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  • Attend MySQL Webinars This Week

    - by Bertrand Matthelié
    Interested in learning more about MySQL as embedded database? In building highly available MySQL applications with MySQL and DRBD? Join our webinars this week! All information below. Tuesday next week (November 20) we will provide an update about what's new in MySQL Enterprise Edition. We have live Q&A during the webinars so you'll get the chance to ask all your questions. Top 10 Reasons to Use MySQL as an Embedded Database Tuesday, November 13 9:00 a.m. PT Review the top 10 reasons why MySQL is technically well-suited for embedded use, as well as the related business reasons vendors choose MySQL initially, over time, and across product-lines. Register for the Webcast. MySQL High Availability with Distributed Replicated Block Device Thursday, November 15 9:00 a.m. PT Learn how to build highly available services with MySQL and distributed replicated block device (DRBD). The DRBD high-availability solution comprises a complete stack of open source software that delivers high-availability database clusters on commodity hardware, with the option of 24/7 support from Oracle. Register for the Webcast. Technology Update: What's New in MySQL Enterprise Edition Tuesday, November 20 9:00 a.m. PT Find out what's new in MySQL Enterprise Edition. Register for the Webcast.

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  • Version control for game development - issues and solutions?

    - by Cyclops
    There are a lot of Version Control systems available, including open-source ones such as Subversion, Git, and Mercurial, plus commercial ones such as Perforce. How well do they support the process of game-development? What are the issues using VCS, with regard to non-text files (binary files), large projects, etc? What are solutions to these problems, if any? For organization of Answers, let's try on a per-package basis. Update each package/Answer with your results. Also, please list some brief details in your answer, about whether your VCS is free or commercial, distributed versus centralized, etc. Update: Found a nice article comparing two of the VCS below - apparently, Git is MacGyver and Mercurial is Bond. Well, I'm glad that's settled... And the author has a nice quote at the end: It’s OK to proselytize to those who have not switched to a distributed VCS yet, but trying to convert a Git user to Mercurial (or vice-versa) is a waste of everyone’s time and energy. Especially since Git and Mercurial's real enemy is Subversion. Dang, it's a code-eat-code world out there in FOSS-land...

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  • ArchBeat Link-o-Rama for 2012-06-21

    - by Bob Rhubart
    Software Architects Need Not Apply | Dustin Marx "I think there is a place for software architecture," says Dustin Marx, "but a portion of our fellow software architects have harmed the reputation of the discipline." For another angle on this subject, check out Out of the Tower, Into the Trenches from the Nov/Dec edition of Oracle Magazine. Oracle Data Integrator 11g - Faster Files | David Allan David Allan illustrates "a big step for regular file processing on the way to super-charging big data files using Hadoop." 2012 Oracle Fusion Middleware Innovation Awards - Win a FREE Pass to Oracle OpenWorld 2012 in SF Share your use of Oracle Fusion Middleware solutions and how they help your organization drive business innovation. You just might win a free pass to Oracle Openworld 2012 in San Francisco. Deadline for submissions in July 17, 2012. WLST Domain creation using dry-run | Michel Schildmeijer What to do "if you want to browse through your domain to check if settings you want to apply satisfy your requirements." Cloud opens up new vistas for service orientation at Netflix | Joe McKendrick "Many see service oriented architecture as laying the groundwork for cloud. But at one well-known company, cloud has instigated the move to SOA." How to avoid the Portlet Skin mismatch | Martin Deh Detailed how-to from WebCenter A-Team blogger Martin Deh. Internationalize WebCenter Portal - Content Presenter | Stefan Krantz Stefan Krantz explains "how to get Content Presenter and its editorials to comply with the current selected locale for the WebCenter Portal session." Oracle Public Cloud Architecture | Tyler Jewell Tyler Jewell discusses the multi-tenancy model and elasticity solution implemented by Oracle Cloud in this QCon presentation. A Distributed Access Control Architecture for Cloud Computing The authors of this InfoQ article discuss a distributed architecture based on the principles from security management and software engineering. Thought for the Day "Let us change our traditional attitude to the construction of programs. Instead of imagining that our main task is to instruct a computer what to to, let us concentrate rather on explaining to human beings what we want a computer to do." — Donald Knuth Source: Quotes for Software Engineers

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  • MapReduce

    - by kaleidoscope
    MapReduce is a programming model and an associated implementation for processing and generating large data sets. Users specify a map function that processes a key/value pair to generate a set of  intermediate key/value pairs, and a reduce function that merges all intermediate values associated with the same intermediate key. Many real world tasks are expressible in this model, as shown in the paper. Programs written in this functional style are automatically parallelized and executed on a large cluster of commodity machines. The run-time system takes care of the details of partitioning the input data,  scheduling the program's execution across a set of machines, handling machine failures, and managing the required inter-machine communication. This allows programmers without any experience with parallel and distributed systems to easily utilize the resources of a large distributed system. Example: A process to count the appearances of each different word in a set of documents void map(String name, String document):   // name: document name   // document: document contents   for each word w in document:     EmitIntermediate(w, 1); void reduce(String word, Iterator partialCounts):   // word: a word   // partialCounts: a list of aggregated partial counts   int result = 0;   for each pc in partialCounts:     result += ParseInt(pc);   Emit(result); Here, each document is split in words, and each word is counted initially with a "1" value by the Map function, using the word as the result key. The framework puts together all the pairs with the same key and feeds them to the same call to Reduce, thus this function just needs to sum all of its input values to find the total appearances of that word.   Sarang, K

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  • Metaphor for task synchronization [closed]

    - by nkint
    I'm looking for a metaphor. A friend of mine taught me to use metaphors from nature, everyday life, math, and use them to design my projects. They can help in creating a better design or better understanding or the problem, and they are cool. Now I'm working on a project with hardware and micro-controllers in C. For convenience, I have decided to use multiple micro-controllers as co-processor units for real-time (the slaves) and a master. This has saved me a lot of headache: I can code the main logic in the master without paying too much attention to super optimizing everything; I don't care if I need some blocking-call; I don't worry about serial communication with the computer. I just send messages to the slaves and they are super fast super in real time. I like my design and it seems to work well. So here are the important concepts that I'm trying capture in the metaphor: hierarchy of processing Not using one big brain but rather several small, distributed brain units using distributed power or resources I'm looking for a good metaphor for this concept of having one unit synchronize the work of all the others. Preferably, the metaphor would come from nature, biology, or zoology.

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  • Prepared statement alternatives for this middle-man program?

    - by user2813274
    I have an program that is using a prepared statement to connect and write to a database working nicely, and now need to create a middle-man program to insert between this program and the database. This middle-man program will actually write to multiple databases and handle any errors and connection issues. I would like advice as to how to replicate the prepared statements such as to create minimal impact to the existing program, however I am not sure where to start. I have thought about creating a "SQL statement class" that mimics the prepared statement, only that seems silly. The existing program is in Java, although it's going to be networked anyways so I would be open to writing it in just about anything that would make sense. The databases are currently MySQL, although I would like to be open to changing the database type in the future. My main question is what should the interface for this program look like, and does doing this even make sense? A distributed DB would be the ideal solution, but they seem overly complex and expensive for my needs. I am hoping to replicate the main functionality of a distributed DB via this middle-man. I am not too familiar with sql-based servers distributing data (or database in general...) - perhaps I am fighting an uphill battle by trying to solve it via programming, but I would like to make an attempt at least.

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  • Relationship between SOA and OOA

    - by TheSilverBullet
    Thomas Erl defines SOA as follows in his site: Service-oriented computing represents a new generation distributed computing platform. As such, it encompasses many things, including its own design paradigm and design principles, design pattern catalogs, pattern languages, a distinct architectural model, and related concepts, technologies, and frameworks. This definitely sounds like a whole new category which is parallel to object orientation. Almost one in which you would expect an entirely new language to exist for. Like procedural C and object oriented C#. Here is my understanding: In real life, we don't have entirely new language for SOA. And most application which have SOA architecture have an object oriented design underneath it. SOA is a "strategy" to make the entire application/service distributed and reliable. SOA needs OOPS working underneath it. Is this correct? Where does SOA (if at all it does) fit in with object oriented programming practices? Edit: I have learnt through answers that OOA and SOA work with each other and cannot be compared (in a "which is better" way). I have changed the title to "Relationship between SOA and OOA" rather than "comparison".

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  • Software Manager who makes developers do Project Management

    - by hdman
    I'm a software developer working in an embedded systems company. We have a Project Manager, who takes care of the overall project schedule (including electrical, quality, software and manufacturing) hence his software schedule is very brief. We also have a Software Manager, who's my boss. He makes me write and maintain the software schedule, design documents (high and low level design), SRS, change management, verification plans and reports, release management, reviews, and ofcourse the software. We only have one Test Engineer for the whole software team (10 members), and at any given time, there are a couple of projects going on. I'm spending 80% of my time making these documents. My boss comes from a Process background, and believes what we need is better documentation to improve software: (1) He considers the design to be paramount, coding is "just writing the design down", it shouldn't take too long, and "all the code should be written before the hardware is ready". (2) Doesn't understand the difference between a Central & Distributed Version control, even after we told him its easier to collaborate with a distributed model. (3) Doesn't understand code, and wants to understand every bug and its proposed solution. (4) Believes verification should be done by developer, and validation by the Tester. Thing is though, our verification only checks if implementation is correct (we don't write unit tests, its never considered in the schedule), and validation is black box testing, so the units tests are missing. I'm really confused. (1) Am I responsible for maintaining all these documents? It makes me feel like I'm doing the Software Project Management, in essence. (2) I don't really like creating documents, I want to solve problems and write code. In my experience, creating design documents only helps to an extent, its never the solution to better or faster code. (3) I feel the boss doesn't really care about making better products, but only about being a good manager in the eyes of the management. What can I do?

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  • What does SVN do better than git?

    - by doug
    No question that the majority of debates over programmer tools distill to either personal choice (by the user) or design emphasis, i.e., optimizing design according to particular uses cases (by the tool builder). Text Editors are probably the most prominent example--a coder who works on a Windows at work and codes in Haskell on the Mac at home, values cross-platform and compiler integration and so chooses Emacs over Textmate, etc. It's less common that a newly introduced technology is genuinely, demonstrably superior to the extant options. I wonder if this is in fact the case with version-control systems, in particular, centralized VCS (CVS, SVN) versus distributed VCS (git, hg)? I used SVN for about five years, and SVN is currently used where I work. A little less than three years ago, I switched to git (and gitHub) for all of my personal projects. I can think of a number of advantages of git over subversion (and which for the most part abstract to advantages of distributed over centralized VCS), but I cannot think of one contra example--some task (that's relevant and arises in a programmers usual workflow) that subversion does better than git. The only conclusion I have drawn from this is that I don't have any data--not that git is better, etc. My guess is that such counter-examples exist, hence this question.

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  • Wednesday at Oracle OpenWorld 2012 - Must See Session: “Event-Driven Patterns and Best Practices: Even More Important with Big Data”

    - by Lionel Dubreuil
    Don’t miss this “CON8636 - Event-Driven Patterns and Best Practices: Even More Important with Big Data“ session: Speakers: Faisal Nazir - Senior Solutions Architect, Motorola Shinichiro Takahashi - Senior Manager, Service Platform Department, NTT DOCOMO, INC. Robin Smith - Product Management/Strategy Director - Oracle Event Processing, Oracle Date: Wednesday, Oct 3 Time: 10:15 AM - 11:15 AM Location: Moscone South - 310 As the demand for big data analytics and integration grows across all industries, this session focuses on the role of the Oracle event-driven solution platform in delivering vital real-time integrated analysis intelligence to the data streams consumed and emitted from these large distributed data stores. Objectives for this session are to: Increase awareness of Oracle Event Processing, showcasing tight alignment with big data solutions Highlight emerging usage patterns in relation to streaming event data and distributed data stores Show a significant Oracle competitive advantage over IBM solutions advertised in this domain Normal 0 false false false EN-US X-NONE X-NONE /* Style Definitions */ table.MsoNormalTable {mso-style-name:"Table Normal"; mso-tstyle-rowband-size:0; mso-tstyle-colband-size:0; mso-style-noshow:yes; mso-style-priority:99; mso-style-qformat:yes; mso-style-parent:""; mso-padding-alt:0cm 5.4pt 0cm 5.4pt; mso-para-margin:0cm; mso-para-margin-bottom:.0001pt; mso-pagination:widow-orphan; font-size:10.0pt; font-family:"Calibri","sans-serif";}

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  • Why is my WCF RIA Services custom object deserializing with an extra list member?

    - by oasasaurus
    I have been developing a Silverlight WCF RIA Services application dealing with mock financial transactions. To more efficiently send summary data to the client without going overboard with serialized entities I have created a summary class that isn’t in my EDM, and figured out how to serialize and send it over the wire to the SL client using DataContract() and DataMember(). Everything seemed to be working out great, until I tried to bind controls to a list inside my custom object. The list seems to always get deserialized with an extra, almost empty entity in it that I don’t know how to get rid of. So, here are some of the pieces. First the relevant bits from the custom object class: <DataContract()> _ Public Class EconomicsSummary Public Sub New() RecentTransactions = New List(Of Transaction) TotalAccountHistory = New List(Of Transaction) End Sub Public Sub New(ByVal enUser As EntityUser) Me.UserId = enUser.UserId Me.UserName = enUser.UserName Me.Accounts = enUser.Accounts Me.Jobs = enUser.Jobs RecentTransactions = New List(Of Transaction) TotalAccountHistory = New List(Of Transaction) End Sub <DataMember()> _ <Key()> _ Public Property UserId As System.Guid <DataMember()> _ Public Property NumTransactions As Integer <DataMember()> _ <Include()> _ <Association("Summary_RecentTransactions", "UserId", "User_UserId")> _ Public Property RecentTransactions As List(Of Transaction) <DataMember()> _ <Include()> _ <Association("Summary_TotalAccountHistory", "UserId", "User_UserId")> _ Public Property TotalAccountHistory As List(Of Transaction) End Class Next, the relevant parts of the function called to return the object: Public Function GetEconomicsSummary(ByVal guidUserId As System.Guid) As EconomicsSummary Dim objOutput As New EconomicsSummary(enUser) For Each objTransaction As Transaction In (From t As Transaction In Me.ObjectContext.Transactions.Include("Account") Where t.Account.aspnet_User_UserId = guidUserId Select t Order By t.TransactionDate Descending Take 10) objTransaction.User_UserId = objOutput.UserId objOutput.RecentTransactions.Add(objTransaction) Next objOutput.NumTransactions = objOutput.RecentTransactions.Count … Return objOutput End Function Notice that I’m collecting the NumTransactions count before serialization. Should be 10 right? It is – BEFORE serialization. The DataGrid is bound to the data source as follows: <sdk:DataGrid AutoGenerateColumns="False" Height="100" MaxWidth="{Binding ElementName=aciSummary, Path=ActualWidth}" ItemsSource="{Binding Source={StaticResource EconomicsSummaryRecentTransactionsViewSource}, Mode=OneWay}" Name="gridRecentTransactions" RowDetailsVisibilityMode="VisibleWhenSelected" IsReadOnly="True"> <sdk:DataGrid.Columns> <sdk:DataGridTextColumn x:Name="TransactionDateColumn" Binding="{Binding Path=TransactionDate, StringFormat=\{0:d\}}" Header="Date" Width="SizeToHeader" /> <sdk:DataGridTextColumn x:Name="AccountNameColumn" Binding="{Binding Path=Account.Title}" Header="Account" Width="SizeToCells" /> <sdk:DataGridTextColumn x:Name="CurrencyAmountColumn" Binding="{Binding Path=CurrencyAmount, StringFormat=\{0:c\}}" Header="Amount" Width="SizeToHeader" /> <sdk:DataGridTextColumn x:Name="TitleColumn" Binding="{Binding Path=Title}" Header="Description" Width="SizeToCells" /> <sdk:DataGridTextColumn x:Name="ItemQuantityColumn" Binding="{Binding Path=ItemQuantity}" Header="Qty" Width="SizeToHeader" /> </sdk:DataGrid.Columns> </sdk:DataGrid> You might be wondering where the ItemsSource is coming from, that looks like this: <CollectionViewSource x:Key="EconomicsSummaryRecentTransactionsViewSource" Source="{Binding Path=DataView.RecentTransactions, ElementName=EconomicsSummaryDomainDataSource}" /> When I noticed that the DataGrid had the extra row I tried outputting some data after the data source finishes loading, as follows: Private Sub EconomicsSummaryDomainDataSource_LoadedData(ByVal sender As System.Object, ByVal e As System.Windows.Controls.LoadedDataEventArgs) Handles EconomicsSummaryDomainDataSource.LoadedData If e.HasError Then System.Windows.MessageBox.Show(e.Error.ToString, "Load Error", System.Windows.MessageBoxButton.OK) e.MarkErrorAsHandled() End If Dim objSummary As EconomicsSummary = CType(EconomicsSummaryDomainDataSource.Data(0), EconomicsSummary) Dim sb As New StringBuilder("") sb.AppendLine(String.Format("Num Transactions: {0} ({1})", objSummary.RecentTransactions.Count.ToString(), objSummary.NumTransactions.ToString())) For Each objTransaction As Transaction In objSummary.RecentTransactions sb.AppendLine(String.Format("Recent TransactionId {0} dated {1} CurrencyAmount {2} NewBalance {3}", objTransaction.TransactionId.ToString, objTransaction.TransactionDate.ToString("d"), objTransaction.CurrencyAmount.ToString("c"), objTransaction.NewBalance.ToString("c"))) Next txtDebug.Text = sb.ToString() End Sub Output from that looks like this: Num Transactions: 11 (10) Recent TransactionId 2283 dated 6/1/2010 CurrencyAmount $31.00 NewBalance $392.00 Recent TransactionId 2281 dated 5/31/2010 CurrencyAmount $33.00 NewBalance $361.00 Recent TransactionId 2279 dated 5/28/2010 CurrencyAmount $8.00 NewBalance $328.00 Recent TransactionId 2277 dated 5/26/2010 CurrencyAmount $22.00 NewBalance $320.00 Recent TransactionId 2275 dated 5/24/2010 CurrencyAmount $5.00 NewBalance $298.00 Recent TransactionId 2273 dated 5/21/2010 CurrencyAmount $19.00 NewBalance $293.00 Recent TransactionId 2271 dated 5/20/2010 CurrencyAmount $20.00 NewBalance $274.00 Recent TransactionId 2269 dated 5/19/2010 CurrencyAmount $48.00 NewBalance $254.00 Recent TransactionId 2267 dated 5/18/2010 CurrencyAmount $42.00 NewBalance $206.00 Recent TransactionId 2265 dated 5/14/2010 CurrencyAmount $5.00 NewBalance $164.00 Recent TransactionId 0 dated 6/1/2010 CurrencyAmount $0.00 NewBalance $361.00 So I have a few different questions: -First and foremost, where the devil is that extra Transaction entity coming from and how do I get rid of it? Does it have anything to do with the other list of Transaction entities being serialized as part of the EconomicsSummary class (TotalAccountHistory)? Do I need to decorate the EconomicsSummary class members a little more/differently? -Second, where are the peculiar values coming from on that extra entity? PRE-POSTING UPDATE 1: I did a little checking, it looks like that last entry is the first one in the TotalAccountHistory list. Do I need to do something with CollectionDataContract()? PRE-POSTING UPDATE 2: I fixed one bug in TotalAccountHistory, since the objects weren’t coming from the database their keys weren’t unique. So I set the keys on the Transaction entities inside TotalAccountHistory to be unique and guess what? Now, after deserialization RecentTransactions contains all its original items, plus every item in TotalAccountHistory. I’m pretty sure this has to do with the deserializer getting confused by two collections of the same type. But I don’t yet know how to resolve it…

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  • SQL Profiler: Read/Write units

    - by Ian Boyd
    i've picked a query out of SQL Server Profiler that says it took 1,497 reads: EventClass: SQL:BatchCompleted TextData: SELECT Transactions.... CPU: 406 Reads: 1497 Writes: 0 Duration: 406 So i've taken this query into Query Analyzer, so i may try to reduce the number of reads. But when i turn on SET STATISTICS IO ON to see the IO activity for the query, i get nowhere close to one thousand reads: Table Scan Count Logical Reads =================== ========== ============= FintracTransactions 4 20 LCDs 2 4 LCTs 2 4 FintracTransacti... 0 0 Users 1 2 MALs 0 0 Patrons 0 0 Shifts 1 2 Cages 1 1 Windows 1 3 Logins 1 3 Sessions 1 6 Transactions 1 7 Which if i do my math right, there is a total of 51 reads; not 1,497. So i assume Reads in SQL Profiler is an arbitrary metric. Does anyone know the conversion of SQL Server Profiler Reads to IO Reads? See also SQL Profiler CPU / duration unit Query Analyzer VS. Query Profiler Reads, Writes, and Duration Discrepencies

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  • Do MSDTC and disaster recovery go together?

    - by DevDelivery
    Our application writes to multiple Sql Server databases within a distributed transaction. The Ops guys are saying that this messes up their disaster recovery plan because while the transactions on the live tables may commit at the same time, the log shipping on the separate databases happen at slightly different times. So in in a disaster recovery situation, there will be a few partial transactions. Is there a method for maintaining separate but synced databases in DR? Or do we have to re-design to relatively independent databases (or a single database)?

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  • What does transaction.commit() do when the flushmode is set manual in Hibernate?

    - by wei
    Here is a block of code in the Java Persistence with Hibernate book by Christian and Gavin, Session session = getSessionFactory().openSession(); session.setFlushMode(FlushMode.MANUAL); // First step in the conversation session.beginTransaction(); Item item = (Item) session.get(Item.class, new Long(123) ); session.getTransaction().commit(); // Second step in the conversation session.beginTransaction(); Item newItem = new Item(); Long newId = (Long) session.save(newItem); // Triggers INSERT! session.getTransaction().commit(); // Roll back the conversation! session.close();//enter code here I am confused that why the first step and second step need to be wrapped into two separate transactions? Since the flushmode is set manual here, no operations (suppose we ignore the insert here) will hit the database anyway. So why bother with transactions here? thanks

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  • Dynamically Added CheckBox Column is Disabled in GridView

    - by Mark Maslar
    I'm dynamically adding a Boolean column to a DataSet. The DataSet's table is the DataSource for a GridView, which AutoGenerates the columns. Issue: The checkboxes for this dynamically generated column are all disabled. How can I enable them? ds.Tables["Transactions"].Columns.Add("Retry", typeof(System.Boolean)); ds.Tables["Transactions"].Columns["Retry"].ReadOnly = false; In other words, how can I control how GridView generates the CheckBoxes for a Boolean field? (And why does setting ReadOnly to False have no effect?) Thanks!

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  • iPhone In-App Purchase Store Kit error -1003 "Cannot connect to iTunes Store"

    - by Rei
    Hi all- I've been working on adding in-app purchases and was able to create and test in-app purchases using Store Kit (yay!). During testing, I exercised my app in a way which caused the app to crash mid purchase (so I guess the normal cycle of receiving paymentQueue:updatedTransactions and calling finishTransaction was interrupted). Now I am unable to successfully complete any transactions and instead am getting only transactions with transactionState SKPaymentTransactionStateFailed when paymentQueue:updatedTransactions is called. The transaction.error.code is -1003 and the transaction.error.localizedDescription is "Cannot connect to iTunes Store"! I have tried removing all products from iTunesConnect, and rebuilt them using different identifiers but that did not help. I have also tried using the App Store app to really connect to the real App Store and download some apps so I do have connectivity. Finally, I have visited the Settings:Store app to make sure I am signed out of my normal app store account. Any ideas? -Rei

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  • Best solution for reporting database

    - by zzyzx
    Here is the situation: There is a transaction intensive database - used for both routine transactions and reports. I was wondering if I could isolate these two operations and 2 independent databases, so reports could run off of one database and all the transactions could occur in another one. This would improve performance for the OLTP SQL database. I have gone over a few options like, Mirroring, Log shipping, Replication, Snapshots, Clustering - but would like to discuss the best possible strategy for the desired result. Please advise the best solution to implement this strategy, or any other thoughts/suggestion you may have.

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  • Are there any tools to help the user to design a State Machine to be consumed by my application?

    - by kolrie
    When reading this question I remembered there was something I have been researching for a while now and I though Stackoverflow could be of help. I have created a framework that handles applications as state machines. Currently all the state business logic and transactions are handled via Java code. I was looking for some UI implementation that would allow the user to draw the state machines and transactions and generate a file that can later on be consumed by my framework to "run" the workflow according to one or more defined state machines. Ideally I would like to use an open standard like SCXML. The goal as the UI would be to have something like this plugin IBM have for Rational Software Architect: Do you know any editor, plugin or library that would have something similar or at least serve as a good starting point?

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  • Graphical database monitoring tool for debugging

    - by salle55
    I would love a tool that in real-time showed changes in a set of predefined tables in a graphical way, for example different colors on fields that has changed value, added records, deleted records etc. I don't want a list of all transactions (like SQL Server Profiler), instead a clever visualized more graphical approach where you can get a great overview if you are just monitoring a few tables. I realize the visualization would be hard if there is a lot of transactions against the database, but with monitoring on a few tables and a single session during debugging it would be possible. Does something like this exist? I think it would be great for debugging! Preferably for SQL Server and/or MySQL.

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  • better way to write this

    - by ash34
    Hi, I have to create a hash of the form h[:bill] = ["Billy", "NA", 20, "PROJ_A"] by login where 20 is the cumulative number of hours reported by the login for all task transactions returned by the query where each login has multiple reported transactions. Did I do this in a bad way or this seems alright. h = Hash.new Task.find_each(:include => [:user], :joins => :user, :conditions => ["from_date >= ? AND from_date <= ? AND category = ?", Date.today - 30, Date.today + 30, 'PROJ1']) do |t| h[t.login.intern] = [t.user.name, 'NA', h[t.login.intern].nil? ? (t.hrs_per_day * t.num_days) : h[t.login.intern][2] + (t.hrs_day * t.workdays), t.category] end Also if I have to aggregate not just by login but login and category how do I accomplish this? thanks, ash

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  • Should integration testing of DAOs be done in an application server?

    - by HDave
    I have a three tier application under development and am creating integration tests for DAOs in the persistence layer. When the application runs in Websphere or JBoss I expect to use the connection pooling and transaction manager of those application servers. When the application runs in Tomcat or Jetty, we'll be using C3P0 for pooling and Atomikos for transactions. Because of these different subsystems, should the DAO's be tested in a fully configured application server environment or should we handle those concerns when integration testing the service layer? Currently we plan on setting up a simple JDBC data source with non-JTA (i.e. resource-local) transactions for DAO integration testing, thus no application server is involved....but this leaves me wondering about environmental problems we won't uncover.

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  • Consolidate loan, purchase & sale tables into one transaction table.

    - by Frank Computer
    INFORMIX-SE with ISQL 7.3: I have separate tables for Loan, Purchase & Sales transactions. Each tables rows are joined to their respective customer rows by: customer.id [serial] = loan.foreign_id [integer]; = purchase.foreign_id [integer]; = sale.foreign_id [integer]; I would like to consolidate the three tables into one table called "transaction", where a column: transaction.trx_type char(1) {L=Loan, P=Purchase, S=Sale} identifies the transaction type. Each transaction will be assigned a unique transaction number [serial]. Is this a good idea or is it better to keep them in separate tables? Storage space is not a concern, I think it would be easier programming & user-wise to have all types of transactions under one table, whenever possible. This implies denormalization.

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  • SQL IDENTITY COLUMN

    - by andreas
    Hey guys i am have an sql table which is basically a statement. Now lest say the records i have in my table have a date and an identity column which is autonumbered and defines the order which the transactions are displayed in the front end to the client. The issue is during an insert some of the data have gone missing and some transactions between two dates are missing. I need to insert the data into the table but i need to insert them between the dates and not at the end of the table.If i do a a normal insert now the data will appear at the end of the table and not at the date i specify because the identity column is autonumbered and cannot be updated. Thanks

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  • Using a "vo" for joined data?

    - by keithjgrant
    I'm building a small financial system. Because of double-entry accounting, transactions always come in batches of two or more, so I've got a batch table and a transaction table. (The transaction table has batch_id, account_id, and amount fields, and shared data like date and description are relegated to the batch table). I've been using basic vo-type models for each table so far. Because of this table structure structure, though, transactions will almost always be selected with a join on the batch table. So should I take the selected records and splice them into two separate vo objects, or should I create a "shared" vo that contains both batch and transaction data? There are a few cases in which batch records and/or transaction records. Are there possible pitfalls down the road if I have "overlapping" vo classes?

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  • Process every pair in a sequence

    - by Henry Jackson
    I'm looking for a concise way to process every (unordered) pair of elements in a sequence in .NET. I know I can do it with nested foreach loops, but I was looking for something a little more readable. I was imagining something like a modified Any() extension method: IEnumerable<Transaction> transactions = ... if (transactions.AnyPair( (first, second) => first.UniqueID == second.UniqueID)) throw ... Or maybe a foreach-style one: IEnumerable<JigsawPiece> pieces = ... pieces.ForEachPair( (first, second) => { TryFit(first, second); }); This question has been asked for other languages (e.g. see http://stackoverflow.com/questions/942543/operation-on-every-pair-of-element-in-a-list), but I'm looking for a .NET solution.

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