Search Results

Search found 2736 results on 110 pages for 'semantic meaning'.

Page 43/110 | < Previous Page | 39 40 41 42 43 44 45 46 47 48 49 50  | Next Page >

  • MDM Poised for Growth

    - by david.butler(at)oracle.com
    David Nixon, an Oracle colleague of mine, was doing some research on MDM the other day. He came up with some well founded insights that I thought I’d share with you. Gartner recently published a note asking “Should Organizations Using ERP 'Do' Master Data Management?”  It may seem a bit strange but that’s a question Gartner has been asked by a number of companies as organizations are beginning to understand the importance of data governance and data stewardship.  That’s because ERP Suites typically “focus on integrating their own applications within suites, but have little interest in making their suites interoperate with the applications or suites of other vendors.”  Therefore, Gartner is advising customers that “have deployed or plan to support multiple packaged application suites (even from the same vendor) that have different semantic data and/or process models” to add an MDM solution. And it appears that customers are taking note.  In a more recent note entitled “Search Analytics Trends: Master Data Management”, Gartner noted that MDM searches on gartner.com in November 2010 “were 300% higher than [in] May 2009, indicating the increased interest an importance that businesses are placing on MDM.”  Why the increased interest?  Moving towards a single version of the truth is a familiar theme, but customers are talking more about the underlying business value that this enables.  For example, businesses are talking about the need to fix master data before they can successfully move forward on SOA initiatives.  And the growing demands for compliance continue to be a major driver.  In short, companies are talking more about specific and tangible business value, and they are looking for help creating business cases for an MDM initiative. Why This Matters Gartner’s notes make three things clear.  First, MDM is poised for growth as organizations gain a greater understanding for it and the need they have.  Many are still sorting it out, but the demand is growing and is sure to rise.  Second, any organization with a heterogeneous computing environment should invest in MDM.  Even solutions from the same vendor may have different data models and could benefit from MDM.  But the key to growth, or which vendors will benefit the most from it, is the third and perhaps most critical point: companies need help with the business case for MDM. Oracle can help your organization build a compelling business case for MDM. We have seen our 1100+ MDM customers gain competitive advantages in a wide variety of implementations. Give us a ring.

    Read the article

  • Bad Data is Really the Monster

    - by Dain C. Hansen
    Normal 0 false false false EN-US X-NONE X-NONE MicrosoftInternetExplorer4 /* Style Definitions */ table.MsoNormalTable {mso-style-name:"Table Normal"; mso-tstyle-rowband-size:0; mso-tstyle-colband-size:0; mso-style-noshow:yes; mso-style-priority:99; mso-style-qformat:yes; mso-style-parent:""; mso-padding-alt:0in 5.4pt 0in 5.4pt; mso-para-margin:0in; mso-para-margin-bottom:.0001pt; mso-pagination:widow-orphan; font-size:10.0pt; font-family:"Calibri","sans-serif"; mso-bidi-font-family:"Times New Roman";} Bad Data is really the monster – is an article written by Bikram Sinha who I borrowed the title and the inspiration for this blog. Sinha writes: “Bad or missing data makes application systems fail when they process order-level data. One of the key items in the supply-chain industry is the product (aka SKU). Therefore, it becomes the most important data element to tie up multiple merchandising processes including purchase order allocation, stock movement, shipping notifications, and inventory details… Bad data can cause huge operational failures and cost millions of dollars in terms of time, resources, and money to clean up and validate data across multiple participating systems. Yes bad data really is the monster, so what do we do about it? Close our eyes and hope it stays in the closet? We’ve tacked this problem for some years now at Oracle, and with our latest introduction of Oracle Enterprise Data Quality along with our integrated Oracle Master Data Management products provides a complete, best-in-class answer to the bad data monster. What’s unique about it? Oracle Enterprise Data Quality also combines powerful data profiling, cleansing, matching, and monitoring capabilities while offering unparalleled ease of use. What makes it unique is that it has dedicated capabilities to address the distinct challenges of both customer and product data quality – [different monsters have different needs of course!]. And the ability to profile data is just as important to identify and measure poor quality data and identify new rules and requirements. Included are semantic and pattern-based recognition to accurately parse and standardize data that is poorly structured. Finally all of the data quality components are integrated with Oracle Master Data Management, including Oracle Customer Hub and Oracle Product Hub, as well as Oracle Data Integrator Enterprise Edition and Oracle CRM. Want to learn more? On Tuesday Nov 15th, I invite you to listen to our webcast on Reduce ERP consolidation risks with Oracle Master Data Management I’ll be joined by our partner iGate Patni and be talking about one specific way to deal with the bad data monster specifically around ERP consolidation. Look forward to seeing you there!

    Read the article

  • SOA, Cloud & Service Technology Symposium 2012 London

    - by JuergenKress
    Registration Is Now Open With Special Pricing For Oracle Promotional Discount For Exclusive Oracle Discount, Enter Promo Code: Djmxz370 OVERVIEW The International SOA, Cloud + Service Technology Symposium is a yearly event that features the top experts and authors from around the world, providing a series of keynotes, talks, demonstrations, and panels, as well as training and certification workshops - all dedicated to empowering IT professionals to realize modern service technologies and practices in the real world. Click here for a two-page printable conference overview (PDF). KEYNOTES & SPEAKERS More than 80 international subject matter experts will be speaking at the Symposium. Below are confirmed keynotes and speakers so far. Over 50% of the agenda has not yet been finalized. Many more speakers to come. View the partial program calendars on the Conference Agenda page. Keynotes and Speakers Thomas Erl Arcitura Education "SOA, Cloud Computing & Semantic Web Technology: The Sequel - The Era of Intelligent Service Technology" Markus Zirn Oracle "Big Data with CEP and SOA" Clemens Utschig Boehringer Ingelheim Pharma Manas Deb Oracle "The Successful Execution of the SOA and BPM Vision Tim E. Hall Oracle "Community Management: The Next Wave of SOA Governance and API Management" Registration is Now Open with Special Pricing for Oracle Promotional discount for exclusive Oracle discount, Enter Promo Code: DJMXZ370. SPONSORSHIP OPPORTUNITIES The Symposium provides an excellent opportunity to promote your organization in the lead-up to the event, to delegates during the Symposium, and after when the proceedings are made available on the Symposium web site. There are a limited number of premier sponsorship packages available, and a package can be tailored to your needs and budget. Download the Symposium Sponsorship Guide. SOA & BPM Partner Community For regular information on Oracle SOA Suite become a member in the SOA & BPM Partner Community for registration please visit  www.oracle.com/goto/emea/soa (OPN account required) If you need support with your account please contact the Oracle Partner Business Center. Blog Twitter LinkedIn Mix Forum Technorati Tags: SOA Symposium,SOA Cloud Service Technology Symposium,Thomas Erl,SOA Community,Oracle SOA,Oracle BPM,BPM Community,OPN,Jürgen Kress

    Read the article

  • What should filenames and URLs of images contain for SEO benefit?

    - by Baumr
    We know that good site architecture usually looks like this: example-company.com/ example-company.com/about/ example-company.com/contact/ example-company.com/products/ example-company.com/products/category/ example-company.com/products/category/productname/ Now, when it comes to Google Image search, it is clear that the img alt tag, filename/URL, and surrounding text (captions, headings, paragraphs) have an effect on ranking. I want to ask about the filename of the images that we should use (e.g. product-photo.jpg). ...but first about the URL: Often web developers stick all images in a single folder in the root: example-company.com/img/ — and I have stopped doing that. (I don't want to get into it, but basically, it seems more semantic for images which make up part of the content at each sub-directory) However, when all images appear in a folder, I feel that their filename needs to reflect what they are a bit more than usual, for example: example-company.com/img/example-company-productname-category.jpg It's a longer filename than just product.png, but as long as it's relevant, I see no problem with regards to SEO (unless you're keyword stuffing), and it could even help rank for keywords: "example company" "productname" "category" So no questions there. But what about when we have places images in the site architecture we outlined at the beginning? In other words, what if image URL paths look like this: example-company.com/products/category/productname/productname.jpg My question is, should the URL be kept short like above and only have the "productname" (and some descriptive keywords) as part of it's filename? Or, should it also include the "example-company" and "category"? Like so: example-company.com/products/category/productname/example-company-category-productname.jpg That seems much longer, and redundant when we look at the URL, but here are a few considerations. Images are often downloaded onto computers, and, to the average user, they lose their original URL and thus — it isn't clear where they came from. Also, some social networks, forums, and other platforms leave the filename intact when uploaded. (Many others rewrite it, for example, Pinterest and Facebook.) Another consideration, will this really help (even if ever so slightly) rank in Google Image Search, or at least inform Google that the product is something specific to the "example-company"? For example, what if this product can only be bought at this store and is the flagship product? In addition to an abundance of internal links to this product page, would having the "example company" name and "category" help it appear in "example company" searches? In other words, is less more?

    Read the article

  • Analysing SQLBits Feedback

    - by jamiet
    Earlier this week I received all the feedback that people offered on my session at SQLBits 7 in York – “SSIS Dataflow Performance Tuning” (the video is available online if you wish to see it). As you may have gathered from previous posts on this blog and my less-SQLy-focused Wordpress blog I am a big fan of collecting and tracking both personal and public data and session feedback lends itself very well to tracking because it is quantitative rather than qualitative; by that I mean attendees are invited to provide marks out of ten rather than (or, in the case of SQLBits, as well as) written comments. The SQLBits feedback is also useful because they use a consistent format – the same questions are asked each time – this means it is particularly easy to to track whether the scores that people give are trending up or down. I suspect that somewhere the SQLBits organisers have a big Analysis Services cube (ok, perhaps its an Excel pivot table) that allows them to analyse these scores per conference, speaker, track etc.… and there’s no reason that we as session speakers cannot do the same thing. To that end I have started to store my feedback in an Excel spreadsheet of my own which in the interests of transparency is available for public viewing (only a web browser required) on SkyDrive at http://cid-550f681dad532637.office.live.com/view.aspx/Public/Misc/Personal%20SQLBits%20Session%20Feedback.xlsx. I have used a pivot table to aggregate all that feedback and here is a screenshot: I am hereby making a public plea to the SQLBits organisers (on the off-chance that they are reading) to please continue to keep the feedback format consistent in the future and I encourage them to publish all of the feedback in an anonymised form. I would also encourage anyone doing conference speaking to track their conference feedback in the same way that I am doing so that you get an insight into whether or not you are improving over time. It is not difficult to setup and maintaining it as you do more sessions takes very little effort. Storing feedback data like this leads me to wider thoughts about well-known conventions and data format standardisation. Let’s imagine a utopia where there were a standard set of questions for capturing session feedback that were leveraged at every conference regardless of subject matter, location or culture; that would give rise to immense cross-conference and cross-discipline analysis – the data analyst in me goes giddy at the thought of it. It is scenarios like this that drive my interest both in data formats such as iCalendar, microformats and RDF, and in emerging movements such as the semantic web and linked data, all things which I have written about in the past. I don’t know whether we will ever reach the stage where every piece of data has structured, descriptive metadata associated with it but I live in hope. @Jamiet

    Read the article

  • PASS Summit for SQL Starters

    - by Davide Mauri
    I’ve received a buch of emails from PASS Summit “First Timers” that are also somehow new to SQL Server (for “somehow” I mean people with less than 6 month experience but with some basic knowledge of SQL Server engine) or are catching up from SQL Server 2000. The common question regards the session one should not miss to have a broad view of the entire SQL Server platform have some insight into some specific areas of SQL Server Given that I’m on (semi-)vacantion and that I have more free time (not true, I have to prepare slides & demos for several conferences, PASS Summit  - Building the Agile Data Warehouse with SQL Server 2012 - and PASS 24H - Agile Data Warehousing with SQL Server 2012 - among them…but let’s pretend it to be true), I’ve decided to make a post to answer to this common questions. Of course this is my personal point of view and given the fact that the number and quality of session that will be delivered at PASS Summit is so high that is very difficoult to make a choice, fell free to jump into the discussion and leave your feedback or – even better – answer with another post. I’m sure it will be very helpful to all the SQL Server beginners out there. I’ve imposed to myself to choose 6 session at maximum for each Track. Why 6? Because it’s the maximum number of session you can follow in one day, and given that all the session will be on the Summit DVD, they are the answer to the following question: “If I have one day to spend in training, which session I should watch?”. Of course a Summit is not like a Course so a lot of very basics concept of well-established technologies won’t be found here. Analysis Services, Integration Services, MDX are not part of the Summit this time (at least for the basic part of them). Enough with that, let’s start with the session list ideal to have a good Overview of all the SQL Server Platform: Geospatial Data Types in SQL Server 2012 Inside Unstructured Data: SQL Server 2012 FileTable and Semantic Search XQuery and XML in SQL Server: Common Problems and Best Practice Solutions Microsoft's Big Play for Big Data Dashboards: When to Choose Which MSBI Tool Microsoft BI End-User Tools 360° for what concern Database Development, I recommend the following sessions Understanding Transaction Isolation Levels What to Look for in Execution Plans Improve Query Performance by Fixing Bad Parameter Sniffing A Window into Your Data: Using SQL Window Functions Practical Uses and Optimization of New T-SQL Features in SQL Server 2012 Taking MERGE Beyond the Basics For Business Intelligence Information Delivery Analyzing SSAS Data with Excel Building Compelling Power View Reports Managed Self-Service BI PowerPivot 101  SharePoint for Business Intelligence The Best Microsoft BI Tools You've Never Heard Of and for Business Intelligence Architecture & Development BI Power Hour Building a Tabular Model Database Enterprise Information Management: Bringing Together SSIS, DQS, and MDS SSIS Design Patterns Storing Columnstore Indexes Hadoop and Its Ecosystem Components in Action Beside the listed sessions, First Timers should also take a look the the page PASS set up for them: http://www.sqlpass.org/summit/2012/Connect/FirstTimers.aspx See you at PASS Summit!

    Read the article

  • Why can't Java/C# implement RAII?

    - by mike30
    Question: Why can't Java/C# implement RAII? Clarification: I am aware the garbage collector is not deterministic. So with the current language features it is not possible for an object's Dispose() method to be called automatically on scope exit. But could such a deterministic feature be added? My understanding: I feel an implementation of RAII must satisfy two requirements: 1. The lifetime of a resource must be bound to a scope. 2. Implicit. The freeing of the resource must happen without an explicit statement by the programmer. Analogous to a garbage collector freeing memory without an explicit statement. The "implicitness" only needs to occur at point of use of the class. The class library creator must of course explicitly implement a destructor or Dispose() method. Java/C# satisfy point 1. In C# a resource implementing IDisposable can be bound to a "using" scope: void test() { using(Resource r = new Resource()) { r.foo(); }//resource released on scope exit } This does not satisfy point 2. The programmer must explicitly tie the object to a special "using" scope. Programmers can (and do) forget to explicitly tie the resource to a scope, creating a leak. In fact the "using" blocks are converted to try-finally-dispose() code by the compiler. It has the same explicit nature of the try-finally-dispose() pattern. Without an implicit release, the hook to a scope is syntactic sugar. void test() { //Programmer forgot (or was not aware of the need) to explicitly //bind Resource to a scope. Resource r = new Resource(); r.foo(); }//resource leaked!!! I think it is worth creating a language feature in Java/C# allowing special objects that are hooked to the stack via a smart-pointer. The feature would allow you to flag a class as scope-bound, so that it always is created with a hook to the stack. There could be a options for different for different types of smart pointers. class Resource - ScopeBound { /* class details */ void Dispose() { //free resource } } void test() { //class Resource was flagged as ScopeBound so the tie to the stack is implicit. Resource r = new Resource(); //r is a smart-pointer r.foo(); }//resource released on scope exit. I think implicitness is "worth it". Just as the implicitness of garbage collection is "worth it". Explicit using blocks are refreshing on the eyes, but offer no semantic advantage over try-finally-dispose(). Is it impractical to implement such a feature into the Java/C# languages? Could it be introduced without breaking old code?

    Read the article

  • Detecting source of memory usage on a Linux box

    - by apeace
    I have a toy Linux box with 256mb RAM running Ubuntu 10.04.1 LTS. Here is the output of free -m: total used free shared buffers cached Mem: 245 122 122 0 19 64 -/+ buffers/cache: 38 206 Swap: 511 0 511 Unless I'm reading this wrong, 122mb is being used and only 84mb of that is disk cache. Here are all processes I'm running sorted by memory usage (ps -eo pmem,pcpu,rss,vsize,args | sort -k 1 -r): %MEM %CPU RSS VSZ COMMAND 5.0 0.0 12648 633140 node /home/node/main/sites.js 1.5 0.0 3884 251736 /usr/sbin/console-kit-daemon --no-daemon 1.3 0.0 3328 77108 sshd: apeace [priv] 0.9 0.0 2344 19624 -bash 0.7 0.0 1776 23620 /sbin/init 0.6 0.0 1624 77108 sshd: apeace@pts/0 0.6 0.0 1544 9940 redis-server /etc/redis/redis.conf 0.6 0.0 1524 25848 /usr/sbin/ntpd -p /var/run/ntpd.pid -g -u 103:105 0.5 0.0 1324 119880 rsyslogd -c4 0.4 0.0 1084 49308 /usr/sbin/sshd 0.4 0.0 1028 44376 /usr/sbin/exim4 -bd -q30m 0.3 0.0 904 6876 ps -eo pmem,pcpu,rss,vsize,args 0.3 0.0 888 21124 cron 0.3 0.0 868 23472 dbus-daemon --system --fork 0.2 0.0 732 19624 -bash 0.2 0.0 628 6128 /sbin/getty -8 38400 tty1 0.2 0.0 628 16952 upstart-udev-bridge --daemon 0.2 0.0 564 16800 udevd --daemon 0.2 0.0 552 16796 udevd --daemon 0.2 0.0 548 16796 udevd --daemon 0.0 0.0 0 0 [xenwatch] 0.0 0.0 0 0 [xenbus] 0.0 0.0 0 0 [sync_supers] 0.0 0.0 0 0 [netns] 0.0 0.0 0 0 [migration/3] 0.0 0.0 0 0 [migration/2] 0.0 0.0 0 0 [migration/1] 0.0 0.0 0 0 [migration/0] 0.0 0.0 0 0 [kthreadd] 0.0 0.0 0 0 [kswapd0] 0.0 0.0 0 0 [kstriped] 0.0 0.0 0 0 [ksoftirqd/3] 0.0 0.0 0 0 [ksoftirqd/2] 0.0 0.0 0 0 [ksoftirqd/1] 0.0 0.0 0 0 [ksoftirqd/0] 0.0 0.0 0 0 [ksnapd] 0.0 0.0 0 0 [kseriod] 0.0 0.0 0 0 [kjournald] 0.0 0.0 0 0 [khvcd] 0.0 0.0 0 0 [khelper] 0.0 0.0 0 0 [kblockd/3] 0.0 0.0 0 0 [kblockd/2] 0.0 0.0 0 0 [kblockd/1] 0.0 0.0 0 0 [kblockd/0] 0.0 0.0 0 0 [flush-202:1] 0.0 0.0 0 0 [events/3] 0.0 0.0 0 0 [events/2] 0.0 0.0 0 0 [events/1] 0.0 0.0 0 0 [events/0] 0.0 0.0 0 0 [crypto/3] 0.0 0.0 0 0 [crypto/2] 0.0 0.0 0 0 [crypto/1] 0.0 0.0 0 0 [crypto/0] 0.0 0.0 0 0 [cpuset] 0.0 0.0 0 0 [bdi-default] 0.0 0.0 0 0 [async/mgr] 0.0 0.0 0 0 [aio/3] 0.0 0.0 0 0 [aio/2] 0.0 0.0 0 0 [aio/1] 0.0 0.0 0 0 [aio/0] Now, I know that ps is not the best for viewing process memory usage, but that's because it tends to report more memory than is actually being used...meaning no matter how you look at it all my processes combined shouldn't be using near 122mb, even if you account for the disk cache. What's more, memory usage is growing all the time. I've had to restart my server once a week, because once my 256mb fills up it starts swapping, which it wouldn't do just for disk cache. Shouldn't there be some way for me to see the culprit?! I'm new to server admin, so please if there's something obvious I'm overlooking point it out to me. Just for good measure, the output of cat /proc/meminfo: MemTotal: 251140 kB MemFree: 124604 kB Buffers: 20536 kB Cached: 66136 kB SwapCached: 0 kB Active: 65004 kB Inactive: 37576 kB Active(anon): 15932 kB Inactive(anon): 164 kB Active(file): 49072 kB Inactive(file): 37412 kB Unevictable: 0 kB Mlocked: 0 kB SwapTotal: 524284 kB SwapFree: 524284 kB Dirty: 8 kB Writeback: 0 kB AnonPages: 15916 kB Mapped: 10668 kB Shmem: 188 kB Slab: 18604 kB SReclaimable: 10088 kB SUnreclaim: 8516 kB KernelStack: 536 kB PageTables: 1444 kB NFS_Unstable: 0 kB Bounce: 0 kB WritebackTmp: 0 kB CommitLimit: 649852 kB Committed_AS: 64224 kB VmallocTotal: 34359738367 kB VmallocUsed: 752 kB VmallocChunk: 34359737600 kB DirectMap4k: 262144 kB DirectMap2M: 0 kB EDIT: I had misinterpreted the meaning of free -m at first. But even so: the important thing is that my OS eventually begins to use swap memory if I don't restart my server, which disk caching wouldn't do. So where do I look to see what is using all this memory?

    Read the article

  • Accessing resources on localhost using domain credentials

    - by jas
    I'm trying to set up Team Foundation Server 2010, Sharepoint Server 2010 and Report Server 2008R2. I apologize for how long my question/problem is but I'm really lost on where to even look so am being as descriptive as possible in hopes that I'm making sense. The goal: Since developers can be inside or outside the firewall there needs to be a single http point of entry to TFS that works regardless of which side of the firewall you are and needs to work with external access to SharePoint and Report Server. Meaning we have it set up in DNS so buildserver.mydomain.com: points to the build service box which contains all of the services listed at the top of this post and specific services are defined/located by the port number. This is working great on every machine inside and out except for from the build server itself. All services must be able to work using external URLs. If I use http:// buildserver.mydomain.com:4800/tfs (the external URL) from my notebook which is behind the firewall I'm able to login with my domain credentials as expected. If the other developer points to the same URL from their home which isn't on the domain they are also able to login using their domain credentials. However if I am directly on buildserver and call SharePoint, TFS or Reporting Server from (i.e. http:// buildserver.mydomain.com:4800) itself using the external URL, I am prompted for a username and password. Entering my domain credentials results in another prompt to enter my credentials again. It will prompt three times regardless of which credentials are used (I have rights as a domain admin) and then after the third prompt directs me to a blank white page as though access was denied. There are no errors displayed on the page and nothing ends up in the event viewer. From buildserver if i use just the host name (the internal URL), then I'm prompted a single time for credentials and it works. i.e. http:// buildserver:4800/tfs works from the server itself. The behavior is identical for any service requiring authentication. Meaning from the box itself Sharepoint Central Admin, SharePoint WebApp, TFS, TFS Web Access, Report Server and Report Manager all fail using the external URL but will succeed if called using the interal URL. So the problem comes into play when configuring all of the services to work together. The only way to configure TFS is locally from the server which means I must point to the internal reporting server url (http:// buildserver:4800/reports and reportServer respectively instead of http:// buildserver.domainname.com:4800 like they need to be) since external URLs aren't working from itself. If I configure TFS to use the internal URL for Report Server then creating team projects or working in the SharePoint site for the team project fails for anyone not inside the domain since their machines have no idea who http:// buildserver:/reports even is or how to resolve them. I have configured Sharepoint with Alternate Access Mappings as well as set up Report Server to listen for external URLs. The external URLs simply aren't working when called from the server itself. I hope this makes sense. Thanks for taking the time to read this rather verbose plea for help.

    Read the article

  • Configuring dhcp module in FreeRadius (3.0.2 - Centos 6.5)

    - by mixja
    I am using the REST module to authorise a DHCP request. I would like to send an explicit DHCP NAK if the authorisation fails, however the DHCP module seems to return immediately if there is a failure and just ignores the DHCP request without any response. Here is my DHCP module configuration - if rest.authorize is successful, the if (ok) control block is hit, but if rest.authorize fails the if (fail) is never hit. dhcp DHCP-Discover { rest.authorize if (fail) { update reply { DHCP-Message-Type = DHCP-Nak } } if (ok) { update reply { DHCP-Message-Type = DHCP-Offer } update reply { DHCP-Domain-Name-Server = x.x.x.x DHCP-Domain-Name-Server = x.x.x.x DHCP-Subnet-Mask = 255.255.255.0 DHCP-Router-Address = x.x.x.x DHCP-IP-Address-Lease-Time = 3600 DHCP-DHCP-Server-Identifier = x.x.x.x } mac2ip } } Below is the output after a 401 Unauthorized is received. I am wanting to achieve a temporary block on DHCP for a specified (small) period of time. However the FreeRADIUS behaviour is to ignore duplicate requests for same DHCP transaction, meaning DHCP on client is blocked until it begins a new transaction. If a DHCP NAK can be sent, the DHCP client will initiate a new transaction after each NAK (i.e. DHCP Discover), meaning FreeRADIUS will process each DHCP Discover from the client, and the block will be removed much closer to the desired block time. Tue Jun 3 03:00:57 2014 : Debug: (3) rest : Sending HTTP GET to "http://xxxxxx//api/v1/dhcp/80%3Aea%3A96%3A2a%3Ab6%3Aaa" Tue Jun 3 03:00:57 2014 : Debug: (3) rest : Processing response header Tue Jun 3 03:00:57 2014 : Debug: (3) rest : Status : 401 (Unauthorized) Tue Jun 3 03:00:57 2014 : Debug: (3) rest : Skipping attribute processing, no body data received Tue Jun 3 03:00:57 2014 : Debug: rlm_rest (rest): Released connection (4) Tue Jun 3 03:00:57 2014 : Debug: (3) modsingle[authorize]: returned from rest (rlm_rest) for request 3 Tue Jun 3 03:00:57 2014 : Debug: (3) [rest.authorize] = fail Tue Jun 3 03:00:57 2014 : Debug: (3) } # dhcp DHCP-Discover = fail Tue Jun 3 03:00:57 2014 : Debug: (3) Finished request 3. Tue Jun 3 03:00:57 2014 : Debug: Waking up in 0.2 seconds. Tue Jun 3 03:00:58 2014 : Debug: Waking up in 4.6 seconds. Received DHCP-Discover of id 7b0fb2de from 172.19.0.9:67 to 172.19.0.12:67 Tue Jun 3 03:00:59 2014 : Debug: (3) No reply. Ignoring retransmit. Tue Jun 3 03:00:59 2014 : Debug: Waking up in 2.9 seconds. Received DHCP-Discover of id 7b0fb2de from 172.19.0.9:67 to 172.19.0.12:67 Tue Jun 3 03:01:02 2014 : Debug: (3) No reply. Ignoring retransmit. Tue Jun 3 03:01:02 2014 : Debug: Waking up in 0.4 seconds. Tue Jun 3 03:01:02 2014 : Debug: (2) Cleaning up request packet ID 2064626397 with timestamp +56 Tue Jun 3 03:01:02 2014 : Debug: Waking up in 1999991.0 seconds. Received DHCP-Discover of id 7b0fb2de from 172.19.0.9:67 to 172.19.0.12:67 Tue Jun 3 03:01:06 2014 : Debug: (3) No reply. Ignoring retransmit. Tue Jun 3 03:01:06 2014 : Debug: Waking up in 3999983.1 seconds. Received DHCP-Discover of id 7b0fb2de from 172.19.0.9:67 to 172.19.0.12:67 Tue Jun 3 03:01:15 2014 : Debug: (3) No reply. Ignoring retransmit. Tue Jun 3 03:01:15 2014 : Debug: Waking up in 7999966.3 seconds. Received DHCP-Discover of id 7b0fb2de from 172.19.0.9:67 to 172.19.0.12:67 Tue Jun 3 03:01:23 2014 : Debug: (3) No reply. Ignoring retransmit. Tue Jun 3 03:01:23 2014 : Debug: Waking up in 15999942.1 seconds.

    Read the article

  • AutoMapper MappingFunction from Source Type of NameValueCollection

    - by REA_ANDREW
    I have had a situation arise today where I need to construct a complex type from a source of a NameValueCollection.  A little while back I submitted a patch for the Agatha Project to include REST (JSON and XML) support for the service contract.  I realized today that as useful as it is, it did not actually support true REST conformance, as REST should support GET so that you can use JSONP from JavaScript directly meaning you can query cross domain services.  My original implementation for POX and JSON used the POST method and this immediately rules out JSONP as from reading, JSONP only works with GET Requests. This then raised another issue.  The current operation contract of Agatha and one of its main benefits is that you can supply an array of Request objects in a single request, limiting the about of server requests you need to make.  Now, at the present time I am thinking that this will not be the case for the REST imlementation but will yield the benefits of the fact that : The same Request objects can be used for SOAP and RST (POX, JSON) The construct of the JavaScript functions will be simpler and more readable It will enable the use of JSONP for cross domain REST Services The current contract for the Agatha WcfRequestProcessor is at time of writing the following: [ServiceContract] public interface IWcfRequestProcessor { [OperationContract(Name = "ProcessRequests")] [ServiceKnownType("GetKnownTypes", typeof(KnownTypeProvider))] [TransactionFlow(TransactionFlowOption.Allowed)] Response[] Process(params Request[] requests); [OperationContract(Name = "ProcessOneWayRequests", IsOneWay = true)] [ServiceKnownType("GetKnownTypes", typeof(KnownTypeProvider))] void ProcessOneWayRequests(params OneWayRequest[] requests); }   My current proposed solution, and at the very early stages of my concept is as follows: [ServiceContract] public interface IWcfRestJsonRequestProcessor { [OperationContract(Name="process")] [ServiceKnownType("GetKnownTypes", typeof(KnownTypeProvider))] [TransactionFlow(TransactionFlowOption.Allowed)] [WebGet(UriTemplate = "process/{name}/{*parameters}", BodyStyle = WebMessageBodyStyle.WrappedResponse, ResponseFormat = WebMessageFormat.Json)] Response[] Process(string name, NameValueCollection parameters); [OperationContract(Name="processoneway",IsOneWay = true)] [ServiceKnownType("GetKnownTypes", typeof(KnownTypeProvider))] [WebGet(UriTemplate = "process-one-way/{name}/{*parameters}", BodyStyle = WebMessageBodyStyle.WrappedResponse, ResponseFormat = WebMessageFormat.Json)] void ProcessOneWayRequests(string name, NameValueCollection parameters); }   Now this part I have not yet implemented, it is the preliminart step which I have developed which will allow me to take the name of the Request Type and the NameValueCollection and construct the complex type which is that of the Request which I can then supply to a nested instance of the original IWcfRequestProcessor  and work as it should normally.  To give an example of some of the urls which you I envisage with this method are: http://www.url.com/service.svc/json/process/getweather/?location=london http://www.url.com/service.svc/json/process/getproductsbycategory/?categoryid=1 http://www.url.om/service.svc/json/process/sayhello/?name=andy Another reason why my direction has gone to a single request for the REST implementation is because of restrictions which are imposed by browsers on the length of the url.  From what I have read this is on average 2000 characters.  I think that this is a very acceptable usage limit in the context of using 1 request, but I do not think this is acceptable for accommodating multiple requests chained together.  I would love to be corrected on that one, I really would but unfortunately from what I have read I have come to the conclusion that this is not the case. The mapping function So, as I say this is just the first pass I have made at this, and I am not overly happy with the try catch for detecting types without default constructors.  I know there is a better way but for the minute, it escapes me.  I would also like to know the correct way for adding mapping functions and not using the anonymous way that I have used.  To achieve this I have used recursion which I am sure is what other mapping function use. As you do have to go as deep as the complex type is. public static object RecurseType(NameValueCollection collection, Type type, string prefix) { try { var returnObject = Activator.CreateInstance(type); foreach (var property in type.GetProperties()) { foreach (var key in collection.AllKeys) { if (String.IsNullOrEmpty(prefix) || key.Length > prefix.Length) { var propertyNameToMatch = String.IsNullOrEmpty(prefix) ? key : key.Substring(property.Name.IndexOf(prefix) + prefix.Length + 1); if (property.Name == propertyNameToMatch) { property.SetValue(returnObject, Convert.ChangeType(collection.Get(key), property.PropertyType), null); } else if(property.GetValue(returnObject,null) == null) { property.SetValue(returnObject, RecurseType(collection, property.PropertyType, String.Concat(prefix, property.PropertyType.Name)), null); } } } } return returnObject; } catch (MissingMethodException) { //Quite a blunt way of dealing with Types without default constructor return null; } }   Another thing is performance, I have not measured this in anyway, it is as I say the first pass, so I hope this can be the start of a more perfected implementation.  I tested this out with a complex type of three levels, there is no intended logical meaning to the properties, they are simply for the purposes of example.  You could call this a spiking session, as from here on in, now I know what I am building I would take a more TDD approach.  OK, purists, why did I not do this from the start, well I didn’t, this was a brain dump and now I know what I am building I can. The console test and how I used with AutoMapper is as follows: static void Main(string[] args) { var collection = new NameValueCollection(); collection.Add("Name", "Andrew Rea"); collection.Add("Number", "1"); collection.Add("AddressLine1", "123 Street"); collection.Add("AddressNumber", "2"); collection.Add("AddressPostCodeCountry", "United Kingdom"); collection.Add("AddressPostCodeNumber", "3"); AutoMapper.Mapper.CreateMap<NameValueCollection, Person>() .ConvertUsing(x => { return(Person) RecurseType(x, typeof(Person), null); }); var person = AutoMapper.Mapper.Map<NameValueCollection, Person>(collection); Console.WriteLine(person.Name); Console.WriteLine(person.Number); Console.WriteLine(person.Address.Line1); Console.WriteLine(person.Address.Number); Console.WriteLine(person.Address.PostCode.Country); Console.WriteLine(person.Address.PostCode.Number); Console.ReadLine(); }   Notice the convention that I am using and that this method requires you do use.  Each property is prefixed with the constructed name of its parents combined.  This is the convention used by AutoMapper and it makes sense. I can also think of other uses for this including using with ASP.NET MVC ModelBinders for creating a complex type from the QueryString which is itself is a NameValueCollection. Hope this is of some help to people and I would welcome any code reviews you could give me. References: Agatha : http://code.google.com/p/agatha-rrsl/ AutoMapper : http://automapper.codeplex.com/   Cheers for now, Andrew   P.S. I will have the proposed solution for a more complete REST implementation for AGATHA very soon. 

    Read the article

  • API Message Localization

    - by Jesse Taber
    In my post, “Keep Localizable Strings Close To Your Users” I talked about the internationalization and localization difficulties that can arise when you sprinkle static localizable strings throughout the different logical layers of an application. The main point of that post is that you should have your localizable strings reside as close to the user-facing modules of your application as possible. For example, if you’re developing an ASP .NET web forms application all of the localizable strings should be kept in .resx files that are associated with the .aspx views of the application. In this post I want to talk about how this same concept can be applied when designing and developing APIs. An API Facilitates Machine-to-Machine Interaction You can typically think about a web, desktop, or mobile application as a collection “views” or “screens” through which users interact with the underlying logic and data. The application can be designed based on the assumption that there will be a human being on the other end of the screen working the controls. You are designing a machine-to-person interaction and the application should be built in a way that facilitates the user’s clear understanding of what is going on. Dates should be be formatted in a way that the user will be familiar with, messages should be presented in the user’s preferred language, etc. When building an API, however, there are no screens and you can’t make assumptions about who or what is on the other end of each call. An API is, by definition, a machine-to-machine interaction. A machine-to-machine interaction should be built in a way that facilitates a clear and unambiguous understanding of what is going on. Dates and numbers should be formatted in predictable and standard ways (e.g. ISO 8601 dates) and messages should be presented in machine-parseable formats. For example, consider an API for a time tracking system that exposes a resource for creating a new time entry. The JSON for creating a new time entry for a user might look like: 1: { 2: "userId": 4532, 3: "startDateUtc": "2012-10-22T14:01:54.98432Z", 4: "endDateUtc": "2012-10-22T11:34:45.29321Z" 5: }   Note how the parameters for start and end date are both expressed as ISO 8601 compliant dates in UTC. Using a date format like this in our API leaves little room for ambiguity. It’s also important to note that using ISO 8601 dates is a much, much saner thing than the \/Date(<milliseconds since epoch>)\/ nonsense that is sometimes used in JSON serialization. Probably the most important thing to note about the JSON snippet above is the fact that the end date comes before the start date! The API should recognize that and disallow the time entry from being created, returning an error to the caller. You might inclined to send a response that looks something like this: 1: { 2: "errors": [ {"message" : "The end date must come after the start date"}] 3: }   While this may seem like an appropriate thing to do there are a few problems with this approach: What if there is a user somewhere on the other end of the API call that doesn’t speak English?  What if the message provided here won’t fit properly within the UI of the application that made the API call? What if the verbiage of the message isn’t consistent with the rest of the application that made the API call? What if there is no user directly on the other end of the API call (e.g. this is a batch job uploading time entries once per night unattended)? The API knows nothing about the context from which the call was made. There are steps you could take to given the API some context (e.g.allow the caller to send along a language code indicating the language that the end user speaks), but that will only get you so far. As the designer of the API you could make some assumptions about how the API will be called, but if we start making assumptions we could very easily make the wrong assumptions. In this situation it’s best to make no assumptions and simply design the API in such a way that the caller has the responsibility to convey error messages in a manner that is appropriate for the context in which the error was raised. You would work around some of these problems by allowing callers to add metadata to each request describing the context from which the call is being made (e.g. accepting a ‘locale’ parameter denoting the desired language), but that will add needless clutter and complexity. It’s better to keep the API simple and push those context-specific concerns down to the caller whenever possible. For our very simple time entry example, this can be done by simply changing our error message response to look like this: 1: { 2: "errors": [ {"code": 100}] 3: }   By changing our error error from exposing a string to a numeric code that is easily parseable by another application, we’ve placed all of the responsibility for conveying the actual meaning of the error message on the caller. It’s best to have the caller be responsible for conveying this meaning because the caller understands the context much better than the API does. Now the caller can see error code 100, know that it means that the end date submitted falls before the start date and take appropriate action. Now all of the problems listed out above are non-issues because the caller can simply translate the error code of ‘100’ into the proper action and message for the current context. The numeric code representation of the error is a much better way to facilitate the machine-to-machine interaction that the API is meant to facilitate. An API Does Have Human Users While APIs should be built for machine-to-machine interaction, people still need to wire these interactions together. As a programmer building a client application that will consume the time entry API I would find it frustrating to have to go dig through the API documentation every time I encounter a new error code (assuming the documentation exists and is accurate). The numeric error code approach hurts the discoverability of the API and makes it painful to integrate with. We can help ease this pain by merging our two approaches: 1: { 2: "errors": [ {"code": 100, "message" : "The end date must come after the start date"}] 3: }   Now we have an easily parseable numeric error code for the machine-to-machine interaction that the API is meant to facilitate and a human-readable message for programmers working with the API. The human-readable message here is not intended to be viewed by end-users of the API and as such is not really a “localizable string” in my opinion. We could opt to expose a locale parameter for all API methods and store translations for all error messages, but that’s a lot of extra effort and overhead that doesn’t add a lot real value to the API. I might be a bit of an “ugly American”, but I think it’s probably fine to have the API return English messages when the target for those messages is a programmer. When resources are limited (which they always are), I’d argue that you’re better off hard-coding these messages in English and putting more effort into building more useful features, improving security, tweaking performance, etc.

    Read the article

  • Fraud Detection with the SQL Server Suite Part 2

    - by Dejan Sarka
    This is the second part of the fraud detection whitepaper. You can find the first part in my previous blog post about this topic. My Approach to Data Mining Projects It is impossible to evaluate the time and money needed for a complete fraud detection infrastructure in advance. Personally, I do not know the customer’s data in advance. I don’t know whether there is already an existing infrastructure, like a data warehouse, in place, or whether we would need to build one from scratch. Therefore, I always suggest to start with a proof-of-concept (POC) project. A POC takes something between 5 and 10 working days, and involves personnel from the customer’s site – either employees or outsourced consultants. The team should include a subject matter expert (SME) and at least one information technology (IT) expert. The SME must be familiar with both the domain in question as well as the meaning of data at hand, while the IT expert should be familiar with the structure of data, how to access it, and have some programming (preferably Transact-SQL) knowledge. With more than one IT expert the most time consuming work, namely data preparation and overview, can be completed sooner. I assume that the relevant data is already extracted and available at the very beginning of the POC project. If a customer wants to have their people involved in the project directly and requests the transfer of knowledge, the project begins with training. I strongly advise this approach as it offers the establishment of a common background for all people involved, the understanding of how the algorithms work and the understanding of how the results should be interpreted, a way of becoming familiar with the SQL Server suite, and more. Once the data has been extracted, the customer’s SME (i.e. the analyst), and the IT expert assigned to the project will learn how to prepare the data in an efficient manner. Together with me, knowledge and expertise allow us to focus immediately on the most interesting attributes and identify any additional, calculated, ones soon after. By employing our programming knowledge, we can, for example, prepare tens of derived variables, detect outliers, identify the relationships between pairs of input variables, and more, in only two or three days, depending on the quantity and the quality of input data. I favor the customer’s decision of assigning additional personnel to the project. For example, I actually prefer to work with two teams simultaneously. I demonstrate and explain the subject matter by applying techniques directly on the data managed by each team, and then both teams continue to work on the data overview and data preparation under our supervision. I explain to the teams what kind of results we expect, the reasons why they are needed, and how to achieve them. Afterwards we review and explain the results, and continue with new instructions, until we resolve all known problems. Simultaneously with the data preparation the data overview is performed. The logic behind this task is the same – again I show to the teams involved the expected results, how to achieve them and what they mean. This is also done in multiple cycles as is the case with data preparation, because, quite frankly, both tasks are completely interleaved. A specific objective of the data overview is of principal importance – it is represented by a simple star schema and a simple OLAP cube that will first of all simplify data discovery and interpretation of the results, and will also prove useful in the following tasks. The presence of the customer’s SME is the key to resolving possible issues with the actual meaning of the data. We can always replace the IT part of the team with another database developer; however, we cannot conduct this kind of a project without the customer’s SME. After the data preparation and when the data overview is available, we begin the scientific part of the project. I assist the team in developing a variety of models, and in interpreting the results. The results are presented graphically, in an intuitive way. While it is possible to interpret the results on the fly, a much more appropriate alternative is possible if the initial training was also performed, because it allows the customer’s personnel to interpret the results by themselves, with only some guidance from me. The models are evaluated immediately by using several different techniques. One of the techniques includes evaluation over time, where we use an OLAP cube. After evaluating the models, we select the most appropriate model to be deployed for a production test; this allows the team to understand the deployment process. There are many possibilities of deploying data mining models into production; at the POC stage, we select the one that can be completed quickly. Typically, this means that we add the mining model as an additional dimension to an existing DW or OLAP cube, or to the OLAP cube developed during the data overview phase. Finally, we spend some time presenting the results of the POC project to the stakeholders and managers. Even from a POC, the customer will receive lots of benefits, all at the sole risk of spending money and time for a single 5 to 10 day project: The customer learns the basic patterns of frauds and fraud detection The customer learns how to do the entire cycle with their own people, only relying on me for the most complex problems The customer’s analysts learn how to perform much more in-depth analyses than they ever thought possible The customer’s IT experts learn how to perform data extraction and preparation much more efficiently than they did before All of the attendees of this training learn how to use their own creativity to implement further improvements of the process and procedures, even after the solution has been deployed to production The POC output for a smaller company or for a subsidiary of a larger company can actually be considered a finished, production-ready solution It is possible to utilize the results of the POC project at subsidiary level, as a finished POC project for the entire enterprise Typically, the project results in several important “side effects” Improved data quality Improved employee job satisfaction, as they are able to proactively contribute to the central knowledge about fraud patterns in the organization Because eventually more minds get to be involved in the enterprise, the company should expect more and better fraud detection patterns After the POC project is completed as described above, the actual project would not need months of engagement from my side. This is possible due to our preference to transfer the knowledge onto the customer’s employees: typically, the customer will use the results of the POC project for some time, and only engage me again to complete the project, or to ask for additional expertise if the complexity of the problem increases significantly. I usually expect to perform the following tasks: Establish the final infrastructure to measure the efficiency of the deployed models Deploy the models in additional scenarios Through reports By including Data Mining Extensions (DMX) queries in OLTP applications to support real-time early warnings Include data mining models as dimensions in OLAP cubes, if this was not done already during the POC project Create smart ETL applications that divert suspicious data for immediate or later inspection I would also offer to investigate how the outcome could be transferred automatically to the central system; for instance, if the POC project was performed in a subsidiary whereas a central system is available as well Of course, for the actual project, I would repeat the data and model preparation as needed It is virtually impossible to tell in advance how much time the deployment would take, before we decide together with customer what exactly the deployment process should cover. Without considering the deployment part, and with the POC project conducted as suggested above (including the transfer of knowledge), the actual project should still only take additional 5 to 10 days. The approximate timeline for the POC project is, as follows: 1-2 days of training 2-3 days for data preparation and data overview 2 days for creating and evaluating the models 1 day for initial preparation of the continuous learning infrastructure 1 day for presentation of the results and discussion of further actions Quite frequently I receive the following question: are we going to find the best possible model during the POC project, or during the actual project? My answer is always quite simple: I do not know. Maybe, if we would spend just one hour more for data preparation, or create just one more model, we could get better patterns and predictions. However, we simply must stop somewhere, and the best possible way to do this, according to my experience, is to restrict the time spent on the project in advance, after an agreement with the customer. You must also never forget that, because we build the complete learning infrastructure and transfer the knowledge, the customer will be capable of doing further investigations independently and improve the models and predictions over time without the need for a constant engagement with me.

    Read the article

  • Agile Testing Days 2012 – Day 3 – Agile or agile?

    - by Chris George
    Another early start for my last Lean Coffee of the conference, and again it was not wasted. We had some really interesting discussions around how to determine what test automation is useful, if agile is not faster, why do it? and a rather existential discussion on whether unicorns exist! First keynote of the day was entitled “Fast Feedback Teams” by Ola Ellnestam. Again this relates nicely to the releasing faster talk on day 2, and something that we are looking at and some teams are actively trying. Introducing the notion of feedback, Ola describes a game he wrote for his eldest child. It was a simple game where every time he clicked a button, it displayed “You’ve Won!”. He then changed it to be a Win-Lose-Win-Lose pattern and watched the feedback from his son who then twigged the pattern and got his younger brother to play, alternating turns… genius! (must do that with my children). The idea behind this was that you need that feedback loop to learn and progress. If you are not getting the feedback you need to close that loop. An interesting point Ola made was to solve problems BEFORE writing software. It may be that you don’t have to write anything at all, perhaps it’s a communication/training issue? Perhaps the problem can be solved another way. Writing software, although it’s the business we are in, is expensive, and this should be taken into account. He again mentions frequent releases, and how they should be made as soon as stuff is ready to be released, don’t leave stuff on the shelf cause it’s not earning you anything, money or data. I totally agree with this and it’s something that we will be aiming for moving forwards. “Exceptions, Assumptions and Ambiguity: Finding the truth behind the story” by David Evans started off very promising by making references to ‘Grim up North’ referring to the north of England. Not sure it was appreciated by most of the audience, but it made me laugh! David explained how there are always risks associated with exceptions, giving the example of a one-way road near where he lives, with an exception sign giving rights to coaches to go the wrong way. Therefore you could merrily swing around the corner of the one way road straight into a coach! David showed the danger in making assumptions with lyrical quotes from Lola by The Kinks “I’m glad I’m a man, and so is Lola” and with a picture of a toilet flush that needed instructions to operate the full and half flush. With this particular flush, you pulled the handle all the way down to half flush, and half way down to full flush! hmmm, a bit of a crappy user experience methinks! Then through a clever use of a passage from the Jabberwocky, David then went onto show how mis-translation/ambiguity is the can completely distort the original meaning of something, and this is a real enemy of software development. This was all helping to demonstrate that the term Story is often heavily overloaded in the Agile world, and should really be stripped back to what it is really for, stating a business problem, and offering a technical solution. Therefore a story could be worded as “In order to {make some improvement}, we will { do something}”. The first ‘in order to’ statement is stakeholder neutral, and states the problem through requesting an improvement to the software/process etc. The second part of the story is the verb, the doing bit. So to achieve the ‘improvement’ which is not currently true, we will do something to make this true in the future. My PM is very interested in this, and he’s observed some of the problems of overloading stories so I’m hoping between us we can use some of David’s suggestions to help clarify our stories better. The second keynote of the day (and our last) proved to be the most entertaining and exhausting of the conference for me. “The ongoing evolution of testing in agile development” by Scott Barber. I’ve never had the pleasure of seeing Scott before… OMG I would love to have even half of the energy he has! What struck me during this presentation was Scott’s explanation of how testing has become the role/job that it is (largely) today, and how this has led to the need for ‘methodologies’ to make dev and test work! The argument that we should be trying to converge the roles again is a very valid one, and one that a couple of the teams at work are actively doing with great results. Making developers as responsible for quality as testers is something that has been lost over the years, but something that we are now striving to achieve. The idea that we (testers) should be testing experts/specialists, not testing ‘union members’, supports this idea so the entire team works on all aspects of a feature/product, with the ‘specialists’ taking the lead and advising/coaching the others. This leads to better propagation of information around the team, a greater holistic understanding of the project and it allows the team to continue functioning if some of it’s members are off sick, for example. Feeling somewhat drained from Scott’s keynote (but at the same time excited that alot of the points he raised supported actions we are taking at work), I headed into my last presentation for Agile Testing Days 2012 before having to make my way to Tegel to catch the flight home. “Thinking and working agile in an unbending world” with Pete Walen was a talk I was not going to miss! Having spoken to Pete several times during the past few days, I was looking forward to hearing what he was going to say, and I was not disappointed. Pete started off by trying to separate the definitions of ‘Agile’ as in the methodology, and ‘agile’ as in the adjective by pronouncing them the ‘english’ and ‘american’ ways. So Agile pronounced (Ajyle) and agile pronounced (ajul). There was much confusion around what the hell he was talking about, although I thought it was quite clear. Agile – Software development methodology agile – Marked by ready ability to move with quick easy grace; Having a quick resourceful and adaptable character. Anyway, that aside (although it provided a few laughs during the presentation), the point was that many teams that claim to be ‘Agile’ but are not, in fact, ‘agile’ by nature. Implementing ‘Agile’ methodologies that are so prescriptive actually goes against the very nature of Agile development where a team should anticipate, adapt and explore. Pete made a valid point that very few companies intentionally put up roadblocks to impede work, so if work is being blocked/delayed, why? This is where being agile as a team pays off because the team can inspect what’s going on, explore options and adapt their processes. It is through experimentation (and that means trying and failing as well as trying and succeeding) that a team will improve and grow leading to focussing on what really needs to be done to achieve X. So, that was it, the last talk of our conference. I was gutted that we had to miss the closing keynote from Matt Heusser, as Matt was another person I had spoken too a few times during the conference, but the flight would not wait, and just as well we left when we did because the traffic was a nightmare! My Takeaway Triple from Day 3: Release often and release small – don’t leave stuff on the shelf Keep the meaning of the word ‘agile’ in mind when working in ‘Agile Look at testing as more of a skill than a role  

    Read the article

  • A Bite With No Teeth&ndash;Demystifying Non-Compete Clauses

    - by D'Arcy Lussier
    *DISCLAIMER: I am not a lawyer and this post in no way should be considered legal advice. I’m also in Canada, so references made are to Canadian court cases. I received a signed letter the other day, a reminder from my previous employer about some clauses associated with my employment and entry into an employee stock purchase program. So since this is in effect for the next 12 months, I guess I’m not starting that new job tomorrow. I’m kidding of course. How outrageous, how presumptuous, pompous, and arrogant that a company – any company – would actually place these conditions upon an employee. And yet, this is not uncommon. Especially in the IT industry, we see time and again similar wording in our employment agreements. But…are these legal? Is there any teeth behind the threat of the bite? Luckily, the answer seems to be ‘No’. I want to highlight two cases that support this. The first is Lyons v. Multari. In a nutshell, Dentist hires younger Dentist to be an associate. In their short, handwritten agreement, a non-compete clause was written stating “Protective Covenant. 3 yrs. – 5mi” (meaning you can’t set up shop within 5 miles for 3 years). Well, the young dentist left and did start an oral surgery office within 5 miles and within 3 years. Off to court they go! The initial judge sided with the older dentist, but on appeal it was overturned. Feel free to read the transcript of the decision here, but let me highlight one portion from section [19]: The general rule in most common law jurisdictions is that non-competition clauses in employment contracts are void. The sections following [19] explain further, and discuss Elsley v. J.G. Collins Insurance Agency Ltd. and its impact on Canadian law in this regard. The second case is Winnipeg Livestock Sales Ltd. v. Plewman. Desmond Plewman is an auctioneer, and worked at Winnipeg Livestock Sales. Part of his employment agreement was that he could not work for a competitor for 18 months if he left the company. Well, he left, and took up an important role in a competing company. The case went to court and as with Lyons v. Multari, the initial judge found in favour of the plaintiffs. Also as in the first case, that was overturned on appeal. Again, read through the transcript of the decision, but consider section [28]: In other words, even though Plewman has a great deal of skill as an auctioneer, Winnipeg Livestock has no proprietary interest in his professional skill and experience, even if they were acquired during his time working for Winnipeg Livestock.  Thus, Winnipeg Livestock has the burden of establishing that it has a legitimate proprietary interest requiring protection.  On this key question there is little evidence before the Court.  The record discloses that part of Plewman’s job was to “mingle with the … crowd” and to telephone customers and prospective customers about future prospects for the sale of livestock.  It may seem reasonable to assume that Winnipeg Livestock has a legitimate proprietary interest in its customer connections; but there is no evidence to indicate that there is any significant degree of “customer loyalty” in the business, as opposed to customers making choices based on other considerations such as cost, availability and the like. So are there any incidents where a non-compete can actually be valid? Yes, and these are considered “exceptional” cases, meaning that the situation meets certain circumstances. Michael Carabash has a great blog series discussing the above mentioned cases as well as the difference between a non-compete and non-solicit agreement. He talks about the exceptional criteria: In summary, the authorities reveal that the following circumstances will generally be relevant in determining whether a case is an “exceptional” one so that a general non-competition clause will be found to be reasonable: - The length of service with the employer. - The amount of personal service to clients. - Whether the employee dealt with clients exclusively, or on a sustained or     recurring basis. - Whether the knowledge about the client which the employee gained was of a   confidential nature, or involved an intimate knowledge of the client’s   particular needs, preferences or idiosyncrasies. - Whether the nature of the employee’s work meant that the employee had   influence over clients in the sense that the clients relied upon the employee’s   advice, or trusted the employee. - If competition by the employee has already occurred, whether there is   evidence that clients have switched their custom to him, especially without   direct solicitation. - The nature of the business with respect to whether personal knowledge of   the clients’ confidential matters is required. - The nature of the business with respect to the strength of customer loyalty,   how clients are “won” and kept, and whether the clientele is a recurring one. - The community involved and whether there were clientele yet to be exploited   by anyone. I close this blog post with a final quote, one from Zvulony & Co’s blog post on this subject. Again, all of this is not official legal advice, but I think we can see what all these sources are pointing towards. To answer my earlier question, there’s no teeth behind the threat of the bite. In light of this list, and the decisions in Lyons and Orlan, it is reasonably certain that in most employment situations a non-competition clause will be ineffective in protecting an employer from a departing employee who wishes to compete in the same business. The Courts have been relatively consistent in their position that if a non-solicitation clause can protect an employer’s interests, then a non-competition clause is probably unreasonable. Employers (or their solicitors) should avoid the inclination to draft restrictive covenants in broad, catch-all language. Or in other words, when drafting a restrictive covenant – take only what you need! D

    Read the article

  • nginx- Rewrite URL with Trailing Slash

    - by Bryan
    I have a specialized set of rewrite rules to accommodate a mutli site cms setup. I am trying to have nginx force a trailing slash on the request URL. I would like it to redirect requests for domain.com/some-random-article to domain.com/some-random-article/ I know there are semantic considerations with this, but I would like to do it for SEO purposes. Here is my current server config. server { listen 80; server_name domain.com mirror.domain.com; root /rails_apps/master/public; passenger_enabled on; # Redirect from www to non-www if ($host = 'domain.com' ) { rewrite ^/(.*)$ http://www.domain.com/$1 permanent; } location /assets/ { expires 1y; rewrite ^/assets/(.*)$ /assets/$http_host/$1 break; } # / -> index.html if (-f $document_root/cache/$host$uri/index.html) { rewrite (.*) /cache/$host$1/index.html break; } # /about -> /about.html if (-f $document_root/cache/$host$uri.html) { rewrite (.*) /cache/$host$1.html break; } # other files if (-f $document_root/cache/$host$uri) { rewrite (.*) /cache/$host$1 break; } } How would I modify this to add the trailing slash? I would assume there has to be a check for the slash so that you don't end up with domain.com/some-random-article//

    Read the article

  • nginx- Rewrite URL with Trailing Slash

    - by Bryan
    I have a specialized set of rewrite rules to accommodate a mutli site cms setup. I am trying to have nginx force a trailing slash on the request URL. I would like it to redirect requests for domain.com/some-random-article to domain.com/some-random-article/ I know there are semantic considerations with this, but I would like to do it for SEO purposes. Here is my current server config. server { listen 80; server_name domain.com mirror.domain.com; root /rails_apps/master/public; passenger_enabled on; # Redirect from www to non-www if ($host = 'domain.com' ) { rewrite ^/(.*)$ http://www.domain.com/$1 permanent; } location /assets/ { expires 1y; rewrite ^/assets/(.*)$ /assets/$http_host/$1 break; } # / -> index.html if (-f $document_root/cache/$host$uri/index.html) { rewrite (.*) /cache/$host$1/index.html break; } # /about -> /about.html if (-f $document_root/cache/$host$uri.html) { rewrite (.*) /cache/$host$1.html break; } # other files if (-f $document_root/cache/$host$uri) { rewrite (.*) /cache/$host$1 break; } } How would I modify this to add the trailing slash? I would assume there has to be a check for the slash so that you don't end up with domain.com/some-random-article//

    Read the article

  • Getting mydomain.com/subdomain to resolve to subdomain.mydomain.com

    I have content on subdomain1.mydomain.com which can't reside on mydomain.com/subdomain1. Nevertheless, all my other content resides in folders of the mydomain.com/subdomain* type. For the sake of consistency, I'd like the content actually located at subdomain1.mydomain.com to appear as if it were on mydomain.com/subdomain1 — Is there any way, using .htaccess, that I can achieve this, bearing in mind that: (1) the subdomain itself also has a nested permalink structure, meaning that there are additional folders in the directory structure of the subdomain; (2) I want the browser to display the address as mydomain/subdomain1 after the redirect.

    Read the article

  • How to have internet connection over VPN while "Microsoft Firewall Client for ISA server" is running

    - by blocked
    I have the software mentioned in the title running on my machine. When I connect over VPN to my company's network, my internet connection gets borked, because somehow the ISA firewall blocks it. This is completely idiotic, because my work involves extensive use of the internet, so having to disconnect and reconnect continuously seriously cripples my productivity. (Meaning: I'm tearing my hair out here.) Can I have my VPN connection and somehow still have my internet connection too? I'm open to any solution.

    Read the article

  • Can I auto-forward Gmail to multiple addresses?

    - by Yuval
    Hi, I have set up a Gmail account with the intention of having it function as a mail hub, meaning it should forward every mail item to all of its contact list, in this case my friends and me. I created a simple filter for all incoming items (from:*), but the 'Forward it to' field will only allow me a single email address, and not even a contact group. Is there a way around this? And why is such a simple feature not available in Gmail? I thought they were out of beta...

    Read the article

  • Restore monitor detection to one only or restore start menu to bottom

    - by Mark
    I have a co-worker that is no longer able to see his start menu. He used to have it pinned to the left edge of his screen. I tried to troubleshoot it a bit and discovered if we do Windows + R then "cmd" [enter] the command prompt opens (but we don't see the start menu or run box), meaning the start menu is somewhere, just off screen. Restarting doesn't help. Is there some way to force Windows to think it only has a single monitor? It seems to "think" it has two but there's only one and we can get the Start menu back. Or, is there a way to restore the start menu to the bottom? Additional info We are able to right-click the desktop for display settings, etc. We can also get into Windows Explorer (via Ctrl + E) so if we need any of that to restore settings we can do it.

    Read the article

  • How to set Virtualbox appliance as webdev portable sollution?

    - by tenshimsm
    I just want to set a a Virtualbox virtual appliance to make it portable. Meaning that I'll enable a network config which will not need to be changed when I am using my laptop in a different network. I want the virtual machine to have internet access to keep it updated and be able to always have direct access from host using, for example, the IP 10.0.2.100 even when I am in a 192.168.0.1 network. So the first virtual network adapter will have a static ip (10.0.2.100) and the second will receive it from the DHCP. I don't know if 2 virtual adapters are needed or just one to accomplish that.

    Read the article

  • Setting up Pure-FTPd with admin/user permissions for same directory

    - by modulaaron
    I need to set up 2 Pure-FTPd accounts - ftpuser and ftpadmin. Both will have access to a directory that contains 2 subdirectories - upload and downlaod. The permissions criteria needs to be as follows: ftpuser can upload to /upload but cannot view the contents (blind drop). ftpuser can download from /download but cannot write to it. ftpadmin has full read/write permissions to both, including file deletion Currently, the first two are not a problem - disabling /upload read access and /download write access for ftpuser did the job. The problem is that when a file is uploaded by ftpuser, it's permissions are set to 644, meaning that user ftpadmin can only read it (note that all FTP directories are chown'd to ftpuser:ftpadmin). How can I give ftpadmin the power he so rightfully deserves?

    Read the article

  • TRIM in centos 5.X?

    - by Frank Farmer
    I've got a bunch of centos 5 boxes with Intel X-25 drives (x25-m in dev, x25-e in prod, I think). We're seeing severely degraded disk performance on one of our dev boxes (which easily does 5+ gb of writes every day, meaning we write the full drive's worth of data several times a month). The box in question: Intel x25-m Ext3 (which doesn't support TRIM) centos 5 vmware ESXi Wikipedia mentions that newer versions of hdparm (which centos5 doesn't include) can bulk-TRIM free blocks. This utility also sounds potentially useful: http://blog.patshead.com/2009/12/a-quick-and-dirty-wipersh-fix-for-intel-x25-m.html Disk write performance has dropped to <1 MB/sec while copying a 300 meg directory on this system, as of a month or so ago -- it used to be able to perform the same copy operation at least 5 times faster. What can I do to recover performance on this system?

    Read the article

  • Restore monitor detection to one only or restore start menu to bottom [Windows 7]

    - by Mark
    I have a co-worker that is no longer able to see his start menu. He used to have it pinned to the left edge of his screen. I tried to troubleshoot it a bit and discovered if we do Windows + R then "cmd" [enter] the command prompt opens (but we don't see the start menu or run box), meaning the start menu is somewhere, just off screen. Restarting doesn't help. Is there some way to force Windows to think it only has a single monitor? It seems to "think" it has two but there's only one and we can get the Start menu back. Or, is there a way to restore the start menu to the bottom? Additional info We are able to right-click the desktop for display settings, etc. We can also get into Windows Explorer (via Ctrl + E) so if we need any of that to restore settings we can do it.

    Read the article

< Previous Page | 39 40 41 42 43 44 45 46 47 48 49 50  | Next Page >