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  • IP Phone over VPN - one way calls unless default route?

    - by dannymcc
    I have come across a strange problem with our VPN and BCM 50 (Nortel/Avaya) phone system. As you can tell by my other questions I have been doing some work on setting a VPN up from one location to another and it's all working well. With one exception. We have an IP phone that is connected at the remote location, straight to a router which has a VPN tunnel to our main practice. The phone works mostly, but every few calls it turns into a one way call. As in, the caller (from the remote phone) can't hear the receiver- but the receiver can hear the caller. This is fixed by setting the VPN tunnel to be the default route for all traffic. The problem with fixing it that way is that all traffic then goes through the tunnel which slows internet access etc. down considerably. The router is set to send the following over the VPN: 192.168.1.0/24 192.168.2.0/24 192.168.4.0/24 The IP of the remote location is: 192.168.3.0/24 The remote router (where the phone is) is a Draytek 2830n, and the local router (at the main practice) is a Draytek 2820. We are using an IPSec tunnel with AES encryption <- as a result of a previous answer pointing to the incompatibility in the hardware encryption. Any advice would be appreciated!

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  • VNC from Windows to OS X Lion: App stuck in fullscreen mode

    - by Jonny
    I'm connecting to a remote Mac through a Windows. ahh it gets more complicated than that. I'm sitting by my iMac. I use Virtual Box in it to launch Windows 7. In it I have a VPN connection to a remote Windows network, which allows me to use Remote Desktop to one of the Windows (Vista!) boxes over there. From that Vista box I VNC into a Mac OS X Lion. (Don't ask me why, but that Mac doesn't have a public ip which prevents me from accessing it in the first place.) So: OSXLion - (virtual)Windows7 - Windows Vista - OSX Lion That last Mac was recently upgraded from Snow Leopard. Now with Lion, sometimes apps run in fullscreen. Somehow I can't get out of that fullscreen. Normally you'd move the mouse pointer to the top of screen and a menu list bar drops down allowing you to reach the fullscreen button top right. Now, in my current setup that menu list bar never drops down on the remote Mac at the end of the line. Any ideas?

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  • error: unexplained error (code 130) at rsync.c(541) [sender=3.0.7]

    - by brazorf
    This error: unexplained error (code 130) at rsync.c(541) [sender=3.0.7] error is happening after i changed router. Actually, i found out that this error just happens on a ctrl+c signal, so it could be not representative about the error itself. The command i run is very basic: rsync -avz --delete /local/path/ username@host:/path/to/remote/directory Basically, the rsync just stuck there and nothing's happening, until i ctrl+c. After interrupting the process i got the error in subject. I past the whole thing here: rsync -avvvvz --delete /source/path/ username@host:/path/to/direectory cmd=<NULL> machine=HOSTNAME user=username path=/path/to/direectory cmd[0]=ssh cmd[1]=-l cmd[2]=username cmd[3]=HOSTNAME cmd[4]=rsync cmd[5]=--server cmd[6]=-vvvvlogDtprze.iLsf cmd[7]=--delete cmd[8]=. cmd[9]=/path/to/direectory opening connection using: ssh -l username HOSTNAME rsync --server -vvvvlogDtprze.iLsf --delete . /path/to/direectory note: iconv_open("UTF-8", "UTF-8") succeeded. ^C[sender] _exit_cleanup(code=20, file=rsync.c, line=541): entered rsync error: unexplained error (code 130) at rsync.c(541) [sender=3.0.7] [sender] _exit_cleanup(code=20, file=rsync.c, line=541): about to call exit(130) The authentication runs on ssh via rsa key. I tried basic troubleshoot such as: ping the remote host ssh -l username remote.host check software firewall logs i asked the remote host sysadmin to check for logs, and when i run that command a ssh connection is actually being established and i can state there is no comunication/authentication/name resolution issue here. Rolling back to old router make this work again. Both client and server are running ubuntu 10.04. Try to take a look at my router configuration, where i'm no experienced at all, but i didnt see any "suspect" (what i was looking for is firewall blocking something) setting. The router itself is DLINK DVA-G3670B. Any suggestion? Thank You F.

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  • Unusually high dentry cache usage

    - by Wolfgang Stengel
    Problem A CentOS machine with kernel 2.6.32 and 128 GB physical RAM ran into trouble a few days ago. The responsible system administrator tells me that the PHP-FPM application was not responding to requests in a timely manner anymore due to swapping, and having seen in free that almost no memory was left, he chose to reboot the machine. I know that free memory can be a confusing concept on Linux and a reboot perhaps was the wrong thing to do. However, the mentioned administrator blames the PHP application (which I am responsible for) and refuses to investigate further. What I could find out on my own is this: Before the restart, the free memory (incl. buffers and cache) was only a couple of hundred MB. Before the restart, /proc/meminfo reported a Slab memory usage of around 90 GB (yes, GB). After the restart, the free memory was 119 GB, going down to around 100 GB within an hour, as the PHP-FPM workers (about 600 of them) were coming back to life, each of them showing between 30 and 40 MB in the RES column in top (which has been this way for months and is perfectly reasonable given the nature of the PHP application). There is nothing else in the process list that consumes an unusual or noteworthy amount of RAM. After the restart, Slab memory was around 300 MB If have been monitoring the system ever since, and most notably the Slab memory is increasing in a straight line with a rate of about 5 GB per day. Free memory as reported by free and /proc/meminfo decreases at the same rate. Slab is currently at 46 GB. According to slabtop most of it is used for dentry entries: Free memory: free -m total used free shared buffers cached Mem: 129048 76435 52612 0 144 7675 -/+ buffers/cache: 68615 60432 Swap: 8191 0 8191 Meminfo: cat /proc/meminfo MemTotal: 132145324 kB MemFree: 53620068 kB Buffers: 147760 kB Cached: 8239072 kB SwapCached: 0 kB Active: 20300940 kB Inactive: 6512716 kB Active(anon): 18408460 kB Inactive(anon): 24736 kB Active(file): 1892480 kB Inactive(file): 6487980 kB Unevictable: 8608 kB Mlocked: 8608 kB SwapTotal: 8388600 kB SwapFree: 8388600 kB Dirty: 11416 kB Writeback: 0 kB AnonPages: 18436224 kB Mapped: 94536 kB Shmem: 6364 kB Slab: 46240380 kB SReclaimable: 44561644 kB SUnreclaim: 1678736 kB KernelStack: 9336 kB PageTables: 457516 kB NFS_Unstable: 0 kB Bounce: 0 kB WritebackTmp: 0 kB CommitLimit: 72364108 kB Committed_AS: 22305444 kB VmallocTotal: 34359738367 kB VmallocUsed: 480164 kB VmallocChunk: 34290830848 kB HardwareCorrupted: 0 kB AnonHugePages: 12216320 kB HugePages_Total: 2048 HugePages_Free: 2048 HugePages_Rsvd: 0 HugePages_Surp: 0 Hugepagesize: 2048 kB DirectMap4k: 5604 kB DirectMap2M: 2078720 kB DirectMap1G: 132120576 kB Slabtop: slabtop --once Active / Total Objects (% used) : 225920064 / 226193412 (99.9%) Active / Total Slabs (% used) : 11556364 / 11556415 (100.0%) Active / Total Caches (% used) : 110 / 194 (56.7%) Active / Total Size (% used) : 43278793.73K / 43315465.42K (99.9%) Minimum / Average / Maximum Object : 0.02K / 0.19K / 4096.00K OBJS ACTIVE USE OBJ SIZE SLABS OBJ/SLAB CACHE SIZE NAME 221416340 221416039 3% 0.19K 11070817 20 44283268K dentry 1123443 1122739 99% 0.41K 124827 9 499308K fuse_request 1122320 1122180 99% 0.75K 224464 5 897856K fuse_inode 761539 754272 99% 0.20K 40081 19 160324K vm_area_struct 437858 223259 50% 0.10K 11834 37 47336K buffer_head 353353 347519 98% 0.05K 4589 77 18356K anon_vma_chain 325090 324190 99% 0.06K 5510 59 22040K size-64 146272 145422 99% 0.03K 1306 112 5224K size-32 137625 137614 99% 1.02K 45875 3 183500K nfs_inode_cache 128800 118407 91% 0.04K 1400 92 5600K anon_vma 59101 46853 79% 0.55K 8443 7 33772K radix_tree_node 52620 52009 98% 0.12K 1754 30 7016K size-128 19359 19253 99% 0.14K 717 27 2868K sysfs_dir_cache 10240 7746 75% 0.19K 512 20 2048K filp VFS cache pressure: cat /proc/sys/vm/vfs_cache_pressure 125 Swappiness: cat /proc/sys/vm/swappiness 0 I know that unused memory is wasted memory, so this should not necessarily be a bad thing (especially given that 44 GB are shown as SReclaimable). However, apparently the machine experienced problems nonetheless, and I'm afraid the same will happen again in a few days when Slab surpasses 90 GB. Questions I have these questions: Am I correct in thinking that the Slab memory is always physical RAM, and the number is already subtracted from the MemFree value? Is such a high number of dentry entries normal? The PHP application has access to around 1.5 M files, however most of them are archives and not being accessed at all for regular web traffic. What could be an explanation for the fact that the number of cached inodes is much lower than the number of cached dentries, should they not be related somehow? If the system runs into memory trouble, should the kernel not free some of the dentries automatically? What could be a reason that this does not happen? Is there any way to "look into" the dentry cache to see what all this memory is (i.e. what are the paths that are being cached)? Perhaps this points to some kind of memory leak, symlink loop, or indeed to something the PHP application is doing wrong. The PHP application code as well as all asset files are mounted via GlusterFS network file system, could that have something to do with it? Please keep in mind that I can not investigate as root, only as a regular user, and that the administrator refuses to help. He won't even run the typical echo 2 > /proc/sys/vm/drop_caches test to see if the Slab memory is indeed reclaimable. Any insights into what could be going on and how I can investigate any further would be greatly appreciated. Updates Some further diagnostic information: Mounts: cat /proc/self/mounts rootfs / rootfs rw 0 0 proc /proc proc rw,relatime 0 0 sysfs /sys sysfs rw,relatime 0 0 devtmpfs /dev devtmpfs rw,relatime,size=66063000k,nr_inodes=16515750,mode=755 0 0 devpts /dev/pts devpts rw,relatime,gid=5,mode=620,ptmxmode=000 0 0 tmpfs /dev/shm tmpfs rw,relatime 0 0 /dev/mapper/sysvg-lv_root / ext4 rw,relatime,barrier=1,data=ordered 0 0 /proc/bus/usb /proc/bus/usb usbfs rw,relatime 0 0 /dev/sda1 /boot ext4 rw,relatime,barrier=1,data=ordered 0 0 tmpfs /phptmp tmpfs rw,noatime,size=1048576k,nr_inodes=15728640,mode=777 0 0 tmpfs /wsdltmp tmpfs rw,noatime,size=1048576k,nr_inodes=15728640,mode=777 0 0 none /proc/sys/fs/binfmt_misc binfmt_misc rw,relatime 0 0 cgroup /cgroup/cpuset cgroup rw,relatime,cpuset 0 0 cgroup /cgroup/cpu cgroup rw,relatime,cpu 0 0 cgroup /cgroup/cpuacct cgroup rw,relatime,cpuacct 0 0 cgroup /cgroup/memory cgroup rw,relatime,memory 0 0 cgroup /cgroup/devices cgroup rw,relatime,devices 0 0 cgroup /cgroup/freezer cgroup rw,relatime,freezer 0 0 cgroup /cgroup/net_cls cgroup rw,relatime,net_cls 0 0 cgroup /cgroup/blkio cgroup rw,relatime,blkio 0 0 /etc/glusterfs/glusterfs-www.vol /var/www fuse.glusterfs rw,relatime,user_id=0,group_id=0,default_permissions,allow_other,max_read=131072 0 0 /etc/glusterfs/glusterfs-upload.vol /var/upload fuse.glusterfs rw,relatime,user_id=0,group_id=0,default_permissions,allow_other,max_read=131072 0 0 sunrpc /var/lib/nfs/rpc_pipefs rpc_pipefs rw,relatime 0 0 172.17.39.78:/www /data/www nfs rw,relatime,vers=3,rsize=65536,wsize=65536,namlen=255,hard,proto=tcp,port=38467,timeo=600,retrans=2,sec=sys,mountaddr=172.17.39.78,mountvers=3,mountport=38465,mountproto=tcp,local_lock=none,addr=172.17.39.78 0 0 Mount info: cat /proc/self/mountinfo 16 21 0:3 / /proc rw,relatime - proc proc rw 17 21 0:0 / /sys rw,relatime - sysfs sysfs rw 18 21 0:5 / /dev rw,relatime - devtmpfs devtmpfs rw,size=66063000k,nr_inodes=16515750,mode=755 19 18 0:11 / /dev/pts rw,relatime - devpts devpts rw,gid=5,mode=620,ptmxmode=000 20 18 0:16 / /dev/shm rw,relatime - tmpfs tmpfs rw 21 1 253:1 / / rw,relatime - ext4 /dev/mapper/sysvg-lv_root rw,barrier=1,data=ordered 22 16 0:15 / /proc/bus/usb rw,relatime - usbfs /proc/bus/usb rw 23 21 8:1 / /boot rw,relatime - ext4 /dev/sda1 rw,barrier=1,data=ordered 24 21 0:17 / /phptmp rw,noatime - tmpfs tmpfs rw,size=1048576k,nr_inodes=15728640,mode=777 25 21 0:18 / /wsdltmp rw,noatime - tmpfs tmpfs rw,size=1048576k,nr_inodes=15728640,mode=777 26 16 0:19 / /proc/sys/fs/binfmt_misc rw,relatime - binfmt_misc none rw 27 21 0:20 / /cgroup/cpuset rw,relatime - cgroup cgroup rw,cpuset 28 21 0:21 / /cgroup/cpu rw,relatime - cgroup cgroup rw,cpu 29 21 0:22 / /cgroup/cpuacct rw,relatime - cgroup cgroup rw,cpuacct 30 21 0:23 / /cgroup/memory rw,relatime - cgroup cgroup rw,memory 31 21 0:24 / /cgroup/devices rw,relatime - cgroup cgroup rw,devices 32 21 0:25 / /cgroup/freezer rw,relatime - cgroup cgroup rw,freezer 33 21 0:26 / /cgroup/net_cls rw,relatime - cgroup cgroup rw,net_cls 34 21 0:27 / /cgroup/blkio rw,relatime - cgroup cgroup rw,blkio 35 21 0:28 / /var/www rw,relatime - fuse.glusterfs /etc/glusterfs/glusterfs-www.vol rw,user_id=0,group_id=0,default_permissions,allow_other,max_read=131072 36 21 0:29 / /var/upload rw,relatime - fuse.glusterfs /etc/glusterfs/glusterfs-upload.vol rw,user_id=0,group_id=0,default_permissions,allow_other,max_read=131072 37 21 0:30 / /var/lib/nfs/rpc_pipefs rw,relatime - rpc_pipefs sunrpc rw 39 21 0:31 / /data/www rw,relatime - nfs 172.17.39.78:/www rw,vers=3,rsize=65536,wsize=65536,namlen=255,hard,proto=tcp,port=38467,timeo=600,retrans=2,sec=sys,mountaddr=172.17.39.78,mountvers=3,mountport=38465,mountproto=tcp,local_lock=none,addr=172.17.39.78 GlusterFS config: cat /etc/glusterfs/glusterfs-www.vol volume remote1 type protocol/client option transport-type tcp option remote-host 172.17.39.71 option ping-timeout 10 option transport.socket.nodelay on # undocumented option for speed # http://gluster.org/pipermail/gluster-users/2009-September/003158.html option remote-subvolume /data/www end-volume volume remote2 type protocol/client option transport-type tcp option remote-host 172.17.39.72 option ping-timeout 10 option transport.socket.nodelay on # undocumented option for speed # http://gluster.org/pipermail/gluster-users/2009-September/003158.html option remote-subvolume /data/www end-volume volume remote3 type protocol/client option transport-type tcp option remote-host 172.17.39.73 option ping-timeout 10 option transport.socket.nodelay on # undocumented option for speed # http://gluster.org/pipermail/gluster-users/2009-September/003158.html option remote-subvolume /data/www end-volume volume remote4 type protocol/client option transport-type tcp option remote-host 172.17.39.74 option ping-timeout 10 option transport.socket.nodelay on # undocumented option for speed # http://gluster.org/pipermail/gluster-users/2009-September/003158.html option remote-subvolume /data/www end-volume volume replicate1 type cluster/replicate option lookup-unhashed off # off will reduce cpu usage, and network option local-volume-name 'hostname' subvolumes remote1 remote2 end-volume volume replicate2 type cluster/replicate option lookup-unhashed off # off will reduce cpu usage, and network option local-volume-name 'hostname' subvolumes remote3 remote4 end-volume volume distribute type cluster/distribute subvolumes replicate1 replicate2 end-volume volume iocache type performance/io-cache option cache-size 8192MB # default is 32MB subvolumes distribute end-volume volume writeback type performance/write-behind option cache-size 1024MB option window-size 1MB subvolumes iocache end-volume ### Add io-threads for parallel requisitions volume iothreads type performance/io-threads option thread-count 64 # default is 16 subvolumes writeback end-volume volume ra type performance/read-ahead option page-size 2MB option page-count 16 option force-atime-update no subvolumes iothreads end-volume

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  • Immediate logout after login with PAM, Kerberos, and LDAP

    - by Dylan Klomparens
    I've set up remote login on a computer using Kerberos and LDAP. I've also configured NFS to mount onto /home so that the user's home directory is the same wherever they login. Kerberos authentication seems to work fine. I can get a ticket using kinit user1 (assuming user1 is a remote user) and see the ticket with klist. I'm pretty sure LDAP is working because I see the proper output from getent passwd, which lists all the remote users. The contents of /home are present when I list the files. The problem is: when I try to login as a remote user the session is immediately ended. Why is it not letting me stay logged in? Here is the output from /var/log/messages after a login attempt: # /var/log/messages: Oct 9 10:57:53 tophat login[6472]: pam_krb5[6472]: authentication succeeds for 'user1' ([email protected]) Oct 9 10:57:53 tophat login[6472]: pam_krb5[6472]: pam_setcred (establish credential) called Oct 9 10:57:53 tophat login[6472]: pam_krb5[6472]: pam_setcred (delete credential) called EDIT: The distro is openSUSE. Here are the common-* files in /etc/pam.d:   # /etc/pam.d/common-account account required pam_unix.so   # /etc/pam.d/common-auth auth sufficient pam_krb5.so minimum_uid=1000 auth required pam_unix.so nullok_secure try_first_pass   # /etc/pam.d/common-session session optional pam_umask.so umask=002 session sufficient pam_krb5.so minimum_uid=1000 session required pam_unix.so There doesn't appear to be a /var/log/auth.log file nor a /var/log/secure file.

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  • GIT : I keep having to merge my new branch

    - by mnml
    Hi, I have created a new branch and I'm working on it with others dev but for reasons when I want to push my new commits I always have to git merge origin/mynewbranch Otherwise I'm getting some errors: ! [rejected] mynewbranch -> mynewbranch (non-fast-forward) error: failed to push some refs to '[email protected]/repo.git' To prevent you from losing history, non-fast-forward updates were rejected Merge the remote changes before pushing again. See the 'Note about fast-forwards' section of 'git push --help' for details. You asked me to pull without telling me which branch you want to merge with, and 'branch.mynewbranch.merge' in your configuration file does not tell me, either. Please specify which branch you want to use on the command line and try again (e.g. 'git pull <repository> <refspec>'). See git-pull(1) for details. If you often merge with the same branch, you may want to use something like the following in your configuration file: [branch "mynewbranch"] remote = <nickname> merge = <remote-ref> [remote "<nickname>"] url = <url> fetch = <refspec> See git-config(1) for details. Why is it not automatic? Thanks

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  • How do you backup your own files? [on hold]

    - by Antonis Christofides
    I'm a system administrator and I use rsnapshot to backup some servers, duplicity for some others. Both work fine, each one with advantages and disadvantages. Despite that, I am at a loss on how to backup my own private files. I'd use duplicity to automatically backup my files to a remote server; but the problem is that once in a while I must do a full backup. My emails and important files are 9G, and I expect this to increase. Uploading through aDSL at 1Mbit would be 20 hours. Too much. rsnapshot doesn't require periodic full backups (only the first time), but it must be running on the remote server and have a means to connect to my computer; if the server is compromised (or simply if the NSA decides to use it), my own machine is also compromised. Not good. The only solution I've come up with is use encfs, use unison to synchronize the files to a remote server, and use duplicity or rsnapshot on the remote server to backup these files. In that case, the question is whether I can sync the files on many computers; is it possible for encfs to be used with the same key on many computers? I also think that if I append one character to the unencrypted file, its encrypted encfs counterpart might change a lot, so that incrementals with duplicity would be less efficient—but not a big deal. Maybe also, when I need to restore a file, finding the correct file to restore could be a pain, because of filename encryption. I wonder whether there is any other possibility that I've overlooked. Maybe I'm asking too much for my personal use, and I should settle with an external disk?

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  • Can't access server sound card when vnc'd into ubuntu server

    - by Corey Kennedy
    I've set up my ubunutu 10 server with xfce, nxserver, and now tightvncserver so that I can control it remotely from my Windows 7 laptop. NX is working fine for remote access, but when I run (for example) exaile, no sound will be sent through the server's sound card. I installed tightvncserver and connected, but ran into the same problem. Exaile opens, sound isn't muted, I can see that sound cards are installed (via cat /proc/asound/cards), but I can't seem to get the remote sessions to access the server's sound card. Also, just to confirm that the sound card was working I hooked up a montior/keyboard to the server and opened a local xfce session. That worked fine. While I had the local session running, I was also able to open a remote session with NXClient and start exaile - which then successfully piped sound to the local card. After disconnecting the monitor/keyboard and moving the box back to its normal spot, though, I was not able to play sound via either an NX or VNC session. Does anyone have any suggestions? Surely it's possible to configure my remote sessions to pipe sound to the server's sound card, right? Or at least get xfce up and running without a monitor or keyboard but with access to the sound card so I can VNC into it? Thanks!

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  • glusterfs mounts get unmounted when 1 of the 2 bricks goes offline

    - by Shiquemano
    I have an odd case where 1 of the 2 replicated glusterfs bricks will go offline and take all of the client mounts down with it. As I understand it, this should not be happening. It should fail over to the brick that is still online, but this hasn't been the case. I suspect that this is due to configuration issue. Here is a description of the system: 2 gluster servers on dedicated hardware (gfs0, gfs1) 8 client servers on vms (client1, client2, client3, ... , client8) Half of the client servers are mounted with gfs0 as the primary, and the other half are pointed at gfs1. Each of the clients are mounted with the following entry in /etc/fstab: /etc/glusterfs/datavol.vol /data glusterfs defaults 0 0 Here is the content of /etc/glusterfs/datavol.vol: volume datavol-client-0 type protocol/client option transport-type tcp option remote-subvolume /data/datavol option remote-host gfs0 end-volume volume datavol-client-1 type protocol/client option transport-type tcp option remote-subvolume /data/datavol option remote-host gfs1 end-volume volume datavol-replicate-0 type cluster/replicate subvolumes datavol-client-0 datavol-client-1 end-volume volume datavol-dht type cluster/distribute subvolumes datavol-replicate-0 end-volume volume datavol-write-behind type performance/write-behind subvolumes datavol-dht end-volume volume datavol-read-ahead type performance/read-ahead subvolumes datavol-write-behind end-volume volume datavol-io-cache type performance/io-cache subvolumes datavol-read-ahead end-volume volume datavol-quick-read type performance/quick-read subvolumes datavol-io-cache end-volume volume datavol-md-cache type performance/md-cache subvolumes datavol-quick-read end-volume volume datavol type debug/io-stats option count-fop-hits on option latency-measurement on subvolumes datavol-md-cache end-volume The config above is the latest attempt at making this behave properly. I have also tried the following entry in /etc/fstab: gfs0:/datavol /data glusterfs defaults,backupvolfile-server=gfs1 0 0 This was the entry for half of the clients, while the other half had: gfs1:/datavol /data glusterfs defaults,backupvolfile-server=gfs0 0 0 The results were exactly the same as the above configuration. Both configs connect everything just fine, they just don't fail over. Any help would be appreciated.

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  • Incorrect Internal DNS Resolution

    - by user167016
    I'm having a DNS issue. Server 2008 R2. The first clue was that after being off the network for a month, I could no longer Remote Desktop into my workstation by name, it wouldn't find it. Both via VPN and internally. But if I connect using its IP, that works. Now I notice in the server's Share and Storage Management, in Manage Sessions, it's displaying the incorrect computer name for some users. So I try, for one example: Ping -a 192.168.16.81 Pinging BOBS_COMPUTER.ourdomain.local [192.168.16.81] with 32 bytes of data: - replies all successful Then I try Ping RICHARDS_COMPUTER Pinging RICHARDS_COMPUTER.ourdomain.local [192.168.16.81] with 32 bytes of data: -all replies successful In DHCP, .81 belongs to RICHARDS_COMPUTER I did try flushdns. Not sure if this is related, apologies if it's not, but when I try to connect, I also get prompted: "The identity of the remote computer cannot be verified. Do you want to connect anyway? The remote computer could not be authenticated due to problems with its security certificate. It may be unsafe to proceed.." It then lists the correct name as the name in the certificate from the remote computer, but claims that the certificate is not from a trusted authority. Any thoughts are most appreciated!

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  • Toorcon14

    - by danx
    Toorcon 2012 Information Security Conference San Diego, CA, http://www.toorcon.org/ Dan Anderson, October 2012 It's almost Halloween, and we all know what that means—yes, of course, it's time for another Toorcon Conference! Toorcon is an annual conference for people interested in computer security. This includes the whole range of hackers, computer hobbyists, professionals, security consultants, press, law enforcement, prosecutors, FBI, etc. We're at Toorcon 14—see earlier blogs for some of the previous Toorcon's I've attended (back to 2003). This year's "con" was held at the Westin on Broadway in downtown San Diego, California. The following are not necessarily my views—I'm just the messenger—although I could have misquoted or misparaphrased the speakers. Also, I only reviewed some of the talks, below, which I attended and interested me. MalAndroid—the Crux of Android Infections, Aditya K. Sood Programming Weird Machines with ELF Metadata, Rebecca "bx" Shapiro Privacy at the Handset: New FCC Rules?, Valkyrie Hacking Measured Boot and UEFI, Dan Griffin You Can't Buy Security: Building the Open Source InfoSec Program, Boris Sverdlik What Journalists Want: The Investigative Reporters' Perspective on Hacking, Dave Maas & Jason Leopold Accessibility and Security, Anna Shubina Stop Patching, for Stronger PCI Compliance, Adam Brand McAfee Secure & Trustmarks — a Hacker's Best Friend, Jay James & Shane MacDougall MalAndroid—the Crux of Android Infections Aditya K. Sood, IOActive, Michigan State PhD candidate Aditya talked about Android smartphone malware. There's a lot of old Android software out there—over 50% Gingerbread (2.3.x)—and most have unpatched vulnerabilities. Of 9 Android vulnerabilities, 8 have known exploits (such as the old Gingerbread Global Object Table exploit). Android protection includes sandboxing, security scanner, app permissions, and screened Android app market. The Android permission checker has fine-grain resource control, policy enforcement. Android static analysis also includes a static analysis app checker (bouncer), and a vulnerablity checker. What security problems does Android have? User-centric security, which depends on the user to grant permission and make smart decisions. But users don't care or think about malware (the're not aware, not paranoid). All they want is functionality, extensibility, mobility Android had no "proper" encryption before Android 3.0 No built-in protection against social engineering and web tricks Alternative Android app markets are unsafe. Simply visiting some markets can infect Android Aditya classified Android Malware types as: Type A—Apps. These interact with the Android app framework. For example, a fake Netflix app. Or Android Gold Dream (game), which uploads user files stealthy manner to a remote location. Type K—Kernel. Exploits underlying Linux libraries or kernel Type H—Hybrid. These use multiple layers (app framework, libraries, kernel). These are most commonly used by Android botnets, which are popular with Chinese botnet authors What are the threats from Android malware? These incude leak info (contacts), banking fraud, corporate network attacks, malware advertising, malware "Hackivism" (the promotion of social causes. For example, promiting specific leaders of the Tunisian or Iranian revolutions. Android malware is frequently "masquerated". That is, repackaged inside a legit app with malware. To avoid detection, the hidden malware is not unwrapped until runtime. The malware payload can be hidden in, for example, PNG files. Less common are Android bootkits—there's not many around. What they do is hijack the Android init framework—alteering system programs and daemons, then deletes itself. For example, the DKF Bootkit (China). Android App Problems: no code signing! all self-signed native code execution permission sandbox — all or none alternate market places no robust Android malware detection at network level delayed patch process Programming Weird Machines with ELF Metadata Rebecca "bx" Shapiro, Dartmouth College, NH https://github.com/bx/elf-bf-tools @bxsays on twitter Definitions. "ELF" is an executable file format used in linking and loading executables (on UNIX/Linux-class machines). "Weird machine" uses undocumented computation sources (I think of them as unintended virtual machines). Some examples of "weird machines" are those that: return to weird location, does SQL injection, corrupts the heap. Bx then talked about using ELF metadata as (an uintended) "weird machine". Some ELF background: A compiler takes source code and generates a ELF object file (hello.o). A static linker makes an ELF executable from the object file. A runtime linker and loader takes ELF executable and loads and relocates it in memory. The ELF file has symbols to relocate functions and variables. ELF has two relocation tables—one at link time and another one at loading time: .rela.dyn (link time) and .dynsym (dynamic table). GOT: Global Offset Table of addresses for dynamically-linked functions. PLT: Procedure Linkage Tables—works with GOT. The memory layout of a process (not the ELF file) is, in order: program (+ heap), dynamic libraries, libc, ld.so, stack (which includes the dynamic table loaded into memory) For ELF, the "weird machine" is found and exploited in the loader. ELF can be crafted for executing viruses, by tricking runtime into executing interpreted "code" in the ELF symbol table. One can inject parasitic "code" without modifying the actual ELF code portions. Think of the ELF symbol table as an "assembly language" interpreter. It has these elements: instructions: Add, move, jump if not 0 (jnz) Think of symbol table entries as "registers" symbol table value is "contents" immediate values are constants direct values are addresses (e.g., 0xdeadbeef) move instruction: is a relocation table entry add instruction: relocation table "addend" entry jnz instruction: takes multiple relocation table entries The ELF weird machine exploits the loader by relocating relocation table entries. The loader will go on forever until told to stop. It stores state on stack at "end" and uses IFUNC table entries (containing function pointer address). The ELF weird machine, called "Brainfu*k" (BF) has: 8 instructions: pointer inc, dec, inc indirect, dec indirect, jump forward, jump backward, print. Three registers - 3 registers Bx showed example BF source code that implemented a Turing machine printing "hello, world". More interesting was the next demo, where bx modified ping. Ping runs suid as root, but quickly drops privilege. BF modified the loader to disable the library function call dropping privilege, so it remained as root. Then BF modified the ping -t argument to execute the -t filename as root. It's best to show what this modified ping does with an example: $ whoami bx $ ping localhost -t backdoor.sh # executes backdoor $ whoami root $ The modified code increased from 285948 bytes to 290209 bytes. A BF tool compiles "executable" by modifying the symbol table in an existing ELF executable. The tool modifies .dynsym and .rela.dyn table, but not code or data. Privacy at the Handset: New FCC Rules? "Valkyrie" (Christie Dudley, Santa Clara Law JD candidate) Valkyrie talked about mobile handset privacy. Some background: Senator Franken (also a comedian) became alarmed about CarrierIQ, where the carriers track their customers. Franken asked the FCC to find out what obligations carriers think they have to protect privacy. The carriers' response was that they are doing just fine with self-regulation—no worries! Carriers need to collect data, such as missed calls, to maintain network quality. But carriers also sell data for marketing. Verizon sells customer data and enables this with a narrow privacy policy (only 1 month to opt out, with difficulties). The data sold is not individually identifiable and is aggregated. But Verizon recommends, as an aggregation workaround to "recollate" data to other databases to identify customers indirectly. The FCC has regulated telephone privacy since 1934 and mobile network privacy since 2007. Also, the carriers say mobile phone privacy is a FTC responsibility (not FCC). FTC is trying to improve mobile app privacy, but FTC has no authority over carrier / customer relationships. As a side note, Apple iPhones are unique as carriers have extra control over iPhones they don't have with other smartphones. As a result iPhones may be more regulated. Who are the consumer advocates? Everyone knows EFF, but EPIC (Electrnic Privacy Info Center), although more obsecure, is more relevant. What to do? Carriers must be accountable. Opt-in and opt-out at any time. Carriers need incentive to grant users control for those who want it, by holding them liable and responsible for breeches on their clock. Location information should be added current CPNI privacy protection, and require "Pen/trap" judicial order to obtain (and would still be a lower standard than 4th Amendment). Politics are on a pro-privacy swing now, with many senators and the Whitehouse. There will probably be new regulation soon, and enforcement will be a problem, but consumers will still have some benefit. Hacking Measured Boot and UEFI Dan Griffin, JWSecure, Inc., Seattle, @JWSdan Dan talked about hacking measured UEFI boot. First some terms: UEFI is a boot technology that is replacing BIOS (has whitelisting and blacklisting). UEFI protects devices against rootkits. TPM - hardware security device to store hashs and hardware-protected keys "secure boot" can control at firmware level what boot images can boot "measured boot" OS feature that tracks hashes (from BIOS, boot loader, krnel, early drivers). "remote attestation" allows remote validation and control based on policy on a remote attestation server. Microsoft pushing TPM (Windows 8 required), but Google is not. Intel TianoCore is the only open source for UEFI. Dan has Measured Boot Tool at http://mbt.codeplex.com/ with a demo where you can also view TPM data. TPM support already on enterprise-class machines. UEFI Weaknesses. UEFI toolkits are evolving rapidly, but UEFI has weaknesses: assume user is an ally trust TPM implicitly, and attached to computer hibernate file is unprotected (disk encryption protects against this) protection migrating from hardware to firmware delays in patching and whitelist updates will UEFI really be adopted by the mainstream (smartphone hardware support, bank support, apathetic consumer support) You Can't Buy Security: Building the Open Source InfoSec Program Boris Sverdlik, ISDPodcast.com co-host Boris talked about problems typical with current security audits. "IT Security" is an oxymoron—IT exists to enable buiness, uptime, utilization, reporting, but don't care about security—IT has conflict of interest. There's no Magic Bullet ("blinky box"), no one-size-fits-all solution (e.g., Intrusion Detection Systems (IDSs)). Regulations don't make you secure. The cloud is not secure (because of shared data and admin access). Defense and pen testing is not sexy. Auditors are not solution (security not a checklist)—what's needed is experience and adaptability—need soft skills. Step 1: First thing is to Google and learn the company end-to-end before you start. Get to know the management team (not IT team), meet as many people as you can. Don't use arbitrary values such as CISSP scores. Quantitive risk assessment is a myth (e.g. AV*EF-SLE). Learn different Business Units, legal/regulatory obligations, learn the business and where the money is made, verify company is protected from script kiddies (easy), learn sensitive information (IP, internal use only), and start with low-hanging fruit (customer service reps and social engineering). Step 2: Policies. Keep policies short and relevant. Generic SANS "security" boilerplate policies don't make sense and are not followed. Focus on acceptable use, data usage, communications, physical security. Step 3: Implementation: keep it simple stupid. Open source, although useful, is not free (implementation cost). Access controls with authentication & authorization for local and remote access. MS Windows has it, otherwise use OpenLDAP, OpenIAM, etc. Application security Everyone tries to reinvent the wheel—use existing static analysis tools. Review high-risk apps and major revisions. Don't run different risk level apps on same system. Assume host/client compromised and use app-level security control. Network security VLAN != segregated because there's too many workarounds. Use explicit firwall rules, active and passive network monitoring (snort is free), disallow end user access to production environment, have a proxy instead of direct Internet access. Also, SSL certificates are not good two-factor auth and SSL does not mean "safe." Operational Controls Have change, patch, asset, & vulnerability management (OSSI is free). For change management, always review code before pushing to production For logging, have centralized security logging for business-critical systems, separate security logging from administrative/IT logging, and lock down log (as it has everything). Monitor with OSSIM (open source). Use intrusion detection, but not just to fulfill a checkbox: build rules from a whitelist perspective (snort). OSSEC has 95% of what you need. Vulnerability management is a QA function when done right: OpenVas and Seccubus are free. Security awareness The reality is users will always click everything. Build real awareness, not compliance driven checkbox, and have it integrated into the culture. Pen test by crowd sourcing—test with logging COSSP http://www.cossp.org/ - Comprehensive Open Source Security Project What Journalists Want: The Investigative Reporters' Perspective on Hacking Dave Maas, San Diego CityBeat Jason Leopold, Truthout.org The difference between hackers and investigative journalists: For hackers, the motivation varies, but method is same, technological specialties. For investigative journalists, it's about one thing—The Story, and they need broad info-gathering skills. J-School in 60 Seconds: Generic formula: Person or issue of pubic interest, new info, or angle. Generic criteria: proximity, prominence, timeliness, human interest, oddity, or consequence. Media awareness of hackers and trends: journalists becoming extremely aware of hackers with congressional debates (privacy, data breaches), demand for data-mining Journalists, use of coding and web development for Journalists, and Journalists busted for hacking (Murdock). Info gathering by investigative journalists include Public records laws. Federal Freedom of Information Act (FOIA) is good, but slow. California Public Records Act is a lot stronger. FOIA takes forever because of foot-dragging—it helps to be specific. Often need to sue (especially FBI). CPRA is faster, and requests can be vague. Dumps and leaks (a la Wikileaks) Journalists want: leads, protecting ourselves, our sources, and adapting tools for news gathering (Google hacking). Anonomity is important to whistleblowers. They want no digital footprint left behind (e.g., email, web log). They don't trust encryption, want to feel safe and secure. Whistleblower laws are very weak—there's no upside for whistleblowers—they have to be very passionate to do it. Accessibility and Security or: How I Learned to Stop Worrying and Love the Halting Problem Anna Shubina, Dartmouth College Anna talked about how accessibility and security are related. Accessibility of digital content (not real world accessibility). mostly refers to blind users and screenreaders, for our purpose. Accessibility is about parsing documents, as are many security issues. "Rich" executable content causes accessibility to fail, and often causes security to fail. For example MS Word has executable format—it's not a document exchange format—more dangerous than PDF or HTML. Accessibility is often the first and maybe only sanity check with parsing. They have no choice because someone may want to read what you write. Google, for example, is very particular about web browser you use and are bad at supporting other browsers. Uses JavaScript instead of links, often requiring mouseover to display content. PDF is a security nightmare. Executible format, embedded flash, JavaScript, etc. 15 million lines of code. Google Chrome doesn't handle PDF correctly, causing several security bugs. PDF has an accessibility checker and PDF tagging, to help with accessibility. But no PDF checker checks for incorrect tags, untagged content, or validates lists or tables. None check executable content at all. The "Halting Problem" is: can one decide whether a program will ever stop? The answer, in general, is no (Rice's theorem). The same holds true for accessibility checkers. Language-theoretic Security says complicated data formats are hard to parse and cannot be solved due to the Halting Problem. W3C Web Accessibility Guidelines: "Perceivable, Operable, Understandable, Robust" Not much help though, except for "Robust", but here's some gems: * all information should be parsable (paraphrasing) * if not parsable, cannot be converted to alternate formats * maximize compatibility in new document formats Executible webpages are bad for security and accessibility. They say it's for a better web experience. But is it necessary to stuff web pages with JavaScript for a better experience? A good example is The Drudge Report—it has hand-written HTML with no JavaScript, yet drives a lot of web traffic due to good content. A bad example is Google News—hidden scrollbars, guessing user input. Solutions: Accessibility and security problems come from same source Expose "better user experience" myth Keep your corner of Internet parsable Remember "Halting Problem"—recognize false solutions (checking and verifying tools) Stop Patching, for Stronger PCI Compliance Adam Brand, protiviti @adamrbrand, http://www.picfun.com/ Adam talked about PCI compliance for retail sales. Take an example: for PCI compliance, 50% of Brian's time (a IT guy), 960 hours/year was spent patching POSs in 850 restaurants. Often applying some patches make no sense (like fixing a browser vulnerability on a server). "Scanner worship" is overuse of vulnerability scanners—it gives a warm and fuzzy and it's simple (red or green results—fix reds). Scanners give a false sense of security. In reality, breeches from missing patches are uncommon—more common problems are: default passwords, cleartext authentication, misconfiguration (firewall ports open). Patching Myths: Myth 1: install within 30 days of patch release (but PCI §6.1 allows a "risk-based approach" instead). Myth 2: vendor decides what's critical (also PCI §6.1). But §6.2 requires user ranking of vulnerabilities instead. Myth 3: scan and rescan until it passes. But PCI §11.2.1b says this applies only to high-risk vulnerabilities. Adam says good recommendations come from NIST 800-40. Instead use sane patching and focus on what's really important. From NIST 800-40: Proactive: Use a proactive vulnerability management process: use change control, configuration management, monitor file integrity. Monitor: start with NVD and other vulnerability alerts, not scanner results. Evaluate: public-facing system? workstation? internal server? (risk rank) Decide:on action and timeline Test: pre-test patches (stability, functionality, rollback) for change control Install: notify, change control, tickets McAfee Secure & Trustmarks — a Hacker's Best Friend Jay James, Shane MacDougall, Tactical Intelligence Inc., Canada "McAfee Secure Trustmark" is a website seal marketed by McAfee. A website gets this badge if they pass their remote scanning. The problem is a removal of trustmarks act as flags that you're vulnerable. Easy to view status change by viewing McAfee list on website or on Google. "Secure TrustGuard" is similar to McAfee. Jay and Shane wrote Perl scripts to gather sites from McAfee and search engines. If their certification image changes to a 1x1 pixel image, then they are longer certified. Their scripts take deltas of scans to see what changed daily. The bottom line is change in TrustGuard status is a flag for hackers to attack your site. Entire idea of seals is silly—you're raising a flag saying if you're vulnerable.

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  • Customizing the processing of ListItems for asp:RadioButtonList with "Flow" layout and "Horizontal"

    - by evovision
    Hi, recently I was asked to add an ability to pad specific elements from each other to a certain distance in RadioButtonList control. Not quite common everyday task I would say :)   Ok, let's get started!   Prerequisites: ASP.NET Page having RadioButtonList control with RepeatLayout="Flow" RepeatDirection="Horizontal" properties set.   Implementation:  The underlying data was coming from another source, so the only fast way to add meta information about padding was the text value itself (yes, not very optimal solution): Id = 1, Name = "This is first element" and for padding we agreed to use <space/> meta tag: Id = 2, Name = "<space padcount="30px"/>This is second padded element"   To handle items rendering in RadioButtonList control I've created custom class and subclassed from it:    public class CustomRadioButtonList : RadioButtonList    {        private Action<ListItem, HtmlTextWriter> _preProcess;         protected override void RenderItem(ListItemType itemType, int repeatIndex, RepeatInfo repeatInfo, HtmlTextWriter writer)        {            if (_preProcess != null)            {                _preProcess(this.Items[repeatIndex], writer);            }             base.RenderItem(itemType, repeatIndex, repeatInfo, writer);        }         public void SetPrePrenderItemFunction(Action<ListItem, HtmlTextWriter> func)        {            _preProcess = func;        }    }   It is pretty straightforward approach, the key is to override RenderItem method. Class has SetPrePrenderItemFunction method which is used to pass custom processing function that takes 2 parameters: ListItem and HtmlTextWriter objects.   Now update existing RadioButtonList control in Default.aspx: add this to beginning of the page:   <%@ Register Namespace="Sample.Controls" TagPrefix="uc1" %>   and update the control to:   <uc1:CustomRadioButtonList ID="customRbl" runat="server" DataValueField="Id" DataTextField="Name"            RepeatLayout="Flow" RepeatDirection="Horizontal"></uc1:CustomRadioButtonList>   Now, from codebehind of the page:   Add regular expression that will be used for parsing:   private Regex _regex = new Regex(@"(?:[<]space padcount\s*?=\s*?(?:'|"")(?<padcount>\d+)(?:(?:\s+)?px)?(?:'|"")\s*?/>)(?<content>.*)?", RegexOptions.IgnoreCase | RegexOptions.Compiled);   and finally setup the processing function in Page_Load:   protected void Page_Load(object sender, EventArgs e)    {        customRbl.DataSource = DataObjects;         customRbl.SetPrePrenderItemFunction((listItem, writer) =>        {            Match match = _regex.Match(listItem.Text);            if (match.Success)            {                writer.Write(string.Format(@"<span style=""padding-left:{0}"">Extreme values: </span>", match.Groups["padcount"].Value + "px"));                 // if you need to pad listitem use code below                //x.Attributes.CssStyle.Add("padding-left", match.Groups["padcount"].Value + "px");                 // remove meta tag from text                listItem.Text = match.Groups["content"].Value;            }        });         customRbl.DataBind();    }   That's it! :)   Run the attached sample application:     P.S.: of course several other approaches could have been used for that purpose including events and the functionality for processing could also be embedded inside control itself. Current solution suits slightly better due some other reasons for situation where it was used, in your case consider this as a kick start for your own implementation :)   Source application: CustomRadioButtonList.zip

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  • Developing Spring Portlet for use inside Weblogic Portal / Webcenter Portal

    - by Murali Veligeti
    We need to understand the main difference between portlet workflow and servlet workflow.The main difference between portlet workflow and servlet workflow is that, the request to the portlet can have two distinct phases: 1) Action phase 2) Render phase. The Action phase is executed only once and is where any 'backend' changes or actions occur, such as making changes in a database. The Render phase then produces what is displayed to the user each time the display is refreshed. The critical point here is that for a single overall request, the action phase is executed only once, but the render phase may be executed multiple times. This provides a clean separation between the activities that modify the persistent state of your system and the activities that generate what is displayed to the user.The dual phases of portlet requests are one of the real strengths of the JSR-168 specification. For example, dynamic search results can be updated routinely on the display without the user explicitly re-running the search. Most other portlet MVC frameworks attempt to completely hide the two phases from the developer and make it look as much like traditional servlet development as possible - we think this approach removes one of the main benefits of using portlets. So, the separation of the two phases is preserved throughout the Spring Portlet MVC framework. The primary manifestation of this approach is that where the servlet version of the MVC classes will have one method that deals with the request, the portlet version of the MVC classes will have two methods that deal with the request: one for the action phase and one for the render phase. For example, where the servlet version of AbstractController has the handleRequestInternal(..) method, the portlet version of AbstractController has handleActionRequestInternal(..) and handleRenderRequestInternal(..) methods.The Spring Portlet Framework is designed around a DispatcherPortlet that dispatches requests to handlers, with configurable handler mappings and view resolution, just as the DispatcherServlet in the Spring Web Framework does.  Developing portlet.xml Let's start the sample development by creating the portlet.xml file in the /WebContent/WEB-INF/ folder as shown below: <?xml version="1.0" encoding="UTF-8"?> <portlet-app version="2.0" xmlns="http://java.sun.com/xml/ns/portlet/portlet-app_2_0.xsd" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance"> <portlet> <portlet-name>SpringPortletName</portlet-name> <portlet-class>org.springframework.web.portlet.DispatcherPortlet</portlet-class> <supports> <mime-type>text/html</mime-type> <portlet-mode>view</portlet-mode> </supports> <portlet-info> <title>SpringPortlet</title> </portlet-info> </portlet> </portlet-app> DispatcherPortlet is responsible for handling every client request. When it receives a request, it finds out which Controller class should be used for handling this request, and then it calls its handleActionRequest() or handleRenderRequest() method based on the request processing phase. The Controller class executes business logic and returns a View name that should be used for rendering markup to the user. The DispatcherPortlet then forwards control to that View for actual markup generation. As you can see, DispatcherPortlet is the central dispatcher for use within Spring Portlet MVC Framework. Note that your portlet application can define more than one DispatcherPortlet. If it does so, then each of these portlets operates its own namespace, loading its application context and handler mapping. The DispatcherPortlet is also responsible for loading application context (Spring configuration file) for this portlet. First, it tries to check the value of the configLocation portlet initialization parameter. If that parameter is not specified, it takes the portlet name (that is, the value of the <portlet-name> element), appends "-portlet.xml" to it, and tries to load that file from the /WEB-INF folder. In the portlet.xml file, we did not specify the configLocation initialization parameter, so let's create SpringPortletName-portlet.xml file in the next section. Developing SpringPortletName-portlet.xml Create the SpringPortletName-portlet.xml file in the /WebContent/WEB-INF folder of your application as shown below: <?xml version="1.0" encoding="UTF-8"?> <beans xmlns="http://www.springframework.org/schema/beans" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xsi:schemaLocation="http://www.springframework.org/schema/beans http://www.springframework.org/schema/beans/spring-beans-2.0.xsd"> <bean id="viewResolver" class="org.springframework.web.servlet.view.InternalResourceViewResolver"> <property name="viewClass" value="org.springframework.web.servlet.view.JstlView"/> <property name="prefix" value="/jsp/"/> <property name="suffix" value=".jsp"/> </bean> <bean id="pointManager" class="com.wlp.spring.bo.internal.PointManagerImpl"> <property name="users"> <list> <ref bean="point1"/> <ref bean="point2"/> <ref bean="point3"/> <ref bean="point4"/> </list> </property> </bean> <bean id="point1" class="com.wlp.spring.bean.User"> <property name="name" value="Murali"/> <property name="points" value="6"/> </bean> <bean id="point2" class="com.wlp.spring.bean.User"> <property name="name" value="Sai"/> <property name="points" value="13"/> </bean> <bean id="point3" class="com.wlp.spring.bean.User"> <property name="name" value="Rama"/> <property name="points" value="43"/> </bean> <bean id="point4" class="com.wlp.spring.bean.User"> <property name="name" value="Krishna"/> <property name="points" value="23"/> </bean> <bean id="messageSource" class="org.springframework.context.support.ResourceBundleMessageSource"> <property name="basename" value="messages"/> </bean> <bean name="/users.htm" id="userController" class="com.wlp.spring.controller.UserController"> <property name="pointManager" ref="pointManager"/> </bean> <bean name="/pointincrease.htm" id="pointIncreaseController" class="com.wlp.spring.controller.IncreasePointsFormController"> <property name="sessionForm" value="true"/> <property name="pointManager" ref="pointManager"/> <property name="commandName" value="pointIncrease"/> <property name="commandClass" value="com.wlp.spring.bean.PointIncrease"/> <property name="formView" value="pointincrease"/> <property name="successView" value="users"/> </bean> <bean id="parameterMappingInterceptor" class="org.springframework.web.portlet.handler.ParameterMappingInterceptor" /> <bean id="portletModeParameterHandlerMapping" class="org.springframework.web.portlet.handler.PortletModeParameterHandlerMapping"> <property name="order" value="1" /> <property name="interceptors"> <list> <ref bean="parameterMappingInterceptor" /> </list> </property> <property name="portletModeParameterMap"> <map> <entry key="view"> <map> <entry key="pointincrease"> <ref bean="pointIncreaseController" /> </entry> <entry key="users"> <ref bean="userController" /> </entry> </map> </entry> </map> </property> </bean> <bean id="portletModeHandlerMapping" class="org.springframework.web.portlet.handler.PortletModeHandlerMapping"> <property name="order" value="2" /> <property name="portletModeMap"> <map> <entry key="view"> <ref bean="userController" /> </entry> </map> </property> </bean> </beans> The SpringPortletName-portlet.xml file is an application context file for your MVC portlet. It has a couple of bean definitions: viewController. At this point, remember that the viewController bean definition points to the com.ibm.developerworks.springmvc.ViewController.java class. portletModeHandlerMapping. As we discussed in the last section, whenever DispatcherPortlet gets a client request, it tries to find a suitable Controller class for handling that request. That is where PortletModeHandlerMapping comes into the picture. The PortletModeHandlerMapping class is a simple implementation of the HandlerMapping interface and is used by DispatcherPortlet to find a suitable Controller for every request. The PortletModeHandlerMapping class uses Portlet mode for the current request to find a suitable Controller class to use for handling the request. The portletModeMap property of portletModeHandlerMapping bean is the place where we map the Portlet mode name against the Controller class. In the sample code, we show that viewController is responsible for handling View mode requests. Developing UserController.java In the preceding section, you learned that the viewController bean is responsible for handling all the View mode requests. Your next step is to create the UserController.java class as shown below: public class UserController extends AbstractController { private PointManager pointManager; public void handleActionRequest(ActionRequest request, ActionResponse response) throws Exception { } public ModelAndView handleRenderRequest(RenderRequest request, RenderResponse response) throws ServletException, IOException { String now = (new java.util.Date()).toString(); Map<String, Object> myModel = new HashMap<String, Object>(); myModel.put("now", now); myModel.put("users", this.pointManager.getUsers()); return new ModelAndView("users", "model", myModel); } public void setPointManager(PointManager pointManager) { this.pointManager = pointManager; } } Every controller class in Spring Portlet MVC Framework must implement the org.springframework.web. portlet.mvc.Controller interface directly or indirectly. To make things easier, Spring Framework provides AbstractController class, which is the default implementation of the Controller interface. As a developer, you should always extend your controller from either AbstractController or one of its more specific subclasses. Any implementation of the Controller class should be reusable, thread-safe, and capable of handling multiple requests throughout the lifecycle of the portlet. In the sample code, we create the ViewController class by extending it from AbstractController. Because we don't want to do any action processing in the HelloSpringPortletMVC portlet, we override only the handleRenderRequest() method of AbstractController. Now, the only thing that HelloWorldPortletMVC should do is render the markup of View.jsp to the user when it receives a user request to do so. To do that, return the object of ModelAndView with a value of view equal to View. Developing web.xml According to Portlet Specification 1.0, every portlet application is also a Servlet Specification 2.3-compliant Web application, and it needs a Web application deployment descriptor (that is, web.xml). Let’s create the web.xml file in the /WEB-INF/ folder as shown in listing 4. Follow these steps: Open the existing web.xml file located at /WebContent/WEB-INF/web.xml. Replace the contents of this file with the code as shown below: <servlet> <servlet-name>ViewRendererServlet</servlet-name> <servlet-class>org.springframework.web.servlet.ViewRendererServlet</servlet-class> </servlet> <servlet-mapping> <servlet-name>ViewRendererServlet</servlet-name> <url-pattern>/WEB-INF/servlet/view</url-pattern> </servlet-mapping> <context-param> <param-name>contextConfigLocation</param-name> <param-value>/WEB-INF/applicationContext.xml</param-value> </context-param> <listener> <listener-class>org.springframework.web.context.ContextLoaderListener</listener-class> </listener> The web.xml file for the sample portlet declares two things: ViewRendererServlet. The ViewRendererServlet is the bridge servlet for portlet support. During the render phase, DispatcherPortlet wraps PortletRequest into ServletRequest and forwards control to ViewRendererServlet for actual rendering. This process allows Spring Portlet MVC Framework to use the same View infrastructure as that of its servlet version, that is, Spring Web MVC Framework. ContextLoaderListener. The ContextLoaderListener class takes care of loading Web application context at the time of the Web application startup. The Web application context is shared by all the portlets in the portlet application. In case of duplicate bean definition, the bean definition in the portlet application context takes precedence over the Web application context. The ContextLoader class tries to read the value of the contextConfigLocation Web context parameter to find out the location of the context file. If the contextConfigLocation parameter is not set, then it uses the default value, which is /WEB-INF/applicationContext.xml, to load the context file. The Portlet Controller interface requires two methods that handle the two phases of a portlet request: the action request and the render request. The action phase should be capable of handling an action request and the render phase should be capable of handling a render request and returning an appropriate model and view. While the Controller interface is quite abstract, Spring Portlet MVC offers a lot of controllers that already contain a lot of the functionality you might need – most of these are very similar to controllers from Spring Web MVC. The Controller interface just defines the most common functionality required of every controller - handling an action request, handling a render request, and returning a model and a view. How rendering works As you know, when the user tries to access a page with PointSystemPortletMVC portlet on it or when the user performs some action on any other portlet on that page or tries to refresh that page, a render request is sent to the PointSystemPortletMVC portlet. In the sample code, because DispatcherPortlet is the main portlet class, Weblogic Portal / Webcenter Portal calls its render() method and then the following sequence of events occurs: The render() method of DispatcherPortlet calls the doDispatch() method, which in turn calls the doRender() method. After the doRenderService() method gets control, first it tries to find out the locale of the request by calling the PortletRequest.getLocale() method. This locale is used while making all the locale-related decisions for choices such as which resource bundle should be loaded or which JSP should be displayed to the user based on the locale. After that, the doRenderService() method starts iterating through all the HandlerMapping classes configured for this portlet, calling their getHandler() method to identify the appropriate Controller for handling this request. In the sample code, we have configured only PortletModeHandlerMapping as a HandlerMapping class. The PortletModeHandlerMapping class reads the value of the current portlet mode, and based on that, it finds out, the Controller class that should be used to handle this request. In the sample code, ViewController is configured to handle the View mode request so that the PortletModeHandlerMapping class returns the object of ViewController. After the object of ViewController is returned, the doRenderService() method calls its handleRenderRequestInternal() method. Implementation of the handleRenderRequestInternal() method in ViewController.java is very simple. It logs a message saying that it got control, and then it creates an instance of ModelAndView with a value equal to View and returns it to DispatcherPortlet. After control returns to doRenderService(), the next task is to figure out how to render View. For that, DispatcherPortlet starts iterating through all the ViewResolvers configured in your portlet application, calling their resolveViewName() method. In the sample code we have configured only one ViewResolver, InternalResourceViewResolver. When its resolveViewName() method is called with viewName, it tries to add /WEB-INF/jsp as a prefix to the view name and to add JSP as a suffix. And it checks if /WEB-INF/jsp/View.jsp exists. If it does exist, it returns the object of JstlView wrapping View.jsp. After control is returned to the doRenderService() method, it creates the object PortletRequestDispatcher, which points to /WEB-INF/servlet/view – that is, ViewRendererServlet. Then it sets the object of JstlView in the request and dispatches the request to ViewRendererServlet. After ViewRendererServlet gets control, it reads the JstlView object from the request attribute and creates another RequestDispatcher pointing to the /WEB-INF/jsp/View.jsp URL and passes control to it for actual markup generation. The markup generated by View.jsp is returned to user. At this point, you may question the need for ViewRendererServlet. Why can't DispatcherPortlet directly forward control to View.jsp? Adding ViewRendererServlet in between allows Spring Portlet MVC Framework to reuse the existing View infrastructure. You may appreciate this more when we discuss how easy it is to integrate Apache Tiles Framework with your Spring Portlet MVC Framework. The attached project SpringPortlet.zip should be used to import the project in to your OEPE Workspace. SpringPortlet_Jars.zip contains jar files required for the application. Project is written on Spring 2.5.  The same JSR 168 portlet should work on Webcenter Portal as well.  Downloads: Download WeblogicPotal Project which consists of Spring Portlet. Download Spring Jars In-addition to above you need to download Spring.jar (Spring2.5)

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  • JavaScript JSON Error While Tabbing in ASP.NET MVC

    - by MightyZot
    Originally posted on: http://geekswithblogs.net/MightyZot/archive/2013/11/11/javascript-json-error-while-tabbing-in-asp.net-mvc.aspxI sometimes don’t care about validation for a specific control. The RememberMe control in the login form, for example, really doesn’t need validation, so I forget to include the Html.ValidationMessageFor helper line for that control in particular. As a result, when I’m debugging using IE, I get a silly JSON parsing exception when changing focus from one field to another. The exception doesn’t hurt anything, as far as I know, but it’s just plain annoying. If you’re getting this error, and you don’t want validation messages showing up for controls on a form, you can put them in div tags and set the display style on the divs to none. When I have a handful of controls that I don’t want the validation messages for, I just throw them all in the same div and hide it.

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  • Assign programs permanently to different sound-outputs – PulseAudio.

    - by Mood
    I want to assign Skype input and output to my USB-headset while the rest of my laptop uses the internal sound-card. This is an easy task with PulseAudio Volume control (pavucontrol). The only problem I have is every time a call is made I manually have to set the output and input for Skype to my USB-device . When I hang up, Skype disappears from Volume Control. It reappears again with the next call only this time the default sound-card is selected again. It shouldn’t be hard to let PulseAudio look or the USB-headset is connected when Skype audio comes is before selecting the default. The way to do it is obvious not through Volume Control.

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  • Superpower Your Touchpad Computer with Scrybe

    - by Matthew Guay
    Are you looking for a way to help your Touchpad computer make you more productive?  Here’s a quick look at Scrybe, a new application from Synaptics that lets you superpower it. Touchpad devices have become increasingly more interesting as they’ve included support for multi-touch gestures.  Scrybe takes it to the next level and lets you use your touchpad as an application launcher.  You can launch any application, website, or complete many common commands on your computer with a simple gesture.  Scrybe works with most modern Synaptics touchpads, which are standard on most laptops and netbooks.  It is optimized for newer multi-touch touchpads, but can also work with standard single-touch touchpads.  It works on Windows 7, Vista, and XP, so chances are it will work with your laptop or netbook. Get Started With Scrybe Head over to the Scrybe website and download the latest version (link below).  You are asked to enter your email address, name, and information about your computer…but you actually only have to enter your email address.  Click Download when finished. Run the installer when it’s download.  It will automatically download the latest Synaptics driver for your touchpad and any other components needed for Scrybe.  Note that the Scrybe installer will ask to install the Yahoo! toolbar, so uncheck this to avoid adding this worthless browser toolbar. Using Scrybe To open an application or website with a gesture, press 3 fingers on your touchpad at once, or if your touchpad doesn’t support multi-touch gestures, then press Ctrl+Alt and press 1 finger on your touchpad.  This will open the Scrype input pane; start drawing a gesture, and you’ll see it on the grey square.  The input pane shows some default gestures you can try. Here we drew an “M”, which opens our default Music player.  As soon as you finish the gesture and lift up your finger, Scrybe will open the application or website you selected. A notification balloon will let you know what gesture was preformed. When you’re entering your gesture, the input pane will show white “ink”.  The “ink” will turn blue if the command is recognized, but will turn red if it isn’t.  If Scrybe doesn’t recognize your command, press 3 fingers and try again. Scrybe Control Panel You can open the Scrybe Control panel to enter or change commands by entering a box-like gesture, or right-clicking the Scrybe icon in your system tray and selecting “Scrybe Control Panel”. Scrybe has many pre-configured gestures that you can preview and even practice. All of the gestures in the Popular tab are preset and cannot be changed.  However, the ones in the favorites tab can be edited.  Select the gesture you wish to edit, and click the gear icon to change it.  Here we changed the email gesture to open Hotmail instead of the default Yahoo Mail. Scrybe can also help you perform many common Windows commands such as Copy and Undo.  Select the Tools tab to see all of these commands.   Scrybe has many settings you may wish to change.  Select the Preferences button in the Control Panel to change these.  Here’s some of the settings we changed. Uncheck “Display a message” to turn off the tooltip notifications when you enter a gesture Uncheck “Show symbol hints” to turn off the sidebar on the input pane Select the search engine you want to open with the Search Gesture.  The default is Yahoo, but you can choose your favorite. Adding a new Scrybe Gesture The default Scrybe options are useful, but the best part is that you can assign gestures to your own programs or websites.  Open the Scrybe control panel, and click the plus sign on the bottom left corner.  Enter a name for your gesture, and then choose if it is for a website or an application. If you want the gesture to open a website, enter the address in the box. Alternately, if you want your gesture to open an application, select Launch Application and then either enter the path to the application, or click the button beside the Launch field and browse to it. Now click the down arrow on the blue box and choose one of the gestures for your application or website. Your new gesture will show up under the Favorites tab in the Scrybe control panel, and you can use it whenever you want from Scrybe, or practice the gesture by selecting the Practice button. Conclusion If you enjoy multi-touch gestures, you may find Scrybe very useful on your laptop or netbook.  Scrybe recognizes gestures fairly easily, even if you don’t enter them perfectly correctly.  Just like pinch-to-zoom and two-finger scroll, Scrybe can quickly become something you miss on other laptops. Download Scrybe (registration required) Similar Articles Productive Geek Tips Fixing Firefox Scrolling Problems with Dell Synaptics TouchpadRemove Synaptics Touchpad Icon from System TrayRoll Back Troublesome Device Drivers in Windows VistaChange Your Computer Name in Windows 7 or VistaLet Somebody Use Your Computer Without Logging Off in Ubuntu TouchFreeze Alternative in AutoHotkey The Icy Undertow Desktop Windows Home Server – Backup to LAN The Clear & Clean Desktop Use This Bookmarklet to Easily Get Albums Use AutoHotkey to Assign a Hotkey to a Specific Window Latest Software Reviews Tinyhacker Random Tips Acronis Online Backup DVDFab 6 Revo Uninstaller Pro Registry Mechanic 9 for Windows Fun with 47 charts and graphs Tomorrow is Mother’s Day Check the Average Speed of YouTube Videos You’ve Watched OutlookStatView Scans and Displays General Usage Statistics How to Add Exceptions to the Windows Firewall Office 2010 reviewed in depth by Ed Bott

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  • Towards Database Continuous Delivery – What Next after Continuous Integration? A Checklist

    - by Ben Rees
    .dbd-banner p{ font-size:0.75em; padding:0 0 10px; margin:0 } .dbd-banner p span{ color:#675C6D; } .dbd-banner p:last-child{ padding:0; } @media ALL and (max-width:640px){ .dbd-banner{ background:#f0f0f0; padding:5px; color:#333; margin-top: 5px; } } -- Database delivery patterns & practices STAGE 4 AUTOMATED DEPLOYMENT If you’ve been fortunate enough to get to the stage where you’ve implemented some sort of continuous integration process for your database updates, then hopefully you’re seeing the benefits of that investment – constant feedback on changes your devs are making, advanced warning of data loss (prior to the production release on Saturday night!), a nice suite of automated tests to check business logic, so you know it’s going to work when it goes live, and so on. But what next? What can you do to improve your delivery process further, moving towards a full continuous delivery process for your database? In this article I describe some of the issues you might need to tackle on the next stage of this journey, and how to plan to overcome those obstacles before they appear. Our Database Delivery Learning Program consists of four stages, really three – source controlling a database, running continuous integration processes, then how to set up automated deployment (the middle stage is split in two – basic and advanced continuous integration, making four stages in total). If you’ve managed to work through the first three of these stages – source control, basic, then advanced CI, then you should have a solid change management process set up where, every time one of your team checks in a change to your database (whether schema or static reference data), this change gets fully tested automatically by your CI server. But this is only part of the story. Great, we know that our updates work, that the upgrade process works, that the upgrade isn’t going to wipe our 4Tb of production data with a single DROP TABLE. But – how do you get this (fully tested) release live? Continuous delivery means being always ready to release your software at any point in time. There’s a significant gap between your latest version being tested, and it being easily releasable. Just a quick note on terminology – there’s a nice piece here from Atlassian on the difference between continuous integration, continuous delivery and continuous deployment. This piece also gives a nice description of the benefits of continuous delivery. These benefits have been summed up by Jez Humble at Thoughtworks as: “Continuous delivery is a set of principles and practices to reduce the cost, time, and risk of delivering incremental changes to users” There’s another really useful piece here on Simple-Talk about the need for continuous delivery and how it applies to the database written by Phil Factor – specifically the extra needs and complexities of implementing a full CD solution for the database (compared to just implementing CD for, say, a web app). So, hopefully you’re convinced of moving on the the next stage! The next step after CI is to get some sort of automated deployment (or “release management”) process set up. But what should I do next? What do I need to plan and think about for getting my automated database deployment process set up? Can’t I just install one of the many release management tools available and hey presto, I’m ready! If only it were that simple. Below I list some of the areas that it’s worth spending a little time on, where a little planning and prep could go a long way. It’s also worth pointing out, that this should really be an evolving process. Depending on your starting point of course, it can be a long journey from your current setup to a full continuous delivery pipeline. If you’ve got a CI mechanism in place, you’re certainly a long way down that path. Nevertheless, we’d recommend evolving your process incrementally. Pages 157 and 129-141 of the book on Continuous Delivery (by Jez Humble and Dave Farley) have some great guidance on building up a pipeline incrementally: http://www.amazon.com/Continuous-Delivery-Deployment-Automation-Addison-Wesley/dp/0321601912 For now, in this post, we’ll look at the following areas for your checklist: You and Your Team Environments The Deployment Process Rollback and Recovery Development Practices You and Your Team It’s a cliché in the DevOps community that “It’s not all about processes and tools, really it’s all about a culture”. As stated in this DevOps report from Puppet Labs: “DevOps processes and tooling contribute to high performance, but these practices alone aren’t enough to achieve organizational success. The most common barriers to DevOps adoption are cultural: lack of manager or team buy-in, or the value of DevOps isn’t understood outside of a specific group”. Like most clichés, there’s truth in there – if you want to set up a database continuous delivery process, you need to get your boss, your department, your company (if relevant) onside. Why? Because it’s an investment with the benefits coming way down the line. But the benefits are huge – for HP, in the book A Practical Approach to Large-Scale Agile Development: How HP Transformed LaserJet FutureSmart Firmware, these are summarized as: -2008 to present: overall development costs reduced by 40% -Number of programs under development increased by 140% -Development costs per program down 78% -Firmware resources now driving innovation increased by a factor of 8 (from 5% working on new features to 40% But what does this mean? It means that, when moving to the next stage, to make that extra investment in automating your deployment process, it helps a lot if everyone is convinced that this is a good thing. That they understand the benefits of automated deployment and are willing to make the effort to transform to a new way of working. Incidentally, if you’re ever struggling to convince someone of the value I’d strongly recommend just buying them a copy of this book – a great read, and a very practical guide to how it can really work at a large org. I’ve spoken to many customers who have implemented database CI who describe their deployment process as “The point where automation breaks down. Up to that point, the CI process runs, untouched by human hand, but as soon as that’s finished we revert to manual.” This deployment process can involve, for example, a DBA manually comparing an environment (say, QA) to production, creating the upgrade scripts, reading through them, checking them against an Excel document emailed to him/her the night before, turning to page 29 in his/her notebook to double-check how replication is switched off and on for deployments, and so on and so on. Painful, error-prone and lengthy. But the point is, if this is something like your deployment process, telling your DBA “We’re changing everything you do and your toolset next week, to automate most of your role – that’s okay isn’t it?” isn’t likely to go down well. There’s some work here to bring him/her onside – to explain what you’re doing, why there will still be control of the deployment process and so on. Or of course, if you’re the DBA looking after this process, you have to do a similar job in reverse. You may have researched and worked out how you’d like to change your methodology to start automating your painful release process, but do the dev team know this? What if they have to start producing different artifacts for you? Will they be happy with this? Worth talking to them, to find out. As well as talking to your DBA/dev team, the other group to get involved before implementation is your manager. And possibly your manager’s manager too. As mentioned, unless there’s buy-in “from the top”, you’re going to hit problems when the implementation starts to get rocky (and what tool/process implementations don’t get rocky?!). You need to have support from someone senior in your organisation – someone you can turn to when you need help with a delayed implementation, lack of resources or lack of progress. Actions: Get your DBA involved (or whoever looks after live deployments) and discuss what you’re planning to do or, if you’re the DBA yourself, get the dev team up-to-speed with your plans, Get your boss involved too and make sure he/she is bought in to the investment. Environments Where are you going to deploy to? And really this question is – what environments do you want set up for your deployment pipeline? Assume everyone has “Production”, but do you have a QA environment? Dedicated development environments for each dev? Proper pre-production? I’ve seen every setup under the sun, and there is often a big difference between “What we want, to do continuous delivery properly” and “What we’re currently stuck with”. Some of these differences are: What we want What we’ve got Each developer with their own dedicated database environment A single shared “development” environment, used by everyone at once An Integration box used to test the integration of all check-ins via the CI process, along with a full suite of unit-tests running on that machine In fact if you have a CI process running, you’re likely to have some sort of integration server running (even if you don’t call it that!). Whether you have a full suite of unit tests running is a different question… Separate QA environment used explicitly for manual testing prior to release “We just test on the dev environments, or maybe pre-production” A proper pre-production (or “staging”) box that matches production as closely as possible Hopefully a pre-production box of some sort. But does it match production closely!? A production environment reproducible from source control A production box which has drifted significantly from anything in source control The big question is – how much time and effort are you going to invest in fixing these issues? In reality this just involves figuring out which new databases you’re going to create and where they’ll be hosted – VMs? Cloud-based? What about size/data issues – what data are you going to include on dev environments? Does it need to be masked to protect access to production data? And often the amount of work here really depends on whether you’re working on a new, greenfield project, or trying to update an existing, brownfield application. There’s a world if difference between starting from scratch with 4 or 5 clean environments (reproducible from source control of course!), and trying to re-purpose and tweak a set of existing databases, with all of their surrounding processes and quirks. But for a proper release management process, ideally you have: Dedicated development databases, An Integration server used for testing continuous integration and running unit tests. [NB: This is the point at which deployments are automatic, without human intervention. Each deployment after this point is a one-click (but human) action], QA – QA engineers use a one-click deployment process to automatically* deploy chosen releases to QA for testing, Pre-production. The environment you use to test the production release process, Production. * A note on the use of the word “automatic” – when carrying out automated deployments this does not mean that the deployment is happening without human intervention (i.e. that something is just deploying over and over again). It means that the process of carrying out the deployment is automatic in that it’s not a person manually running through a checklist or set of actions. The deployment still requires a single-click from a user. Actions: Get your environments set up and ready, Set access permissions appropriately, Make sure everyone understands what the environments will be used for (it’s not a “free-for-all” with all environments to be accessed, played with and changed by development). The Deployment Process As described earlier, most existing database deployment processes are pretty manual. The following is a description of a process we hear very often when we ask customers “How do your database changes get live? How does your manual process work?” Check pre-production matches production (use a schema compare tool, like SQL Compare). Sometimes done by taking a backup from production and restoring in to pre-prod, Again, use a schema compare tool to find the differences between the latest version of the database ready to go live (i.e. what the team have been developing). This generates a script, User (generally, the DBA), reviews the script. This often involves manually checking updates against a spreadsheet or similar, Run the script on pre-production, and check there are no errors (i.e. it upgrades pre-production to what you hoped), If all working, run the script on production.* * this assumes there’s no problem with production drifting away from pre-production in the interim time period (i.e. someone has hacked something in to the production box without going through the proper change management process). This difference could undermine the validity of your pre-production deployment test. Red Gate is currently working on a free tool to detect this problem – sign up here at www.sqllighthouse.com, if you’re interested in testing early versions. There are several variations on this process – some better, some much worse! How do you automate this? In particular, step 3 – surely you can’t automate a DBA checking through a script, that everything is in order!? The key point here is to plan what you want in your new deployment process. There are so many options. At one extreme, pure continuous deployment – whenever a dev checks something in to source control, the CI process runs (including extensive and thorough testing!), before the deployment process keys in and automatically deploys that change to the live box. Not for the faint hearted – and really not something we recommend. At the other extreme, you might be more comfortable with a semi-automated process – the pre-production/production matching process is automated (with an error thrown if these environments don’t match), followed by a manual intervention, allowing for script approval by the DBA. One he/she clicks “Okay, I’m happy for that to go live”, the latter stages automatically take the script through to live. And anything in between of course – and other variations. But we’d strongly recommended sitting down with a whiteboard and your team, and spending a couple of hours mapping out “What do we do now?”, “What do we actually want?”, “What will satisfy our needs for continuous delivery, but still maintaining some sort of continuous control over the process?” NB: Most of what we’re discussing here is about production deployments. It’s important to note that you will also need to map out a deployment process for earlier environments (for example QA). However, these are likely to be less onerous, and many customers opt for a much more automated process for these boxes. Actions: Sit down with your team and a whiteboard, and draw out the answers to the questions above for your production deployments – “What do we do now?”, “What do we actually want?”, “What will satisfy our needs for continuous delivery, but still maintaining some sort of continuous control over the process?” Repeat for earlier environments (QA and so on). Rollback and Recovery If only every deployment went according to plan! Unfortunately they don’t – and when things go wrong, you need a rollback or recovery plan for what you’re going to do in that situation. Once you move in to a more automated database deployment process, you’re far more likely to be deploying more frequently than before. No longer once every 6 months, maybe now once per week, or even daily. Hence the need for a quick rollback or recovery process becomes paramount, and should be planned for. NB: These are mainly scenarios for handling rollbacks after the transaction has been committed. If a failure is detected during the transaction, the whole transaction can just be rolled back, no problem. There are various options, which we’ll explore in subsequent articles, things like: Immediately restore from backup, Have a pre-tested rollback script (remembering that really this is a “roll-forward” script – there’s not really such a thing as a rollback script for a database!) Have fallback environments – for example, using a blue-green deployment pattern. Different options have pros and cons – some are easier to set up, some require more investment in infrastructure; and of course some work better than others (the key issue with using backups, is loss of the interim transaction data that has been added between the failed deployment and the restore). The best mechanism will be primarily dependent on how your application works and how much you need a cast-iron failsafe mechanism. Actions: Work out an appropriate rollback strategy based on how your application and business works, your appetite for investment and requirements for a completely failsafe process. Development Practices This is perhaps the more difficult area for people to tackle. The process by which you can deploy database updates is actually intrinsically linked with the patterns and practices used to develop that database and linked application. So you need to decide whether you want to implement some changes to the way your developers actually develop the database (particularly schema changes) to make the deployment process easier. A good example is the pattern “Branch by abstraction”. Explained nicely here, by Martin Fowler, this is a process that can be used to make significant database changes (e.g. splitting a table) in a step-wise manner so that you can always roll back, without data loss – by making incremental updates to the database backward compatible. Slides 103-108 of the following slidedeck, from Niek Bartholomeus explain the process: https://speakerdeck.com/niekbartho/orchestration-in-meatspace As these slides show, by making a significant schema change in multiple steps – where each step can be rolled back without any loss of new data – this affords the release team the opportunity to have zero-downtime deployments with considerably less stress (because if an increment goes wrong, they can roll back easily). There are plenty more great patterns that can be implemented – the book Refactoring Databases, by Scott Ambler and Pramod Sadalage is a great read, if this is a direction you want to go in: http://www.amazon.com/Refactoring-Databases-Evolutionary-paperback-Addison-Wesley/dp/0321774515 But the question is – how much of this investment are you willing to make? How often are you making significant schema changes that would require these best practices? Again, there’s a difference here between migrating old projects and starting afresh – with the latter it’s much easier to instigate best practice from the start. Actions: For your business, work out how far down the path you want to go, amending your database development patterns to “best practice”. It’s a trade-off between implementing quality processes, and the necessity to do so (depending on how often you make complex changes). Socialise these changes with your development group. No-one likes having “best practice” changes imposed on them, so good to introduce these ideas and the rationale behind them early.   Summary The next stages of implementing a continuous delivery pipeline for your database changes (once you have CI up and running) require a little pre-planning, if you want to get the most out of the work, and for the implementation to go smoothly. We’ve covered some of the checklist of areas to consider – mainly in the areas of “Getting the team ready for the changes that are coming” and “Planning our your pipeline, environments, patterns and practices for development”, though there will be more detail, depending on where you’re coming from – and where you want to get to. This article is part of our database delivery patterns & practices series on Simple Talk. Find more articles for version control, automated testing, continuous integration & deployment.

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  • Coded ui to measure performance

    - by Mike Weber
    I have been tasked with using coded UI to measure performance on a proprietary windows desktop application. The need is to measure how long it takes for the next page/screen to display after a user clicks on a control. For example - a user enters their ID and PW and clicks sign-in. The need is to measure how long it takes for the next screen to display when the user clicks the sign-in button. I understand the need to define what indicates the screen is loaded and ready for use. One approach is to use control.WaitForControlReady and use BeginTimer/EndTimer. Is coded ui a dependable and accurate way of measuring time? Is WaitForControlReady the best method to determine when a control is ready for use?

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  • SQL Server 2012 AlwaysOn Groups and FCIs Part 4

    This is Part 4 of a series on AlwaysOn and FCI integration in SQL Server. In this article we will learn how to add the iSCSI disk storage to our SQL Server nodes and build the cluster. 24% of devs don’t use database source control – make sure you aren’t one of themVersion control is standard for application code, but databases haven’t caught up. So what steps can you take to put your SQL databases under version control? Why should you start doing it? Read more to find out…

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  • Multiple vulnerabilities in Mozilla Firefox

    - by chandan
    CVE DescriptionCVSSv2 Base ScoreComponentProduct and Resolution CVE-2011-2372 Permissions, Privileges, and Access Controls vulnerability 3.5 Firefox web browser Solaris 11 11/11 SRU 3 Solaris 10 Contact Support CVE-2011-2995 Denial of Service (DoS) vulnerability 10.0 CVE-2011-2997 Denial of Service (DoS) vulnerability 10.0 CVE-2011-3000 Improper Control of Generation of Code ('Code Injection') vulnerability 4.3 CVE-2011-3001 Permissions, Privileges, and Access Controls vulnerability 4.3 CVE-2011-3002 Denial of Service (DoS) vulnerability 9.3 CVE-2011-3003 Denial of Service (DoS) vulnerability 10.0 CVE-2011-3004 Improper Input Validation vulnerability 4.3 CVE-2011-3005 Denial of Service (DoS) vulnerability 9.3 CVE-2011-3232 Improper Control of Generation of Code ('Code Injection') vulnerability 9.3 CVE-2011-3648 Improper Neutralization of Input During Web Page Generation ('Cross-site Scripting') vulnerability 4.3 CVE-2011-3650 Improper Restriction of Operations within the Bounds of a Memory Buffer vulnerability 9.3 CVE-2011-3651 Denial of Service (DoS) vulnerability 10.0 CVE-2011-3652 Denial of Service (DoS) vulnerability 10.0 CVE-2011-3654 Denial of Service (DoS) vulnerability 10.0 CVE-2011-3655 Improper Control of Generation of Code ('Code Injection') vulnerability 9.3 This notification describes vulnerabilities fixed in third-party components that are included in Sun's product distribution.Information about vulnerabilities affecting Oracle Sun products can be found on Oracle Critical Patch Updates and Security Alerts page.

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  • Silverlight Html Placeholder now support OOB mode

    With the official Silverlight 4 release this week, one of the things we introduced in the Telerik Silverlight controls is the ability to use the Html Placeholder control in OOB in the same way you do when the control is hosted in the browser. The good news is that you don't need to do anything in order to enable this feature. It comes out of the box and if you have an app that is using the HtmlPlaceholder you just need to install it in OOB mode to see the same html that you are seeing when the application is hosted in the browser. When in OOB mode we are using internally the Microsoft WebBrowser control to render the Html - that's why this feature is SL4 specific and is not available in the SL3 binaries (which we still officially support).   Go play with it and if you have any questions ...Did you know that DotNetSlackers also publishes .net articles written by top known .net Authors? We already have over 80 articles in several categories including Silverlight. Take a look: here.

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  • Should one bind data with Eval on aspx or override ItemDataBound in code-behind?

    - by George Chang
    For data bound controls (Repeater, ListView, GridView, etc.), what's the preferred way of binding data? I've seen it where people use Eval() directly on the aspx/ascx inside the data bound control to pull the data field, but to me, it just seems so...inelegant. It seems particularly inelegant when the data needs to be manipulated so you wind up with shim methods like <%# FormatMyData(DataBinder.Eval(Container.DataItem, "DataField")) %> inside your control. Personally, I prefer to put in Literal controls (or other appropriate controls) and attach to the OnItemDataBound event for the control and populate all the data to their appropriate fields in the code-behind. Are there any advantages of doing one over the other? I prefer the latter, because to me it makes sense to compartmentalize the data binding logic and the presentation layer. But maybe that's just me.

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  • Is there a simpler way to create a borderless window with XNA 4.0?

    - by Cypher
    When looking into making my XNA game's window border-less, I found no properties or methods under Game.Window that would provide this, but I did find a window handle to the form. I was able to accomplish what I wanted by doing this: IntPtr hWnd = this.Window.Handle; var control = System.Windows.Forms.Control.FromHandle( hWnd ); var form = control.FindForm(); form.FormBorderStyle = System.Windows.Forms.FormBorderStyle.None; I don't know why but this feels like a dirty hack. Is there a built-in way to do this in XNA that I'm missing?

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  • Announcing Four Weeks of SSIS MicroTraining!

    - by andyleonard
    For the next four Tuesdays – 29 Nov, 6 Dec, 13 Dec, and 20 Dec – I will deliver a 30 – 45 minute presentation beginning at 11:00 AM EST on Google+ . Please note Google+ limits attendance to the first ten people who join the Hangout and I have no control over who gets in. The topics will be: 29 Nov – “I See a Control Flow. Now What?” (Creating Your First SSIS Package) 6 Dec – The Incremental Load SSIS Design Pattern 13 Dec – Flat File Fu 20 Dec – SSIS Frameworks Magic Details 29 Nov – “I See a Control...(read more)

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  • Quality Assurance activities

    - by MasloIed
    Having asked but deleted the question as it was a bit misunderstood. If Quality Control is the actual testing, what are the commonest true quality assurance activities? I have read that verification (reviews, inspections..) but it does not make much sense to me as it looks more like quality control as mentioned here: DEPARTMENT OF HEALTH AND HUMAN SERVICES ENTERPRISE PERFORMANCE LIFE CYCLE FRAMEWORK Practices guide Verification - “Are we building the product right?” Verification is a quality control technique that is used to evaluate the system or its components to determine whether or not the project’s products satisfy defined requirements. During verification, the project’s processes are reviewed and examined by members of the IV&V team with the goal of preventing omissions, spotting problems, and ensuring the product is being developed correctly. Some Verification activities may include items such as: • Verification of requirement against defined specifications • Verification of design against defined specifications • Verification of product code against defined standards • Verification of terms, conditions, payment, etc., against contracts

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