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  • Developing Schema Compare for Oracle (Part 3): Ghost Objects

    - by Simon Cooper
    In the previous blog post, I covered how we solved the problem of dependencies between objects and between schemas. However, that isn’t the end of the issue. The dependencies algorithm I described works when you’re querying live databases and you can get dependencies for a particular schema direct from the server, and that’s all well and good. To throw a (rather large) spanner in the works, Schema Compare also has the concept of a snapshot, which is a read-only compressed XML representation of a selection of schemas that can be compared in the same way as a live database. This can be useful for keeping historical records or a baseline of a database schema, or comparing a schema on a computer that doesn’t have direct access to the database. So, how do snapshots interact with dependencies? Inter-database dependencies don't pose an issue as we store the dependencies in the snapshot. However, comparing a snapshot to a live database with cross-schema dependencies does cause a problem; what if the live database has a dependency to an object that does not exist in the snapshot? Take a basic example schema, where you’re only populating SchemaA: SOURCE   TARGET (using snapshot) CREATE TABLE SchemaA.Table1 ( Col1 NUMBER REFERENCES SchemaB.Table1(col1));   CREATE TABLE SchemaA.Table1 ( Col1 VARCHAR2(100)); CREATE TABLE SchemaB.Table1 ( Col1 NUMBER PRIMARY KEY);   CREATE TABLE SchemaB.Table1 ( Col1 VARCHAR2(100)); In this case, we want to generate a sync script to synchronize SchemaA.Table1 on the database represented by the snapshot. When taking a snapshot, database dependencies are followed, but because you’re not comparing it to anything at the time, the comparison dependencies algorithm described in my last post cannot be used. So, as you only take a snapshot of SchemaA on the target database, SchemaB.Table1 will not be in the snapshot. If this snapshot is then used to compare against the above source schema, SchemaB.Table1 will be included in the source, but the object will not be found in the target snapshot. This is the same problem that was solved with comparison dependencies, but here we cannot use the comparison dependencies algorithm as the snapshot has not got any information on SchemaB! We've now hit quite a big problem - we’re trying to include SchemaB.Table1 in the target, but we simply do not know the status of this object on the database the snapshot was taken from; whether it exists in the database at all, whether it’s the same as the target, whether it’s different... What can we do about this sorry state of affairs? Well, not a lot, it would seem. We can’t query the original database, as it may not be accessible, and we cannot assume any default state as it could be wrong and break the script (and we currently do not have a roll-back mechanism for failed synchronizes). The only way to fix this properly is for the user to go right back to the start and re-create the snapshot, explicitly including the schemas of these 'ghost' objects. So, the only thing we can do is flag up dependent ghost objects in the UI, and ask the user what we should do with it – assume it doesn’t exist, assume it’s the same as the target, or specify a definition for it. Unfortunately, such functionality didn’t make the cut for v1 of Schema Compare (as this is very much an edge case for a non-critical piece of functionality), so we simply flag the ghost objects up in the sync wizard as unsyncable, and let the user sort out what’s going on and edit the sync script as appropriate. There are some things that we do do to alleviate somewhat this rather unhappy situation; if a user creates a snapshot from the source or target of a database comparison, we include all the objects registered from the database, not just the ones in the schemas originally selected for comparison. This includes any extra dependent objects registered through the comparison dependencies algorithm. If the user then compares the resulting snapshot against the same database they were comparing against when it was created, the extra dependencies will be included in the snapshot as required and everything will be good. Fortunately, this problem will come up quite rarely, and only when the user uses snapshots and tries to sync objects with unknown cross-schema dependencies. However, the solution is not an easy one, and lead to some difficult architecture and design decisions within the product. And all this pain follows from the simple decision to allow schema pre-filtering! Next: why adding a column to a table isn't as easy as you would think...

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  • Null Values And The T-SQL IN Operator

    - by Jesse
    I came across some unexpected behavior while troubleshooting a failing test the other day that took me long enough to figure out that I thought it was worth sharing here. I finally traced the failing test back to a SELECT statement in a stored procedure that was using the IN t-sql operator to exclude a certain set of values. Here’s a very simple example table to illustrate the issue: Customers CustomerId INT, NOT NULL, Primary Key CustomerName nvarchar(100) NOT NULL SalesRegionId INT NULL   The ‘SalesRegionId’ column contains a number representing the sales region that the customer belongs to. This column is nullable because new customers get created all the time but assigning them to sales regions is a process that is handled by a regional manager on a periodic basis. For the purposes of this example, the Customers table currently has the following rows: CustomerId CustomerName SalesRegionId 1 Customer A 1 2 Customer B NULL 3 Customer C 4 4 Customer D 2 5 Customer E 3   How could we write a query against this table for all customers that are NOT in sales regions 2 or 4? You might try something like this: 1: SELECT 2: CustomerId, 3: CustomerName, 4: SalesRegionId 5: FROM Customers 6: WHERE SalesRegionId NOT IN (2,4)   Will this work? In short, no; at least not in the way that you might expect. Here’s what this query will return given the example data we’re working with: CustomerId CustomerName SalesRegionId 1 Customer A 1 5 Customer E 5   I was expecting that this query would also return ‘Customer B’, since that customer has a NULL SalesRegionId. In my mind, having a customer with no sales region should be included in a set of customers that are not in sales regions 2 or 4.When I first started troubleshooting my issue I made note of the fact that this query should probably be re-written without the NOT IN clause, but I didn’t suspect that the NOT IN clause was actually the source of the issue. This particular query was only one minor piece in a much larger process that was being exercised via an automated integration test and I simply made a poor assumption that the NOT IN would work the way that I thought it should. So why doesn’t this work the way that I thought it should? From the MSDN documentation on the t-sql IN operator: If the value of test_expression is equal to any value returned by subquery or is equal to any expression from the comma-separated list, the result value is TRUE; otherwise, the result value is FALSE. Using NOT IN negates the subquery value or expression. The key phrase out of that quote is, “… is equal to any expression from the comma-separated list…”. The NULL SalesRegionId isn’t included in the NOT IN because of how NULL values are handled in equality comparisons. From the MSDN documentation on ANSI_NULLS: The SQL-92 standard requires that an equals (=) or not equal to (<>) comparison against a null value evaluates to FALSE. When SET ANSI_NULLS is ON, a SELECT statement using WHERE column_name = NULL returns zero rows even if there are null values in column_name. A SELECT statement using WHERE column_name <> NULL returns zero rows even if there are nonnull values in column_name. In fact, the MSDN documentation on the IN operator includes the following blurb about using NULL values in IN sub-queries or expressions that are used with the IN operator: Any null values returned by subquery or expression that are compared to test_expression using IN or NOT IN return UNKNOWN. Using null values in together with IN or NOT IN can produce unexpected results. If I were to include a ‘SET ANSI_NULLS OFF’ command right above my SELECT statement I would get ‘Customer B’ returned in the results, but that’s definitely not the right way to deal with this. We could re-write the query to explicitly include the NULL value in the WHERE clause: 1: SELECT 2: CustomerId, 3: CustomerName, 4: SalesRegionId 5: FROM Customers 6: WHERE (SalesRegionId NOT IN (2,4) OR SalesRegionId IS NULL)   This query works and properly includes ‘Customer B’ in the results, but I ultimately opted to re-write the query using a LEFT OUTER JOIN against a table variable containing all of the values that I wanted to exclude because, in my case, there could potentially be several hundred values to be excluded. If we were to apply the same refactoring to our simple sales region example we’d end up with: 1: DECLARE @regionsToIgnore TABLE (IgnoredRegionId INT) 2: INSERT @regionsToIgnore values (2),(4) 3:  4: SELECT 5: c.CustomerId, 6: c.CustomerName, 7: c.SalesRegionId 8: FROM Customers c 9: LEFT OUTER JOIN @regionsToIgnore r ON r.IgnoredRegionId = c.SalesRegionId 10: WHERE r.IgnoredRegionId IS NULL By performing a LEFT OUTER JOIN from Customers to the @regionsToIgnore table variable we can simply exclude any rows where the IgnoredRegionId is null, as those represent customers that DO NOT appear in the ignored regions list. This approach will likely perform better if the number of sales regions to ignore gets very large and it also will correctly include any customers that do not yet have a sales region.

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  • Next programming paradigm for CBE/GPU in the next years

    - by Werner
    Hi, in the last five years, there has been a rise in the use of GPU and CBE for parallelization of applications. Around 2005-2007 verything seemed to be programmed by hand, C, etc. Afterwards new unifying alternatives emerged like CUDA for GPU and lastly OpenCL. What do you think will be the programming paradigm for GPU/CBE in the forthcoming years? My vote goes for OpenCL Thanks

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  • What is the future of C++?

    - by George Edison
    Given the rise in popularity of C# and others, (which you can point out in the comments) what future does C++ have? Consider that most OS code is a mix of Asm/C/C++ and a lot of FOSS still use it. Also consider the upcoming C++0x standard that brings a few changes to the mix.

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  • Why is "int + string" possible in statically-typed C# but not in dynamically-typed Python?

    - by Salvador Dali
    While studying C# I found it really strange, that dynamically typed Python will rise an error in the following code: i = 5 print i + " " whereas statically typed C# will normally proceed the similar code: int i = 5; Console.Write(i + " "); I would expect other way around (in python I would be able to do this without any casting, but C# would require me to cast int to string or string to int). Just to highlight, I am not asking what language is better, I am curious what was the reason behind implementing the language this way.

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  • The case of the phantom ADF developer (and other yarns)

    - by Chris Muir
    A few years of ADF experience means I see common mistakes made by different developers, some I regularly make myself.  This post is designed to assist beginners to Oracle JDeveloper Application Development Framework (ADF) avoid a common ADF pitfall, the case of the phantom ADF developer [add Scooby-Doo music here]. ADF Business Components - triggers, default table values and instead of views. Oracle's JDeveloper tutorials help with the A-B-Cs of ADF development, typically built on the nice 'n safe demo schema provided by with the Oracle database such as the HR demo schema. However it's not too long until ADF beginners, having built up some confidence from learning with the tutorials and vanilla demo schemas, start building ADF Business Components based upon their own existing database schema objects.  This is where unexpected problems can sneak in. The crime Developers may encounter a surprising error at runtime when editing a record they just created or updated and committed to the database, based on their own existing tables, namely the error: JBO-25014: Another user has changed the row with primary key oracle.jbo.Key[x] ...where X is the primary key value of the row at hand.  In a production environment with multiple users this error may be legit, one of the other users has updated the row since you queried it.  Yet in a development environment this error is just plain confusing.  If developers are isolated in their own database, creating and editing records they know other users can't possibly be working with, or all the other developers have gone home for the day, how is this error possible? There are no other users?  It must be the phantom ADF developer! [insert dramatic music here] The following picture is what you'll see in the Business Component Browser, and you'll receive a similar error message via an ADF Faces page: A false conclusion What can possibly cause this issue if it isn't our phantom ADF developer?  Doesn't ADF BC implement record locking, locking database records when the row is modified in the ADF middle-tier by a user?  How can our phantom ADF developer even take out a lock if this is the case?  Maybe ADF has a bug, maybe ADF isn't implementing record locking at all?  Shouldn't we see the error "JBO-26030: Failed to lock the record, another user holds the lock" as we attempt to modify the record, why do we see JBO-25014? : Let's verify that ADF is in fact issuing the correct SQL LOCK-FOR-UPDATE statement to the database. First we need to verify ADF's locking strategy.  It is determined by the Application Module's jbo.locking.mode property.  The default (as of JDev 11.1.1.4.0 if memory serves me correct) and recommended value is optimistic, and the other valid value is pessimistic. Next we need a mechanism to check that ADF is issuing the LOCK statements to the database.  We could ask DBAs to monitor locks with OEM, but optimally we'd rather not involve overworked DBAs in this process, so instead we can use the ADF runtime setting –Djbo.debugoutput=console.  At runtime this options turns on instrumentation within the ADF BC layer, which among a lot of extra detail displayed in the log window, will show the actual SQL statement issued to the database, including the LOCK statement we're looking to confirm. Setting our locking mode to pessimistic, opening the Business Components Browser of a JSF page allowing us to edit a record, say the CHARGEABLE field within a BOOKINGS record where BOOKING_NO = 1206, upon editing the record see among others the following log entries: [421] Built select: 'SELECT BOOKING_NO, EVENT_NO, RESOURCE_CODE, CHARGEABLE, MADE_BY, QUANTITY, COST, STATUS, COMMENTS FROM BOOKINGS Bookings'[422] Executing LOCK...SELECT BOOKING_NO, EVENT_NO, RESOURCE_CODE, CHARGEABLE, MADE_BY, QUANTITY, COST, STATUS, COMMENTS FROM BOOKINGS Bookings WHERE BOOKING_NO=:1 FOR UPDATE NOWAIT[423] Where binding param 1: 1206  As can be seen on line 422, in fact a LOCK-FOR-UPDATE is indeed issued to the database.  Later when we commit the record we see: [441] OracleSQLBuilder: SAVEPOINT 'BO_SP'[442] OracleSQLBuilder Executing, Lock 1 DML on: BOOKINGS (Update)[443] UPDATE buf Bookings>#u SQLStmtBufLen: 210, actual=62[444] UPDATE BOOKINGS Bookings SET CHARGEABLE=:1 WHERE BOOKING_NO=:2[445] Update binding param 1: N[446] Where binding param 2: 1206[447] BookingsView1 notify COMMIT ... [448] _LOCAL_VIEW_USAGE_model_Bookings_ResourceTypesView1 notify COMMIT ... [449] EntityCache close prepared statement ....and as a result the changes are saved to the database, and the lock is released. Let's see what happens when we use the optimistic locking mode, this time to change the same BOOKINGS record CHARGEABLE column again.  As soon as we edit the record we see little activity in the logs, nothing to indicate any SQL statement, let alone a LOCK has been taken out on the row. However when we save our records by issuing a commit, the following is recorded in the logs: [509] OracleSQLBuilder: SAVEPOINT 'BO_SP'[510] OracleSQLBuilder Executing doEntitySelect on: BOOKINGS (true)[511] Built select: 'SELECT BOOKING_NO, EVENT_NO, RESOURCE_CODE, CHARGEABLE, MADE_BY, QUANTITY, COST, STATUS, COMMENTS FROM BOOKINGS Bookings'[512] Executing LOCK...SELECT BOOKING_NO, EVENT_NO, RESOURCE_CODE, CHARGEABLE, MADE_BY, QUANTITY, COST, STATUS, COMMENTS FROM BOOKINGS Bookings WHERE BOOKING_NO=:1 FOR UPDATE NOWAIT[513] Where binding param 1: 1205[514] OracleSQLBuilder Executing, Lock 2 DML on: BOOKINGS (Update)[515] UPDATE buf Bookings>#u SQLStmtBufLen: 210, actual=62[516] UPDATE BOOKINGS Bookings SET CHARGEABLE=:1 WHERE BOOKING_NO=:2[517] Update binding param 1: Y[518] Where binding param 2: 1205[519] BookingsView1 notify COMMIT ... [520] _LOCAL_VIEW_USAGE_model_Bookings_ResourceTypesView1 notify COMMIT ... [521] EntityCache close prepared statement Again even though we're seeing the midtier delay the LOCK statement until commit time, it is in fact occurring on line 412, and released as part of the commit issued on line 419.  Therefore with either optimistic or pessimistic locking a lock is indeed issued. Our conclusion at this point must be, unless there's the unlikely cause the LOCK statement is never really hitting the database, or the even less likely cause the database has a bug, then ADF does in fact take out a lock on the record before allowing the current user to update it.  So there's no way our phantom ADF developer could even modify the record if he tried without at least someone receiving a lock error. Hmm, we can only conclude the locking mode is a red herring and not the true cause of our problem.  Who is the phantom? At this point we'll need to conclude that the error message "JBO-25014: Another user has changed" is somehow legit, even though we don't understand yet what's causing it. This leads onto two further questions, how does ADF know another user has changed the row, and what's been changed anyway? To answer the first question, how does ADF know another user has changed the row, the Fusion Guide's section 4.10.11 How to Protect Against Losing Simultaneous Updated Data , that details the Entity Object Change-Indicator property, gives us the answer: At runtime the framework provides automatic "lost update" detection for entity objects to ensure that a user cannot unknowingly modify data that another user has updated and committed in the meantime. Typically, this check is performed by comparing the original values of each persistent entity attribute against the corresponding current column values in the database at the time the underlying row is locked. Before updating a row, the entity object verifies that the row to be updated is still consistent with the current state of the database.  The guide further suggests to make this solution more efficient: You can make the lost update detection more efficient by identifying any attributes of your entity whose values you know will be updated whenever the entity is modified. Typical candidates include a version number column or an updated date column in the row.....To detect whether the row has been modified since the user queried it in the most efficient way, select the Change Indicator option to compare only the change-indicator attribute values. We now know that ADF BC doesn't use the locking mechanism at all to protect the current user against updates, but rather it keeps a copy of the original record fetched, separate to the user changed version of the record, and it compares the original record against the one in the database when the lock is taken out.  If values don't match, be it the default compare-all-columns behaviour, or the more efficient Change Indicator mechanism, ADF BC will throw the JBO-25014 error. This leaves one last question.  Now we know the mechanism under which ADF identifies a changed row, what we don't know is what's changed and who changed it? The real culprit What's changed?  We know the record in the mid-tier has been changed by the user, however ADF doesn't use the changed record in the mid-tier to compare to the database record, but rather a copy of the original record before it was changed.  This leaves us to conclude the database record has changed, but how and by who? There are three potential causes: Database triggers The database trigger among other uses, can be configured to fire PLSQL code on a database table insert, update or delete.  In particular in an insert or update the trigger can override the value assigned to a particular column.  The trigger execution is actioned by the database on behalf of the user initiating the insert or update action. Why this causes the issue specific to our ADF use, is when we insert or update a record in the database via ADF, ADF keeps a copy of the record written to the database.  However the cached record is instantly out of date as the database triggers have modified the record that was actually written to the database.  Thus when we update the record we just inserted or updated for a second time to the database, ADF compares its original copy of the record to that in the database, and it detects the record has been changed – giving us JBO-25014. This is probably the most common cause of this problem. Default values A second reason this issue can occur is another database feature, default column values.  When creating a database table the schema designer can define default values for specific columns.  For example a CREATED_BY column could be set to SYSDATE, or a flag column to Y or N.  Default values are only used by the database when a user inserts a new record and the specific column is assigned NULL.  The database in this case will overwrite the column with the default value. As per the database trigger section, it then becomes apparent why ADF chokes on this feature, though it can only specifically occur in an insert-commit-update-commit scenario, not the update-commit-update-commit scenario. Instead of trigger views I must admit I haven't double checked this scenario but it seems plausible, that of the Oracle database's instead of trigger view (sometimes referred to as instead of views).  A view in the database is based on a query, and dependent on the queries complexity, may support insert, update and delete functionality to a limited degree.  In order to support fully insertable, updateable and deletable views, Oracle introduced the instead of view, that gives the view designer the ability to not only define the view query, but a set of programmatic PLSQL triggers where the developer can define their own logic for inserts, updates and deletes. While this provides the database programmer a very powerful feature, it can cause issues for our ADF application.  On inserting or updating a record in the instead of view, the record and it's data that goes in is not necessarily the data that comes out when ADF compares the records, as the view developer has the option to practically do anything with the incoming data, including throwing it away or pushing it to tables which aren't used by the view underlying query for fetching the data. Readers are at this point reminded that this article is specifically about how the JBO-25014 error occurs in the context of 1 developer on an isolated database.  The article is not considering how the error occurs in a production environment where there are multiple users who can cause this error in a legitimate fashion.  Assuming none of the above features are the cause of the problem, and optimistic locking is turned on (this error is not possible if pessimistic locking is the default mode *and* none of the previous causes are possible), JBO-25014 is quite feasible in a production ADF application if 2 users modify the same record. At this point under project timelines pressure, the obvious fix for developers is to drop both database triggers and default values from the underlying tables.  However we must be careful that these legacy constructs aren't used and assumed to be in place by other legacy systems.  Dropping the database triggers or default value that the existing Oracle Forms  applications assumes and requires to be in place could cause unexpected behaviour and bugs in the Forms application.  Proficient software engineers would recognize such a change may require a partial or full regression test of the existing legacy system, a potentially costly and timely exercise, not ideal. Solving the mystery once and for all Luckily ADF has built in functionality to deal with this issue, though it's not a surprise, as Oracle as the author of ADF also built the database, and are fully aware of the Oracle database's feature set.  At the Entity Object attribute level, the Refresh After Insert and Refresh After Update properties.  Simply selecting these instructs ADF BC after inserting or updating a record to the database, to expect the database to modify the said attributes, and read a copy of the changed attributes back into its cached mid-tier record.  Thus next time the developer modifies the current record, the comparison between the mid-tier record and the database record match, and JBO-25014: Another user has changed" is no longer an issue. [Post edit - as per the comment from Oracle's Steven Davelaar below, as he correctly points out the above solution will not work for instead-of-triggers views as it relies on SQL RETURNING clause which is incompatible with this type of view] Alternatively you can set the Change Indicator on one of the attributes.  This will work as long as the relating column for the attribute in the database itself isn't inadvertently updated.  In turn you're possibly just masking the issue rather than solving it, because if another developer turns the Change Indicator back on the original issue will return.

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  • Can a Silverlight application authenticate versus a local LDAP/ActiveDirectory Server

    - by caryden
    If I have an externally hosted application (www.outside.com) outside the firewall but users within a company wanted to be able to enable LDAP authentication against their local (behind the firewall) AD server (acting as LDAP) or other LDAP server (call it ldap.inside.com), how would this be done. It seems technically possible in that when a user tried to login to outside.com through a client-side silverlight interface, that the SL app could connect to the outside.com login service and be told to authenticate that user against ldap.inside.com. The SL app would make the calls to ldap.inside.com to authenticate the user. Of course, there is the issue of how the server is notified securely that the client authenticated itself...Has anyone done this?

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  • How can I assert from Python C code?

    - by Joe
    I'm writing a Python class in C and I want to put assertions in my debug code. assert.h suits me fine. This only gets put in debug compiles so there's no chance of an assert failure impacting a user of the Python code*. I'm trying to divide my 'library' code (which should be separate to the code linked against Python) so I can use it from other C code. My Python methods are therefore thinnish wrappers around my pure-C code. So I can't do this in my 'library' code: if (black == white) { PyErr_SetString(PyExc_RuntimeError, "Remap failed"); } because this pollutes my pure-C code with Python. It's also far uglier than a simple assert(black != white); I believe that the Distutils compiler always sets NDEBUG, which means I can't use assert.h even in debug builds. Mac OS and Linux. Help! *one argument I've heard against asserting in C code called from Python.

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  • Why not port Linux kernel to Common Lisp?

    - by rplevy
    Conventional wisdom states that OS kernels must be written in C in order to achieve the necessary levels of performance. This has been the justification for not using more expressive high level languages. However, for a few years now implementations of Common Lisp such as SBCL have proven to be just as performant as C. What then are the arguments against redoing the kernel in a powerfully expressive language, namely Common Lisp? I don't think anyone (at least anyone who knows what they are talking about) could argue against the fact that the benefits in transparency and readability would be tremendous, not to mention all the things that can't be done in C that can be done in Lisp, but there may be implementation details that would make this a bad idea.

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  • Maven Plugin - Restart Jetty with new WAR?

    - by Walter White
    Hi all, What I would like to do is automatically test against several different maven build profiles. I want to write a maven plugin that iterates through each profile so I don't have to manually list them for the CI process. I just want to verify that the code works in all development, testing, staging, and production once deployed there. I want it to automatically test against those profiles so I could keep it a part of the same maven build? How would I best set that up to log those changes in Sonar or another tool? Walter

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  • changing selenium domain/subdomain within cucumber scenarios

    - by dalyons
    So, I have a Rails webapp that utilizes subdomains for separating the admin functionality from the public functionality using subdomain-fu. So there is functionality(that I want to test!) contained within two urls(eg admin.example.com and www.example.com). I want some scenarios to run against the admin domain, and some against the www domain. My problem is that I cant figure out how to change the domain that selenium uses at any time after startup. I can put something like this in my env.rb: Webrat.configure do |config| config.mode = :selenium config.application_address = "admin.example.com" end And it will work, but only for the scenarios that need the admin domain. If I try something like: host! "www.example.com" inside my steps, well it seems to just be ignored by selenium, which goes on using "admin.example.com" Any ideas? Or if its not possible, any ideas for a workaround?

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  • Avoiding .NET versioning hell

    - by moogs
    So sometimes (oftentimes!) you want to target a specific .NET version (say 3.0), but then due to some .NET service packs you get into problems like: Dispatcher.BeginInvoke(Delegate, Object[]) <-- this was added in 3.0 SP2 (3.0.30618 ) System.Threading.WaitHandle.WaitOne(Int32) <-- this was added in 3.5 SP1, 3.0 SP2, 2.0 SP2 Now, these are detected by the JIT compiler, so building against .NET 3.0 in Visual Studio won't guarante it will run on .NET 3.0 only systems. Short of confirming each and every function you use, or limiting your development environment to .NET 3.0 (which sucks since you have to develop for other projects too) what's the best way to avoid against using extensions? Thanks!

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  • Is there CI server software that can do all of this?

    - by SnOrfus
    I'm trying to put together a Continuous Integration server that will do the following: Work with subversion Use NUnit tests (fail build on failed tests) Use partcover (fail build on < X% coverage) Run code against FxCop (fail build on FxCop warnings, given settings) Run code against StyleCop (fail build on StyleCop warnings, given settings) Not as important: Be able to run from a sln file Be able to publish the application (ClickOnce is setup for the project already) I'm using TeamCity right now and it doesn't seem to do 3 or 5, and it doesn't have a runner for the newest NUnit. From the list of plugins that hudson has, it looks like it can do all of these except 3 (and the not as important requests). I've considered writing a plugin for hudons to use partcover, but that's adding more time to setting up a build server.

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  • Check for Block Ads/Scripts (Browser Addons, Compatibility)

    - by acidzombie24
    I'm conflicted. you guys decide if this should migrate to SU or not. I would like to test my site against popular browser ad ons. ATM i have tested against noscript and adblock plus for firefox. What other popular ad ons should i check compatibility with? By compatibility i mean to work as intent on browsers i support (opera, firefox, chrome, IE 7/8) which include ads. NoScript broke my site and for adblock plus i ask once per week to consider allowing ads. When i see IE6 i notify the user the site is known to be unusable with that browser (The site is script heavy by nature and i wouldnt want to accidentally serve ads to infect users of IE6 with a virus).

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  • Spring Security 3.0 and Active Directory LDAP: DOMAIN\user login

    - by Bernd Haug
    I would like to have users authenticate against an ActiveDirectory LDAP server using the DOMAIN\user.name syntax. I think that should be possible with SpringSec 3.0 since the docs mention an "alternative syntax" which I guess refers to the DOM\user syntax instead of a bind DN, but the docs don't elaborate further. Is there some way to configure Spring Sec 3 LDAP to use "the MS way" or do I have to write my own Authenticator implementation (against e.g. the java.naming.directory package, which I've tested to be able to use the MS syntax as its SECURITY_PRINCIPAL)?

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  • Sync Framework, Local Database Cache, and my DAL

    - by Refracted Paladin
    I am creating a WPF app that needs to allow users to work in a temporary disconnected state and I plan to use a Local Database Cache. My question's are about my data access layer. Do you typically create the whole DAL to point at the Cache or both and create a switching mechanism? Is Entity's a good way to go for my DAL against the Cache? I am used to L2S but my understanding is that I can't use that against SQLCE, correct? Thanks! PS: Any good resources out there for using Sync, Linq, and WPF? Tutorials, videos, etc?

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  • Which version of Windows 7 for .NET Developers

    - by Dkong
    Hi, I'm looking to upgrade my laptop from Windows Vista to Windows 7. As a .NET developer I'm not interested in developing Windows 7 components at this stage, but was curious which version would suffice to Install Visual Studio/SQL Server and do some web development testing against the local instance of IIS. I don't care too much about the superfluous features of any Windows 7 editions, I just need to know which one will keep me right for running apps and writing some code. Also, does Windows 7 force the "run as administrator" against VS? Any recommendations?

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  • Sync Framework,LINQ, and my DAL

    - by Refracted Paladin
    I am creating a WPF app that needs to allow users to work in a temporary disconnected state and I plan to use a Local Database Cache. My question's are about my data access layer. Do you typically create the whole DAL to point at the Cache or both and create a switching mechanism? Is Entity's a good way to go for my DAL against the Cache? I am used to L2S but my understanding is that I can't use that against SQLCE, correct? Thanks! PS: Any good resources out there for using Sync, Linq, and WPF ALL TOGETHER? Tutorials, videos, etc?

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  • .NET 4.0 project reference 2.0 assembly

    - by jamone
    I have a project in which I'd like to use some of the .NET 4.0 features but a core requirement is that I can use the System.Data.SQLite framework which is compiled against 2.X. I see mention of this being possible such as the accepted answer here but I don't see how to actually achieve this. When I just try and run my 4.0 project while referencing the 2.X assembly I get: Mixed mode assembly is built against version 'v2.0.50727' of the runtime and cannot be loaded in the 4.0 runtime without additional configuration information. What "additional configuration" is necessary?

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  • SQL: Gather right hand values from a join

    - by Max Williams
    Let's say a question has many tags, via a join table called taggings. I do a join thus: SELECT DISTINCT `questions`.id FROM `questions` LEFT OUTER JOIN `taggings` ON `taggings`.taggable_id = `questions`.id LEFT OUTER JOIN `tags` ON `tags`.id = `taggings`.tag_id I want to order the results according to a particular tag name, eg 'piano', so that piano is at the top, then by all the other tags in alphabetical order. Currently i'm using this order clause: ORDER BY (tags.name = 'piano') desc, tags.name Which is going completely wrong - the first results i get back aren't even tagged with 'piano' at all. I think my problem is that i need to group the tag names somehow and do my ordering test against that: i think that doing it against the straight tags.name isn't working due to the structure of the resultant join table (it does work if i just do a simple select on the tags table) but i can't get my head around how to fix it. grateful for any advice, max

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  • Subsume external library into source tree with Autotools.

    - by troutwine
    I am developing a new project, using Autotools for my build infrastructure. I would like to subsume external dependencies into my source tree. These dependencies are using Autotools, as well. How can I configure my project's build scripts to build and link against subsumed dependencies? Though Duret-Lutz's tutorial is excellent, this situation is only briefly addressed in a few slides. I found his explanation deeply confusing. By adding the directory name of subsumed dependencies to the toplevel Makefile.am's SUBDIRS the dependency is being configured and built. It is possible to manually set include paths through CFLAGS, but how do I link against libtool .la files?

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