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  • I.T. Chargeback : Core to Cloud Computing

    - by Anand Akela
    Contributed by Mark McGill Consolidation and Virtualization have been widely adopted over the years to help deliver benefits such as increased server utilization, greater agility and lower cost to the I.T. organization. These are key enablers of cloud, but in themselves they do not provide a complete cloud solution. Building a true enterprise private cloud involves moving from an admin driven world, where the I.T. department is ultimately responsible for the provisioning of servers, databases, middleware and applications, to a world where the consumers of I.T. resources can provision their infrastructure, platforms and even complete application stacks on demand. Switching from an admin-driven provisioning model to a user-driven model creates some challenges. How do you ensure that users provisioning resources will not provision more than they need? How do you encourage users to return resources when they have finished with them so that others can use them? While chargeback has existed as a concept for many years (especially in mainframe environments), it is the move to this self-service model that has created a need for a new breed of chargeback applications for cloud. Enabling self-service without some form of chargeback is like opening a shop where all of the goods are free. A successful chargeback solution will be able to allocate the costs of shared I.T. infrastructure based on the relative consumption by the users. Doing this creates transparency between the I.T. department and the consumers of I.T. When users are able to understand how their consumption translates to cost they are much more likely to be prudent when it comes to their use of I.T. resources. This also gives them control of their I.T. costs, as moderate usage will translate to a lower charge at the end of the month. Implementing Chargeback successfully create a win-win situation for I.T. and the consumers. Chargeback can help to ensure that I.T. resources are used for activities that deliver business value. It also improves the overall utilization of I.T. infrastructure as I.T. resources that are not needed are not left running idle. Enterprise Manager 12c provides an integrated metering and chargeback solution for Enterprise Manager Targets. This solution is built on top of the rich configuration and utilization information already available in Enterprise Manager. It provides metering not just for virtual machines, but also for physical hosts, databases and middleware. Enterprise Manager 12c provides metering based on the utilization and configuration of the following types of Enterprise Manager Target: Oracle VM Host Oracle Database Oracle WebLogic Server Using Enterprise Manager Chargeback, administrators are able to create a set of Charge Plans that are used to attach prices to the various metered resources. These plans can contain fixed costs (eg. $10/month/database), configuration based costs (eg. $10/month if OS is Windows) and utilization based costs (eg. $0.05/GB of Memory/hour) The self-service user provisioning these resources is then able to view a report that details their usage and helps them understand how this usage translates into cost. Armed with this information, the user is able to determine if the resources are delivering adequate business value based on what is being charged. Figure 1: Chargeback in Self-Service Portal Enterprise Manager 12c provides a variety of additional interfaces into this data. The administrator can access summary and trending reports. Summary reports allow the administrator to drill-down through the cost center hierarchy to identify, for example, the top resource consumers across the organization. Figure 2: Charge Summary Report Trending reports can be used for I.T. planning and budgeting as they show utilization and charge trends over a period of time. Figure 3: CPU Trend Report We also provide chargeback reports through BI Publisher. This provides a way for users who do not have an Enterprise Manager login (such as Line of Business managers) to view charge and usage information. For situations where a bill needs to be produced, chargeback can be integrated with billing applications such as Oracle Billing and Revenue Management (BRM). Further information on Enterprise Manager 12c’s integrated metering and chargeback: White Paper Screenwatch Cloud Management on OTN

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  • Don’t string together XML

    - by KyleBurns
    XML has been a pervasive tool in software development for over a decade.  It provides a way to communicate data in a manner that is simple to understand and free of platform dependencies.  Also pervasive in software development is what I consider to be the anti-pattern of using string manipulation to create XML.  This usually starts with a “quick and dirty” approach because you need an XML document and looks like (for all of the examples here, we’ll assume we’re writing the body of a method intended to take a Contact object and return an XML string): return string.Format("<Contact><BusinessName>{0}</BusinessName></Contact>", contact.BusinessName);   In the code example, I created (or at least believe I created) an XML document representing a simple contact object in one line of code with very little overhead.  Work’s done, right?  No it’s not.  You see, what I didn’t realize was that this code would be used in the real world instead of my fantasy world where I own all the data and can prevent any of it containing problematic values.  If I use this code to create a contact record for the business “Sanford & Son”, any XML parser will be incapable of processing the data because the ampersand is special in XML and should have been encoded as &amp;. Following the pattern that I have seen many times over, my next step as a developer is going to be to do what any developer in his right mind would do – instruct the user that ampersands are “bad” and they cannot be used without breaking computers.  This may work in many cases and is often accompanied by logic at the UI layer of applications to block these “bad” characters, but sooner or later someone is going to figure out that other applications allow for them and will want the same.  This often leads to the creation of “cleaner” functions that perform a replace on the strings for every special character that the person writing the function can think of.  The cleaner function will usually grow over time as support requests reveal characters that were missed in the initial cut.  Sooner or later you end up writing your own somewhat functional XML engine. I have never been told by anyone paying me to write code that they would like to buy a somewhat functional XML engine.  My employer/customer’s needs have always been for something that may use XML, but ultimately is functionality that drives business value. I’m not going to build an XML engine. So how can I generate XML that is always well-formed without writing my own engine?  Easy – use one of the ones provided to you for free!  If you’re in a shop that still supports VB6 applications, you can use the DomDocument or MXXMLWriter object (of the two I prefer MXXMLWriter, but I’m not going to fully describe either here).  For .Net Framework applications prior to the 3.5 framework, the code is a little more verbose than I would like, but easy once you understand what pieces are required:             using (StringWriter sw = new StringWriter())             {                 using (XmlTextWriter writer = new XmlTextWriter(sw))                 {                     writer.WriteStartDocument();                     writer.WriteStartElement("Contact");                     writer.WriteElementString("BusinessName", contact.BusinessName);                     writer.WriteEndElement(); // end Contact element                     writer.WriteEndDocument();                     writer.Flush();                     return sw.ToString();                 }             }   Looking at that code, it’s easy to understand why people are drawn to the initial one-liner.  Lucky for us, the 3.5 .Net Framework added the System.Xml.Linq.XElement object.  This object takes away a lot of the complexity present in the XmlTextWriter approach and allows us to generate the document as follows: return new XElement("Contact", new XElement("BusinessName", contact.BusinessName)).ToString();   While it is very common for people to use string manipulation to create XML, I’ve discussed here reasons not to use this method and introduced powerful APIs that are built into the .Net Framework as an alternative.  I’ve given a very simplistic example here to highlight the most basic XML generation task.  For more information on the XmlTextWriter and XElement APIs, check out the MSDN library.

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  • jQuery FullCalendar - trying to add event and display on calendar failed

    - by Michael Mao
    Hi all: I am trying to work out how to use Adam Shaw's brilliant jQuery plugin - FullCalendar to add an event on our project : online balloon ordering page under development Basically, if you click on "step1" and choose "pickup in shop" , the page will bring you to the calendar view, where you could click on the upper-right corner at the "week" button to alter the view to a weekly basis. What I am trying to achieve is when client clicks on an empty slot in a day, she can create her event on that spot. Here is my code in custom.js: dayClick: function() { var n = parseInt(this.className.match(/fc\-slot(\d+)/)[1]); alert('a day has been clicked on slot ' + n); //trying to add an event using the renderEvent() method. $('#' + type + 'Calendar').fullCalendar('renderEvent', { title : 'my pickup slot', start : new Date(y,m,d, 12, 30), end : new Date(y,m,d, 13, 00), }); } It tries to use the FullCalendar's API method renderEvent so to create such an event. However, although my code runs without error and I can see the prompt saying which slot has been clicked, It wouldn't render such an new event on calendar. Is there another way to do this or my code does something wrong? Any suggestion would be much appreciated, thanks a lot in advance.

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  • What is best practice as far as using perl-isms (idiomatic expressions) in Perl?

    - by DVK
    A couple of years back I participated in writing the best practices/coding style for our (fairly large and often Perl-using) company. It was done by a committee of "senior" Perl developers. As anything done by consensus, it had parts which everyone disagreed with. Duh. The part that rubbed wrong the most was a strong recommendation to NOT use many Perlisms (loosely defined as code idioms not present in, say C++ or Java), such as "Avoid using '... unless X;' constructs". The main rationale posited for such rules as this one was that non-Perl developers would have much harder time with the Perl code base otherwise. The assumption here I guess is that Perl code jockeys are rarer breed overall - and among new hires to the company - than non-Perlers. I was wondering whether SO has any good arguments to support or reject this logic... it is mostly academic curiosity at this point as the company's Perl coding standard is ossified and will never be revised again as far as I'm aware. P.S. Just to be clear, the question is in the context I noted - the answer for an all-Perl smaller development shop is obviously a resounding "use Perl to its maximum capability".

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  • code review: Is it subjective or objective(quantifiable) ?

    - by Ram
    I am putting together some guidelines for code reviews. We do not have one formal process yet, and trying to formalize it. And our team is geographically distributed We are using TFS for source control (used it for tasks/bug tracking/project management as well, but migrated that to JIRA) with VS2008 for development. What are the things you look for when doing a code review ? These are the things I came up with Enforce FXCop rules (we are a Microsoft shop) Check for performance (any tools ?) and security (thinking about using OWASP- code crawler) and thread safety Adhere to naming conventions The code should cover edge cases and boundaries conditions Should handle exceptions correctly (do not swallow exceptions) Check if the functionality is duplicated elsewhere method body should be small(20-30 lines) , and methods should do one thing and one thing only (no side effects/ avoid temporal coupling -) Do not pass/return nulls in methods Avoid dead code Document public and protected methods/properties/variables What other things do you generally look for ? I am trying to see if we can quantify the review process (it would produce identical output when reviewed by different persons) Example: Saying "the method body should be no longer than 20-30 lines of code" as opposed to saying "the method body should be small" Or is code review very subjective ( and would differ from one reviewer to another ) ? The objective is to have a marking system (say -1 point for each FXCop rule violation,-2 points for not following naming conventions,2 point for refactoring etc) so that developers would be more careful when they check in their code.This way, we can identify developers who are consistently writing good/bad code.The goal is to have the reviewer spend about 30 minutes max, to do a review (I know this is subjective, considering the fact that the changeset/revision might include multiple files/huge changes to the existing architecture etc , but you get the general idea, the reviewer should not spend days reviewing someone's code) What other objective/quantifiable system do you follow to identify good/bad code written by developers? Book reference: Clean Code: A handbook of agile software craftmanship by Robert Martin

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  • How do you keep your business rules DRY?

    - by Mario
    I periodically ponder how to best design an application whose every business rule exists in just a single location. (While I know there is no proverbial “best way” and that designs are situational, people must have a leaning toward one practice or another.) I work for a shop where they prefer to house as much of the business rules as possible in the database. This requires developers in many cases to perform identical front-end validations to avoid sending data to the database that will result in an exception—not very DRY. It grates me anytime I find myself duplicating any kind of logic—even lowly validation logic. I am a single-point-of-truth purist to an anal degree. On the other end of the spectrum, I know of shops that create dumb databases (the Rails community leans in this direction) and handle all of the business logic in a separate tier (in Rails the models would house “most” of this). Note the word “most” which implies that some business logic does end up spilling into other places (in Rails it might spill over into the controllers). In way, a clean separation of concerns where all business logic exists in a single core location is a Utopian fantasy that’s hard to uphold (n-tiered architecture or not). Furthermore, is see the “Database as a fortress” and would agree that it should be built on constraints that cause it to reject bad data. As such, I hold principles that cause a degree of angst as I attempt to balance them. How do you balance the database-as-a-fortress view with the desire to have a single-point-of-truth?

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  • Contact-to-hire from the perspective of the headhunter agency?

    - by jamieb
    I operate a small IT consulting firm. One of my clients has expressed an interest in having an ASP.Net programmer on-site at their location for a six-month contract, with an option to hire. I've never really operated my company as a body shop (renting out talent for the long term) and an unfamiliar with how to price my quote. Assume I were to bring on a new developer as a 1099'ed contractor and then contract that person out to my client for the duration of the project. If I'm billing my client $X per hour for this developer's time, what should I be compensating this developer? $X/2 per hour? What's the typical ratio? If the client decides to hire this person at the end of the contract, what should I be compensated? Is it a flat finders fee, or maybe a function of the developer's annual salary? Would there be any advantage to actually hiring the person as a 1040'd employee rather than a 1099 contractor even if I can't offer him benefits? I know other body shops (like Robert Half) do this and never understood why.

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  • Cross domains sessions - shared shopping cart cross domains

    - by Jaroslav Moravec
    Hi, we are solving the problem with eshop (php, mysql). The client want to have the same eshop on two domains with shared shopping cart. In the shop customer can do the shopping without users account (can't be logged in). And there is the problem, how to make the shared shopping cart cross domain. The data from cart is stored in sessions, which we stored in database too. But we can't solve the problem in carrying data over domains. Identifying unlogged user is not holeproof (research). The example, how it should work Customer goes to domainOne and add some things to the cart. Than he goes to domainTwo (by link, typing domain address, however) and add some other things to the cart. In the cart he has things from both domains (after refreshing page). Do you have any idea, how to solve this problem? What didn't work: redirecting is not possible due to customer requirments cookies are related to domain set_cookie with the other domain didn't work the simpliest way is to carry over only the sessionid (stored in cookies) but we don't know, how to wholeproof identify unlogged users. is there any other place, where data can be stored on client side except cookies? (probably not) we can't use sending sessionid by params in url (if user click to link to the other domain) or resolving the header referer, bcs we don't know, how user can achieve the other domain. If you can't understand me, take me a question. If you think, that having eshop on two domains with shared (common) cart is bad idea, don't tell me, we know it. Thanks for each answer.

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  • Oracle XMLDB's XMLCAST and XMLQUERY incompatible with iBatis?

    - by tthong
    I've been trying to select a list of values from XMLs stored in an XMLType column but I keep getting the errors which are listed at the tail end of this post. The select id is getXMLFragment , and the relevant subset of the sqlmap.xml is as follows: <select id="getXMLFragment" resultClass="list"> SELECT XMLCAST(XMLQUERY('$CUSTOMER/CUSTOMER/DETAILS/ CUST_NAME/text()' PASSING CUSTOMER AS "CUSTOMER" RETURNING CONTENT) AS VARCHAR2(20)) AS customers FROM SHOP.CLIENT_INFO </select> (CUSTOMER is an XMLType column in CLIENT_INFO) and I call the statement using List<String> custNames= (List<String>) sqlMap.queryForList("getXMLFragment"); I am using ibatis-2.3.4.726.jar. Is it because iBatis does not recognise XMLDB queries and hence, tokenizes the string wrongly? On a sidenote, I have implemented XMLTypeCallback.java to handle XMLType insertions successfully, and I think it will work should I wish to retrieve the entire XML. However, in this case, I need to extract only individual values due to requirements. A workaround would be greatly appreciated. Thanks in advance. The exceptions generated are listed below: --- The error occurred in sqlMap.xml. --- The error occurred while preparing the mapped statement for execution. --- Check the getXMLFragment. --- Check the SQL statement. --- Cause: java.util.NoSuchElementException at com.ibatis.sqlmap.engine.mapping.statement.MappedStatement.executeQueryWithCallback(MappedStatement.java: 204) at com.ibatis.sqlmap.engine.mapping.statement.MappedStatement.executeQueryForList(MappedStatement.java: 139) at com.ibatis.sqlmap.engine.impl.SqlMapExecutorDelegate.queryForList(SqlMapExecutorDelegate.java: 567) at com.ibatis.sqlmap.engine.impl.SqlMapExecutorDelegate.queryForList(SqlMapExecutorDelegate.java: 541) at com.ibatis.sqlmap.engine.impl.SqlMapSessionImpl.queryForList(SqlMapSessionImpl.java: 118) at com.ibatis.sqlmap.engine.impl.SqlMapSessionImpl.queryForList(SqlMapSessionImpl.java: 122) at com.ibatis.sqlmap.engine.impl.SqlMapClientImpl.queryForList(SqlMapClientImpl.java: 98) at Main.main(Main.java:60) Caused by: java.util.NoSuchElementException at java.util.StringTokenizer.nextToken(StringTokenizer.java:332) at com.ibatis.sqlmap.engine.mapping.sql.simple.SimpleDynamicSql.processDynamicElements(SimpleDynamicSql.java: 90) at com.ibatis.sqlmap.engine.mapping.sql.simple.SimpleDynamicSql.getSql(SimpleDynamicSql.java: 45) at com.ibatis.sqlmap.engine.mapping.statement.MappedStatement.executeQueryWithCallback(MappedStatement.java: 184) ... 7 more

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  • .NET projects build automation with NAnt/MSBuild + SVN

    - by petr k.
    Hi everyone, for quite a while now, I've been trying to figure out how to setup an automated build process at our shop. I've read many posts and guides on this matter and none of them really fits my specifics needs. My SVN repository is laid out as follows \projects \projectA (a product) \tags \1.0.0.1 \1.0.0.2 ... \trunk \src \proj1 (a VS C# project) \proj2 \documentation Then I have a network share, with a folder for each project (product), which in turn contains the binaries, written documentation and the generated API documentation (via NDoc - each project may have an .ndoc file in the repository) for every historical version (from the tags SVN folder) and for the latest version as well (from the trunk). Basically, what I want to do in a scheduled batch build are these steps: examine the project's SVN folder and identify tags not present in the network share for each of these tags check out the tag folder build (with Release config) copy the resulting binaries to the network share search for .ndoc files generate CHM files via NDoc copy the resulting CHM files to the network share do the same as in 2., but for the HEAD revision of trunk Now, the trouble is, I have no idea where to start. I do not keep .sln files in the repository, but I am able to replace these with MSBuild files which in turn build the C# projects belonging to the specific product. I guess the most troubling part is the examination of the repository for tags which have not been processed yet - i.e. searching the tags and comparing them to a project's directory structure on the network share. I have no idea how to do that in any of the build tools (NAnt, MSBuild). Could you please provide me with some pointers on how to approach this task as a whole and in detail as well? I do not care if I use NAnt, MSBuild, or both. I am aware that this might be rather complex, but every idea and NAnt/MSBuild snippet will be a great help. Thanks in advance.

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  • What are some strategies for maintaining a common database schema with a team of developers and no D

    - by Mahmoud Abdelkader
    I'm curious about how others have approached the problem of maintaining and synchronizing database changes across many (10+) developers without a DBA? What I mean, basically, is that if someone wants to make a change to the database, what are some strategies to doing that? (i.e. I've created a 'Car' model and now I want to apply the appropriate DDL to the database, etc..) We're primarily a Python shop and our ORM is SQLAlchemy. Previously, we had written our models in such a way to create the models using our ORM, but we recently ditched this because: We couldn't track changes using the ORM The state of the ORM wasn't in sync with the database (e.g. lots of differences primarily related to indexes and unique constraints) There was no way to audit database changes unless the developer documented the database change via email to the team. Our solution to this problem was to basically have a "gatekeeper" individual who checks every change into the database and applies all accepted database changes to an accepted_db_changes.sql file, whereby the developers who need to make any database changes put their requests into a proposed_db_changes.sql file. We check this file in, and, when it's updated, we all apply the change to our personal database on our development machine. We don't create indexes or constraints on the models, they are applied explicitly on the database. I would like to know what are some strategies to maintain database schemas and if ours is seems reasonable. Thanks!

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  • ASP.NET MVC - PartialView not refreshing

    - by Billy Logan
    Hello Everyone, I have a view that uses a javascript callback to reload a partial view. For whatever reason the contents of the partial class do not refresh even though i can step through the entire process and see the page being recalled and populated. Any reason why the page would not display? Code is as follows: <div id="big_image_content"> <% Html.RenderPartial("ZoomImage", Model); %> </div> This link should reload the div above: <a href="javascript:void(0)" onclick="$('#big_image_content').load('/ShopDetai/ZoomImage);" title="<%= shape.Shape %>" alt="<%= shape.Shape %>"> <img src="http://images.rugs-direct.com/<%= shape.Image.ToLower() %>" width="40" alt="<%= shape.Shape %>"> </a> partial view(ZoomImage.ascx) simplified for now, but still doesn't load: <%@ Control Language="C#" Inherits="System.Web.Mvc.ViewUserControl<RugsDirect.Data.ItemDetailsModel>" %> <%= Model.Category.ToLower()%> And finally the controller side of things: public ActionResult ZoomImage() { try { ItemDetailsModel model = GetMainImageContentModel(); return PartialView("ZoomImage", model); } catch (Exception ex) { //send the error email ExceptionPolicy.HandleException(ex, "Exception Policy"); //redirect to the error page return RedirectToAction("ViewError", "Shop"); } } Again, i can step through this entire process and all seems to be working accept for the page not reloading. I can even break on the <%= Model.Category.ToLower()% of the partial view, but it will not be displayed. Thanks in advance, Billy

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  • jQuery hover DIV- stay active if they hover over the DIV itself

    - by Lock
    I have a DIV that opens up when an image is hovered. When the user leaves the image, the div disappears after a timeout. How can I make it so that the DIV will stay active if the user was to hover over the DIV itself? So the DIV will stay active as long as the user is on the image or the DIV itself? I am using the following: $(document).ready(function() { $(".hover").hover( function(e){ if ( $("#status").is(":hidden")) { var ref = $(this).attr("wsref"); var url = "https://site/_ref/shop/_base/order_status.php?action=getstatus&ref="+ref+"&sid="+Math.random(); $("#status").show(); var height = $(".status").height(); var width = $(".status").width(); leftVal = e.pageX - width -10 + "px"; topVal = e.pageY - height -10 + "px"; $("#status").css({left:leftVal,top:topVal}); $("#status").html("<div id='loading'></div>").load(url); } }, function() { if ( $("#status").is(':visible')) { setTimeout('$("#status").hide()',0); } }); }); HTML <a href="#"><img class="hover" title="Order Received" name="Order Received" src="https://site/_ref/images/cart.png" wsref="002731"/></a>

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  • page wide bread crumb bar as at apple.com/store

    - by punkish
    I want to build a (don't know what to call it other than) bread crumb bar at the top of the page, kinda like at http://store.apple.com/us/browse/home/shop_mac/software, y'know, at the top of the page, the horizontal, light grey bar that looks like so [home icon] | Shop Mac | Mac Software Help | Account | Cart Actually, I've got that bar working, with a curved, square left edge, the intermediate chevrons, and the curved, square right edge. So, my bar looks like so [ Home > Foo > Bar > Baz ] I have little graphics fragments that make up the [ and the and the ] and the middle parts. The only problem is, I want the right edge to be at the right edge of my page. So, the above bar should look like so [ Home > Foo > Bar > Baz ] I want to have a variable number of entries in my bread crumb bar... so, I could have "Home, Foo, Bar, Baz" or I could have "Home, Foo" or "Home, Foo, Bar, Baz, Qux" and so on. In other words, I want the right edge of my bar to be dynamically long enough to extend to the edge of my web page. Suggestions?

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  • Distance between Long Lat coord using SQLITE

    - by munchine
    I've got an sqlite db with long and lat of shops and I want to find out the closest 5 shops. So the following code works fine. if(sqlite3_prepare_v2(db, sqlStatement, -1, &compiledStatement, NULL) == SQLITE_OK) { while (sqlite3_step(compiledStatement) == SQLITE_ROW) { NSString *branchStr = [NSString stringWithUTF8String:(char *)sqlite3_column_text(compiledStatement, 0)]; NSNumber *fLat = [NSNumber numberWithFloat:(float)sqlite3_column_double(compiledStatement, 1)]; NSNumber *fLong = [NSNumber numberWithFloat:(float)sqlite3_column_double(compiledStatement, 2)]; NSLog(@"Address %@, Lat = %@, Long = %@", branchStr, fLat, fLong); CLLocation *location1 = [[CLLocation alloc] initWithLatitude:currentLocation.coordinate.latitude longitude:currentLocation.coordinate.longitude]; CLLocation *location2 = [[CLLocation alloc] initWithLatitude:[fLat floatValue] longitude:[fLong floatValue]]; NSLog(@"Distance i meters: %f", [location1 getDistanceFrom:location2]); [location1 release]; [location2 release]; } } I know the distance from where I am to each shop. My question is. Is it better to put the distance back into the sqlite row, I have the row when I step thru the database. How do I do that? Do I use the UPDATE statement? Does someone have a piece of code to help me. I can read the sqlite into an array and then sort the array. Do you recommend this over the above approach? Is this more efficient? Finally, if someone has a better way to get the closest 5 shops, love to hear it.

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  • Running Magento for multiple clients - single Installaton vs. multiple installations

    - by Chris Hopkins
    Hi There I am looking to set-up a Magento (Community Edition) installation for multiple clients and have researched the matter for a few days now. I can see that the Enterprise Edition has what I need in it, but surprisingly I am not willing to shell out the $12,000 odd yearly subscription. It seems there are a few options available to be but I am worried about the performance I will get out of the various options. Option 1) Single install using AITOC advanced permissions module So this is really what I am after; one installation so that I can update my core files all at the same time and also manage all my store users from one place. The problems here are that I don't know anything about the reliability of this extra product and that I have to pay a bit extra. I am also worried that if I have 10 stores running off this one installation it might all slow down so much and keel over as I have heard allot about Magento's slowness. Module Link: http://www.aitoc.com/en/magentomods_advanced_permissions.html Option 2) Multiple installations of Magento on one server for each shop So here I have 10 Magento installations on one server all running happily away not using any extra money, but I now have 10 separate stores to update and maintain which could be annoying. Also I haven't been able to find a whole lot of other people using this method and when I have they are usually asking how to stop their servers from dying. So this route seems like it could be even worse on my server as I will have more going on on my server but if my server could take it each Magento installation would be simpler and less likely to slow down due to each one having to run 10 shops on its own? Option 3) Use lots of servers and lots of Magento installations I just so do not want to do this. Option 4) Buy Magento Enterprise I do not have the money to do this. So which route is less likely to blow up my server? And does anyone have experience with this holy grail of a module? Thanks for reading and thanks in advance for any help - Chris Hopkins

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  • MS-Excel Negative times

    - by oxinabox.ucc.asn.au
    I'm writing a spreadsheet for a shop manager. What it does is keep track of the number of hours a worker has worked. So you enter times for Monday-Sunday, and then an adjustment - e.g. if they work 40/40/40/32 hours for the month, then you would have an adjustment of -2/-2/-2/+6 to bring the worker to the 38 hour week that he's being paid for. Some (most) weeks may be adjusted for overtime. The spreadsheet then totals the hours. This spreadsheet is supposed to just be a self-calculating version of a paper form. It needs to match the paper form as it has to be substituted for the old form which is given to some other member of the company (pay clerk, I don't know; I'm not rebuilding their whole system, just replacing a form) I'm having trouble entering a negative time in the adj field - the field has a [h]:mm formatting. and when i enter a negative time (e.g. -2:00) it displays an error, saying "incorrectly formatted equation", with the suggestion that if I was entering a string then I should prefix with a apostrophe. How do I overcome this?

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  • Big Nerd Ranch's Android Bootcamp - worth it?

    - by Matt Luongo
    At work, I've been told that I must, before the end of the year, get a certification. The shop is Microsoft heavy, and I'm not. That's why I was excited when I suggested something in support of Android development, and they agreed. Before I go any further, I should say that I don't know what I think about the whole certification question. Frankly, though, I need to do this, regardless of whether I think certification in general is particularly appealing to clients. I realize that the technology is fairly accessible without all this expensive process- but I'd rather focus on Android than, say, getting some MC* scrap of paper. I don't know of any actual Android certification. Instead, I was thinking that the best regarded Android training in the industry should suffice. I've looked into Big Nerd Ranch's Android Bootcamp, and it looks promising. I live in Atlanta, which is a boon. Given that my Java skills are good, does this seem like a decent course? Or is there a better known training program that I should look into?

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  • Design: Website calling a webservice on the same machine

    - by Chris L
    More of a design/conceptual question. At work the decision was made to have our data access layer be called through webservices. So our website would call the webservices for any/all data to and from the database. Both the website & the webservices will be on the same machine(so no trip across the wire), but the database is on a separate machine(so that would require a trip across the wire regardless). This is all in-house, the website, webservice, and database are all within the same company(AFAIK, the webservices won't be reused by another other party). To the best of my knowledge: the website will open a port to the webservices, and the webservices will in turn open another port and go across the wire to the database server to get/submit the data. The trip across the wire can't be avoided, but I'm concerned about the webservices standing in the middle. I do agree there needs to be distinct layers between the functionality(such as business layer, data access layer, etc...), but this seems overly complex to me. I'm also sensing there will be some performance problems down the line. Seems to me it would be better to have the (DAL)assemblies referenced directly within the solution, thus negating the first port to port connection. Any thoughts(or links) both for and against this idea would be appreciated P.S. We're a .NET shop(migrating from vb to C# 3.5)

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  • Telephone Number to Geolocation UK

    - by David Toy
    Is there a service that provides latitude and longitude for UK phone numbers? For example: Query: 0141 574 xxx, Returns: (55.8659829, -4.2602205) [Glasgow City Centre] Allow me to stress that I am not looking for a reverse-directory-enquires. I am more interested in 'local area' for things like weather by phone or "Where's my nearest Pizza Shop?" If this service doesn't exist your suggestions on how to implement it or where to get data from would also be incredibly useful. I am aware that Ofcom provides a list of area codes with a place name [1] suitable for geolocation, but I have my concerns about resolution. I see this as a particular problem in smaller towns and rural areas where an area code will cover a large geographical area. Second Example: Area Code: 01555, Ofcom: Lanark However: 01555 860xxx is Crossford (4 miles W of Lanark) 01555 77xxxx is Carluke (5 miles NW) 01555 89xxxx is Lesmahagow (5 miles SW) 01555 840xxx is Carnwath (7 miles NE) Therefore 01555 covers about ~80 sq miles. That's not particularly local. [1] Ofcom Area Code Tool: http://www.ofcom.org.uk/consumer/2009/09/telephone-area-codes-tool/

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  • Does Team Foundation support cross-app workitem groups?

    - by drachenstern
    We're currently using Visual Source Safe and BugNet and looking to migrate up and away from VSS. I've been pushing for either SVN ( a) we're an ASP.NET shop, b) DCVS is not an option - no matter how much I like Hg ;-) or TFS. Well we finally got a new dev server, so I talked the boss into installing TFS on it (30 day trial). In the meantime, we had started experimenting with FogBugz. We really like FogBugz for about 80% of what we want to do, and the other 20% is probably stuff that we don't know what we want. I'm pushing for TFS because it allows for IDE integrated (mostly) everything. He's pushing for FogBugz because he can group tasks by customer and then project and manage everything from one dashboard. (which means I lose most of my IDE integration - no huge loss I agree) Does TFS support a single dashboard that would span all our solutions (in this case each solution is a full app that we sell to a vertical market client) and let us assign workitems to each solution-spanning-group? So for instance I think we envision something like this: PROJECT1 - Bugtracker and workitems PROJECT2 - Bugtracker and workitems PROJECT3 - Bugtracker and workitems CUSTOMER1 - Deployment schedules, required features, specific notes (Uses PROJECT1, PROJECT2) CUSTOMER2 - Deployment schedules, required features, specific notes (Uses PROJECT2, PROJECT3) CUSTOMER3 - Deployment schedules, required features, specific notes (Uses PROJECT1, PROJECT3) Hopefully that makes sense. naturally it's more complicated than this but I think I've given the details enough to paint a picture. I offered the option of creating dummy projects per customer but he doesn't like that and it doesn't really give us the single dashboard view that we're hoping to end up with (and that FogBugz as we've sorta implmented things does do now). Has anyone got a good suggestion on a management app that would accomplish what both of us want?

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  • Need help to create database schema for wholesale online tee store

    - by techiepark
    Hi, I'm currently working on wholesale online t-shirt shop. I have done this for fixed quantity and price, and its working fine. Now i need to do this for variable quantity and price. Here is the reference link, like what i have to do. Basic tables i have created are - CREATE TABLE attribute ( attribute_id int(11) NOT NULL auto_increment, name varchar(100) NOT NULL, PRIMARY KEY (attribute_id) ); CREATE TABLE attribute_value ( attribute_value_id int(11) NOT NULL auto_increment, attribute_id int(11) NOT NULL, value varchar(100) NOT NULL, PRIMARY KEY (attribute_value_id), KEY idx_attribute_value_attribute_id (attribute_id) ); CREATE TABLE product ( product_id int(11) NOT NULL auto_increment, name varchar(100) NOT NULL, description varchar(1000) NOT NULL, price decimal(10,2) NOT NULL, image varchar(150) default NULL, thumbnail varchar(150) default NULL, PRIMARY KEY (product_id), FULLTEXT KEY idx_ft_product_name_description (name,description) ); CREATE TABLE product_attribute ( product_id int(11) NOT NULL, attribute_value_id int(11) NOT NULL, PRIMARY KEY (product_id,attribute_value_id) ); I'm not getting how to store the price based on variable quantity. Please help me to create product and its related tables. my requirement is same as above reference link.

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  • How do I use text in one cell to trigger row to be copied on another sheet in Excel?

    - by Brian Eby
    I provide all of the cut lists for our cabinet manufacturing in Excel. I tally all parts for the entire job on the first worksheet in an Excel file, and then filter the rows based on the "Material" column, and manually copy/paste each row in to its own material-specific worksheet (example: I filter "Materials" column for "Maple Ply", and then copy all "Maple Ply" rows to the "Maple Ply" worksheet). Then the material specific worksheets are sent to the shop floor for cutting. This is time consuming, and if I need to change any data in the first page, I have to go and manually update the copied row in its material-specific page. Is there any way to make each material page "look" for its material, and automatically populate itself with any row that has the appropriate material in the material column (example: any time I enter "Maple Ply" in the material column of sheet one, that row is automatically copied to the "Maple Ply" worksheet)? If so, could this link be dynamic, rather than just a copy, so that if I change a cell in a particular row on sheet one, that data is also updated on the material-specific worksheet copy? Thank you, Brian

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  • Test-First development tool for SQL Server 2005?

    - by Jeff Jones
    For several years I have been using a testing tool called qmTest that allows me to do test-driven database development for some Firebird databases. I write a test for a new feature (table, trigger, stored procedure, etc.) until it fails, then modify the database until the test passes. If necessary, I do more work on the test until it fails again, then modify the database until the test passes. Once the test for the feature is complete and passes 100% of the time, I save it in a suite of other tests for the database. Before moving on to another test or a deployment, I run all the tests as a suite to make sure nothing is broken. Tests can have dependencies on other tests, and the results are recorded and displayed in a browser. Nothing new here, I am sure. Our shop is aiming toward standardizing on MSSQLServer and I want to use the same procedure for developing our databases. Does anyone know of tools that allow or encourage this kind of development? I believe the Team System does, but we do not own that at this point, and probably will not for some time. I am not opposed to scripting, but would welcome a more graphical environment. Any suggestions?

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  • Need help with WCF design

    - by Jason
    I have been tasked with creating a set of web services. We are a Microsoft shop, so I will be using WCF for this project. There is an interesting design consideration that I haven't been able to figure out a solution for yet. I'll try to explain it with an example: My WCF service exposes a method named Foo(). 10 different users call Foo() at roughly the same time. I have 5 special resources called R1, R2, R3, R4, and R5. We don't really need to know what the resource is, other than the fact that a particular resource can only be in use by one caller at a time. Foo() is responsible to performing an action using one of these special resources. So, in a round-robin fashion, Foo() needs to find a resource that is not in use. If no resources are available, it must wait for one to be freed up. At first, this seems like an easy task. I could maybe create a singleton that keeps track of which resources are currently in use. The big problem is the fact that I need this solution to be viable in a web farm scenario. I'm sure there is a good solution to this problem, but I've just never run across this scenario before. I need some sort of resource tracker / provider that can be shared between multiple WCF hosts. Any ideas from the architects out there would be greatly appreciated!

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