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  • UEFI/GPT Win 7 Load Failure in Dual Boot and no GRUB2 [Ubuntu 12.04]

    - by cristian_jordache
    Configuration: MBB: ASRock X79 Extreme6 Win 7 installed on a INTEL 40GB SSD (GPT partitioned) Ubuntu 14.04 on a CORSAIR 30GB SSD (Ext4 and SWAP) I had Windows 7 installed previously in UEFI mode, using 3 partitions (GPT) and works fine if left alone. In UEFI BIOS settings I can see sometimes a "Windows Boot Manager" and other times (?) a "UEFI Intel" entry for INTEL HDD and Windows will boot properly selecting the one available at that time. I installed Ubuntu 14.04 after Win 7 w/o changing any UEFI BIOS settings and it works fine only if the BIOS is set w/ the Ubuntu partition as the first drive to boot, in AHCI mode. If both SSD drives are connected, the Win7 Intel boot drive can be chosen as first boot device but only as an "AHCI Intel drive" (No "Windows Boot Manager" nor "UEFI Intel device" options available in BIOS Boot menu) and Win7 will not load properly as long as the Ubuntu Crucial SSD is NOT PHYSICALLY DISCONNECTED. Windows will try, start booting for few seconds but will fail replacing Win7 logo and that startup animation with w/ the "old" white progress bar and then and will notify that there is a issue and prompt the user to try to Load Win 7 in Normal Mode again or try a Recovery Mode to fix it. If I let Windows INTEL HDD boot via BIOS/UEFI - Windows Boot manager selection, I may see the purple screen of Grub2 loaded for a while, but there's no selection for Ubuntu or Windows and/or then machine is not booting, showing a black screen and a small command prompt cursor blinking on top. So far the only option I see to have Ubuntu boot side by side w/ Win 7 is to reformat the Win7 SDD and set it boot in legacy BIOS mode with a MBR instead of GPT. Per my understanding this is a quite complex issue to fix (Rod Smith's answer was pretty helpful: UEFI boot on my Asus k52f) but any other suggestions are welcome. I find a bit odd that I can boot properly Windows7 SSD or an Ubuntu DVD using a DVD drive set in UEFI-BIOS in "AHCI mode" and w/ using "UEFI/Windows Boot Manager" booting option but I cannot boot a secondary SSD-HDD w/ Ubuntu having the same BIOS/UEFI Boot configuration. Looks like plugging the second SSD [the Ubuntu partition] is interfering with boot options in UEFI-BIOS.

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  • Oracle Utilities Application Framework V4.1 Group Fix 4 available

    - by ACShorten
    Oracle Utilities Application Framework V4.1 Group Fix 4 is available from My Oracle Support as Patch 13523301. This Group Fix contains a number of enhancements and keeps fixes up to date to the latest patch level. The enhancements included in this Group Fix include: UI Hints - In previous group fixes of the Oracle Utilities Application Framework the infrastructure to support UI Hints was introduced. This group fix completes the release of this functionality. Prior to this enhancement, products and implementers typically would build at least one UI Map per Business Object to display and/or maintain the object. Whilst, this can be generated using the UI Map maintenance function and stored, this enhancement allows additional tags and elements to be added to the Business Object directly to allow dynamic generation of the UI Map for maintenance and viewing the object. This reduces the need to generate and build a UI Map at all for that object. This will reduce maintenance effort of maintaining the product and implementation by eliminating the need to maintain the HTML for the UI Map. This also allows lower skilled personnel to maintain the system. Help and working examples are available from the View schema attributes and node names option from the Schema Tips dashboard zone. For example: Note: For examples of the hints, refer to an of the following Business Objects F1_OutcomeStyleLookup, F1-TodoSumEmailType, F1-BOStatusReason or F1-BIGeneralMasterConfig. Setting batch log file names -  By default the batch infrastructure supplied with the Oracle Utilities Application Framework sets the name and location of the log files to set values. In Group Fix 4 a set of user exits have been added to allow implementers and partners to set their own filename and location.  Refer to the Release Notes in the download for more details.

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  • Conversion of BizTalk Projects to Use the New WCF-SAP Adaptor

    - by Geordie
    We are in the process of upgrading our BizTalk Environment from BizTalk 2006 R2 to BizTalk 2010. The SAP adaptor in BizTalk 2010 is an all new and more powerful WCF-SAP adaptor. When my colleagues tested out the new adaptor they discovered that the format of the data extracted from SAP was not identical to the old adaptor. This is not a big deal if the structure of the messages from SAP is simple. In this case we were receiving the delivery and invoice iDocs. Both these structures are complex especially the delivery document. Over the past few years I have tweaked the delivery mapping to remove bugs from original mapping. The idea of redoing these maps did not appeal and due to the current work load was not even an option. I opted for a rather crude alternative of pulling in the iDoc in the new typed format and then adding a static map at the start of the orchestration to convert the data to the old schema.  Note WCF-SAP data formats (on the binding tab of the configuration dialog box is the ‘RecieiveIdocFormat’ field): Typed:  Returns a XML document with the hierarchy represented in XML and all fields being represented by XML tags. RFC: Returns an XML document with the hierarchy represented in XML but the iDoc lines in flat file format. String: This returns the iDoc in a format that is closest to the original flat file format but is still wrapped with some top level XML tags. The files also contained some strange characters at the end of each line. I started with the invoice document and it was quite straight forward to add the mapping but this is where my problems started. The orchestrations for these documents are dynamic and so require the identity of the partner to be able to correctly configure the orchestration. The partner identity is in the EDI_DC40 segment of the iDoc. In the old project the RECPRN node of the segment was promoted. The code to set a variable to the partner ID was now failing. After lot of head scratching I discovered the problem was due to the addition of Namespaces to the fields in the EDI_DC40 segment. To overcome this I needed to use an xPath query with a Namespace Manager. This had to be done in custom code. I now tried to repeat the process with the delivery document. Unfortunately when we tried to get sample typed data from SAP an exception was thrown. The adapter "WCF-SAP" raised an error message. Details "Microsoft.ServiceModel.Channels.Common.XmlReaderGenerationException: The segment or group definition E2EDKA1001 was not found in the IDoc metadata. The UniqueId of the IDoc type is: IDOCTYP/3/DESADV01/ZASNEXT1/640. For Receive operations, the SAP adapter does not support unreleased segments.   Our guess is that when the WCF-SAP adaptor tries to down load the data it retrieves a data schema from SAP. For some reason the schema does not match the data. This may be due to the version of SAP we are running or due to a customization. Either way resolving this problem did not look easy. When doing some research on this problem I found an article showing me how to get the data from SAP using the WCF-SAP adaptor without any XML tags. http://blogs.msdn.com/b/adapters/archive/2007/10/05/receiving-idocs-getting-the-raw-idoc-data.aspx Reproduction of Mustansir blog: Since the WCF based SAP Adapter is ... well, WCF based, all data flowing in and out of the adapter is encapsulated within a SOAP message. Which means there are those pesky xml tags all over the place. If you want to receive an Idoc from SAP, you can receive it in "Typed" format (in which case each column in each segment of the idoc appears within its own xml tag), or you can receive it in "String" format (in which case there are just 2 xml tags at the top, the raw xml data in string/flat file format, and the 2 closing xml tags). In "String" format, an incoming idoc (for ORDERS05, containing 5 data records) would look like: <ReceiveIdoc ><idocData>EDI_DC40 8000000000001064985620 E2EDK01005 800000000000106498500000100000001 E2EDK14 8000000000001064985000002000000020111000 E2EDK14 8000000000001064985000003000000020081000 E2EDK14 80000000000010649850000040000000200710 E2EDK14 80000000000010649850000050000000200600</idocData></ReceiveIdoc> (I have trimmed part of the control record so that it fits cleanly here on one line). Now, you're only interested in the IDOC data, and don't care much for the XML tags. It isn't that difficult to write your own pipeline component, or even some logic in the orchestration to remove the tags, right? Well, you don't need to write any extra code at all - the WCF Adapter can help you here! During the configuration of your one-way Receive Location using WCF-Custom, navigate to the Messages tab. Under the section "Inbound BizTalk Messge Body", select the "Path" radio button, and: (a) Enter the body path expression as: /*[local-name()='ReceiveIdoc']/*[local-name()='idocData'] (b) Choose "String" for the Node Encoding. What we've done is, used an XPATH to pull out the value of the "idocData" node from the XML. Your Receive Location will now emit text containing only the idoc data. You can at this point, for example, put the Flat File Pipeline component to convert the flat text into a different xml format based on some other schema you already have, and receive your version of the xml formatted message in your orchestration.   This was potentially a much easier solution than adding the static maps to the orchestrations and overcame the issue with ‘Typed’ delivery documents. Not quite so fast… Note: When I followed Mustansir’s blog the characters at the end of each line disappeared. After configuring the adaptor and passing the iDoc data into the original flat file receive pipelines I was receiving exceptions. There was a failure executing the receive pipeline: "PAPINETPipelines.DeliveryFlatFileReceive, CustomerIntegration2.PAPINET.Pipelines, Version=1.0.0.0, Culture=neutral, PublicKeyToken=4ca3635fbf092bbb" Source: "Pipeline " Receive Port: "recSAP_Delivery" URI: "D:\CustomerIntegration2\SAP\Delivery\*.xml" Reason: An error occurred when parsing the incoming document: "Unexpected data found while looking for: 'Z2EDPZ7' The current definition being parsed is E2EDP07GRP. The stream offset where the error occured is 8859. The line number where the error occured is 23. The column where the error occured is 0.". Although the new flat file looked the same as the old one there was a differences. In the original file all lines in the document were exactly 1064 character long. In the new file all lines were truncated to the last alphanumeric character. The final piece of the puzzle was to add a custom pipeline component to pad all the lines to 1064 characters. This component was added to the decode node of the custom delivery and invoice flat file disassembler pipelines. Execute method of the custom pipeline component: public IBaseMessage Execute(IPipelineContext pc, IBaseMessage inmsg) { //Convert Stream to a string Stream s = null; IBaseMessagePart bodyPart = inmsg.BodyPart;   // NOTE inmsg.BodyPart.Data is implemented only as a setter in the http adapter API and a //getter and setter for the file adapter. Use GetOriginalDataStream to get data instead. if (bodyPart != null) s = bodyPart.GetOriginalDataStream();   string newMsg = string.Empty; string strLine; try { StreamReader sr = new StreamReader(s); strLine = sr.ReadLine(); while (strLine != null) { //Execute padding code if (strLine != null) strLine = strLine.PadRight(1064, ' ') + "\r\n"; newMsg += strLine; strLine = sr.ReadLine(); } sr.Close(); } catch (IOException ex) { throw new Exception("Error occured trying to pad the message to 1064 charactors"); }   //Convert back to stream and set to Data property inmsg.BodyPart.Data = new MemoryStream(Encoding.UTF8.GetBytes(newMsg)); ; //reset the position of the stream to zero inmsg.BodyPart.Data.Position = 0; return inmsg; }

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  • How can I run the pixel shader effect?

    - by Yashwinder
    Stated below is the code for my pixel shader which I am rendering after the vertex shader. I have set the wordViewProjection matrix in my program but I don't know to set the progress variable i.e in my pixel shader file which will make the image displayed by the help of a quad to give out transition effect. Here is the code for my pixel shader program::: As my pixel shader is giving a static effect and now I want to use it to give some effect. So for this I have to add a progress variable in my pixel shader and initialize to the Constant table function i.e constantTable.SetValue(D3DDevice,"progress",progress ); I am having the problem in using this function for progress in my program. Anybody know how to set this variable in my program. And my new pixel shader code is float progress : register(C0); sampler2D implicitInput : register(s0); sampler2D oldInput : register(s1); struct VS_OUTPUT { float4 Position : POSITION; float4 Color : COLOR0; float2 UV : TEXCOORD 0; }; float4 Blinds(float2 uv) { if(frac(uv.y * 5) < progress) { return tex2D(implicitInput, uv); } else { return tex2D(oldInput, uv); } } // Pixel Shader { return Blinds(input.UV); }

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  • vsftpd: chroot_local_user causes GNU/TLS-error

    - by akrosikam
    Distro: Ubuntu 12.04.2 Server 32-bit Server client: vsftpd 2.3.5 (from default "main" repository) Problem: Since upgrading from Ubuntu 10.04 to Ubuntu 12.04 (nothing changed on client-side), vsftp has refused to make chroot-jails with the "chroot_local_user" directive on FTP(e/i)S-connections. Here's my vsftpd.conf: anonymous_enable=NO local_enable=YES write_enable=YES local_umask=022 dirmessage_enable=YES xferlog_enable=YES xferlog_std_format=YES ftpd_banner=How are you gentlemen. listen=YES pam_service_name=vsftpd userlist_enable=YES userlist_deny=NO tcp_wrappers=YES connect_from_port_20=YES ftp_data_port=20 listen_port=21 pasv_enable=YES pasv_promiscuous=NO pasv_min_port=4242 pasv_max_port=4252 pasv_addr_resolve=YES pasv_address=your.domain.com ssl_enable=YES allow_anon_ssl=NO force_local_logins_ssl=YES force_local_data_ssl=YES ssl_tlsv1=YES ssl_sslv2=NO ssl_sslv3=NO rsa_cert_file=/home/maw/ssl_ftp_test/vsftpd.pem rsa_private_key_file=/home/maw/ssl_ftp_test/vsftpd.pem debug_ssl=YES log_ftp_protocol=YES ssl_ciphers=HIGH chroot_local_user=NO How to reproduce: Have a working SSL/TLS-secured vsftpd-configuration (I suggest similar to the one above) ready. Try to connect with an FTP user client and upload some files. With my setup, the above listed config works well at this point. Edit /etc/vsftpd.conf and set chroot_local_user= to YES. Make sure that chroot_list_enable= and/or chroot_list_file= are not set. Comment them out if they are. Save and exit. Run sudo restart vsftpd (or sudo service vsftpd restart if you like) in a terminal. Try to connect with an FTP user client. You should see a message more or less like this: GnuTLS error -15: An unexpected TLS packet was received. This is an issue for me, as I do not want FTP-sessions to be able to list files outside the user's home folder. I have checked with several client-side apps, and I get the same results with every one of them. Filezilla is not so good regarding cipher methods nowadays, but as I am able to make an FTP(e)s-connection over TLS (as long as chroot'ing is disabled and ssl_ciphers is set to HIGH) I have a feeling ciphers are not the issue this time, and that I won't find the answer by tweaking configs on the client side. My vsftpd.log stays empty, even though debug_ssl and log_ftp_protocol are enabled, so no info there either.

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  • BIEE Drilling Down and then Across

    - by Tim Dexter
    Slightly off topic today but if you are working with OBIEE in conjunction with BIP its not that far off. Some of you may know, I now get to play with the whole BI suite, I have been for nearly 2 years. Today, I was working with BIEE and wanted to share what I thought was a neat trick. I have to thank Rob Lindsley on our team for the pointers to get it working. The problem I had was that I had set up a drill down hierarchy that took the user down a couple of levels to the bottom project number level. I needed for the user to then be able to click the project number to navigate across to another more detailed report on that project. By default, there is no link, you are at the bottom of a hierarchical drill! There is nothing you can do in the data model (that Im aware of) but you can use a neat trick to get BIEE to allow you to navigate from the bottom rung of the hierarchy. Add the bottom level column to an Answer report. Go into the column properties and set the navigation target. The trick is to then set the current column properties as the system-wide default for that column. You can then actually delete the column from your report. Now as you drill down the hierarchy and reach what was the bottom you will still have a link for the user to punch over to the detail report, sweeeet! The other benefit is that whenever you add the column to a report the link will be available to the detail report, unless you want to override it of course.

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  • SQL SERVER – Validating If Date is Last Day of the Year, Month or Day

    - by Pinal Dave
    Here is one more question I recently received in an email- “Pinal, is there any ready made function which will display if the given date is the last day or the year, month or day? For example, if a date is the last day of the Year and last day of the month, I want to display Last Day of the Year and if a date is the last date of the month and last day of the week, I want to display the last day of the week. “ Well, very interesting question and there is no such function available for the same. However, here is the function I have written earlier for my personal use where I almost accomplish same task. -- Example of Year DECLARE @Day DATETIME SET @Day = '2014-12-31' SELECT CASE WHEN CAST(@Day AS DATE) = CAST(DATEADD(ms,-3,DATEADD(yy,0,DATEADD(yy,DATEDIFF(yy,0,@Day)+1,0))) AS DATE) THEN 'LastDayofYear' WHEN CAST(@Day AS DATE) = CAST(DATEADD(s,-1,DATEADD(mm, DATEDIFF(m,0,@Day)+1,0)) AS DATE) THEN 'LastDayofMonth' WHEN CAST(@Day AS DATE) = CAST(DATEADD(s,-1,DATEADD(wk, DATEDIFF(wk,0,@Day),0)) AS DATE) THEN 'LastDayofWeek' ELSE 'Day' END GO -- Example of Month DECLARE @Day DATETIME SET @Day = '2014-06-30' SELECT CASE WHEN CAST(@Day AS DATE) = CAST(DATEADD(ms,-3,DATEADD(yy,0,DATEADD(yy,DATEDIFF(yy,0,@Day)+1,0))) AS DATE) THEN 'LastDayofYear' WHEN CAST(@Day AS DATE) = CAST(DATEADD(s,-1,DATEADD(mm, DATEDIFF(m,0,@Day)+1,0)) AS DATE) THEN 'LastDayofMonth' WHEN CAST(@Day AS DATE) = CAST(DATEADD(s,-1,DATEADD(wk, DATEDIFF(wk,0,@Day),0)) AS DATE) THEN 'LastDayofWeek' ELSE 'Day' END GO -- Example of Month DECLARE @Day DATETIME SET @Day = '2014-05-04' SELECT CASE WHEN CAST(@Day AS DATE) = CAST(DATEADD(ms,-3,DATEADD(yy,0,DATEADD(yy,DATEDIFF(yy,0,@Day)+1,0))) AS DATE) THEN 'LastDayofYear' WHEN CAST(@Day AS DATE) = CAST(DATEADD(s,-1,DATEADD(mm, DATEDIFF(m,0,@Day)+1,0)) AS DATE) THEN 'LastDayofMonth' WHEN CAST(@Day AS DATE) = CAST(DATEADD(s,-1,DATEADD(wk, DATEDIFF(wk,0,@Day),0)) AS DATE) THEN 'LastDayofWeek' ELSE 'Day' END GO Let me know if you know any other smarter trick and we can post it here with due credit. Reference: Pinal Dave (http://blog.SQLAuthority.com)Filed under: PostADay, SQL, SQL Authority, SQL DateTime, SQL Query, SQL Server, SQL Tips and Tricks, T SQL

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  • How to do role-based access control for a franchise business?

    - by FreshCode
    I'm building the 2nd iteration of a web-based CRM+CMS for a franchise service business in ASP.NET MVC 2. I need to control access to each franchise's services based on the roles a user is assigned for that franchise. 4 examples: Receptionist should be able to book service jobs in for her "Atlantic Seaboard" franchise, but not do any reporting. Technician should be able to alter service jobs, but not modify invoices. Managers should be able to apply discount to invoices for jobs within their stores. Owner should be able to pull reports for any franchises he owns. Where should franchise-level access control fit in between the Data - Services - Web layer? If it belongs in my Controllers, how should I best implement it? Partial Schema Roles class int ID { get; set; } // primary key for Role string Name { get; set; } Partial Franchises class short ID { get; set; } // primary key for Franchise string Slug { get; set; } // unique key for URL access, eg /{franchise}/{job} string Name { get; set; } UserRoles mapping short FranchiseID; // related to franchises table Guid UserID; // related to Users table int RoleID; // related to Roles table DateTime ValidFrom; DateTime ValidUntil; Background I built the previous CRM in classic ASP and it runs the business well, but it's time for an upgrade to speed up workflow and leave less room for error. For the sake of proper testing and better separation between data and presentation, I decided to implement the repository pattern as seen in Rob Conery's MVC Storefront series. Controller Implementation Access Control with [Authorize] attribute If there was just one franchise involved, I could simply limit access to a controller action like so: [Authorize(Roles="Receptionist, Technician, Manager, Owner")] public ActionResult CreateJob(Job job) { ... } And since franchises don't just pop up over night, perhaps this is a strong case to use the new Areas feature in ASP.NET MVC 2? Or would this lead to duplicate Views? Controllers, URL Routing & Areas Assuming Areas aren't used, what would be the best way to determine which franchise's data is being accessed? I thought of this: {franchise}/{controller}/{action}/{id} or is it better to determine a job's franchise in a Details(...) action and limit a user's action with [Authorize]: {job}/{id}/{action}/{subaction} {invoice}/{id}/{action}/{subaction} which makes more sense if any user could potentially have access to more than one franchise without cluttering the URL with a {franchise} parameter. Any input is appreciated.

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  • Setting Up IRM Test Content

    - by martin.abrahams
    A feature of the 11g IRM Server that sometimes gets overlooked is the ability to set up some test content that any IRM user can access to verify that their IRM Desktop can reach the server, authenticate successfully, and render protected content successfully. Such test content is useful for new users, and in troubleshooting scenarios. Here's how to set up some test content... In the management console, go to IRM - Administration - Test Content, as shown. The console will display a list of test content - initially an empty list. Use the Add option to specify the URL of a document or image, and define one or more labels for the test content in whichever languages your users favour. Note that you do not need to seal the image or document in order to use it as test content. Nor do you need to set up any rights for the test content. The IRM Server will handle the sealing and rights assignment automatically such that all authenticated users are authorised to view the test content. Repeat this process for as many different types of content as you would like to offer for test purposes - perhaps a Word document, a PDF document, and an image. To keep things simple the first time I did this, I used the URL of one of the images in the IRM Server's UI - so there was no problem with the IRM Server being able to reach that image. Whatever content you want to use, the IRM Server needs to be able to reach it at the URL you specify. Using Test Content Open a browser and browse to the URL that the IRM Desktop normally uses to access the IRM Server, for example: http://irm11g.oracle.com/irm_desktop If you are not sure, you can find this URL in the Servers tab of the IRM Options dialog. Go to the Test tab, and you will see your test content listed. By opening one of the items, you can verify that your IRM Desktop is healthy and that you can authenticate to the IRM Server.

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  • Flex: Create custom stroke on LineSeries?

    - by John Isaacks
    You can easily set a stroke on a line series like this: <mx:LineSeries yField="apple"> <mx:lineStroke> <mx:Stroke color="0x6699FF" weight="4" alpha=".8" /> </mx:lineStroke> </mx:LineSeries> This will set alpha for the entire stroke to .8 But I want to be able to set a different alpha on the stoke for each plot based on something in the dataProvider. For example the yField in the lineSeries is "Apple" which is how it knows where to plot for the lineSeries. I want to be able to add something like alphaField which tells it what to set the stroke alpha for each plot. so if my dataProvider was: <result month="Jan-04"> <apple>81768</apple> <alpha>1</alpha> </result> <result month="Feb-04"> <apple>51156</apple> <alpha>1</alpha> </result> <result month="Mar-04"> <apple>51156</apple> <alpha>.5</alpha> </result> And I set alphaField="alpha" then I would have a solid stroke from plot 0 to plot 1 and then a 50% alpha stroke from plot 1 to plot 2. How can I do this??? I am looking in the commitProperties() and updateDisplayList() methods of LineSeries and have no idea what would need to be added/changed to make this? I am pretty sure, this class has to use Graphics.lineTo() to draw each plot, so basically it would need to "get" the current alphaField value somehow, and apply a Graphics.lineStyle() with the correct alpha before drawing each line. Thanks!! UPDATE I have gotten much closer to my answer. When I extend LineRenderer I override updateDisplayList() which calls GraphicsUtilities.drawPolyLine() I extend GraphicsUtilities and override the method drawPolyLine() as this is where the line is actually drawn. I can call lineStyle() in here and change the alpha of the line... I still have 1 thing I cannot figure out, from within the drawPolyLine() method how can I access that data that dictates what the alpha should be? Thanks!!!!

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  • Stupid Geek Tricks: Change Your IP Address From the Command Line in Linux

    - by Taylor Gibb
    Almost everybody can figure out how to change their IP address using an interface, but did you know you can set your network card’s IP address using a simple command from the command line? Changing Your IP From the Command Line in Linux Note: This will work on all Debian based Linux Distro’s. To get started type ifconfig into the terminal and hit enter, take note of the name of the interface that you want to change the settings for. To change the settings, you also use the ifconfig command, this time with a few parameters: sudo ifconfig eth0   192.168.0.1 netmask 255.255.255.0 That’s about all all you need to do to change your IP, of course the above command assumes a few things: The interface that you want to change the IP for is eth0 The IP you want to give the interface is 192.168.0.1 The Subnet Mask you want to set for the interface is 255.255.255.0 If you run ifconfig again you will see that your interface has now taken on the new settings you assigned to it. If you wondering how to change the Default Gateway, you can use the route command. sudo route add default gw 192.168.0.253 eth0 Will set your Default Gateway on the eth0 interface to 192.168.0.253. To see your new setting, you will need to display the routing table. route -n That’s all there is to it. How to Play Classic Arcade Games On Your PC How to Use an Xbox 360 Controller On Your Windows PC Download the Official How-To Geek Trivia App for Windows 8

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  • Hibernate annotated many-to-one not adding child to parent Collection

    - by Rob Hruska
    I have the following annotated Hibernate entity classes: @Entity public class Cat { @Column(name = "ID") @GeneratedValue(strategy = GenerationType.AUTO) @Id private Long id; @OneToMany(mappedBy = "cat", cascade = CascadeType.ALL, fetch = FetchType.EAGER) private Set<Kitten> kittens = new HashSet<Kitten>(); public void setId(Long id) { this.id = id; } public Long getId() { return id; } public void setKittens(Set<Kitten> kittens) { this.kittens = kittens; } public Set<Kitten> getKittens() { return kittens; } } @Entity public class Kitten { @Column(name = "ID") @GeneratedValue(strategy = GenerationType.AUTO) @Id private Long id; @ManyToOne(cascade = CascadeType.ALL, fetch = FetchType.EAGER) private Cat cat; public void setId(Long id) { this.id = id; } public Long getId() { return id; } public void setCat(Cat cat) { this.cat = cat; } public Cat getCat() { return cat; } } My intention here is a bidirectional one-to-many/many-to-one relationship between Cat and Kitten, with Kitten being the "owning side". What I want to happen is when I create a new Cat, followed by a new Kitten referencing the Cat, the Set of kittens on my Cat should contain the new Kitten. However, this does not happen in the following test: @Test public void testAssociations() { Session session = HibernateUtil.getSessionFactory().getCurrentSession(); Transaction tx = session.beginTransaction(); Cat cat = new Cat(); session.save(cat); Kitten kitten = new Kitten(); kitten.setCat(cat); session.save(kitten); tx.commit(); assertNotNull(kitten.getCat()); assertEquals(cat.getId(), kitten.getCat().getId()); assertTrue(cat.getKittens().size() == 1); // <-- ASSERTION FAILS assertEquals(kitten, new ArrayList<Kitten>(cat.getKittens()).get(0)); } Even after re-querying the Cat, the Set is still empty: // added before tx.commit() and assertions cat = (Cat)session.get(Cat.class, cat.getId()); Am I expecting too much from Hibernate here? Or is the burden on me to manage the Collection myself? The (Annotations) documentation doesn't make any indication that I need to create convenience addTo*/removeFrom* methods on my parent object. Can someone please enlighten me on what my expectations should be from Hibernate with this relationship? Or if nothing else, point me to the correct Hibernate documentation that tells me what I should be expecting to happen here. What do I need to do to make the parent Collection automatically contain the child Entity?

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  • Find The Bug

    - by Alois Kraus
    What does this code print and why?             HashSet<int> set = new HashSet<int>();             int[] data = new int[] { 1, 2, 1, 2 };             var unique = from i in data                          where set.Add(i)                          select i;   // Compiles to: var unique = Enumerable.Where(data, (i) => set.Add(i));             foreach (var i in unique)             {                 Console.WriteLine("First: {0}", i);             }               foreach (var i in unique)             {                 Console.WriteLine("Second: {0}", i);             }   The output is: First: 1 First: 2 Why is there no output of the second loop? The reason is that LINQ does not cache the results of the collection but it does recalculate the contents for every new enumeration again. Since I have used state (the Hashset does decide which entries are part of the output) I do arrive with an empty sequence since Add of the Hashset will return false for all values I have already passed in leaving nothing to return a second time. The solution is quite simple: Use the Distinct extension method or cache the results by calling .ToList() or ToArray() for the result of the LINQ query. Lession Learned: Do never forget to think about state in Where clauses!

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  • 10 Windows Tweaking Myths Debunked

    - by Chris Hoffman
    Windows is big, complicated, and misunderstood. You’ll still stumble across bad advice from time to time when browsing the web. These Windows tweaking, performance, and system maintenance tips are mostly just useless, but some are actively harmful. Luckily, most of these myths have been stomped out on mainstream sites and forums. However, if you start searching the web, you’ll still find websites that recommend you do these things. Erase Cache Files Regularly to Speed Things Up You can free up disk space by running an application like CCleaner, another temporary-file-cleaning utility, or even the Windows Disk Cleanup tool. In some cases, you may even see an old computer speed up when you erase a large amount of useless files. However, running CCleaner or similar utilities every day to erase your browser’s cache won’t actually speed things up. It will slow down your web browsing as your web browser is forced to redownload the files all over again, and reconstruct the cache you regularly delete. If you’ve installed CCleaner or a similar program and run it every day with the default settings, you’re actually slowing down your web browsing. Consider at least preventing the program from wiping out your web browser cache. Enable ReadyBoost to Speed Up Modern PCs Windows still prompts you to enable ReadyBoost when you insert a USB stick or memory card. On modern computers, this is completely pointless — ReadyBoost won’t actually speed up your computer if you have at least 1 GB of RAM. If you have a very old computer with a tiny amount of RAM — think 512 MB — ReadyBoost may help a bit. Otherwise, don’t bother. Open the Disk Defragmenter and Manually Defragment On Windows 98, users had to manually open the defragmentation tool and run it, ensuring no other applications were using the hard drive while it did its work. Modern versions of Windows are capable of defragmenting your file system while other programs are using it, and they automatically defragment your disks for you. If you’re still opening the Disk Defragmenter every week and clicking the Defragment button, you don’t need to do this — Windows is doing it for you unless you’ve told it not to run on a schedule. Modern computers with solid-state drives don’t have to be defragmented at all. Disable Your Pagefile to Increase Performance When Windows runs out of empty space in RAM, it swaps out data from memory to a pagefile on your hard disk. If a computer doesn’t have much memory and it’s running slow, it’s probably moving data to the pagefile or reading data from it. Some Windows geeks seem to think that the pagefile is bad for system performance and disable it completely. The argument seems to be that Windows can’t be trusted to manage a pagefile and won’t use it intelligently, so the pagefile needs to be removed. As long as you have enough RAM, it’s true that you can get by without a pagefile. However, if you do have enough RAM, Windows will only use the pagefile rarely anyway. Tests have found that disabling the pagefile offers no performance benefit. Enable CPU Cores in MSConfig Some websites claim that Windows may not be using all of your CPU cores or that you can speed up your boot time by increasing the amount of cores used during boot. They direct you to the MSConfig application, where you can indeed select an option that appears to increase the amount of cores used. In reality, Windows always uses the maximum amount of processor cores your CPU has. (Technically, only one core is used at the beginning of the boot process, but the additional cores are quickly activated.) Leave this option unchecked. It’s just a debugging option that allows you to set a maximum number of cores, so it would be useful if you wanted to force Windows to only use a single core on a multi-core system — but all it can do is restrict the amount of cores used. Clean Your Prefetch To Increase Startup Speed Windows watches the programs you run and creates .pf files in its Prefetch folder for them. The Prefetch feature works as a sort of cache — when you open an application, Windows checks the Prefetch folder, looks at the application’s .pf file (if it exists), and uses that as a guide to start preloading data that the application will use. This helps your applications start faster. Some Windows geeks have misunderstood this feature. They believe that Windows loads these files at boot, so your boot time will slow down due to Windows preloading the data specified in the .pf files. They also argue you’ll build up useless files as you uninstall programs and .pf files will be left over. In reality, Windows only loads the data in these .pf files when you launch the associated application and only stores .pf files for the 128 most recently launched programs. If you were to regularly clean out the Prefetch folder, not only would programs take longer to open because they won’t be preloaded, Windows will have to waste time recreating all the .pf files. You could also modify the PrefetchParameters setting to disable Prefetch, but there’s no reason to do that. Let Windows manage Prefetch on its own. Disable QoS To Increase Network Bandwidth Quality of Service (QoS) is a feature that allows your computer to prioritize its traffic. For example, a time-critical application like Skype could choose to use QoS and prioritize its traffic over a file-downloading program so your voice conversation would work smoothly, even while you were downloading files. Some people incorrectly believe that QoS always reserves a certain amount of bandwidth and this bandwidth is unused until you disable it. This is untrue. In reality, 100% of bandwidth is normally available to all applications unless a program chooses to use QoS. Even if a program does choose to use QoS, the reserved space will be available to other programs unless the program is actively using it. No bandwidth is ever set aside and left empty. Set DisablePagingExecutive to Make Windows Faster The DisablePagingExecutive registry setting is set to 0 by default, which allows drivers and system code to be paged to the disk. When set to 1, drivers and system code will be forced to stay resident in memory. Once again, some people believe that Windows isn’t smart enough to manage the pagefile on its own and believe that changing this option will force Windows to keep important files in memory rather than stupidly paging them out. If you have more than enough memory, changing this won’t really do anything. If you have little memory, changing this setting may force Windows to push programs you’re using to the page file rather than push unused system files there — this would slow things down. This is an option that may be helpful for debugging in some situations, not a setting to change for more performance. Process Idle Tasks to Free Memory Windows does things, such as creating scheduled system restore points, when you step away from your computer. It waits until your computer is “idle” so it won’t slow your computer and waste your time while you’re using it. Running the “Rundll32.exe advapi32.dll,ProcessIdleTasks” command forces Windows to perform all of these tasks while you’re using the computer. This is completely pointless and won’t help free memory or anything like that — all you’re doing is forcing Windows to slow your computer down while you’re using it. This command only exists so benchmarking programs can force idle tasks to run before performing benchmarks, ensuring idle tasks don’t start running and interfere with the benchmark. Delay or Disable Windows Services There’s no real reason to disable Windows services anymore. There was a time when Windows was particularly heavy and computers had little memory — think Windows Vista and those “Vista Capable” PCs Microsoft was sued over. Modern versions of Windows like Windows 7 and 8 are lighter than Windows Vista and computers have more than enough memory, so you won’t see any improvements from disabling system services included with Windows. Some people argue for not disabling services, however — they recommend setting services from “Automatic” to “Automatic (Delayed Start)”. By default, the Delayed Start option just starts services two minutes after the last “Automatic” service starts. Setting services to Delayed Start won’t really speed up your boot time, as the services will still need to start — in fact, it may lengthen the time it takes to get a usable desktop as services will still be loading two minutes after booting. Most services can load in parallel, and loading the services as early as possible will result in a better experience. The “Delayed Start” feature is primarily useful for system administrators who need to ensure a specific service starts later than another service. If you ever find a guide that recommends you set a little-known registry setting to improve performance, take a closer look — the change is probably useless. Want to actually speed up your PC? Try disabling useless startup programs that run on boot, increasing your boot time and consuming memory in the background. This is a much better tip than doing any of the above, especially considering most Windows PCs come packed to the brim with bloatware.     

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  • Red Sand – An Awesome Fan Made Mass Effect Prequel [Short Movie]

    - by Asian Angel
    Welcome to Mars where humanity has just discovered the Prothean Ruins and Element Zero, but danger abounds as the Red Sand terrorist group seeks to claim Mars for themselves! If you love the Mass Effect game series, then you will definitely want to watch this awesome fan made prequel set 35 years before the events of the first game. Synopsis From YouTube: Serving as a prequel to the MASS EFFECT game series,”Red Sand” is set 35 years before the time of Commander Shepard and tells the story of the discovery of ancient ruins on Mars. Left behind by the mysterious alien race known as the Protheans, the ruins are a treasure trove of advanced technology and the powerful Element Zero, an energy source beyond humanity’s wildest dreams. As the Alliance research team led by Dr. Averroes (Ayman Samman) seeks to unlock the secrets of the ruins, a band of marauders living in the deserts of Mars wants the ruins for themselves. Addicted to refined Element Zero in the form of a narcotic nicknamed “Red Sand” which gives them telekinetic “biotic” powers, these desert-dwelling terrorists will stop at nothing to control the ruins and the rich vein of Element Zero at its core. Standing between them and their goal are Colonel Jon Grissom (Mark Meer), Colonel Lily Sandhurst (Amy Searcy), and a team of Alliance soldiers tasked with defending the ruins at all costs. At stake – the future of humanity’s exploration of the galaxy, and the set up for the MASS EFFECT storyline loved by millions of gamers worldwide. RED SAND: a Mass Effect fan film – starring MARK MEER [via Geeks are Sexy] 7 Ways To Free Up Hard Disk Space On Windows HTG Explains: How System Restore Works in Windows HTG Explains: How Antivirus Software Works

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  • Bash script not adding variables to session

    - by travega
    I have a bash script that I have added as a startup application. It does a bunch of exports and alias assignment. #! /bin/bash alias devhm='cd ${DEV_HOME}; ll'; alias wlhm='cd ${WL_HOME}; ll'; alias dirch='watch --interval=1 "ls -la"'; alias vols='watch --interval=1 "df -h"'; alias svn-update='svn update --depth infinity ./*'; alias mci="~/mci.sh"; alias vncserver="vncserver -geometry 1680x1050"; alias ..="cd .."; alias hist="history | grep "; export PROXY_HOST=proxy.my.setup; export PROXY_PORT=3128; export LD_LIBRARY_PATH=$LD_LIBRARY_PATH/usr/lib/oracle/12.1/client64/lib; export ORACLE_HOME=/usr/lib/oracle/12.1/client64; export TNS_ADMIN=${ORACLE_HOME}/network/admin; echo "DONE!"; But none of these values are available in my terminal sessions anymore. Even when I run the script straight into the terminal like so: ./setup.sh I see the "DONE!" prompt printed but no aliases or env variables are set. If I copy and paste the contents of the file into the terminal the aliases and env variables are set. I have tried adding a line to execute the script from .bashrc also but still no aliases or env variables set. Any ideas what might be going on here? Also could anyone suggest a better way to have these env variables/aliases added to every terminal session?

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  • What is the Sarbanes-Oxley (SOX) Act?

    In 2002 after the wake of the Enron and World Com Financial scandals Senator Paul Sarbanes and Representative Michael Oxley lead the creation of the Sarbanes-Oxley Act. This act administered by the Securities and Exchange Commission (SEC) dramatically altered corporate financial practices and data governance. In addition, it also set specific deadlines for compliance. The Sarbanes-Oxley is not a set of standard business rules and does not specify how a company should retain its records; In fact, this act outlines which pieces of data are to be stored as well as the storage duration. The SOX act targets the financial side of companies, but its impacts can be seen within the technology arena as well because it is their responsibility to store all of a company’s electronic records regardless of file type. This act specifies that all records and electronic messages must be saved for no less than five years according to SearchCIO. In addition, consequences for non-compliance are fines, imprisonment, or both. Sarbanes-Oxley Act: Rules that affect the management of Electronic records according to SearchCIO. Allowed practices regarding destruction, alteration, or falsification of records. Retention period for records storage. Best practices indicate that corporations securely store all business records using the same guidelines set for public accountants. Types of business records that need to be stored Business Records  Business Communications Including Electronic Communications References: SOXLaw: The Sarbanes-Oxley Act 2002 Retrieved May 2011 from http://www.soxlaw.com/ SearchCIO: What is Sarbanes-Oxley Act (SOX)? Retrieved May 2011 from http://searchcio.techtarget.com/definition/Sarbanes-Oxley-Act

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  • "Wrapping" a BindingList<T> propertry with a List<T> property for serialization.

    - by Eric
    I'm writing an app that allows users search and browse catalogs of widgets. My WidgetCatalog class is serialized and deserialized to and from XML files using DataContractSerializer. My app is working now but I think I can make the code a lot more efficient if I started taking advantage of data binding rather then doing everything manually. Here's a stripped down version of my current WidgetCatalog class. [DataContract(Name = "WidgetCatalog")] class WidgetCatalog { [DataContract(Name = "Name")] public string Name { get; set; } [DataContract(Name = "Widgets")] public List<Widget> Widgets { get; set; } } I had to write a lot of extra code to keep my UI in sync when widgets are added or removed from a catalog, or their internal properties change. I'm pretty inexperienced with data-binding, but I think I want a BindingList<Widget> rather than a plain old List<Widget>. Is this right? In the past when I had similar needs I found that BindingList<T> does not serialize very well. Or at least the Event Handers between the items and the list are not serialized. I was using XmlSerializer though, and DataContractSerializer may work better. So I'm thinking of doing something like the code below. [DataContract(Name = "WidgetCatalog")] class WidgetCatalog { [DataMember(Name = "Name")] public string Name { get; set; } [DataMember(Name = "Widgets")] private List<Widget> WidgetSerializationList { get { return this._widgetBindingList.ToList<Widget>(); } set { this._widgetBindingList = new BindingList<Widget>(value); } } //these do not get serialized private BindingList<Widget> _widgetBindingList; public BindingList<Widget> WidgetBindingList { get { return this._widgetBindingList; } } public WidgetCatalog() { this.WidgetSerializationList = new List<Widget>(); } } So I'm serializing a private List<Widget> property, but the GET and SET accessors of the property are reading from, and writing to theBindingList<Widget> property. Will this even work? It seems like there should be a better way to do this.

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  • C# Simple Twitter Update

    - by mroberts
    For what it's worth a simple twitter update. 1: using System; 2: using System.IO; 3: using System.Net; 4: using System.Text; 5:   6: namespace Server.Actions 7: { 8: public class TwitterUpdate 9: { 10: public string Body { get; set; } 11: public string Login { get; set; } 12: public string Password { get; set; } 13:   14: public override void Execute() 15: { 16: try 17: { 18: //encode user name and password 19: string creds = Convert.ToBase64String(Encoding.ASCII.GetBytes(string.Format("{0}:{1}", this.Login, this.Password))); 20:   21: //encode tweet 22: byte[] tweet = Encoding.ASCII.GetBytes("status=" + this.Body); 23:   24: //setup request 25: HttpWebRequest request = (HttpWebRequest)WebRequest.Create("http://twitter.com/statuses/update.xml"); 26: request.Method = "POST"; 27: request.ServicePoint.Expect100Continue = false; 28: request.Headers.Add("Authorization", string.Format("Basic {0}", creds)); 29: request.ContentType = "application/x-www-form-urlencoded"; 30: request.ContentLength = tweet.Length; 31:   32: //write to stream 33: Stream reqStream = request.GetRequestStream(); 34: reqStream.Write(tweet, 0, tweet.Length); 35: reqStream.Close(); 36:   37: //check response 38: HttpWebResponse response = (HttpWebResponse)request.GetResponse(); 39:   40: //... 41: } 42: catch (Exception e) 43: { 44: //... 45: } 46: } 47: } 48: }   BTW, this is my first blog post.  Nothing earth shattering, I admit, but I needed to figure out how to post formatted code.  In the past I’ve used Alex Gorbatchev’s Syntax Highlighter with great success, but here at GWB I couldn’t get it to work. Windows Live Writer though, being a stand alone writer, worked with no problems.  For now, that’s what I’ll use.

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  • Procedural... house with rooms generator

    - by pek
    I've been looking at some algorithms and articles about procedurally generating a dungeon. The problem is, I'm trying to generate a house with rooms, and they don't seem to fit my requirements. For one, dungeons have corridors, where houses have halls. And while initially they might seem the same, a hall is nothing more than the area that isn't a room, whereas a corridor is specifically designed to connect one area to another. Another important difference with a house is that you have a specific width and height, and you have to fill the entire thing with rooms and halls, whereas with a dungeon, there is empty space. I think halls in a house is something in between a dungeon corridor (gets you to other rooms) and an empty space in the dungeon (it's not explicitly defined in code). More specifically, the requirements are: There is a set of predefined rooms I cannot create walls and doors on the fly. Rooms can be rotated but not resized Again, because I have a predefined set of rooms, I can only rotate them, not resize them. The house dimensions are set and has to be entirely filled with rooms (or halls) I.e. I want to fill a 14x20 house with the available rooms making sure there is no empty space. Here are some images to make this a little more clear: As you can see, in the house, the "empty space" is still walkable and it gets you from one room to another. So, having said all this, maybe a house is just a really really tightly packed dungeon with corridors. Or it's something easier than a dungeon. Maybe there is something out there and I haven't found it because I don't really know what to search for. This is where I'd like your help: could you give me pointers on how to design this algorithm? Any thoughts on what steps it will take? If you have created a dungeon generator, how would you modify it to fit my requirements? You can be as specific or as generic as you like. I'm looking to pick your brains, really.

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  • Table Variables: an empirical approach.

    - by Phil Factor
    It isn’t entirely a pleasant experience to publish an article only to have it described on Twitter as ‘Horrible’, and to have it criticized on the MVP forum. When this happened to me in the aftermath of publishing my article on Temporary tables recently, I was taken aback, because these critics were experts whose views I respect. What was my crime? It was, I think, to suggest that, despite the obvious quirks, it was best to use Table Variables as a first choice, and to use local Temporary Tables if you hit problems due to these quirks, or if you were doing complex joins using a large number of rows. What are these quirks? Well, table variables have advantages if they are used sensibly, but this requires some awareness by the developer about the potential hazards and how to avoid them. You can be hit by a badly-performing join involving a table variable. Table Variables are a compromise, and this compromise doesn’t always work out well. Explicit indexes aren’t allowed on Table Variables, so one cannot use covering indexes or non-unique indexes. The query optimizer has to make assumptions about the data rather than using column distribution statistics when a table variable is involved in a join, because there aren’t any column-based distribution statistics on a table variable. It assumes a reasonably even distribution of data, and is likely to have little idea of the number of rows in the table variables that are involved in queries. However complex the heuristics that are used might be in determining the best way of executing a SQL query, and they most certainly are, the Query Optimizer is likely to fail occasionally with table variables, under certain circumstances, and produce a Query Execution Plan that is frightful. The experienced developer or DBA will be on the lookout for this sort of problem. In this blog, I’ll be expanding on some of the tests I used when writing my article to illustrate the quirks, and include a subsequent example supplied by Kevin Boles. A simplified example. We’ll start out by illustrating a simple example that shows some of these characteristics. We’ll create two tables filled with random numbers and then see how many matches we get between the two tables. We’ll forget indexes altogether for this example, and use heaps. We’ll try the same Join with two table variables, two table variables with OPTION (RECOMPILE) in the JOIN clause, and with two temporary tables. It is all a bit jerky because of the granularity of the timing that isn’t actually happening at the millisecond level (I used DATETIME). However, you’ll see that the table variable is outperforming the local temporary table up to 10,000 rows. Actually, even without a use of the OPTION (RECOMPILE) hint, it is doing well. What happens when your table size increases? The table variable is, from around 30,000 rows, locked into a very bad execution plan unless you use OPTION (RECOMPILE) to provide the Query Analyser with a decent estimation of the size of the table. However, if it has the OPTION (RECOMPILE), then it is smokin’. Well, up to 120,000 rows, at least. It is performing better than a Temporary table, and in a good linear fashion. What about mixed table joins, where you are joining a temporary table to a table variable? You’d probably expect that the query analyzer would throw up its hands and produce a bad execution plan as if it were a table variable. After all, it knows nothing about the statistics in one of the tables so how could it do any better? Well, it behaves as if it were doing a recompile. And an explicit recompile adds no value at all. (we just go up to 45000 rows since we know the bigger picture now)   Now, if you were new to this, you might be tempted to start drawing conclusions. Beware! We’re dealing with a very complex beast: the Query Optimizer. It can come up with surprises What if we change the query very slightly to insert the results into a Table Variable? We change nothing else and just measure the execution time of the statement as before. Suddenly, the table variable isn’t looking so much better, even taking into account the time involved in doing the table insert. OK, if you haven’t used OPTION (RECOMPILE) then you’re toast. Otherwise, there isn’t much in it between the Table variable and the temporary table. The table variable is faster up to 8000 rows and then not much in it up to 100,000 rows. Past the 8000 row mark, we’ve lost the advantage of the table variable’s speed. Any general rule you may be formulating has just gone for a walk. What we can conclude from this experiment is that if you join two table variables, and can’t use constraints, you’re going to need that Option (RECOMPILE) hint. Count Dracula and the Horror Join. These tables of integers provide a rather unreal example, so let’s try a rather different example, and get stuck into some implicit indexing, by using constraints. What unusual words are contained in the book ‘Dracula’ by Bram Stoker? Here we get a table of all the common words in the English language (60,387 of them) and put them in a table. We put them in a Table Variable with the word as a primary key, a Table Variable Heap and a Table Variable with a primary key. We then take all the distinct words used in the book ‘Dracula’ (7,558 of them). We then create a table variable and insert into it all those uncommon words that are in ‘Dracula’. i.e. all the words in Dracula that aren’t matched in the list of common words. To do this we use a left outer join, where the right-hand value is null. The results show a huge variation, between the sublime and the gorblimey. If both tables contain a Primary Key on the columns we join on, and both are Table Variables, it took 33 Ms. If one table contains a Primary Key, and the other is a heap, and both are Table Variables, it took 46 Ms. If both Table Variables use a unique constraint, then the query takes 36 Ms. If neither table contains a Primary Key and both are Table Variables, it took 116383 Ms. Yes, nearly two minutes!! If both tables contain a Primary Key, one is a Table Variables and the other is a temporary table, it took 113 Ms. If one table contains a Primary Key, and both are Temporary Tables, it took 56 Ms.If both tables are temporary tables and both have primary keys, it took 46 Ms. Here we see table variables which are joined on their primary key again enjoying a  slight performance advantage over temporary tables. Where both tables are table variables and both are heaps, the query suddenly takes nearly two minutes! So what if you have two heaps and you use option Recompile? If you take the rogue query and add the hint, then suddenly, the query drops its time down to 76 Ms. If you add unique indexes, then you've done even better, down to half that time. Here are the text execution plans.So where have we got to? Without drilling down into the minutiae of the execution plans we can begin to create a hypothesis. If you are using table variables, and your tables are relatively small, they are faster than temporary tables, but as the number of rows increases you need to do one of two things: either you need to have a primary key on the column you are using to join on, or else you need to use option (RECOMPILE) If you try to execute a query that is a join, and both tables are table variable heaps, you are asking for trouble, well- slow queries, unless you give the table hint once the number of rows has risen past a point (30,000 in our first example, but this varies considerably according to context). Kevin’s Skew In describing the table-size, I used the term ‘relatively small’. Kevin Boles produced an interesting case where a single-row table variable produces a very poor execution plan when joined to a very, very skewed table. In the original, pasted into my article as a comment, a column consisted of 100000 rows in which the key column was one number (1) . To this was added eight rows with sequential numbers up to 9. When this was joined to a single-tow Table Variable with a key of 2 it produced a bad plan. This problem is unlikely to occur in real usage, and the Query Optimiser team probably never set up a test for it. Actually, the skew can be slightly less extreme than Kevin made it. The following test showed that once the table had 54 sequential rows in the table, then it adopted exactly the same execution plan as for the temporary table and then all was well. Undeniably, real data does occasionally cause problems to the performance of joins in Table Variables due to the extreme skew of the distribution. We've all experienced Perfectly Poisonous Table Variables in real live data. As in Kevin’s example, indexes merely make matters worse, and the OPTION (RECOMPILE) trick does nothing to help. In this case, there is no option but to use a temporary table. However, one has to note that once the slight de-skew had taken place, then the plans were identical across a huge range. Conclusions Where you need to hold intermediate results as part of a process, Table Variables offer a good alternative to temporary tables when used wisely. They can perform faster than a temporary table when the number of rows is not great. For some processing with huge tables, they can perform well when only a clustered index is required, and when the nature of the processing makes an index seek very effective. Table Variables are scoped to the batch or procedure and are unlikely to hang about in the TempDB when they are no longer required. They require no explicit cleanup. Where the number of rows in the table is moderate, you can even use them in joins as ‘Heaps’, unindexed. Beware, however, since, as the number of rows increase, joins on Table Variable heaps can easily become saddled by very poor execution plans, and this must be cured either by adding constraints (UNIQUE or PRIMARY KEY) or by adding the OPTION (RECOMPILE) hint if this is impossible. Occasionally, the way that the data is distributed prevents the efficient use of Table Variables, and this will require using a temporary table instead. Tables Variables require some awareness by the developer about the potential hazards and how to avoid them. If you are not prepared to do any performance monitoring of your code or fine-tuning, and just want to pummel out stuff that ‘just runs’ without considering namby-pamby stuff such as indexes, then stick to Temporary tables. If you are likely to slosh about large numbers of rows in temporary tables without considering the niceties of processing just what is required and no more, then temporary tables provide a safer and less fragile means-to-an-end for you.

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  • ItemsControl ItemTemplate Binding

    - by Wonko the Sane
    Hi All, In WPF4.0, I have a class that contains other class types as properties (combining multiple data types for display). Something like: public partial class Owner { public string OwnerName { get; set; } public int OwnerId { get; set; } } partial class ForDisplay { public Owner OwnerData { get; set; } public int Credit { get; set; } } In my window, I have an ItemsControl with the following (clipped for clarity): <ItemsControl ItemsSource={Binding}> <ItemsControl.ItemTemplate> <DataTemplate> <local:MyDisplayControl OwnerName={Binding OwnerData.OwnerName} Credit={Binding Credit} /> </DataTemplate> </ItemsControl.ItemTemplate> </ItemsControl> I then get a collection of display information from the data layer, and set the DataContext of the ItemsControl to this collection. The "Credit" property gets displayed correctly, but the OwnerName property does not. Instead, I get a binding error: Error 40: BindingExpression path error: 'OwnerName' property not found on 'object' ''ForDisplay' (HashCode=449124874)'. BindingExpression:Path=OwnerName; DataItem='ForDisplay' (HashCode=449124874); target element is 'TextBlock' (Name=txtOwnerName'); target property is 'Text' (type 'String') I don't understand why this is attempting to look for the OwnerName property in the ForDisplay class, rather than in the Owner class from the ForDisplay OwnerData property. Edit It appears that it has something to do with using the custom control. If I bind the same properties to a TextBlock, they work correctly. <ItemsControl ItemsSource={Binding}> <ItemsControl.ItemTemplate> <DataTemplate> <StackPanel> <local:MyDisplayControl OwnerName={Binding OwnerData.OwnerName} Credit={Binding Credit} /> <TextBlock Text="{Binding OwnerData.OwnerName}" /> <TextBlock Text="{Binding Credit}" /> </StackPanel> </DataTemplate> </ItemsControl.ItemTemplate> </ItemsControl> Thanks, wTs

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  • Convert ddply {plyr} to Oracle R Enterprise, or use with Embedded R Execution

    - by Mark Hornick
    The plyr package contains a set of tools for partitioning a problem into smaller sub-problems that can be more easily processed. One function within {plyr} is ddply, which allows you to specify subsets of a data.frame and then apply a function to each subset. The result is gathered into a single data.frame. Such a capability is very convenient. The function ddply also has a parallel option that if TRUE, will apply the function in parallel, using the backend provided by foreach. This type of functionality is available through Oracle R Enterprise using the ore.groupApply function. In this blog post, we show a few examples from Sean Anderson's "A quick introduction to plyr" to illustrate the correpsonding functionality using ore.groupApply. To get started, we'll create a demo data set and load the plyr package. set.seed(1) d <- data.frame(year = rep(2000:2014, each = 3),         count = round(runif(45, 0, 20))) dim(d) library(plyr) This first example takes the data frame, partitions it by year, and calculates the coefficient of variation of the count, returning a data frame. # Example 1 res <- ddply(d, "year", function(x) {   mean.count <- mean(x$count)   sd.count <- sd(x$count)   cv <- sd.count/mean.count   data.frame(cv.count = cv)   }) To illustrate the equivalent functionality in Oracle R Enterprise, using embedded R execution, we use the ore.groupApply function on the same data, but pushed to the database, creating an ore.frame. The function ore.push creates a temporary table in the database, returning a proxy object, the ore.frame. D <- ore.push(d) res <- ore.groupApply (D, D$year, function(x) {   mean.count <- mean(x$count)   sd.count <- sd(x$count)   cv <- sd.count/mean.count   data.frame(year=x$year[1], cv.count = cv)   }, FUN.VALUE=data.frame(year=1, cv.count=1)) You'll notice the similarities in the first three arguments. With ore.groupApply, we augment the function to return the specific data.frame we want. We also specify the argument FUN.VALUE, which describes the resulting data.frame. From our previous blog posts, you may recall that by default, ore.groupApply returns an ore.list containing the results of each function invocation. To get a data.frame, we specify the structure of the result. The results in both cases are the same, however the ore.groupApply result is an ore.frame. In this case the data stays in the database until it's actually required. This can result in significant memory and time savings whe data is large. R> class(res) [1] "ore.frame" attr(,"package") [1] "OREbase" R> head(res)    year cv.count 1 2000 0.3984848 2 2001 0.6062178 3 2002 0.2309401 4 2003 0.5773503 5 2004 0.3069680 6 2005 0.3431743 To make the ore.groupApply execute in parallel, you can specify the argument parallel with either TRUE, to use default database parallelism, or to a specific number, which serves as a hint to the database as to how many parallel R engines should be used. The next ddply example uses the summarise function, which creates a new data.frame. In ore.groupApply, the year column is passed in with the data. Since no automatic creation of columns takes place, we explicitly set the year column in the data.frame result to the value of the first row, since all rows received by the function have the same year. # Example 2 ddply(d, "year", summarise, mean.count = mean(count)) res <- ore.groupApply (D, D$year, function(x) {   mean.count <- mean(x$count)   data.frame(year=x$year[1], mean.count = mean.count)   }, FUN.VALUE=data.frame(year=1, mean.count=1)) R> head(res)    year mean.count 1 2000 7.666667 2 2001 13.333333 3 2002 15.000000 4 2003 3.000000 5 2004 12.333333 6 2005 14.666667 Example 3 uses the transform function with ddply, which modifies the existing data.frame. With ore.groupApply, we again construct the data.frame explicilty, which is returned as an ore.frame. # Example 3 ddply(d, "year", transform, total.count = sum(count)) res <- ore.groupApply (D, D$year, function(x) {   total.count <- sum(x$count)   data.frame(year=x$year[1], count=x$count, total.count = total.count)   }, FUN.VALUE=data.frame(year=1, count=1, total.count=1)) > head(res)    year count total.count 1 2000 5 23 2 2000 7 23 3 2000 11 23 4 2001 18 40 5 2001 4 40 6 2001 18 40 In Example 4, the mutate function with ddply enables you to define new columns that build on columns just defined. Since the construction of the data.frame using ore.groupApply is explicit, you always have complete control over when and how to use columns. # Example 4 ddply(d, "year", mutate, mu = mean(count), sigma = sd(count),       cv = sigma/mu) res <- ore.groupApply (D, D$year, function(x) {   mu <- mean(x$count)   sigma <- sd(x$count)   cv <- sigma/mu   data.frame(year=x$year[1], count=x$count, mu=mu, sigma=sigma, cv=cv)   }, FUN.VALUE=data.frame(year=1, count=1, mu=1,sigma=1,cv=1)) R> head(res)    year count mu sigma cv 1 2000 5 7.666667 3.055050 0.3984848 2 2000 7 7.666667 3.055050 0.3984848 3 2000 11 7.666667 3.055050 0.3984848 4 2001 18 13.333333 8.082904 0.6062178 5 2001 4 13.333333 8.082904 0.6062178 6 2001 18 13.333333 8.082904 0.6062178 In Example 5, ddply is used to partition data on multiple columns before constructing the result. Realizing this with ore.groupApply involves creating an index column out of the concatenation of the columns used for partitioning. This example also allows us to illustrate using the ORE transparency layer to subset the data. # Example 5 baseball.dat <- subset(baseball, year > 2000) # data from the plyr package x <- ddply(baseball.dat, c("year", "team"), summarize,            homeruns = sum(hr)) We first push the data set to the database to get an ore.frame. We then add the composite column and perform the subset, using the transparency layer. Since the results from database execution are unordered, we will explicitly sort these results and view the first 6 rows. BB.DAT <- ore.push(baseball) BB.DAT$index <- with(BB.DAT, paste(year, team, sep="+")) BB.DAT2 <- subset(BB.DAT, year > 2000) X <- ore.groupApply (BB.DAT2, BB.DAT2$index, function(x) {   data.frame(year=x$year[1], team=x$team[1], homeruns=sum(x$hr))   }, FUN.VALUE=data.frame(year=1, team="A", homeruns=1), parallel=FALSE) res <- ore.sort(X, by=c("year","team")) R> head(res)    year team homeruns 1 2001 ANA 4 2 2001 ARI 155 3 2001 ATL 63 4 2001 BAL 58 5 2001 BOS 77 6 2001 CHA 63 Our next example is derived from the ggplot function documentation. This illustrates the use of ddply within using the ggplot2 package. We first create a data.frame with demo data and use ddply to create some statistics for each group (gp). We then use ggplot to produce the graph. We can take this same code, push the data.frame df to the database and invoke this on the database server. The graph will be returned to the client window, as depicted below. # Example 6 with ggplot2 library(ggplot2) df <- data.frame(gp = factor(rep(letters[1:3], each = 10)),                  y = rnorm(30)) # Compute sample mean and standard deviation in each group library(plyr) ds <- ddply(df, .(gp), summarise, mean = mean(y), sd = sd(y)) # Set up a skeleton ggplot object and add layers: ggplot() +   geom_point(data = df, aes(x = gp, y = y)) +   geom_point(data = ds, aes(x = gp, y = mean),              colour = 'red', size = 3) +   geom_errorbar(data = ds, aes(x = gp, y = mean,                                ymin = mean - sd, ymax = mean + sd),              colour = 'red', width = 0.4) DF <- ore.push(df) ore.tableApply(DF, function(df) {   library(ggplot2)   library(plyr)   ds <- ddply(df, .(gp), summarise, mean = mean(y), sd = sd(y))   ggplot() +     geom_point(data = df, aes(x = gp, y = y)) +     geom_point(data = ds, aes(x = gp, y = mean),                colour = 'red', size = 3) +     geom_errorbar(data = ds, aes(x = gp, y = mean,                                  ymin = mean - sd, ymax = mean + sd),                   colour = 'red', width = 0.4) }) But let's take this one step further. Suppose we wanted to produce multiple graphs, partitioned on some index column. We replicate the data three times and add some noise to the y values, just to make the graphs a little different. We also create an index column to form our three partitions. Note that we've also specified that this should be executed in parallel, allowing Oracle Database to control and manage the server-side R engines. The result of ore.groupApply is an ore.list that contains the three graphs. Each graph can be viewed by printing the list element. df2 <- rbind(df,df,df) df2$y <- df2$y + rnorm(nrow(df2)) df2$index <- c(rep(1,300), rep(2,300), rep(3,300)) DF2 <- ore.push(df2) res <- ore.groupApply(DF2, DF2$index, function(df) {   df <- df[,1:2]   library(ggplot2)   library(plyr)   ds <- ddply(df, .(gp), summarise, mean = mean(y), sd = sd(y))   ggplot() +     geom_point(data = df, aes(x = gp, y = y)) +     geom_point(data = ds, aes(x = gp, y = mean),                colour = 'red', size = 3) +     geom_errorbar(data = ds, aes(x = gp, y = mean,                                  ymin = mean - sd, ymax = mean + sd),                   colour = 'red', width = 0.4)   }, parallel=TRUE) res[[1]] res[[2]] res[[3]] To recap, we've illustrated how various uses of ddply from the plyr package can be realized in ore.groupApply, which affords the user explicit control over the contents of the data.frame result in a straightforward manner. We've also highlighted how ddply can be used within an ore.groupApply call.

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  • SSIS ForEachLoop Container

    - by Leonard Mwangi
    I recently had a client request to create an SSIS package that would loop through a set of data in SQL tables to allow them to complete their data transformation processes. Knowing that Integration Services does have ForEachLoop Container, I knew the task would be easy but the moment I jumped into it I figured there was no straight forward way to accomplish the task since for each didn’t really have a loop through the table enumerator. With the capabilities of integration Services, I was still confident that it was possible it was just a matter of creativity to get it done. I set out to discover what different ForEach Loop Editor Enumerators did and settled with Variable Enumerator.  Here is how I accomplished the task. 1.       Drop your ForEach Loop Container in your WorkArea. 2.       Create a few SSIS Variable that will contain the data. Notice I have assigned MyID_ID variable a value of “TEST’ which is not evaluated either. This variable will be assigned data from the database hence allowing us to loop. 3.       In the ForEach Loop Editor’s Collection select Variable Enumerator 4.       Once this is all set, we need a mechanism to grab the data from the SQL Table and assigning it to the variable. Fig: Select Top 1 record Fig: Assign Top 1 record to the variable 5.       Now all that’s required is a house cleaning process that will update the table that you are looping so that you can be able to grab the next record   A look of the complete package

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  • DNS NAmeserver Aname and cname records

    - by David
    Hi - I am inexperienced in the configuration of DNS and have an issue with dominan hosting set up. I have two domains 'www.mydomain1.com' and 'www.mydomain2.com', with mydomain2 pointed at the same place as mydomain1. The domains were passed to me recently by the person who previoulsy controlled them. I have an account with fasthosts in the uk. When I accepted the domains I could not access the DNS settings and enquired with fasthosts as to why. The replied saying 'The delegate hosting option for both domains were enabled and this is the reason why you were unable to find the option to edit the advanced DNS records. I have now disabled the delegate hosting option so you can now edit the advanced DNS records for both domains in your account.' When i log into the fasthost control panel now i can access the DNS controls but both domains have no A Record of Cname record set up. I am concerned that fasthosts have blatted the previous Nameserver entries and set me up on theirs but not added any record. 'www.mydomain1.com' currently still works but 'www.mydomain2.com' does not find the site anymore. i am worried i will lose mydomain1 to as teh dns changes filter through the system. my webhosting is at 'xxx.xxx.xxx.xxx/mydomain1.com/' and this is where I want both domains to point. Any advice would be much appreciated. one thing which is confusing me is that because I am on a shared server I have to put 'xxx.xxx.xxx.xxx/mydomain1.com/' to get to my site rather than just 'xxx.xxx.xxx.xxx'. The form on fasthosts for the aname record only allows an IP to be entered - does it add the mydomain1.com/ onto the end itself? Thanks for any help given - I'm quite worried about this David

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