Search Results

Search found 18003 results on 721 pages for 'nidhinzz own'.

Page 384/721 | < Previous Page | 380 381 382 383 384 385 386 387 388 389 390 391  | Next Page >

  • Tracking Google Analytics events with server side request automation

    - by Esko
    I'm currently in the process of programming an utility which generates GA tracking pixel (utm.gif) URL:s based on given parameters. For those of you who are wondering why I'm doing this on the server side, I need to do this server side since the context which I'm going to start tracking simply doesn't support JavaScript and as such ga.js is completely useless to me. I have managed to get it working otherwise quite nicely but I've hit a snag: I can't track events or custom variables because I have no idea how exactly the utme parameter's value should be structured to form a valid event or var type hit. GA's own documentation on this parameter isn't exactly that great, either. I've tried everything from Googling without finding anything (which I find ironic) to reverse engineering ga.js, unfortunately it's minified and quite unreadable because of that. The "mobile" version of GA didn't help either since officially GA mobile doesn't support events nor vars. To summarize, what is the format of the utme parameter for page hit types event and custom variable?

    Read the article

  • CSS rules help - layout and menu

    - by NachoF
    Im trying to use this template for a webapp Im making (I really suck at css so I have to use templates). I have two questions with it... I deleted all of the content of the "#content" div and added my own content... the problem is that since its not as long as the original content the header comes up and is now on top of the sidebars....how can I make the header stay on the bottom of the page?? My second question is, what would be the easiest way to add sidebar subitems that slide-right on hover...?? Thanks in advance

    Read the article

  • Trying to run WCF web service on non-domain VM, Security Errors

    - by NealWalters
    Am I in a Catch-22 situation here? My goal is to take a WCF service that I inherited, and run it on a VM and test it by calling it from my desktop PC. The VM is in a workgroup, and not in the company's domain. Basically, we need more test environments, ideally one per developer (we may have 2 to 4 people that need this). Thus the idea of the VM was that each developer could have his own web server that somewhat matches or real environment (where we actually have two websites, an external/exposed and internal). [Using VS2010 .NET 4.0] In the internal service, each method was decorated with this attribute: [OperationBehavior(Impersonation = ImpersonationOption.Required)] I'm still researching why this was needed. I think it's because a webapp calls the "internal" service, and either a) we need the credentials of the user, or b) we may doing some PrinciplePermission.Demands to see if the user is in a group. My interest is creating some ConsoleTest programs or UnitTest programs. I changed to allowed like this: [OperationBehavior(Impersonation = ImpersonationOption.Allowed)] because I was getting this error in trying to view the .svc in the browser: The contract operation 'EditAccountFamily' requires Windows identity for automatic impersonation. A Windows identity that represents the caller is not provided by binding ('WSHttpBinding','http://tempuri.org/') for contract ('IAdminService','http://tempuri.org/'. I don't get that error with the original bindings look like this: However, I believe I need to turn off this security since the web service is not on the domain. I tend to get these errors in the client: 1) The request for security token could not be satisfied because authentication failed - as an InnerException of "SecurityNegotiation was unhandled". or 2) The caller was not authenticated by the service as an InnerException of "SecurityNegotiation was unhandled". So can I create some configuration of code and web.config that will allow each developer to work on his own VM? Or must I join the VM to the domain? The number of permutations seems near endless. I've started to create a Word.doc that says what to do with each error, but now I'm in the catch-22 where I'm stuck. Thanks, Neal Server Bindings: <bindings> <wsHttpBinding> <binding name="wsHttpEndpointBinding" maxBufferPoolSize="2147483647" maxReceivedMessageSize="500000000"> <readerQuotas maxDepth="2147483647" maxStringContentLength="2147483647" maxArrayLength="2147483647" maxBytesPerRead="2147483647" maxNameTableCharCount="2147483647" /> <!-- <security mode="None" /> This is one thing I tried --> <security> <message clientCredentialType="Windows" /> </security> </binding> </wsHttpBinding> </bindings> <behaviors> <serviceBehaviors> <behavior name="ABC.AdminService.AdminServiceBehavior"> <!-- To avoid disclosing metadata information, set the value below to false and remove the metadata endpoint above before deployment --> <serviceMetadata httpGetEnabled="true" /> <!-- To receive exception details in faults for debugging purposes, set the value below to true. Set to false before deployment to avoid disclosing exception information --> <serviceDebug includeExceptionDetailInFaults="true" /> <serviceCredentials> </serviceCredentials> <!--<serviceAuthorization principalPermissionMode="UseAspNetRoles" roleProviderName="AspNetWindowsTokenRoleProvider"/>--> <serviceAuthorization principalPermissionMode="UseWindowsGroups" impersonateCallerForAllOperations="true" /> </behavior> <behavior name="ABC.AdminService.IAdminServiceTransportBehavior"> <!-- To avoid disclosing metadata information, set the value below to false and remove the metadata endpoint above before deployment --> <serviceMetadata httpGetEnabled="true" /> <!-- To receive exception details in faults for debugging purposes, set the value below to true. Set to false before deployment to avoid disclosing exception information --> <serviceDebug includeExceptionDetailInFaults="false" /> <serviceCredentials> <clientCertificate> <authentication certificateValidationMode="PeerTrust" /> </clientCertificate> <serviceCertificate findValue="WCfServer" storeLocation="LocalMachine" storeName="My" x509FindType="FindBySubjectName" /> </serviceCredentials> </behavior> </serviceBehaviors> </behaviors> <serviceHostingEnvironment multipleSiteBindingsEnabled="true" /> CLIENT: <system.serviceModel> <bindings> <wsHttpBinding> <binding name="WSHttpBinding_IAdminService" closeTimeout="00:01:00" openTimeout="00:01:00" receiveTimeout="00:10:00" sendTimeout="00:01:00" bypassProxyOnLocal="false" transactionFlow="false" hostNameComparisonMode="StrongWildcard" maxBufferPoolSize="524288" maxReceivedMessageSize="65536" messageEncoding="Text" textEncoding="utf-8" useDefaultWebProxy="true" allowCookies="false"> <readerQuotas maxDepth="32" maxStringContentLength="8192" maxArrayLength="16384" maxBytesPerRead="4096" maxNameTableCharCount="16384" /> <reliableSession ordered="true" inactivityTimeout="00:10:00" enabled="false" /> <security mode="Message"> <transport clientCredentialType="Windows" proxyCredentialType="None" realm="" /> <message clientCredentialType="Windows" negotiateServiceCredential="true" algorithmSuite="Default" /> </security> </binding> </wsHttpBinding> </bindings> <client> <endpoint address="http://192.168.159.132/EC_AdminService/AdminService.svc" binding="wsHttpBinding" bindingConfiguration="WSHttpBinding_IAdminService" contract="svcRef.IAdminService" name="WSHttpBinding_IAdminService"> <identity> <dns value="localhost" /> </identity> </endpoint> </client> </system.serviceModel>

    Read the article

  • Nested function inside literal Object...

    - by Andrea
    Hello guys, if in a literal object i try to reference a function using "this" inside a nested property/function, this don't work. Why? A nested property have it's own scope? For example, i want to call f1 from inside d.f2: var object = { a: "Var a", b: "Var b", c: "Var c", f1: function() { alert("This is f1"); }, d: { f2: function() { this.f1(); } }, e: { f3: function() { alert("This is f3"); } } } object.f1(); // Work object.d.f2(); // Don't Work. object.e.f3(); // Work Thanks, Andrea.

    Read the article

  • Currency Conversion in Oracle BI applications

    - by Saurabh Verma
    Authored by Vijay Aggarwal and Hichem Sellami A typical data warehouse contains Star and/or Snowflake schema, made up of Dimensions and Facts. The facts store various numerical information including amounts. Example; Order Amount, Invoice Amount etc. With the true global nature of business now-a-days, the end-users want to view the reports in their own currency or in global/common currency as defined by their business. This presents a unique opportunity in BI to provide the amounts in converted rates either by pre-storing or by doing on-the-fly conversions while displaying the reports to the users. Source Systems OBIA caters to various source systems like EBS, PSFT, Sebl, JDE, Fusion etc. Each source has its own unique and intricate ways of defining and storing currency data, doing currency conversions and presenting to the OLTP users. For example; EBS stores conversion rates between currencies which can be classified by conversion rates, like Corporate rate, Spot rate, Period rate etc. Siebel stores exchange rates by conversion rates like Daily. EBS/Fusion stores the conversion rates for each day, where as PSFT/Siebel store for a range of days. PSFT has Rate Multiplication Factor and Rate Division Factor and we need to calculate the Rate based on them, where as other Source systems store the Currency Exchange Rate directly. OBIA Design The data consolidation from various disparate source systems, poses the challenge to conform various currencies, rate types, exchange rates etc., and designing the best way to present the amounts to the users without affecting the performance. When consolidating the data for reporting in OBIA, we have designed the mechanisms in the Common Dimension, to allow users to report based on their required currencies. OBIA Facts store amounts in various currencies: Document Currency: This is the currency of the actual transaction. For a multinational company, this can be in various currencies. Local Currency: This is the base currency in which the accounting entries are recorded by the business. This is generally defined in the Ledger of the company. Global Currencies: OBIA provides five Global Currencies. Three are used across all modules. The last two are for CRM only. A Global currency is very useful when creating reports where the data is viewed enterprise-wide. Example; a US based multinational would want to see the reports in USD. The company will choose USD as one of the global currencies. OBIA allows users to define up-to five global currencies during the initial implementation. The term Currency Preference is used to designate the set of values: Document Currency, Local Currency, Global Currency 1, Global Currency 2, Global Currency 3; which are shared among all modules. There are four more currency preferences, specific to certain modules: Global Currency 4 (aka CRM Currency) and Global Currency 5 which are used in CRM; and Project Currency and Contract Currency, used in Project Analytics. When choosing Local Currency for Currency preference, the data will show in the currency of the Ledger (or Business Unit) in the prompt. So it is important to select one Ledger or Business Unit when viewing data in Local Currency. More on this can be found in the section: Toggling Currency Preferences in the Dashboard. Design Logic When extracting the fact data, the OOTB mappings extract and load the document amount, and the local amount in target tables. It also loads the exchange rates required to convert the document amount into the corresponding global amounts. If the source system only provides the document amount in the transaction, the extract mapping does a lookup to get the Local currency code, and the Local exchange rate. The Load mapping then uses the local currency code and rate to derive the local amount. The load mapping also fetches the Global Currencies and looks up the corresponding exchange rates. The lookup of exchange rates is done via the Exchange Rate Dimension provided as a Common/Conforming Dimension in OBIA. The Exchange Rate Dimension stores the exchange rates between various currencies for a date range and Rate Type. Two physical tables W_EXCH_RATE_G and W_GLOBAL_EXCH_RATE_G are used to provide the lookups and conversions between currencies. The data is loaded from the source system’s Ledger tables. W_EXCH_RATE_G stores the exchange rates between currencies with a date range. On the other hand, W_GLOBAL_EXCH_RATE_G stores the currency conversions between the document currency and the pre-defined five Global Currencies for each day. Based on the requirements, the fact mappings can decide and use one or both tables to do the conversion. Currency design in OBIA also taps into the MLS and Domain architecture, thus allowing the users to map the currencies to a universal Domain during the implementation time. This is especially important for companies deploying and using OBIA with multiple source adapters. Some Gotchas to Look for It is necessary to think through the currencies during the initial implementation. 1) Identify various types of currencies that are used by your business. Understand what will be your Local (or Base) and Documentation currency. Identify various global currencies that your users will want to look at the reports. This will be based on the global nature of your business. Changes to these currencies later in the project, while permitted, but may cause Full data loads and hence lost time. 2) If the user has a multi source system make sure that the Global Currencies and Global Rate Types chosen in Configuration Manager do have the corresponding source specific counterparts. In other words, make sure for every DW specific value chosen for Currency Code or Rate Type, there is a source Domain mapping already done. Technical Section This section will briefly mention the technical scenarios employed in the OBIA adaptors to extract data from each source system. In OBIA, we have two main tables which store the Currency Rate information as explained in previous sections. W_EXCH_RATE_G and W_GLOBAL_EXCH_RATE_G are the two tables. W_EXCH_RATE_G stores all the Currency Conversions present in the source system. It captures data for a Date Range. W_GLOBAL_EXCH_RATE_G has Global Currency Conversions stored at a Daily level. However the challenge here is to store all the 5 Global Currency Exchange Rates in a single record for each From Currency. Let’s voyage further into the Source System Extraction logic for each of these tables and understand the flow briefly. EBS: In EBS, we have Currency Data stored in GL_DAILY_RATES table. As the name indicates GL_DAILY_RATES EBS table has data at a daily level. However in our warehouse we store the data with a Date Range and insert a new range record only when the Exchange Rate changes for a particular From Currency, To Currency and Rate Type. Below are the main logical steps that we employ in this process. (Incremental Flow only) – Cleanup the data in W_EXCH_RATE_G. Delete the records which have Start Date > minimum conversion date Update the End Date of the existing records. Compress the daily data from GL_DAILY_RATES table into Range Records. Incremental map uses $$XRATE_UPD_NUM_DAY as an extra parameter. Generate Previous Rate, Previous Date and Next Date for each of the Daily record from the OLTP. Filter out the records which have Conversion Rate same as Previous Rates or if the Conversion Date lies within a single day range. Mark the records as ‘Keep’ and ‘Filter’ and also get the final End Date for the single Range record (Unique Combination of From Date, To Date, Rate and Conversion Date). Filter the records marked as ‘Filter’ in the INFA map. The above steps will load W_EXCH_RATE_GS. Step 0 updates/deletes W_EXCH_RATE_G directly. SIL map will then insert/update the GS data into W_EXCH_RATE_G. These steps convert the daily records in GL_DAILY_RATES to Range records in W_EXCH_RATE_G. We do not need such special logic for loading W_GLOBAL_EXCH_RATE_G. This is a table where we store data at a Daily Granular Level. However we need to pivot the data because the data present in multiple rows in source tables needs to be stored in different columns of the same row in DW. We use GROUP BY and CASE logic to achieve this. Fusion: Fusion has extraction logic very similar to EBS. The only difference is that the Cleanup logic that was mentioned in step 0 above does not use $$XRATE_UPD_NUM_DAY parameter. In Fusion we bring all the Exchange Rates in Incremental as well and do the cleanup. The SIL then takes care of Insert/Updates accordingly. PeopleSoft:PeopleSoft does not have From Date and To Date explicitly in the Source tables. Let’s look at an example. Please note that this is achieved from PS1 onwards only. 1 Jan 2010 – USD to INR – 45 31 Jan 2010 – USD to INR – 46 PSFT stores records in above fashion. This means that Exchange Rate of 45 for USD to INR is applicable for 1 Jan 2010 to 30 Jan 2010. We need to store data in this fashion in DW. Also PSFT has Exchange Rate stored as RATE_MULT and RATE_DIV. We need to do a RATE_MULT/RATE_DIV to get the correct Exchange Rate. We generate From Date and To Date while extracting data from source and this has certain assumptions: If a record gets updated/inserted in the source, it will be extracted in incremental. Also if this updated/inserted record is between other dates, then we also extract the preceding and succeeding records (based on dates) of this record. This is required because we need to generate a range record and we have 3 records whose ranges have changed. Taking the same example as above, if there is a new record which gets inserted on 15 Jan 2010; the new ranges are 1 Jan to 14 Jan, 15 Jan to 30 Jan and 31 Jan to Next available date. Even though 1 Jan record and 31 Jan have not changed, we will still extract them because the range is affected. Similar logic is used for Global Exchange Rate Extraction. We create the Range records and get it into a Temporary table. Then we join to Day Dimension, create individual records and pivot the data to get the 5 Global Exchange Rates for each From Currency, Date and Rate Type. Siebel: Siebel Facts are dependent on Global Exchange Rates heavily and almost none of them really use individual Exchange Rates. In other words, W_GLOBAL_EXCH_RATE_G is the main table used in Siebel from PS1 release onwards. As of January 2002, the Euro Triangulation method for converting between currencies belonging to EMU members is not needed for present and future currency exchanges. However, the method is still available in Siebel applications, as are the old currencies, so that historical data can be maintained accurately. The following description applies only to historical data needing conversion prior to the 2002 switch to the Euro for the EMU member countries. If a country is a member of the European Monetary Union (EMU), you should convert its currency to other currencies through the Euro. This is called triangulation, and it is used whenever either currency being converted has EMU Triangulation checked. Due to this, there are multiple extraction flows in SEBL ie. EUR to EMU, EUR to NonEMU, EUR to DMC and so on. We load W_EXCH_RATE_G through multiple flows with these data. This has been kept same as previous versions of OBIA. W_GLOBAL_EXCH_RATE_G being a new table does not have such needs. However SEBL does not have From Date and To Date columns in the Source tables similar to PSFT. We use similar extraction logic as explained in PSFT section for SEBL as well. What if all 5 Global Currencies configured are same? As mentioned in previous sections, from PS1 onwards we store Global Exchange Rates in W_GLOBAL_EXCH_RATE_G table. The extraction logic for this table involves Pivoting data from multiple rows into a single row with 5 Global Exchange Rates in 5 columns. As mentioned in previous sections, we use CASE and GROUP BY functions to achieve this. This approach poses a unique problem when all the 5 Global Currencies Chosen are same. For example – If the user configures all 5 Global Currencies as ‘USD’ then the extract logic will not be able to generate a record for From Currency=USD. This is because, not all Source Systems will have a USD->USD conversion record. We have _Generated mappings to take care of this case. We generate a record with Conversion Rate=1 for such cases. Reusable Lookups Before PS1, we had a Mapplet for Currency Conversions. In PS1, we only have reusable Lookups- LKP_W_EXCH_RATE_G and LKP_W_GLOBAL_EXCH_RATE_G. These lookups have another layer of logic so that all the lookup conditions are met when they are used in various Fact Mappings. Any user who would want to do a LKP on W_EXCH_RATE_G or W_GLOBAL_EXCH_RATE_G should and must use these Lookups. A direct join or Lookup on the tables might lead to wrong data being returned. Changing Currency preferences in the Dashboard: In the 796x series, all amount metrics in OBIA were showing the Global1 amount. The customer needed to change the metric definitions to show them in another Currency preference. Project Analytics started supporting currency preferences since 7.9.6 release though, and it published a Tech note for other module customers to add toggling between currency preferences to the solution. List of Currency Preferences Starting from 11.1.1.x release, the BI Platform added a new feature to support multiple currencies. The new session variable (PREFERRED_CURRENCY) is populated through a newly introduced currency prompt. This prompt can take its values from the xml file: userpref_currencies_OBIA.xml, which is hosted in the BI Server installation folder, under :< home>\instances\instance1\config\OracleBIPresentationServicesComponent\coreapplication_obips1\userpref_currencies.xml This file contains the list of currency preferences, like“Local Currency”, “Global Currency 1”,…which customers can also rename to give them more meaningful business names. There are two options for showing the list of currency preferences to the user in the dashboard: Static and Dynamic. In Static mode, all users will see the full list as in the user preference currencies file. In the Dynamic mode, the list shown in the currency prompt drop down is a result of a dynamic query specified in the same file. Customers can build some security into the rpd, so the list of currency preferences will be based on the user roles…BI Applications built a subject area: “Dynamic Currency Preference” to run this query, and give every user only the list of currency preferences required by his application roles. Adding Currency to an Amount Field When the user selects one of the items from the currency prompt, all the amounts in that page will show in the Currency corresponding to that preference. For example, if the user selects “Global Currency1” from the prompt, all data will be showing in Global Currency 1 as specified in the Configuration Manager. If the user select “Local Currency”, all amount fields will show in the Currency of the Business Unit selected in the BU filter of the same page. If there is no particular Business Unit selected in that filter, and the data selected by the query contains amounts in more than one currency (for example one BU has USD as a functional currency, the other has EUR as functional currency), then subtotals will not be available (cannot add USD and EUR amounts in one field), and depending on the set up (see next paragraph), the user may receive an error. There are two ways to add the Currency field to an amount metric: In the form of currency code, like USD, EUR…For this the user needs to add the field “Apps Common Currency Code” to the report. This field is in every subject area, usually under the table “Currency Tag” or “Currency Code”… In the form of currency symbol ($ for USD, € for EUR,…) For this, the user needs to format the amount metrics in the report as a currency column, by specifying the currency tag column in the Column Properties option in Column Actions drop down list. Typically this column should be the “BI Common Currency Code” available in every subject area. Select Column Properties option in the Edit list of a metric. In the Data Format tab, select Custom as Treat Number As. Enter the following syntax under Custom Number Format: [$:currencyTagColumn=Subjectarea.table.column] Where Column is the “BI Common Currency Code” defined to take the currency code value based on the currency preference chosen by the user in the Currency preference prompt.

    Read the article

  • serverside controls vs html controls from AJAX point of view

    - by devmania
    hi, i know this question have been mentioned alot here but mine is a little more updated, now with ASP.net 4 and new Ajax client templating plus JASON services. so if i got all these new capabilities will i really need server side controls as long as i can bind on client side, create data-views on client side heck i can even use data-context and apply CRUD operations on clients side. so i actually i wont need button_click server side event or what so ever... i am asking this because i own some commercial Controls like Telerik and Component art and they both offer client side operations ow but still i am confused as to my knowledge creating these controls will still have to go through Page Life cycle please advise me.

    Read the article

  • Python Comet Server

    - by HenryL
    I am building a web application that has a real-time feed (similar to Facebook's newsfeed) that I want to update via a long-polling mechanism. I understand that with Python, my choices are pretty much to either use Stackless (building from their Comet wsgi example) or Cometd + Twisted. Unfortunately there is very little documentation regarding these options and I cannot find good information online about production scale users of comet on Python. Has anyone successfully implemented comet on Python in a production system? How did you go about doing it and where can I find resources to implement my own?

    Read the article

  • How to refactor large projects in visual studio

    - by Aaron
    I always run into a problem where my projects in Visual Studio (2008) become huge monstrosities and everything is generally thrown into a Web Application project. I know from checking out some open source stuff that they tend to have multiple projects within a solution, each with their own responsibilities. Does anyone have any advice for how to refactor this out? What should be in a separate project vs. part of the web project? Can you point me to any reference materials on the subject, or is it just something you become accustomed to with time?

    Read the article

  • How do I use waf to build a shared library?

    - by James Morris
    I want to build a shared library using waf as it looks much easier and less cluttered than GNU autotools. I actually have several questions so far related to the wscript I've started to write: VERSION='0.0.1' APPNAME='libmylib' srcdir = '.' blddir = 'build' def set_options(opt): opt.tool_options('compiler_cc') pass def configure(conf): conf.check_tool('compiler_cc') conf.env.append_value('CCFLAGS', '-std=gnu99 -Wall -pedantic -ggdb') def build(bld): bld.new_task_gen( features = 'cc cshlib', source = '*.c', target='libmylib') The line containing source = '*.c' does not work. Must I specify each and every .c file instead of using a wildcard? How can I enable a debug build for example (currently the wscript is using the debug builds CFLAGS, but I want to make this optional for the end user). It is planned for the library sources to be within a sub directory, and programs that use the lib each in their own sub directories.

    Read the article

  • TransactionScope and Connection Pooling

    - by Graham
    Hi, I'm trying to get a handle on whether we have a problem in our application with database connections using incorrect IsolationLevels. Our application is a .Net 3.5 database app using SQL Server 2005. I've discovered that the IsolationLevel of connections are not reset when they are returned to the connection pool (see here) and was also really surprised to read in this blog post that each new TransactionScope created gets its own connection pool assigned to it. Our database updates (via our business objects) take place within a TransactionScope (a new one is created for each business object graph update). But our fetches do not use an explicit transaction. So what I'm wondering is could we ever get into the situation where our fetch operations (which should be using the default IsolationLevel - Read Committed) would reuse a connection from the pool which has been used for an update, and inherit the update IsolationLevel (RepeatableRead)? Or would our updates be guaranteed to use a different connection pool seeing as they are wrapped in a TransactionScope? Thanks in advance, Graham

    Read the article

  • Certificate Trust Lists and IIS7

    - by Neil Deadman
    I need to generate a CTL for use with IIS7. I generated a CTL file using MakeCTL (on Win2k3 SDK) and put only my own RootCA certificate in the CTL. However, when I then use adsutil.vbs to set my website to use this CTL, I get: ErrNumber: -2147023584 (0x80070520) Error Trying To SET the Property: SslCtlIdentifier I'm using adsutil.vbs like this: cscript adsutil.vbs set w3svc/2/SslCtlIdentifier where is the friendly name of the CTL The problem is, I am not able to set a friendly name. At the end of the wizard it says "Friendly Name: ". In IIS6 I can create a CTL with a friendly name (showing in Certificates MMC) but if I export it from there, when I import it, it no longer has a friendly name. Can anyone show me how to do it please?

    Read the article

  • Database design - alternatives for Entity Attribute Value (EAV)

    - by Bob
    Hi, see http://stackoverflow.com/questions/695752/product-table-many-kinds-of-product-each-product-has-many-parameters for similar topic. My question: i want to design a database, that will be used for a production facility of different types of products where each product has its own (number of) parameters. because i want the serial numbers to be in one tabel for overview purposes i have a problem with these different paraeters . One solution could be EAV, but it has its downsides, certainly because we have +- 5 products with every product +- 20.000 serial numbers (records). it looks a bit overkill to me... I just don't know how one could design a database so that you have an attribute in a mastertable that says: 'hey, you could find details of this record in THAT detail-table". 'in a way that you qould easely query the results) currenty i am using Visual Basic & Acces 2007. but i'm going to Visual Basic & MySQL. thanks for your help. Bob

    Read the article

  • Difference between Setting.settings and web.config?

    - by Muneeb
    This might sound a bit dumb. I always had this impression that web.config should store all settings which are suspect to change post-build and setting.settings should have the one which may change pre-build. but I have seen projects which had like connection string in setting.settings. Connection Strings should always been in web.config, shouldnt it? I am interested in a design perspective answer. Just a bit of background: My current scenario is that I am developing a web application with all the three tiers abstracted in three separate visual studio projects thus every tier has its own .settings and .config file.

    Read the article

  • Extending Perforce to use a custom content diff tool for certain file extensions

    - by Fraser Graham
    I have various custom binary files stored in perforce and for many of the file types I have built a custom diff tool to show the content creators a diff of the actual changes to the file. E.g. If the file holds simple key value pairs as a compressed binary blob the diff tool would load each version into an in memory format and generate a list of additions, deletions and edits to the file presented in a nice clean report view. Much like the built in image diff tool in P4V i'd like to be able to use my own diff tool for certain file extensions within my depot and allow the users to use the existing P4V interface to pick revisions to diff between and examine history. So, I am aware you can write add-ins to P4V but I can't find any documentation on it and I'd like to know if this kind of extension functionality is available in P4V and how to use it?

    Read the article

  • Changing UIImageView animation speed

    - by Nikolas Stephan
    I am using the UIImageView to animate a bunch of images. I know that I can change the speed by altering animationDuration, but that doesn't seem to take effect until the animation is restarted. My problem is that beside not really wanting to have to restart the animation as this limits me to only being able to change the speed once per cycle, there also doesn't seem to be a way to find out what frame is currently being shown and I would therefore have to rely on a timer to "guess" which one it is. So my question is whether there is a way to change the speed without restarting the animation and if not is there some way I could avoid the aforementioned problem? I'm not too keen to write my own animation class, but may end up having to if there isn't a nicer solution.

    Read the article

  • TreeView inside AutoCompleteBox's popup

    - by Satumba
    Hi, Inspired by this post, I'm trying to use a TreeView inside the AutoCompleteBox's popup in order to show hierarchical data. Here's what i did: I Made my own TreeView that implements ISelectionAdapter (not sure it's perfect) Edit AutoCompleteBox template and change the selector to my treeview Try Bind my ViewModel to it Unfortunately this is not working. i checked my new TreeView with the same binding to the same object and it works prefectly when it's outside of a AutoCompleteBox template. Any idea? any special way to implement ISelectionAdapter for treeview? did i missed something? couldn't find any example for it on the web... Thanks.

    Read the article

  • Dotrine::Zend::How generate new doctrine models without delete doctrine models classes with my code

    - by Yosef
    Hi, I build zend app with doctrine. The problem is when i add new tables to database and I should generate doctrine models, because I add my own code to Doctine generated classes- I dont wont to delete them. I solve this problem like that: 1. copy old generated doctine models classes to other folder 2. generate doctrine models from database 3. remove same new doctrine models class with old I think my solution stupied, but i cant think about something else. Please help me, Thanks, Yosef

    Read the article

  • C#: How to set AsyncWaitHandle in Compact Framework?

    - by Thorsten Dittmar
    Hi, I'm using a TcpClient in one of my Compact Framework 2.0 applications. I want to receive some information from a TCP server. As the Compact Framework does not support the timeout mechanisms of the "large" framework, I'm trying to implement my own timeout-thing. Basically, I want to do the following: IAsyncResult result = client.BeginRead(buffer, 0, size, ..., stream); if (!result.AsyncWaitHandle.WaitOne(5000, false)) // Handle timeout private void ReceiveFinished(IAsyncResult ar) { NetworkStream stream = (NetworkStream)ar.AsyncState; int numBytes = stream.EndRead(ar); // SIGNAL IASYNCRESULT.ASYNCWAITHANDLE HERE ... HOW?? } I'd like to call Set for the IAsyncResult.AsyncWaitHandle, but it doesn't have such a method and I don't know which implementation to cast it to. How do I set the wait handle? Or is it automatically set by calling EndRead? The documentation suggests that I'd have to call Set myself... Thanks for any help!

    Read the article

  • Getting Rails Application Running Under IronRuby Rack

    - by NotMyself
    Anyone else playing with ironruby? I have successfully got the IronRuby.Rails.Example project running on my local machine under IIS 5.1. I am now attempting to get my own demo rails site running in the same way. My web.config is slightly different from the example project. I am attempting to only use what was distributed with IronRuby 1.0 and what I have installed using gems. I am getting the following error which doesn't give me a lot to go on: D:/demo/config/boot.rb:66:in `exit': exit (SystemExit) After trying many different things, I think it is having a problem finding gems. I have attached my web config and ironrack.log. Does anyone have pointers on what I am doing wrong? Thanks! <?xml version="1.0"?> <configuration> <configSections> <!-- custom configuration section for DLR hosting --> <section name="microsoft.scripting" type="Microsoft.Scripting.Hosting.Configuration.Section, Microsoft.Scripting" requirePermission="false"/> </configSections> <system.webServer> <handlers> <!-- clear all other handlers first. Don't do this if you have other handlers you want to run --> <clear/> <!-- This hooks up the HttpHandler which will dispatch all requests to Rack --> <add name="IronRuby" path="*" verb="*" type="IronRuby.Rack.HttpHandlerFactory, IronRuby.Rack" resourceType="Unspecified" requireAccess="Read" preCondition="integratedMode"/> </handlers> </system.webServer> <system.web> <!-- make this true if you want to debug any of the DLR code, IronRuby.Rack, or your own managed code --> <compilation debug="true"/> <httpHandlers> <!-- clear all other handlers first. Don't do this if you have other handlers you want to run --> <clear/> <!-- This hooks up the HttpHandler which will dispatch all requests to Rack --> <add path="*" verb="*" type="IronRuby.Rack.HttpHandlerFactory, IronRuby.Rack" /> </httpHandlers> </system.web> <!-- DLR configuration. Set debugMode to "true" if you want to debug your dynamic language code with VS --> <microsoft.scripting debugMode="false"> <options> <!-- Library paths: make sure these paths are correct --> <!--<set option="LibraryPaths" value="..\..\..\Languages\Ruby\libs\; ..\..\..\..\External.LCA_RESTRICTED\Languages\Ruby\ruby-1.8.6p368\lib\ruby\site_ruby\1.8\; ..\..\..\..\External.LCA_RESTRICTED\Languages\Ruby\ruby-1.8.6p368\lib\ruby\1.8\"/>--> <set option="LibraryPaths" value="C:\IronRuby\lib\IronRuby;C:\IronRuby\lib\ruby\1.8;C:\IronRuby\lib\ruby\site_ruby;C:\IronRuby\lib\ruby\site_ruby\1.8"/> </options> </microsoft.scripting> <appSettings> <add key="AppRoot" value="."/> <add key="Log" value="ironrack.log"/> <!-- <add key="GemPath" value="..\..\..\..\External.LCA_RESTRICTED\Languages\Ruby\ruby-1.8.6p368\lib\ruby\gems\1.8"/> --> <add key="GemPath" value="C:\IronRuby\Lib\ironruby\gems\1.8\gems"/> <add key="RackEnv" value="production"/> </appSettings> </configuration> === Booting ironruby-rack at 4/15/2010 1:27:12 PM [DEBUG] >>> TOPLEVEL_BINDING = binding => Setting GEM_PATH: 'C:\\IronRuby\\Lib\\ironruby\\gems\\1.8\\gems' => Setting RACK_ENV: 'production' => Loading RubyGems [DEBUG] >>> require 'rubygems' => Loading Rack >=1.0.0 [DEBUG] >>> gem 'rack', '>=1.0.0';require 'rack' => Loaded rack-1.1 => Application root: 'D:\\demo' => Loading Rack application [DEBUG] >>> Rack::Builder.new { ( require "config/environment" ENV['RAILS_ENV'] = 'development' use Rails::Rack::LogTailer use Rails::Rack::Static run ActionController::Dispatcher.new ) }.to_app exit D:/demo/config/boot.rb:66:in `exit': exit (SystemExit) from D:/demo/config/boot.rb:66:in `load_rails_gem' from D:/demo/config/boot.rb:54:in `load_initializer' from D:/demo/config/boot.rb:38:in `run' from D:/demo/config/boot.rb:11:in `boot!' from D:/demo/config/boot.rb:110 from C:/IronRuby/lib/ruby/site_ruby/1.8/rubygems/custom_require.rb:31:in `require' from C:/IronRuby/lib/ruby/site_ruby/1.8/rubygems/custom_require.rb:31:in `require' from D:/demo/config/environment.rb:7 from C:/IronRuby/lib/ruby/site_ruby/1.8/rubygems/custom_require.rb:31:in `require' from C:/IronRuby/lib/ruby/site_ruby/1.8/rubygems/custom_require.rb:31:in `require' from (eval):1 from C:/IronRuby/lib/ironruby/gems/1.8/gems/rack-1.1.0/lib/rack/builder.rb:46:in `instance_eval' from C:/IronRuby/lib/ironruby/gems/1.8/gems/rack-1.1.0/lib/rack/builder.rb:46:in `initialize' from (eval):0 from D:\Dev\ironruby\ironruby-ironruby-20bc41b\Merlin\Main\Hosts\IronRuby.Rack\RubyEngine.cs:52:in `Execute' from D:\Dev\ironruby\ironruby-ironruby-20bc41b\Merlin\Main\Hosts\IronRuby.Rack\RubyEngine.cs:45:in `Execute' from D:\Dev\ironruby\ironruby-ironruby-20bc41b\Merlin\Main\Hosts\IronRuby.Rack\Application.cs:68:in `Rackup' from D:\Dev\ironruby\ironruby-ironruby-20bc41b\Merlin\Main\Hosts\IronRuby.Rack\Application.cs:32:in `.ctor' from D:\Dev\ironruby\ironruby-ironruby-20bc41b\Merlin\Main\Hosts\IronRuby.Rack\HttpHandlerFactory.cs:37:in `GetHandler' from System.Web:0:in `MapHttpHandler' from System.Web:0:in `System.Web.HttpApplication.IExecutionStep.Execute' from System.Web:0:in `ExecuteStep' from System.Web:0:in `ResumeSteps' from System.Web:0:in `System.Web.IHttpAsyncHandler.BeginProcessRequest' from System.Web:0:in `ProcessRequestInternal' from System.Web:0:in `ProcessRequestNoDemand' from System.Web:0:in `ProcessRequest'

    Read the article

  • Bazaar (bzr) predefined locations

    - by mkotechno
    Bazaar has a Launchpad pseudo-protocol (lp:) that able the user to operate in remote branchs without write full Launchpad location, I'm searching a way to create my own pseudo-protocols in a way like this (similar to GIT): bzr remote my sftp://[email protected]/home/myuser/myrepo/ bzr push my:mybranch bzr push my:otherbranch bzr push my:anotherbranch ...instead of... bzr push sftp://[email protected]/home/myuser/myrepo/mybranch bzr push sftp://[email protected]/home/myuser/myrepo/otherbranch bzr push sftp://[email protected]/home/myuser/myrepo/anotherbranch ...that is a pain in the ass. I readed about bazaar.conf but it seems only able you to set a globals push locations for each branch/repo. Another way I saw is to use alias, but has the same problem, is very ugly when is needed to create new branches. Is posible to do this without modify the BZR code? This should be obvious...

    Read the article

  • How to use role-hierarchy in Spring Security 3 with Spring EL?

    - by Aleksey
    I want to use @PreAuthorize annotation on service methods with Spring Security. One of requirements is to use role-hierarchy. But by default it is not enabled. I found that in SecurityExpressionRoot class ("the base class for expression root objects") there is a property roleHierarchy. The class actually does use this property for methods like hasRole() and hasAnyRole(). I suppose that if I supply it with my own RoleHierarchy bean I will be able to use @PreAuthorize annotations with hierarchical roles. How can I inject my hierarchy bean into SecurityExpressionRoot?

    Read the article

  • Random Gui errors using C# Mono on OSX

    - by Erik Karlsson
    Hello. Im developing a app in c# (winforms), which uses mono to run on osx. It contains some dynamic controls, for example a custom groupbox which contains some labels and textboxes, a button etc. these boxes can both be added and removed dynamically. Problem arises both when they are created, and removed, or even when a messagebox is shown. What happens is that sometimes on rendering white boxes appears, or some labels are not drawn correctly. And sometimes when a messagebox appears, it first opens up like 5 dummies which are just blank, and which you cant close. Am i doing something wrong, should i sleep the gui thread a bit after each creation, or should i invalidate stuff on my own? Or should i try GTK#? Many thanks on input on this, Erik

    Read the article

  • Load Balancing using SQL Server and TempData MVC

    - by Jamie
    Hi all, I've been told that MVC 1.0 TempData does not work under a load balancer when using SQL Server and that it is because the Dictionary itself is not serializable. We require this for a project and are looking to be able load balancer effectively. So I would be very grateful if someone could answer the following questions: Is there away around this so you can make it work? Is this fixed in MVC 2.0? Can we create a ITempDataProvider to fix it? Or has anyone made a fix to the source code for a project of their own they would like to share? Cheers, Jamie

    Read the article

  • Dynamically building and updating Histograms with JFreeChart

    - by job
    I've got a stream of incoming data that I would like to plot using a simple histogram. I don't know the range of values, or the proper resolution or bin width to use for the histogram. SimpleHistogramDataset provides some of this functionality, but I don't want to have to deal with catching exceptions in order to add new bins if the new value isn't covered. In addition, it doesn't easily allow me to rebuild the histogram using a different bin width (perhaps an integer multiples of some initial set width). Is there an easy way to accomplish this with JFreeChart or some alternate charting library, or am I going to have to write my own class here?

    Read the article

  • jQuery Tips and Tricks

    - by roosteronacid
    Miscellaneous Creating an HTML Element and keeping a reference, Checking if an element exists, Writing your own selectors by Andreas Grech The data function - bind data to elements by TenebrousX The noConflict function - Freeing up the $ variable by Oli Check the index of an element in a collection by redsquare The jQuery metadata plug-in by kRON Live event handlers by TM Isolate the $ variable in noConflict mode by nickf Replace anonymous functions with named functions by ken Microsoft AJAX framework and jQuery bridge by Slace jQuery tutorials by egyamado Remove elements from a collection and preserve chainability by roosteronacid Declare $this at the beginning of anonymous functions by Ben FireBug lite, Hotbox plug-in, tell when an image has been loaded and Google CDN by Colour Blend Judicious use of third-party jQuery scripts by harriyott The each function by Jan Zich Form Extensions plug-in by Chris S Syntax No-conflict mode by roosteronacid Shorthand for the ready-event by roosteronacid Line breaks and chainability by roosteronacid Nesting filters by Nathan Long Cache a collection and execute commands on the same line by roosteronacid Contains selector by roosteronacid [Defining properties at element creation][26] by roosteronacid Optimization Optimize performance of complex selectors by roosteronacid The context parameter by lupefiasco Save and reuse searches by Nathan Long

    Read the article

< Previous Page | 380 381 382 383 384 385 386 387 388 389 390 391  | Next Page >