Search Results

Search found 23182 results on 928 pages for 'worst case'.

Page 398/928 | < Previous Page | 394 395 396 397 398 399 400 401 402 403 404 405  | Next Page >

  • Set-and-forget Windows backup software with NAS-support?

    - by Evert
    Hi all, I am looking for set-and-forget backup software for Windows (Vista & 7, and if possible XP/2003). The idea is that it runs in the background on the clients, and does its thing towards a network-share. In case the HDD of one of these clients spontaneously combusts, all I want to have to do is: replace the drive, insert a USB-stick, boot from it, and restore the machine. It should support drives which use [ICH]-RAID. What are my options here? It looks like WHS meets all the requirements, but I am curious about my other options here.

    Read the article

  • development and music recording machine suggestions?

    - by dean nolan
    I wasn't sure if this belongs on SuperUser so flag if so. I am looking to build, primarily, a windows development machine that is also good for recording using Cubase. I know I should use seperate machines but I'm on a budget this time of year. I also havn't kept up with hardware for quite a few years. Basically I know I want quad core, multiple monitor support (no gaming requirements). A lot of RAM, very quiet case and super fast HDD (SSD OR 10,000RPM)for compiling and latency. I will store libraries and other data on a USB drive. Sound card is not needed as I will be using an audio interface, all other music recording equipment is taken care of also. I could do with some decent monitor recomendations also. All suggestions welcome, thanks.

    Read the article

  • Bypass spam check for Auth users in postfix

    - by magiza83
    I would like to know if there is any option to "FILTER" auth users in postfix. Let me explain me better, I have the amavis and dspam services between postfix(25) and postfix(10026) but I would like to avoid this check if the users are authenticated. postfix(25)->policyd(10031)->amavis(10024)->postfix(10025)->dspam(dspam.sock)->postfix(10026)--->cyrus | /|\ |________auth users______________________________________________________________| my conf is: main.cf ... smtpd_sasl_auth_enable = yes smtpd_sasl_security_options = noanonymous broken_sasl_auth_clients = yes smtpd_sasl_path = smtpd smtpd_recipient_restrictions = permit_sasl_authenticated, reject_unauth_destination, check_policy_service inet:127.0.0.1:10040, reject_invalid_hostname, reject_rbl_client multi.uribl.com, reject_rbl_client dsn.rfc-ignorant.org, reject_rbl_client dul.dnsbl.sorbs.net, reject_rbl_client list.dsbl.org, reject_rbl_client sbl-xbl.spamhaus.org, reject_rbl_client bl.spamcop.net, reject_rbl_client dnsbl.sorbs.net, reject_rbl_client cbl.abuseat.org, reject_rbl_client ix.dnsbl.manitu.net, reject_rbl_client combined.rbl.msrbl.net, reject_rbl_client rabl.nuclearelephant.com, check_policy_service inet:127.0.0.1:10031, permit_mynetworks, reject ... I would like something like "FILTER smtp:localhost:10026" in case they are authenticated, because in my actual configuration i'm only avoiding policyd, but not amavis and dspam. Thanks.

    Read the article

  • how to rotate one squid user among multiple IPs based on number of requests processed by each IP

    - by Arvind
    I want to set up a Squid ACL in the following manner-- For example, my Squid Proxy Server has 10 IP addresses- now I have a user 'demouser'. I want that for the very first request sent to 'demouser' this user uses IP address #1, for the second request it uses IP address #2, for the 3rd request of the day it uses IP address #3 and so on till it uses up all IPs. One more level of control I would like is that once the user has used up all available IP addresses once per address, then it does not allow the proxy request to go through. How do I set up such a configuration on Squid Proxy server ACL? Even a document or how to would be very helpful. The official wiki talks about one 'weird' case- choosing an IP address based on time of day the request was made to the proxy server. The other cases are all regular use cases which are not even remotely near my requirement as specified above.

    Read the article

  • How to use shared_ptr for COM interface pointers

    - by Seefer
    I've been reading about various usage advice relating to the new c++ standard smart pointers unique_ptr, shared_ptr and weak_ptr and generally 'grok' what they are about when I'm writing my own code that declares and consumes them. However, all the discussions I've read seem restricted to this simple usage situation where the programmer is using smart in his/her own code, with no real discussion on techniques when having to work with libraries that expect raw pointers or other types of 'smart pointers' such as COM interface pointers. Specifically I'm learning my way through C++ by attempting to get a standard Win32 real-time game loop up and running that uses Direct2D & DirectWrite to render text to the display showing frames per second. My first task with Direct2D is in creating a Direct2D Factory object with the following code from the Direct2D examples on MSDN: ID2D1Factory* pD2DFactory = nullptr; HRESULT hr = D2D1CreateFactory(D2D1_FACTORY_TYPE_SINGLE_THREADED, &pD2DFactory); pD2DFactory is obviously an 'out' parameter and it's here where I become uncertain how to make use of smart pointers in this context, if indeed it's possible. My inexperienced C++ mind tells me I have two problems: With pD2DFactory being a COM interface pointer type, how would smart_ptr work with the Add() / Release() member functions for a COM object instance? Are smart pointers able to be passed to functions in situations where the function is using an 'out' pointer parameter technique? I did experiment with the alternative of using _com_ptr_t in the comip.h header file to help with pointer lifetime management and declared the pD2DFactory pointer with the following code: _com_ptr_t<_com_IIID<pD2DFactory, &__uuidof(pD2DFactory)>> pD2DFactory = nullptr; and it appears to work so far but, as you can see, the syntax is cumbersome :) So, I was wondering if any C++ gurus here could confirm whether smart pointers are able to help in cases like this and provide examples of usage, or point me to more in-depth discussions of smart pointer usage when needing to work with other code libraries that know nothing of them. Or is it simply a case of my trying to use the wrong tool for the job? :)

    Read the article

  • How to maintain the log source host using logstash

    - by Ray Rodriguez
    I am following the steps in this blog to set up rsyslog + logstash + graylog2 and I can't figure out how to replace the @source_host attribute in logstash using the mutate - replace filter. In the exmaple the author replaces his @source_host with a string value but I'd like to use the actual value that is parsed from in this case a syslog. mutate { type => loc1 replace => ["@source_host", "loc1"] } mutate { type => loc2 replace => ["@source_host", "loc2"] } How do I actually maintain the original source host in my logs?

    Read the article

  • wget not converting links

    - by acrosman
    I am trying to mirror a fairly large site (20,000+ pages) prior to a major overhaul. Basically, I need a backup before cutting over to the new one in case we forgot something we need (we'll have about 1,000 pages at launch). The site is run on a CMS that I cannot easily extract usable data from, so I'm trying to make the copy with wget. My problem is that wget does not appear to be actually converting links, despite the presence of --convert-links or -k in the command. I've tried a couple of different combinations of flags, but I haven't been able to get the output I need. Most recent failed attempt was: nohup wget --mirror -k -l10 -PafscSnapshot --html-extension -R *calendar* -o wget.log http://www.example.org & I've also included the --backup-converted, and --convert-links instead of -k (not that it have mattered). I've done it with and without -P and -l, again no that they should matter. Results in files that still have links like: http://www.example.org//ht/d/sp/i/17770

    Read the article

  • nginx dynamic servername with regular expression doesn't work for co.uk

    - by redn0x
    I'm trying to setup a nginx server which dynamically loads content from a folder for a domain. To do this I'm using regular expressions in the server name like so: server_name ((?<subdomain>.+)\.)?(?<domain>.+)\.(?<tld>.*); This will create a 3 variables for nginx to use later on, for example when using the following url: test.foo.example.com this will evaluate to: $subdomain = test.foo $domain = example $tld = com The problem arises when the co.uk top-level domain is used. In this case when using the url test.foo.example.co.ukit will evaluate to: $subdomain = test.foo.cedira $domain = co $tld = uk How can I edit the regular expression so that it will also work for co.uk?

    Read the article

  • How to prevent 2D camera rotation if it would violate the bounds of the camera?

    - by Andrew Price
    I'm working on a Camera class and I have a rectangle field named Bounds that determines the bounds of the camera. I have it working for zooming and moving the camera so that the camera cannot exit its bounds. However, I'm a bit confused on how to do the same for rotation. Currently I allow rotating of the camera's Z-axis. However, if sufficiently zoomed out, upon rotating the camera, areas of the screen outside the camera's bounds can be shown. I'd like to deny the rotation assuming it meant that the newly rotated camera would expose areas outside the camera's bounds, but I'm not quite sure how. I'm still new to Matrix and Vector math and I'm not quite sure how to model if the newly rotated camera sees outside of its bounds, undo the rotation. Here's an image showing the problem: http://i.stack.imgur.com/NqprC.png The red is out of bounds and as a result, the camera should never be allowed to rotate itself like this. This seems like it would be a problem with all rotated values, but this is not the case when the camera is zoomed in enough. Here are the current member variables for the Camera class: private Vector2 _position = Vector2.Zero; private Vector2 _origin = Vector2.Zero; private Rectangle? _bounds = Rectangle.Empty; private float _rotation = 0.0f; private float _zoom = 1.0f; Is this possible to do? If so, could someone give me some guidance on how to accomplish this? Thanks. EDIT: I forgot to mention I am using a transformation matrix style camera that I input in to SpriteBatch.Begin. I am using the same transformation matrix from this tutorial.

    Read the article

  • Why Buy Hardrives with storage server from a vendor?

    - by Mark
    Hi all, Im just browsing around at storage server's like the Dell MD100/ MD3000 and the Sun J4200 and although the storage server seems reasonable (approx $3000-$4000 AUD) the hard-drives that you buy to go along with them seems exorbitantly expensive. And I'm not sure why. Surely at most they are using good quality RAID level 7200rpm SATA hdd, but even then they are still charging almost 4 times the price. What is the advantage to buying these from them. I can see if one fails then the vendor replacing it is convenient. But at that price you could buy double the amount of hdd and just claim on warranty directly with the manufacturer. It would be much cheaper and you wouldn't be relying on someone else to fix your problems. Is this the case of "you don't get fired if you buy IBM?" mentality or is there some reason I'm not grasping here? Cheers Mark

    Read the article

  • Connecting a Mac to the office network

    - by user36501
    Hi All, I am busy preparing to start working with a Mac at work - in addition to my old PC. Just wondered, is it difficult to setup the Mac to run on the office network - i.e. does it need any special settings or servers or anything like that? and also printers...can I use the network printer as normal. I am just pottrying to think ahead of any ential issues. Also share drives...will I be able to access share drives and my backups to these shares drives - all a bit daunting! Btw in case you didn't notice I am a Mac Nube lol

    Read the article

  • How to use private DNS to map private IP with "non registred" domain name

    - by PapelPincel
    I would like to use a private DNS (Route53 in our case) in order to map hosts to EC2 instance private IP addresse. The hosted zone we are using for testing is not declared in any registrar (company-test.com.). There are different servers (Nagios, Puppet, ActiveMQ ...) all hosted in ec2, that means their IP can change over time (restart, new instance launch...). That would be great if I can use DNS instead of clients' /etc/hosts for mapping private IP/internal domain name... The ActiveMQ server url is activemq.company-test.com and it maps to (A record) private IP address of the AMQ server. This url is only reachable by other ec2 owned by the same aws account. My question is how to configure ec2 instances so they could reach the ActiveMQ server WITHOUT having to buy a new domain company-test.com ?

    Read the article

  • MongoDB ReplicaSet Elections when some nodes are down

    - by SecondThought
    I'm trying to get into ReplicaSet concept, and found something weird in mongoDB Documentation: For a node to be elected primary, it must receive a majority of votes. This is a majority of all votes in the set: if you have a 5-member set and 4 members are down, a majority of the set is still 3 members (floor(5/2)+1). Each member of the set receives a single vote and knows the total number of available votes. If no node can reach a majority, then no primary can be elected and no data can be written to that replica set (although reads to secondaries are still possible). (taken from here) So, If I got that right, in the 5-member case mentioned there the one node that's still standing WILL NOT be chosen as primary and the whole set will not get any writes? and that's even if this single node was the last primary before the elections? If it's true there can be many less-radical cases which will end up with a degenerated set. How can we avoid this?

    Read the article

  • Making Sure Which Partition to Choose with Linux Dual Boot?

    - by user128360
    In the Linux Mint 12 LXDE the partitions are listed as nsd 1, 2, 3, 4, though I have a Windows 8 CP installation on one of the two partitions on the single hard drive. The space usage is differing in both system calculations, though still relateable. Where the partition is at around 20 GB usage in Windows 8 it will be at around 24 GB in the Linux installation menu. I am just wondering is there a certain way to choose the right partition? Also in the drop down menu regarding the boot loader, there are multiple options, which one would be the one to be chosen in this case? What about the system-reserve partition of Windows 7 (the one I am trying to overwrite)? What is happening with that?

    Read the article

  • Keyboard lights sometimes stay on after PC is powered off. Why?

    - by Vilx-
    Sometimes when I power off my PC some lights on the keyboard stay on. It's pretty random which ones, though I suspect it has something to do with what lights were on just before the shutdown (if I vigorously follow that they are all off while the PC is shutting down then they stay off). Not that this would change anything, but it is annoying. Why does this happen and how can I avoid it? Added: I know that I can turn off the power completely to my computer and it will go off. That's not the point. Actually, I even want my keyboard to have power, because I use it to turn on my computer (the power button on the case is difficult to reach). I just want the lights to go off. Or at least understand why this happens. Oh, and it's a PS2 keyboard.

    Read the article

  • I want to install an MSI twice

    - by don.vince
    I have a peculiar wish to install an msi twice on a machine. The purpose of the double install is to first install under the pre-production folder, run the deployment in a safe environment prior to deploying in the production folder. We typically use separate machines to represent these different environments however in this case I need to use the same box. The two scenarios I get are as follows: I've installed pre-production, I'm happy, I want to install production, I run the msi, it asks whether I want to repair or remove the installation I've production installed, I want to install the new version of the msi, it tells me I already have a version of the product installed and I must first un-install the current version The first scenario isn't too bad as we can at that point sensibly un-install and re-install under the production folder, but the second scenario is a pain as we don't want to un-install the live production deployment. Is there a setting I can give to msiexec that will allow this? Is there a more suitable different approach I could use?

    Read the article

  • What is the best file system and allocation size for a USB flash drive?

    - by e-t172
    I'm considering using my 4 GB Kingston DataTraveler USB stick to store my Firefox and Thunderbird profiles for my laptop and desktop PCs. I want to maximize performance when using Firefox. The question is: what is the best file system and allocation size for the fastest Firefox profile operation on a USB flash drive? I'm using Windows 7 on both machines and I don't care about compatibility or the drive's lifetime. I just want to maximize performance. I could even use ext2 with the Ext2 IFS driver if that means it'll be faster. I'm assuming (perhaps I'm wrong) that putting a Firefox profile on a USB stick would be a "lots of small files" usage. In that case, it seems that NTFS would perform best, but I'm not sure. Besides I found nothing regarding the best allocation size to use. Considering that the default allocation size is designed for hard drives (which have different characteristics), I'm assuming that the default allocation size is not the best.

    Read the article

  • JSP Include: one large bean or bean for each include

    - by shylynx
    I want to refactor a webapp that consists of very distorted JSPs and servlets. Because we can't switch to a web framework easily we have to keep JSPs and Servlets, and now we are in doubt how to include pages into another and how to setup the use:bean-directives effectively. At the first step we want to decouple the code for the core-actions and the bean-creation into servlets. The servlets should forward to their corresponding pages, which should use the bean. The problem here is, that each jsp consists of different sub- and sub-sub-jsp that are included into another. Here is a shortend extract (because reality is more complex): head header top navigation actionspanel main header actionspanel foot footer Moreover each jsp (also the header and footer) use dynamic data. For example title and actionspanel can change on each page-reload or do have links and labels that depend on the processing by the preceding servlet. I know that jsp-include-directives should only be used for static content und should be avoided for dynamic content. But here we have very large pages, that consist of many parts. Now the core questions: Should I use one big bean for each page, so that each bean holds also data for header and footer beside its core data, so that each subsequent included jsp uses the same bean-directive? For example: DirectoryJSP <- DirectoryBean CompareJSP <- CompareBean Or should I use one bean for each jsp, so that each bean only holds the data for one jsp and its own purpose. For example: DirectoryJSP <- DirectoryBean HeaderJSP <- HeaderBean FooterJSP <- FooterBean CompareJSP <- CompareBean HeaderJSP <- HeaderBean FooterJSP <- FooterBean In the second case: should the subsequent beans be a member of the corresponding parent bean, so that only the parent bean is attached as attribute to the request? Or should each bean attached to the request?

    Read the article

  • Agile Testing Days 2012 – Day 2 – Learn through disagreement

    - by Chris George
    I think I was in the right place! During Day 1 I kept on reading tweets about Lean Coffee that has happened earlier that morning. It intrigued me and I figured in for a penny in for a pound, and set my alarm for 6:45am. Following the award night the night before, it was _really_ hard getting up when it went off, but I did and after a very early breakfast, set off for the 10 min walk to the Dorint. With Lean Coffee due to start at 07:30, I arrived at the hotel and made my way to one of the hotel bars. I soon realised I was in the right place as although the bar was empty, there was a table with post-it’s and pens! This MUST be the place! The premise of Lean Coffee is to have several small timeboxed discussions. Everyone writes down what they would like to discuss on post-its that are then briefly explained and submitted to the pile. Once everyone is done, the group dot-votes on the topics. The topics are then sorted by the dot vote counts and the discussions begin. Each discussion had 8 mins to start with, which meant it prevented the discussions getting off topic too much. After the time elapsed, the group had a vote whether to extend the discussion by a further 4 mins or move on. Several discussion were had around training, soft skills etc. The conversations were really interesting and there were quite a few good ideas. Overall it was a very enjoyable experience, certainly worth the early start! Make Melly Happy Following Lean Coffee was real coffee, and much needed that was! The first keynote of the day was “Let’s help Melly (Changing Work into Life)”by Jurgen Appelo. Draw lines to track happiness This was a very interesting presentation, and set the day nicely. The theme to the keynote was projects are about the people, more-so than the actual tasks. So he started by showing a photo of an employee ‘Melly’ who looked happy enough. He then stated that she looked happy but actually hated her job. In fact 50% of Americans hate their jobs. He went on to say that the world over 50% of people hate Americans their jobs. Jurgen talked about many ways to reduce the feedback cycle, not only of the project, but of the people management. Ideas such as Happiness doors, happiness tracking (drawing lines on a wall indicating your happiness for that day), kudo boxes (to compliment a colleague for good work). All of these (and more) ideas stimulate conversation amongst the team, lead to early detection of issues and investigation of solutions. I’ve massively simplified Jurgen’s keynote and have certainly not done it justice, so I will post a link to the video once it’s available. Following more coffee, the next talk was “How releasing faster changes testing” by Alexander Schwartz. This is a topic very close to our hearts at the moment, so I was eager to find out any juicy morsels that could help us achieve more frequent releases, and Alex did not disappoint. He started off by confirming something that I have been a firm believer in for a number of years now; adding more people can do more harm than good when trying to release. This is for a number of reasons, but just adding new people to a team at such a critical time can be more of a drain on resources than they add. The alternative is to have the whole team have shared responsibility for faster delivery. So the whole team is responsible for quality and testing. Obviously you will have the test engineers on the project who have the specialist skills, but there is no reason that the entire team cannot do exploratory testing on the product. This links nicely with the Developer Exploratory testing presented by Sigge on Day 1, and certainly something that my team are really striving towards. Focus on cycle time, so what can be done to reduce the time between dev cycles, release cycles. What’s stops a release, what delays a release? all good solid questions that can be answered. Alex suggested that perhaps the product doesn’t need to be fully tested. Doing less testing will reduce the cycle time therefore get the release out faster. He suggested a risk-based approach to planning what testing needs to happen. Reducing testing could have an impact on revenue if it causes harm to customers, so test the ‘right stuff’! Determine a set of tests that are ‘face saving’ or ‘smoke’ tests. These tests cover the core functionality of the product and aim to prevent major embarrassment if these areas were to fail! Amongst many other very good points, Alex suggested that a good approach would be to release after every new feature is added. So do a bit of work -> release, do some more work -> release. By releasing small increments of work, the impact on the customer of bugs being introduced is reduced. Red Pill, Blue Pill The second keynote of the day was “Adaptation and improvisation – but your weakness is not your technique” by Markus Gartner and proved to be another very good presentation. It started off quoting lines from the Matrix which relate to adapting, improvising, realisation and mastery. It has alot of nerds in the room smiling! Markus went on to explain how through deliberate practice ( and a lot of it!) you can achieve mastery, but then you never stop learning. Through methods such as code retreats, testing dojos, workshops you can continually improve and learn. The code retreat idea was one that interested me. It involved pairing to write an automated test for, say, 45 mins, they deleting all the code, finding a different partner and writing the same test again! This is another keynote where the video will speak louder than anything I can write here! Markus did elaborate on something that Lisa and Janet had touched on yesterday whilst busting the myth that “Testers Must Code”. Whilst it is true that to be a tester, you don’t need to code, it is becoming more common that there is this crossover happening where more testers are coding and more programmers are testing. Markus made a special distinction between programmers and developers as testers develop tests code so this helped to make that clear. “Extending Continuous Integration and TDD with Continuous Testing” by Jason Ayers was my next talk after lunch. We already do CI and a bit of TDD on my project team so I was interested to see what this continuous testing thing was all about and whether it would actually work for us. At the start of the presentation I was of the opinion that it just would not work for us because our tests are too slow, and that would be the case for many people. Jason started off by setting the scene and saying that those doing TDD spend between 10-15% of their time waiting for tests to run. This can be reduced by testing less often, reducing the test time but this then increases the risk of introduced bugs not being spotted quickly. Therefore, in comes Continuous Testing (CT). CT systems run your unit tests whenever you save some code and runs them in the background so you can continue working. This is a really nice idea, but to do this, your tests must be fast, independent and reliable. The latter two should be the case anyway, and the first is ideal, but hard! Jason makes several suggestions to make tests fast. Firstly keep the scope of the test small, secondly spin off any expensive tests into a suite which is run, perhaps, overnight or outside of the CT system at any rate. So this started to change my mind, perhaps we could re-engineer our tests, and continuously run the quick ones to give an element of coverage. This talk was very interesting and I’ve already tried a couple of the tools mentioned on our product (Mighty Moose and NCrunch). Sadly due to the way our solution is built, it currently doesn’t work, but we will look at whether we can make this work because this has the potential to be a mini-game-changer for us. Using the wrong data Gojko’s Hierarchy of Quality The final keynote of the day was “Reinventing software quality” by Gojko Adzic. He opened the talk with the statement “We’ve got quality wrong because we are using the wrong data”! Gojko then went on to explain that we should judge a bug by whether the customer cares about it, not by whether we think it’s important. Why spend time fixing issues that the customer just wouldn’t care about and releasing months later because of this? Surely it’s better to release now and get customer feedback? This was another reference to the idea of how it’s better to build the right thing wrong than the wrong thing right. Get feedback early to make sure you’re making the right thing. Gojko then showed something which was very analogous to Maslow’s heirachy of needs. Successful – does it contribute to the business? Useful – does it do what the user wants Usable – does it do what it’s supposed to without breaking Performant/Secure – is it secure/is the performance acceptable Deployable Functionally ok – can it be deployed without breaking? He then explained that User Stories should focus on change. In other words they should focus on the users needs, not the users process. Describe what the change will be, how that change will happen then measure it! Networking and Beer Following the day’s closing keynote, there were drinks and nibble for the ‘Networking’ evening. This was a great opportunity to talk to people. I find approaching strangers very uncomfortable but once again, when in Rome! Pete Walen and I had a long conversation about only fixing issues that the customer cares about versus fixing issues that make you proud of your software! Without saying much, and asking the right questions, Pete made me re-evaluate my thoughts on the matter. Clever, very clever!  Oh and he ‘bought’ me a beer! My Takeaway Triple from Day 2: release small and release often to minimize issues creeping in and get faster feedback from ‘the real world’ Focus on issues that the customers care about, not what we think is important It’s okay to disagree with someone, even if they are well respected agile testing gurus, that’s how discussion and learning happens!  

    Read the article

  • Configuring Weblogic Server 10.3.6 from 32-bit mode to 64-bit mode

    - by Ekta Malik
    This post pertains to the configuration of Weblogic Server from 32-bit mode to 64-bit mode on Solaris OS. Just in case, you have WLS 10.3.6 running in 32-bit mode and the JDK being used is installed for 64-bit mode [On Solaris OS, JDK 64-bit installation comprises of installing 32-bit JDK followed by a patch for 64-bit JDK].  Verification of the mode being used One can verify the mode of Weblogic Server in the following ways Either check the commonEnv.sh script located at $MIDDLEWARE_HOME/wlserver_10.3/common/bin where $MIDDLEWARE_HOME refers to the install directory of Middleware. Look for the patterns - SUN_ARCH_DATA_MODEL and JAVA_USE_64BIT in the file. For 32-bit mode, the parameters would appear as shown belowSUN_ARCH_DATA_MODEL="32"JAVA_USE_64BIT=false Check the server console logs; which JDK is being used during start-up By checking which JDK is used by the running process of Weblogic Server Configuration Steps Take a backup of the commonEnv.sh script located at $MIDDLEWARE_HOME/wlserver_10.3/common/bin where $MIDDLEWARE_HOME refers to the install directory of Middleware Modify the commonEnv.sh script for the following parameters: The values should be 64 and true respectively for 64-bit modeSUN_ARCH_DATA_MODEL="64"JAVA_USE_64BIT=true  Restart the weblogic server. One can confirm that the JDK being used is 64-bit by looking at the Weblogic console logs during server start up or by looking at the running process.

    Read the article

  • Getting Internal Name of a Share Point List Fields

    - by Gino Abraham
    Over the last 2 weeks i was developing a tool to migrate Lotus notes data base to Share point. The mapping between Lotus notes schema and share point list schema was done manually in an xml file for out tool. To map the columns we wanted internal names of each field. There are quite a few ways to achieve this, have explained few below. If you want internal names for one or 2 columns you can do so by navigating to the list setting and clicking on the column name. Once you are in column's details, you can check the query string of the page. The last item in the query string would be field's internal. Replace all "%5f" with '_' will give you the field internal name. In my case there were more than 80 columns. I used power shell to get the list of columns with details. Open windows Powershell and paste the following script after modifying the url and list name. [System.Reflection.Assembly]::LoadWithPartialName("Microsoft.SharePoint") $site = new-object Microsoft.SharePoint.SPSite(http://yousitecolurl) $web = $site.OpenWeb() $list = $web.Lists["yourlist name"] $list.Fields | Format-Table Title, InternalName, TypeAsString I also found a tool in Codeplex.com which can generate a wrapper class for a list. The wrapper class will give you the guid and internal name for all fields in the list.  You can download the tool from http://imtech.codeplex.com/ Just enter the url in the text box and hit open. All the site content will be listed at the left hand side, expand the list, right click and select generate wrapper class.

    Read the article

  • fsck: FILE SYSTEM WAS MODIFIED after each check with -c, why?

    - by Chris
    Hi I use a script to partition and format CF cards (connected with a USB card writer) in an automated way. After the main process I check the card again with fsck. To check bad blocks I also tried the '-c' switch, but I always get a return value != 0 and the message "FILE SYSTEM WAS MODIFIED" (see below). I get the same result when checking the very same drive several times... Does anyone know why a) the file system is modified at all and b) why this seems to happen every time I check and not only in case of an error (like bad blocks)? Here's the output: linux-box# fsck.ext3 -c /dev/sdx1 e2fsck 1.40.2 (12-Jul-2007) Checking for bad blocks (read-only test): done Pass 1: Checking inodes, blocks, and sizes Pass 2: Checking directory structure Pass 3: Checking directory connectivity Pass 4: Checking reference counts Pass 5: Checking group summary information Volume (/dev/sdx1): ***** FILE SYSTEM WAS MODIFIED ***** Volume (/dev/sdx1): 5132/245760 files (1.2% non-contiguous), 178910/1959896 blocks Thanks, Chris

    Read the article

  • Transport rules on a live@edu instance to filter SSNs

    - by wbfreema
    Has anyone implemented transport rules on a live@edu(or whatever Microsoft is calling it these days) instance to reject the delivery of messages that include SSN's? I see how to set up transport rules in Exchange 2007, and even how to do it in the Windows Live Admin page, though the rules there don't seem to allow for regexes, can anyone confirm this? If this is the case has anyone ever connected Powershell to a live@edu instance to implement the code found at the bottom of this page: http://technet.microsoft.com/en-us/library/aa997187.aspx What I really need is a concise how-to.

    Read the article

  • ScreenManagement better practices ?! Textbox not focusing

    - by xykudyax
    I saw a question here using DataTemplates with WPF for ScreenManagement, I was curious and I gave it a try I think the ideia is amazing and very clean. Though I'm new to WPF and I read a lot of times that almost everything should be made in XAML and very little should be "coded behind". My questions resolves about using the datatemplate ideia, WHERE should the code that calls the transitions be? where should I define which commands are avaiable in which screens. For example: [ScreenA] Commands: Pressing B - Goes to state B Pressing ESC - Exits [ScreenB] Commands: Pressing A - Goes to state A Pressing SPACE - Exits where do I define the keyEventHandlers? and where do I call the next screen? I'm doing this as an hobby for learning and "if you are learning, better learn it right" :) Thank you for your time. Yes the Q/A I was talking is: What's a good way to handle game screen management in WPF? What I've done so far was to create a Screen class (derived from UserControl) and create some virtual methods: - one for Initializing stuff (like focus a given component by default) - another for inputHandling I handle it by using a switch case and by listening to the PreviewKeyDown event from the parent container (MainWindow) Im not able to do it another way! Help?!. - and a finally one that removes the keyEvent method (when the screen is terminated) Parent.PreviewKeyDown -= OnKeyDown; am I doing okay? I face a problem. When I add a new screen (userControl) containing a TextBox I'm not able to give it autofocus :/ The Caret is there but is not blinking and I have to hit "TAB" before being able to input anything at all :/

    Read the article

  • Source-control 'wet-work'?

    - by Phil Factor
    When a design or creative work is flawed beyond remedy, it is often best to destroy it and start again. The other day, I lost the code to a long and intricate SQL batch I was working on. I’d thought it was impossible, but it happened. With all the technology around that is designed to prevent this occurring, this sort of accident has become a rare event.  If it weren’t for a deranged laptop, and my distraction, the code wouldn’t have been lost this time.  As always, I sighed, had a soothing cup of tea, and typed it all in again.  The new code I hastily tapped in  was much better: I’d held in my head the essence of how the code should work rather than the details: I now knew for certain  the start point, the end, and how it should be achieved. Instantly the detritus of half-baked thoughts fell away and I was able to write logical code that performed better.  Because I could work so quickly, I was able to hold the details of all the columns and variables in my head, and the dynamics of the flow of data. It was, in fact, easier and quicker to start from scratch rather than tidy up and refactor the existing code with its inevitable fumbling and half-baked ideas. What a shame that technology is now so good that developers rarely experience the cleansing shock of losing one’s code and having to rewrite it from scratch.  If you’ve never accidentally lost  your code, then it is worth doing it deliberately once for the experience. Creative people have, until Technology mistakenly prevented it, torn up their drafts or sketches, threw them in the bin, and started again from scratch.  Leonardo’s obsessive reworking of the Mona Lisa was renowned because it was so unusual:  Most artists have been utterly ruthless in destroying work that didn’t quite make it. Authors are particularly keen on writing afresh, and the results are generally positive. Lawrence of Arabia actually lost the entire 250,000 word manuscript of ‘The Seven Pillars of Wisdom’ by accidentally leaving it on a train at Reading station, before rewriting a much better version.  Now, any writer or artist is seduced by technology into altering or refining their work rather than casting it dramatically in the bin or setting a light to it on a bonfire, and rewriting it from the blank page.  It is easy to pick away at a flawed work, but the real creative process is far more brutal. Once, many years ago whilst running a software house that supplied commercial software to local businesses, I’d been supervising an accounting system for a farming cooperative. No packaged system met their needs, and it was all hand-cut code.  For us, it represented a breakthrough as it was for a government organisation, and success would guarantee more contracts. As you’ve probably guessed, the code got mangled in a disk crash just a week before the deadline for delivery, and the many backups all proved to be entirely corrupted by a faulty tape drive.  There were some fragments left on individual machines, but they were all of different versions.  The developers were in despair.  Strangely, I managed to re-write the bulk of a three-month project in a manic and caffeine-soaked weekend.  Sure, that elegant universally-applicable input-form routine was‘nt quite so elegant, but it didn’t really need to be as we knew what forms it needed to support.  Yes, the code lacked architectural elegance and reusability. By dawn on Monday, the application passed its integration tests. The developers rose to the occasion after I’d collapsed, and tidied up what I’d done, though they were reproachful that some of the style and elegance had gone out of the application. By the delivery date, we were able to install it. It was a smaller, faster application than the beta they’d seen and the user-interface had a new, rather Spartan, appearance that we swore was done to conform to the latest in user-interface guidelines. (we switched to Helvetica font to look more ‘Bauhaus’ ). The client was so delighted that he forgave the new bugs that had crept in. I still have the disk that crashed, up in the attic. In IT, we have had mixed experiences from complete re-writes. Lotus 123 never really recovered from a complete rewrite from assembler into C, Borland made the mistake with Arago and Quattro Pro  and Netscape’s complete rewrite of their Navigator 4 browser was a white-knuckle ride. In all cases, the decision to rewrite was a result of extreme circumstances where no other course of action seemed possible.   The rewrite didn’t come out of the blue. I prefer to remember the rewrite of Minix by young Linus Torvalds, or the rewrite of Bitkeeper by a slightly older Linus.  The rewrite of CP/M didn’t do too badly either, did it? Come to think of it, the guy who decided to rewrite the windowing system of the Xerox Star never regretted the decision. I’ll agree that one should often resist calls for a rewrite. One of the worst habits of the more inexperienced programmer is to denigrate whatever code he or she inherits, and then call loudly for a complete rewrite. They are buoyed up by the mistaken belief that they can do better. This, however, is a different psychological phenomenon, more related to the idea of some motorcyclists that they are operating on infinite lives, or the occasional squaddies that if they charge the machine-guns determinedly enough all will be well. Grim experience brings out the humility in any experienced programmer.  I’m referring to quite different circumstances here. Where a team knows the requirements perfectly, are of one mind on methodology and coding standards, and they already have a solution, then what is wrong with considering  a complete rewrite? Rewrites are so painful in the early stages, until that point where one realises the payoff, that even I quail at the thought. One needs a natural disaster to push one over the edge. The trouble is that source-control systems, and disaster recovery systems, are just too good nowadays.   If I were to lose this draft of this very blog post, I know I’d rewrite it much better. However, if you read this, you’ll know I didn’t have the nerve to delete it and start again.  There was a time that one prayed that unreliable hardware would deliver you from an unmaintainable mess of a codebase, but now technology has made us almost entirely immune to such a merciful act of God. An old friend of mine with long experience in the software industry has long had the idea of the ‘source-control wet-work’,  where one hires a malicious hacker in some wild eastern country to hack into one’s own  source control system to destroy all trace of the source to an application. Alas, backup systems are just too good to make this any more than a pipedream. Somehow, it would be difficult to promote the idea. As an alternative, could one construct a source control system that, on doing all the code-quality metrics, would systematically destroy all trace of source code that failed the quality test? Alas, I can’t see many managers buying into the idea. In reading the full story of the near-loss of Toy Story 2, it set me thinking. It turned out that the lucky restoration of the code wasn’t the happy ending one first imagined it to be, because they eventually came to the conclusion that the plot was fundamentally flawed and it all had to be rewritten anyway.  Was this an early  case of the ‘source-control wet-job’?’ It is very hard nowadays to do a rapid U-turn in a development project because we are far too prone to cling to our existing source-code.

    Read the article

< Previous Page | 394 395 396 397 398 399 400 401 402 403 404 405  | Next Page >