auth: Debug: client in: AUTH#0111#011CRAM-MD5#011service=imap#011lip=1.1.1.1#011rip=2.2.2.2#011lport=143#011rport=51775 auth: Debug: client out: CONT#0111#011PDcxMDkwNDY1NTQzODUzMDkuMTM0MTIxNzkyOEBncDM+ auth: Debug: client in: CONT auth: Debug: passwd-file([email protected],2.2.2.2): lookup: [email protected] file=/etc/cram-md5.pwd auth: Debug: client out: OK#0111#[email protected] auth: Debug: master in: REQUEST#011343539713#01122010#0111#011e47b1345784e2845d59e794afa9a6bbe auth: Debug: passwd([email protected],2.2.2.2): lookup auth: passwd([email protected],2.2.2.2): unknown user auth: Error: userdb([email protected],2.2.2.2): user not found from userdb passwd auth: Debug: master out: NOTFOUND#011343539713 imap: Error: Authenticated user not found from userdb, auth lookup id=343539713 (client-pid=22010 client-id=1) imap-login: Internal login failure (pid=22010 id=1) (auth failed, 1 attempts): user=, method=CRAM-MD5, rip=2.2.2.2, lip=1.1.1.1, mpid=22011 It would appear that the user lookup is not working, even tho' the log suggests that Dovecot is using the /etc/cram-md5.pwd file and the user is configured in that same file. There are of course dozens of examples of using virtual users with Dovecot, but all the ones we have found either refer to Dovecot 1.x (we are using 2.x), using only virtual users (we must use real AND virtual users) or want to use a MySQL db, we need to use a text file. Some hints about where we are going wrong would be very much appreciated.

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  • Seeking (somewhat) better explanations about supporting > 2.1 TB hard drives.

    - by irrational John
    Today while Googling about I stumbled across posts claiming that Seagate plans to ship a 3TB drive sometime later in 2010. Unfortunately, the stuff I looked at all seemed to contain tidbits of info which I didn't think fit together properly. (I would link to some examples, but I'm only allowed 1 link per post at the moment). Now I really don't have any "need" to better understand the underlying tedious details of this. I am just curious. And confused. So ... some questions I'm hoping someone better informed than I might answer. The talk about a potential addressing problem in both the hardware and the software confused me. The assertion is that something called something called Long LBA addressing (LLBA) is needed in the Command Descriptor Block as a way to get around the current limits to access a hard drive bigger than ~2.1 (or ~2.2?) TB. OK, fine. But I thought the last time this problem came up it was solved by extending the length of the LBA field from 28 to 48 bits. (Remember this website? www.48bitlba.com) A 6 byte LBA is clearly large enough, so what's up with this LLBA talk. I thought this was all fixed back by Win XP SP2, if not sooner? And certainly all the hardware should be up to the task, shouldn't it? The real problem as I understand it with drives much bigger than 2 TB are the 4 byte LBA fields in the Master Boot Record (MBR) used to partition just about all hard drives at the moment. The most likely solution is to migrate to Intel's GUID Partition Table (GPT). A GPT uses 8 byte fields for the LBA. What I don't understand in this context is what is the problem with booting say Windows from a 3TB drive that uses a GPT. Granted, the current PC BIOS wouldn't know how to recognize or work with a GPT. But every GPT comes with a so-called "Safety" or "Guarding" MBR in sector 0.Apple already uses a hybrid version of the MBR to allow them to boot Windows on their Intel Macs (aka Boot Camp). Couldn't something similar be done to allow the PC BIOS to recognize and boot from a partition in, say, the first 1 GB of a 3GB or larger drive? I've got more questions such as where do 4K sectors fit into all of this. But it's probably time I just shut up and posted this. ;-) -irrational john

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  • Backing up data stored on Amazon S3

    - by Fiver
    I have an EC2 instance running a web server that stores users' uploaded files to S3. The files are written once and never change, but are retrieved occasionally by the users. We will likely accumulate somewhere around 200-500GB of data per year. We would like to ensure this data is safe, particularly from accidental deletions and would like to be able to restore files that were deleted regardless of the reason. I have read about the versioning feature for S3 buckets, but I cannot seem to find if recovery is possible for files with no modification history. See the AWS docs here on versioning: http://docs.aws.amazon.com/AmazonS3/latest/dev/ObjectVersioning.html In those examples, they don't show the scenario where data is uploaded, but never modified, and then deleted. Are files deleted in this scenario recoverable? Then, we thought we may just backup the S3 files to Glacier using object lifecycle management: http://docs.aws.amazon.com/AmazonS3/latest/dev/object-lifecycle-mgmt.html But, it seems this will not work for us, as the file object is not copied to Glacier but moved to Glacier (more accurately it seems it is an object attribute that is changed, but anyway...). So it seems there is no direct way to backup S3 data, and transferring the data from S3 to local servers may be time-consuming and may incur significant transfer costs over time. Finally, we thought we would create a new bucket every month to serve as a monthly full backup, and copy the original bucket's data to the new one on Day 1. Then using something like duplicity (http://duplicity.nongnu.org/) we would synchronize the backup bucket every night. At the end of the month we would put the backup bucket's contents in Glacier storage, and create a new backup bucket using a new, current copy of the original bucket...and repeat this process. This seems like it would work and minimize the storage / transfer costs, but I'm not sure if duplicity allows bucket-to-bucket transfers directly without bringing data down to the controlling client first. So, I guess there are a couple questions here. First, does S3 versioning allow recovery of files that were never modified? Is there some way to "copy" files from S3 to Glacier that I have missed? Can duplicity or any other tool transfer files between S3 buckets directly to avoid transfer costs? Finally, am I way off the mark in my approach to backing up S3 data? Thanks in advance for any insight you could provide!

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  • Can't get my Raspberry Pi to keep a static IP

    - by JonnyIrving
    I recently got given a Raspberry Pi and I would like to be able to remote into it using puTTy from my laptop so I don't have to sit next to my tv with a keyboard and mouse to use it. I am able to get a puTTy session going when I know the IP address that my router has given the Pi on each session but it keeps changing on each reboot as I would expect. So I followed a number if instruction to go about configuring the RPi to keep a static IP address. This involved changing the file at '/etc/netwrok/interfaces' which now contains (password removed): auto lo iface lo inet loopback iface eth0 inet static address 192.168.1.82 netmask 255.255.255.0 gateway 192.168.1.254 auto wlan0 allow-hotplug wlan0 iface wlan0 inet dhcp wpa-ssid "BeBoxD304BF" wpa-psk "**********" Despite this however, each time I reboot my RPi it gives me a new dynamic IP address still. I also noticed that in the 'ifconfig' output below that the details of the eth0 doesn't contain IP details for inet addr, Bcast or Mask which have been present in all other examples I have seen online. eth0 Link encap:Ethernet HWaddr b8:27:eb:b5:95:da UP BROADCAST MULTICAST MTU:1500 Metric:1 RX packets:0 errors:0 dropped:0 overruns:0 frame:0 TX packets:0 errors:0 dropped:0 overruns:0 carrier:0 collisions:0 txqueuelen:1000 RX bytes:0 (0.0 B) TX bytes:0 (0.0 B) lo Link encap:Local Loopback inet addr:127.0.0.1 Mask:255.0.0.0 UP LOOPBACK RUNNING MTU:16436 Metric:1 RX packets:0 errors:0 dropped:0 overruns:0 frame:0 TX packets:0 errors:0 dropped:0 overruns:0 carrier:0 collisions:0 txqueuelen:0 RX bytes:0 (0.0 B) TX bytes:0 (0.0 B) wlan0 Link encap:Ethernet HWaddr 00:87:c6:00:33:77 inet addr:192.168.1.83 Bcast:192.168.1.255 Mask:255.255.255.0 UP BROADCAST RUNNING MULTICAST MTU:1500 Metric:1 RX packets:918 errors:0 dropped:0 overruns:0 frame:0 TX packets:277 errors:0 dropped:0 overruns:0 carrier:0 collisions:0 txqueuelen:1000 Also I'm not sure if this is relevant but it can't hurt! The file at '/etc/resolv.conf' contains: domain config search config nameserver 192.168.1.254 ..I heard it might mean something on one of the pages I was looking at. I would be very grateful for any help with this. I have tried everything I can think of and would really like to get this working this weekend so I can use it from work.

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  • Subdomains, folders, internationalization, and hosting solutions

    - by justinbach
    I'm a web developer and I recently landed a gig to develop the US / international version of a site for a company that's big in Europe but hasn't done much expansion into the US yet. They've got an existing site at company.com, which should remain visible to European customers after the new site goes up, and an existing (not great) site at company.us, which I'm going to be redeveloping (the .us site will be taken down when my version goes up--keep reading for details). My solution needs to take into account the fact that there are going to be new, localized versions of the site in the fairly near future, so the framework I'm writing needs to be able to handle localizations fairly easily (dynamically load language packs, etc). The tricky thing is the European branch of the company manages the .com site hosting (IIS-based) and the DNS, while I'll be managing the US hosting (and future localizations), which will likely be apache-based. I've never been a big fan of the ".us" TLD--I think most US users are accustomed to visiting the .com--so the thought is that the European branch will detect the IP of inbound traffic and redirect all US-based addresses to us.example.com (or whatever the appropriate localized subdomain might be), which would point to the IP address of my host. I'd then serve the appropriate locale-specific content by pulling the subdomain from the $_SERVER superglobal (assuming PHP). I couldn't find any examples of international organizations that take a subdomain-based approach for localization, but I'm not sure I have any other options as a result of the unique hosting structure here (in that there's not a unified hosting solution for the European and US sites). In my experience, the US version of an international site would live at domain.com/us, not at us.domain.com, and I'd imagine that this has to do with SEO (subdomains are treated as separate sites, so improved rankings for the US site wouldn't help the Canadian version if subdomains are used to differentiate between them). My question is: is there a better approach to solving this problem than the one I'm taking? Ideally, I'd like to use a folder-based approach (see adidas.com as an example of what I'm talking about), but I'm not sure that's a possibility given that the US site (and other localizations) will not be hosted on the same server as the rest of the .com. Can you, in IIS, map a folder (e.g. domain.com/us) to a different IP address? What would you recommend? Thanks for your consideration.

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  • Error in eclipse on run android project

    - by Larz
    I am trying to get a simple hello world android project working in eclipse using an android emulator. I have been using the examples on developer.android.com. I actually did have a hello world app working. I then modified it's xml files to have a text input field and a button as in the second example shows on that site. This failed to run on the emulator. I then went back and tried to create another simple hello world project, but it fails to run. The console says "Waiting for HOME ('android.process.acore') to be launched, but nothing happens or sometimes a messenger in the emulator says "unfortunately Android Wear has stopped". Below is a sample error filter on the log file. I find trying to debug this is something new to me and I am not sure the best way to go about it. I am just trying to learn some basic android developer skills. 05-30 16:19:07.336: E/SELinux(469): SELinux: Loaded file_contexts from /file_contexts, 05-30 16:19:07.336: E/SELinux(469): digest= 05-30 16:19:07.376: E/SELinux(469): b0 05-30 16:19:07.376: E/SELinux(469): 4b 05-30 16:19:07.756: E/SELinux(469): 03 05-30 16:19:07.756: E/SELinux(469): 4a 05-30 16:19:07.826: E/SELinux(469): 73 05-30 16:19:07.886: E/SELinux(469): ab 05-30 16:19:07.886: E/SELinux(469): 6d 05-30 16:19:07.896: E/SELinux(469): 46 05-30 16:19:07.896: E/SELinux(469): b4 05-30 16:19:07.896: E/SELinux(469): a5 05-30 16:19:07.896: E/SELinux(469): 73 05-30 16:19:07.896: E/SELinux(469): 8a 05-30 16:19:07.896: E/SELinux(469): ee 05-30 16:19:07.896: E/SELinux(469): ac 05-30 16:19:07.906: E/SELinux(469): 68 05-30 16:19:07.906: E/SELinux(469): ff 05-30 16:19:07.906: E/SELinux(469): 04 05-30 16:19:07.906: E/SELinux(469): dc 05-30 16:19:07.906: E/SELinux(469): b8 05-30 16:19:07.906: E/SELinux(469): a2 05-30 16:19:11.806: E/SensorManager(511): sensor or listener is null 05-30 16:19:16.196: E/BluetoothAdapter(378): Bluetooth binder is null 05-30 16:19:16.206: E/BluetoothAdapter(378): Bluetooth binder is null 05-30 16:19:17.186: E/WVMExtractor(54): Failed to open libwvm.so: dlopen failed: library "libwvm.so" not found 05-30 16:19:17.776: E/AudioCache(54): Error 1, -2147483648 occurred 05-30 16:19:17.796: E/SoundPool(378): Unable to load sample: (null) 05-30 16:19:18.536: E/AudioCache(54): Error 1, -2147483648 occurred 05-30 16:19:18.546: E/SoundPool(378): Unable to load sample: (null)

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  • Laptops on Windows Domain sometimes have problems accessing internet when off-site

    - by FSUScoot
    Hi all-- We've had this problem for a long time. When users travel, sometimes they can't get internet access from a wired or wireless connection. Here are a couple examples: 1) A user goes to a hotel and tries to access the wireless in their room. They can connect to the access point. They open a web browser and they can't get re-directed to the hotel's login page. Because they can't log in, there's no internet access. 2) A user goes to another laboratory/university and tries to access the wired network. They connect, link is fine, PC gets IP from DHCP but no internet access. There's no login page to be re-directed to. It should just "work". What I've found is that it's a DNS issue. Because the computer is on a Windows Domain, it seems it MUST use our DNS servers. Even if you connect to an outside network and do an ipconfig /all, it looks like everything is ok. It'll even show their DNS servers listed in the config. The computer just won't use the other network's DNS server. I found a reg key that keeps our DNS servers listed and it seems that they take priority every time: HKLM\SOFTWARE\Policies\Microsoft\Windows NT\DNSClient All the values under that key are for our AD domain. NameServer and Searchlist never change. What I've found is if the user edits the NameServer string and puts the DNS server of the network they're on, everything works just fine. They get re-directed to the hotel's correct login page or their internet access starts working. It's only a problem if the network they're on blocks outside DNS or a hotel that uses an internal name in their front page redirection that only their DNS server knows about, i.e., not public. If the re-direct page starts with an IP, like 10.10.10.10, it'll work just fine. Obviously this isn't a fix for everyone. Most of my users are pretty knowledgeable so it’s easy for me to walk them through or send them a .reg file that they can edit and run. This problem isn't limited to Windows 7. It was like this with XP as well. It's not hardware related. The problem exists on both wired and wireless, Intel or Broadcom, laptops or desktops. Anyone else have this problem? Is there a GPO I can change that I missed? Got a good work-around for this? Thanks for any help!

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  • How do I configure Reverse Group Membership Maintenance on an openldap server? (memberOf)

    - by emills
    I am currently working on integrating LDAP authentication into a system and I would like to restrict access based on LDAP group. The only way to do this is via a search filter and therefore I believe my only option to be the use of the "memberOf" attribute in my search filter. It is my understanding that the "memberOf" attribute is an operational attribute which can be created by the server for me anytime a new "member" attribute is created for any "groupOfNames" entry on the server. My main goal is to be able to add a "member" attribute to an existing "groupOfNames" entry and have a matching "memberOf" attribute be added to the DN I provide. What I have managed to achieve so far: I'm still pretty new to LDAP administration but based on what I found in the openldap admin's guide, it looks like Reverse Group Membership Maintence aka "memberof overlay" would achieve exactly the effect I am looking for. My server is currently running a package installation (slapd on ubuntu) of openldap 2.4.15 which uses "cn=config" style runtime configuration. Most of the examples I have found still reference the older "slapd.conf" method of static configuration and I have tried my best to adapt the configurations to the new directory based model. I have added the following entries to enable the memberof overlay module: Enable the module with olcModuleLoad cn=config/cn\=module\{0\}.ldif dn: cn=module{0} objectClass: olcModuleList cn: module{0} olcModulePath: /usr/lib/ldap olcModuleLoad: {0}back_hdb olcModuleLoad: {1}memberof.la structuralObjectClass: olcModuleList entryUUID: a410ce98-3fdf-102e-82cf-59ccb6b4d60d creatorsName: cn=config createTimestamp: 20090927183056Z entryCSN: 20091009174548.503911Z#000000#000#000000 modifiersName: cn=admin,cn=config modifyTimestamp: 20091009174548Z Enabled the overlay for the database and allowed it to use it's default settings (groupOfNames,member,memberOf,etc) cn=config/olcDatabase={1}hdb/olcOverlay\=\{0\}memberof dn: olcOverlay={0}memberof objectClass: olcMemberOf objectClass: olcOverlayConfig objectClass: olcConfig objectClass: top olcOverlay: {0}memberof structuralObjectClass: olcMemberOf entryUUID: 6d599084-490c-102e-80f6-f1a5d50be388 creatorsName: cn=admin,cn=config createTimestamp: 20091009104412Z olcMemberOfRefInt: TRUE entryCSN: 20091009173500.139380Z#000000#000#000000 modifiersName: cn=admin,cn=config modifyTimestamp: 20091009173500Z My current result: By using the above configuration, I am able to add a NEW "groupOfNames" with any number of "member" entries and have all the involved DNs updated with a "memberOf" attribute. This is part of the behavior I would expect. While I believe the following should have been accomplished with the memberof overlay, I still do not know how to do the following and I would gladly welcome any advice: Add a "member" attribute to an EXISTING "groupOfNames" and have a corresponding "memberOf" attribute be created automatically. Remove a "member" attribute and have the corresponding "memberOf" attribute" be removed automatically.

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  • Getting TF215097 error after modifying a build process template in TFS Team Build 2010

    - by Jakob Ehn
    When embracing Team Build 2010, you typically want to define several different build process templates for different scenarios. Common examples here are CI builds, QA builds and release builds. For example, in a contiuous build you often have no interest in publishing to the symbol store, you might or might not want to associate changesets and work items etc. The build server is often heavily occupied as it is, so you don’t want to have it doing more that necessary. Try to define a set of build process templates that are used across your company. In previous versions of TFS Team Build, there was no easy way to do this. But in TFS 2010 it is very easy so there is no excuse to not do it! :-)   I ran into a scenario today where I had an existing build definition that was based on our release build process template. In this template, we have defined several different build process parameters that control the release build. These are placed into its own sectionin the Build Process Parameters editor. This is done using the ProcessParameterMetadataCollection element, I will explain how this works in a future post.   I won’t go into details on these parametes, the issue for this blog post is what happens when you modify a build process template so that it is no longer compatible with the build definition, i.e. a breaking change. In this case, I removed a parameter that was no longer necessary. After merging the new build process template to one of the projects and queued a new release build, I got this error:   TF215097: An error occurred while initializing a build for build definition <Build Definition Name>: The values provided for the root activity's arguments did not satisfy the root activity's requirements: 'DynamicActivity': The following keys from the input dictionary do not map to arguments and must be removed: <Parameter Name>.  Please note that argument names are case sensitive. Parameter name: rootArgumentValues <Parameter Name> was the parameter that I removed so it was pretty easy to understand why the error had occurred. However, it is not entirely obvious how to fix the problem. When open the build definition everything looks OK, the removed build process parameter is not there, and I can open the build process template without any validation warnings. The problem here is that all settings specific to a particular build definition is stored in the TFS database. In TFS 2005, everything that was related to a build was stored in TFS source control in files (TFSBuild.proj, WorkspaceMapping.xml..). In TFS 2008, many of these settings were moved into the database. Still, lots of things were stored in TFSBuild.proj, such as the solution and configuration to build, wether to execute tests or not. In TFS 2010, all settings for a build definition is stored in the database. If we look inside the database we can see what this looks like. The table tbl_BuildDefinition contains all information for a build definition. One of the columns is called ProcessParameters and contains a serialized representation of a Dictionary that is the underlying object where these settings are stoded. Here is an example:   <Dictionary x:TypeArguments="x:String, x:Object" xmlns="clr-namespace:System.Collections.Generic;assembly=mscorlib" xmlns:mtbwa="clr-namespace:Microsoft.TeamFoundation.Build.Workflow.Activities;assembly=Microsoft.TeamFoundation.Build.Workflow" xmlns:x="http://schemas.microsoft.com/winfx/2006/xaml"> <mtbwa:BuildSettings x:Key="BuildSettings" ProjectsToBuild="$/PathToProject.sln"> <mtbwa:BuildSettings.PlatformConfigurations> <mtbwa:PlatformConfigurationList Capacity="4"> <mtbwa:PlatformConfiguration Configuration="Release" Platform="Any CPU" /> </mtbwa:PlatformConfigurationList> </mtbwa:BuildSettings.PlatformConfigurations> </mtbwa:BuildSettings> <mtbwa:AgentSettings x:Key="AgentSettings" Tags="Agent1" /> <x:Boolean x:Key="DisableTests">True</x:Boolean> <x:String x:Key="ReleaseRepositorySolution">ERP</x:String> <x:Int32 x:Key="Major">2</x:Int32> <x:Int32 x:Key="Minor">3</x:Int32> </Dictionary> Here we can see that it is really only the non-default values that are persisted into the databasen. So, the problem in my case was that I removed one of the parameteres from the build process template, but the parameter and its value still existed in the build definition database. The solution to the problem is to refresh the build definition and save it. In the process tab, there is a Refresh button that will reload the build definition and the process template and synchronize them:   After refreshing the build definition and saving it, the build was running successfully again.

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  • SSAS: Using fake dimension and scopes for dynamic ranges

    - by DigiMortal
    In one of my BI projects I needed to find count of objects in income range. Usual solution with range dimension was useless because range where object belongs changes in time. These ranges depend on calculation that is done over incomes measure so I had really no option to use some classic solution. Thanks to SSAS forums I got my problem solved and here is the solution. The problem – how to create dynamic ranges? I have two dimensions in SSAS cube: one for invoices related to objects rent and the other for objects. There is measure that sums invoice totals and two calculations. One of these calculations performs some computations based on object income and some other object attributes. Second calculation uses first one to define income ranges where object belongs. What I need is query that returns me how much objects there are in each group. I cannot use dimension for range because on one date object may belong to one range and two days later to another income range. By example, if object is not rented out for two days it makes no money and it’s income stays the same as before. If object is rented out after two days it makes some income and this income may move it to another income range. Solution – fake dimension and scopes Thanks to Gerhard Brueckl from pmOne I got everything work fine after some struggling with BI Studio. The original discussion he pointed out can be found from SSAS official forums thread Create a banding dimension that groups by a calculated measure. Solution was pretty simple by nature – we have to define fake dimension for our range and use scopes to assign values for object count measure. Object count measure is primitive – it just counts objects and that’s it. We will use it to find out how many objects belong to one or another range. We also need table for fake ranges and we have to fill it with ranges used in ranges calculation. After creating the table and filling it with ranges we can add fake range dimension to our cube. Let’s see now how to solve the problem step-by-step. Solving the problem Suppose you have ranges calculation defined like this: CASE WHEN [Measures].[ComplexCalc] < 0 THEN 'Below 0'WHEN [Measures].[ComplexCalc] >=0 AND  [Measures].[ComplexCalc] <=50 THEN '0 - 50'...END Let’s create now new table to our analysis database and name it as FakeIncomeRange. Here is the definition for table: CREATE TABLE [FakeIncomeRange] (     [range_id] [int] IDENTITY(1,1) NOT NULL,     [range_name] [nvarchar](50) NOT NULL,     CONSTRAINT [pk_fake_income_range] PRIMARY KEY CLUSTERED      (         [range_id] ASC     ) ) Don’t forget to fill this table with range labels you are using in ranges calculation. To use ranges from table we have to add this table to our data source view and create new dimension. We cannot bind this table to other tables but we have to leave it like it is. Our dimension has two attributes: ID and Name. The next thing to create is calculation that returns objects count. This calculation is also fake because we override it’s values for all ranges later. Objects count measure can be defined as calculation like this: COUNT([Object].[Object].[Object].members) Now comes the most crucial part of our solution – defining the scopes. Based on data used in this posting we have to define scope for each of our ranges. Here is the example for first range. SCOPE([FakeIncomeRange].[Name].&[Below 0], [Measures].[ObjectCount])     This=COUNT(            FILTER(                [Object].[Object].[Object].members,                 [Measures].[ComplexCalc] < 0          )     ) END SCOPE To get these scopes defined in cube we need MDX script blocks for each line given here. Take a look at the screenshot to get better idea what I mean. This example is given from SQL Server books online to avoid conflicts with NDA. :) From previous example the lines (MDX scripts) are: Line starting with SCOPE Block for This = Line with END SCOPE And now it is time to deploy and process our cube. Although you may see examples where there are semicolons in the end of statements you don’t need them. Visual Studio BI tools generate separate command from each script block so you don’t need to worry about it.

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  • JMS Step 1 - How to Create a Simple JMS Queue in Weblogic Server 11g

    - by John-Brown.Evans
    JMS Step 1 - How to Create a Simple JMS Queue in Weblogic Server 11g ol{margin:0;padding:0} .c5{vertical-align:top;width:156pt;border-style:solid;border-color:#000000;border-width:1pt;padding:0pt 2pt 0pt 2pt} .c7{list-style-type:disc;margin:0;padding:0} .c4{background-color:#ffffff} .c14{color:#1155cc;text-decoration:underline} .c6{height:11pt;text-align:center} .c13{color:inherit;text-decoration:inherit} .c3{padding-left:0pt;margin-left:36pt} .c0{border-collapse:collapse} .c12{text-align:center} .c1{direction:ltr} .c8{background-color:#f3f3f3} .c2{line-height:1.0} .c11{font-style:italic} .c10{height:11pt} .c9{font-weight:bold} .title{padding-top:24pt;line-height:1.15;text-align:left;color:#000000;font-size:36pt;font-family:"Arial";font-weight:bold;padding-bottom:6pt}.subtitle{padding-top:18pt;line-height:1.15;text-align:left;color:#666666;font-style:italic;font-size:24pt;font-family:"Georgia";padding-bottom:4pt} li{color:#000000;font-size:10pt;font-family:"Arial"} p{color:#000000;font-size:10pt;margin:0;font-family:"Arial"} h1{padding-top:0pt;line-height:1.15;text-align:left;color:#666;font-size:18pt;font-family:"Arial";font-weight:normal;padding-bottom:0pt} h2{padding-top:0pt;line-height:1.15;text-align:left;color:#666;font-size:14pt;font-family:"Arial";font-weight:normal;padding-bottom:0pt} h3{padding-top:0pt;line-height:1.15;text-align:left;color:#666;font-size:12pt;font-family:"Arial";font-weight:normal;padding-bottom:0pt} h4{padding-top:0pt;line-height:1.15;text-align:left;color:#666;font-style:italic;font-size:11pt;font-family:"Arial";padding-bottom:0pt} h5{padding-top:0pt;line-height:1.15;text-align:left;color:#666;font-size:10pt;font-family:"Arial";font-weight:normal;padding-bottom:0pt} h6{padding-top:0pt;line-height:1.15;text-align:left;color:#666;font-style:italic;font-size:10pt;font-family:"Arial";padding-bottom:0pt} This example shows the steps to create a simple JMS queue in WebLogic Server 11g for testing purposes. For example, to use with the two sample programs QueueSend.java and QueueReceive.java which will be shown in later examples. Additional, detailed information on JMS can be found in the following Oracle documentation: Oracle® Fusion Middleware Configuring and Managing JMS for Oracle WebLogic Server 11g Release 1 (10.3.6) Part Number E13738-06 http://docs.oracle.com/cd/E23943_01/web.1111/e13738/toc.htm 1. Introduction and Definitions A JMS queue in Weblogic Server is associated with a number of additional resources: JMS Server A JMS server acts as a management container for resources within JMS modules. Some of its responsibilities include the maintenance of persistence and state of messages and subscribers. A JMS server is required in order to create a JMS module. JMS Module A JMS module is a definition which contains JMS resources such as queues and topics. A JMS module is required in order to create a JMS queue. Subdeployment JMS modules are targeted to one or more WLS instances or a cluster. Resources within a JMS module, such as queues and topics are also targeted to a JMS server or WLS server instances. A subdeployment is a grouping of targets. It is also known as advanced targeting. Connection Factory A connection factory is a resource that enables JMS clients to create connections to JMS destinations. JMS Queue A JMS queue (as opposed to a JMS topic) is a point-to-point destination type. A message is written to a specific queue or received from a specific queue. The objects used in this example are: Object Name Type JNDI Name TestJMSServer JMS Server TestJMSModule JMS Module TestSubDeployment Subdeployment TestConnectionFactory Connection Factory jms/TestConnectionFactory TestJMSQueue JMS Queue jms/TestJMSQueue 2. Configuration Steps The following steps are done in the WebLogic Server Console, beginning with the left-hand navigation menu. 2.1 Create a JMS Server Services > Messaging > JMS Servers Select New Name: TestJMSServer Persistent Store: (none) Target: soa_server1  (or choose an available server) Finish The JMS server should now be visible in the list with Health OK. 2.2 Create a JMS Module Services > Messaging > JMS Modules Select New Name: TestJMSModule Leave the other options empty Targets: soa_server1  (or choose the same one as the JMS server)Press Next Leave “Would you like to add resources to this JMS system module” unchecked and  press Finish . 2.3 Create a SubDeployment A subdeployment is not necessary for the JMS queue to work, but it allows you to easily target subcomponents of the JMS module to a single target or group of targets. We will use the subdeployment in this example to target the following connection factory and JMS queue to the JMS server we created earlier. Services > Messaging > JMS Modules Select TestJMSModule Select the Subdeployments  tab and New Subdeployment Name: TestSubdeployment Press Next Here you can select the target(s) for the subdeployment. You can choose either Servers (i.e. WebLogic managed servers, such as the soa_server1) or JMS Servers such as the JMS Server created earlier. As the purpose of our subdeployment in this example is to target a specific JMS server, we will choose the JMS Server option. Select the TestJMSServer created earlier Press Finish 2.4  Create a Connection Factory Services > Messaging > JMS Modules Select TestJMSModule  and press New Select Connection Factory  and Next Name: TestConnectionFactory JNDI Name: jms/TestConnectionFactory Leave the other values at default On the Targets page, select the Advanced Targeting  button and select TestSubdeployment Press Finish The connection factory should be listed on the following page with TestSubdeployment and TestJMSServer as the target. 2.5 Create a JMS Queue Services > Messaging > JMS Modules Select TestJMSModule  and press New Select Queue and Next Name: TestJMSQueueJNDI Name: jms/TestJMSQueueTemplate: NonePress Next Subdeployments: TestSubdeployment Finish The TestJMSQueue should be listed on the following page with TestSubdeployment and TestJMSServer. Confirm the resources for the TestJMSModule. Using the Domain Structure tree, navigate to soa_domain > Services > Messaging > JMS Modules then select TestJMSModule You should see the following resources The JMS queue is now complete and can be accessed using the JNDI names jms/TestConnectionFactory andjms/TestJMSQueue. In the following blog post in this series, I will show you how to write a message to this queue, using the WebLogic sample Java program QueueSend.java.

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  • Share a Printer on Your Network from Vista or XP to Windows 7

    - by Mysticgeek
    The other day we looked at sharing a printer between Windows 7 machines, but you may only have one Windows 7 machine and the printer is connected to a Vista or XP computer. Today we show you how to share a printer from either Vista or XP to Windows 7. We previously showed you how to share files and printers between Windows 7 and XP. But what if you have a printer connected to an XP or Vista machine in another room, and you want to print to it from Windows 7? This guide will walk you through the process. Note: In these examples we’re using 32-bit versions of Windows 7, Vista, and XP on a basic home network. We are using an HP PSC 1500 printer, but keep in mind every printer is different so finding and installing the correct drivers will vary. Share a Printer from Vista To share the printer on a Vista machine click on Start and enter printers into the search box and hit Enter. Right-click on the printer you want to share and select Sharing from the context menu. Now in Printer Properties, select the Sharing tab, mark the box next to Share this printer, and give the printer a name. Make sure the name is something simple with no spaces then click Ok. Share a Printer from XP To share a printer from XP click on Start then select Printers and Faxes. In the Printers and Faxes window right-click on the printer to share and select Sharing. In the Printer Properties window select the Sharing tab and the radio button next to Share this printer and give it a short name with no spaces then click Ok. Add Printer to Windows 7 Now that we have the printer on Vista or XP set up to be shared, it’s time to add it to Windows 7. Open the Start Menu and click on Devices and Printers. In Devices and Printers click on Add a printer. Next click on Add a network, wireless or Bluetooth printer. Windows 7 will search for the printer on your network and once its been found click Next. The printer has been successfully added…click Next. Now you can set it as the default printer and send a test page to verify everything works. If everything is successful, close out of the add printer screens and you should be good to go.   Alternate Method If the method above doesn’t work, you’ll can try the following for either XP or Vista. In our example, when trying to add the printer connected to our XP machine, it wasn’t recognized automatically. If you’re search pulls up nothing then click on The printer that I want isn’t listed. In the Add Printer window under Find a printer by name or TCP/IP address click the radio button next to Select a shared printer by name. You can either type in the path to the printer or click on Browse to find it. In this instance we decided to browse to it and notice we have 5 computers found on the network. We want to be able to print to the XPMCE computer so we double-click on that. Type in the username and password for that computer… Now we see the printer and can select it. The path to the printer is put into the Select a shared printer by name field. Wait while Windows connects to the printer and installs it… It’s successfully added…click Next. Now you can set it as the default printer or not and print a test page to make sure everything works successfully. Now when we go back to Devices and Printers under Printers and Faxes, we see the HP printer on XPMCE. Conclusion Sharing a printer from one machine to another can sometimes be tricky, but the method we used here in our setup worked well. Since the printer we used is fairly new, there wasn’t a problem with locating any drivers for it. Windows 7 includes a lot of device drivers already so you may be surprised on what it’s able to install. Your results may vary depending on your type of printer, Windows version, and network setup. This should get you started configuring the machines on your network—hopefully with good results.  If you you have two Windows 7 computers, then sharing a printer or files is easy through the Homegroup feature. You can also share a printer between Windows 7 machines on the same network but not Homegroup. Similar Articles Productive Geek Tips Share a Printer Between Windows 7 Machines Not in the Same HomegroupShare Files and Printers between Windows 7 and XPHow To Share Files and Printers Between Windows 7 and VistaEnable Mapping to \HostnameC$ Share on Windows 7 or VistaUse the Homegroup Feature in Windows 7 to Share Printers and Files TouchFreeze Alternative in AutoHotkey The Icy Undertow Desktop Windows Home Server – Backup to LAN The Clear & Clean Desktop Use This Bookmarklet to Easily Get Albums Use AutoHotkey to Assign a Hotkey to a Specific Window Latest Software Reviews Tinyhacker Random Tips Revo Uninstaller Pro Registry Mechanic 9 for Windows PC Tools Internet Security Suite 2010 PCmover Professional Enable Check Box Selection in Windows 7 OnlineOCR – Free OCR Service Betting on the Blind Side, a Vanity Fair article 30 Minimal Logo Designs that Say More with Less LEGO Digital Designer – Free Create a Personal Website Quickly using Flavors.me

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  • Share a Printer on Your Network from Vista or XP to Windows 7

    - by Mysticgeek
    The other day we looked at sharing a printer between Windows 7 machines, but you may only have one Windows 7 machine and the printer is connected to a Vista or XP computer. Today we show you how to share a printer from either Vista or XP to Windows 7. We previously showed you how to share files and printers between Windows 7 and XP. But what if you have a printer connected to an XP or Vista machine in another room, and you want to print to it from Windows 7? This guide will walk you through the process. Note: In these examples we’re using 32-bit versions of Windows 7, Vista, and XP on a basic home network. We are using an HP PSC 1500 printer, but keep in mind every printer is different so finding and installing the correct drivers will vary. Share a Printer from Vista To share the printer on a Vista machine click on Start and enter printers into the search box and hit Enter. Right-click on the printer you want to share and select Sharing from the context menu. Now in Printer Properties, select the Sharing tab, mark the box next to Share this printer, and give the printer a name. Make sure the name is something simple with no spaces then click Ok. Share a Printer from XP To share a printer from XP click on Start then select Printers and Faxes. In the Printers and Faxes window right-click on the printer to share and select Sharing. In the Printer Properties window select the Sharing tab and the radio button next to Share this printer and give it a short name with no spaces then click Ok. Add Printer to Windows 7 Now that we have the printer on Vista or XP set up to be shared, it’s time to add it to Windows 7. Open the Start Menu and click on Devices and Printers. In Devices and Printers click on Add a printer. Next click on Add a network, wireless or Bluetooth printer. Windows 7 will search for the printer on your network and once its been found click Next. The printer has been successfully added…click Next. Now you can set it as the default printer and send a test page to verify everything works. If everything is successful, close out of the add printer screens and you should be good to go.   Alternate Method If the method above doesn’t work, you’ll can try the following for either XP or Vista. In our example, when trying to add the printer connected to our XP machine, it wasn’t recognized automatically. If you’re search pulls up nothing then click on The printer that I want isn’t listed. In the Add Printer window under Find a printer by name or TCP/IP address click the radio button next to Select a shared printer by name. You can either type in the path to the printer or click on Browse to find it. In this instance we decided to browse to it and notice we have 5 computers found on the network. We want to be able to print to the XPMCE computer so we double-click on that. Type in the username and password for that computer… Now we see the printer and can select it. The path to the printer is put into the Select a shared printer by name field. Wait while Windows connects to the printer and installs it… It’s successfully added…click Next. Now you can set it as the default printer or not and print a test page to make sure everything works successfully. Now when we go back to Devices and Printers under Printers and Faxes, we see the HP printer on XPMCE. Conclusion Sharing a printer from one machine to another can sometimes be tricky, but the method we used here in our setup worked well. Since the printer we used is fairly new, there wasn’t a problem with locating any drivers for it. Windows 7 includes a lot of device drivers already so you may be surprised on what it’s able to install. Your results may vary depending on your type of printer, Windows version, and network setup. This should get you started configuring the machines on your network—hopefully with good results.  If you you have two Windows 7 computers, then sharing a printer or files is easy through the Homegroup feature. You can also share a printer between Windows 7 machines on the same network but not Homegroup. Similar Articles Productive Geek Tips Share a Printer Between Windows 7 Machines Not in the Same HomegroupShare Files and Printers between Windows 7 and XPHow To Share Files and Printers Between Windows 7 and VistaEnable Mapping to \HostnameC$ Share on Windows 7 or VistaUse the Homegroup Feature in Windows 7 to Share Printers and Files TouchFreeze Alternative in AutoHotkey The Icy Undertow Desktop Windows Home Server – Backup to LAN The Clear & Clean Desktop Use This Bookmarklet to Easily Get Albums Use AutoHotkey to Assign a Hotkey to a Specific Window Latest Software Reviews Tinyhacker Random Tips Revo Uninstaller Pro Registry Mechanic 9 for Windows PC Tools Internet Security Suite 2010 PCmover Professional Enable Check Box Selection in Windows 7 OnlineOCR – Free OCR Service Betting on the Blind Side, a Vanity Fair article 30 Minimal Logo Designs that Say More with Less LEGO Digital Designer – Free Create a Personal Website Quickly using Flavors.me

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  • Developer Training – A Conclusive Summary- Part 5

    - by pinaldave
    Developer Training - Importance and Significance - Part 1 Developer Training – Employee Morals and Ethics – Part 2 Developer Training – Difficult Questions and Alternative Perspective - Part 3 Developer Training – Various Options for Developer Training – Part 4 Developer Training – A Conclusive Summary- Part 5 We have now reached the end of our series about developer training.  I hope you have come away thinking that training is the best way to advance in your company and that you are looking for training opportunities right now.  If you’re still not convinced here are a few things to keep in mind:  Training benefits the employer and the employee. A well trained employee is a happy employee, and a happy employee is more efficient and productive. Training an employee might be expensive, but it is less expensive than hiring a new person. Whether you are looking at him from the employee’s or the company’s point of view, there are always advantages to training. A Broader View This series is definitely written for Developer Training but it is not limited to developers only. There are IT Pro, System Admins, DBAs as well many other technology professionals; this article series is for all professionals in the world. The concepts and take away will remain common across all the platform and regardless of technology affiliation. Pass the Knowledge If I have to pick one advise which is extremely important related to training, I will pick – pass the knowledge. Once you have decided in favor of training, there is more to it than simply showing up and staying awake.  It is always a good idea to take notes – at the very least it will help you stay awake, but they will often serve as a good way to remember your training when you go back to work.  You can also use them to pass your new knowledge on to fellow employees, which can be very fun and rewarding. Right Place, Right Time and Right Training There are so many ways to get developer training.  In-person and on the job training is easy to come by and is the most usual type of training, but don’t overlook my favorite type of training: On Demand.  Being able to learn at your own pace, own place and on your own time will make training a realistic goal for almost every employee. I can think of nothing more important in life than furthering your education.  Especially when you work in a field that is constantly changing – like technology.  Whether you like it or not, training is incredibly important.  That is why I feel it is so important to receive training.  And because there are so many different training formats – live, online, through books, through people – I am certain that we all can find a way to be trained that best suits our goals and personalities. The Teacher Within If you think of anyone who is a master of the technology field or an incredibly successful developer (the obvious examples that spring to mind are Steve Jobs or Bill Gates), you will also find a teacher.  Both these individuals spent their lives developing better technology, but also educating other developers and the public about how to use these technologies and how it can change your life for the better.  I think that we all should strive to be like these wonderful teachers.  We might not be able to change the world, but we can certainly change a few lives around us. Even if we never turn into trainers ourselves , being trained as a student can be a good exercise.  We learn a lot and become better employees – and it would not be a stretch to say that this makes us better individuals, as well. Final Say I think learning and growing in your chosen field is not only a good idea, career-wise, but can be fun, too!  I for one never feel more alive than when I am learning about something I am really passionate about.  I think my job title – technology evangelist – explains how enthusiastic I am about this subject.  But please don’t think that I am thinking of this as someone who wants to train and educate others (although this is also one of my passions).  I am also a passionate student.  I enjoy learning new things and am always on the lookout for new ways to learn and new people to learn from. Reference: Pinal Dave (http://blog.sqlauthority.com) Filed under: Developer Training, PostADay, SQL, SQL Authority, SQL Query, SQL Server, SQL Tips and Tricks, T SQL, Technology

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  • Developer Training – Various Options for Maximum Benefit – Part 4

    - by pinaldave
    Developer Training - Importance and Significance - Part 1 Developer Training – Employee Morals and Ethics – Part 2 Developer Training – Difficult Questions and Alternative Perspective - Part 3 Developer Training – Various Options for Developer Training – Part 4 Developer Training – A Conclusive Summary- Part 5 If you have been reading this series, by now you are aware of all the pros and cons that can come along with training.  We’ve asked and answered hard questions, and investigated them “whys” and “hows” of training.  Now it is time to talk about all the different kinds of training that are out there! On Job Training The most common type of training is on the job training.  Everyone receives this kind of education – even experts who come in to consult have to be taught where the printer, pens, and copy machines are.  If you are thinking about more concrete topics, though, on the job training can be some of the easiest to come across.  Picture this: someone in the company whom you really admire is hard at work on a project.  You come up to them and ask to help them out – if they are a busy developer, the odds are that they will say “yes, please!”   If you phrase your question as an offer of help, you can receive training without ever putting someone in the awkward position of acting as a mentor.  However, some people may want the task of being a mentor.  It can never hurt to ask.  Most people will be more than willing to pass their knowledge along. Extreme Programming If your company and coworkers are willing, you can even investigate Extreme Programming.  This is a type of programming that allows small teams to quickly develop code and products that are released with almost immediate user feedback.  You can find more information at http://www.extremeprogramming.org/.  If this is something your company could use, suggest it to your supervisor.  Even if they say no, it will make it clear that you are a go-getter who is interested in new and exciting projects.  If the answer is yes, then you have the opportunity to get some of the best on the job training around. In Person Training Click on Image to Enlarge When you say the word “training,” most people’s minds go back to the classroom, an image they are familiar with.  While training doesn’t always have to be in a traditional setting, because it is so familiar it can also be the most valuable type of training.  There are many ways to get training through a live instructor.  Some companies may be willing to send a representative to you, where employees will get training, sometimes food and coffee, and a live instructor who can answer questions immediately.  Sometimes these trainers are also able to do consultations at the same time, which can invaluable to a company.  If you are the one to asks your supervisor for a training session that can also be turned into a consultation, you may stick in their minds as an incredibly dedicated employee.  If you can’t find a representative, local colleges can also be a good resource for free or cheap classes – or they may have representatives coming who are willing to take on a few more students. Benefits of On Demand Developer Training Of course, you can often get the best of all these types of training with online or On Demand training.  You can get the benefit of a live instructor who is willing to answer questions (although in this case, usually through e-mail or other online venues), there are often real-world examples to follow along – like on the job training – and best of all you can learn whenever you have the time or need.  Did a problem with your server come up at midnight when all your supervisors are safe at home and probably in bed?  No problem!  On Demand training is especially useful if you need to slow down, pause, or rewind a training session.  Not even a real-life instructor can do that! When I was writing this blog post, I felt that each of the subject, which I have covered can be blog posts of itself. However, I wanted to keep the the blog post concise and so touch based on three major training aspects 1) On Job Training 2) In Person Training and 3) Online training. Here is the question for you – is there any other kind of training methods available, which are effective and one should consider it? If yes, what are those, I may write a follow up blog post on the same subject next week. Reference: Pinal Dave (http://blog.sqlauthority.com) Filed under: Developer Training, PostADay, SQL, SQL Authority, SQL Query, SQL Server, SQL Tips and Tricks, T SQL, Technology

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  • Form, function and complexity in rule processing

    - by Charles Young
    Tim Bass posted on ‘Orwellian Event Processing’. I was involved in a heated exchange in the comments, and he has more recently published a post entitled ‘Disadvantages of Rule-Based Systems (Part 1)’. Whatever the rights and wrongs of our exchange, it clearly failed to generate any agreement or understanding of our different positions. I don't particularly want to promote further argument of that kind, but I do want to take the opportunity of offering a different perspective on rule-processing and an explanation of my comments. For me, the ‘red rag’ lay in Tim’s claim that “...rules alone are highly inefficient for most classes of (not simple) problems” and a later paragraph that appears to equate the simplicity of form (‘IF-THEN-ELSE’) with simplicity of function.   It is not the first time Tim has expressed these views and not the first time I have responded to his assertions.   Indeed, Tim has a long history of commenting on the subject of complex event processing (CEP) and, less often, rule processing in ‘robust’ terms, often asserting that very many other people’s opinions on this subject are mistaken.   In turn, I am of the opinion that, certainly in terms of rule processing, which is an area in which I have a specific interest and knowledge, he is often mistaken. There is no simple answer to the fundamental question ‘what is a rule?’ We use the word in a very fluid fashion in English. Likewise, the term ‘rule processing’, as used widely in IT, is equally difficult to define simplistically. The best way to envisage the term is as a ‘centre of gravity’ within a wider domain. That domain contains many other ‘centres of gravity’, including CEP, statistical analytics, neural networks, natural language processing and so much more. Whole communities tend to gravitate towards and build themselves around some of these centres. The term 'rule processing' is associated with many different technology types, various software products, different architectural patterns, the functional capability of many applications and services, etc. There is considerable variation amongst these different technologies, techniques and products. Very broadly, a common theme is their ability to manage certain types of processing and problem solving through declarative, or semi-declarative, statements of propositional logic bound to action-based consequences. It is generally important to be able to decouple these statements from other parts of an overall system or architecture so that they can be managed and deployed independently.  As a centre of gravity, ‘rule processing’ is no island. It exists in the context of a domain of discourse that is, itself, highly interconnected and continuous.   Rule processing does not, for example, exist in splendid isolation to natural language processing.   On the contrary, an on-going theme of rule processing is to find better ways to express rules in natural language and map these to executable forms.   Rule processing does not exist in splendid isolation to CEP.   On the contrary, an event processing agent can reasonably be considered as a rule engine (a theme in ‘Power of Events’ by David Luckham).   Rule processing does not live in splendid isolation to statistical approaches such as Bayesian analytics. On the contrary, rule processing and statistical analytics are highly synergistic.   Rule processing does not even live in splendid isolation to neural networks. For example, significant research has centred on finding ways to translate trained nets into explicit rule sets in order to support forms of validation and facilitate insight into the knowledge stored in those nets. What about simplicity of form?   Many rule processing technologies do indeed use a very simple form (‘If...Then’, ‘When...Do’, etc.)   However, it is a fundamental mistake to equate simplicity of form with simplicity of function.   It is absolutely mistaken to suggest that simplicity of form is a barrier to the efficient handling of complexity.   There are countless real-world examples which serve to disprove that notion.   Indeed, simplicity of form is often the key to handling complexity. Does rule processing offer a ‘one size fits all’. No, of course not.   No serious commentator suggests it does.   Does the design and management of large knowledge bases, expressed as rules, become difficult?   Yes, it can do, but that is true of any large knowledge base, regardless of the form in which knowledge is expressed.   The measure of complexity is not a function of rule set size or rule form.  It tends to be correlated more strongly with the size of the ‘problem space’ (‘search space’) which is something quite different.   Analysis of the problem space and the algorithms we use to search through that space are, of course, the very things we use to derive objective measures of the complexity of a given problem. This is basic computer science and common practice. Sailing a Dreadnaught through the sea of information technology and lobbing shells at some of the islands we encounter along the way does no one any good.   Building bridges and causeways between islands so that the inhabitants can collaborate in open discourse offers hope of real progress.

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  • Forcing an External Activation with Service Broker

    - by Davide Mauri
    In these last days I’ve been working quite a lot with Service Broker, a technology I’m really happy to work with, since it can give a lot of satisfaction. The scale-out solution one can easily build is simply astonishing. I’m helping a company to build a very scalable and – yet almost inexpensive – invoicing system that has to be able to scale out using commodity hardware. To offload the work from the main server to satellite “compute nodes” (yes, I’ve borrowed this term from PDW) we’re using Service Broker and the External Activator application available in the SQL Server Feature Pack. For those who are not used to work with SSB, the External Activation is a feature that allows you to intercept the arrival of a message in a queue right from your application code. http://msdn.microsoft.com/en-us/library/ms171617.aspx (Look for “Event-Based Activation”) In order to make life even more easier, Microsoft released the External Activation application that saves you even from writing even this code. http://blogs.msdn.com/b/sql_service_broker/archive/tags/external+activator/ The External Activator application can be configured to execute your own application so that each time a message – an invoice in my case – arrives in the target queue, the invoking application is executed and the invoice is calculated. The very nice feature of External Activator is that it can automatically execute as many configured application in order to process as many messages as your system can handle.  This also a lot of create a scale-out solution, leaving to the developer only a fraction of the problems that usually came with asynchronous programming. Developers are also shielded from Service Broker since everything can be encapsulated in Stored Procedures, so that – for them – developing such scale-out asynchronous solution is not much more complex than just executing a bunch of Stored Procedures. Now, if everything works correctly, you don’t have to bother of anything else. You put messages in the queue and your application, invoked by the External Activator, process them. But what happen if for some reason your application fails to process the messages. For examples, it crashes? The message is safe in the queue so you just need to process it again. But your application is invoked by the External Activator application, so now the question is, how do you wake up that app? Service Broker will engage the activation process only if certain conditions are met: http://msdn.microsoft.com/en-us/library/ms171601.aspx But how we can invoke the activation process manually, without having to wait for another message to arrive (the arrival of a new message is a condition that can fire the activation process)? The “trick” is to do manually with the activation process does: sending a system message to a queue in charge of handling External Activation messages: declare @conversationHandle uniqueidentifier; declare @n xml = N' <EVENT_INSTANCE>   <EventType>QUEUE_ACTIVATION</EventType>   <PostTime>' + CONVERT(CHAR(24),GETDATE(),126) + '</PostTime>   <SPID>' + CAST(@@SPID AS VARCHAR(9)) + '</SPID>   <ServerName>[your_server_name]</ServerName>   <LoginName>[your_login_name]</LoginName>   <UserName>[your_user_name]</UserName>   <DatabaseName>[your_database_name]</DatabaseName>   <SchemaName>[your_queue_schema_name]</SchemaName>   <ObjectName>[your_queue_name]</ObjectName>   <ObjectType>QUEUE</ObjectType> </EVENT_INSTANCE>' begin dialog conversation     @conversationHandle from service        [<your_initiator_service_name>] to service          '<your_event_notification_service>' on contract         [http://schemas.microsoft.com/SQL/Notifications/PostEventNotification] with     encryption = off,     lifetime = 6000 ; send on conversation     @conversationHandle message type     [http://schemas.microsoft.com/SQL/Notifications/EventNotification] (@n) ;     end conversation @conversationHandle; That’s it! Put the code in a Stored Procedure and you can add to your application a button that says “Force Queue Processing” (or something similar) in order to start the activation process whenever you need it (which should not occur too frequently but it may happen). PS I know that the “fire-and-forget” (ending the conversation without waiting for an answer) technique is not a best practice, but in this case I don’t see how it can hurts so I decided to stay very close to the KISS principle []

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  • SQL SERVER – Service Broker and CAP_CPU_PERCENT – Limiting SQL Server Instances to CPU Usage

    - by pinaldave
    I have mentioned several times on this blog that the best part of blogging is the questions I receive from readers. They are often very interesting. The questions from readers give me a good idea what other readers might be thinking as well. After reading my earlier article Simple Example to Configure Resource Governor – Introduction to Resource Governor – I received an email from a reader and we exchanged a few emails. After exchanging emails we both figured out what is going on. It was indeed interesting and reader suggested to that I should blog about it.  I asked for permission to publish his name but he does not like the attention so we will just call him Jeff. I have converted our emails into chat for easy consumption. Jeff: Your script does not work at all. I think either there is a bug in SQL Server. Pinal: Would you please explain in detail? Jeff: Your code does not limit the CPU usage? Pinal: How did you measure it? Jeff: Well, we have third party tools for it but let us say I have limited the resources for Reporting Services and used your script described in your blog. After that I ran only reporting service workload the CPU is still used more than 100% and it is not limited to 30% as described in your script. Clearly something is wrong somewhere. Pinal: Did you say you ONLY ran reporting server load? Jeff: Yeah, to validate I ran ONLY reporting server load and CPU did not throttle at 30% as per your script. Pinal: Oh! I get it here is the answer - CAP_CPU_PERCENT = 30. Use it. Jeff: What is that, I think your earlier script says it will throttle the Reporting Service workload and Application/OLTP workload and balance it. Pinal: Exactly, that is correct. Jeff: You need to write more in email buddy! Just like your blogs, your answers do not make sense! No Offense! Pinal: Hmm…feedback well taken. Let me try again. In SQL Server 2012 there are a few enhancements with regards to SQL Server Resource Governor. One of the enhancement is how the resources are allocated. Let me explain you with examples. Configuration: [Read Earlier Post] Reporting Workload: MIN_CPU_PERCENT=0, MAX_CPU_PERCENT=30 Application/OLTP Workload: MIN_CPU_PERCENT=50, MAX_CPU_PERCENT=100 Example 1: If there is only Reporting Workload on the server: SQL Server will not limit usage of CPU to only 30% workload but SQL Server instance will use all available CPU (if needed). In another word in this scenario it will use more than 30% CPU. Example 2: If there is Reproting Workload and heavy Application/OLTP workload: SQL Server will allocate a maximum of 30% CPU resources to Reporting Workload and allocate remaining resources to heavy application/OLTP workload. The reason for this enhancement is for better utilization of the resources. Let us think, if there is only single workload, which we have limited to max CPU usage to 30%. The other unused available CPU resources is now wasted. In this situation SQL Server allows the workload to use more than 30% resources leading to overall improved/optimized performance. However, in the case of multiple workload where lots of resources are needed the limits specified in MAX_CPU_PERCENT are acknowledged. Example 3: If there is a situation where the max CPU workload has to be enforced: This is a very interesting scenario, in the case when the max CPU workload has to be enforced irrespective of the workload and enhanced algorithm, the keyword CAP_CPU_PERCENT is essential. It specifies a hard cap on the CPU bandwidth that all requests in the resource pool will receive. It will never let CPU usage for reporting workload to go over 30% in our case. You can use the key word as follows: -- Creating Resource Pool for Report Server CREATE RESOURCE POOL ReportServerPool WITH ( MIN_CPU_PERCENT=0, MAX_CPU_PERCENT=30, CAP_CPU_PERCENT=40, MIN_MEMORY_PERCENT=0, MAX_MEMORY_PERCENT=30) GO Notice that there is MAX_CPU_PERCENT=30 and CAP_CPU_PERCENT=40, what it means is that when SQL Server Instance is under heavy load under different workload it will use the maximum CPU at 30%. However, when the SQL Server instance is not under workload it will go over the 30% limit. However, as CAP_CPU_PERCENT is set to 40, it will not go over 40% in any case by limiting the usage of CPU. CAP_CPU_PERCENT puts a hard limit on the resources usage by workload. Jeff: Nice Pinal, you should blog about it. [A day passes by] Pinal: Jeff, it is done! Click here to read it. Reference: Pinal Dave (http://blog.sqlauthority.com) Filed under: PostADay, SQL, SQL Authority, SQL Query, SQL Server, SQL Tips and Tricks, T SQL, Technology Tagged: Service Broker

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  • Comments on Comments

    - by Joe Mayo
    I almost tweeted a reply to Capar Kleijne's question about comments on Twitter, but realized that my opinion exceeded 140 characters. The following is based upon my experience with extremes and approaches that I find useful in code comments. There are a couple extremes that I've seen and reasons why people go the distance in each approach. The most common extreme is no comments in the code at all.  A few bad reasons why this happens is because a developer is in a hurry, sloppy, or is interested in job preservation. The unfortunate result is that the code is difficult to understand and hard to maintain. The drawbacks to no comments in code are a primary reason why teachers drill the need for commenting code into our heads.  This viewpoint assumes the lack of comments are bad because the code is bad, but there is another reason for not commenting that is gaining more popularity. I've heard/and read that code should be self documenting. Following this thought pattern, if code is well written with meaningful names, there should not be a reason for comments.  An addendum to this argument is that comments are often neglected and get out-of-date, but the code is what is kept up-to-date. Presumably, if code contained very good naming, it would be easy to maintain.  This is a noble perspective and I like the practice of meaningful naming of identifiers. However, I think it's also an extreme approach that doesn't cover important cases.  i.e. If an identifier is named badly (subjective differences in opinion) or not changed appropriately during maintenance, then the badly named identifier is no more useful than a stale comment. These were the two no-comment extremes, so let's look at the too many comments extreme. On a regular basis, I'll see cases where the code is over-commented; not nearly as often as the no-comment scenarios, but still prevalent.  These are examples of where every single line in the code is commented.  These comments make the code harder to read because they get in the way of the algorithm.  In most cases, the comments parrot what each line of code does.  If a developer understands the language, then most statements are immediately intuitive.  i.e. what use is it to say that I'm assigning foo to bar when it's clear what the code is doing. I think that over-commenting code is a waste of time that slows down initial development and maintenance.  Understandably, the developer's intentions are admirable because they've had it beaten into their heads that they must comment. However, I think it's an extreme and prefer a more moderate approach. I don't think the extremes do justice to code because each can make maintenance harder.  No comments on bad code is obviously a problem, but the other two extremes are subtle and require qualification to address properly. The problem I see with the code-as-documentation approach is that it doesn't lift the developer out of the algorithm to identify dependencies, intentions, and hacks. Any developer can read code and follow an algorithm, but they still need to know where it fits into the big picture of the application. Because of indirections with language features like interfaces, delegates, and virtual members, code can become complex.  Occasionally, it's useful to point out a nuance or reason why a piece of code is there. i.e. If you've building an app that communicates via HTTP, you'll have certain headers to include for the endpoint, and it could be useful to point out why the code for setting those header values is there and how they affect the application. An argument against this could be that you should extract that code into a separate method with a meaningful name to describe the scenario.  My problem with such an approach would be that your code base becomes even more difficult to navigate and work with because you have all of this extra code just to make the code more meaningful. My opinion is that a simple and well-stated comment stating the reasons and intention for the code is more natural and convenient to the initial developer and maintainer.  I just don't agree with the approach of going out of the way to avoid making a comment.  I'm also concerned that some developers would take this approach as an excuse to not comment their bad code. Another area where I like comments is on documentation comments.  Java has it and so does C# and VB.  It's convenient because we can build automated tools that extract these comments.  These extracted comments are often much better than no documentation at all.  The "go read the code" answer always doesn't fulfill the need for a quick summary of an API. To summarize, I think that the extremes of no comments and too many comments are less than desirable approaches. I prefer documentation comments to explain each class and member (API level) and code comments as necessary to supplement well-written code. Joe

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  • Rob Blackwell on interoperability and Azure

    - by Eric Nelson
    At QCon in March we had a sample Azure application implemented in both Java and Ruby to demonstrate that the Windows Azure Platform is not just about .NET. The following is an interesting interview with Rob Blackwell, the R&D director of the partner who implemented the application. UK Interoperability Team Interviews Rob Blackwell, R&D Director at Active Web Solutions. Is Microsoft taking interoperability seriously? Yes. In the past, I think Microsoft has, quite rightly come in for criticism, but architects and developers should look at this again. The Interoperability Bridges site (http://www.interoperabilitybridges.com/ ) shows a wide range of projects that allow interoperability from Java, Ruby and PHP for example. The Windows Azure platform has been architected with interoperable APIs in mind. It's straightforward to access the various storage facilities from just about any language or platform. Azure compute is capable of running more than just C# applications! Why is interoperability important to you? My company provides consultancy and bespoke development services. We're a Microsoft Gold Partner, but we live in the real world where companies have a mix of technologies provided by a variety of vendors. When developing an enterprise software solution, you rarely have a completely blank canvas. We often see integration scenarios where we need to exchange data with legacy systems. It's not unusual to see modern Silverlight applications being built on top of Java or Mainframe based back ends. Could you give us some examples of where interoperability has been important for your projects? We developed an innovative Sea Safety system for the RNLI Lifeboats here in the UK. Commercial Fishing is one of the most dangerous professions and we helped developed the MOB Guardian System which uses satellite technology and man overboard devices to raise the alarm when a fisherman gets into trouble. The solution is implemented in .NET running on Windows, but without interoperable standards, it would have been impossible to communicate with the satellite gateway technology. For more information, please see the case study: http://www.microsoft.com/casestudies/Case_Study_Detail.aspx?CaseStudyID=4000005892 More recently, we were asked to build a web site to accompany the QCon 2010 conference in London to help demonstrate and promote interoperability. We built the site using Java and Restlet and hosted it in Windows Azure Compute. The site accepts feedback from visitors and all the data is stored in Windows Azure Storage. We also ported the application to Ruby on Rails for demonstration purposes. Visitors to the stand were surprised that this was even possible. Why should Java developers be interested in Windows Azure? Windows Azure Storage consists of Blobs, Queues and Tables. The storage is scalable, durable, secure and cost-effective. Using the WindowsAzure4j library, it's easy to use, and takes just a few lines of code. If you are writing an application with large data storage requirements, or you want an offsite backup, it makes a lot of sense. Running Java applications in Azure Compute is straightforward with tools like the Tomcat Solution Accelerator (http://code.msdn.microsoft.com/winazuretomcat )and AzureRunMe (http://azurerunme.codeplex.com/ ). The Windows Azure AppFabric Service Bus can also be used to connect heterogeneous systems running on different networks and in different data centres. How can The Service Bus be considered an interoperability solution? I think that the Windows Azure AppFabric Service Bus is one of Microsoft’s best kept secrets. Think of it as “a globally scalable application plumbing kit in the sky”. If you have used Enterprise Service Buses before, you’ll be familiar with the concept. Applications can connect to the service bus to securely exchange data – these can be point to point or multicast links. With the AppFabric Service Bus, the applications can exist anywhere that has access to the Internet and the connections can traverse firewalls. This makes it easy to extend or scale your application or reach out to other networks and technologies. For example, let’s say you have a SQL Server database running on premises and you want to expose the data to a Java application running in the cloud. You could set up a point to point Service Bus connection and use JDBC. Traditionally this would have been difficult or impossible without punching holes in firewalls and compromising security. Rob Blackwell is R&D Director at Active Web Solutions, www.aws.net , a Microsoft Gold Partner specialising in leading edge software solutions. He is an occasional writer and conference speaker and blogs at www.robblackwell.org.uk Related Links: UK Azure Online Community – join today. UK Windows Azure Site Start working with Windows Azure

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  • ViewBag dynamic in ASP.NET MVC 3 - RC 2

    - by hajan
    Earlier today Scott Guthrie announced the ASP.NET MVC 3 - Release Candidate 2. I installed the new version right after the announcement since I was eager to see the new features. Among other cool features included in this release candidate, there is a new ViewBag dynamic which can be used to pass data from Controllers to Views same as you use ViewData[] dictionary. What is great and nice about ViewBag (despite the name) is that its a dynamic type which means you can dynamically get/set values and add any number of additional fields without need of strongly-typed classes. In order to see the difference, please take a look at the following examples. Example - Using ViewData Controller public ActionResult Index() {     List<string> colors = new List<string>();     colors.Add("red");     colors.Add("green");     colors.Add("blue");                 ViewData["listColors"] = colors;     ViewData["dateNow"] = DateTime.Now;     ViewData["name"] = "Hajan";     ViewData["age"] = 25;     return View(); } View (ASPX View Engine) <p>     My name is     <b><%: ViewData["name"] %></b>,     <b><%: ViewData["age"] %></b> years old.     <br />         I like the following colors: </p> <ul id="colors"> <% foreach (var color in ViewData["listColors"] as List<string>){ %>     <li>        <font color="<%: color %>"><%: color %></font>    </li> <% } %> </ul> <p>     <%: ViewData["dateNow"] %> </p> (I know the code might look cleaner with Razor View engine, but it doesn’t matter right? ;) ) Example - Using ViewBag Controller public ActionResult Index() {     List<string> colors = new List<string>();     colors.Add("red");     colors.Add("green");     colors.Add("blue");     ViewBag.ListColors = colors; //colors is List     ViewBag.DateNow = DateTime.Now;     ViewBag.Name = "Hajan";     ViewBag.Age = 25;     return View(); } You see the difference? View (ASPX View Engine) <p>     My name is     <b><%: ViewBag.Name %></b>,     <b><%: ViewBag.Age %></b> years old.     <br />         I like the following colors: </p> <ul id="colors"> <% foreach (var color in ViewBag.ListColors) { %>     <li>         <font color="<%: color %>"><%: color %></font>     </li> <% } %> </ul> <p>     <%: ViewBag.DateNow %> </p> In my example now I don’t need to cast ViewBag.ListColors as List<string> since ViewBag is dynamic type! On the other hand the ViewData[“key”] is object.I would like to note that if you use ViewData["ListColors"] = colors; in your Controller, you can retrieve it in the View by using ViewBag.ListColors. And the result in both cases is Hope you like it! Regards, Hajan

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