Search Results

Search found 469 results on 19 pages for 'currency'.

Page 5/19 | < Previous Page | 1 2 3 4 5 6 7 8 9 10 11 12  | Next Page >

  • Is there any way to modify a column before it is ordered in MySQL?

    - by George Edison
    I have a table with a field value which is a varchar(255). The contents of the field can be quite varied: $1.20 $2994 $56 + tax (This one can be ignored or truncated to $56 if necessary) I have a query constructed: SELECT value FROM unnamed_table ORDER BY value However, this of course uses ASCII string comparison to order the results and does not use any numerical type of comparison. Is there a way to truly order by value without changing the field type to DECIMAL or something else? In other words, can the value field be modified ('$' removed, value converted to decimal) on the fly before the results are sorted?

    Read the article

  • Format a money field in SQL without converting to varchar?

    - by sdmadsen
    I need to be able to display a money field as $XX,XXX.XX, but without converting to varchar using total_eval = '$' + CONVERT(varchar(19),total_eval.opvValueMoney,1) My project uses sorting of the information after I pull this to sort the column and it doesn't sort correctly when the column is a varchar. Is there anyway to do this?

    Read the article

  • money_format() options

    - by John Isaacks
    I am looking at the money_format function in php and confused on how to get it to format the way I want. I do not want USD in front of my string, I want a comma every 3 digits and 2 decimal points so 12345.67 will be formated to $12,345.67 Thanks.

    Read the article

  • Will making players pay a virtual currency before entering a match discourage them from playing?

    - by Bane
    I'm making a multiplayer match-making game, and by my current design, people will need to pay a small fee before joining a match. At the end of the match, the team that won will get the money. That will be a virtual currency, but still, will it discourage people to enter matches? I introduced it to make the matches matter more, because there's always a fear that you will loose your investments. I'm not talking about anything big here, but even a small amount might have a similar psychological effect as a bigger one.

    Read the article

  • Mock Object and Interface

    - by tunl
    I'm a newbie in Unit Test with Mock Object. I use EasyMock. I try to understand this example: import java.io.IOException; public interface ExchangeRate { double getRate(String inputCurrency, String outputCurrency) throws IOException; } import java.io.IOException; public class Currency { private String units; private long amount; private int cents; public Currency(double amount, String code) { this.units = code; setAmount(amount); } private void setAmount(double amount) { this.amount = new Double(amount).longValue(); this.cents = (int) ((amount * 100.0) % 100); } public Currency toEuros(ExchangeRate converter) { if ("EUR".equals(units)) return this; else { double input = amount + cents/100.0; double rate; try { rate = converter.getRate(units, "EUR"); double output = input * rate; return new Currency(output, "EUR"); } catch (IOException ex) { return null; } } } public boolean equals(Object o) { if (o instanceof Currency) { Currency other = (Currency) o; return this.units.equals(other.units) && this.amount == other.amount && this.cents == other.cents; } return false; } public String toString() { return amount + "." + Math.abs(cents) + " " + units; } } import junit.framework.TestCase; import org.easymock.EasyMock; import java.io.IOException; public class CurrencyTest extends TestCase { public void testToEuros() throws IOException { Currency testObject = new Currency(2.50, "USD"); Currency expected = new Currency(3.75, "EUR"); ExchangeRate mock = EasyMock.createMock(ExchangeRate.class); EasyMock.expect(mock.getRate("USD", "EUR")).andReturn(1.5); EasyMock.replay(mock); Currency actual = testObject.toEuros(mock); assertEquals(expected, actual); } } So, i wonder how to Currency use ExchangeRate in toEuros(..) method. rate = converter.getRate(units, "EUR"); The behavior of getRate(..) method is not specified because ExchangeRate is an interface.

    Read the article

  • HTG Explains: What Is Bitcoin, the Virtual Digital Currency?

    - by YatriTrivedi
    Bitcoin is a virtual currency that employs some very interesting principles. Here’s the skinny on what exactly it is and how the fascinating technology behind it works. Disclaimer: This is NOT financial or legal advice. This. Is. NOT. Financial. Or. Legal. Advice. This is not, in any way, shape, or form, financial or legal advice. We’re covering this topic because of the technological implementations it uses and the innovations it attempts to make. If you do anything because of this post, we are not responsible because this is NOT financial or legal advice. ^_^ Latest Features How-To Geek ETC Have You Ever Wondered How Your Operating System Got Its Name? Should You Delete Windows 7 Service Pack Backup Files to Save Space? What Can Super Mario Teach Us About Graphics Technology? Windows 7 Service Pack 1 is Released: But Should You Install It? How To Make Hundreds of Complex Photo Edits in Seconds With Photoshop Actions How to Enable User-Specific Wireless Networks in Windows 7 The History Of Operating Systems [Infographic] DriveSafe.ly Reads Your Text Messages Aloud The Likability of Angry Birds [Infographic] Dim an Overly Bright Alarm Clock with a Binder Divider Preliminary List of Keyboard Shortcuts for Unity Now Available Bring a Touch of the Wild West to Your Desktop with the Rango Theme for Windows 7

    Read the article

  • Exposing .NET enums to COM clients{VBScript}

    - by Codex
    Am trying create of PoC for exposing/invoking various .NET objects from COM clients. The .NET library contains some classes and Enums. Am able to successfully access the classes in VBScript but not able to access the Enums. I know that Enums are value types and hence 'CreateObject' wont work in this case. But am able to access the same Enum in VBA code. Questions: How can I access the enums in VBScript? Why does the behaviour differ in the two COM clients? If VBA object browser can see the enum, why cant VBScript allow me to create one? .NET [ComVisible(true)] [GuidAttribute("ebc25cf6-9120-4283-b972-0e5520d0000E")] public enum Currency { GBP = CurrencyConvertorBL.CurrencyConvertorRef.Currency.GBP, USD = CurrencyConvertorBL.CurrencyConvertorRef.Currency.USD, INR = CurrencyConvertorBL.CurrencyConvertorRef.Currency.INR, AUD = CurrencyConvertorBL.CurrencyConvertorRef.Currency.AUD } VBA Private Function ConvertCurrency(fromCurrency As Currency, toCurrency As Currency) As Double VBScript ??? Set currencyConvertorCCY = CreateObject("CurrencyConvertorBL.Currency") Thanks in advance.

    Read the article

  • NUnit doesn't work well with Assert.AreEqual

    - by stasal
    Hi! I'm new to unit-testing and NUit in particular. I'm just typing some examples from the book which refers to Java and JUnit. But I'm using C# instead. The problem is: I've got a class with overriden methods such as Equals() and GetHashCode(), but when I am trying to compare two objects of this class with Assert.AreEqual() my code is not called, so I get an exception. Assert.True(MyClass.Equals(MyClass2)) does work well. But I don't wanna use this construction instead of Assert.AreEqual(). Where the problem can be? Here is the class: public class Money { public int amount; protected string currency; public Money(int amount, string currency) { this.amount = amount; this.currency = currency; } public new bool Equals(object obj) { if (obj == null) return false; Money money = (Money)obj; return (amount == money.amount) && (Currency().Equals(money.Currency())); } public new int GetHashCode() { return (string.Format("{0}{1}", amount, currency)).GetHashCode(); } public static Money Dollar(int amount) { return new Money(amount, "USD"); } public static Money Franc(int amount) { return new Money(amount, "CHF"); } public Money Times(int multiplier) { return new Money(amount * multiplier, currency); } public string Currency() { return currency; } } And the test method itself: [TestFixture] public class DollarTest { [Test] public void TestMultiplication() { Money five = Money.Dollar(5); Assert.True(Money.Dollar(10).Equals(five.Times(2))); // ok Assert.AreEqual(Money.Dollar(10), five.Times(2)); // fails } } Thanks.

    Read the article

  • Examine one particular call and ignore the rest

    - by lulalala
    I have a Currency class and want to update its rates. The following is the spec of an update class I plan to write: describe WebCrawlers::Currency::FeedParser do let(:gbp){ double('GBP').as_null_object } let(:usd){ double('USD').as_null_object } describe '#perform' do before do Currency.stub(:find_by_name).with('GBP').and_return( gbp ) Currency.stub(:find_by_name).with('USD').and_return( usd ) end it 'should update GBP rate' do gbp.should_receive(:update_attributes).with(rate_to_usd:0.63114) subject.perform end it 'should not update USD rate' do usd.should_not_receive(:update_attributes) subject.perform end end end and it works find if I only update GBP in my actual class: class WebCrawlers::Currency::FeedParser def perform Currency.find_by_name('GBP').update_attributes(rate_to_usd: 0.63114) end end However once I start updating other currencies like 'CAD', Rspec complains <Currency> received :find_by_name with unexpected arguments expected: ("USD") got: ("CAD") Why is this the case? Instead of NOT expecting USD, it says it is. And in the future there will be lots of currencies to update, but I don't want to test and stub each one of them. How can I resolve this issue?

    Read the article

  • Explicit behavior with checks vs. implicit behavior

    - by Silviu
    I'm not sure how to construct the question but I'm interested to know what do you guys think of the following situations and which one would you prefer. We're working at a client-server application with winforms. And we have a control that has some fields automatically calculated upon filling another field. So we're having a field currency which when filled by the user would determine an automatic filling of another field, maybe more fields. When the user fills the currency field, a Currency object would be retrieved from a cache based on the string introduced by the user. If entered currency is not found in the cache a null reference is returned by the cache object. Further down when asking the application layer to compute the other fields based on the currency, given a null currency a null specific field would be returned. This way the default, implicit behavior is to clear all fields. Which is the expected behavior. What i would call the explicit implementation would be to verify that the Currency object is null in which case the depending fields are cleared explicitly. I think that the latter version is more clear, less error prone and more testable. But it implies a form of redundancy. The former version is not as clear and it implies a certain behavior from the application layer which is not expressed in the tests. Maybe in the lower layer tests but when the need arises to modify the lower layers, so that given a null currency something else should be returned, i don't think a test that says just that without a motivation is going to be an impediment for introducing a bug in upper layers. What do you guys think?

    Read the article

  • Twitter URL encoding. Getting error when placing UK Currency sign in URL?

    - by bbacarat
    I'm attempting to setup a retweet button with some pre-written post text. However I need to place a pound sign in like so: £50k I've search the web and for the UK currency sign I've been told it is supposed to be replaced with the code: %a3 However when I attempt to click on the link I get the error message: "Invalid Unicode value in one or more parameters" This is the document declaration at the top of the html page I'm using: <!DOCTYPE html PUBLIC "-//W3C//DTD XHTML 1.0 Transitional//EN" "http://www.w3.org/TR/xhtml1/DTD/xhtml1-transitional.dtd"> <html xmlns="http://www.w3.org/1999/xhtml"> <head> <meta http-equiv="Content-Type" content="text/html; charset=utf-8" />

    Read the article

  • Money vs. Decimal vs. Float Performance issues (SQL data types for Currency value)?

    - by urz shah
    What data type should be selected in case of Currency value column in SQL server. I have read some where on web Working on customer implementations, we found some interesting performance numbers concerning the money data type. For example, when Analysis Services was set to the currency data type (from double) to match the SQL Server money data type, there was a 13% improvement in processing speed (rows/sec). Is it true??

    Read the article

  • How do I format the contents of a DataGrid cell as a Date? as Currency?

    - by Ben McCormack
    I have a Silverlight DataGrid that's being populated with different types of data for each column. I'm trying to figure out how to format some of the contents of the DataGrid's cells, specifically for dates and formatting. I have a date column that's currently displaying like: 3/11/2010 12:00:00 AM. I would rather it display like 3/14/2010. I have a number column that's currently displaying like: 51.32. I'd rather it display as currency like $51.32. I'm not sure how I can go about doing this. I'd prefer to do it in XAML instead of C#, but both solutions are fine. For reference, here's my XAML so far: </data:DataGridTextColumn> <data:DataGridTextColumn Header="Payee" Binding="{Binding Payee}"/> <data:DataGridTextColumn Header="Category" Binding="{Binding Category}"/> <data:DataGridTextColumn Header="Memo" Binding="{Binding Memo}"/> <data:DataGridTextColumn Header="Inflow" Binding="{Binding Inflow}"/> <data:DataGridTextColumn Header="Outflow" Binding="{Binding Outflow}"/> </data:DataGrid.Columns>

    Read the article

  • UPDATE FOR BI PUBLISHER ENTERPRISE 10.1.3.4.1 MARCH 2010

    - by Tim Dexter
    Latest roll up patch for 10.1.3.4.1 is now out in the wild. Yep, there are bug fixes but the guys have implemented some great enhancements. I'll be covering some of them over the coming weeks, from collapsing bookmarks in your PDFs to better MS AD support to 'true' Excel templates, yes you read that correctly! Patch is available from Oracle's support site. Just search for patch 9546699. Here's the contents and readme, apologies for the big list but at least you can search against it for a particular fix. This patch contains backports of following bugs for BI Publisher Enterprise 10.1.3.4.0 and 10.1.3.4.1. 6193342 - REG:SAMPLE DATA FILE FOR PDF FORM MAPPING IS NOT VALIDATED 6261875 - ERRONEOUS PRECISION VALIDATION ON ONLINE ANALYZER 6439437 - NULL POINTER EXCEPTION WHEN PROCESSING TABLE OF CONTENT 6460974 - BACS EFT PAYMENT INSTRUCTION OUTPUT FILE IS EMPTY 6939721 - BIP: REPORT BUSTING DELIVERY KEY VALUES CANNOT CONTAIN SEVERAL SPECIAL CHARACTER 6996069 - USING XML DB FOR BI REPOSITORY FAILS WITH RESOURCENOTFOUNDEXCEPTION 7207434 - TIMEZONE:SHOULD NOT DO TIMEZONE CONVERSION AGAINST CANONICAL DATE YYYY-MM-DD 7371531 - SUPPORT FOR CSV OUTPUT FOR STRUCTURED XML AND NON SQL DATA SOURCES 7596148 - ER: LDAP FOR MS AD TO SEARCH FROM AD ROOT 7646139 - WEBSERVICES ERROR 7829516 - BIP STANDALONE FAILS TO BURST USING XSL-FO TEMPLATES 8219848 - PDF TEMPLATE REPORT NOT PERFORMING PAGE BREAK 8232116 - PARAMETER VALUE IS PASSED AS NULL,IF IT CONTAINS 'AND' WITHIN THE STRING 8250690 - NOT ABLE TO UPLOAD TEMPLATE VIA BIP API 8288459 - ER: QUERY BUILDER OPTION TO NOT INCLUDE TABLENAME. PREFIX IN SQL 8289600 - REPORT TITLE AND DESCRIPTION CAN'T SUPPORT MULTIPLE LANGUAGES 8327080 - CAN NOT CONFIGURE ORACLE EBUSINESS SUITE SECURITY MODEL WITH ORACLE RAC 8332164 - AN XDO PROPERTY TO ENABLE DEBUG LOGGING 8333289 - WEB SERVICE JOBS FAIL AFTER BIP STARTED UP 8340239 - HTTP NOTIFY IS MISSING IN SCHEDULEREPORTREQUEST 8360933 - UNABLE TO USE LOGGED IN BI USER AS THE WSSECURITY USERNAME IN A VARIABLE FORMAT 8400744 - ADMINISTRATOR USER DOES NOT HAVE FULL ADMINISTRATOR RIGHTS 8402436 - CRASH CAUSED BY UNDETERMINED ATTRKEY ERROR IN MULTI-THREADED 8403779 - IMPOSSIBLE TO CONFIGURE PARAMETER FOR A REPORT 8412259 - PDF, RTF OUTPUT NOT HANDLING THE TABLE BORDER AND CONTENT OVERFLOWS TO NEXT PAGE 8483919 - DYNAMIC DATASOURCE WEBSERVICE SHOULD WORK WITH SERVERSIDE CONNECTIONS 8444382 - ID ATTRIBUTE IN TITLE-PAGE DOES NOT WORK WITH SELECTACTION PROPERTY 8446681 - UI LANGUAGE IS NOT REFLECTED AT THE FIRST LOG IN 8449884 - PUBLICREPORTSERVICE FAILS ON EMAIL DELIVERY USING BIP 10.1.3.4.0D+ - NPE 8454858 - DB: XMLP_ADMIN CAN SEE ALL THE FOLDERS BUT ONLY HAS VIEW PERMISSIONS 8458818 - PDFBOOKBINDER FAILS WITH OUTOFMEMORY ERROR WHEN TRYING TO BIND > 1500 PDFS 8463992 - INCORRECT IMPLEMENTATION OF XLIFF SPECIFICATION 8468777 - BI PUBLISHER QUERY BUILDER NOT LOADING SCHEMA OBJECTS 8477310 - QUERY BUILDER NOT WORK WITH SSL ON STANDALONE OC4J 8506701 - POSITIVE PAY FILE WITH OPTIONS NOT CREATING FILE CHECKS OVER 2500 8506761 - PERFORMANCE: PDFBOOKBINDER CLASS TAKES 4 HOURS TO BIND 4000 PAGES 8535604 - NPE WHEN CLICKING "ANALYZER FOR EXCEL" BUTTON IN ALL_* REPORTS 8536246 - REMOVE-PDF-FIELDS DOES NOT WORK WITH CHECKBOXES WITH OPT ARRAY 8541792 - NULLPOINTER EXCEPTION WHILE USING SFTP PROTOCOL 8554443 - LOGGING TIME STAMP IN 10G: THE HOUR PART IS WRONG 8558007 - UNABLE TO LOGIN BIP WITH UNPRIVILEGED USER WHEN XDB IS USED FOR REPORSITORY STOR 8565758 - NEED TO CONNECT IMPERSONATION TO DATA SOURCE WITH PL/SQL FUNCTION 8567235 - EFTPROCESSOR AND XDO DEBUG ENABLED CAUSES ORG.XML.SAX.SAXPARSEEXCEPTION 8572216 - EFTPROCESSOR NOT THREAD SAFE - CAUSING CORRUPTED REPORTS TO BE GENERATED 8575776 - LANDSCAPE REPORT ORIENTAION NOT SELECTED WHEN REPORT IS PRINTED WITH PS 8588330 - XLIFF GENERATING WITH WRONG MAXWIDTH ATTRIBUTE IN SOME TRANS-UNITS 8584446 - EFTGENERATOR DOES NOT USE XSLT SCALABILITY - JAVA.LANG.OUTOFMEMORY EXCEPTION 8594954 - ENG: BIP NOTIFY MESSAGE BECOMES ENGLISH 8599646 - ER:EXTRA SPACE ADDED BELOW IMAGE IN A TABLE CELL OF TEMPLATE IN FIREFOX 8605110 - PDFSIGNATURE API ENCOUNTERS JAVA.LANG.NULLPOINTEREXCEPTION ON PDF WITH WATERMARK 8660915 - BURSTING WITH DATA TEMPLATE NOT WORKING WITH OPTION: VALUE=FALSE 8660920 - ER: EXTRACT XHTML DATA USING XDODTEXE IN XHTML FORMAT 8667150 - PROBLEM WITH 3RD APPLICATION ABOUT PDF GENERATED WITH BI PUBLISHER 8683547 - "CLICK VIEW REPORT BUTTON TO GENERATE THE REPORT" MESSAGE IS DISPLAYED 8713080 - SEARCH" PARAMETER IS NOT SHOWING NON ENGLISH DATA IN INTERNET EXPLORER 8724778 - EXCEL ANALYZER PARAMETERS DO NOT WORK WITH EXCEL 2007 8725450 - UIX 2.3.6.6 UPTAKE FOR 10.1.3.4.1 8728807 - DYNAMIC JDBC DATA SOURCE WITH PRE-PROCESS FUNCTION BASED ON EXISTING DATA SOURCE 8759558 - XDO TEMPLATE SHOWS CURRENCY IN WRONG FORMAT FOR DUNNING 8792894 - EFTPROCESSOR DOES NOT SUPPORT XSL TEMPLATE AS INPUTSTREAM 8793550 - BIP GENERATES CSV REPORTS OUTPUT FORMAT WITH EXTENTION .OUT NOT .CSV IN EMAIL 8819869 - PERIOD CLOSE VALUE SUMMARY REPORT (XML) RUNNING INTO WARNING 8825732 - MY FOLDERS LINK BROKEN WITH USER NAME THAT INCLUDES A SLASH (/) OBIEE SECURITY 8831948 - TRYING TO GENERATE A SCATTER PLOT USING THE CHART WIZARD 8842299 - SEEDED QUERY ALWAYS RETURNS RESULTS BASED ON FIRST COLUMN 8858027 - NODE.GETTEXTCONTEXT() NOT AVAILABLE IN 10G UNDER OC4J 8859957 - REPORT TITLE ALIGNMENT GOES BAD FOR REPORTS WITH XLIFF FILE ATTACHED 8860957 - ER: IMPROVE PERFORMANCE OF ANSWERS PARAMETERS 8891537 - GETREPORTPARAMETERS WEB SERVICE API ISSUES WITH OAAM REPORTS 8891558 - GETTING SQLEXCEPTION IN GENERATEREPORT WEB SERVICE API ON OAAM REPORTS 8927796 - ER: DYANAMIC DATA SOURCE SUPPORT BY DATA SOURCE NAME 8969898 - BI PUBLISHER WEB SERVICE GETREPORTPARAMETERS DOES NOT TRANSLATE PARAMETER LABEL 8998967 - MULTIPLE XSL PREDICATES ELEMENT[A='A'] [B='B'] CAUSES XML-22019 ERROR 9012511 - SCALABLE MODE IS NOT WORKING IN XMLPUBLISHER 10.1.3.4 9016976 - ER: PRINT XSL-T AND FOPROCESSING TIMING INFORMATION 9018580 - WEB SERVICE CALL FAILS WHEN REPORT INCLUDES SEARCH TYPE 9018657 - JOB FAILS WHEN LOV QUERY CONTAINS BIND VARIABLES :XDO_USER_UI_LOCALE 9021224 - PERFORMANCE ISSUE TO VIEW DASHBOARD PAGE WITH BIP REPORT LINKS 9022440 - ER: SUPPORT "COMB OF N CHARACTERS" FEATURE PDF FORM TEXT FIELDS 9026236 - XPATH DOES NOT WORK CORRECTLY IN 10.1.3.4.1 9051652 - FILE EXTENSION OF CSV OUTPUT IS TXT WHEN IT IS EXPORTED FROM REPORT VIEWER 9053770 - WHEN SENDING CSV REPORT OUTPUT BY EMAIL SOMETIMES IT IS SENT WITHOUT EXTENSION 9066483 - PDFBOOKBINDER LEAVE SOME TEMPORARY FILES AFTER MERGING TITLE PAGE OR TOC 9102420 - USE RELATIVE PATHS IN HYPERLINKS 9127185 - CHECKBOX NOT WORK ON SUB TEMPLATE 9149679 - BASE URL IS NOT PASSED CORRECTLY 9149691 - PROVIDE A WAY TO DISABLE THE ABILITY TO CREATE SCHEDULED REPORT JOB "PUBLIC" 9167822 - NOTIFICATION URL BREAKS ON FOLDER NAMES WITH SPACES 9167913 - CHARTS ARE MISSING IN PDF OUTPUTS WHEN THE DEFAULT OUTPUT FORMAT IS NOT A PDF 9217965 - REPORT HISTORY TAKES LONG TIME TO RENDER THE PAGE 9236674 - BI PUBLISHER PARAMETERS DO NOT CASCADE REFRESH AFTER SECOND PARAMETER 9283933 - OPTION TO COLLAPSE PDF OUTPUT BOOKMARKS BY DEFAULT 9287245 - SAVE COMPLETED SCHEDULED REPORTS IN ITS REPORT NAME AND NOT IN A GENERIC NAME 9348862 - ADD FEATURE TO DISABLE THE XSLT1.0-COMPATIBILITY IN RTF TEMPLATE 9355897 - ER: NEED A SAFE DIVIDE FUNCTION 9364169 - UIX 2.3.6.6 PATCH UPTAKE FOR 10.1.3.4.1 9365153 - LEADING WHITESPACE CHARACTERS IN A FIELD TRIMMED WHEN RUN VIEW OR EXPORT TO .CSV 9389039 - LONG TEXT IS NOT WRAPPED PROPERLY IN THE AUTOSHAPE ON RTF TEMPLATE 9475697 - ENH: SUB-TEMPLATE:DYNAMIC VARIABLE WITH PARAMETER VALUE IN CALL-TEMPLATE CLAUSE 9484549 - CHANGE DEFAULT FOR "XSLT1.0-COMPATIBILITY" TO FALSE FOR 10G 9508499 - UNABLE TO READ EXCEL FILE IF MORE THAN 1800 ROWS GENERATED 9546078 - EMAIL DELIVERY INFORMATION SHOULD NOT BE SAVED AND AUTO-FED IN JOB SUBMISSION 9546101 - EXCEPTION OCCURS WHEN SFTP/FTP REMOTE FILENAME DOSE NOT CONTAIN A SLASH '/' 9546117 - SFTP REPORT DELIVERY FAILS WITH NO CLASS DEF FOUND EXCEPTION ON WEBLOGIC 9.2 Following bugs are included in 10.1.3.4.1 and they are only applied to 10.1.3.4.0. 4612604 - FROM EDGE ATTRIBUTE OF HEADER AND FOOTER IS NOT PRESERVED 6621006 - PARAMNAMEVALUE ELEMENT DEFINITION SHOULD HAVE PARAMETER TYPE 6811967 - DATE PARAMETER NOT HANDLING DATE OFFSET WHEN PASSED UPPERCASE Z FOR OFFSET 6864451 - WHEN BIP REPORTS TIMEOUT, THE PROCESS TO LOG BACK IN IS NOT USER FRIENDLY 6869887 - FUSION CURRENCY BRD:4.1.4/4.1.6 OVERRIDINDG MASK /W XSLT._XDOCURMASKS /W SYMBOL 6959078 - "TEXT FIELD CONTAINS COMMA-SEPARATED VALUES" DOESN'T WORK IN CASE OF STRING 6994647 - GETTING ERROR MESSAGE SAYING JOB FAILED EVEN THOUGH WORKS OK IN BI PUBLISHER 7133143 - ENABLE USER TO ENTER 'TODAY' AS VALUE TO DATE PARAMETER IN SCHEDULE REPORT UI 7165117 - QA_BIP_FUNC:-CLOSED LIFE TIME REPORT ERROR MESSAGE IN CMD 7167068 - LEADER-LENGTH OR RULE-THICKNESS PROPRTY IS TOO LARGE 7219517 - NEED EXTENSION FUNCTIONS TO URL ENCODE TEXT STRING. 7269228 - TEMPLATEHELPER PRODUCES A GARBLED OUTPUT WHEN INVOKED BY MULTIPLE THREADS 7276813 - GETREPORTPARAMETERSRETURN ELEMENT SHOULD HAVE DEFAULT VALUE 7279046 - SCHDEULER:UNABLE TO DELETE A JOB USING API 7280336 - ER: BI PUBLISHER - SITEMINDER SUPPORT - GENERIC NON-ORACLE SSO SUPPORT 7281468 - MODIFY SQL SERVER PROPERTIES TO USE HYP DATA DIRECT IN JDBCDEFAULTS.XML 7281495 - PLEASE ADD SUPPORTED DBS TO JDBCDEFAULT.XML AND LIST EACH DB VERSION SEPARATELY 7282456 - FUSION CURRENCY BRD 4.1.9.2: CURRENCY AMOUTS SHOULD NOT BE WRAPPED. MINUS SIGN 7282507 - FUSION CURRENCY BRD4.1.2.5:DISPLAY CURRENCY AND LOCALE DERIVED CURRENCY SYMBOL 7284780 - FUSION CURRENCY BRD 4.1.12.4 CORRECTLY ALIGN NEGATIVE CURRENCY AMOUNTS 7306874 - OPP ERROR - JAVA.LANG.OUTOFMEMORYERROR: ZIP002:OUTOFMEMORYERROR, MEM_ERROR 7309596 - SIEBELCRM: BIP ENHANCEMENT REQUEST FOR SIEBEL PARAMETERIZATION 7337173 - UI LOCALE IS ALWAYS REWRITTEN TO EN WHEN MOVE FROM DASHBOARD 7338349 - REG:ANALYZER REPORT WITH AVERAGE FUNCTION FAIL TO RUN FOR NON INTERACTIVE FORMAT 7343757 - OUTPUT FORMAT OF TEMPLATES IS NOT SAVING 7345989 - SET XDK REPLACEILLEGALCHARS AND ENHANCE XSLTWRAPPER WARNING 7354775 - UNEXPECTED BEHAVIOR OF LAYOUT TEMPLATE PARAMETER OF RUNREPORT WEBSERVICES API 7354798 - SEQUENCE ORDER OF PARAMETERS FOR THE RUNREPORT WEBSERVICES API 7358973 - PARALLEL SFTP DELIVERY FAILS DUE TO SSHEXCEPTION: CORRUPT MAC ON INPUT 7370110 - REGN:FAIL WHEN USE JNDI TO XMLDB REPORT REPOSITORY 7375859 - NEW WEBSERVICE REQUIRED FOR RUNREPORT 7375892 - REQUIRE NEW WEBSERVICE TO CHECK IF REPORTFOLDER EXISTS 7377686 - TEXT-ALIGN NOT APPLIED IN PDF IN HEBREW LOCALE 7413722 - RUNREPORT API DOES NOT PASS BACK ANY GENERATED EXCEPTIONS TO SCHEDULEREPORT 7435420 - FUSION CURRENCY: SUPPORT MICROSOFT(JAVA) FORMAT MASK WITH CURRENCY 7441486 - ER: ADD PARAMETER FOR SFTP TO BURSTING QUERY 7458169 - SSO WITH OID LDAP COULD NOT FETCH OID ROLES 7461161 - EMAIL DELIVERY FAILS - DELIVERYEXCEPTION: 0 BYTE AVAILABLE IN THE GIVEN INPU 7580715 - INCORRECT FORMATTING OF DATES IN TIMEZONE GMT+13 7582694 - INVALID MAXWIDTH VALUE CAUSES NLS FAILURES 7583693 - JAVA.LANG.NULLPOINTEREXCEPTION RAISED WHEN GENERATING HRMS BENEFITS PDF REPORT 7587998 - NEWLY CREATED USERS IN OID CANT ACCESS REPORTS UNTILL BI PUBLISHER IS RESTARTED 7588317 - TABLE OF CONTENT ALWAYS IN THE SAME FONT 7590084 - REMOVING THE BIP ENTERPRISE BANNER BUT KEEPING THE REPORTS & SCHEDULES TAB 7590112 - SOMEONE NOT PRIVILEGED ACCESS BIP DIRECTLY SHOULD GET A CUSTOM PAGE 7590125 - AUTOMATING CREATION OF USERS AND ROLES 7597902 - TIMEZONE SUPPORT IN RUNREPORT WEBSERVICE API 7599031 - XML PUBLISHER SUM(CURRENT-GROUP()) FAILS 7609178 - ISSUE WITH TAGS EXTRACTED FROM RTF TEMPLATE 7613024 - HEADER/FOOTER SETTINGS OF RTF TEMPLATE ARE NOT RETAINING IN THE RTF OUTPUT 7623988 - ADD XSLT FUNCTION TO PRINT XDO PROPERTIES 7625975 - RETRIEVING PARAMETER LOV FROM RTF TEMPLATE 7629445 - SPELL OUT A NUMBER INTO WORDS 7641827 - ANALYTICS FROZED AFTER PAGE TAB WHICH INCLUDES [BI PUBLISHER REPORT] WERE CLICKE 7645504 - BIP REPORT FROZED AFTER THE SAME DASHBOARD BIP REPORTS WERE CLICKED SIMULTANEOUS 7649561 - RECEIVE 'TO MANY OPEN FILE HANDLES' ERROR CAUSING BI TO CRASH 7654155 - BIP REMOVES THE FIRST FILE SEPARATOR WHEN RE-ENTER REPOSITORY LOCATION IN ADMIN 7656834 - NEED AN OPTION TO NOT APPEND SCHEMA NAME IN GENERATED QUERY 7660292 - ER: XDOPARSER UPGRADE TO XDK 11G 7687862 - BIP DATA EXTRACTING ENHANCEMENT FOR SIEBEL BIP INTEGRATION 7694875 - ADMINISTRATOR IS SUPER USER WHETHER CONFIGURED MANDATORY_USER_ROLE OR NOT 7697592 - BI PUBLISHER STRINGINDEXOUTOFBOUNDSEXCEPTION WHEN PRINTING LABEL FROM SIM 7702372 - ARABIC/ENGLISH NUMBER/DATE PROBLEM, TOTAL PAGE NUMBER NOT RENDERED IN ENGLISH 7707987 - OUTOFMEMORY BURSTING A BI PUBLISHER REPORT BI SERVER DATA SOURCE 7712026 - ER: CHANGE CHART OUTPUT FORMAT TO PNG IN HTML OUTPUT 7833732 - THE 'SEARCH' PARAMETER TYPE CANNOT BE USED IN IE6 UNDER WINDOWS 8214839 - ER: INCREASE COLUMN SIZE IN SCHEDULER TABLE XMLP_SCHED_JOB 8218271 - ISSUES WHILE CONVERTING EXCEL TO XML 8218452 - BI PUBLISHER STANDALONE : GRAPHICS WITHOUT COLORS IF MORE THAN 33 PAGES 8250980 - USER WITH XMLP_ADMIN RESPONSIBILITY IS NOT ABLE TO EDIT REPORT IN BIP 8262410 - IMPOSSIBLE TO PRINT PDF CREATED BY BI PUBLISHER VIA 3RD PARTY PDF APPLICATION 8274369 - QA: CANNOT DELETE EMAIL SERVER UNDER DELIVERY CONFIGURATION 8284173 - FO:VISIBILITY="HIDDEN" DOESN'T WORK WITH FO:PAGE-NUMBER-CITATION 8288421 - THE VALUE OF VIEW BY GO BACK TO MY HISTORY IN SCHEDULES TAB 8299212 - REG: THE SPECIFICAL BI USER DIDN'T GET THE CORRECT REPORT HISTORY 8301767 - ORA-01795 ERROR OCCURED AFTER ACCESSING DASHBOARD PAGE WHICH INCLUDES BIP 8304944 - ADD SIEBEL SECURITY MODEL IN BI PUBLISHER 10.1.3.4.1 8312814 - QA:HOT:OBI SERVER JDBC DRIVER BIJDBC14.JAR IN XMLPSERVER.WAR IS INCORRECT 8323679 - BI PUBLISHER SENDS HTML REPORT TO OUTLOOK CLIENT AS ATTACHMENT NOT INLINE 8370794 - HISTORY OF COMPLETED SCHEDULER JOBS STILL SHOW ONE AS RUNNING ON CLUSTER ENV 8390970 - OUT OF MEMORY EXCEPTION RAISED, WHILE SAVING THE DATA 8393681 - CHECKBOX IS SHOWING UP AS CHECKED WHEN DATA IS NOT CHECKED VALUE 8725450 - UIX 2.3.6.6 UPTAKE FOR 10.1.3.4.1 UIX fixes: 6866363 - SUPPORT FOR JAVA DATE FORMAT AS PER JDK 1.4 AND ABOVE 6829124 - DATE PARAMETER NOT HANDLING DATE OFFSET AS PER JAVA STANDARDS ---------------------------- INSTALLATION FOR ENTERPRISE ---------------------------- Upgrade from 10.1.3.4.0d (patch 8284524, 8398280) and 10.1.3.4.1 does not require step 8 and step 9. 1 - Make a backup copy of the xmlp-server-config.xml file located in <application installation>/WEB-INF/ directory, where your application server unpacked the BI Publisher war or ear file. Example: In an Oracle AS/OC4J 10.1.3 deployment, the location is <ORACLE_HOME>/j2ee/home/applications/xmlpserver/xmlpserver/WEB-INF/xmlp-server-config.xml 2 - Back up all the directories under the BI Publisher repository (for example: {Oracle_Home}/xmlp/XMLP). 3 - If you are using Scheduling, back up your existing BI Publisher Scheduler schema. 4 - Shut down BI Publisher. 5 - Undeploy the BI Publisher application ("xmlpserver") from your J2EE application server. See your application server documentation for instructions how to undeploy an application. 6 - Deploy the 10.1.3.4 xmlpserver.ear or xmlpserver.war to your application server. See "Manually Installing BI Publisher to Your J2EE Application Server" secition of BI Publisher Installation Guide for guidelines for your application server type. 7 - Copy the saved backup copy of the xmlp-server-config.xml file from step 1 to the newly created BI Publisher <application installation>/WEB-INF/ directory, where your application server unpacked the BI Publisher war or ear file. Example: In an Oracle AS/OC4J 10.1.3 deployment, the location is <ORACLE_HOME>/j2ee/home/applications/xmlpserver/xmlpserver/WEB-INF/xmlp-server-config.xml 8 - Copy ssodefaults.xml to the following directory. And replace [host]:[port] with your server's information. Default values for other properties can be updated depending on your configuration. <Existing Repository>\XMLP\Admin\Security 9 - Copy database-config.xml to the following directory. <Existing Repository>\XMLP\Admin\Scheduler 10 - Restart xmlpserver application or Application Server ---------------------------------- IBM WEBSPHERE 6.1 DEPLOYMENT NOTE ---------------------------------- When users fail to log on to BI Publisher with "HTTP 500 Internal Server Error" on WebSphere 6.1, you must change Class Loader configuration to avoid the error. (bug7506253 - XMLPSERVER WON'T START AFTER DEPLOYMENT TO WEBSPHERE 6.1) SystemErr.log: java.lang.VerifyError: class loading constraint violated (class: oracle/xml/parser/v2/XMLNode method: xdkSetQxName(Loracle/xml/util/QxName;)V) at pc: 0 .... Class Loader Configuration Steps: 1 - Login to WebSphere Admin console. Click Enterprise Applications under Applications menu 2 - Click xmlpserver application name from the list 3 - Select "Class loading and update detection" 4 - Update class loader configuration as follows in Class Loader -> General Properties * Polling interval for updated files: [0] Seconds * Class loader order: [x] Classes loaded with application class loader first * WAR class loader policy: [x] Single class loader for application 5 - Apply this change and save the new configuration. 6 - Restart xmlpserver application Please refer to WebSphere 6.1 documentation for more details. "http://publib.boulder.ibm.com/infocenter/wasinfo/v6r1/index.jsp?topic=/com.ibm.websphere.base.doc/info/aes/ae/trun_classload_entapp.html"> http://publib.boulder.ibm.com/infocenter/wasinfo/v6r1/index.jsp?topic=/com.ibm.websphere.base.doc/info/aes/ae/trun_classload_entapp.html ------------------------------------------------------- Oracle WebLogic Server 11g R1 (10.3.1) Deployment NOTE ------------------------------------------------------- If you are deploying BI Publisher to WebLogic Server 10.3.1, you must add the following setting at startup for the domain that contains the BI Publisher server in the /weblogic_home/user_projects/domains/base_domain/bin/startWebLogic.sh script : -Dtoplink.xml.platform=oracle.toplink.platform.xml.jaxp.JAXPPlatform This setting is required to enable BI Publisher to find the TopLink JAR files to create the Scheduler tables.

    Read the article

  • Database design for credit based purchases

    - by FreshCode
    I need an elegant way to implement credit-based purchases for an online store with a small variety of products which can be purchased using virtual credit or real currency. Alternatively, products could only be priced in credits. Previous work I have implemented credit-based purchasing before using different product types (eg. Credit, Voucher or Music) with post-order processing to assign purchased credit to users in the form of real currency, which could subsequently be used to discount future orders' charge totals. This worked fairly well as a makeshift solution, but did not succeed in disconnecting the virtual currency from the real currency, which is what I'd like to do, since spending credits is psychologically easier for customers than spending real currency. Design I need guidance on designing the database correctly with support for the simultaneous bulk purchase of credits at a discount along with real currency products. Alternatively, should all products be priced in credits and only credit have a real currency value? Existing Database Design Partial Products table: ProductId Title Type UnitPrice SalePrice Partial Orders table: OrderId UserId (related to Users table, not shown) Status Value Total Partial OrderItems table (similar to CartItems table): OrderItemId OrderId (related to Orders table) ProductId (related to Products table) Quantity UnitPrice SalePrice Prospective UserCredits table: CreditId UserId (related to Users table, not shown) Value (+/- value. Summed over time to determine saldo.) Date I'm using ASP.NET MVC and LINQ-to-SQL on a SQL Server database.

    Read the article

  • mysql with 3 group by and sum

    - by cyberfly
    Hi all I have this data in my table (tb_cash_transaction) I want to group the TYPE column, CURRENCY_ID column and AMOUNT column so it will become like below: **Currency** **Cash IN** **Cash OUT** **Balance** 14 40000 30000 10000 15 50000 40000 10000 Rule : 1.Group by currency 2.Then find the sum of cash in for that currency 3.Find the sum of cash out for that currency 4.Get the balance (sum cash in - sum cash out) How to achieve it using mysql? I try using group by but cannot get the desired output. Thanks in advance

    Read the article

  • how to do this conversion?

    - by kumar
    string mvi = Moneys.GetValue(8) as string; if (mvi == null) money.Currency= Convert.ToDecimal(""); /// I am getting exception Here if its null? else money.Currency= Convert.ToDecimal(mvi); /// Currency is Decimal money.Currency= Convert.ToDecimal(""); /// I am getting exception Here if its null? Can any body tell me how to do this? thanks

    Read the article

  • Common strategies to deal with rounding errors in currency-intensive soft?

    - by Max
    What is your advice on: compensation of accumulated error in bulk math operations on collections of Money objects. How is this implemented in your production code? (things like variable rounding, etc...) theory behind rounding in accountancy. any literature on topic. I currently read Fowler. He mentions Money type, but says nothing on strategies. Older posts on money-rounding (here, and here) do not provide a details and formality I need. Thanks for help.

    Read the article

  • FEDEX INTEGRATION IN ASP.NET C#

    - by Dhruval Shah
    Hello, I am doing integration of fedex with out ASP.NET application. i want to get rate in specific currency only. but fedex return rate in different currency depnds on the source and target destination. how to set specific currency, so if location differed then also i can get rate in specified currency only. I have added "RateServiceDefinitions.wsdl", "RateService_v8.wsdl" services to my application but i am not getting where to set specific currency. what i need to do? Your prompt reply will be appriciated. Thanks, Dhruval Shah

    Read the article

  • Why won't jqGrid won't populate initially in Chrome

    - by Maxm007
    Hi, I've got a web page with a jqGrid that uses am xmlreader to populate itself with data that is spat out by a RoR service. The page loads fine in firefox and safari. In Chrome however I get a blank grid. Only when I change the sort order by clicking on the columns does it populate. <html> <head> <title>LocalFx</title> <link href="/stylesheets/main.css?1271423251" media="screen" rel="stylesheet" type="text/css" /> <link href="/stylesheets/redmond/jquery-ui-1.8.custom.css?1271404544" media="screen" rel="stylesheet" type="text/css" /> <link href="/stylesheets/ui.jqgrid.css?1265561560" media="screen" rel="stylesheet" type="text/css" /> <script src="/javascripts/jquery-1.3.2.min.js?1259426008" type="text/javascript"></script> <script src="/javascripts/i18n/grid.locale-en.js?1266140090" type="text/javascript"></script> <script src="/javascripts/jquery.jqGrid.min.js?1271437772" type="text/javascript"></script> <script type="text/javascript"> jQuery().ready(function() { jQuery("#list").jqGrid({ xmlReader: { root:"contracts", row:"contract", repeatitems:false, id:"id" }, jsonReader: { repeatitems:false, root:"contracts" }, datatype: 'xml', url:'http://localhost:3000/contracts/index/all.xml', mtype: 'GET', colNames:['User','B/S', 'Currency', 'Amount', 'Rate'], colModel :[ {name:'user', index:'username', width:100 , xmlmap:'user>username'} , {name:'side', index:'side', width:100 , xmlmap:'side'} , {name:'currency', index:'ccy', width:100 , xmlmap:'currency>ccy'} , {name:'amount', index:'amount', width:100 , xmlmap:'amount'}, {name:'rate', index:'rate', width:100 , xmlmap:'exchange-rate>rate'} ], pager: jQuery('#pager'), caption: 'Contracts', sortname: 'side', sortorder: "asc", viewrecords:true, rowNum:10, rowList:[10,20,30] }); $("#list").trigger("reloadGrid") }); </script> </head> <body> <table id="list" align="center" class="scroll"></table> <div id="pager" class="scroll" style="text-align:center;"></div> </body> </html> This is the xml: <contracts type="array"> <contract> <amount type="float">1000.0</amount> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <currency-id type="integer">488525179</currency-id> <id type="integer">18277852</id> <side>BUY</side> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> <user-id type="integer">830138774</user-id> <exchange-rate> <contract-id type="integer">18277852</contract-id> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <denccy-id type="integer">890731696</denccy-id> <id type="integer">419011264</id> <numccy-id type="integer">488525179</numccy-id> <rate type="float">1.3</rate> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> </exchange-rate> <user> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <id type="integer">830138774</id> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> <username>John Doe</username> </user> <currency> <ccy>EUR</ccy> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <id type="integer">488525179</id> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> </currency> </contract> <contract> <amount type="float">500.0</amount> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <currency-id type="integer">890731696</currency-id> <id type="integer">716237132</id> <side>SELL</side> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> <user-id type="integer">830138774</user-id> <exchange-rate> <contract-id type="integer">716237132</contract-id> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <denccy-id type="integer">890731696</denccy-id> <id type="integer">861902380</id> <numccy-id type="integer">488525179</numccy-id> <rate type="float">1.3</rate> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> </exchange-rate> <user> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <id type="integer">830138774</id> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> <username>John Doe</username> </user> <currency> <ccy>GBP</ccy> <created-at type="datetime">2010-04-16T13:59:40Z</created-at> <id type="integer">890731696</id> <updated-at type="datetime">2010-04-16T13:59:40Z</updated-at> </currency> </contract> </contracts>

    Read the article

< Previous Page | 1 2 3 4 5 6 7 8 9 10 11 12  | Next Page >