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  • Remove duplicates from a sorted ArrayList while keeping some elements from the duplicates

    - by js82
    Okay at first I thought this would be pretty straightforward. But I can't think of an efficient way to solve this. I figured a brute force way to solve this but that's not very elegant. I have an ArrayList. Contacts is a VO class that has multiple members - name, regions, id. There are duplicates in ArrayList because different regions appear multiple times. The list is sorted by ID. Here is an example: Entry 0 - Name: John Smith; Region: N; ID: 1 Entry 1 - Name: John Smith; Region: MW; ID: 1 Entry 2 - Name: John Smith; Region: S; ID: 1 Entry 3 - Name: Jane Doe; Region: NULL; ID: 2 Entry 4 - Name: Jack Black; Region: N; ID: 3 Entry 6 - Name: Jack Black; Region: MW; ID: 3 Entry 7 - Name: Joe Don; Region: NE; ID: 4 I want to transform the list to below by combining duplicate regions together for the same ID. Therefore, the final list should have only 4 distinct elements with the regions combined. So the output should look like this:- Entry 0 - Name: John Smith; Region: N,MW,S; ID: 1 Entry 1 - Name: Jane Doe; Region: NULL; ID: 2 Entry 2 - Name: Jack Black; Region: N,MW; ID: 3 Entry 3 - Name: Joe Don; Region: NE; ID: 4 What are your thoughts on the optimal way to solve this? I am not looking for actual code but ideas or tips to go about the best way to get it done. Thanks for your time!!!

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  • Magento- custom attribute causes blank order number.

    - by frank
    Hi- I created a simple custom attribute on the sales/order entity. Now, for new orders, order number is null. I looked at the sales_order table, and sure enough, increment_id is null... can anyone help me out, I am stumped? This is my setup.php: `public function getDefaultEntities() { return array( 'order' => array( 'entity_model' => 'sales/order', //'attribute_model' => 'catalog/resource_eav_attribute', 'table' => 'sales/order', 'attributes' => array( 'pr_email_sent' => array( 'label' => 'prEmailSent', 'type' => 'varchar', 'default' => 'false' ), ) ) ); }` This is my config.xml <fieldsets> <sales_order> <pr_email_sent><create>1</create><update>1</update></pr_email_sent> </sales_order> </fieldsets> Thanks.

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  • Single Form with Multiple Dynamic Buttons

    - by John Reilly
    I've spent hours/days trying to figure this out and now I'm completely perplexed so I thought I'd give stackoverflow a try. I'm (a newb) working in Java/JSP using Eclipse hosting on Google App Engine trying to develop an app for a volunteer organization I'm a member of. Rather than embarrass myself by showing my current code I'd love just a nudge in the right direction. I have a form (which doubles as a report basically) showing "people" grouped under the "task" they are currently working on. I would like to select multiple people from multiple tasks and reassign them to another task e.g. Bill and Jane are Gardening, Jeff is Painting. I want to select Jane and Jeff (all people have an associated checkbox in the form) and re-assign them to Sweeping (which is a task on the form but has no people assigned to it yet). Ideally, the re-assignment to Sweeping would be via a Sweeping button (each task would have a dynamically-created task button) that would pass the "Sweeping" value to a servlet along with an array or list of people whose checkbox has been checked. The servlet would handle the request (creating an Assignment "object/entity" with timeStamp, personId, taskId) and then re-direct back to the form/report which would then repaint with the current tasks/people generated from the Assignments class in the datastore. All the tasks are user-defined and retrieved from the database when building the form. Ditto the people. I've been trying to keep the jsp for presentation and the servlets for the processing but I'm no purist and would just like to get unstuck. Many thanks in advance for your assistance.

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  • XML/C#: Read content if only if attribute is correct

    - by Zach
    Hi Guys, I have an XML file as follows, and I'm trying to read the content of the Name tag, only if the attribute of the Record tag is what I want. (continued below code) The XML file is: <?xml version="1.0" encoding="utf-8" ?> <Database> <Record Number="1"> <Name>John Doe</Name> <Position>1</Position> <HoursWorked>290</HoursWorked> <LastMonthChecked>0310</LastMonthChecked> </Record> <Record Number="2"> <Name>Jane Doe</Name> <Position>1</Position> <HoursWorked>251</HoursWorked> <LastMonthChecked>0310</LastMonthChecked> </Record> </Database> This is the C# code I have so far: public static string GetName(int EmployeeNumber) { XmlTextReader DataReader = new XmlTextReader("Database.xml"); DataReader.MoveToContent(); while (DataReader.Read()) { if (DataReader.NodeType == XmlNodeType.Element && DataReader.HasAttributes && DataReader.Name == "Record") { DataReader.MoveToAttribute(EmployeeNumber); DataReader.MoveToContent(); if (DataReader.NodeType == XmlNodeType.Element && DataReader.Name == "Name") { return DataReader.ReadContentAsString(); } } } } So for example, if 2 is passed to the function, I want it to return the string "Jane Doe". I'm new to XML parsing, so any help would be appreciated. Thanks.

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  • How do I add ROW_NUMBER to a LINQ query or Entity?

    - by Whozumommy
    I'm stumped by this easy data problem. I'm using the Entity framework and have a database of products. My results page returns a paginated list of these products. Right now my results are ordered by the number of sales of each product, so my code looks like this: return Products.OrderByDescending(u => u.Sales.Count()); This returns an IQueryable dataset of my entities, sorted by the number of sales. I want my results page to show the rank of each product (in the dataset). My results should look like this: Page #1 1. Bananas 2. Apples 3. Coffee Page #2 4. Cookies 5. Ice Cream 6. Lettuce I'm expecting that I just want to add a column in my results using the SQL ROW_NUMBER variable...but I don't know how to add this column to my results datatable. My resulting page does contain a foreach loop, but since I'm using a paginated set I'm guessing using that number to fake a ranking number would NOT be the best approach. So my question is, how do I add a ROW_NUMBER column to my query results in this case?

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  • Horizontally align rows in multiple tables using web user control

    - by goku_da_master
    I need to align rows in different tables that are layed out horizontally. I'd prefer to put the html code in a single web user control so I can create as many instances of that control as I want and lay them out horizontally. The problem is, the text in the rows needs to wrap. So some rows may expand vertically and some may not (see the example below). When that happens, the rows in the other tables aren't aligned horizontally. I know I can accomplish all this by using a single table, but that would mean I'd have to duplicate the name, address and phone html code instead of dynamically creating new instances of my user control (in reality there are many more fields than this, but I'm keeping it simple). Is there any way to do this whether with div's, tables or something else? Here's the problem: Mary Jane's address field expands 2 lines, causing her phone field to not align properly with John's and Bob's. Name: John Doe Name: Mary Jane Name: Bob Smith Address: 123 broadway Address: Some really long address Address: Short address Phone: 123-456 that takes up multiple lines Phone: 111-2222 Phone: 456-789 I'm not restricted in any way how to do this (other than using asp.net), but I'd prefer to use a single web control that I instantiate X times at design time (in this example, it's 3 times). I'm using VS2008, and .Net 3.5

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  • How Can I Create Reports in a Custom C#.NET Windows Application? - General Question

    - by user311509
    Assume i have a custom Windows application written in C#. This application has only the following functionalists, add, edit, delete and view. For example, a user can add a sale, change sales record, delete a sale record or view the whole sales record. I need to add some reporting functionalists e.g. i want a user to print the sales of a certain customer from 2008 to 2009 into pdf, what all products a certain customer has purchased from us and so on. I will only include the basic common report requests that are usually needed in the office. Any other kind of reports that are requested inconsistently, i would do it manually from my side at the back end and send the results manually to the requester. What i would do is: If a user wants more info of a certain customer, a special window box appears for that customer. This window box will have different controls that allows user to request more info such as, print customer purchases from ..... to ..... (user chooses the dates) and user will view results in pdf or so. Of course, at the back scene i will write an appropriate SQL Query with parameters that meets a certain function. Is this how it should be done? I have heard about SQL Reporting, i don't know anything about it yet. I will check it out. Anyhow, your suggestions won't harm. I'm still a student, so i don't have practical experience yet. I hope my question is clear enough. Thank you.

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  • Python and a "time value of money" problem.

    - by jamieb
    (I asked this question earlier today, but I did a poor job of explaining myself. Let me try again) I have a client who is an industrial maintenance company. They sell service agreements that are prepaid 20 hour blocks of a technician's time. Some of their larger customers might burn through that agreement in two weeks while customers with fewer problems might go eight months on that same contract. I would like to use Python to help model projected sales revenue and determine how many billable hours per month that they'll be on the hook for. If each customer only ever bought a single service contract (never renewed) it would be easy to figure sales as monthly_revenue = contract_value * qty_contracts_sold. Billable hours would also be easy: billable_hrs = hrs_per_contract * qty_contracts_sold. However, how do I account for renewals? Assuming that 90% (or some other arbitrary amount) of customers renew, then their monthly revenue ought to grow geometrically. Another important variable is how long the average customer burns through a contract. How do I determine what the revenue and billable hours will be 3, 6, or 12 months from now, based on various renewal and burn rates? I assume that I'd use some type of recursive function but math was never one of my strong points. Any suggestions please? Edit: I'm thinking that the best way to approach this is to think of it as a "time value of money" problem. I've retitled the question as such. The problem is probably a lot more common if you think of "monthly sales" as something similar to annuity payments.

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  • C++ cin whitespace question

    - by buddyfox
    Programming novice here. I'm trying to allow a user to enter their name, firstName middleName lastName on one line in the console (ex. "John Jane Doe"). I want to make the middleName optional. So if the user enters "John Doe" it only saves the first and last name strings. If the user enters "John Jane Doe" it will save all three. I was going to use this: cin >> firstName >> middleName >> lastName; then I realized that if the user chooses to omit their middle name and enters "John Doe" the console will just wait for the user to enter a third string... I know I could accomplish this with one large string and breaking it up into two or three, but isn't there a simpler way to do it with three strings like above? I feel like I'm missing something simple here... Thanks in advance.

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  • NHibernate Criteria question

    - by Jeneatte Jolie
    I have a person object, which can have unlimited number of first names. So the first names are another object. ie person --- name             --- name             --- name What I want to do is write an nhiberate query using which will get me a person who has certain names. so one query might be find someone whose names are alison and jane and philippa, then next query may be one to find someone whose names are alison and jane. I only want to return people who have all the names I'm search on. So far I've got ICriteria criteria = session.CreateCriteria(typeof (Person)); criteria.CreateAlias("Names", "name"); ICriterion expression = null; foreach (string name in namesToFind) { if (expression == null) { expression = Expression.Like("name.Value", "%" + name + "%"); } else { expression = Expression.Or( expression, Expression.Like("name.Value", "%" + name + "%")); } } if (expression != null) criteria.Add(expression); But this is returning every person with ANY of the names I'm searching on, not ALL the names. Can anyone help me out with this? Thanks!

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  • stored procedure issue, has to do with my where clause and if statement

    - by MyHeadHurts
    right now my stored procedure is returning 2 different result sets one for @booked and the other for @booked1 if you look closely my query is doing the same thing for each @booked and @booked but one is for a user selected year and the other for the current year. I don't want two different result sets, i want to join the selected year and the current year side by side by SDESCR(which is a column that they have in common) another hurdle i am facing is i am use @mode to decide whether the user wants netsales, sales... so on. I know i need sometype of join but, it isnt working because i have a where statement that says where dyyyy= @yeartoget which won't allow the current year data to work ALTER PROCEDURE [dbo].[test1] @mode varchar(20), @YearToGet int AS SET NOCOUNT ON Declare @Booked Int Set @Booked = CONVERT(int,DateAdd(year, @YearToGet - Year(getdate() + 1), DateAdd(day, DateDiff(day, 1, getdate()), 1) ) ) Declare @Booked1 Int Set @Booked1 = CONVERT(int,DateAdd(year, (year( getdate() )) - Year(getdate() + 1), DateAdd(day, DateDiff(day, 1, getdate()), 1) ) ) If @mode = 'Sales' Select Division, SDESCR, DYYYY, Sum(Case When Booked <= @Booked Then NetAmount End) ASofNetSales, SUM(NetAmount) AS YENetSales, Sum(Case When Booked <= @Booked Then PARTY End) AS ASofPAX, SUM(PARTY) AS YEPAX From dbo.B101BookingsDetails Where DYYYY = @YearToGet Group By SDESCR, DYYYY, Division Order By Division, SDESCR, DYYYY else if @mode = 'netsales' Select Division, SDESCR, DYYYY, Sum(Case When Booked <= @Booked Then NetAmount End) ASofNetSales, SUM(NetAmount) AS YENetSales, Sum(Case When Booked <= @Booked Then PARTY End) AS ASofPAX, SUM(PARTY) AS YEPAX From dbo.B101BookingsDetails Where DYYYY = @YearToGet Group By SDESCR, DYYYY, Division Order By Division, SDESCR, DYYYY If @mode = 'Sales' Select Division, SDESCR, DYYYY, Sum(Case When Booked <= @Booked1 Then NetAmount End) currentNetSales, Sum(Case When Booked <= @Booked1 Then PARTY End) AS currentPAX From dbo.B101BookingsDetails Where DYYYY = (year( getdate() )) Group By SDESCR, DYYYY, Division Order By Division, SDESCR, DYYYY else if @mode = 'netsales' Select Division, SDESCR, DYYYY, Sum(Case When Booked <= @Booked1 Then NetAmount End) currentNetSales, Sum(Case When Booked <= @Booked1 Then PARTY End) AS currentPAX From dbo.B101BookingsDetails Where DYYYY = (year( getdate() )) Group By SDESCR, DYYYY, Division Order By Division, SDESCR, DYYYY Else if @mode = 'Inssales' Select Division, SDESCR, DYYYY, Sum(Case When Booked <= @Booked1 Then InsAmount End) currentInsSales, Sum(Case When Booked <= @Booked1 Then PARTY End) AS currentPAX From dbo.B101BookingsDetails Where DYYYY = (year( getdate() )) Group By SDESCR, DYYYY, Division Order By Division, SDESCR, DYYYY

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  • CodeIgniter: problem using foreach in view

    - by krike
    I have a model and controller who gets some data from my database and returns the following array Array ( [2010] => Array ( [year] => 2010 [months] => Array ( [0] => stdClass Object ( [sales] => 2 [month] => Apr ) [1] => stdClass Object ( [sales] => 1 [month] => Nov ) ) ) [2011] => Array ( [year] => 2011 [months] => Array ( [0] => stdClass Object ( [sales] => 1 [month] => Nov ) ) ) ) It shows exactly what it should show but the key's have different names so I have no idea on how to loop through the years using foreach in my view. Arrays is something I'm not that good at yet :( this is the controller if you need to know: function analytics() { $this->load->model('admin_model'); $analytics = $this->admin_model->Analytics(); foreach ($analytics as $a): $data[$a->year]['year'] = $a->year; $data[$a->year]['months'] = $this->admin_model->AnalyticsMonth($a->year); endforeach; echo"<pre style='text-align:left;'>"; print_r($data); echo"</pre>"; $data['main_content'] = 'analytics'; $this->load->view('template_admin', $data); }//end of function categories()

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  • The question about the basics of LINQ to SQL working

    - by Alex
    I just started learning LINQ to SQL, and so far I'm impressed with the easy of use and good performance. I used to think that when doing LINQ queries like from Customer in DB.Customers where Customer.Age > 30 select Customer Get all customers from the database ("SELECT * FROM Customers"), move them to the Customers array and then make a search in that Array using .NET methods. This is very inefficient, what if there are hundreds of thousands of customers in the database? Making such big SELECT queries would kill the web application. Now after experiencing how actually fast LINQ to SQL is, I start to suspect that when doing that query I just wrote, LINQ somehow converts it to a SQL Query string SELECT * FROM Customers WHERE Age > 30 And only when necessary it will run the query. So my question is: am I right? And when is the query actually run? The reason why I'm asking is not only because I want to understand how it works in order to build good optimized applications, but because I came across the following problem. I have 2 tables, one of them is Books, the other has information on how many books were sold on certain days. My goal is to select books that had at least 50 sales/day in past 10 days. It's done with this simple query: from Book in DB.Books where (from Sale in DB.Sales where Sale.SalesAmount >= 50 and Sale.DateOfSale >= DateTime.Now.AddDays(-10) select Sale.BookID).Contains(Book.ID) select Book The point is, I have to use the checking part in several queries and I decided to create an array with IDs of all popular books: var popularBooksIDs = from Sale in DB.Sales where Sale.SalesAmount >= 50 and Sale.DateOfSale >= DateTime.Now.AddDays(-10) select Sale.BookID; BUT when I try to do the query now: from Book in DB.Books where popularBooksIDs.Contains(Book.ID) select Book It doesn't work! That's why I think that we can't use thins kinds of shortcuts in LINQ to SQL queries, like we can't use them in real SQL. We have to create straightforward queries, am I right?

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  • PHP: Use a string as an array index path to retreive a value.

    - by Charles
    Say I have an array like: Array ( [0] => Array ( [Data] => Array ( [id] => 1 [title] => Manager [name] => John Smith ) ) [1] => Array ( [Data] => Array ( [id] => 1 [title] => Clerk [name] => ( [first] => Jane [last] => Smith ) ) ) ) I want to be able to build a function that I can pass a string to that will act as the array index path and return the appropriate array value without using eval(). Is that possible? function($indexPath, $arrayToAccess) { //$indexPath would be something like [0]['Data']['name'] which would return //"Manager" or it could be [1]['Data']['name']['first'] which would return //"Jane" but the amount of array indexs that will be in the index path can //change, so there might be 3 like the first example, or 4 like the second. return $arrayToAccess[$indexPath] <-obviously wont work }

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  • Problem with inheritance and List<>

    - by Jagd
    I have an abstract class called Grouping. I have a subclass called GroupingNNA. public class GroupingNNA : Grouping { // blah blah blah } I have a List that contains items of type GroupingNNA, but is actually declared to contain items of type Grouping. List<Grouping> lstGroupings = new List<Grouping>(); lstGroupings.Add( new GroupingNNA { fName = "Joe" }); lstGroupings.Add( new GroupingNNA { fName = "Jane" }); The Problem: The following LINQ query blows up on me because of the fact that lstGroupings is declared as List< Grouping and fName is a property of GroupingNNA, not Grouping. var results = from g in lstGroupings where r.fName == "Jane" select r; Oh, and this is a compiler error, not a runtime error. Thanks in advance for any help on this one! More Info: Here is the actual method that won't compile. The OfType() fixed the LINQ query, but the compiler doesn't like the fact that I'm trying to return the anonymous type as a List< Grouping. private List<Grouping> ApplyFilterSens(List<Grouping> lstGroupings, string fSens) { // This works now! Thanks @Lasse var filtered = from r in lstGroupings.OfType<GroupingNNA>() where r.QASensitivity == fSens select r; if (filtered != null) { **// Compiler doesn't like this now** return filtered.ToList<Grouping>(); } else return new List<Grouping>(); }

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  • How to write these two queries for a simple data warehouse, using ANSI SQL?

    - by morpheous
    I am writing a simple data warehouse that will allow me to query the table to observe periodic (say weekly) changes in data, as well as changes in the change of the data (e.g. week to week change in the weekly sale amount). For the purposes of simplicity, I will present very simplified (almost trivialized) versions of the tables I am using here. The sales data table is a view and has the following structure: CREATE TABLE sales_data ( sales_time date NOT NULL, sales_amt double NOT NULL ) For the purpose of this question. I have left out other fields you would expect to see - like product_id, sales_person_id etc, etc, as they have no direct relevance to this question. AFAICT, the only fields that will be used in the query are the sales_time and the sales_amt fields (unless I am mistaken). I also have a date dimension table with the following structure: CREATE TABLE date_dimension ( id integer NOT NULL, datestamp date NOT NULL, day_part integer NOT NULL, week_part integer NOT NULL, month_part integer NOT NULL, qtr_part integer NOT NULL, year_part integer NOT NULL, ); which partition dates into reporting ranges. I need to write queries that will allow me to do the following: Return the change in week on week sales_amt for a specified period. For example the change between sales today and sales N days ago - where N is a positive integer (N == 7 in this case). Return the change in change of sales_amt for a specified period. For in (1). we calculated the week on week change. Now we want to know how that change is differs from the (week on week) change calculated last week. I am stuck however at this point, as SQL is my weakest skill. I would be grateful if an SQL master can explain how I can write these queries in a DB agnostic way (i.e. using ANSI SQL).

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  • Getting Response From Jquery JSON

    - by Howdy_McGee
    I'm having trouble getting a response from my php jquery / json / ajax. I keep combining all these different tutorials together but I still can't seem to pull it all together since no one tutorial follow what I'm trying to do. Right now I'm trying to pass two arrays (since there's no easy way to pass associative arrays) to my jquery ajax function and just alert it out. Here's my code: PHP $names = array('john doe', 'jane doe'); $ids = array('123', '223'); $data['names'] = $names; $data['ids'] = $ids; echo json_encode($data); Jquery function getList(){ $.ajax({ type: "GET", url: 'test.php', data: "", complete: function(data){ var test = jQuery.parseJSON(data); alert(test.names[0]); alert("here"); } }, "json"); } getList(); In my html file all I'm really calling is my javascript file for debugging purposes. I know i'm returning an object but I'm getting an error with null values in my names section, and i'm not sure why. What am I missing? My PHP file returns {"names":["john doe","jane doe"],"ids":["123","223"]} It seems to be just ending here Uncaught TypeError: Cannot read property '0' of undefined so my sub0 is killing me.

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  • IIS redirect url for virtual directory

    - by Jouni
    Hello, How i can set redirect url for virtual directory in iis 7.0.I have installed lates url rewrite module 2. ? I could explain my problem with exsample. I have website on my iis 7.0 server: www.mysite.com I desided to create virtual directory sales under my site which is pointing to website root directory.Now I need create redirect url for the vdir. The vdir is pointing same virtual root directory as my site root is The big idea is that i can write on browser www.mysite/sales and i will automaticly redirect to url www.mysite.com?productid=200. I tried to make redirect with rewite url for vdir(not website), but I always get this error message : cannot add duplicate colletion entry of type 'rule' with unique key key attribute 'name' set to "test".This happens when i am pointing for virtual vdir and try to add rule. I can add rules to website level,but rules doesn work. I mean url www.mysite/sales gives me follwing error. I know that key is unique I checked it from web.config. This kind of feature was really easy use in IIS 6.0, just point vdir with your mouse and set properties--a redirect to url. Please some one explain what is right way to do it in IIS 7.0

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  • The Incremental Architect&acute;s Napkin &ndash; #3 &ndash; Make Evolvability inevitable

    - by Ralf Westphal
    Originally posted on: http://geekswithblogs.net/theArchitectsNapkin/archive/2014/06/04/the-incremental-architectacutes-napkin-ndash-3-ndash-make-evolvability-inevitable.aspxThe easier something to measure the more likely it will be produced. Deviations between what is and what should be can be readily detected. That´s what automated acceptance tests are for. That´s what sprint reviews in Scrum are for. It´s no small wonder our software looks like it looks. It has all the traits whose conformance with requirements can easily be measured. And it´s lacking traits which cannot easily be measured. Evolvability (or Changeability) is such a trait. If an operation is correct, if an operation if fast enough, that can be checked very easily. But whether Evolvability is high or low, that cannot be checked by taking a measure or two. Evolvability might correlate with certain traits, e.g. number of lines of code (LOC) per function or Cyclomatic Complexity or test coverage. But there is no threshold value signalling “evolvability too low”; also Evolvability is hardly tangible for the customer. Nevertheless Evolvability is of great importance - at least in the long run. You can get away without much of it for a short time. Eventually, though, it´s needed like any other requirement. Or even more. Because without Evolvability no other requirement can be implemented. Evolvability is the foundation on which all else is build. Such fundamental importance is in stark contrast with its immeasurability. To compensate this, Evolvability must be put at the very center of software development. It must become the hub around everything else revolves. Since we cannot measure Evolvability, though, we cannot start watching it more. Instead we need to establish practices to keep it high (enough) at all times. Chefs have known that for long. That´s why everybody in a restaurant kitchen is constantly seeing after cleanliness. Hygiene is important as is to have clean tools at standardized locations. Only then the health of the patrons can be guaranteed and production efficiency is constantly high. Still a kitchen´s level of cleanliness is easier to measure than software Evolvability. That´s why important practices like reviews, pair programming, or TDD are not enough, I guess. What we need to keep Evolvability in focus and high is… to continually evolve. Change must not be something to avoid but too embrace. To me that means the whole change cycle from requirement analysis to delivery needs to be gone through more often. Scrum´s sprints of 4, 2 even 1 week are too long. Kanban´s flow of user stories across is too unreliable; it takes as long as it takes. Instead we should fix the cycle time at 2 days max. I call that Spinning. No increment must take longer than from this morning until tomorrow evening to finish. Then it should be acceptance checked by the customer (or his/her representative, e.g. a Product Owner). For me there are several resasons for such a fixed and short cycle time for each increment: Clear expectations Absolute estimates (“This will take X days to complete.”) are near impossible in software development as explained previously. Too much unplanned research and engineering work lurk in every feature. And then pervasive interruptions of work by peers and management. However, the smaller the scope the better our absolute estimates become. That´s because we understand better what really are the requirements and what the solution should look like. But maybe more importantly the shorter the timespan the more we can control how we use our time. So much can happen over the course of a week and longer timespans. But if push comes to shove I can block out all distractions and interruptions for a day or possibly two. That´s why I believe we can give rough absolute estimates on 3 levels: Noon Tonight Tomorrow Think of a meeting with a Product Owner at 8:30 in the morning. If she asks you, how long it will take you to implement a user story or bug fix, you can say, “It´ll be fixed by noon.”, or you can say, “I can manage to implement it until tonight before I leave.”, or you can say, “You´ll get it by tomorrow night at latest.” Yes, I believe all else would be naive. If you´re not confident to get something done by tomorrow night (some 34h from now) you just cannot reliably commit to any timeframe. That means you should not promise anything, you should not even start working on the issue. So when estimating use these four categories: Noon, Tonight, Tomorrow, NoClue - with NoClue meaning the requirement needs to be broken down further so each aspect can be assigned to one of the first three categories. If you like absolute estimates, here you go. But don´t do deep estimates. Don´t estimate dozens of issues; don´t think ahead (“Issue A is a Tonight, then B will be a Tomorrow, after that it´s C as a Noon, finally D is a Tonight - that´s what I´ll do this week.”). Just estimate so Work-in-Progress (WIP) is 1 for everybody - plus a small number of buffer issues. To be blunt: Yes, this makes promises impossible as to what a team will deliver in terms of scope at a certain date in the future. But it will give a Product Owner a clear picture of what to pull for acceptance feedback tonight and tomorrow. Trust through reliability Our trade is lacking trust. Customers don´t trust software companies/departments much. Managers don´t trust developers much. I find that perfectly understandable in the light of what we´re trying to accomplish: delivering software in the face of uncertainty by means of material good production. Customers as well as managers still expect software development to be close to production of houses or cars. But that´s a fundamental misunderstanding. Software development ist development. It´s basically research. As software developers we´re constantly executing experiments to find out what really provides value to users. We don´t know what they need, we just have mediated hypothesises. That´s why we cannot reliably deliver on preposterous demands. So trust is out of the window in no time. If we switch to delivering in short cycles, though, we can regain trust. Because estimates - explicit or implicit - up to 32 hours at most can be satisfied. I´d say: reliability over scope. It´s more important to reliably deliver what was promised then to cover a lot of requirement area. So when in doubt promise less - but deliver without delay. Deliver on scope (Functionality and Quality); but also deliver on Evolvability, i.e. on inner quality according to accepted principles. Always. Trust will be the reward. Less complexity of communication will follow. More goodwill buffer will follow. So don´t wait for some Kanban board to show you, that flow can be improved by scheduling smaller stories. You don´t need to learn that the hard way. Just start with small batch sizes of three different sizes. Fast feedback What has been finished can be checked for acceptance. Why wait for a sprint of several weeks to end? Why let the mental model of the issue and its solution dissipate? If you get final feedback after one or two weeks, you hardly remember what you did and why you did it. Resoning becomes hard. But more importantly youo probably are not in the mood anymore to go back to something you deemed done a long time ago. It´s boring, it´s frustrating to open up that mental box again. Learning is harder the longer it takes from event to feedback. Effort can be wasted between event (finishing an issue) and feedback, because other work might go in the wrong direction based on false premises. Checking finished issues for acceptance is the most important task of a Product Owner. It´s even more important than planning new issues. Because as long as work started is not released (accepted) it´s potential waste. So before starting new work better make sure work already done has value. By putting the emphasis on acceptance rather than planning true pull is established. As long as planning and starting work is more important, it´s a push process. Accept a Noon issue on the same day before leaving. Accept a Tonight issue before leaving today or first thing tomorrow morning. Accept a Tomorrow issue tomorrow night before leaving or early the day after tomorrow. After acceptance the developer(s) can start working on the next issue. Flexibility As if reliability/trust and fast feedback for less waste weren´t enough economic incentive, there is flexibility. After each issue the Product Owner can change course. If on Monday morning feature slices A, B, C, D, E were important and A, B, C were scheduled for acceptance by Monday evening and Tuesday evening, the Product Owner can change her mind at any time. Maybe after A got accepted she asks for continuation with D. But maybe, just maybe, she has gotten a completely different idea by then. Maybe she wants work to continue on F. And after B it´s neither D nor E, but G. And after G it´s D. With Spinning every 32 hours at latest priorities can be changed. And nothing is lost. Because what got accepted is of value. It provides an incremental value to the customer/user. Or it provides internal value to the Product Owner as increased knowledge/decreased uncertainty. I find such reactivity over commitment economically very benefical. Why commit a team to some workload for several weeks? It´s unnecessary at beast, and inflexible and wasteful at worst. If we cannot promise delivery of a certain scope on a certain date - which is what customers/management usually want -, we can at least provide them with unpredecented flexibility in the face of high uncertainty. Where the path is not clear, cannot be clear, make small steps so you´re able to change your course at any time. Premature completion Customers/management are used to premeditating budgets. They want to know exactly how much to pay for a certain amount of requirements. That´s understandable. But it does not match with the nature of software development. We should know that by now. Maybe there´s somewhere in the world some team who can consistently deliver on scope, quality, and time, and budget. Great! Congratulations! I, however, haven´t seen such a team yet. Which does not mean it´s impossible, but I think it´s nothing I can recommend to strive for. Rather I´d say: Don´t try this at home. It might hurt you one way or the other. However, what we can do, is allow customers/management stop work on features at any moment. With spinning every 32 hours a feature can be declared as finished - even though it might not be completed according to initial definition. I think, progress over completion is an important offer software development can make. Why think in terms of completion beyond a promise for the next 32 hours? Isn´t it more important to constantly move forward? Step by step. We´re not running sprints, we´re not running marathons, not even ultra-marathons. We´re in the sport of running forever. That makes it futile to stare at the finishing line. The very concept of a burn-down chart is misleading (in most cases). Whoever can only think in terms of completed requirements shuts out the chance for saving money. The requirements for a features mostly are uncertain. So how does a Product Owner know in the first place, how much is needed. Maybe more than specified is needed - which gets uncovered step by step with each finished increment. Maybe less than specified is needed. After each 4–32 hour increment the Product Owner can do an experient (or invite users to an experiment) if a particular trait of the software system is already good enough. And if so, she can switch the attention to a different aspect. In the end, requirements A, B, C then could be finished just 70%, 80%, and 50%. What the heck? It´s good enough - for now. 33% money saved. Wouldn´t that be splendid? Isn´t that a stunning argument for any budget-sensitive customer? You can save money and still get what you need? Pull on practices So far, in addition to more trust, more flexibility, less money spent, Spinning led to “doing less” which also means less code which of course means higher Evolvability per se. Last but not least, though, I think Spinning´s short acceptance cycles have one more effect. They excert pull-power on all sorts of practices known for increasing Evolvability. If, for example, you believe high automated test coverage helps Evolvability by lowering the fear of inadverted damage to a code base, why isn´t 90% of the developer community practicing automated tests consistently? I think, the answer is simple: Because they can do without. Somehow they manage to do enough manual checks before their rare releases/acceptance checks to ensure good enough correctness - at least in the short term. The same goes for other practices like component orientation, continuous build/integration, code reviews etc. None of that is compelling, urgent, imperative. Something else always seems more important. So Evolvability principles and practices fall through the cracks most of the time - until a project hits a wall. Then everybody becomes desperate; but by then (re)gaining Evolvability has become as very, very difficult and tedious undertaking. Sometimes up to the point where the existence of a project/company is in danger. With Spinning that´s different. If you´re practicing Spinning you cannot avoid all those practices. With Spinning you very quickly realize you cannot deliver reliably even on your 32 hour promises. Spinning thus is pulling on developers to adopt principles and practices for Evolvability. They will start actively looking for ways to keep their delivery rate high. And if not, management will soon tell them to do that. Because first the Product Owner then management will notice an increasing difficulty to deliver value within 32 hours. There, finally there emerges a way to measure Evolvability: The more frequent developers tell the Product Owner there is no way to deliver anything worth of feedback until tomorrow night, the poorer Evolvability is. Don´t count the “WTF!”, count the “No way!” utterances. In closing For sustainable software development we need to put Evolvability first. Functionality and Quality must not rule software development but be implemented within a framework ensuring (enough) Evolvability. Since Evolvability cannot be measured easily, I think we need to put software development “under pressure”. Software needs to be changed more often, in smaller increments. Each increment being relevant to the customer/user in some way. That does not mean each increment is worthy of shipment. It´s sufficient to gain further insight from it. Increments primarily serve the reduction of uncertainty, not sales. Sales even needs to be decoupled from this incremental progress. No more promises to sales. No more delivery au point. Rather sales should look at a stream of accepted increments (or incremental releases) and scoup from that whatever they find valuable. Sales and marketing need to realize they should work on what´s there, not what might be possible in the future. But I digress… In my view a Spinning cycle - which is not easy to reach, which requires practice - is the core practice to compensate the immeasurability of Evolvability. From start to finish of each issue in 32 hours max - that´s the challenge we need to accept if we´re serious increasing Evolvability. Fortunately higher Evolvability is not the only outcome of Spinning. Customer/management will like the increased flexibility and “getting more bang for the buck”.

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  • C#/.NET Little Wonders: The Joy of Anonymous Types

    - by James Michael Hare
    Once again, in this series of posts I look at the parts of the .NET Framework that may seem trivial, but can help improve your code by making it easier to write and maintain. The index of all my past little wonders posts can be found here. In the .NET 3 Framework, Microsoft introduced the concept of anonymous types, which provide a way to create a quick, compiler-generated types at the point of instantiation.  These may seem trivial, but are very handy for concisely creating lightweight, strongly-typed objects containing only read-only properties that can be used within a given scope. Creating an Anonymous Type In short, an anonymous type is a reference type that derives directly from object and is defined by its set of properties base on their names, number, types, and order given at initialization.  In addition to just holding these properties, it is also given appropriate overridden implementations for Equals() and GetHashCode() that take into account all of the properties to correctly perform property comparisons and hashing.  Also overridden is an implementation of ToString() which makes it easy to display the contents of an anonymous type instance in a fairly concise manner. To construct an anonymous type instance, you use basically the same initialization syntax as with a regular type.  So, for example, if we wanted to create an anonymous type to represent a particular point, we could do this: 1: var point = new { X = 13, Y = 7 }; Note the similarity between anonymous type initialization and regular initialization.  The main difference is that the compiler generates the type name and the properties (as readonly) based on the names and order provided, and inferring their types from the expressions they are assigned to. It is key to remember that all of those factors (number, names, types, order of properties) determine the anonymous type.  This is important, because while these two instances share the same anonymous type: 1: // same names, types, and order 2: var point1 = new { X = 13, Y = 7 }; 3: var point2 = new { X = 5, Y = 0 }; These similar ones do not: 1: var point3 = new { Y = 3, X = 5 }; // different order 2: var point4 = new { X = 3, Y = 5.0 }; // different type for Y 3: var point5 = new {MyX = 3, MyY = 5 }; // different names 4: var point6 = new { X = 1, Y = 2, Z = 3 }; // different count Limitations on Property Initialization Expressions The expression for a property in an anonymous type initialization cannot be null (though it can evaluate to null) or an anonymous function.  For example, the following are illegal: 1: // Null can't be used directly. Null reference of what type? 2: var cantUseNull = new { Value = null }; 3:  4: // Anonymous methods cannot be used. 5: var cantUseAnonymousFxn = new { Value = () => Console.WriteLine(“Can’t.”) }; Note that the restriction on null is just that you can’t use it directly as the expression, because otherwise how would it be able to determine the type?  You can, however, use it indirectly assigning a null expression such as a typed variable with the value null, or by casting null to a specific type: 1: string str = null; 2: var fineIndirectly = new { Value = str }; 3: var fineCast = new { Value = (string)null }; All of the examples above name the properties explicitly, but you can also implicitly name properties if they are being set from a property, field, or variable.  In these cases, when a field, property, or variable is used alone, and you don’t specify a property name assigned to it, the new property will have the same name.  For example: 1: int variable = 42; 2:  3: // creates two properties named varriable and Now 4: var implicitProperties = new { variable, DateTime.Now }; Is the same type as: 1: var explicitProperties = new { variable = variable, Now = DateTime.Now }; But this only works if you are using an existing field, variable, or property directly as the expression.  If you use a more complex expression then the name cannot be inferred: 1: // can't infer the name variable from variable * 2, must name explicitly 2: var wontWork = new { variable * 2, DateTime.Now }; In the example above, since we typed variable * 2, it is no longer just a variable and thus we would have to assign the property a name explicitly. ToString() on Anonymous Types One of the more trivial overrides that an anonymous type provides you is a ToString() method that prints the value of the anonymous type instance in much the same format as it was initialized (except actual values instead of expressions as appropriate of course). For example, if you had: 1: var point = new { X = 13, Y = 42 }; And then print it out: 1: Console.WriteLine(point.ToString()); You will get: 1: { X = 13, Y = 42 } While this isn’t necessarily the most stunning feature of anonymous types, it can be handy for debugging or logging values in a fairly easy to read format. Comparing Anonymous Type Instances Because anonymous types automatically create appropriate overrides of Equals() and GetHashCode() based on the underlying properties, we can reliably compare two instances or get hash codes.  For example, if we had the following 3 points: 1: var point1 = new { X = 1, Y = 2 }; 2: var point2 = new { X = 1, Y = 2 }; 3: var point3 = new { Y = 2, X = 1 }; If we compare point1 and point2 we’ll see that Equals() returns true because they overridden version of Equals() sees that the types are the same (same number, names, types, and order of properties) and that the values are the same.   In addition, because all equal objects should have the same hash code, we’ll see that the hash codes evaluate to the same as well: 1: // true, same type, same values 2: Console.WriteLine(point1.Equals(point2)); 3:  4: // true, equal anonymous type instances always have same hash code 5: Console.WriteLine(point1.GetHashCode() == point2.GetHashCode()); However, if we compare point2 and point3 we get false.  Even though the names, types, and values of the properties are the same, the order is not, thus they are two different types and cannot be compared (and thus return false).  And, since they are not equal objects (even though they have the same value) there is a good chance their hash codes are different as well (though not guaranteed): 1: // false, different types 2: Console.WriteLine(point2.Equals(point3)); 3:  4: // quite possibly false (was false on my machine) 5: Console.WriteLine(point2.GetHashCode() == point3.GetHashCode()); Using Anonymous Types Now that we’ve created instances of anonymous types, let’s actually use them.  The property names (whether implicit or explicit) are used to access the individual properties of the anonymous type.  The main thing, once again, to keep in mind is that the properties are readonly, so you cannot assign the properties a new value (note: this does not mean that instances referred to by a property are immutable – for more information check out C#/.NET Fundamentals: Returning Data Immutably in a Mutable World). Thus, if we have the following anonymous type instance: 1: var point = new { X = 13, Y = 42 }; We can get the properties as you’d expect: 1: Console.WriteLine(“The point is: ({0},{1})”, point.X, point.Y); But we cannot alter the property values: 1: // compiler error, properties are readonly 2: point.X = 99; Further, since the anonymous type name is only known by the compiler, there is no easy way to pass anonymous type instances outside of a given scope.  The only real choices are to pass them as object or dynamic.  But really that is not the intention of using anonymous types.  If you find yourself needing to pass an anonymous type outside of a given scope, you should really consider making a POCO (Plain Old CLR Type – i.e. a class that contains just properties to hold data with little/no business logic) instead. Given that, why use them at all?  Couldn’t you always just create a POCO to represent every anonymous type you needed?  Sure you could, but then you might litter your solution with many small POCO classes that have very localized uses. It turns out this is the key to when to use anonymous types to your advantage: when you just need a lightweight type in a local context to store intermediate results, consider an anonymous type – but when that result is more long-lived and used outside of the current scope, consider a POCO instead. So what do we mean by intermediate results in a local context?  Well, a classic example would be filtering down results from a LINQ expression.  For example, let’s say we had a List<Transaction>, where Transaction is defined something like: 1: public class Transaction 2: { 3: public string UserId { get; set; } 4: public DateTime At { get; set; } 5: public decimal Amount { get; set; } 6: // … 7: } And let’s say we had this data in our List<Transaction>: 1: var transactions = new List<Transaction> 2: { 3: new Transaction { UserId = "Jim", At = DateTime.Now, Amount = 2200.00m }, 4: new Transaction { UserId = "Jim", At = DateTime.Now, Amount = -1100.00m }, 5: new Transaction { UserId = "Jim", At = DateTime.Now.AddDays(-1), Amount = 900.00m }, 6: new Transaction { UserId = "John", At = DateTime.Now.AddDays(-2), Amount = 300.00m }, 7: new Transaction { UserId = "John", At = DateTime.Now, Amount = -10.00m }, 8: new Transaction { UserId = "Jane", At = DateTime.Now, Amount = 200.00m }, 9: new Transaction { UserId = "Jane", At = DateTime.Now, Amount = -50.00m }, 10: new Transaction { UserId = "Jaime", At = DateTime.Now.AddDays(-3), Amount = -100.00m }, 11: new Transaction { UserId = "Jaime", At = DateTime.Now.AddDays(-3), Amount = 300.00m }, 12: }; So let’s say we wanted to get the transactions for each day for each user.  That is, for each day we’d want to see the transactions each user performed.  We could do this very simply with a nice LINQ expression, without the need of creating any POCOs: 1: // group the transactions based on an anonymous type with properties UserId and Date: 2: byUserAndDay = transactions 3: .GroupBy(tx => new { tx.UserId, tx.At.Date }) 4: .OrderBy(grp => grp.Key.Date) 5: .ThenBy(grp => grp.Key.UserId); Now, those of you who have attempted to use custom classes as a grouping type before (such as GroupBy(), Distinct(), etc.) may have discovered the hard way that LINQ gets a lot of its speed by utilizing not on Equals(), but also GetHashCode() on the type you are grouping by.  Thus, when you use custom types for these purposes, you generally end up having to write custom Equals() and GetHashCode() implementations or you won’t get the results you were expecting (the default implementations of Equals() and GetHashCode() are reference equality and reference identity based respectively). As we said before, it turns out that anonymous types already do these critical overrides for you.  This makes them even more convenient to use!  Instead of creating a small POCO to handle this grouping, and then having to implement a custom Equals() and GetHashCode() every time, we can just take advantage of the fact that anonymous types automatically override these methods with appropriate implementations that take into account the values of all of the properties. Now, we can look at our results: 1: foreach (var group in byUserAndDay) 2: { 3: // the group’s Key is an instance of our anonymous type 4: Console.WriteLine("{0} on {1:MM/dd/yyyy} did:", group.Key.UserId, group.Key.Date); 5:  6: // each grouping contains a sequence of the items. 7: foreach (var tx in group) 8: { 9: Console.WriteLine("\t{0}", tx.Amount); 10: } 11: } And see: 1: Jaime on 06/18/2012 did: 2: -100.00 3: 300.00 4:  5: John on 06/19/2012 did: 6: 300.00 7:  8: Jim on 06/20/2012 did: 9: 900.00 10:  11: Jane on 06/21/2012 did: 12: 200.00 13: -50.00 14:  15: Jim on 06/21/2012 did: 16: 2200.00 17: -1100.00 18:  19: John on 06/21/2012 did: 20: -10.00 Again, sure we could have just built a POCO to do this, given it an appropriate Equals() and GetHashCode() method, but that would have bloated our code with so many extra lines and been more difficult to maintain if the properties change.  Summary Anonymous types are one of those Little Wonders of the .NET language that are perfect at exactly that time when you need a temporary type to hold a set of properties together for an intermediate result.  While they are not very useful beyond the scope in which they are defined, they are excellent in LINQ expressions as a way to create and us intermediary values for further expressions and analysis. Anonymous types are defined by the compiler based on the number, type, names, and order of properties created, and they automatically implement appropriate Equals() and GetHashCode() overrides (as well as ToString()) which makes them ideal for LINQ expressions where you need to create a set of properties to group, evaluate, etc. Technorati Tags: C#,CSharp,.NET,Little Wonders,Anonymous Types,LINQ

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  • Distinction between Cloud Servers and VPS

    - by Frank V
    What is the distinction between a Cloud based host and a VPS? I talked to a Rackspace Cloud sales person for around 45 minutes and never came to a real conclusion on this. So, to elaborate on my question a bit -- what benefits might a "cloud" server provide me versus a VPS provider such as Linode and vice versa -- what benefits would a VPS provide over a cloud provider? From what I've been able to ascertain, when you host on a cloud (with Rackspace Cloud) you get a instance of Linux in which you install software and such (a LAMP, for instance). From what I can figure, if the instance is running, I am charged and the pricing on Rackspace (according to what I understood from the sales rep) comes out to about $20 a month.... I was thinking a cloud customer pays per processing hours -- so if your app just sits there, no charges are incurred. Does one not pay of the cloud instance is shut down, perhaps? A similar questions to what I'm asking but not exactly it: Understanding: cloud-server, cloud-hosting, cloud-computing, the cloud What is the difference between vps and cloud hosting

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  • rip in RouterSim

    - by Olga Anastasiadou
    I have to design a network given IPs 146.124.0.0/16 and 146.124.10.0/24. My given requirements are : at least 60 more subnets and maximum 1000 hosts per subnet and use of RIP. I have 3 routers (RA1, RA2, RA3) and 3 subnets (Sales, Logistic and Deposit). I gave WAN1 (RA1-RA3): 146.124.10.0/30, WAN2 (RA2-RA3) : 146.124.10.4/30 and WAN3 (RA1-RA2) : 146.124.10.8/30 and Sales : 146.124.0.0/22, Logistic: 146.124.4.0 and Deposit : 146.124.8.0. When I tried to configure RIP protocol, it didn’t work (I use routerSim 6). What am I doing wrong? Can anyone help please????

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  • Move flag for follow of a specific color to a folder in Outlook 2003

    - by Campo
    I have a user request to be able to create a rule that would move an email in outlook 2003 that the user flagged for follow up to a specific folder. That seemed simple enough till he requested that depending on the flag color they were to be moved to a specific folder. Issue is that in outlook 2003 that's not an option when creating a rule. I know that this is very straight forward in outlook 2007 and 2010 and using the categories feature is very convenient as it displays as a list when you right click.... Though in 2003 categories are not so convenient. as an example the user will flag for follow up as so... Red Flag for sales Blue Flag for requests Green Flag for personal They want a rule that will move all items with a red flag to the sales folder, Green flag to the requests folder and so on.... Thank you for your suggestions.

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  • Can I split a spreadsheet into multiple files based on a column in Excel 2007?

    - by geofftnz
    Is there a way in Excel to split a large file into a series of smaller ones, based on the contents of a single column? eg: I have a file of sales data for all sales reps. I need to send them a file to make corrections and send back, but I dont want to send each of them the whole file (because I dont want them changing eachother's data). The file looks something like this: salesdata.xls RepName Customer ContactEmail Adam Cust1 [email protected] Adam Cust2 [email protected] Bob Cust3 [email protected] etc... out of this I need: salesdata_Adam.xls RepName Customer ContactEmail Adam Cust1 [email protected] Adam Cust2 [email protected] and salesdata_Bob.xls Bob Cust3 [email protected] Is there anything built-in to Excel 2007 to do this automatically, or should I break out the VBA?

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