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  • Data Source Connection Pool Sizing

    - by Steve Felts
    Normal 0 false false false EN-US X-NONE X-NONE MicrosoftInternetExplorer4 /* Style Definitions */ table.MsoNormalTable {mso-style-name:"Table Normal"; mso-tstyle-rowband-size:0; mso-tstyle-colband-size:0; mso-style-noshow:yes; mso-style-priority:99; mso-style-qformat:yes; mso-style-parent:""; mso-padding-alt:0in 5.4pt 0in 5.4pt; mso-para-margin:0in; mso-para-margin-bottom:.0001pt; mso-pagination:widow-orphan; font-size:10.0pt; font-family:"Times New Roman","serif";} One of the most time-consuming procedures of a database application is establishing a connection. The connection pooling of the data source can be used to minimize this overhead.  That argues for using the data source instead of accessing the database driver directly. Configuring the size of the pool in the data source is somewhere between an art and science – this article will try to move it closer to science.  From the beginning, WLS data source has had an initial capacity and a maximum capacity configuration values.  When the system starts up and when it shrinks, initial capacity is used.  The pool can grow to maximum capacity.  Customers found that they might want to set the initial capacity to 0 (more on that later) but didn’t want the pool to shrink to 0.  In WLS 10.3.6, we added minimum capacity to specify the lower limit to which a pool will shrink.  If minimum capacity is not set, it defaults to the initial capacity for upward compatibility.   We also did some work on the shrinking in release 10.3.4 to reduce thrashing; the algorithm that used to shrink to the maximum of the currently used connections or the initial capacity (basically the unused connections were all released) was changed to shrink by half of the unused connections. The simple approach to sizing the pool is to set the initial/minimum capacity to the maximum capacity.  Doing this creates all connections at startup, avoiding creating connections on demand and the pool is stable.  However, there are a number of reasons not to take this simple approach. When WLS is booted, the deployment of the data source includes synchronously creating the connections.  The more connections that are configured in initial capacity, the longer the boot time for WLS (there have been several projects for parallel boot in WLS but none that are available).  Related to creating a lot of connections at boot time is the problem of logon storms (the database gets too much work at one time).   WLS has a solution for that by setting the login delay seconds on the pool but that also increases the boot time. There are a number of cases where it is desirable to set the initial capacity to 0.  By doing that, the overhead of creating connections is deferred out of the boot and the database doesn’t need to be available.  An application may not want WLS to automatically connect to the database until it is actually needed, such as for some code/warm failover configurations. There are a number of cases where minimum capacity should be less than maximum capacity.  Connections are generally expensive to keep around.  They cause state to be kept on both the client and the server, and the state on the backend may be heavy (for example, a process).  Depending on the vendor, connection usage may cost money.  If work load is not constant, then database connections can be freed up by shrinking the pool when connections are not in use.  When using Active GridLink, connections can be created as needed according to runtime load balancing (RLB) percentages instead of by connection load balancing (CLB) during data source deployment. Shrinking is an effective technique for clearing the pool when connections are not in use.  In addition to the obvious reason that there times where the workload is lighter,  there are some configurations where the database and/or firewall conspire to make long-unused or too-old connections no longer viable.  There are also some data source features where the connection has state and cannot be used again unless the state matches the request.  Examples of this are identity based pooling where the connection has a particular owner and XA affinity where the connection is associated with a particular RAC node.  At this point, WLS does not re-purpose (discard/replace) connections and shrinking is a way to get rid of the unused existing connection and get a new one with the correct state when needed. So far, the discussion has focused on the relationship of initial, minimum, and maximum capacity.  Computing the maximum size requires some knowledge about the application and the current number of simultaneously active users, web sessions, batch programs, or whatever access patterns are common.  The applications should be written to only reserve and close connections as needed but multiple statements, if needed, should be done in one reservation (don’t get/close more often than necessary).  This means that the size of the pool is likely to be significantly smaller then the number of users.   If possible, you can pick a size and see how it performs under simulated or real load.  There is a high-water mark statistic (ActiveConnectionsHighCount) that tracks the maximum connections concurrently used.  In general, you want the size to be big enough so that you never run out of connections but no bigger.   It will need to deal with spikes in usage, which is where shrinking after the spike is important.  Of course, the database capacity also has a big influence on the decision since it’s important not to overload the database machine.  Planning also needs to happen if you are running in a Multi-Data Source or Active GridLink configuration and expect that the remaining nodes will take over the connections when one of the nodes in the cluster goes down.  For XA affinity, additional headroom is also recommended.  In summary, setting initial and maximum capacity to be the same may be simple but there are many other factors that may be important in making the decision about sizing.

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  • Data Source Security Part 2

    - by Steve Felts
    In Part 1, I introduced the default security behavior and listed the various options available to change that behavior.  One of the key topics to understand is the difference between directly using database user and password values versus mapping from WLS user and password to the associated database values.   The direct use of database credentials is relatively new to WLS, based on customer feedback.  Some of the trade-offs are covered in this article. Credential Mapping vs. Database Credentials Each WLS data source has a credential map that is a mechanism used to map a key, in this case a WLS user, to security credentials (user and password).  By default, when a user and password are specified when getting a connection, they are treated as credentials for a WLS user, validated, and are converted to a database user and password using a credential map associated with the data source.  If a matching entry is not found in the credential map for the data source, then the user and password associated with the data source definition are used.  Because of this defaulting mechanism, you should be careful what permissions are granted to the default user.  Alternatively, you can define an invalid default user to ensure that no one can accidentally get through (in this case, you would need to set the initial capacity for the pool to zero so that the pool is populated only by valid users). To create an entry in the credential map: 1) First create a WLS user.  In the administration console, go to Security realms, select your realm (e.g., myrealm), select Users, and select New.  2) Second, create the mapping.  In the administration console, go to Services, select Data sources, select your data source name, select Security, select Credentials, and select New.  See http://docs.oracle.com/cd/E24329_01/apirefs.1211/e24401/taskhelp/jdbc/jdbc_datasources/ConfigureCredentialMappingForADataSource.html for more information. The advantages of using the credential mapping are that: 1) You don’t hard-code the database user/password into a program or need to prompt for it in addition to the WLS user/password and 2) It provides a layer of abstraction between WLS security and database settings such that many WLS identities can be mapped to a smaller set of DB identities, thereby only requiring middle-tier configuration updates when WLS users are added/removed. You can cut down the number of users that have access to a data source to reduce the user maintenance overhead.  For example, suppose that a servlet has the one pre-defined, special WLS user/password for data source access, hard-wired in its code in a getConnection(user, password) call.  Every WebLogic user can reap the specific DBMS access coded into the servlet, but none has to have general access to the data source.  For instance, there may be a ‘Sales’ DBMS which needs to be protected from unauthorized eyes, but it contains some day-to-day data that everyone needs. The Sales data source is configured with restricted access and a servlet is built that hard-wires the specific data source access credentials in its connection request.  It uses that connection to deliver only the generally needed day-to-day information to any caller. The servlet cannot reveal any other data, and no WebLogic user can get any other access to the data source.  This is the approach that many large applications take and is the reasoning behind the default mapping behavior in WLS. The disadvantages of using the credential map are that: 1) It is difficult to manage (create, update, delete) with a large number of users; it is possible to use WLST scripts or a custom JMX client utility to manage credential map entries. 2) You can’t share a credential map between data sources so they must be duplicated. Some applications prefer not to use the credential map.  Instead, the credentials passed to getConnection(user, password) should be treated as database credentials and used to authenticate with the database for the connection, avoiding going through the credential map.  This is enabled by setting the “use-database-credentials” to true.  See http://docs.oracle.com/cd/E24329_01/apirefs.1211/e24401/taskhelp/jdbc/jdbc_datasources/ConfigureOracleParameters.html "Configure Oracle parameters" in Oracle WebLogic Server Administration Console Help. Use Database Credentials is not currently supported for Multi Data Source configurations.  When enabled, it turns off credential mapping on Generic and Active GridLink data sources for the following attributes: 1. identity-based-connection-pooling-enabled (this interaction is available by patch in 10.3.6.0). 2. oracle-proxy-session (this interaction is first available in 10.3.6.0). 3. set client identifier (this interaction is available by patch in 10.3.6.0).  Note that in the data source schema, the set client identifier feature is poorly named “credential-mapping-enabled”.  The documentation and the console refer to it as Set Client Identifier. To review the behavior of credential mapping and using database credentials: - If using the credential map, there needs to be a mapping for each WLS user to database user for those users that will have access to the database; otherwise the default user for the data source will be used.  If you always specify a user/password when getting a connection, you only need credential map entries for those specific users. - If using database credentials without specifying a user/password, the default user and password in the data source descriptor are always used.  If you specify a user/password when getting a connection, that user will be used for the credentials.  WLS users are not involved at all in the data source connection process.

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  • What will help you get an entry-level position?

    - by Maria Sandu
    Normal 0 false false false EN-US X-NONE X-NONE MicrosoftInternetExplorer4 /* Style Definitions */ table.MsoNormalTable {mso-style-name:"Table Normal"; mso-tstyle-rowband-size:0; mso-tstyle-colband-size:0; mso-style-noshow:yes; mso-style-priority:99; mso-style-qformat:yes; mso-style-parent:""; mso-padding-alt:0cm 5.4pt 0cm 5.4pt; mso-para-margin-top:0cm; mso-para-margin-right:0cm; mso-para-margin-bottom:10.0pt; mso-para-margin-left:0cm; line-height:115%; mso-pagination:widow-orphan; font-family:"Calibri","sans-serif"; mso-ascii- mso-ascii-theme-font:minor-latin; mso-fareast-font-family:"Times New Roman"; mso-fareast-theme-font:minor-fareast; mso-hansi- mso-hansi-theme-font:minor-latin; mso-bidi-font-family:"Times New Roman"; mso-bidi-theme-font:minor-bidi;} “Finishing your studies and getting a great job.” Isn’t this the biggest dream of most of the young people? At the beginning you think it’s easy, but when it’s your turn, you realize that actually it’s not as easy as you thought it would be. Especially nowadays, when we’re living difficult times and finding a job is a challenge. This is why I felt lucky when I joined Oracle. Do you want to know how did I do it? My name is Markéta Kocová and I am working as a Customer Intelligence Support Intern within Oracle Prague. Before this job I have, I was focused on my studies, going also abroad for one semester in Rostock University in Germany. I decided though to gain some working experience. In November 2011, I joined Oracle, this one being my first job. I never thought I would be part of such a big company, but here I am! I have to say that I think it’s quite difficult to find a job and thus job search might be exhausting. What did help me? I think it was the networking. The more people you know, the more chances you have to find a job. This is how I’ve heard about this internship. I think internship programs are a great opportunity for young people to gain experience and also to start building a career. As companies are looking for the candidates with the best skills and some experience, it’s difficult to get a job. It’s a paradox isn’t it? You are applying for a entry-level position, but you won’t get it because they’ll be searching for someone who has experience. This is why internship is a good solution to improve your skills. You will learn many things, you might get a mentor and also perform given tasks. What else could you do? In my opinion you should invest in yourself. Try to focus on both education and skills. In order to get a good job in an international and successful company, it’s not enough a university diploma. You could learn a foreign language because it’s usually required. Employers are also looking for good computer skills, so this could be something you could take into consideration before applying to a job. There are also some personal characteristics like communication abilities, self-reliance, self-confidence or ability to solve the crisis situations that companies look at when hiring a person. You could consider attending some training in order to improve these soft skills. Getting a job is difficult, but also when you make it and get one you’ll still finding challenging to stay there. You might realize it is not the dream job, but being patient and trying to learn as much as possible will help you to achieve more. I think every experience is valuable. I’ve been through this type of situation, but the environment, my colleagues and the atmosphere in office have always been great and made me love my job! Thanks guys! If you’re searching for a job and you want to join Oracle, I recommend you to check http://campus.oracle.com

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  • R12.0 Cash Management Consolidated Patch Collection (CPC) And R12.1 Cash Management Recommended Patch Collection (RPC)

    - by user793553
    If you have Oracle E-Business Suite's Cash Management (CE) application installed, you'll want to be sure to install the latest CPC (Consolidated Patch Collection) if you are using a R12.0 version of the apps, or the latest RPC (Recommended Patch Collection) for the R12.1 version of the apps. These collections give you all the fixes currently available for known issues in the specified versions of the application, including all of the latest Root Cause Analysis Fixes (RCAs)! What is an "RPC" (for R12.1 users)? Since the release of 12.1, a number of recommended patches for Oracle Cash Management have been made available as standalone patches to help address important business process issues. Adoption of these patches was highly recommended at the time, but not always implemented, so to further facilitate adoption of these patches, Oracle consolidated them into product-specific Recommended Patch Collections (RPCs) - a collection of recommended patches. They were created by Oracle Development with the following goals in mind: Stability: To address data integrity issues that have been identified by Oracle Development and Oracle Software Support as having the potential to interfere with the normal completion of important business processes (such as, period close, etc.). Root Cause Fixes (RCAs): To make available root cause fixes for known data integrity issues. Compact: To keep the file footprint as small as possible to help facilitate the install process and minimize testing. Granular: To compile the collection of patches based on functional areas, allowing a customer to apply multiple RPCs at once, or in phases (based on individual needs and goals). Where to start ALL R12 Cash Management users (R12.0 and R12.1 users) should start with the following Note on My Oracle Support (MOS): Doc ID 1367845.1: R12: Cash Management Recommended Patch Collections It's a great place for important implementation information about both sets of critical patch collections! For R12.1x users R12.1 users should also take a look at the documents below for even more information about the RPC for the R12.1.x versions of the Cash Management application, and other related available RPCs: Note Number  Title                                                                                                      1489997.1 Master Troubleshooting Guide for CE: Reconciliation & Clearing [VIDEO] 954704.1 EBS: R12.1 Oracle Financials Recommended Patch Collections (RPCs) 1316506.1 R12: Oracle CE: Upgrading from R11i to R12.1: Latest Recommended Patches Patch Wizard Utility While a patch may contain several hundred files, the impact on your system may actually be minimal. Patches contain hard prerequisites that are intended to make a patch work on a very low code baseline. The Patch Wizard Utility will give you a detailed analysis of the patch’s impact on your instance BEFORE it’s applied, so you’ll know exactly what to expect from the application. Please refer to Doc ID 976188.1 for more information on this important utility

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  • YouTube SEO: Video Optimization

    - by Mike Stiles
    SEO optimization is still regarded as one of the primary tools in the digital marketing kit. However and wherever a potential customer is conducting a search, brands want their content to surface in the top results. Makes sense. But without a regular flow of good, relevant content, your SEO opportunities run shallow. We know from several studies video is one of the most engaging forms of content, so why not make sure that in addition to being cool, your videos are helping you win the SEO game? Keywords:-Decide what search phrases make the most sense for your video. Don’t dare use phrases that have nothing to do with the content. You’ll make people mad.-Research those keywords to see how competitive they are. Adjust them so there are still lots of people searching for it, but there are not as many links showing up for it.-Search your potential keywords and phrases to see what comes up. It’s amazing how many people forget to do that. Video Title: -Try to start and/or end with your keyword.-When you search on YouTube, visual action words tend to come up as suggested searches. So try to use action words. Video Description: -Lead with a link to your site (include http://). -Don’t stuff this with your keyword. It leads to bad writing and it won’t work anyway. This is where you convince people to watch, so write for humans. Use some showmanship. -At the end, do a call to action (subscribe, see the whole playlist, visit our social channels, etc.) Video Tags:-Don’t over-tag. 5-10 tags per video is plenty. -If you’re compelled to have more than 10, that means you should probably make more videos specifically targeting all those keywords. Find Linking Pals:-45% of videos are discovered on video sites. But 44% are found through links on blogs and sites.-Write a blog about your video’s content, then link to the video in it. -A good site for finding places to guest blog is myblogguest.com-Once you find good linking partners, they’ll link to your future videos (as long as they’re good and you’re returning the favor). Tap the Power of Similar Videos:-Use Video Reply to associate your video with other topic-related videos. That’s when you make a video responding to or referencing a video made by someone else. Content:-Again, build up a portfolio of videos, not just one that goes after 30 keywords.-Create shorter, sequential videos that pull them deeper into the content and closer to a desired final action.-Organize your video topics separately using Playlists. Playlists show up as a whole in search results like individual videos, so optimize playlists the same as you would for a video. Meta Data:-Too much importance is placed on it. It accounts for only 15% of search success.-YouTube reads Captions or Transcripts to determine what a video is about. If you’re not using them, you’re missing out.-You get the SEO benefit of captions and transcripts whether the viewers has them toggled on or not. Promotion:-This accounts for 25% of search success.-Promote the daylights out of your videos using your social channels and digital assets. Don’t assume it’s going to magically get discovered. -You can pay to promote your video. This could surface it on the YouTube home page, YouTube search results, YouTube related videos, and across the Google content network. Community:-Accounts for 10% of search success.-Make sure your YouTube home page is a fun place to spend time. Carefully pick your featured video, and make sure your Playlists are featured. -Participate in discussions so users will see you’re present. The volume of ratings/comments is as important as the number of views when it comes to where you surface on search. Video Sitemaps:-As with a web site, a video sitemap helps Google quickly index your video.-Google wants to know title, description, play page URL, the URL of the thumbnail image you want, and raw video file location.-Sitemaps are xml files you host or dynamically generate on your site. Once you’ve made your sitemap, sign in and submit it using Google webmaster tools. Just as with the broadcast and cable TV channels, putting a video out there is only step one. You also have to make sure everybody knows it’s there so the largest audience possible can see it. Here’s hoping you get great ratings. @mikestiles

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  • What's New in SGD 5.1?

    - by Fat Bloke
    Oracle announced the latest version of Secure Global Desktop (SGD) this week with 3 major themes: Support for Android devices; Support for Desktop Chrome clients;  Support for Oracle Unified Directory. I'll talk about the new features in a moment, but a bit of context first: Oracle SGD - what, how and why?  Oracle Secure Global Desktop is Oracle's secure remote access product which allows users on almost any device, to access almost any type application which  is hosted in the data center, from almost any location. And it does this by sitting on the edge of the datacenter, between the user and the applications: This is actually a really smart environment for an increasing number of use cases where: Users need mobility of location AND device (i.e. work from anywhere); IT needs to ensure security of applications and data (of course!) The application requires an end-user environment which can't be guaranteed and IT may not own the client platform (e.g. BYOD, working from home, partners or contractors). Oracle has a a specific interest in this of course. As the leading supplier of enterprise applications, many of Oracle's customers, and indeed Oracle itself, fit these criteria. So, as an IT guy rolling out an application to your employees, if one of your apps absolutely needs, say,  IE10 with Java 6 update 32, how can you be sure that the user population has this, especially when they're using their own devices? In the SGD model you, the IT guy, can set up, say, a Windows Server running the exact environment required, and then use SGD to publish this app, without needing to worry any further about the device the end user is using. What's new?  So back to SGD 5.1 and what is new there: Android devices Since we introduced our support for iPad tablets in SGD 5.0 we've had a big demand from customers to extend this to Android tablets too, and so we're pleased to announce that 5.1 supports Android 4.x tablets such as Nexus 7 and 10, and the Galaxy Tab. Here's how it works, with screenshots from my Nexus 7: Simply point your browser to the SGD server URL and login; The workspace is the list of apps that the admin has deemed ok for you to run. You click on an application to run it (here's Excel and Oracle E-Business Suite): There's an extended on-screen keyboard (extended because desktop apps need keys that don't appear on a tablet keyboard such as ctrl, WIndow key, etc) and touch gestures can be mapped to desktop events (such as tap and hold to right click) All in all a pretty nice implementation for Android tablet users. Desktop Chrome Browsers SGD has always been designed around using a browser to access your applications. But traditionally, this has involved using Java to deliver the SGD client component. With HTML5 and Javascript engines becoming so powerful, we thought we'd see how well a pure web client could perform with desktop apps. And the answer was, surprisingly well. So with this release we now offer this additional way of working, which can be enabled by a simple bit of configuration. Here's a Linux desktop running in a tab in Chrome. And if you resize the browser window, the Linux desktop is resized by SGD too. Very cool! Oracle Unified Directory As I mentioned above, a lot of Oracle users already benefit from SGD. And a lot of Oracle customers use Oracle Unified Directory as their Enterprise and Carrier grade user directory. So it makes a lot of sense that SGD now supports this LDAP directory for both Authentication and as a means to determine which users get which applications, e.g. publish the engineering app to the guys in the Development group, but give everyone E-Business Suite to let them do their expenses. Summary With new devices, and faster 4G networking becoming more prevalent, the pressure for businesses to move to a increasingly mobile enterprise is stronger than ever. SGD is good for users, and even better for IT. By offering the user the ability to work from anywhere, and IT the control and security they need, everyone wins with SGD. To try this for yourself, download SGD 5.1 (look under Desktop Virtualization Products) from the Oracle Software Delivery Cloud or if you're an existing customer, get it from My Oracle Support.  -FB 

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  • Troubleshooting PHP email sending?

    - by darkAsPitch
    I created a website that occasionally emails users when they register/change their password/etc. Every other person however cannot or does not receive the emails. They are telling me that they are not even hitting their spam folders. I don't know a ton about MX records or email sending, but when I "Edit DNS Zone" for this domain in particular there is 1 MX record listed there. How do you go about troubleshooting botched PHP mail actions? UPDATE: Here is my super-simple php mailing code: $subject = "Subject Here"; $message = "Emails Message"; $to = $verified_user_data["email_address"]; $headers = "From: [email protected]\r\n" . "Reply-To: [email protected]\r\n" . "X-Mailer: PHP/" . phpversion(); //returns true on success, false on failure $email_result = mail($to, $subject, $message, $headers); re: "are you saying that some do and some do not?" @ Jacob Yes, basically. I send the emails containing the user's login username/password using similar code above. And I sell to fairly tech-savvy people. About 50% of the time, my customers claim they cannot find their welcome emails in their inbox OR in their spam box. It's as if it never arrived. I have the largest problem with Yahoo email addresses accepting my emails or so it seems. re: "The MX record at your end doesn't factor in, although the SPF record (or lack of it) will. How much access and control do you have on the server itself?" @ John Gardeniers I rent a dedicated server from Codero. Running CentOS 5, WHM + cPanel. I have full root access to the entire thing. Don't know much about MX records and/or SPF records. I just want the PHP mail function to work. It doesn't say much about that on the php mail function's help page. re: "What are you using for the SMTP server?" @ JonLim No idea. I use the code above when I need to fire off an email to a loyal customer, and that's it. Do I need to be worrying about SMTP servers? re: "Could be many, many things. Can you describe how you're sending mail in your code? i.e. are you relaying off of another mail server somewhere, using the local sendmail or postfix? Any consistency in domains that can/cannot receive email? Do you have a PTR record setup from the IP address that you're sending mail out as? What about SPF records?" @ gravyface I just described my simple code above! I believe I have been having the most trouble with Yahoo domains, however "independent" domains (probably running spamassasin) ex. [email protected] as opposed to [email protected] seem to give a lot of trouble as well. I do not know if I have a PTR record setup from the IP address I'm sending my mail from. It's probably the same IP address that I setup my domain on, because I didn't do anything extra special. No idea about SPF records either, where can I go to create one? Side Note: It's a crying shame what havoc the spammers have brought upon our beloved email system.

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  • Recommendations for distributed processing/distributed storage systems

    - by Eddie
    At my organization we have a processing and storage system spread across two dozen linux machines that handles over a petabyte of data. The system right now is very ad-hoc; processing automation and data management is handled by a collection of large perl programs on independent machines. I am looking at distributed processing and storage systems to make it easier to maintain, evenly distribute load and data with replication, and grow in disk space and compute power. The system needs to be able to handle millions of files, varying in size between 50 megabytes to 50 gigabytes. Once created, the files will not be appended to, only replaced completely if need be. The files need to be accessible via HTTP for customer download. Right now, processing is automated by perl scripts (that I have complete control over) which call a series of other programs (that I don't have control over because they are closed source) that essentially transforms one data set into another. No data mining happening here. Here is a quick list of things I am looking for: Reliability: These data must be accessible over HTTP about 99% of the time so I need something that does data replication across the cluster. Scalability: I want to be able to add more processing power and storage easily and rebalance the data on across the cluster. Distributed processing: Easy and automatic job scheduling and load balancing that fits with processing workflow I briefly described above. Data location awareness: Not strictly required but desirable. Since data and processing will be on the same set of nodes I would like the job scheduler to schedule jobs on or close to the node that the data is actually on to cut down on network traffic. Here is what I've looked at so far: Storage Management: GlusterFS: Looks really nice and easy to use but doesn't seem to have a way to figure out what node(s) a file actually resides on to supply as a hint to the job scheduler. GPFS: Seems like the gold standard of clustered filesystems. Meets most of my requirements except, like glusterfs, data location awareness. Ceph: Seems way to immature right now. Distributed processing: Sun Grid Engine: I have a lot of experience with this and it's relatively easy to use (once it is configured properly that is). But Oracle got its icy grip around it and it no longer seems very desirable. Both: Hadoop/HDFS: At first glance it looked like hadoop was perfect for my situation. Distributed storage and job scheduling and it was the only thing I found that would give me the data location awareness that I wanted. But I don't like the namename being a single point of failure. Also, I'm not really sure if the MapReduce paradigm fits the type of processing workflow that I have. It seems like you need to write all your software specifically for MapReduce instead of just using Hadoop as a generic job scheduler. OpenStack: I've done some reading on this but I'm having trouble deciding if it fits well with my problem or not. Does anyone have opinions or recommendations for technologies that would fit my problem well? Any suggestions or advise would be greatly appreciated. Thanks!

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  • Two network interfaces and two IP addresses on the same subnet in Linux

    - by Scott Duckworth
    I recently ran into a situation where I needed two IP addresses on the same subnet assigned to one Linux host so that we could run two SSL/TLS sites. My first approach was to use IP aliasing, e.g. using eth0:0, eth0:1, etc, but our network admins have some fairly strict settings in place for security that squashed this idea: They use DHCP snooping and normally don't allow static IP addresses. Static addressing is accomplished by using static DHCP entries, so the same MAC address always gets the same IP assignment. This feature can be disabled per switchport if you ask and you have a reason for it (thankfully I have a good relationship with the network guys and this isn't hard to do). With the DHCP snooping disabled on the switchport, they had to put in a rule on the switch that said MAC address X is allowed to have IP address Y. Unfortunately this had the side effect of also saying that MAC address X is ONLY allowed to have IP address Y. IP aliasing required that MAC address X was assigned two IP addresses, so this didn't work. There may have been a way around these issues on the switch configuration, but in an attempt to preserve good relations with the network admins I tried to find another way. Having two network interfaces seemed like the next logical step. Thankfully this Linux system is a virtual machine, so I was able to easily add a second network interface (without rebooting, I might add - pretty cool). A few keystrokes later I had two network interfaces up and running and both pulled IP addresses from DHCP. But then the problem came in: the network admins could see (on the switch) the ARP entry for both interfaces, but only the first network interface that I brought up would respond to pings or any sort of TCP or UDP traffic. After lots of digging and poking, here's what I came up with. It seems to work, but it also seems to be a lot of work for something that seems like it should be simple. Any alternate ideas out there? Step 1: Enable ARP filtering on all interfaces: # sysctl -w net.ipv4.conf.all.arp_filter=1 # echo "net.ipv4.conf.all.arp_filter = 1" >> /etc/sysctl.conf From the file networking/ip-sysctl.txt in the Linux kernel docs: arp_filter - BOOLEAN 1 - Allows you to have multiple network interfaces on the same subnet, and have the ARPs for each interface be answered based on whether or not the kernel would route a packet from the ARP'd IP out that interface (therefore you must use source based routing for this to work). In other words it allows control of which cards (usually 1) will respond to an arp request. 0 - (default) The kernel can respond to arp requests with addresses from other interfaces. This may seem wrong but it usually makes sense, because it increases the chance of successful communication. IP addresses are owned by the complete host on Linux, not by particular interfaces. Only for more complex setups like load- balancing, does this behaviour cause problems. arp_filter for the interface will be enabled if at least one of conf/{all,interface}/arp_filter is set to TRUE, it will be disabled otherwise Step 2: Implement source-based routing I basically just followed directions from http://lartc.org/howto/lartc.rpdb.multiple-links.html, although that page was written with a different goal in mind (dealing with two ISPs). Assume that the subnet is 10.0.0.0/24, the gateway is 10.0.0.1, the IP address for eth0 is 10.0.0.100, and the IP address for eth1 is 10.0.0.101. Define two new routing tables named eth0 and eth1 in /etc/iproute2/rt_tables: ... top of file omitted ... 1 eth0 2 eth1 Define the routes for these two tables: # ip route add default via 10.0.0.1 table eth0 # ip route add default via 10.0.0.1 table eth1 # ip route add 10.0.0.0/24 dev eth0 src 10.0.0.100 table eth0 # ip route add 10.0.0.0/24 dev eth1 src 10.0.0.101 table eth1 Define the rules for when to use the new routing tables: # ip rule add from 10.0.0.100 table eth0 # ip rule add from 10.0.0.101 table eth1 The main routing table was already taken care of by DHCP (and it's not even clear that its strictly necessary in this case), but it basically equates to this: # ip route add default via 10.0.0.1 dev eth0 # ip route add 130.127.48.0/23 dev eth0 src 10.0.0.100 # ip route add 130.127.48.0/23 dev eth1 src 10.0.0.101 And voila! Everything seems to work just fine. Sending pings to both IP addresses works fine. Sending pings from this system to other systems and forcing the ping to use a specific interface works fine (ping -I eth0 10.0.0.1, ping -I eth1 10.0.0.1). And most importantly, all TCP and UDP traffic to/from either IP address works as expected. So again, my question is: is there a better way to do this? This seems like a lot of work for a seemingly simple problem.

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  • Magento hosting on a budget

    - by spa
    I have to do a setup for Magento. My constraint is primarily ease of setup and fault tolerance/fail over. Furthermore costs are an issue. I have three identical physical servers to get the job done. Each server node has an i7 quad core, 16GB RAM, and 2x3TB HD in a software RAID 1 configuration. Each node runs Ubuntu 12.04. right now. I have an additional IP address which can be routed to any of these nodes. The Magento shop has max. 1000 products, 50% of it are bundle products. I would estimate that max. 100 users are active at once. This leads me to the conclusion, that performance is not top priority here. My first setup idea One node (lb) runs nginx as a load balancer. The additional IP is used with domain name and routed to this node by default. Nginx distributes the load equally to the other two nodes (shop1, shop2). Shop1 and shop2 are configured equally: each server runs Apache2 and MySQL. The Mysqls are configured with master/slave replication. My failover strategy: Lb fails = Route IP to shop1 (MySQL master), continue. Shop1 fails = Lb will handle that automatically, promote MySQL slave on shop2 to master, reconfigure Magento to use shop2 for writes, continue. Shop2 fails = Lb will handle that automatically, continue. Is this a sane strategy? Has anyone done a similar setup with Magento? My second setup idea Another way to do it would be to use drbd for storing the MySQL data files on shop1 and shop2. I understand that in this scenario only one node/MySQL instance can be active and the other is used as hot standby. So in case shop1 fails, I would start up MySQL on shop2, route the IP to shop2, and continue. I like that as the MySQL setup is easier and the nodes can be configured 99% identical. So in this case the load balancer becomes useless and I have a spare server. My third setup idea The third way might be master-master replication of MySQL databases. However, in my optinion this might be tricky, as Magento isn't build for this scenario (e.g. conflicting ids for new rows). I would not do that until I have heard of a working example. Could you give me an advice which route to follow? There seems not one "good" way to do it. E.g. I read blog posts which describe a MySQL master/slave setup for Magento, but elsewhere I read, that data might get duplicated when the slave lags behind the master (e.g. when an order is placed, a customer might get created twice). I'm kind of lost here.

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  • Backup a hosted Sharepoint

    - by David Mackintosh
    One of my customers has outsourced their Sharepoint and Exchange services to a hosted services provider. I believe it is a Sharepoint 2007 service. It is a shared hosting solution, so we do not have any kind of access to the server itself; we only have user-level and sharepoint-administrator-level access to the Sharepoint application. They have come to the point where they would like to have a copy of everything that is on the Sharepoint server. I have downloaded the Office Sharepoint Designer 2007, and it features three (!) ways to backup a Sharepoint server, none (!) of which work for me: File-Export-Personal Web Package: When selecting everything, it calculates a negative size. Barfs with No "content-type" in CGI environment error. File-Export-Sharepoint Template: barfs with a A World Wide Web browser, such as Windows Internet Explorer, is required to use this feature error. Site-Administration-Backup Web Site: wants to create the backup .cmp file on the sharepoint server itself. I don't have access to any servers on the same network so I can't redirect it to any form of the suggested \\server\place. Barfs with a The Web application at $URL could not be found. [...] error. Possibly moot because Google tells me that bad things happen using OSD to back up sites larger than 24MB (which this site is most definitely). So I called the helpdesk of the outsource provider, and got told that they recommend using OSD, but no they don't actually provide any application support for OSD (not that I blame them for that), but they could do a stsadm.exe backup and provide us with that, and OSD should be able to read the resulting cmp file. Then for authorization reasons they had my customer call them directly (since I can't authorize such an operation), and they told him that he didn't want a stsadm.exe backup, he wanted to get into an 'explorer view' and deal with things that way (they were vague). Google hasn't been much help in figuring out what an 'explorer view' is, let alone how I bring one up. The end goal of this operation is to have a backup of the site as it exists (hopefully today, but shortly anyways) in such a format that we don't need another sharepoint server to restore it to. Ie we'd like to be able to pick individual content directly out of this backup. We are not excessively concerned with things like formatting. We just want the documents. This is a fairly complex site with multiple subsites and multiple folders per subsite, so sitting there and manually downloading each file isn't really going to happen if there is a better easier way. So, my questions: Is the stsadm.exe backup what I want? If not, what do I want? If I manage to convince them that I do want the stsadm.exe backup, can I pick files out of the resulting backup file with OSD? If OSD isn't going to let me extract individual files, is there a tool I can use that can?

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  • Duplicate GET request from multiple IPs - can anyone explain this?

    - by dwq
    We've seen a pattern in our webserver access logs which we're having problem explaining. A GET request appears in the access log which is a legitimate, but private, url as part of normal e-commerce website use (by private, we mean there is a unique key in a url form variable generated specifically for that customer session). Then a few seconds later we get hit with an identical request maybe 10-15 times within the space of a second. The duplicate requests are all from different IP addresses. The UserAgent for the duplicates are all the same (but different from the original request). The reverse DNS lookup on the IPs for all the duplicates requests resolve to the same large hosting company. Can anyone think of a scenario what would explain this? EDIT 1 Here's an example that's probably anonymised beyond being any actual use, but it might give an idea of the sort of pattern we're seeing (it's from a search query as they sometimes get duplicated too): xx.xx.xx.xx - - [21/Jun/2013:21:42:57 +0100] "GET /search.html?search=widget&Submit=Search HTTP/1.0" 200 5475 "http://www.ourdomain.com/index.html" "Mozilla/5.0 (compatible; MSIE 10.0; Windows NT 6.1; WOW64; Trident/6.0)" xx.xx.xx.xx - - [21/Jun/2013:21:43:03 +0100] "GET /search.html?search=widget&Submit=Search HTTP/1.0" 200 5475 "" "Mozilla/5.0 (Macintosh; Intel Mac OS X 10_6_7) AppleWebKit/534.30 (KHTML, like Gecko) Chrome/12.0.742.91 Safari/534.30" xx.xx.xx.xx - - [21/Jun/2013:21:43:03 +0100] "GET /search.html?search=widget&Submit=Search HTTP/1.0" 200 5475 "" "Mozilla/5.0 (Macintosh; Intel Mac OS X 10_6_7) AppleWebKit/534.30 (KHTML, like Gecko) Chrome/12.0.742.91 Safari/534.30" xx.xx.xx.xx - - [21/Jun/2013:21:43:04 +0100] "GET /search.html?search=widget&Submit=Search HTTP/1.0" 200 5475 "" "Mozilla/5.0 (Macintosh; Intel Mac OS X 10_6_7) AppleWebKit/534.30 (KHTML, like Gecko) Chrome/12.0.742.91 Safari/534.30" xx.xx.xx.xx - - [21/Jun/2013:21:43:04 +0100] "GET /search.html?search=widget&Submit=Search HTTP/1.0" 200 5475 "" "Mozilla/5.0 (Macintosh; Intel Mac OS X 10_6_7) AppleWebKit/534.30 (KHTML, like Gecko) Chrome/12.0.742.91 Safari/534.30" xx.xx.xx.xx - - [21/Jun/2013:21:43:04 +0100] "GET /search.html?search=widget&Submit=Search HTTP/1.0" 200 5475 "" "Mozilla/5.0 (Macintosh; Intel Mac OS X 10_6_7) AppleWebKit/534.30 (KHTML, like Gecko) Chrome/12.0.742.91 Safari/534.30" xx.xx.xx.xx - - [21/Jun/2013:21:43:04 +0100] "GET /search.html?search=widget&Submit=Search HTTP/1.0" 200 5475 "" "Mozilla/5.0 (Macintosh; Intel Mac OS X 10_6_7) AppleWebKit/534.30 (KHTML, like Gecko) Chrome/12.0.742.91 Safari/534.30" xx.xx.xx.xx - - [21/Jun/2013:21:43:04 +0100] "GET /search.html?search=widget&Submit=Search HTTP/1.0" 200 5475 "" "Mozilla/5.0 (Macintosh; Intel Mac OS X 10_6_7) AppleWebKit/534.30 (KHTML, like Gecko) Chrome/12.0.742.91 Safari/534.30" xx.xx.xx.xx - - [21/Jun/2013:21:43:04 +0100] "GET /search.html?search=widget&Submit=Search HTTP/1.0" 200 5475 "" "Mozilla/5.0 (Macintosh; Intel Mac OS X 10_6_7) AppleWebKit/534.30 (KHTML, like Gecko) Chrome/12.0.742.91 Safari/534.30" xx.xx.xx.xx - - [21/Jun/2013:21:43:04 +0100] "GET /search.html?search=widget&Submit=Search HTTP/1.0" 200 5475 "" "Mozilla/5.0 (Macintosh; Intel Mac OS X 10_6_7) AppleWebKit/534.30 (KHTML, like Gecko) Chrome/12.0.742.91 Safari/534.30" xx.xx.xx.xx - - [21/Jun/2013:21:43:04 +0100] "GET /search.html?search=widget&Submit=Search HTTP/1.0" 200 5475 "" "Mozilla/5.0 (Macintosh; Intel Mac OS X 10_6_7) AppleWebKit/534.30 (KHTML, like Gecko) Chrome/12.0.742.91 Safari/534.30" UPDATE 2 Sometimes it is part of a checkout flow that's duplicated to I'd think twitter is unlikely.

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  • What is the best server or Ip address to use for prolonged testing?

    - by eldorel
    I usually run uptime/latency tests against (and from) two servers that we own at different sites and until recently I've used the google dns servers as a control group. However, I've realized there is a potential problem with monitoring latency over extended periods of time. Almost all of the major service providers are using ANYCAST. For short tests this doesn't matter, but I need to run a set of tests for at least a week to try and catch an intermittent problem, and a change in the anycast priority while trying to test latency will cause the latency values for that server to change accordingly. Since I'm submitting graphs of this data to the ISP, I need to avoid/account for as many variables as possible. Spikes in the data for only one of the tested servers will only cause headaches. So can anyone recommend servers that: are not using anycast are owned by an entity that has a good uptime reputation (so they can't claim that the problem is server-side) will respond to ICMP requests Have an available service that runs on TCP/UDP (http or dns preferably) Wont consider an automated request every 10 minutes to be abuse Are accessible from anywhere in the world Are not local to the isp ( consider this an investigation of a hostile party ) Thanks in advance. Edit: added #6 and #7 above. More info: I am attempting to demonstrate a network problem for an entire node of our local ISP's network. They are actively blaming the issue on the equipment installed at the customer sites (our backup site is one of these), and refuse to escalate the problem. (even though 2 of these businesses have ISP provided modems, and all of us have completely different routers/services running) I am already quite familiar with the need to test an isp controlled IP, but they are actively dropping all packets targeted at gateway ip addresses and are only passing traffic addressed beyond the gateways. So to demonstrate the issue, I am sending packets to other systems in the same node, systems one hop away from the affected node, and systems completely outside the network. Unfortunately, all of the systems I have currently are either administered directly by myself, or by people who are biased enough to assist me. I need to have several systems included in the trace/log/graphs that are 100% not in the control of either myself or the isp so that the graphs have a stable/unbiased control group. These requirements are straight from legal, I'm just trying to make sure that everything that could be argued to invalidate the data is already covered. In Summary: I need to be able to show tcp/udp/icmp as 3 separate data points, and I need to be able to show the connections inside the local node, from local node to another nearby node, from those 2 nodes to the internet, and through the internet to both verifiable servers and a control group that I have no control over whatsoever. Again, Google/opendns/yahoo/msn/facebook/etc all use anycast, which throws the numbers off every time the anycast caches expire, so I need suggestions of an IP or server that is available for this type of testing. I was hoping someone knew of a system run by someone such as ISC or ICANN, or perhaps even a .gov server (fcc or nsa maybe?) setup for this type of testing. Thanks again.

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  • Clearing C#'s WebBrowser control's cookies for all sites WITHOUT clearing for IE itself

    - by Helgi Hrafn Gunnarsson
    Hail StackOverflow! The short version of what I'm trying to do is in the title. Here's the long version. I have a bit of a complex problem which I'm sure I will receive a lot of guesses as a response to. In order to keep the well-intended but unfortunately useless guesses to a minimum, let me first mention that the solution to this problem is not simple, so simple suggestions will unfortunately not help at all, even though I appreciate the effort. C#'s WebBrowser component is fundamentally IE itself so solutions with any sorts of caveats will almost certainly not work. I need to do exactly what I'm trying to do, and even a seemingly minor caveat will defeat the purpose completely. At the risk of sounding arrogant, I need assistance from someone who really has in-depth knowledge about C#'s WebBrowser and/or WinInet and/or how to communicate with Windows's underlying system from C#... or how to encapsulate C++ code in C#. That said, I don't expect anyone to do this for me, and I've found some promising hints which are explained later in this question. But first... what I'm trying to achieve is this. I have a Windows.Forms component which contains a WebBrowser control. This control needs to: Clear ALL cookies for ALL websites. Visit several websites, one after another, and record cookies and handle them correctly. This part works fine already so I don't have any problems with this. Rinse and repeat... theoretically forever. Now, here's the real problem. I need to clear all those cookies (for any and all sites), but only for the WebBrowser control itself and NOT the cookies which IE proper uses. What's fundamentally wrong with this approach is of course the fact that C#'s WebBrowser control is IE. But I'm a stubborn young man and I insist on it being possible, or else! ;) Here's where I'm stuck at the moment. It is quite simply impossible to clear all cookies for the WebBrowser control programmatically through C# alone. One must use DllImport and all the crazy stuff that comes with it. This chunk works fine for that purpose: [DllImport("wininet.dll", SetLastError = true)] private static extern bool InternetSetOption(IntPtr hInternet, int dwOption, IntPtr lpBuffer, int lpdwBufferLength); And then, in the function that actually does the clearing of the cookies: InternetSetOption(IntPtr.Zero, INTERNET_OPTION_END_BROWSER_SESSION, IntPtr.Zero, 0); Then all the cookies get cleared and as such, I'm happy. The program works exactly as intended, aside from the fact that it also clears IE's cookies, which must not be allowed to happen. The problem is that this also clears the cookies for IE proper, and I can't have that happen. From one fellow StackOverflower (if that's a word), Sheng Jiang proposed this to a different problem in a comment, but didn't elaborate further: "If you want to isolate your application's cookies you need to override the Cache directory registry setting via IDocHostUIHandler2::GetOverrideKeyPath" I've looked around the internet for IDocHostUIHandler2 and GetOverrideKeyPath, but I've got no idea of how to use them from C# to isolate cookies to my WebBrowser control. My experience with the Windows registry is limited to RegEdit (so I understand that it's a tree structure with different data types but that's about it... I have no in-depth knowledge of the registry's relationship with IE, for example). Here's what I dug up on MSDN: IDocHostUIHandler2 docs: http://msdn.microsoft.com/en-us/library/aa753275%28VS.85%29.aspx GetOverrideKeyPath docs: http://msdn.microsoft.com/en-us/library/aa753274%28VS.85%29.aspx I think I know roughly what these things do, I just don't know how to use them. So, I guess that's it! Any help is greatly appreciated.

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  • EF4 POCO WCF Serialization problems (no lazy loading, proxy/no proxy, circular references, etc)

    - by kdawg
    OK, I want to make sure I cover my situation and everything I've tried thoroughly. I'm pretty sure what I need/want can be done, but I haven't quite found the perfect combination for success. I'm utilizing Entity Framework 4 RTM and its POCO support. I'm looking to query for an entity (Config) that contains a many-to-many relationship with another entity (App). I turn off lazy loading and disable proxy creation for the context and explicitly load the navigation property (either through .Include() or .LoadProperty()). However, when the navigation property is loaded (that is, Apps is loaded for a given Config), the App objects that were loaded already contain references to the Configs that have been brought to memory. This creates a circular reference. Now I know the DataContractSerializer that WCF uses can handle circular references, by setting the preserveObjectReferences parameter to true. I've tried this with a couple of different attribute implementations I've found online. It is needed to prevent the "the object graph contains circular references and cannot be serialized" error. However, it doesn't prevent the serialization of the entire graph, back and forth between Config and App. If I invoke it via WcfTestClient.exe, I get a stackoverflow (ha!) exception from the client and I'm hosed. I get different results from different invocation environments (C# unit test with a local reference to the web service appears to work ok though I still can drill back and forth between Configs and Apps endlessly, but calling it from a coldfusion environment only returns the first Config in the list and errors out on the others.) My main goal is to have a serialized representation of the graph I explicitly load from EF (ie: list of Configs, each with their Apps, but no App back to Config navigation.) NOTE: I've also tried using the ProxyDataContractResolver technique and keeping the proxy creation enabled from my context. This blows up complaining about unknown types encountered. I read that the ProxyDataContractResolver didn't fully work in Beta2, but should work in RTM. For some reference, here is roughly how I'm querying the data in the service: var repo = BootStrapper.AppCtx["AppMeta.ConfigRepository"] as IRepository<Config>; repo.DisableLazyLoading(); repo.DisableProxyCreation(); //var temp2 = repo.Include(cfg => cfg.Apps).Where(cfg => cfg.Environment.Equals(environment)).ToArray(); var temp2 = repo.FindAll(cfg => cfg.Environment.Equals(environment)).ToArray(); foreach (var cfg in temp2) { repo.LoadProperty(cfg, c => c.Apps); } return temp2; I think the crux of my problem is when loading up navigation properties for POCO objects from Entity Framework 4, it prepopulates navigation properties for objects already in memory. This in turn hoses up the WCF serialization, despite every effort made to properly handle circular references. I know it's a lot of information, but it's really standing in my way of going forward with EF4/POCO in our system. I've found several articles and blogs touching upon these subjects, but for the life of me, I cannot resolve this issue. Feel free to simply ask questions and help me brainstorm this situation. PS: For the sake of being thorough, I am injecting the WCF services using the HEAD build of Spring.NET for the fix to Spring.ServiceModel.Activation.ServiceHostFactory. However I don't think this is the source of the problem.

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  • Binding navigation property to RadGrid while using EntityDataSource control

    - by Matrix
    I'm new to Entity Framework and I got stuck in an issue while trying to bind a navigation property (foreign key reference) to a dropdownlist. I have Telerik RadGrid control which gets the data using a EntityDataSource control. Here is the model description: Applications: AppId, AppName, ServerId Servers: ServerId, ServerName The Applicaitons.ServerId is a foreign key reference to Servers.ServerId. The RadGrid lists the applications and allows the user to insert/update/delete an application. I want to show the server names as a dropdownlist in edit mode which I'm not able to. . Here is my aspx code: <telerik:RadGrid ID="gridApplications" runat="server" Skin="Sunset" AllowAutomaticInserts="True" AllowAutomaticDeletes="True" AllowPaging="True" AllowAutomaticUpdates="True" AutoGenerateColumns="False" OnItemCreated="gridApplications_ItemCreated" DataSourceID="applicationsEntityDataSource" Width="50%" OnItemInserted="gridApplications_ItemInserted" OnItemUpdated="gridApplications_ItemUpdated" OnItemDeleted="gridApplications_ItemDeleted" GridLines="None"> <MasterTableView CommandItemDisplay="Top" AutoGenerateColumns="False" DataKeyNames="AppId" DataSourceID="applicationsEntityDataSource"> <RowIndicatorColumn> <HeaderStyle Width="20px" /> </RowIndicatorColumn> <ExpandCollapseColumn> <HeaderStyle Width="20px" /> </ExpandCollapseColumn> <Columns> <telerik:GridEditCommandColumn ButtonType="ImageButton" UniqueName="EditCommandColumn" HeaderText="Edit" ItemStyle-Width="10%"> </telerik:GridEditCommandColumn> <telerik:GridButtonColumn CommandName="Delete" Text="Delete" UniqueName="DeleteColumn" ConfirmText="Are you sure you want to delete this application?" ConfirmTitle="Confirm Delete" ConfirmDialogType="Classic" ItemStyle-Width="10%" HeaderText="Delete"> </telerik:GridButtonColumn> <telerik:GridBoundColumn DataField="AppId" UniqueName="AppId" Visible="false" HeaderText="Application Id" ReadOnly="true"> </telerik:GridBoundColumn> <telerik:GridBoundColumn DataField="AppName" UniqueName="AppName" HeaderText="Application Name" MaxLength="30" ItemStyle-Width="40%"> </telerik:GridBoundColumn> <telerik:GridTemplateColumn DataField="ServerId" UniqueName="ServerId" HeaderText="Server Hosted" EditFormColumnIndex="1"> <EditItemTemplate> <asp:DropDownList ID="ddlServerHosted" runat="server" DataTextField="Servers.ServerName" DataValueField="ServerId" Width="40%"> </asp:DropDownList> </EditItemTemplate> </telerik:GridTemplateColumn> </Columns> <EditFormSettings ColumnNumber="2" CaptionDataField="AppId" InsertCaption="Insert New Application" EditFormType="AutoGenerated"> <EditColumn InsertText="Insert record" EditText="Edit application id #:" EditFormColumnIndex="0" UpdateText="Application updated" UniqueName="InsertCommandColumn1" CancelText="Cancel insert" ButtonType="ImageButton"></EditColumn> <FormTableItemStyle Wrap="false" /> <FormTableStyle GridLines="Horizontal" CellPadding="2" CellSpacing="0" Height="110px" Width="110px" /> <FormTableAlternatingItemStyle Wrap="false" /> <FormStyle Width="100%" BackColor="#EEF2EA" /> <FormTableButtonRowStyle HorizontalAlign="Right" /> </EditFormSettings> </MasterTableView> </telerik:RadGrid> <asp:EntityDataSource ID="applicationsEntityDataSource" runat="server" ConnectionString="name=AnalyticsEntities" EnableDelete="True" EntityTypeFilter="Applications" EnableInsert="True" EnableUpdate="True" EntitySetName="Applications" DefaultContainerName="AnalyticsEntities" Include="Servers"> </asp:EntityDataSource> I tried another approach where I replaced the GridTemplateColumn with the following code <telerik:RadComboBox ID="RadComboBox1" DataSourceID="serversEntityDataSource" DataTextField="ServerName" DataValueField="ServerId" AppendDataBoundItems="true" runat="server" > <Items> <telerik:RadComboBoxItem /> </Items> and using a separate EntityDataSource control as follows: <asp:EntityDataSource ID="serversEntityDataSource" runat="server" ConnectionString="name=AnalyticsEntities" EnableDelete="True" EntityTypeFilter="Servers" EnableInsert="True" EnableUpdate="True" EntitySetName="Servers" DefaultContainerName="AnalyticsEntities"> </asp:EntityDataSource> but, I get the following error. Application cannot be inserted. Reason: Entities in 'AnalyticsEntities.Applications' participate in the 'FK_Servers_Applications' relationship. 0 related 'Servers' were found. 1 'Servers' is expected. My question is, how do you bind the navigation property and load the values in the DropDownList/RadComboBox control?

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  • Ajax comments form in ASP.NET MVC2

    - by Artiom Chilaru
    I've been playing around with different aspects of MVC for some time now, and I've reached a situation where I'm not sure what would be the best way to solve a problem. I'm hoping that the SO community will help me out here :P I've seen a number of examples of Ajax.BeginForm on the internet, and it seems like a very nifty idea. E.g. you have a dropdown where you select a customer - and on selecting one it will load this client's details in some placeholder on the page. This works perfectly fine. But what to do if you want to tie in some validation in the box? Just hypothetically, imagine an article page, and user comments in the bottom. Below the comments area there's an ajax-y "Add comment" box. When a user adds a comment, it will appear in the comments area, below the last comment there. If I set the Ajax.BeginForm to Append the result of the call to the Comments area, it will work fine. But what if the data posted is not valid? Instead of appending a "successful" comment to the comments area I have to show the user validation errors. At this point I decided that the area INSIDE the Ajax.BeginForm will be inside a partial, and the form's submits will return this partial. Validation works fine. On each submit we reload the contents inside the form element. But how to add the successful comment to the top? Other things to consider: The comment form also has a "Preview" button. When the user clicks on Preview, I should load the rendered comment into a preview box. This will probably be inside the form area as well. I was thinking of using Json results instead. When the user submits the form, the server code will generate a Json object with a Success value, and html rendered partials as some properties. Something like { "success": true, "form": "<html form data>", "comment": "successful comment html to inject into the page" } This would be a perfect solution, except there's no way in MVC to render a partial into a string, inside the controller (separation of context, remember?). So.. what should I do then? Any "correct" way to implement this?

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  • How to diagnose cause, fix, or work around Adobe ActiveX / COM related error 0x80004005 progmaticall

    - by Streamline
    I've built a C# .NET app that uses the Adobe ActiveX control to display a PDF. It relies on a couple DLLs that get shipped with the application. These DLLs interact with the locally installed Adobe Acrobat or Adobe Acrobat Reader installed on the machine. This app is being used by some customer already and works great for nearly all users ( I check to see that the local machine is running at least version 9 of either Acrobat or Reader already ). I've found 3 cases where the app returns the error message "Error HRESULT E_FAIL has been returned from a call to a COM component" when trying to load (when the activex control is loading). I've checked one of these user's machines and he has Acrobat 9 installed and is using it frequently with no problems. It does appear that Acrobat 7 and 8 were installed at one time since there are entries for them in the registry along with Acrobat 9. I can't reproduce this problem locally, so I am not sure exactly which direction to go. The error at the top of the stacktrace is: System.Runtime.InteropServices.COMException (0x80004005): Error HRESULT E_FAIL has been returned from a call to a COM component. Some research into this error indicates it is a registry problem. Does anyone have a clue as to how to fix or work around this problem, or determine how to get to the core root of the problem? The full content of the error message is this: System.Runtime.InteropServices.COMException (0x80004005): Error HRESULT E_FAIL has been returned from a call to a COM component.    at System.Windows.Forms.UnsafeNativeMethods.CoCreateInstance(Guid& clsid, Object punkOuter, Int32 context, Guid& iid)    at System.Windows.Forms.AxHost.CreateWithoutLicense(Guid clsid)    at System.Windows.Forms.AxHost.CreateWithLicense(String license, Guid clsid)    at System.Windows.Forms.AxHost.CreateInstanceCore(Guid clsid)    at System.Windows.Forms.AxHost.CreateInstance()    at System.Windows.Forms.AxHost.GetOcxCreate()    at System.Windows.Forms.AxHost.TransitionUpTo(Int32 state)    at System.Windows.Forms.AxHost.CreateHandle()    at System.Windows.Forms.Control.CreateControl(Boolean fIgnoreVisible)    at System.Windows.Forms.Control.CreateControl(Boolean fIgnoreVisible)    at System.Windows.Forms.AxHost.EndInit()    at AcrobatChecker.Viewer.InitializeComponent()    at AcrobatChecker.Viewer..ctor()    at AcrobatChecker.Form1.btnViewer_Click(Object sender, EventArgs e)    at System.Windows.Forms.Control.OnClick(EventArgs e)    at System.Windows.Forms.Button.OnClick(EventArgs e)    at System.Windows.Forms.Button.OnMouseUp(MouseEventArgs mevent)    at System.Windows.Forms.Control.WmMouseUp(Message& m, MouseButtons button, Int32 clicks)    at System.Windows.Forms.Control.WndProc(Message& m)    at System.Windows.Forms.ButtonBase.WndProc(Message& m)    at System.Windows.Forms.Button.WndProc(Message& m)    at System.Windows.Forms.Control.ControlNativeWindow.OnMessage(Message& m)    at System.Windows.Forms.Control.ControlNativeWindow.WndProc(Message& m)    at System.Windows.Forms.NativeWindow.Callback(IntPtr hWnd, Int32 msg, IntPtr wparam, IntPtr lparam)

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  • WPF ContextMenu with bound items: Items.Count == 0 in ContextMenuOpening event

    - by OregonGhost
    I have a ContextMenu with the ItemsSource bound to the selected item of a list view, like this: <ContextMenu ItemsSource="{Binding Path=PlacementTarget.SelectedItem, RelativeSource={RelativeSource Self}, Converter={StaticResource possibleConverter}}"/> The possibleConverter enumerates all possible values for a property of the the selected item, which are shown in the context menu. In the Opened event of the context menu, I select the current value like this: var cm = e.OriginalSource as ContextMenu; if (cm != null) { var lv = cm.PlacementTarget as ListView; var field = lv.SelectedItem as Field; var item = cm.ItemContainerGenerator.ContainerFromItem(cm.Items.OfType<object>().Where(o => o.ToString().Equals(field.StringValue)).FirstOrDefault()) as MenuItem; if (item != null) { item.IsChecked = true; } } Not particularly elegant, but it works. With the debugger I verified that the ContextMenu.Items.Count property has a non-zero value when expected (i.e. cm.Items.Count is non-zero in the if). So far, so good. There are, however, items in the listview where the context menu will have no items. In this case, an empty menu is shown. I tried to suppress this in the ContextMenuOpening event in the list view, like this: var lv = sender as ListView; if (lv != null) { var cm = lv.ContextMenu; if ((cm != null) && (cm.Items.Count > 0)) { // Here we want to check the current item, which is currently done in the Opened event. } else { e.Handled = true; } } Seems like it should work. However, cm.Items.Count is always zero. This is true even if ListView.SelectedItem did not change: For an item with menu entries, the menu is shown correctly after the first click, so the data binding has already happend. It is shown correct the second time as well, but in any case, Items.Count is zero in the ContextMenuOpening event. What am I missing? How can I suppress empty context menus? Why is the count zero in the ContextMenuOpening handler, which is in Windows Forms (ContextMenuStrip.Opening) the canonical point where to do these things? EDIT: Upon further investigating, it turns out that in the ContextMenuOpening handler, any binding to the listview fails, which is why ItemsSource is null. I tried to bind via ElementName, via a FindAncestor relationship, all to no avail. The PlacementTarget is null during that event. An ugly hack worked though: In the ContextMenuOpening event, I assign the list view to the ContextMenu.Tag property, while the ItemsSource binding now binds to Tag.SelectedItem. This updates the binding, so Items.Count is what it should be. It's still strange. How can you do meaningful things in ContextMenuOpening other than replacing the menu or something, if the binding fails because somehow the context menu is out of context during the event? Was it only tested with static pre-defined menu items?

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  • Why do many software projects fail today?

    - by TomTom
    As long as there are software projects, the world is wondering why they fail so often. I would like to know if there is a list or something equivalent which shows how many software projects fail today. Would be nice if there would be a comparison over the last 20 - 30 years. You can also add your top reason why a software project fails. Mine is "Requirements are poor or not even existing." which includes also "No (real) customer / user involved". EDIT: It is nearly impossible to clearly define the term "fail". Let's say that fail means: The project was more than 10% over budget and time. In my opinion the 10% + / - is a good range for an offer / tender. EDIT: Until now (Feb 11) it seems that most posters agree that a fail of the project is basically a failure of the project management (whatever fail means). But IMHO it comes out, that most developers are not happy with this situation. Perhaps because not the manager get penalized when a project was not successful, but the lazy, incompetent developer teams? When I read the posts I can also hear-out that there is a big "gap" between the developer side and the managment side. The expectations (perhaps also the requirements) seem to be so different, that a project cannot be successful in the end (over time / budget; users are not happy; not all first-prio features implemented; too many bugs because developers were forced to implement in too short timeframes ...) I',m asking myself: How can we improve it? Or do we have the possibility to improve it? Everybody seems to be unsatisfied with the way it goes now. Can we close the gap between these two worlds? Should we (the developers) go on strike and fight for "high quality reqiurements" and "realistic / iteration based time shedules"? EDIT: Ralph Westphal and Stefan Lieser have founded a new "community" called: Clean-Code-Developer. The aim of the group is to bring more professionalism into software engineering. Independently if a developer has a degree or tons of years of experience you can be part of this movement. Clean Code Developers live principles like SOLID every day. A professional developer is the biggest reviewer of his own work. And he has an internal value system which helps him to improve and become better. Check it out on: Clean Code Developer EDIT: Our company is doing at the moment a thing called "Application Development and Maintenance Benchmarking". This is a service offered by IBM to get a feedback from someone external on your software engineering process quality etc. When we get the results, I will tell you more about it.

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  • Android Packaging Problem: resources.ap_ does not exist

    - by Galip
    I am trying to fix a problem in Eclipse for like 3 hours and I haven't made any progress. Tomorrow is the customer coming to look at my app, and I have no time left. This is really frustrating! This morning when I was coding and I wanted to run my app on my device Eclipse crashed all of a sudden. 'aapt.exe has stopped working' After this Eclipse wasn't starting anymore. It froze at the splash image. I looked on the internet and tried different solutions like going back to Java SE 6 update 20, changing .ini file etc. in the end reinstalling Eclipse did the job. Shortly after that the 'aapt.exe has stopped working' returned. I found a solution by changing my projects target. 1.5, 1.6, 2.2 doesn't matter, as long as it's different than the one before. Now I get the Error generating final archive: java.io.FileNotFoundException: C:\xxx\bin\resources.ap_ does not exist error. I tried clean but that doesn't work. Deleting and automatically regenarting R.java also didn't work. I ran the same code in Netbeans with the Android plugin and there it gives me the 'aapt.exe has stopped working' again :( Please guys, how can I fix this? Edit: I think I may have found the reason. These are the error lines in the console: org.xmlpull.v1.XmlPullParserException: Binary XML file line #3: <bitmap> requires a valid src attribute at android.graphics.drawable.BitmapDrawable.inflate(BitmapDrawable.java:341) at android.graphics.drawable.Drawable.createFromXmlInner(Drawable.java:779) at android.graphics.drawable.Drawable.createFromXml(Drawable.java:720) at com.android.layoutlib.bridge.ResourceHelper.getDrawable(ResourceHelper.java:150) at com.android.layoutlib.bridge.BridgeTypedArray.getDrawable(BridgeTypedArray.java:668) at android.view.View.<init>(View.java:1846) at android.view.View.<init>(View.java:1795) at android.view.ViewGroup.<init>(ViewGroup.java:282) at java.lang.reflect.Method.invoke(Unknown Source) at org.eclipse.equinox.launcher.Main.invokeFramework(Main.java:619) at org.eclipse.equinox.launcher.Main.basicRun(Main.java:574) at org.eclipse.equinox.launcher.Main.run(Main.java:1407) at org.eclipse.equinox.launcher.Main.main(Main.java:1383) [2011-01-17 16:37:20 - gegevens.xml] Unable to resolve drawable "com.android.layoutlib.utils.ResourceValue@267e33de" in attribute "background" The file it's talking about is 'bg.png'. It's a small png file which I repeat in a .xml file. <?xml version="1.0" encoding="utf-8"?> <bitmap xmlns:android="http://schemas.android.com/apk/res/android" android:src="@drawable/bg" android:tileMode="repeat" /> This file has worked from the first time without any problems. I deleted it from the drawable folder, waited for an error message, and then added it back. The red x next to the foldername got away, but still nothing different...

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  • How do I add a listener that will work on individual Fieldset in Extjs? Clicking the "Add" button sh

    - by Nair
    Testing Window /*! * Ext JS Library 3.0.0 * Copyright(c) 2006-2009 Ext JS, LLC * [email protected] * http://www.extjs.com/license */ Ext.onReady(function(){ Ext.override( Ext.data.Store, { findExact: function( fld, val ) { var hit = null; this.each( function(rec) { if( rec.get(fld) == val ) { hit = rec; return false; }; } ); return hit; } }); var listAdded = 0; var addListBtn = { text: 'Add', handler: function() { Ext.getCmp('tab_list').add(getList()); Ext.getCmp('tab_list').doLayout(); } } var testData = new Ext.data.SimpleStore({ fields: ['no', 'name', 'address','phone','businessPhone'], data: [['68', 'Target','123 Valley Road','(345) 908-9087','(345) 908-9087'], ['69', 'Walmart','456 Main Road','(345) 908-9999','(345) 908-9990']] }); var getList = function() { listAdded++; var items = new Ext.form.FieldSet( { id:listAdded, title: listAdded, collapsible: true, layout: 'form', autoHeight: true, defaults: {width: 300}, defaultType: 'textfield', bodyStyle: 'padding:5px', labelWidth: 225, items: [ { xtype: 'combo', fieldLabel: 'Customer No', name: 'changescustomerNo', hiddenName: 'changescustomerNo', store: new Ext.data.SimpleStore({ fields: ['id','value'], data: [['68','Test1'],['69','Test2']] }), displayField: 'value', valueField: 'id', selectOnFocus: true, mode: 'local', editable: false, triggerAction: 'all', value: ' ', listeners:{select:{ fn:function(combo, value) { var m = testData.findExact( 'no', this.value ); if(m) { //alert(this.id); Ext.getCmp('currentName').setValue(m.get('name')); Ext.getCmp('currentAddress').setValue(m.get('address')); Ext.getCmp('currentTelephoneNumber').setValue(m.get('phone')); Ext.getCmp('currentBusTelephoneNumber').setValue(m.get('businessPhone')); } }//function }//select }//listeners },{ id: 'currentName', fieldLabel: 'Current Name', name: 'currentName', value: '' },{ id: 'currentAddress', width: 298, xtype: 'textarea', fieldLabel: 'Current Address', name: 'currentAddress', value: '' },{ id:'currentTelephoneNumber', fieldLabel: 'Current Telephone Number', name: 'currentTelephoneNumber', value: '' },{ id: 'currentBusTelephoneNumber', fieldLabel: 'Current Business Telephone Number', name: 'currentBusTelephoneNumber', value: '' } ] } ); return items; } var pnlMain = new Ext.Panel({ id: 'theForm', title: 'Sample List', bodyStyle:'padding:5px', autoWidth: true, frame: true, items: [{ xtype: 'tabpanel', id: 'tabpanel', activeTab: 0, height: 540, width: '100%', resizeTabs: true, tabWidth: 125, minTabWidth: 125, layoutOnTabChange: true, deferredRender: false, // Create all form elements on load defaults: { bodyStyle: 'padding:10px', autoScroll: true, layout: 'form', defaultType: 'textfield', labelWidth: 160 }, items:[{ id: 'tab_list', title: 'List', items: getList(), buttons: [ addListBtn ] }] }] }); pnlMain.render('main'); });

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  • How to track deleted self-tracking entities in ObservableCollection without memory leaks

    - by Yannick M.
    In our multi-tier business application we have ObservableCollections of Self-Tracking Entities that are returned from service calls. The idea is we want to be able to get entities, add, update and remove them from the collection client side, and then send these changes to the server side, where they will be persisted to the database. Self-Tracking Entities, as their name might suggest, track their state themselves. When a new STE is created, it has the Added state, when you modify a property, it sets the Modified state, it can also have Deleted state but this state is not set when the entity is removed from an ObservableCollection (obviously). If you want this behavior you need to code it yourself. In my current implementation, when an entity is removed from the ObservableCollection, I keep it in a shadow collection, so that when the ObservableCollection is sent back to the server, I can send the deleted items along, so Entity Framework knows to delete them. Something along the lines of: protected IDictionary<int, IList> DeletedCollections = new Dictionary<int, IList>(); protected void SubscribeDeletionHandler<TEntity>(ObservableCollection<TEntity> collection) { var deletedEntities = new List<TEntity>(); DeletedCollections[collection.GetHashCode()] = deletedEntities; collection.CollectionChanged += (o, a) => { if (a.OldItems != null) { deletedEntities.AddRange(a.OldItems.Cast<TEntity>()); } }; } Now if the user decides to save his changes to the server, I can get the list of removed items, and send them along: ObservableCollection<Customer> customers = MyServiceProxy.GetCustomers(); customers.RemoveAt(0); MyServiceProxy.UpdateCustomers(customers); At this point the UpdateCustomers method will verify my shadow collection if any items were removed, and send them along to the server side. This approach works fine, until you start to think about the life-cycle these shadow collections. Basically, when the ObservableCollection is garbage collected there is no way of knowing that we need to remove the shadow collection from our dictionary. I came up with some complicated solution that basically does manual memory management in this case. I keep a WeakReference to the ObservableCollection and every few seconds I check to see if the reference is inactive, in which case I remove the shadow collection. But this seems like a terrible solution... I hope the collective genius of StackOverflow can shed light on a better solution. Thanks!

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  • jQuery unbinding click event when maximum number of children are displayed

    - by RyanP13
    I have a personal details form that alows you to enter a certain number of dependants which is determined by the JSP application. The first dependant is visible and the user has the option to add dependants up to the maximum number. All other dependants are hidden by default and are displayed when a user clicks the 'Add another dependant button'. When the maximum number of dependants has been reached the button is greyed out and a message is generated via jQuery and displayed to tell the user exactly this. The issue i am having is when the maximum number of dependants has been reached the message is displayed but then the user can click the button to add more dependants and the message keeps on generating. I thought unbinding the click event would sort this but it seems to still be able to generate a second message. Here is the function i wrote to generate the message: // Dependant message function function maxDependMsg(msgElement) { // number of children can change per product, needs to be dynamic // count number of dependants in HTML var $dependLength = $("div.dependant").length; // add class maxAdd to grey out Button // create maximum dependants message and display, will not be created if JS turned off $(msgElement) .addClass("maxAdd") .after($('<p>') .addClass("maxMsg") .append("The selected web policy does not offer cover for more than " + $dependLength + " children, please contact our customer advisers if you wish discuss alternative policies available.")); } There is a hyperlink with a click event attached like so: $("a.add").click(function(){ // Show the next hidden table on clicking add child button $(this).closest('form').find('div.dependant:hidden:first').show(); // Get the number of hidden tables var $hiddenChildren = $('div.dependant:hidden').length; if ($hiddenChildren == 0) { // save visible state of system message $.cookies.set('cpqbMaxDependantMsg', 'visible'); // show system message that you can't add anymore dependants than what is on page maxDependMsg("a.add"); $(this).unbind("click"); } // set a cookie for the visible state of all child tables $('div.dependant').each(function(){ var $childCount = $(this).index('div.dependant'); if ($(this).is(':visible')) { $.cookies.set('cpqbTableStatus' + $childCount, 'visible'); } else { $.cookies.set('cpqbTableStatus' + $childCount, 'hidden'); } }); return false; }); All of the cookies code is for state saving when users are going back and forward through the process.

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  • Entity Attribute Value Database vs. strict Relational Model Ecommerce question

    - by Dr. Zim
    It is safe to say that the EAV/CR database model is bad. That said, Question: What database model, technique, or pattern should be used to deal with "classes" of attributes describing e-commerce products which can be changed at run time? In a good E-commerce database, you will store classes of options (like TV resolution then have a resolution for each TV, but the next product may not be a TV and not have "TV resolution"). How do you store them, search efficiently, and allow your users to setup product types with variable fields describing their products? If the search engine finds that customers typically search for TVs based on console depth, you could add console depth to your fields, then add a single depth for each tv product type at run time. There is a nice common feature among good e-commerce apps where they show a set of products, then have "drill down" side menus where you can see "TV Resolution" as a header, and the top five most common TV Resolutions for the found set. You click one and it only shows TVs of that resolution, allowing you to further drill down by selecting other categories on the side menu. These options would be the dynamic product attributes added at run time. Further discussion: So long story short, are there any links out on the Internet or model descriptions that could "academically" fix the following setup? I thank Noel Kennedy for suggesting a category table, but the need may be greater than that. I describe it a different way below, trying to highlight the significance. I may need a viewpoint correction to solve the problem, or I may need to go deeper in to the EAV/CR. Love the positive response to the EAV/CR model. My fellow developers all say what Jeffrey Kemp touched on below: "new entities must be modeled and designed by a professional" (taken out of context, read his response below). The problem is: entities add and remove attributes weekly (search keywords dictate future attributes) new entities arrive weekly (products are assembled from parts) old entities go away weekly (archived, less popular, seasonal) The customer wants to add attributes to the products for two reasons: department / keyword search / comparison chart between like products consumer product configuration before checkout The attributes must have significance, not just a keyword search. If they want to compare all cakes that have a "whipped cream frosting", they can click cakes, click birthday theme, click whipped cream frosting, then check all cakes that are interesting knowing they all have whipped cream frosting. This is not specific to cakes, just an example.

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