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  • Trying to understand Wireless N vs Wireless AC

    - by EGHDK
    Whenever a new wireless standard gets approved you expect faster speeds and longer range. From everything that I've read about it, it seems that AC will only transfer over the 5GHz band and up to 3Gbps. Studying the new AC routers on the market, it seems that they will transfer over 5GHz and 2.4GHz. And 5GHz will only transfer at 1.3Gbps. Which isn't what AC is supposed to be. I know there is a difference between what the standard actually says, and what products will actually do, but is there any reason for this? Is there any other main differences between AC and N? I've heard people discussing AC and saying that it's finally "fixing" what N was supposed to fix... what do they mean by that? Any security benefits? I have seen this image online: Will AC really do that? Will that require an AC network card in my laptop for that to actually happen? Lastly, will the router only be able to communicate with AC devices if I have beamforming technology on? I know it's a ton of questions, but most articles online seem to be outdated, and don't provide too much reliability.

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  • Which is the fastest way to move 1Petabyte from one storage to a new one?

    - by marc.riera
    First of all, thanks for reading, and sorry for asking something related to my job. I understand that this is something that I should solve by myself but as you will see its something a bit difficult. A small description: Now Storage = 1PB using DDN S2A9900 storage for the OSTs, 4 OSS , 10 GigE network. (lustre 1.6) 100 compute nodes with 2x Infiniband 1 infiniband switch with 36 ports After Storage = Previous storage + another 1PB using DDN S2A 990 or LSI E5400 (still to decide) (lustre 2.0) 8 OSS , 10GigE network 100 compute nodes with 2x Infiniband Previous experience: transfered 120 TB in less than 3 days using following command: tar -C /old --record-size 2048 -b 2048 -cf - dir | tar -C /new --record-size 2048 -b 2048 -xvf - 2>&1 | tee /tmp/dir.log So , big problem here, using big mathematical equations I conclude that we are going to need 1 month to transfer the data from one side to the new one. During this time the researchers will need to step back, and I'm personally not happy with this. I'm telling you that we have infiniband connections because I think that may be there is a chance to use it to transfer the data using 18 compute nodes (18 * 2 IB = 36 ports) to transfer the data from one storage to the other. I'm trying to figure out if the IB switch will handle all the traffic but in case it just burn up will go faster than using 10GigE. Also, having lustre 1.6 and 2.0 agents on same server works quite well, with this there is no need to go by 1.8 to upgrade the metadata servers with two steps. Any ideas? Many thanks Note 1: Zoredache, we can divide it in two blocks (A)600Tb and (B)400Tb. The idea is to move (A) to new storage which is lustre2.0 formated, then format where (A) was with lustre2.0 and move (B) to this lustre2.0 block and extend with the space where (B) was. This way we will end with (A) and (B) on separate filesystems, with 1PB each.

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  • Seizing naming master from child domain server

    - by meera
    when I am trying to seize the role from my child domain server the naming master I get the following error fsmo maintenance: seize naming master Attempting safe transfer of domain naming FSMO before seizure. ldap_modify_sW error 0x34(52 (Unavailable). Ldap extended error message is 000020AF: SvcErr: DSID-03210380, problem 5002 (UN AVAILABLE), data 8438 Win32 error returned is 0x20af(The requested FSMO operation failed. The current FSMO holder could not be contacted.) ) Depending on the error code this may indicate a connection, ldap, or role transfer error. Transfer of domain naming FSMO failed, proceeding with seizure ... Server "win-fb20ixk90mu" knows about 5 roles Schema - CN=NTDS Settings,CN=WIN-3918XHC5STU,CN=Servers,CN=Default-First-Site-Na me,CN=Sites,CN=Configuration,DC=HCL,DC=com Naming Master - CN=NTDS Settings,CN=WIN-FB20IXK90MU,CN=Servers,CN=Default-First- Site-Name,CN=Sites,CN=Configuration,DC=HCL,DC=com PDC - CN=NTDS Settings,CN=WIN-FB20IXK90MU,CN=Servers,CN=Default-First-Site-Name, CN=Sites,CN=Configuration,DC=HCL,DC=com RID - CN=NTDS Settings,CN=WIN-FB20IXK90MU,CN=Servers,CN=Default-First-Site-Name, CN=Sites,CN=Configuration,DC=HCL,DC=com Infrastructure - CN=NTDS Settings,CN=WIN-FB20IXK90MU,CN=Servers,CN=Default-First -Site-Name,CN=Sites,CN=Configuration,DC=HCL,DC=com

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  • daily rsync backups with hard links, checksums, and a new computer

    - by user75058
    I backup my laptop to a Fedora desktop daily using rsync with hard links. This has worked great for almost a year. I recently purchased a new computer, transferred over my data, and would like to continue backing up this computer daily. However, due to the data transfer from the old laptop to the new laptop, the timestamps have obviously changed, and will thus cause my daily rsync backup to re-transfer all of the data. I thought that by adding the -c (checksum) switch to my rsync backup it would match files based on checksum, instead of timestamp and size, and only transfer those files that are different or not present. This appeared to work, but upon examining the new backup, hard links are not being created, and it appears the files that should be hard linked are simply being copied to the new backup directory from the previous backup directory on the backup server. This is very peculiar behavior to me, and I am having trouble figuring out why this is occurring. Checksums match for files that I think should be hard linked. I have looked through the rsync man page and Google'd around a bit and have been unable to find anything for me to better understand this behavior.

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  • ftp.exe does not convert end of line characters while transferring to FreeBSD ftp server

    - by Jagger
    I am having problems transferring a text file from Windows 7 using ftp.exe to a FreeBSD server. After the file transfer the end-of-line characters are not changed from \r\n to \n, Instead they remain with the carriage return character which can be seen in for example mcedit as ^M. The file is transferred in ascii mode. Has anybody run into similar problems in the past? As far as I know using the ascii mode during FTP transfer should convert those characters automatically. Does it depend on the server configuration? EDIT: The file can be seen here. EDIT: I have also tried with ncftp.exe under Cygwin but the result is the same. The carriage return character has not been removed even if the transfer type was ASCII. EDIT: It does not work the other way round either. I created a text file in FreeBSD and then downloaded it is ASCII mode to my Windows machine. The end of line characters remained LF as they were in FreeBSD.

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  • Connect USB hard drive to wireless router on RJ45 port? Possible?

    - by lawphotog
    just a quick story behind. I was trying to set up wireless networked hard drive at home. My wireless router doesn't take USB. I am considering few options. First i was considering to get something like WD My Cloud. My router is an old one provided by service provider. It only has 10/100 Ethernet. WD My Cloud has Gigabit interface. So unless i changed a new router, data transfer will be slow. So upgrading the router is a must if i want fast transfer speed. Plus I already own an external hard drive with USB 3.0 interface. So if I get a router like Netgear D6300, i can get a decent speed wireless shared drive at home. And i can use my existing HDD instead of WD My Cloud. But the router isn't cheap so I am saving up for that. In the meantime I found out the existence of USB to RJ45 adaptor. I read the reviews and some say it works for them and for some don't. They didn't really say what they were trying to do so I'm confused. So if i bought an adaptor like this, can i connect my existing HDD (USB) with my existing router (RJ45) and use it as a shared drive for data transfer? I know it will be slow as the adaptor will only have USB 2.0 and 10/100 for Ethernet. But it's fine as it's for temporary until i got my new router.

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  • FTP Scripting Capabilities

    - by lmg
    I am looking for an FTP client that will allow me to do the following Include a GUI for setting up a number of FTP connections Support FTPS Run unattended on Windows Server 2008 Retry failed transactions Support email Support custom scripts I need to pull files from a few different servers and there are certain calculations that need to be done depending on which server the files come from. I've looked at SmartFTP and it looks like pretty much what I need except I can't get it to run as a Windows Scheduled Task (I currently have some support threads open in their forum). I've also looked at a few other FTP clients (Filezilla, RoboFTP, and AutoFTP (you can find the Windows 7 BSOD in this one!)) that haven't had the capabilities I'm looking for. Right now, I'm looking at WS_FTP and its scripting capabilities. It appears I can create a script to run as a scheduled task, but I can't add the script to a file transfer task. Does anyone have suggestions on how I can do post-transfer processing on the files or better yet how to integrate scripting into the file transfer task? I'm also open to other suggestions for FTP clients as well if you have them! If I can't find a suitable FTP client, custom scripting will just have to do the trick.

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  • Copy past speed very slow for a large number of files on Windows [closed]

    - by Arno2501
    I've run the following test I've created a folder containing 15'000 files of 400 bytes using this batch : @ECHO off SET times=15000 FOR /L %%i IN (1,1,%times%) DO ( fsutil file createnew filename%%i.txt 400 ) then I copy past it on my Windows Computer using this command : robocopy LargeNumberOfFiles\ LargeNumberOfFiles2\ After it has completed I can see that the transfer rate was 915810 Bytes/sec this is less than 1 MB/s. It took me several seconds to copy 7 MBytes Please note that this is very slow. I've tried the same with a folder with a single file of 50 Mbytes and the transfer rate is 1219512195 Bytes/sec. (yeah GB/s) instantaneous. Why copying large number of files take so much time - ressources on a windows filesystem ? Please note that I've tried to do the same on a linux system which runs on the same computer in a virtual machine (vmware player) with ext3 filesystem. I use the cp command and the copy is instantaneous ! Please also note the following : no antivirus I've tested that behaviour on multiple windows computers (always ntfs) i always get comparable results (transfer rate under 1MB/s avg 7-8 seconds to copy 7 MBytes) I've tested on multiple linux ext3 system the copy is always instantaneous for that amount (15000 files of 400 bytes) The question is about understanding what makes windows filesystem so slow to copy large number of files compared to a linux one for instance.

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  • how does pipe work

    - by lego69
    hello, explain me please how exactly pipe works, for example I have this snippet of the code set line = ($<) while(${#line} != 0) if(${#line} == 5) then echo line | sort | ./calculate ${1} endif set line = ($<) end I need to choose all rows with 5 words and after sort it and after transfer, but I'm confused, how will it work, first of all 'while' will take all information and after that transfer it to sort, or every iteration 'while' will do sort? thanks in advance

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  • In Cocoa, how to create an unobstructive service?

    - by TP
    Hi, I have created a service that will transfer selected text to my application. However, every time I make a transfer using the keyboard shortcut, my application become the focus. I have to manually focus back to the original application. How do I make it unobstructive?

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  • Property transfers in soapui

    - by Scobal
    I'm trying to write parallel tests in soapui and need to transfer properties between the test steps I currently have 3 tests steps: Execute legacy request Execute new request XML diff the two responses in a groovy script I've found a lot of blogs about picking values out with xpaths, but nothing about passing the full response through. My questions is how do I fill out the source and target boxes in the property transfer editor?

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  • CSV File Content Display Issue

    - by Pankaj Khurana
    Hi, I want to retrieve contents from a csv file for that i am using following code: <?php $fo = fopen("record.csv", "rb+"); while(!feof($fo)) { $contents[] = fgetcsv($fo,0,';'); } print_r($contents); fclose($fo); ?> But my records are displayed in the following format: ????††???????†††??†††††????"Search Transactions Results" ††††??†???????††††?††††††??? ???????????? ?????????????? ?????????? My csv file format: "Search Transactions Results" "Transaction ID","Reference Transaction ID","Date","Type","Subject","Item Number","Item Name","Invoice ID","Name","Email","Shipping Name","Shipping Address Line 1","Shipping Address Line 2","Shipping Address City","Shipping State/Province","Shipping Zip/Postal Code","Shipping Address Country","Shipping Method","Address Status","Contact Phone Number","Gross Amount","Receipt ID","Custom Field","Option 1 Name","Option 1 Value","Option 2 Name","Option 2 Value","Note","Auction Site","Auction User ID","Item URL","Auction Closing Date","Insurance Amount","Currency","Fees","Net Amount","Shipping & Handling Amount","Sales Tax Amount","To Email","Time","Time Zone" "1T","",5/5/2010 2:10:44 PM,"Payment Processed","CFP Self Study Kit","1","CFP Self Study Kit","","User1","[email protected]","","","","","","","","","N","","68.18","R1","","","","","","","","","",,"","USD","-2.62","65.56","0","0","[email protected]","01:40","Asia/Calcutta" "2T","",5/19/2010 4:04:08 PM,"Payment Processed","CFP Self Study Kit","1","CFP Self Study Kit","","User2","[email protected]","","","","","","","","","N","","68.18","R2","","","","","","","","","",,"","USD","-2.62","65.56","0","0","[email protected]","03:34","Asia/Calcutta" "3T","1RT",5/19/2010 5:28:45 PM,"Currency Conversion Completed","","","",""," ","","","","","","","","","","N","","17492.6","","","","","","","","","","",,"","INR","0","17492.6","0","0","","04:58","Asia/Calcutta" "4T","2RT",5/19/2010 5:28:45 PM,"Currency Conversion Completed","","","",""," ","","","","","","","","","","N","","-393.36","","","","","","","","","","",,"","USD","0","-393.36","0","0","","04:58","Asia/Calcutta" "5T","",5/19/2010 5:28:45 PM,"Transfer to Bank Initiated","P1006","","P1006",""," ","","","","","","","","","","N","","-17492.6","","","","","","","","","","",,"","INR","0","-17492.6","0","0","","04:58","Asia/Calcutta" "6T","",5/20/2010 5:38:02 PM,"Transfer to Bank Completed","P1006","","P1006",""," ","","","","","","","","","","N","","-17492.6","","","","","","","","","","",,"","INR","0","-17492.6","0","0","","05:08","Asia/Calcutta" "7T","",5/21/2010 12:32:37 PM,"Payment Processed","FP - LVC Plus","","FP - LVC Plus","","User3","[email protected]","User3","NEW DELHI","BEHIND KARNATAKA BANK LD","SOUTH","NEW DELHI","110023","IN","","N","","283.96","","","","","","","","","","",,"","USD","-9.95","274.01","0","0","[email protected]","00:02","Asia/Calcutta" "8T","",5/25/2010 4:40:48 PM,"Transfer to Bank Initiated","P1006","","P1006",""," ","","","","","","","","","","N","","-12569.85","","","","","","","","","","",,"","INR","0","-12569.85","0","0","","04:10","Asia/Calcutta" "9T","3RT",5/25/2010 4:40:48 PM,"Currency Conversion Completed","","","",""," ","","","","","","","","","","N","","-274.01","","","","","","","","","","",,"","USD","0","-274.01","0","0","","04:10","Asia/Calcutta" "10T","4RT",5/25/2010 4:40:48 PM,"Currency Conversion Completed","","","",""," ","","","","","","","","","","N","","12569.85","","","","","","","","","","",,"","INR","0","12569.85","0","0","","04:10","Asia/Calcutta" "11T","",5/26/2010 4:57:39 PM,"Transfer to Bank Completed","P1006","","P1006",""," ","","","","","","","","","","N","","-12569.85","","","","","","","","","","",,"","INR","0","-12569.85","0","0","","04:27","Asia/Calcutta" "Total","-247.05 USD","-15.19","-262.24" "Total","0.00 INR","0.00","0.00" I want to retrieve the records where "Type"="Payment Processed". I want to retrieve content in a key value format that is for e.g. Transaction ID-1T as i have to store this values in a database but display is not proper. I am unable to find out the reason for the same please help me on this. Thanks

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  • jQuery append and prepend divs and click events

    - by Murtaza
    i want to transfer the div's from one parent div to other on click of it. Please check the below jsfiddle page for the reference http://jsfiddle.net/fb7Tq/97/ i want to transfer the div on either side when i click on any div in grey it migrates to other div box and changes the style to red when i click back to red div it should come back to its original place in grey style. How can i achieve this?

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  • Trasnfer of dirctory structure on network

    - by singh
    Hi I am designing a remote CD/DVD burner to address hardware constraint on my Machine. My design work like that :(Analogous to network paper printer) Unix Based Machine (acts as server) hosts a burner. Windows based machine acts as client. Client prepare data to be burn and transfer it to server. Server burn the data on CD/DVD. My Question is : . Which is the best protocol to transfer data over network (Keeping same Directory hierarchy) between different OS

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  • PHP framework for old application

    - by user295189
    Hi experts, we have an old large application that was not built on any framework. However now we want to transfer it to a php framework. Its a new area for us so we are not sure what it takes to transfer the older application to a framework like Zend? Any help will be appreciated. thanks

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  • mysql: inserting data and autoincrement

    - by every_answer_gets_a_point
    i am converting from access to mysql i have a table in access where one of the columns is an autonumber when i transfer the data into the mysql database (where i also have a column that is auto_increment), should i be transfering the auto_increment data into the auto_increment column, or will it auto_increment itself? how do i ensure that if i do not transfer the autoincrement data from access, that it auto_increments properly?

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  • I need some advice from Experts on how to develop a PHP site with MySQL

    - by mouthpiec
    Hi, I need some advice from experts :) I will develop a website using PHP and I will use also MySQL. I bought some server space from a Virtual private server including all the service needed. How should I develop the site? Shall I develop it on my machine at home (using for example Wamp), and when ready transfer all the files to the server? If so what is the best method to transfer also the database? Thanks in advance!!

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  • How to retrieve virtual machines from a pool via API in oVirt (RHEV)

    - by FerCa
    In oVirt (Red Hat Enterprise Virtualization) you can create a Virtual Machines Pool to allow your users to retrieve virtual machines from this pool. I found how a user, in the RHEV User Portal, can request a Virtual Machine from the pool, this is explained here: https://access.redhat.com/knowledge/docs/en-US/Red_Hat_Enterprise_Virtualization/3.0/html/Evaluation_Guide/Evaluation_Guide-Allocate_VM.html The thing is that i will need to retrieve virtual machines from the pool with the REST API and, after reading the documentation (https://access.redhat.com/knowledge/docs/en-US/Red_Hat_Enterprise_Virtualization/3.0/html-single/REST_API_Guide/index.html) I cant found the way to do this.

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  • Add Ubuntu to windows domain

    - by John Isaacks
    I am new to linux. I do not have any knowledge on how to do anything on linux. I just got a new machine and successfully installed ubuntu onto it. The first thing I want to do is join the domain the rest of the computers are on. How do I do that. I tried googling it but all the results assume some sort of linux knowledge and I have none.

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  • Building applications with WCF - Intro

    - by skjagini
    I am going to write series of articles using Windows Communication Framework (WCF) to develop client and server applications and this is the first part of that series. What is WCF As Juwal puts in his Programming WCF book, WCF provides an SDK for developing and deploying services on Windows, provides runtime environment to expose CLR types as services and consume services as CLR types. Building services with WCF is incredibly easy and it’s implementation provides a set of industry standards and off the shelf plumbing including service hosting, instance management, reliability, transaction management, security etc such that it greatly increases productivity Scenario: Lets consider a typical bank customer trying to create an account, deposit amount and transfer funds between accounts, i.e. checking and savings. To make it interesting, we are going to divide the functionality into multiple services and each of them working with database directly. We will run test cases with and without transactional support across services. In this post we will build contracts, services, data access layer, unit tests to verify end to end communication etc, nothing big stuff here and we dig into other features of the WCF in subsequent posts with incremental changes. In any distributed architecture we have two pieces i.e. services and clients. Services as the name implies provide functionality to execute various pieces of business logic on the server, and clients providing interaction to the end user. Services can be built with Web Services or with WCF. Service built on WCF have the advantage of binding independent, i.e. can run against TCP and HTTP protocol without any significant changes to the code. Solution Services Profile: For creating a new bank customer, getting details about existing customer ProfileContract ProfileService Checking Account: To get checking account balance, deposit or withdraw amount CheckingAccountContract CheckingAccountService Savings Account: To get savings account balance, deposit or withdraw amount SavingsAccountContract SavingsAccountService ServiceHost: To host services, i.e. running the services at particular address, binding and contract where client can connect to Client: Helps end user to use services like creating account and amount transfer between the accounts BankDAL: Data access layer to work with database     BankDAL It’s no brainer not to use an ORM as many matured products are available currently in market including Linq2Sql, Entity Framework (EF), LLblGenPro etc. For this exercise I am going to use Entity Framework 4.0, CTP 5 with code first approach. There are two approaches when working with data, data driven and code driven. In data driven we start by designing tables and their constrains in database and generate entities in code while in code driven (code first) approach entities are defined in code and the metadata generated from the entities is used by the EF to create tables and table constrains. In previous versions the entity classes had  to derive from EF specific base classes. In EF 4 it  is not required to derive from any EF classes, the entities are not only persistence ignorant but also enable full test driven development using mock frameworks.  Application consists of 3 entities, Customer entity which contains Customer details; CheckingAccount and SavingsAccount to hold the respective account balance. We could have introduced an Account base class for CheckingAccount and SavingsAccount which is certainly possible with EF mappings but to keep it simple we are just going to follow 1 –1 mapping between entity and table mappings. Lets start out by defining a class called Customer which will be mapped to Customer table, observe that the class is simply a plain old clr object (POCO) and has no reference to EF at all. using System;   namespace BankDAL.Model { public class Customer { public int Id { get; set; } public string FullName { get; set; } public string Address { get; set; } public DateTime DateOfBirth { get; set; } } }   In order to inform EF about the Customer entity we have to define a database context with properties of type DbSet<> for every POCO which needs to be mapped to a table in database. EF uses convention over configuration to generate the metadata resulting in much less configuration. using System.Data.Entity;   namespace BankDAL.Model { public class BankDbContext: DbContext { public DbSet<Customer> Customers { get; set; } } }   Entity constrains can be defined through attributes on Customer class or using fluent syntax (no need to muscle with xml files), CustomerConfiguration class. By defining constrains in a separate class we can maintain clean POCOs without corrupting entity classes with database specific information.   using System; using System.Data.Entity.ModelConfiguration;   namespace BankDAL.Model { public class CustomerConfiguration: EntityTypeConfiguration<Customer> { public CustomerConfiguration() { Initialize(); }   private void Initialize() { //Setting the Primary Key this.HasKey(e => e.Id);   //Setting required fields this.HasRequired(e => e.FullName); this.HasRequired(e => e.Address); //Todo: Can't create required constraint as DateOfBirth is not reference type, research it //this.HasRequired(e => e.DateOfBirth); } } }   Any queries executed against Customers property in BankDbContext are executed against Cusomers table. By convention EF looks for connection string with key of BankDbContext when working with the context.   We are going to define a helper class to work with Customer entity with methods for querying, adding new entity etc and these are known as repository classes, i.e., CustomerRepository   using System; using System.Data.Entity; using System.Linq; using BankDAL.Model;   namespace BankDAL.Repositories { public class CustomerRepository { private readonly IDbSet<Customer> _customers;   public CustomerRepository(BankDbContext bankDbContext) { if (bankDbContext == null) throw new ArgumentNullException(); _customers = bankDbContext.Customers; }   public IQueryable<Customer> Query() { return _customers; }   public void Add(Customer customer) { _customers.Add(customer); } } }   From the above code it is observable that the Query methods returns customers as IQueryable i.e. customers are retrieved only when actually used i.e. iterated. Returning as IQueryable also allows to execute filtering and joining statements from business logic using lamba expressions without cluttering the data access layer with tens of methods.   Our CheckingAccountRepository and SavingsAccountRepository look very similar to each other using System; using System.Data.Entity; using System.Linq; using BankDAL.Model;   namespace BankDAL.Repositories { public class CheckingAccountRepository { private readonly IDbSet<CheckingAccount> _checkingAccounts;   public CheckingAccountRepository(BankDbContext bankDbContext) { if (bankDbContext == null) throw new ArgumentNullException(); _checkingAccounts = bankDbContext.CheckingAccounts; }   public IQueryable<CheckingAccount> Query() { return _checkingAccounts; }   public void Add(CheckingAccount account) { _checkingAccounts.Add(account); }   public IQueryable<CheckingAccount> GetAccount(int customerId) { return (from act in _checkingAccounts where act.CustomerId == customerId select act); }   } } The repository classes look very similar to each other for Query and Add methods, with the help of C# generics and implementing repository pattern (Martin Fowler) we can reduce the repeated code. Jarod from ElegantCode has posted an article on how to use repository pattern with EF which we will implement in the subsequent articles along with WCF Unity life time managers by Drew Contracts It is very easy to follow contract first approach with WCF, define the interface and append ServiceContract, OperationContract attributes. IProfile contract exposes functionality for creating customer and getting customer details.   using System; using System.ServiceModel; using BankDAL.Model;   namespace ProfileContract { [ServiceContract] public interface IProfile { [OperationContract] Customer CreateCustomer(string customerName, string address, DateTime dateOfBirth);   [OperationContract] Customer GetCustomer(int id);   } }   ICheckingAccount contract exposes functionality for working with checking account, i.e., getting balance, deposit and withdraw of amount. ISavingsAccount contract looks the same as checking account.   using System.ServiceModel;   namespace CheckingAccountContract { [ServiceContract] public interface ICheckingAccount { [OperationContract] decimal? GetCheckingAccountBalance(int customerId);   [OperationContract] void DepositAmount(int customerId,decimal amount);   [OperationContract] void WithdrawAmount(int customerId, decimal amount);   } }   Services   Having covered the data access layer and contracts so far and here comes the core of the business logic, i.e. services.   .csharpcode, .csharpcode pre { font-size: small; color: black; font-family: consolas, "Courier New", courier, monospace; background-color: #ffffff; /*white-space: pre;*/ } .csharpcode pre { margin: 0em; } .csharpcode .rem { color: #008000; } .csharpcode .kwrd { color: #0000ff; } .csharpcode .str { color: #006080; } .csharpcode .op { color: #0000c0; } .csharpcode .preproc { color: #cc6633; } .csharpcode .asp { background-color: #ffff00; } .csharpcode .html { color: #800000; } .csharpcode .attr { color: #ff0000; } .csharpcode .alt { background-color: #f4f4f4; width: 100%; margin: 0em; } .csharpcode .lnum { color: #606060; } .csharpcode, .csharpcode pre { font-size: small; color: black; font-family: consolas, "Courier New", courier, monospace; background-color: #ffffff; /*white-space: pre;*/ } .csharpcode pre { margin: 0em; } .csharpcode .rem { color: #008000; } .csharpcode .kwrd { color: #0000ff; } .csharpcode .str { color: #006080; } .csharpcode .op { color: #0000c0; } .csharpcode .preproc { color: #cc6633; } .csharpcode .asp { background-color: #ffff00; } .csharpcode .html { color: #800000; } .csharpcode .attr { color: #ff0000; } .csharpcode .alt { background-color: #f4f4f4; width: 100%; margin: 0em; } .csharpcode .lnum { color: #606060; } .csharpcode, .csharpcode pre { font-size: small; color: black; font-family: consolas, "Courier New", courier, monospace; background-color: #ffffff; /*white-space: pre;*/ } .csharpcode pre { margin: 0em; } .csharpcode .rem { color: #008000; } .csharpcode .kwrd { color: #0000ff; } .csharpcode .str { color: #006080; } .csharpcode .op { color: #0000c0; } .csharpcode .preproc { color: #cc6633; } .csharpcode .asp { background-color: #ffff00; } .csharpcode .html { color: #800000; } .csharpcode .attr { color: #ff0000; } .csharpcode .alt { background-color: #f4f4f4; width: 100%; margin: 0em; } .csharpcode .lnum { color: #606060; } .csharpcode, .csharpcode pre { font-size: small; color: black; font-family: consolas, "Courier New", courier, monospace; background-color: #ffffff; /*white-space: pre;*/ } .csharpcode pre { margin: 0em; } .csharpcode .rem { color: #008000; } .csharpcode .kwrd { color: #0000ff; } .csharpcode .str { color: #006080; } .csharpcode .op { color: #0000c0; } .csharpcode .preproc { color: #cc6633; } .csharpcode .asp { background-color: #ffff00; } .csharpcode .html { color: #800000; } .csharpcode .attr { color: #ff0000; } .csharpcode .alt { background-color: #f4f4f4; width: 100%; margin: 0em; } .csharpcode .lnum { color: #606060; } .csharpcode, .csharpcode pre { font-size: small; color: black; font-family: consolas, "Courier New", courier, monospace; background-color: #ffffff; /*white-space: pre;*/ } .csharpcode pre { margin: 0em; } .csharpcode .rem { color: #008000; } .csharpcode .kwrd { color: #0000ff; } .csharpcode .str { color: #006080; } .csharpcode .op { color: #0000c0; } .csharpcode .preproc { color: #cc6633; } .csharpcode .asp { background-color: #ffff00; } .csharpcode .html { color: #800000; } .csharpcode .attr { color: #ff0000; } .csharpcode .alt { background-color: #f4f4f4; width: 100%; margin: 0em; } .csharpcode .lnum { color: #606060; } ProfileService implements the IProfile contract for creating customer and getting customer detail using CustomerRepository. using System; using System.Linq; using System.ServiceModel; using BankDAL; using BankDAL.Model; using BankDAL.Repositories; using ProfileContract;   namespace ProfileService { [ServiceBehavior(IncludeExceptionDetailInFaults = true)] public class Profile: IProfile { public Customer CreateAccount( string customerName, string address, DateTime dateOfBirth) { Customer cust = new Customer { FullName = customerName, Address = address, DateOfBirth = dateOfBirth };   using (var bankDbContext = new BankDbContext()) { new CustomerRepository(bankDbContext).Add(cust); bankDbContext.SaveChanges(); } return cust; }   public Customer CreateCustomer(string customerName, string address, DateTime dateOfBirth) { return CreateAccount(customerName, address, dateOfBirth); } public Customer GetCustomer(int id) { return new CustomerRepository(new BankDbContext()).Query() .Where(i => i.Id == id).FirstOrDefault(); }   } } From the above code you shall observe that we are calling bankDBContext’s SaveChanges method and there is no save method specific to customer entity because EF manages all the changes centralized at the context level and all the pending changes so far are submitted in a batch and it is represented as Unit of Work. Similarly Checking service implements ICheckingAccount contract using CheckingAccountRepository, notice that we are throwing overdraft exception if the balance falls by zero. WCF has it’s own way of raising exceptions using fault contracts which will be explained in the subsequent articles. SavingsAccountService is similar to CheckingAccountService. using System; using System.Linq; using System.ServiceModel; using BankDAL.Model; using BankDAL.Repositories; using CheckingAccountContract;   namespace CheckingAccountService { [ServiceBehavior(IncludeExceptionDetailInFaults = true)] public class Checking:ICheckingAccount { public decimal? GetCheckingAccountBalance(int customerId) { using (var bankDbContext = new BankDbContext()) { CheckingAccount account = (new CheckingAccountRepository(bankDbContext) .GetAccount(customerId)).FirstOrDefault();   if (account != null) return account.Balance;   return null; } }   public void DepositAmount(int customerId, decimal amount) { using(var bankDbContext = new BankDbContext()) { var checkingAccountRepository = new CheckingAccountRepository(bankDbContext); CheckingAccount account = (checkingAccountRepository.GetAccount(customerId)) .FirstOrDefault();   if (account == null) { account = new CheckingAccount() { CustomerId = customerId }; checkingAccountRepository.Add(account); }   account.Balance = account.Balance + amount; if (account.Balance < 0) throw new ApplicationException("Overdraft not accepted");   bankDbContext.SaveChanges(); } } public void WithdrawAmount(int customerId, decimal amount) { DepositAmount(customerId, -1*amount); } } }   BankServiceHost The host acts as a glue binding contracts with it’s services, exposing the endpoints. The services can be exposed either through the code or configuration file, configuration file is preferred as it allows run time changes to service behavior even after deployment. We have 3 services and for each of the service you need to define name (the class that implements the service with fully qualified namespace) and endpoint known as ABC, i.e. address, binding and contract. We are using netTcpBinding and have defined the base address with for each of the contracts .csharpcode, .csharpcode pre { font-size: small; color: black; font-family: consolas, "Courier New", courier, monospace; background-color: #ffffff; /*white-space: pre;*/ } .csharpcode pre { margin: 0em; } .csharpcode .rem { color: #008000; } .csharpcode .kwrd { color: #0000ff; } .csharpcode .str { color: #006080; } .csharpcode .op { color: #0000c0; } .csharpcode .preproc { color: #cc6633; } .csharpcode .asp { background-color: #ffff00; } .csharpcode .html { color: #800000; } .csharpcode .attr { color: #ff0000; } .csharpcode .alt { background-color: #f4f4f4; width: 100%; margin: 0em; } .csharpcode .lnum { color: #606060; } <system.serviceModel> <services> <service name="ProfileService.Profile"> <endpoint binding="netTcpBinding" contract="ProfileContract.IProfile"/> <host> <baseAddresses> <add baseAddress="net.tcp://localhost:1000/Profile"/> </baseAddresses> </host> </service> <service name="CheckingAccountService.Checking"> <endpoint binding="netTcpBinding" contract="CheckingAccountContract.ICheckingAccount"/> <host> <baseAddresses> <add baseAddress="net.tcp://localhost:1000/Checking"/> </baseAddresses> </host> </service> <service name="SavingsAccountService.Savings"> <endpoint binding="netTcpBinding" contract="SavingsAccountContract.ISavingsAccount"/> <host> <baseAddresses> <add baseAddress="net.tcp://localhost:1000/Savings"/> </baseAddresses> </host> </service> </services> </system.serviceModel> Have to open the services by creating service host which will handle the incoming requests from clients.   using System;   namespace ServiceHost { class Program { static void Main(string[] args) { CreateHosts(); Console.ReadLine(); }   private static void CreateHosts() { CreateHost(typeof(ProfileService.Profile),"Profile Service"); CreateHost(typeof(SavingsAccountService.Savings), "Savings Account Service"); CreateHost(typeof(CheckingAccountService.Checking), "Checking Account Service"); }   private static void CreateHost(Type type, string hostDescription) { System.ServiceModel.ServiceHost host = new System.ServiceModel.ServiceHost(type); host.Open();   if (host.ChannelDispatchers != null && host.ChannelDispatchers.Count != 0 && host.ChannelDispatchers[0].Listener != null) Console.WriteLine("Started: " + host.ChannelDispatchers[0].Listener.Uri); else Console.WriteLine("Failed to start:" + hostDescription); } } } BankClient    The client has no knowledge about service business logic other than the functionality it exposes through the contract, end points and a proxy to work against. The endpoint data and server proxy can be generated by right clicking on the project reference and choosing ‘Add Service Reference’ and entering the service end point address. Or if you have access to source, you can manually reference contract dlls and update clients configuration file to point to the service end point if the server and client happens to be being built using .Net framework. One of the pros with the manual approach is you don’t have to work against messy code generated files.   <system.serviceModel> <client> <endpoint name="tcpProfile" address="net.tcp://localhost:1000/Profile" binding="netTcpBinding" contract="ProfileContract.IProfile"/> <endpoint name="tcpCheckingAccount" address="net.tcp://localhost:1000/Checking" binding="netTcpBinding" contract="CheckingAccountContract.ICheckingAccount"/> <endpoint name="tcpSavingsAccount" address="net.tcp://localhost:1000/Savings" binding="netTcpBinding" contract="SavingsAccountContract.ISavingsAccount"/>   </client> </system.serviceModel> The client uses a façade to connect to the services   using System.ServiceModel; using CheckingAccountContract; using ProfileContract; using SavingsAccountContract;   namespace Client { public class ProxyFacade { public static IProfile ProfileProxy() { return (new ChannelFactory<IProfile>("tcpProfile")).CreateChannel(); }   public static ICheckingAccount CheckingAccountProxy() { return (new ChannelFactory<ICheckingAccount>("tcpCheckingAccount")) .CreateChannel(); }   public static ISavingsAccount SavingsAccountProxy() { return (new ChannelFactory<ISavingsAccount>("tcpSavingsAccount")) .CreateChannel(); }   } }   With that in place, lets get our unit tests going   using System; using System.Diagnostics; using BankDAL.Model; using NUnit.Framework; using ProfileContract;   namespace Client { [TestFixture] public class Tests { private void TransferFundsFromSavingsToCheckingAccount(int customerId, decimal amount) { ProxyFacade.CheckingAccountProxy().DepositAmount(customerId, amount); ProxyFacade.SavingsAccountProxy().WithdrawAmount(customerId, amount); }   private void TransferFundsFromCheckingToSavingsAccount(int customerId, decimal amount) { ProxyFacade.SavingsAccountProxy().DepositAmount(customerId, amount); ProxyFacade.CheckingAccountProxy().WithdrawAmount(customerId, amount); }     [Test] public void CreateAndGetProfileTest() { IProfile profile = ProxyFacade.ProfileProxy(); const string customerName = "Tom"; int customerId = profile.CreateCustomer(customerName, "NJ", new DateTime(1982, 1, 1)).Id; Customer customer = profile.GetCustomer(customerId); Assert.AreEqual(customerName,customer.FullName); }   [Test] public void DepositWithDrawAndTransferAmountTest() { IProfile profile = ProxyFacade.ProfileProxy(); string customerName = "Smith" + DateTime.Now.ToString("HH:mm:ss"); var customer = profile.CreateCustomer(customerName, "NJ", new DateTime(1982, 1, 1)); // Deposit to Savings ProxyFacade.SavingsAccountProxy().DepositAmount(customer.Id, 100); ProxyFacade.SavingsAccountProxy().DepositAmount(customer.Id, 25); Assert.AreEqual(125, ProxyFacade.SavingsAccountProxy().GetSavingsAccountBalance(customer.Id)); // Withdraw ProxyFacade.SavingsAccountProxy().WithdrawAmount(customer.Id, 30); Assert.AreEqual(95, ProxyFacade.SavingsAccountProxy().GetSavingsAccountBalance(customer.Id));   // Deposit to Checking ProxyFacade.CheckingAccountProxy().DepositAmount(customer.Id, 60); ProxyFacade.CheckingAccountProxy().DepositAmount(customer.Id, 40); Assert.AreEqual(100, ProxyFacade.CheckingAccountProxy().GetCheckingAccountBalance(customer.Id)); // Withdraw ProxyFacade.CheckingAccountProxy().WithdrawAmount(customer.Id, 30); Assert.AreEqual(70, ProxyFacade.CheckingAccountProxy().GetCheckingAccountBalance(customer.Id));   // Transfer from Savings to Checking TransferFundsFromSavingsToCheckingAccount(customer.Id,10); Assert.AreEqual(85, ProxyFacade.SavingsAccountProxy().GetSavingsAccountBalance(customer.Id)); Assert.AreEqual(80, ProxyFacade.CheckingAccountProxy().GetCheckingAccountBalance(customer.Id));   // Transfer from Checking to Savings TransferFundsFromCheckingToSavingsAccount(customer.Id, 50); Assert.AreEqual(135, ProxyFacade.SavingsAccountProxy().GetSavingsAccountBalance(customer.Id)); Assert.AreEqual(30, ProxyFacade.CheckingAccountProxy().GetCheckingAccountBalance(customer.Id)); }   [Test] public void FundTransfersWithOverDraftTest() { IProfile profile = ProxyFacade.ProfileProxy(); string customerName = "Angelina" + DateTime.Now.ToString("HH:mm:ss");   var customerId = profile.CreateCustomer(customerName, "NJ", new DateTime(1972, 1, 1)).Id;   ProxyFacade.SavingsAccountProxy().DepositAmount(customerId, 100); TransferFundsFromSavingsToCheckingAccount(customerId,80); Assert.AreEqual(20, ProxyFacade.SavingsAccountProxy().GetSavingsAccountBalance(customerId)); Assert.AreEqual(80, ProxyFacade.CheckingAccountProxy().GetCheckingAccountBalance(customerId));   try { TransferFundsFromSavingsToCheckingAccount(customerId,30); } catch (Exception e) { Debug.WriteLine(e.Message); }   Assert.AreEqual(110, ProxyFacade.CheckingAccountProxy().GetCheckingAccountBalance(customerId)); Assert.AreEqual(20, ProxyFacade.SavingsAccountProxy().GetSavingsAccountBalance(customerId)); } } }   We are creating a new instance of the channel for every operation, we will look into instance management and how creating a new instance of channel affects it in subsequent articles. The first two test cases deals with creation of Customer, deposit and withdraw of month between accounts. The last case, FundTransferWithOverDraftTest() is interesting. Customer starts with depositing $100 in SavingsAccount followed by transfer of $80 in to checking account resulting in $20 in savings account.  Customer then initiates $30 transfer from Savings to Checking resulting in overdraft exception on Savings with $30 being deposited to Checking. As we are not running both the requests in transactions the customer ends up with more amount than what he started with $100. In subsequent posts we will look into transactions handling.  Make sure the ServiceHost project is set as start up project and start the solution. Run the test cases either from NUnit client or TestDriven.Net/Resharper which ever is your favorite tool. Make sure you have updated the data base connection string in the ServiceHost config file to point to your local database

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  • Objective-C and Android

    - by Tom R
    I've just finished a relatively large project for the Android, and it's left a bitter taste in my mouth with the knowledge that it will never run on one of the most ubiquitous handsets this side of the solar system (the one by that fruity little club). So, for my next project, I want to write it in a way that makes most of the components easily transportable between the iPhone and Android platforms. The way I'm thinking of doing this is by coding most of it in Objective-C, and then adding the platform-specific parts in more Objective-C and Java respectively. On the Android side, this will require using the the NDK. My knowledge of C is good, but my knowledge of Objective-C is close to zero, and I have no desire to learn C++. How sane is the approach above, and is there a better one? Is there any way I can code in Java and still reach the un-hacked iPhone market? And how likely is it that the people I know (iPhone users) will have an Android phone by next year?

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  • Using XML to generate SAP ABAP and/or SAPScript?

    - by Rob
    Has anyone got examples and/or experience of generating SAP ABAP or SAPScript form code from XML that came from an external application? This would help: creation of SAP-based applications in a data-driven way by automating the knowledge to do so from the export of XML from an external application automated inputting of knowledge from an external application into SAP applications, rather than manually copying between systems enable 3rd-party external tools to be used to create data, perhaps in a more easier-to-use way than could be done in SAP. Or if there was already heavy investment in training with these third party tools rather than SAP, or if the employment market favoured staff with knowledge of these tools enable creation of data for multiple purposes, views: those in SAP and outside SAP. enable inter-operability of SAP with 3rd-party external tools I'm looking for: - experiences as to the feasibility - tools, e.g. parsers, XSLT etc. - examples

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