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  • Merging k sorted linked lists - analysis

    - by Kotti
    Hi! I am thinking about different solutions for one problem. Assume we have K sorted linked lists and we are merging them into one. All these lists together have N elements. The well known solution is to use priority queue and pop / push first elements from every lists and I can understand why it takes O(N log K) time. But let's take a look at another approach. Suppose we have some MERGE_LISTS(LIST1, LIST2) procedure, that merges two sorted lists and it would take O(T1 + T2) time, where T1 and T2 stand for LIST1 and LIST2 sizes. What we do now generally means pairing these lists and merging them pair-by-pair (if the number is odd, last list, for example, could be ignored at first steps). This generally means we have to make the following "tree" of merge operations: N1, N2, N3... stand for LIST1, LIST2, LIST3 sizes O(N1 + N2) + O(N3 + N4) + O(N5 + N6) + ... O(N1 + N2 + N3 + N4) + O(N5 + N6 + N7 + N8) + ... O(N1 + N2 + N3 + N4 + .... + NK) It looks obvious that there will be log(K) of these rows, each of them implementing O(N) operations, so time for MERGE(LIST1, LIST2, ... , LISTK) operation would actually equal O(N log K). My friend told me (two days ago) it would take O(K N) time. So, the question is - did I f%ck up somewhere or is he actually wrong about this? And if I am right, why doesn't this 'divide&conquer' approach can't be used instead of priority queue approach?

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  • Merging datasets with 2 different time variables in SAS

    - by John
    Hye Guys, for those regularly browsing this site sorry for already another question (however I did solve my last question myself!) I have another problem with merging datasets, it seems that accounting for time in datasets is a real pain in the ass. I succesfully managed to merge on months in my previous datasets, however it seems I have a final dataset which only has quarter as a time count variable. So where all my normal databases have month 1- xxx as an indicator of time, this database had quarter as an indicator of time. I still want to add the variables of this last database, let's call it TVOL, into my WORK database. Quick summary QUARTER: Quarter 0 = JAN1996-MAR1996 Month: Month 0 = JAN1996 Example: TVOL TVOL _ Ticker ____ Quarter 1500 _ AA ________ -1 52546 _ BB ________ 15 Example: WORK BETA _ Ticker ____ Month 1.52 _ AA ________ 2 1.54__ BB _______ 3 Example: Merged: BETA ______ TVOL __ Ticker ____ Month 1.52 _______ 500 ___ AA _______ 2 I now want to merge this 2 tables using following relationship if the month is in quarter 1, the data of quarter 0 has to be used, so if i have an observation i nWORK with date 2FEB1996 the TVOL of quarter -1 has to be put behind this observation. Something like IF month = quarter i use data quarter i-1. Also, as TVOL is measured quarterly and I have to put in monthly I have to take the average, so (TVOL/3) should be added as a variable. Thanks!

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  • Merging sql queries to get different results by date

    - by pedalpete
    I am trying to build a 'recent events' feed and can't seem to get either my query correct, or figure out how to possible merge the results from two queries to sort them by date. One table holds games/, and another table holds the actions of these games/. I am trying to get the recent events to show users 1) the actions taken on games that are publicly visible (published) 2) when a new game is created and published. So, my actions table has actionId, gameid, userid, actiontype, lastupdate My games table has gameid, startDate, createdby, published, lastupdate I currently have a query like this (simplified for easy understanding I hope). SELECT actionId, actions.gameid, userid, actiontype, actions.lastupdate FROM actions JOIN ( SELECT games.gameid, startDate, createdby, published, games.lastupdate FROM games WHERE published=1 AND lastupdate>today-2 ) publishedGames on actions.gameid=games.gameid WHERE actions.type IN (0,4,5,6,7) AND actions.lastupdate>games.lastupdate and published=1 OR games.lastupdate>today-2 AND published=1 This query is looking for actions from published games where the action took place after the game was published. That pretty much takes care of the first thing that needs to be shown. However, I also need to get the results of the SELECT games.gameid, startDate, createdby, published, games.lastupdate FROM games WHERE published=1 AND startDate>today-2 so I can include in the actions list, when a new game has been published. When I run the query as I've got it written, I get all the actionids, and their gameids, but I don't get a row which shows the gameid when it was published. I understand that it may be possible that I need to run two seperate queries, and then somehow merge the results afterword with php, but I'm completely lost on where to start with that as well.

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  • TortoiseSVN lists files as modified, but they are identical

    - by BJ Safdie
    I am merging a hot fix from our QA branch back into our Dev branch. Five files have changed. I do a fresh checkout of the Dev branch. I then do a merge (range of revisions) from QA into the Dev working copy. It brings in five files and there is a conflict on an external and ignore property -- which I resolve by "using local" (dev). When I check modifications or commit, I expect to see the five files I merged as the only changes. However, I get close to 700 "modified" files showing up in the commit dialog. If I select one of these file and "Compare with base," WinMerge comes up and says the "files are identical." I have tried this with the file dates set to "last committed" and not. Why are all of these files showing up as modified, when they are identical? What in the merge is causing this? How do I prevent SVN/TortoiseSVN from getting confused this way in the future?

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  • How can I synchronise two datatables and update the target in the database?

    - by Craig
    I am trying to synchronise two tables between two databases. I thought that the best way to do this would be to use the DataTable.Merge method. This seems to pick up the changes, but nothing ever gets committed to the database. So far I have: string tableName = "[Table_1]"; string sql = "select * from " + tableName; using (SqlConnection sourceConn = new SqlConnection(ConfigurationManager.ConnectionStrings["source"].ConnectionString)) { SqlDataAdapter sourceAdapter = new SqlDataAdapter(); sourceAdapter.SelectCommand = new SqlCommand(sql, sourceConn); sourceConn.Open(); DataSet sourceDs = new DataSet(); sourceAdapter.Fill(sourceDs); using (SqlConnection targetConn = new SqlConnection(ConfigurationManager.ConnectionStrings["target"].ConnectionString)) { SqlDataAdapter targetAdapter = new SqlDataAdapter(); targetAdapter.SelectCommand = new SqlCommand(sql, targetConn); SqlCommandBuilder builder = new SqlCommandBuilder(targetAdapter); targetAdapter.InsertCommand = builder.GetInsertCommand(); targetAdapter.UpdateCommand = builder.GetUpdateCommand(); targetAdapter.DeleteCommand = builder.GetDeleteCommand(); targetConn.Open(); DataSet targetDs = new DataSet(); targetAdapter.Fill(targetDs); targetDs.Tables[0].TableName = tableName; sourceDs.Tables[0].TableName = tableName; targetDs.Tables[0].Merge(sourceDs.Tables[0]); targetAdapter.Update(targetDs.Tables[0]); } } At the present time, there is one row in the source that is not in the target. This row is never transferred. I have also tried it with an empty target, and nothing is transferred.

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  • Quality of TFS 2008 merged code

    - by paologios
    Does the quality of code merged by TFS 2008 depend on the used programming language? I know merging in Java / Subversion, and merging a branch to its trunk usually does not create much conflicts. Now in my company, we use VB.NET. When I merge two files TFS does not always get code blocks right, e.g. does not find the right If..then / end if lines. To give you an example, I mean: File 2 is created as a branch of File 1. Both files were changed later, now I'm going to merge those files and am recieving conficts: The marked end-if lines (1) are detected as corresponding, meaning the added event handler Button1_Click is being deleted. Now I wonder if this behavior is by language (C# vs. VB.NET) or are other source control solutions just better than TFS? (And I really liked TFS up to now :) ) File 1: Protected Sub Page_Load(ByVal sender As Object, ByVal e As System.EventArgs) Handles Me.Load If Not Page.IsPostBack Then Label1.Text = "Hello" Label2.Text = "World" End If End Sub Protected Sub Button2_Click(ByVal sender, ByVal e as System.EventArgs) Handles Button2.Click // .... If Page.IsValid Then Label3.Text = "Hello Button 2" End If // .... End Sub File 2 (Branch of File 1): Protected Sub Page_Load(ByVal sender As Object, ByVal e As System.EventArgs) Handles Me.Load If Not Page.IsPostBack Then fillTableFromDatabase() End If // (1) End Sub Protected Sub Button1_Click(ByVal sender, ByVal e as System.EventArgs) Handles Button1.Click // do something here End Sub Protected Sub Button2_Click(ByVal sender, ByVal e as System.EventArgs) Handles Button2.Click // .... If Page.IsValid Then End If // (1) // .... End Sub

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  • Why cant Git merge file changes with a modified parent/master.

    - by Andy
    I have a file with one line in it. I create a branch and add a second line to the same file. Save and commit to the branch. I switch back to the master. And add a different, second line to the file. Save and commit to the master. So there's now 3 unique lines in total. If I now try and merge the branch back to the master, it suffers a merge conflict. Why cant Git simple merge each line, one after the other? My attempt at merge behaves something like this: PS D:\dev\testing\test1> git merge newbranch Auto-merging hello.txt CONFLICT (content): Merge conflict in hello.txt Automatic merge failed; fix conflicts and then commit the result. PS D:\dev\testing\test1> git diff diff --cc hello.txt index 726eeaf,e48d31a..0000000 --- a/hello.txt +++ b/hello.txt @@@ -1,2 -1,2 +1,6 @@@ This is the first line. - New line added by master. -Added a line in newbranch. ++<<<<<<< HEAD ++New line added by master. ++======= ++Added a line in newbranch. ++>>>>>>> newbranch Is there a way to make it slot lines in automatically, one after the other?

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  • Shared Git repo syncing to svn causing git svn rebase to pollute repo with a log of no-op merge prob

    - by John K
    This wasn't so bad at the beginning, but now I have hundreds of no-op merge problems (solved by git rebase --skip). I have setup a shared git repo for my group because it is easier to deal with. But the company uses SVN so I have to keep SVN in sync with GIT. Worked like a dream at first, but after weeks of doing this GIT is giving me a lot of the following errors. Applying: * making all config actions work Using index info to reconstruct a base tree... Falling back to patching base and 3-way merge... Auto-merging app/controllers/vulnerabilities_controller.rb CONFLICT (content): Merge conflict in app/controllers/vulnerabilities_controller.rb Auto-merging public/javascripts/network_analysis_vulnerability_config.js CONFLICT (content): Merge conflict in public/javascripts/network_analysis_vulnerability_config.js Failed to merge in the changes. Patch failed at 0046 * making all config actions work My workflow: git co master git pull origin git svn rebase ... deal with no-op merge problems ... git svn dcommit git pull origin git push origin The problem is that what is in SVN is the correct so I use git rebase --skip, but I have to do that hundreds of times before I can dcommit. How do I clear these merge problems permanently?

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  • Core Data Errors vs Exceptions Part 3

    - by John Gallagher
    My question is similar to this one. Background I'm creating a large number of objects in a core data store using NSOperations to speed things up. I've followed all the Core Data multithreading rules - I've got a single persistent store coordinator and a managed object context per thread that on save is merging back to the main managed object context. The Problem When the number of threads running at once is more than 1, I get the exception logged on save of my core data store: NSExceptionHandler has recorded the following exception: NSInternalInconsistencyException -- optimistic locking failure What I've Tried My code that creates new entities is quite complex - it makes entities that have relationships with other entities that could be being created in a separate thread. If I replace my object creation routine with some very simple code just making non-related entries, everything works perfectly. Initially, as well as the exceptions, I was getting a save error saying core data couldn't save due to the merge failing. I read the docs and realised I needed a merge policy on the Managed Object Context I was saving to. I set this up and as this question states, the save error goes away, but the exception remains. My Question Do I need to worry about these exceptions? If I do need to get rid of the exceptions, any ideas on how I do it?

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  • Why won't JPA delete owned entities when the owner entity loses the reference to them?

    - by Nick
    Hi! I've got a JPA entity "Request", that owns a List of Answers (also JPA entities). Here's how it's defined in Request.java: @OneToMany(cascade= CascadeType.ALL, mappedBy="request") private List<Answer> answerList; And in Answer.java: @JoinColumn(name = "request", referencedColumnName="id") @ManyToOne(optional = false) private Request request; In the course of program execution, the Request's List of Answers may have Answers added or removed from it, or the actual List object may be replaced. My problem is thus: when I merge a Request to the database, the Answer objects that used to be in the List are kept in the database -- that is, Answer objects that the Request no longer holds a reference to (indirectly, via a List) are not deleted. This is not the behaviour I desire, as if I merge a Request to the database, and then fetch it again, its Answers List may not be the same. Am I making some programming mistake? Is there an annotaion or setting that will ensure that the Answers in the database are exactly the Answers in the Request's List? A solution is to keep references to the original Answers List and then use the EntityManager to remove each old Answer before merging the Request, but it seems like there should be a cleaner way. Thank you!

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  • What is AssetCache and AFCache?

    - by gentmatt
    I'm currently investigating the different locations where the flashplayer in OSX stores its files. The reason is protecting privacy. I've found that Chrome and Firefox both read/write to the following directories: ~/Library/Caches/Adobe/Flash Player/AFCache ~/Library/Caches/Adobe/Flash Player/AssetCache ~/Library/Preferences/Macromedia/Flash Player/#SharedObjects ~/Library/Preferences/Macromedia/Flash Player/macromedia.com/support/flashplayer/sys The last two directories are locations where Firefox stores LSO cookies for long time tracking. You can manually delete them yourself or do this automatically using an extension such as BetterPrivacy for Firefox. However, I have no clue to what the AFCache and AssetCache are for. I assume that you should not delete them as cache generally improves the browsing experience, but I'd really like to know what is stored there? I've been searching the Internet quite a bit now, but there does not seem to be much documentation.

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  • Logging Bounced messages to a Database (Postfix with virtual domains/users)

    - by Gurunandan
    We have a postfix installation with a couple of virtual domains each with virtual users. These domains and users are mapped using a mysql database. I have been until now tracking bounces by parsing the postfix log file. I suspect there must be better and more efficient ways of doing this. I thought of three but I am not sure what is best: Write a Postfix content filter that logs the bounce and throws away the mail Use procmail - but I am not sure how procmail would work with virtual users who have no $HOME defined Write a script that POPs mail from mailboxes; parses and logs them and deletes the bounced email I would appreciate advise on which would be best from a maintenance point of view and efficient from conserving server resources point of view. Thanks

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  • IT Asset Management

    - by CogitoErgoSum
    Our company has grown quite quickly and I am facing new tasks which I did not think I'd need to deal with. Recently we've come ot a point where we have 100+ Devices (Routers, Bridges, Computers, Laptops, VOIP Phones etc). The other day I was quite frightened when I asked for an inventory and no one had one. I want to start tagging all equipment and recording serials to begin tracking our inventory and ensuring we have a proper record of what equipment we have. Does anyone have advice as to how to go about 1. Convincing the higher ups why we need to do this and 2. What software or strategies might work? Keep in mind this is not for furniture, office equipment etc but IT specific equipment. I'm concerned over people 1. Stealing the physical devices and 2. Losing track of configuration data etc in case we'd need to do a wipe and restore

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  • web based source control management software [closed]

    - by tom smith
    hi. not sure if this is the right place, but hopefully someone might have thoughts on a solution/vendor. Starting to spec out a project that will require multiple (50-100) developers to be able to manipulate source files/scripts for a large scale project. The idea is to be able to have each app go through a dev/review/test process, where the users can select (or be assigned) the role they're going to have for the given app. I'm looking for web-based, version control, issue tracking, user roles/access, workflow functionality, etc... Ideally, the process will also allow for the reviewed/valid app to then be exported to a separate system for testing on the test server/environment. This can be hosted on our servers, or we can do the colo process. I've checked out Alassian/Collabnet, but any thoughts you can provide would me appreciated as well. thanks

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  • Merge 2 XML files with xslt

    - by MADAL
    Hello, I try to merge 2 XML-Files. I use XSLT: [http://www2.informatik.hu-berlin.de/...erge.xslt.html] I need to change this XSLT-File in order to have another result. My first file, which needs to be merged: <A1> <A2> <A3> <b>a</b> <c>b</c> </A3> </A2> </A1> <A1> <A2> <A3> <b>1</b> <c>2</c> </A3> </A2> </A1> ... My 2. file, which needs to be merged whithe the first one: <A1> <A2> <A3> <b>x</b> <c>y</c> </A3> </A2> </A1> <A1> <A2> <A3> <b>8</b> <c>9</c> </A3> </A2> </A1> The result should be: <A1> <A2> <A3> <b>a</b><bx><b>a</b></bx><bx><b>x</b></bx> <c>by</c> </A3> </A2> </A1> <A1> <A2> <A3> <b>1</b><bx><b>1</b></bx><bx><b>18</b></bx> <c>29</c> </A3> </A2> </A1> Could anybody help me with that?!!!! Regards

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  • Help with Design for Vacation Tracking System (C#/.NET/Access/WebServices/SOA/Excel) [closed]

    - by Aaronaught
    I have been tasked with developing a system for tracking our company's paid time-off (vacation, sick days, etc.) At the moment we are using an Excel spreadsheet on a shared network drive, and it works pretty well, but we are concerned that we won't be able to "trust" employees forever and sometimes we run into locking issues when two people try to open the spreadsheet at once. So we are trying to build something a little more robust. I would like some input on this design in terms of maintainability, scalability, extensibility, etc. It's a pretty simple workflow we need to represent right now: I started with a basic MS Access schema like this: Employees (EmpID int, EmpName varchar(50), AllowedDays int) Vacations (VacationID int, EmpID int, BeginDate datetime, EndDate datetime) But we don't want to spend a lot of time building a schema and database like this and have to change it later, so I think I am going to go with something that will be easier to expand through configuration. Right now the vacation table has this schema: Vacations (VacationID int, PropName varchar(50), PropValue varchar(50)) And the table will be populated with data like this: VacationID | PropName | PropValue -----------+--------------+------------------ 1 | EmpID | 4 1 | EmpName | James Jones 1 | Reason | Vacation 1 | BeginDate | 2/24/2010 1 | EndDate | 2/30/2010 1 | Destination | Spectate Swamp 2 | ... | ... I think this is a pretty good, extensible design, we can easily add new properties to the vacation like the destination or maybe approval status, etc. I wasn't too sure how to go about managing the database of valid properties, I thought of putting them in a separate PropNames table but it gets complicated to manage all the different data types and people say that you shouldn't put CLR type names into a SQL database, so I decided to use XML instead, here is the schema: <VacationProperties> <PropertyNames>EmpID,EmpName,Reason,BeginDate,EndDate,Destination</PropertyNames> <PropertyTypes>System.Int32,System.String,System.String,System.DateTime,System.DateTime,System.String</PropertyTypes> <PropertiesRequired>true,true,false,true,true,false</PropertiesRequired> </VacationProperties> I might need more fields than that, I'm not completely sure. I'm parsing the XML like this (would like some feedback on the parsing code): string xml = File.ReadAllText("properties.xml"); Match m = Regex.Match(xml, "<(PropertyNames)>(.*?)</PropertyNames>"; string[] pn = m.Value.Split(','); // do the same for PropertyTypes, PropertiesRequired Then I use the following code to persist configuration changes to the database: string sql = "DROP TABLE VacationProperties"; sql = sql + " CREATE TABLE VacationProperties "; sql = sql + "(PropertyName varchar(100), PropertyType varchar(100) "; sql = sql + "IsRequired varchar(100))"; for (int i = 0; i < pn.Length; i++) { sql = sql + " INSERT VacationProperties VALUES (" + pn[i] + "," + pt[i] + "," + pv[i] + ")"; } // GlobalConnection is a singleton new SqlCommand(sql, GlobalConnection.Instance).ExecuteReader(); So far so good, but after a few days of this I then realized that a lot of this was just a more specific kind of a generic workflow which could be further abstracted, and instead of writing all of this boilerplate plumbing code I could just come up with a workflow and plug it into a workflow engine like Windows Workflow Foundation and have the users configure it: In order to support routing these configurations throw the workflow system, it seemed natural to implement generic XML Web Services for this instead of just using an XML file as above. I've used this code to implement the Web Services: public class VacationConfigurationService : WebService { [WebMethod] public void UpdateConfiguration(string xml) { // Above code goes here } } Which was pretty easy, although I'm still working on a way to validate that XML against some kind of schema as there's no error-checking yet. I also created a few different services for other operations like VacationSubmissionService, VacationReportService, VacationDataService, VacationAuthenticationService, etc. The whole Service Oriented Architecture looks like this: And because the workflow itself might change, I have been working on a way to integrate the WF workflow system with MS Visio, which everybody at the office already knows how to use so they could make changes pretty easily. We have a diagram that looks like the following (it's kind of hard to read but the main items are Activities, Authenticators, Validators, Transformers, Processors, and Data Connections, they're all analogous to the services in the SOA diagram above). The requirements for this system are: (Note - I don't control these, they were given to me by management) Main workflow must interface with Excel spreadsheet, probably through VBA macros (to ease the transition to the new system) Alerts should integrate with MS Outlook, Lotus Notes, and SMS (text messages). We also want to interface it with the company Voice Mail system but that is not a "hard" requirement. Performance requirements: Must handle 250,000 Transactions Per Second Should be able to handle up to 20,000 employees (right now we have 3) 99.99% uptime ("four nines") expected Must be secure against outside hacking, but users cannot be required to enter a username/password. Platforms: Must support Windows XP/Vista/7, Linux, iPhone, Blackberry, DOS 2.0, VAX, IRIX, PDP-11, Apple IIc. Time to complete: 6 to 8 weeks. My questions are: Is this a good design for the system so far? Am I using all of the recommended best practices for these technologies? How do I integrate the Visio diagram above with the Windows Workflow Foundation to call the ConfigurationService and persist workflow changes? Am I missing any important components? Will this be extensible enough to support any scenario via end-user configuration? Will the system scale to the above performance requirements? Will we need any expensive hardware to run it? Are there any "gotchas" I should know about with respect to cross-platform compatibility? For example would it be difficult to convert this to an iPhone app? How long would you expect this to take? (We've dedicated 1 week for testing so I'm thinking maybe 5 weeks?) Many thanks for your advices, Aaron

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  • Design for Vacation Tracking System

    - by Aaronaught
    I have been tasked with developing a system for tracking our company's paid time-off (vacation, sick days, etc.) At the moment we are using an Excel spreadsheet on a shared network drive, and it works pretty well, but we are concerned that we won't be able to "trust" employees forever and sometimes we run into locking issues when two people try to open the spreadsheet at once. So we are trying to build something a little more robust. I would like some input on this design in terms of maintainability, scalability, extensibility, etc. It's a pretty simple workflow we need to represent right now: I started with a basic MS Access schema like this: Employees (EmpID int, EmpName varchar(50), AllowedDays int) Vacations (VacationID int, EmpID int, BeginDate datetime, EndDate datetime) But we don't want to spend a lot of time building a schema and database like this and have to change it later, so I think I am going to go with something that will be easier to expand through configuration. Right now the vacation table has this schema: Vacations (VacationID int, PropName varchar(50), PropValue varchar(50)) And the table will be populated with data like this: VacationID | PropName | PropValue -----------+--------------+------------------ 1 | EmpID | 4 1 | EmpName | James Jones 1 | Reason | Vacation 1 | BeginDate | 2/24/2010 1 | EndDate | 2/30/2010 1 | Destination | Spectate Swamp 2 | ... | ... I think this is a pretty good, extensible design, we can easily add new properties to the vacation like the destination or maybe approval status, etc. I wasn't too sure how to go about managing the database of valid properties, I thought of putting them in a separate PropNames table but it gets complicated to manage all the different data types and people say that you shouldn't put CLR type names into a SQL database, so I decided to use XML instead, here is the schema: <VacationProperties> <PropertyNames>EmpID,EmpName,Reason,BeginDate,EndDate,Destination</PropertyNames> <PropertyTypes>System.Int32,System.String,System.String,System.DateTime,System.DateTime,System.String</PropertyTypes> <PropertiesRequired>true,true,false,true,true,false</PropertiesRequired> </VacationProperties> I might need more fields than that, I'm not completely sure. I'm parsing the XML like this (would like some feedback on the parsing code): string xml = File.ReadAllText("properties.xml"); Match m = Regex.Match(xml, "<(PropertyNames)>(.*?)</PropertyNames>"; string[] pn = m.Value.Split(','); // do the same for PropertyTypes, PropertiesRequired Then I use the following code to persist configuration changes to the database: string sql = "DROP TABLE VacationProperties"; sql = sql + " CREATE TABLE VacationProperties "; sql = sql + "(PropertyName varchar(100), PropertyType varchar(100) "; sql = sql + "IsRequired varchar(100))"; for (int i = 0; i < pn.Length; i++) { sql = sql + " INSERT VacationProperties VALUES (" + pn[i] + "," + pt[i] + "," + pv[i] + ")"; } // GlobalConnection is a singleton new SqlCommand(sql, GlobalConnection.Instance).ExecuteReader(); So far so good, but after a few days of this I then realized that a lot of this was just a more specific kind of a generic workflow which could be further abstracted, and instead of writing all of this boilerplate plumbing code I could just come up with a workflow and plug it into a workflow engine like Windows Workflow Foundation and have the users configure it: In order to support routing these configurations throw the workflow system, it seemed natural to implement generic XML Web Services for this instead of just using an XML file as above. I've used this code to implement the Web Services: public class VacationConfigurationService : WebService { [WebMethod] public void UpdateConfiguration(string xml) { // Above code goes here } } Which was pretty easy, although I'm still working on a way to validate that XML against some kind of schema as there's no error-checking yet. I also created a few different services for other operations like VacationSubmissionService, VacationReportService, VacationDataService, VacationAuthenticationService, etc. The whole Service Oriented Architecture looks like this: And because the workflow itself might change, I have been working on a way to integrate the WF workflow system with MS Visio, which everybody at the office already knows how to use so they could make changes pretty easily. We have a diagram that looks like the following (it's kind of hard to read but the main items are Activities, Authenticators, Validators, Transformers, Processors, and Data Connections, they're all analogous to the services in the SOA diagram above). The requirements for this system are: (Note - I don't control these, they were given to me by management) Main workflow must interface with Excel spreadsheet, probably through VBA macros (to ease the transition to the new system) Alerts should integrate with MS Outlook, Lotus Notes, and SMS (text messages). We also want to interface it with the company Voice Mail system but that is not a "hard" requirement. Performance requirements: Must handle 250,000 Transactions Per Second Should be able to handle up to 20,000 employees (right now we have 3) 99.99% uptime ("four nines") expected Must be secure against outside hacking, but users cannot be required to enter a username/password. Platforms: Must support Windows XP/Vista/7, Linux, iPhone, Blackberry, DOS 2.0, VAX, IRIX, PDP-11, Apple IIc. Time to complete: 6 to 8 weeks. My questions are: Is this a good design for the system so far? Am I using all of the recommended best practices for these technologies? How do I integrate the Visio diagram above with the Windows Workflow Foundation to call the ConfigurationService and persist workflow changes? Am I missing any important components? Will this be extensible enough to support any scenario via end-user configuration? Will the system scale to the above performance requirements? Will we need any expensive hardware to run it? Are there any "gotchas" I should know about with respect to cross-platform compatibility? For example would it be difficult to convert this to an iPhone app? How long would you expect this to take? (We've dedicated 1 week for testing so I'm thinking maybe 5 weeks?)

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  • Branching and Merging with TortoiseSVN

    - by capgpilk
    For this example I am using Visual Studio 2010, TortoiseSVN 1.6.6, Subversion 1.6.6 and AnkhSVN 2.1.7819.411, so if you are using different versions, some of these screen shots may differ. This is assuming you have your code checked in to the trunk directory and have a standard SVN structure of trunk, branches and tags. There are a number of developers who prefer to develop solely in a branch and never touch the trunk, but the process is generally the same and you may be on a small team and prefer to work in the trunk and branch occasionally. There are three steps to successful branching. First you branch, then when you are ready you need to reintegrate any changes that other developers may have made to the trunk in to your branch. Then finally when your branch and the trunk are in sync, you merge it back in to the trunk. Branch Right click project root in Windows Explorer > TortoiseSVN > Branch/Tag Enter the branch label in the ‘To URL’ box. For example /branches/1.1 Choose Head revision Check Switch working copy Click OK Make any changes to branch Make any changes to trunk Commit any changes For this example I copied the project to another location prior to branching and made changes to that using Notepad++. Then committed it to SVN, as this directory is mapped to the trunk, that is what gets updated.   Merge Trunk with Branch Right click project root in Windows Explorer > TortoiseSVN > Merge Choose ‘Merge a range of revisions’ In ‘URL to merge from’ choose your trunk Click Next, then the ‘test merge’ button. This will highlight any conflicts. Here we have one conflict we will need to resolve because we made a change and checked in to trunk earlier Click merge. Now we have the opportunity to edit that conflict This will open up TortoiseMerge which will allow us to resolve the issue. In this case I want both changes. Perform an Update then Commit Reloading in Visual Studio shows we have all changes that have been made to both trunk and branch. Merge Branch with Trunk Switch working copy by right clicking project root in Windows Explorer > TortoiseSVN > switch Switch to the trunk then ok Right click project root in Windows Explorer > TortoiseSVN > merge Choose ‘Reintegrate a branch’ In ‘From URL’ choose your branch then next Click ‘Test merge’, this shouldn’t show any conflicts Click Merge Perform Update then Commit Open project in Visual Studio, we now have all changes. So there we have it we are connected back to the trunk and have all the updates merged.

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  • Looking for issue tracker software for residential property management

    - by Rob
    This question is about a computer software (as per SU guidelines) application for centrally tracking issues concerning the management of a residental block of flats (apartments as they say in the US and France). Issues are incidents - and their resultant unplanned maintenance to address them, also planned one-off maintenance and also regular planned routine maintenance. I live in a block of flats (apartments), and along with other residents, are looking to more closely watch over issues with the communal, shared areas of the premises (corridors, courtyards, stairs, lifts, lights, trash/bin shed, bike stands, parking areas etc) and their maintenance, currently done by a property management company. Our own homes are our own affair internally, its the outside communal areas that I have the interest. The aim being to control costs and possibly reduce them, by proactively managing the property using historical data to predict issues and also to scrutinise maintenance charges against such data to ensure that the costs are as expected. Trending could also be established whereby recurrences of things can be detected and pre-empted to reduce costs. As a software professional, I'm aware of Bugzilla, eventum being free tools for software - which could be customised to fit this application, but wondered if there was something more appropriate. It might be useful for such software to be on a web server, with secure access, so that residents can log in and view the issues.

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  • When should I use git pull --rebase?

    - by Jason Baker
    I know of some people who use git pull --rebase by default and others who insist never to use it. I believe I understand the difference between merging and rebasing, but I'm trying to put this in the context of git pull. Is it just about not wanting to see lots of merge commit messages? Or are there other issues?

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  • using or in mysql and merging columns

    - by Pradyut Bhattacharya
    I can select using or with the sql statement select f.userid, f.friend_userid from friends f where userid = 1 or friend_userid = 1; now in the output i have to merge the two rows(userid and friend_userid) into one row such that only the rows without 1 are displayed I m using mysql.... Thanks Pradyut India

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  • Removing associated entity JPA

    - by Marcel
    Hi I have a question regarding JPA persistence in Glassfish. Situation: I have a Supplier class that has a 1:n bidirectional relation to SupplierAddress. I would like to have the following behaviour: If I remove the SupplierAddress object from the List in the Supplier object and update it via the merge(supplierobject), the SupplierAddress tupel/object should be deleted. Is there an annotation do configure it like this or do I have to delete it manually. Any help would be very appreciated. Greetings Marcel

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