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  • SSRS Issue: Rounding to nearest .25

    - by D.R.
    I have an SSRS (2008) report that takes in a raw transactions, then groups and totals them. At the "Total" level, I would like to round the final numbers to the nearest .25, however I cannot find a method to do this. According to what I've read, the Round() function in SSRS only rounds to integers. I have found a couple ways to do it in SQL, but the problem is, I want to do all the calculations with the REAL numbers and just round the result so that I don't introduce a significant amount of error from the real numbers. Here's the best SQL solution I could find: dec(round(number * 4, 0)/4,11,2) as Nearest_Qtr Anyone know how I could do the equivalent in the actual SSRS report? Thanks in advance for the help!

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  • how to add data in Table of Jasper Report using Java

    - by Areeb Gillani
    i am here to ask you just a simple question that i am trying to pass data to a jasper report using java but i dont know how to to, because the table data is very dynamic thats y cannot pass sql query. any idea for this. i have a 2D array of object type, where i have all the data... so how can i pass that... Thanx in advance...!:) ConnectionManager con = new ConnectionManager(); con.establishConnection(); String fileName = "Pmc_Bill.jrxml"; String outFileName = "OutputReport.pdf"; HashMap params = new HashMap(); params.put("PName", pname); params.put("PSerial", psrl); params.put("PGender",pgen); params.put("PPhone",pph); params.put("PAge",page); params.put("PRefer",pref); params.put("PDateR",dateNow); try { JasperReport jasperReport = JasperCompileManager.compileReport(fileName); if(jasperReport != null ) System.out.println("so far so good "); // Fill the report using an empty data source JasperPrint jasperPrint = JasperFillManager.fillReport(jasperReport, params, new JRTableModelDataSource(tbl.getModel()));//con.connection); try{ JasperExportManager.exportReportToPdfFile(jasperPrint, outFileName); System.out.printf("File exported sucessfully"); }catch(Exception e){ e.printStackTrace(); } JasperViewer.viewReport(jasperPrint); } catch (JRException e) { JOptionPane.showMessageDialog(null, e); e.printStackTrace(); System.exit(1); }

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  • How do I get the "bucket id" that winqual uses if I have a minidump file or exception structure? (Windows c++)

    - by Tim
    There are a few related questions on SO - but have not found the answer - I would like to generate a "signature"/bucket id to report a minidump/crash back to our issue tracking system. Since MS already does this with "bucket ids" I figured I could just re-use their bucket/signature generation. Can I get that ID from either a top level filter or the _EXCEPTION_POINTERS object I have inside the filter or the _MINIDUMP_EXCEPTION_INFORMATION structure or from the minidump itself? This is a C++ application.

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  • Lack of understanding crash report

    - by Alan Lai
    I have this crash report. Incident Identifier: CA9E350A-C842-4349-AAD8-E9E62E93BDD1 CrashReporter Key: 360bc129d2f79a48e291eb5ca38b24e822ed5b6b Hardware Model: xxx Process: OrientalDailyiOS [1502] Path: /var/mobile/Applications/39480A57-68FF-4C46-8445-340EFE204119/OrientalDailyiOS.app/OrientalDailyiOS Identifier: OrientalDailyiOS Version: ??? (???) Code Type: ARM (Native) Parent Process: launchd [1] Date/Time: 2012-10-14 15:49:10.884 -0700 OS Version: iOS 6.0 (10A403) Report Version: 104 Exception Type: EXC_CRASH (SIGABRT) Exception Codes: 0x0000000000000000, 0x0000000000000000 Crashed Thread: 0 Last Exception Backtrace: 0 CoreFoundation 0x37a0a29e __exceptionPreprocess + 158 1 libobjc.A.dylib 0x34e3197a objc_exception_throw + 26 2 CoreFoundation 0x37955b70 -[__NSArrayM objectAtIndex:] + 160 3 OrientalDailyiOS 0x00064fdc -[Main_NewsDetail viewDidLoad] (Main_NewsDetail.m:43) 4 UIKit 0x386cb590 -[UIViewController loadViewIfRequired] + 360 5 UIKit 0x38757336 -[UIViewController shouldAutorotate] + 22 6 UIKit 0x38798cd4 -[UIWindowController transition:fromViewController:toViewController:target:didEndSelector:] + 1540 7 UIKit 0x38797fca -[UIViewController presentViewController:withTransition:completion:] + 3390 8 UIKit 0x388ba252 -[UIViewController presentModalViewController:animated:] + 26 9 Foundation 0x34364a6a __NSFireDelayedPerform + 446 10 CoreFoundation 0x379df5da __CFRUNLOOP_IS_CALLING_OUT_TO_A_TIMER_CALLBACK_FUNCTION__ + 10 11 CoreFoundation 0x379df28c __CFRunLoopDoTimer + 268 12 CoreFoundation 0x379ddefc __CFRunLoopRun + 1228 13 CoreFoundation 0x37950eb8 0x37948000 + 36536 14 CoreFoundation 0x37950d44 CFRunLoopRunInMode + 100 15 GraphicsServices 0x373e32e6 GSEventRunModal + 70 16 UIKit 0x387002fc 0x386a9000 + 357116 17 OrientalDailyiOS 0x0005fac2 main (main.m:16) 18 OrientalDailyiOS 0x0005fa84 0x5e000 + 6788 However, I couldn't know where is error, I play around with my apps but show no error. I also tried iOS 6 with iPad, no problem. what apple feedback was We found that your app crashed on iPad running iOS 6, which is not in compliance with the App Store Review Guidelines. Your app crashed on both Wi-Fi and cellular networks when we: 1. Launch the app. 2. Tap any item on main page. 3. App crashes.

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  • Design report of 4-D data set

    - by phq
    I'm writing a report generator that will present data each being generated from 4 parameters. Time interval Group Measurement value(one of several to choose from) Device All these are orthogonal giving me a 4-D dataset to present. There are some simplifications where one parameter is the same for all and other parameters are merged. Still it appears as there are situations where all values are wanted on the report. In short the report should both be simple to overview and contain details. There will also be an interface where the user setup the range and granularity for each parameter. The most naive solution would be to have a 2D table where each cell contain another table with values of the remaining two dimensions. This is technically feasible but I'm worried that it would become hard to overview. Another approach is to present first two dimensions in a 2D table and the remaining parameters in groups Are there any good method to address this kind of issue?

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  • I cant get a field on report from a view

    - by felipedz
    When I get a field, this work good. But, when get a field from a 'VIEW', is a problem because the code of a VIEW is: CREATE OR REPLACE VIEW tabla_clientes AS SELECT id_cliente,nombre, CONCAT('$ ',FORMAT(monto_a_favor,0), '???'), CONCAT('$ ',FORMAT(calcular_monto_por_cobrar_cliente(id_cliente),0)) FROM cliente; When I compile this. Appears errors from the name of fields. Description | Object ---------------------------------------------------------------------------- Syntax error, insert ";" to complete BlockStatements | ${CONCAT('$ ',FORMAT(monto_a_favor,0)} Syntax error on tokens, delete these tokens | ${CONCAT('$ ',FORMAT(monto_a_favor,0)} Syntax error on token ",", delete this token | ${CONCAT('$ ',FORMAT(monto_a_favor,0)} If I change the name at this field appears other error.

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  • SQL Server 2005 Reporting Services: How to count rows that are not null? Any hints for calculating t

    - by user329266
    Is there a way to count only records that are not null; similar to "COUNTA" in Excel? I would think this would be very simple process, but nothing I have tried has worked. If necessary, I can try to work this into my SQL query, but the query is already incredibly complicated. Also, I've found very little documentation for how to calculate report totals, and how to total from groups. Would anyone have any recommendations on what to use as a reference?

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  • Is there a way to export reports from Microsoft CRM4?

    - by Jake
    I'm setting up a proper dev environment for my client (dev/qa/stage/prod). I'd like to find a way to export reports so we can cleanly move from one environment to the next. Custom RDL type reports are easy (just import the RDL in the next environment), but the reports that are built inside CRM don't appear to export anywhere. Am I missing something? Is this another feature that was missed? Apperciate the help.

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  • How do bug reports factor in to a sprint?

    - by Mark Ingram
    I've been reading up on Scrum recently. From my understanding, a meeting is held before the sprint starts, to decide what gets moved from the product backlog to the upcoming sprint backlog. Once a feature is completed in the current sprint, it will go into the "Ready to QA" bucket, and it's at this point that I'm getting confused. Do bug reports go back into the product backlog? I assume they can't go back into the sprint backlog as we've already decided what work will be done for this cycle? What happens when QA finds a bug? Where does it go?

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  • Complex query in mysql

    - by Satish
    I have two tables reports and holidays. reports: (username varchar(30),activity varchar(30),hours int(3),report_date date) holidays: (holiday_name varchar(30), holiday_date date) select * from reports gives +----------+-----------+---------+------------+ | username | activity | hours | date | +----------+-----------+---------+------------+ | prasoon | testing | 3 | 2009-01-01 | | prasoon | coding | 4 | 2009-01-03 | | gautam | coding | 1 | 2009-01-05 | | prasoon | coding | 4 | 2009-01-06 | | prasoon | coding | 4 | 2009-01-10 | | gautam | coding | 4 | 2009-01-10 | +----------+-----------+---------+------------+ select * from holidays gives +--------------+---------------+ | holiday_name | holiday_date | +--------------+---------------+ | Diwali | 2009-01-02 | | Holi | 2009-01-05 | +--------------+---------------+ When I used the following query SELECT dates.date AS date, CASE WHEN holiday_name IS NULL THEN COALESCE(reports.activity, 'Absent') WHEN holiday_name IS NOT NULL and reports.activity IS NOT NULL THEN reports.activity ELSE '' END AS activity, CASE WHEN holiday_name IS NULL THEN COALESCE(reports.hours, 'Absent') WHEN holiday_name IS NOT NULL and reports.hours IS NOT NULL THEN reports.hours ELSE '' END AS hours, CASE WHEN holiday_name IS NULL THEN COALESCE(holidays.holiday_name, '') ELSE holidays.holiday_name END AS holiday_name FROM dates LEFT OUTER JOIN reports ON dates.date = reports.date LEFT OUTER JOIN holidays ON dates.date = holidays.holiday_date where reports.username='gautam' and dates.date>='2009-01-01' and dates.date<='2009-01-10'; I got the following output +----------+-----------+---------+------------+ | date | activity | hours | holiday | +----------+-----------+---------+------------+ |2009-01-05| coding | 1 | Holi | +----------+-----------+---------+------------+ |2009-01-10| coding | 4 | | +----------+-----------+---------+------------+ but I expected this +----------+-----------+---------+------------+ | date | activity | hours | holiday | +----------+-----------+---------+------------+ |2009-01-01| Absent | Absent | | +----------+-----------+---------+------------+ |2009-01-02| | | Diwali | +----------+-----------+---------+------------+ |2009-01-03| Absent | Absent | | +----------+-----------+---------+------------+ |2009-01-04| Absent | Absent | | +----------+-----------+---------+------------+ |2009-01-05| Coding | 1 | Holi | +----------+-----------+---------+------------+ |2009-01-06| Absent | Absent | | +----------+-----------+---------+------------+ |2009-01-07| Absent | Absent | | +----------+-----------+---------+------------+ |2009-01-08| Absent | Absent | | +----------+-----------+---------+------------+ |2009-01-09| Absent | Absent | | +----------+-----------+---------+------------+ |2009-01-10| Coding | 4 | | +----------+-----------+---------+------------+ How can I modify the above query to get the desired output(for a particular user (gautam in this case))?

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  • Neophyte question about using Subtotal and CountIf in Excel

    - by Andrew
    Hi, I'm using Excel and having some problems with Countif and I don't understand how it works differently from SubTotal. I used the GUI to subtotal stuff and all the subtotals are right. Then I attempted to use the Countif to see how many requirements passed. That worked for the first subtotal only. It's easy to see why. When I look at the box for the subtotal, it says: =SUBTOTAL(3,C286:C292) When I look at my formula for passed requirements, I have: =IF(ISTEXT(A285),COUNTIF(C286:C338,"=Passed"),"") Notice that the last column is wrong. How did the Subtotal manage to keep this correct? I typed in the formula for passed requirements and dragged it down the page. Everything behaved as expected (even the bit about ISTEXT dutifully figured out which row was which), but it got the last row wrong. Any ideas? SRS Maintenance Count 7 44 SRS Maintenance Passed SRS Maintenance Passed SRS Maintenance Passed SRS Maintenance Passed SRS Maintenance Passed SRS Maintenance Passed SRS Maintenance Passed SRS Reports Count 12 43 SRS Reports Passed SRS Reports Passed SRS Reports Passed SRS Reports Passed SRS Reports Failed SRS Reports Passed SRS Reports Passed SRS Reports Failed SRS Reports Passed SRS Reports Passed SRS Reports Failed

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  • How to avoid links to map.root getting shortened?

    - by Guy C
    I have a Reports controller and various reports: http://localhost/reports/main/this_month http://localhost/reports/main/last_month http://localhost/reports/main/this_year I wanted http://localhost to default to http://localhost/reports/main/this_month. That is easy enough using map.root in my routes.rb. However when I do this any links to http://localhost/reports/main/this_month are now shortened to just http://localhost. I want the links to stay full

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  • Ways of breaking down SQL transactional/call data into reports -- 'square data'?

    - by RizwanK
    I've got a large database of call-traffic information (although the question could be answered with any generic data set.) For instance, a row contains : call endpoint server (endpoint_name) call endpoint status (sip_disconnect_reason) call destination (destination) call completed (duration) [duration 0 is completed] call account group (account_group) It's pretty easy to run SQL reports against the data, i.e. select count(*), endpoint_name from calls where duration0 group by endpoint_name select count(*),destination from calls where blah group by destination I've been calling this filtering or breakdown reports (I get the number of calls per carrier, etc.). Add another breakdown, and you've got two breakdowns, a la select count(*), endpoint_name, sip_disconnect_reason from calls where duration=0 group by endpoint_name, sip_disconnect_reason Of course, if you keep adding breakdowns, you end up making super-large reports and slicing your data so thin that you can't extract any trends from it. So my question is this : Is there a name for this sort of method of report writing? (I've heard words like squares, slicing and breakdown reports applied to them) --- I'm looking for a Python/Reporting toolkit that I can use to make these easier to generate for my end users. aside : Are there other ways of representing transactional data that might be useful rather than the above method? Thanks,

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  • When someone deletes a shared data source in SSRS

    - by Rob Farley
    SQL Server Reporting Services plays nicely. You can have things in the catalogue that get shared. You can have Reports that have Links, Datasets that can be used across different reports, and Data Sources that can be used in a variety of ways too. So if you find that someone has deleted a shared data source, you potentially have a bit of a horror story going on. And this works for this month’s T-SQL Tuesday theme, hosted by Nick Haslam, who wants to hear about horror stories. I don’t write about LobsterPot client horror stories, so I’m writing about a situation that a fellow MVP friend asked me about recently instead. The best thing to do is to grab a recent backup of the ReportServer database, restore it somewhere, and figure out what’s changed. But of course, this isn’t always possible. And it’s much nicer to help someone with this kind of thing, rather than to be trying to fix it yourself when you’ve just deleted the wrong data source. Unfortunately, it lets you delete data sources, without trying to scream that the data source is shared across over 400 reports in over 100 folders, as was the case for my friend’s colleague. So, suddenly there’s a big problem – lots of reports are failing, and the time to turn it around is small. You probably know which data source has been deleted, but getting the shared data source back isn’t the hard part (that’s just a connection string really). The nasty bit is all the re-mapping, to get those 400 reports working again. I know from exploring this kind of stuff in the past that the ReportServer database (using its default name) has a table called dbo.Catalog to represent the catalogue, and that Reports are stored here. However, the information about what data sources these deployed reports are configured to use is stored in a different table, dbo.DataSource. You could be forgiven for thinking that shared data sources would live in this table, but they don’t – they’re catalogue items just like the reports. Let’s have a look at the structure of these two tables (although if you’re reading this because you have a disaster, feel free to skim past). Frustratingly, there doesn’t seem to be a Books Online page for this information, sorry about that. I’m also not going to look at all the columns, just ones that I find interesting enough to mention, and that are related to the problem at hand. These fields are consistent all the way through to SQL Server 2012 – there doesn’t seem to have been any changes here for quite a while. dbo.Catalog The Primary Key is ItemID. It’s a uniqueidentifier. I’m not going to comment any more on that. A minor nice point about using GUIDs in unfamiliar databases is that you can more easily figure out what’s what. But foreign keys are for that too… Path, Name and ParentID tell you where in the folder structure the item lives. Path isn’t actually required – you could’ve done recursive queries to get there. But as that would be quite painful, I’m more than happy for the Path column to be there. Path contains the Name as well, incidentally. Type tells you what kind of item it is. Some examples are 1 for a folder and 2 a report. 4 is linked reports, 5 is a data source, 6 is a report model. I forget the others for now (but feel free to put a comment giving the full list if you know it). Content is an image field, remembering that image doesn’t necessarily store images – these days we’d rather use varbinary(max), but even in SQL Server 2012, this field is still image. It stores the actual item definition in binary form, whether it’s actually an image, a report, whatever. LinkSourceID is used for Linked Reports, and has a self-referencing foreign key (allowing NULL, of course) back to ItemID. Parameter is an ntext field containing XML for the parameters of the report. Not sure why this couldn’t be a separate table, but I guess that’s just the way it goes. This field gets changed when the default parameters get changed in Report Manager. There is nothing in dbo.Catalog that describes the actual data sources that the report uses. The default data sources would be part of the Content field, as they are defined in the RDL, but when you deploy reports, you typically choose to NOT replace the data sources. Anyway, they’re not in this table. Maybe it was already considered a bit wide to throw in another ntext field, I’m not sure. They’re in dbo.DataSource instead. dbo.DataSource The Primary key is DSID. Yes it’s a uniqueidentifier... ItemID is a foreign key reference back to dbo.Catalog Fields such as ConnectionString, Prompt, UserName and Password do what they say on the tin, storing information about how to connect to the particular source in question. Link is a uniqueidentifier, which refers back to dbo.Catalog. This is used when a data source within a report refers back to a shared data source, rather than embedding the connection information itself. You’d think this should be enforced by foreign key, but it’s not. It does allow NULLs though. Flags this is an int, and I’ll come back to this. When a Data Source gets deleted out of dbo.Catalog, you might assume that it would be disallowed if there are references to it from dbo.DataSource. Well, you’d be wrong. And not because of the lack of a foreign key either. Deleting anything from the catalogue is done by calling a stored procedure called dbo.DeleteObject. You can look at the definition in there – it feels very much like the kind of Delete stored procedures that many people write, the kind of thing that means they don’t need to worry about allowing cascading deletes with foreign keys – because the stored procedure does the lot. Except that it doesn’t quite do that. If it deleted everything on a cascading delete, we’d’ve lost all the data sources as configured in dbo.DataSource, and that would be bad. This is fine if the ItemID from dbo.DataSource hooks in – if the report is being deleted. But if a shared data source is being deleted, you don’t want to lose the existence of the data source from the report. So it sets it to NULL, and it marks it as invalid. We see this code in that stored procedure. UPDATE [DataSource]    SET       [Flags] = [Flags] & 0x7FFFFFFD, -- broken link       [Link] = NULL FROM    [Catalog] AS C    INNER JOIN [DataSource] AS DS ON C.[ItemID] = DS.[Link] WHERE    (C.Path = @Path OR C.Path LIKE @Prefix ESCAPE '*') Unfortunately there’s no semi-colon on the end (but I’d rather they fix the ntext and image types first), and don’t get me started about using the table name in the UPDATE clause (it should use the alias DS). But there is a nice comment about what’s going on with the Flags field. What I’d LIKE it to do would be to set the connection information to a report-embedded copy of the connection information that’s in the shared data source, the one that’s about to be deleted. I understand that this would cause someone to lose the benefit of having the data sources configured in a central point, but I’d say that’s probably still slightly better than LOSING THE INFORMATION COMPLETELY. Sorry, rant over. I should log a Connect item – I’ll put that on my todo list. So it sets the Link field to NULL, and marks the Flags to tell you they’re broken. So this is your clue to fixing it. A bitwise AND with 0x7FFFFFFD is basically stripping out the ‘2’ bit from a number. So numbers like 2, 3, 6, 7, 10, 11, etc, whose binary representation ends in either 11 or 10 get turned into 0, 1, 4, 5, 8, 9, etc. We can test for it using a WHERE clause that matches the SET clause we’ve just used. I’d also recommend checking for Link being NULL and also having no ConnectionString. And join back to dbo.Catalog to get the path (including the name) of broken reports are – in case you get a surprise from a different data source being broken in the past. SELECT c.Path, ds.Name FROM dbo.[DataSource] AS ds JOIN dbo.[Catalog] AS c ON c.ItemID = ds.ItemID WHERE ds.[Flags] = ds.[Flags] & 0x7FFFFFFD AND ds.[Link] IS NULL AND ds.[ConnectionString] IS NULL; When I just ran this on my own machine, having deleted a data source to check my code, I noticed a Report Model in the list as well – so if you had thought it was just going to be reports that were broken, you’d be forgetting something. So to fix those reports, get your new data source created in the catalogue, and then find its ItemID by querying Catalog, using Path and Name to find it. And then use this value to fix them up. To fix the Flags field, just add 2. I prefer to use bitwise OR which should do the same. Use the OUTPUT clause to get a copy of the DSIDs of the ones you’re changing, just in case you need to revert something later after testing (doing it all in a transaction won’t help, because you’ll just lock out the table, stopping you from testing anything). UPDATE ds SET [Flags] = [Flags] | 2, [Link] = '3AE31CBA-BDB4-4FD1-94F4-580B7FAB939D' /*Insert your own GUID*/ OUTPUT deleted.Name, deleted.DSID, deleted.ItemID, deleted.Flags FROM dbo.[DataSource] AS ds JOIN dbo.[Catalog] AS c ON c.ItemID = ds.ItemID WHERE ds.[Flags] = ds.[Flags] & 0x7FFFFFFD AND ds.[Link] IS NULL AND ds.[ConnectionString] IS NULL; But please be careful. Your mileage may vary. And there’s no reason why 400-odd broken reports needs to be quite the nightmare that it could be. Really, it should be less than five minutes. @rob_farley

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  • Whats a good API for generating reports for a java web application?

    - by Ahmad
    I have a J2EE application that has a lot of reports, the situation now is the following: Report filters' values are sent to the application over DWR mainly, the data are retrieved from Oracle DB throw DB procedures and returned back to the client. However, some customization is required every now and then (new data filters, columns, ordering, ...), and these changes are painful to implement since we need to modify the JSPs, DB Procedures, the application itself, ... What API do you recommend to use for such reports?

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  • Announcing the new Oracle Retail Workspace, A Configuration of Oracle WebCenter Spaces 11.1.1.5 for Oracle Retail

    - by Oracle Retail Documentation Team
    For the Oracle Retail 13.2.x enterprise, Oracle Retail Workspace 13.2.4 replaces previous versions of Oracle Retail Workspace. Oracle Retail Workspace 13.2.4 is a supported configuration of Oracle WebCenter Spaces 11.1.1.5 for Oracle Retail. Supported Product Overview In order to provide a next-generation Oracle user engagement platform for the retail industry, Oracle Retail Workspace leverages WebCenter Spaces. Oracle Retail Workspace is not a licensed retail application with any code. Instead, retailers purchase the underlying technology and then leverage the Oracle Retail Workspace Implementation Guide to configure a portal utilizing Oracle WebCenter Spaces. Oracle Retail Workspace has been repositioned as a configuration of Oracle WebCenter Spaces for the following reasons: The Oracle Retail Workspace configuration utilizes the external application functionality and the application navigator taskflow of the Oracle WebCenter Framework to configure Oracle Retail applications in Oracle WebCenter Spaces. The Oracle WebCenter Framework improves IT development cycle times by blending Web 2.0 services, processes, business intelligence, and transactions in an integrated JSF framework. The Oracle WebCenter Spaces 11g offers features provided by the previous versions of Oracle Retail Workspace that enable retailers to leverage a productive portal-based environment. List of Documents The following are included in Workspace 13.2.4, A Configuration of WebCenter Spaces 11.1.1.5 for Oracle Retail Oracle Retail Workspace Release Notes Oracle Retail Workspace Implementation Guide Workspace Retail Library—Unsupported The Oracle Retail Workspace Retail Library is comprised of previously-published accelerator documents and sample code downloads hosted on My Oracle Support. They are not supported, nor are they associated with the support lifecycle of the Workspace application. Doc ID: 1461281.1: Oracle Retail Workspace Retail Library Oracle Retail Workspace Retail Library Reference GuideA set of Micro-Applications that can be used to perform some of the operations of Oracle Retail Merchandising System (RMS) from outside the application. This document describes the functional and technical design details of the Micro-Applications available in this release, including the following and more: Create Regular Item Create Purchase Order Item Transfer Update Vendor Oracle Retail Fashion Planning Bundle Reports documentationThe Oracle Retail Fashion Planning Bundle Reports package includes role-based Oracle Business Intelligence (BI) Enterprise Edition (EE) reports and dashboards that provide an illustrative overview highlighting the Fashion Planning Bundle solutions. These dashboards can be leveraged out-of-the-box or can be used along with the other dashboards and reports that may have already been created to support a specific solution or organizational needs. This package includes dashboards for the Assortment Planning, Item Planning, Item Planning Configured for COE, Merchandise Financial Planning Retail Accounting, and Merchandise Financial Planning Cost Accounting applications. Oracle Retail Accelerators for WebLogic Server 11g Micro-Applications Development TutorialThis tutorial describes how you can create a Micro-Application for the Create a Regular Item task in the Retail Merchandising System (RMS) application using Oracle JDeveloper and ADF. Retail Accelerators: Developing ADF Reports for RPASThis document illustrates how you can use the Oracle Application Development Framework 11g (ADF) to generate reports that provide insights from the Oracle Retail Predictive Application Server (RPAS) based applications. Oracle Retail Accelerators Guide for WebCenter 11gOracle Retail Accelerators Guide for WebCenter 11g describes how you can integrate Oracle Retail applications with Oracle WebCenter Spaces and customize WebCenter Spaces to include custom-developed content. Oracle Retail Accelerators, Developing Oracle BI EE reports on RPAS Domain DataThis document illustrates how you can set up the integration between BI EE and RPAS domains to generate BI EE reports and dashboards for RPAS. Oracle Retail Accelerators, Developing Oracle BI EE Reports on RPAS WorkbooksThis document outlines a process to create real-time Oracle Business Intelligence (BI) Enterprise Edition reports against RPAS workbooks dynamically, as opposed to directly going against the RPAS domain for the data. 

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  • Using NServiceBus behind a custom web service

    - by Michael Stephenson
    In this post I'd like to talk about an architecture scenario we had recently and how we were able to utilise NServiceBus to help us address this problem. Scenario Cognos is a reporting system used by one of my clients. A while back we developed a web service façade to allow line of business applications to be able to access reports from Cognos to support their various functions. The service was intended to provide access to reports which were quick running reports or pre-generated reports which could be accessed real-time on demand. One of the key aims of the web service was to provide a simple generic interface to allow applications to get any report without needing to worry about the complex .net SDK for Cognos. The web service also supported multi-hop kerberos delegation so that report data could be accesses under the context of the end user. This service was working well for a period of time. The Problem The problem we encountered was that reports were now also required to be available to batch processes. The original design was optimised for low latency so users would enjoy a positive experience, however when the batch processes started to request 250+ concurrent reports over an extended period of time you can begin to imagine the sorts of problems that come into play. The key problems this new scenario caused are: Users may be affected and the latency of on demand reports was significantly slower The Cognos infrastructure was not scaled sufficiently to be able to cope with these long peaks of load From a cost perspective it just isn't feasible to scale the Cognos infrastructure to be able to handle the load when it is only for a couple of hour window each night. We really needed to introduce a second pattern for accessing this service which would support high through-put scenarios. We also had little control over the batch process in terms of being able to throttle its load. We could however make some changes to the way it accessed the reports. The Approach My idea was to introduce a throttling mechanism between the Web Service Façade and Cognos. This would allow the batch processes to push reports requests hard at the web service which we were confident the web service can handle. The web service would then queue these requests and process them behind the scenes and make a call back to the batch application to provide the report once it had been accessed. In terms of technology we had some limitations because we were not able to use WCF or IIS7 where the MSMQ-Activated WCF services could have helped, but we did have MSMQ as an option and I thought NServiceBus could do just the job to help us here. The flow of how this would work was as follows: The batch applications would send a request for a report to the web service The web service uses NServiceBus to send the message to a Queue The NServiceBus Generic Host is running as a windows service with a message handler which subscribes to these messages The message handler gets the message, accesses the report from Cognos The message handler calls back to the original batch application, this is decoupled because the calling application provides a call back url The report gets into the batch application and is processed as normal This approach looks something like the below diagram: The key points are an application wanting to take advantage of the batch driven reports needs to do the following: Implement our call back contract Make a call to the service providing a call back url Provide a correlation ID so it knows how to tie each response back to its request What does NServiceBus offer in this solution So this scenario is not the typical messaging service bus type of solution people implement with NServiceBus, but it did offer the following: Simplified interaction with MSMQ Offered the ability to configure the number of processes working through the queue so we could find a balance between load on Cognos versus the applications end to end processing time NServiceBus offers retries and a way to manage failed messages NServiceBus offers a high availability setup The simple thing is that NServiceBus gave us the platform to build the solution on. We just implemented a message handler which functionally processed a message and we could rely on NServiceBus to do all of the hard work around managing the queues and all of the lower level things that would have took ages to write to any kind of robust level. Conclusion With this approach we were able to deal with a fairly significant performance issue with out too much rework. Hopefully this write up gives people some insight into ideas on how to leverage the excellent NServiceBus framework to help solve integration and high through-put scenarios.

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  • I cannot update my version 12-04. After installation of 12.04 I get only error reports when I try to update

    - by cees groenewoud
    received report: from Google translate : Could not initialize the package information There was an insoluble problem occurred while initializing the package information. Please this error in the package "update-manager" to report and add the following message to: 'E: Encountered a section with no Package: header E: Problem with Merge List / var/lib/apt/lists/nl.archive.ubuntu.com_ubuntu_dists_precise_main_i18n_Translation-en, E: The package lists or status file could not decompose or not be opened. " Kon de pakketinformatie niet initialiseren Er heeft zich een onoplosbaar probleem voorgedaan bij het initialiseren van de pakketinformatie. Gelieve deze fout in het pakket ‘update-manager’ te rapporteren en voeg de volgende foutmelding toe: 'E:Encountered a section with no Package: header, E:Problem with MergeList /var/lib/apt/lists/nl.archive.ubuntu.com_ubuntu_dists_precise_main_i18n_Translation-en, E:De pakketlijsten of het statusbestand konden of niet ontleed, of niet geopend worden.'

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  • Once installed geos library (C++, and C), and then trying to install rgeos package (R), it reports geos-config missing!

    - by user1873888
    Knowing that the package rgeos, from the R language, requieres a prior installation of geos libraries, I installed, both, libgeos and libgeos-c1 (3.2.2), using the synaptic installer in my Ubuntu 12.04 (32 bit) machine. Then I tried to install rgeos directly from the R console, and it issued a message in the sense that geos-config was not found. The output is as follows: > install.packages("rgeos") Installing package(s) into ‘/home/checo/R/i486-pc-linux-gnu-library/2.15’ (as ‘lib’ is unspecified) also installing the dependency ‘sp’ probando la URL 'http://cran.rstudio.com/src/contrib/sp_1.0-9.tar.gz' Content type 'application/x-gzip' length 882102 bytes (861 Kb) URL abierta ================================================== downloaded 861 Kb probando la URL 'http://cran.rstudio.com/src/contrib/rgeos_0.2-19.tar.gz' Content type 'application/x-gzip' length 221471 bytes (216 Kb) URL abierta ================================================== downloaded 216 Kb * installing *source* package ‘sp’ ... ** package ‘sp’ successfully unpacked and MD5 sums checked ** libs gcc -std=gnu99 -I/usr/share/R/include -DNDEBUG -fpic -O3 -pipe -g -c R centroid.c -o Rcentroid.o gcc -std=gnu99 -I/usr/share/R/include -DNDEBUG -fpic -O3 -pipe -g -c gcdist.c -o gcdist.o gcc -std=gnu99 -I/usr/share/R/include -DNDEBUG -fpic -O3 -pipe -g -c init.c -o init.o gcc -std=gnu99 -I/usr/share/R/include -DNDEBUG -fpic -O3 -pipe -g -c pip.c -o pip.o gcc -std=gnu99 -I/usr/share/R/include -DNDEBUG -fpic -O3 -pipe -g -c pip2.c -o pip2.o gcc -std=gnu99 -I/usr/share/R/include -DNDEBUG -fpic -O3 -pipe -g -c sp_xports.c -o sp_xports.o gcc -std=gnu99 -I/usr/share/R/include -DNDEBUG -fpic -O3 -pipe -g -c surfaceArea.c -o surfaceArea.o gcc -std=gnu99 -I/usr/share/R/include -DNDEBUG -fpic -O3 -pipe -g -c zerodist.c -o zerodist.o gcc -std=gnu99 -shared -o sp.so Rcentroid.o gcdist.o init.o pip.o pip2.o sp_xports.o surfaceArea.o zerodist.o -L/usr/lib/R/lib -lR installing to /home/checo/R/i486-pc-linux-gnu-library/2.15/sp/libs ** R ** data ** demo ** inst ** preparing package for lazy loading ** help *** installing help indices ** building package indices ** installing vignettes ‘intro_sp.Rnw’ ‘over.Rnw’ ** testing if installed package can be loaded * DONE (sp) * installing *source* package ‘rgeos’ ... ** package ‘rgeos’ successfully unpacked and MD5 sums checked configure: CC: gcc -std=gnu99 configure: CXX: g++ configure: rgeos: 0.2-17 checking for /usr/bin/svnversion... no configure: svn revision: 394 checking geos-config usability... ./configure: line 1385: geos-config: command not found no configure: error: geos-config not usable ERROR: configuration failed for package ‘rgeos’ * removing ‘/home/checo/R/i486-pc-linux-gnu-library/2.15/rgeos’ Warning in install.packages : installation of package ‘rgeos’ had non-zero exit status Forgive my ignorance, but I don't know where this file, "geos-config", comes from: should it be generated by the gcc compilations above, or should it be previously installed when the libgeos libraries were intalled? I learnt, from another machine, that "geos-config" is an executable and that it should be installed in /usr/bin. Do you have any idea on what's wrong with my procedure? Thanks, -Sergio.

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