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  • schema for storing different varchar fields over time?

    - by Henry
    This app I'm working on needs to store some meta data fields about an entity. The problem is that we can already foresee that these fields are going to change a lot in the future. I'm using Hibernate (in ColdFusion) and each entity's properties are translated to one column in the entity table, but altering table columns later down the raod will be costly and error-prone right? Should I go for something like this? MetaDataField ----- metaDataFieldID (PK), name FieldValue ---------- EntityID (PK, FK), metaDataFieldID (PK, FK), value [varchar(255)] Is this common? Anything to watch out for? p.s. I also thought of using XML on SQL Server 05+. After talking to some ppl, seems like it is not a viable solution 'cause it will be too slow for doing certain query for reporting purposes.

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  • Adding subview, gets delayed?

    - by user289510
    Hi, i didn't really know how to title this question, but here's a thing that really kills me: In my app i have a UITableView, UISegmentedControl and UINavigationBar. Once UISegmentedControl gets one of its segments selected i want to show a UIActivityIndicatorView on the UINavigationBar and then parse an xml file and present the results in a table. Everything works almost as i want it to, except one thing, the activity indicator view gets added to the uinavigationbar after the parser finishes, even though the method showLoading that adds UIIndicatorView to UINavigationBar gets before parser is initialised. Can anyone explain it? is there something i might be missing? maybe the ui needs to get redrawn? thanks peter

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  • Restrict file access from PHP -> Java Applet

    - by aliuy
    I'm writing a portal in PHP that allows users to upload DICOM images, and allow users of the same group to view those DICOM images through a Java Applet. The html code to display images through the viewer looks like this: <APPLET archive=radscaper.jar codebase=./ code=com.divinev.radscaper.Main.class width=100% height=100%> <PARAM NAME=Config VALUE=config.xml> <PARAM NAME=DicomImg1 VALUE="relative_path1/image1.dcm"> </APPLET> So the generated html passes in a file url to the java applet. The problem I'm facing is - files would be stored in a public directory and easily accessed by anyone knowing the file url. Is there a way I can restrict file access to a certain user group?

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  • Issues using ivy

    - by Almas
    Hi, I am new bie to ivy. I am using packager resolver and that packager resolver resolves the zip file, unzip it, extracts the jar file from it in temp build file, but it stays temporarily and only the jar file which i specified as a module name gets copied to destination rest of all are ignored. Is there a way i can get all the jar files? I use preseverBuildDirectories but is there a better way to do it? Also is it possible for me to publish an artifact to svn using normal ivy? I got error while i was trying to use ivy 2.1.0 on XP using ant 1.8.0 java.illegalArguementException saying authorization failed. Is there a way i can work through ivy:publish? Is there a way i can use ivy variable in packager.xml? Thanks in advance, Almas

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  • Connecting my flex application to Restlet webservices

    - by Vatsala
    Hi, I am doing some trial testing awith Amazon ec2 boxes, deploying flex apps running on top of restlet powered webservices. I have this problem - Everytime i deploy the app to the cloud, I'm having to hardcode the IP address of the server into the ActionScript/MXML files (http://72.93.48.39:8080/xxx/abc/) and for certain reasons, i am forced to choose a different IP everytime. and i think its really not the right way to deploy the application. I would like to know what other people do in such scenarios? On thinking about it, i thought i could make it pickup values from the HTMLVars of the HTML wrapper. but that again has to be edited everytime again and again. will it be possible to be able to supply these values : server's ip address, server's port number(in case its not 8080 on some machine) at build time? if so can anyone give me a barbones sample build.xml just as an example?

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  • KeyCode_Enter to next edittext

    - by soclose
    Hi, In edittext, after typing 'Enter' key, system make a new line inside it. I'd like to focus on next edittext, no new line. how to code? my code in xml is below <EditText android:id="@+id/txtNPCode" android:layout_width="fill_parent" android:layout_height="wrap_content" android:textSize="18sp" android:layout_alignLeft="@+id/lblNPCode" android:layout_below="@+id/lblNPCode" android:layout_centerHorizontal="true" /> <EditText android:id="@+id/txtCNPCode" android:layout_width="fill_parent" android:layout_height="wrap_content" android:textSize="18sp" android:layout_alignLeft="@+id/lblCNPCode" android:layout_below="@+id/lblCNPCode" android:layout_centerHorizontal="true" /> I also caputer key code in setOnKeyListener tCNPCode.setOnKeyListener(new OnKeyListener() { public boolean onKey(View v, int keyCode, KeyEvent event) { // TODO Auto-generated method stub if(keyCode == 66) { Toast.makeText(S_PCode.this, "Enter Key", Toast.LENGTH_LONG).show(); //tNPCode.setFocusable(true); } return false; } });

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  • How to change the assemblyIdentity of an executable

    - by David
    I want to hide the tool I used to create an .exe file. I am not doing anything illegal, I just want to protect my intellectual property from being copied. If I open the exe file in a text editor I see the following section. <?xml version="1.0" encoding="UTF-8" standalone="yes"?> <assembly xmlns="urn:schemas-microsoft-com:asm.v1" manifestVersion="1.0"> <assemblyIdentity version="XXX.XX" processorArchitecture="X86" name="Microsoft.Windows.NameOfTheTool" type="win32" /> </assembly> I have attempted to change the name to: name="Microsoft.Windows.SomeOtherName" This resulted in the following message when I attempted to execute the file. "This application has failed to start because its side-by-side configuration is incorrect." How can I solve this?

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  • Quicken like Windows Forms application

    - by WinFXGuy
    Hi All, I need to build a quicken like application, where data needs to be secure. I don't see any database being used by Quicken. I could use XML, MDF or Access database, but data is not secure in the tables. What is the best option? How does Quicken handle it? My application may also have document attachments as well. The functionality of this application is similar to quicken but not an accounting/financial in functionality. Thanks a bunch!

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  • Line break and also getting space in HL7 message

    - by user1280098
    My BizTalk receive XML message as a input message. I am converting that message to HL7 message using Transform in orchestration. Now if input message consists of any empty field in any of the node, the HL7 message breaks up at that postion and also include space in that message. Can anyone help me to resolve this issue? following is my HL7 message: Note --- Copy this message in Textpad to get to know exact space in it MSH|^~\&|EEHR^bbbbbbbbbb|aaaaaaaaaaaaaaaaa^12699^DNS|KYIR|CDP|201103060733||VXU^V04|14962|P|2.3.1|||| PID|1||765874316^^^^SS||ssssss^anan^T|wwwww^^^^^^M|20100217|M||2135-2^YYYYYYYY or jjjjjj^HL70005|5896 hyhyhyhy Ave^Apt# 112^Wanta Fe^NM^85678^XXX^H^^049||5033331120X ^PRN^PH^^^505^5551120^~^NET^X.400^[email protected]|5056083515X4365^WPN^PH^^^505^6086715^4365|es^English^HL70296||||215486702|||H^erererer or qwqwqw^HL70189|bnbnbn|Y|1|||| Thanks.

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  • How do I customise date/time bindings using JAXWS and APT?

    - by Jordan Digby
    Im using JAXWS 2.1.7, using some classes to run through JAXWS's 'apt' to generate the WSDL. For dates, I use @XmlSchemaType(name="time") private Date wakeupTime; and this generates a schema with xs:time, but when this all comes out in XML, the value is something like <wakeupTime>1901-01-01T01:00:00 +10</wakeupTime> I want JUST the time portion to come! I think I want to use a custom converter to say that xs:time + java.util.Date should be printed and parsed in such-and-sucha manner, but I cant see that I can pass a bindings file to the apt routine. I can't (for historical & other reasons) use XMLGregorianCalendar - it has to be a java.util.Date. How do I specify a custom binding for the apt tool in jaxb

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  • Jboss webservice client error

    - by user309281
    Hi I am getting following error, when a java webservice client written using jboss webservices, tries to invoke a webservice through WSDL URL. The program is executed in java 1.5 VM installed in RHEL Any idea when this kind of exception will pop up? And moreover the IP 192.168.182.20 is not of the system from which the client program executed. javax.xml.ws.soap.SOAPFaultException: [192.168.182.20] is not authorized. at org.jboss.ws.core.jaxws.SOAPFaultHelperJAXWS.getSOAPFaultException(SOAPFaultHelperJAXWS.java:84) at org.jboss.ws.core.jaxws.binding.SOAP11BindingJAXWS.throwFaultException(SOAP11BindingJAXWS.java:107) at org.jboss.ws.core.CommonSOAPBinding.unbindResponseMessage(CommonSOAPBinding.java:579) at org.jboss.ws.core.CommonClient.invoke(CommonClient.java:381) at org.jboss.ws.core.jaxws.client.ClientImpl.invoke(ClientImpl.java:291) at org.jboss.ws.core.jaxws.client.ClientProxy.invoke(ClientProxy.java:170) at org.jboss.ws.core.jaxws.client.ClientProxy.invoke(ClientProxy.java:150) at $Proxy21.send(Unknown Source)

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  • How to access system.webserver web.config node in .NET 2

    - by JK
    Are there any .NET APis that can read/update the system.webServer node in web.config? I know I can do it via reading/parsing the web.config file as xml but that's awkward. To read/update the system.web node in .NET 2 I can use: HttpModulesSection httpModulesSection = (HttpModulesSection)configuration.GetSection("system.web/httpModules"); But is there any API based way of accessing system.web/modules using .NET 2? I have to reference the .NET 2 version of system.web.configuration because I don't know in advance if my web app will be run on a server with .NET 2 or 3.5. So it is limited to .NET 2 API calls only. Thanks

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  • C#/ASP.NET MVC 4 Instantiate Object Derived From Interface In Factory Method

    - by Chris
    Currently have a Factory class that features a GetSelector function, which returns a concrete implementation of ISelector. I have several different classes that implement ISelector and based on a setting I would like to receive the appropriate ISelector back. public interface ISelector { string GetValue(string Params); } public class XmlSelector : ISelector { public string GetValue(string Params) { // open XML file and get value } } public static class SelectorFactory { public static ISelector GetSelector() { return new XmlSelector(); // Needs changing to look at settings } } My question is what is the best way to store the setting? I am aware of using AppSettings etc. but I'm not sure whether I want to have to store strings in the web.config and perform a switch on it - just seems to be really tightly coupled in that if a new implementation of ISelector is made, then the Factory would need to be changed. Is there any way of perhaps storing an assembly name and instantiating based on that? Thanks, Chris

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  • How to define using statements in web.config?

    - by Hasan Gürsoy
    I'm using MySql in my asp.net project. But I don't want to type every "using MySql.Data.MySqlClient;" statement in every aspx.cs file. How can I define this lines in web.config file? I've defined some namespaces like below but this only works for aspx pages: <?xml version="1.0"?> <configuration> <system.web> <compilation debug="false" targetFramework="4.0"/> <pages> <namespaces> <add namespace="System.Web.Configuration"/> <add namespace="MySql.Data"/> <add namespace="MySql.Data.MySqlClient"/> </namespaces> </pages> </system.web> </configuration>

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  • How to open different App version for one given file extension

    - by Erik Lenaerts
    We have a data files with an extension ".ppx" for our business app here. Users will typically have multiple versions of the application installed (side by side) for example version 1 and version 2. The ppx files are xml files and they contain the version of the app they were created from (v1 or v2). Lets say that we have AFileCreatedWithAppv1.ppx and AFileCreatedWithAppv2.ppx opens with version 1 or version 2 of our app respectivly when they both have the same file extension? It must be doable since that is what Visual Studio does. In fact, they even provide different icons for the same .sln extension to indicate what Visual Studio version it will open with. I learned that Visual Studio is using the Selector or Launcher in between, but then again, how do they change the icons in Windows? cheers :)

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  • How do I structure a GWT project?

    - by smaye81
    Hello, I have followed the basic GWT tutorial for creating a project in Eclipse. Now, I am trying to build off what I learned in the tutorial. I created a static utility class to perform some database connection logic. However, when I try to compile I get: [ERROR] Line 46: No source code is available for type com.sample.server.ConnectionUtil; did you forget to inherit a required module? Where can I put simple classes that I've created on my own? Do they have to be outside the package structure of the basic module, 'com.sample'? Or do I have to specify a whole new module in the gwt.xml file and inherit from that? There has to be something simple I'm missing.

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  • What is the worst class/variable/function name you have ever encountered

    - by Chris Noe
    Naming things well is arguably Job 1 for professional programmers. Yet we have all suffered from some bad naming choices from time to time. So just to vent a little, what are some doozies that you may have run across? Just to get things started: One of our original developers wasn't sure what to call a secondary key - on what turned out to be a primary table for this app - so he called it: DL2WhateverTheHellThatIs. Unfortunately this system generates entity mappings from the XML, and attributes defined there result in classes, methods, and constants that are referenced through-out the app. To this day it is very hard to find a source file that does not reference this, er, thing! A few actual examples: DL2WhateverTheHellThatIsBean cos = (DL2WhateverTheHellThatIsBean)itr.next(); String code = getDL2WhateverTheHellThatIs().getCode(); From from = new From("DL2WhateverTheHellThatIs"); String filter = "_dL2WhateverTheHellThatIs._code"; (Very difficult to refactor)

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  • Of transactions and Mongo

    - by Nuri Halperin
    Originally posted on: http://geekswithblogs.net/nuri/archive/2014/05/20/of-transactions-and-mongo-again.aspxWhat's the first thing you hear about NoSQL databases? That they lose your data? That there's no transactions? No joins? No hope for "real" applications? Well, you *should* be wondering whether a certain of database is the right one for your job. But if you do so, you should be wondering that about "traditional" databases as well! In the spirit of exploration let's take a look at a common challenge: You are a bank. You have customers with accounts. Customer A wants to pay B. You want to allow that only if A can cover the amount being transferred. Let's looks at the problem without any context of any database engine in mind. What would you do? How would you ensure that the amount transfer is done "properly"? Would you prevent a "transaction" from taking place unless A can cover the amount? There are several options: Prevent any change to A's account while the transfer is taking place. That boils down to locking. Apply the change, and allow A's balance to go below zero. Charge person A some interest on the negative balance. Not friendly, but certainly a choice. Don't do either. Options 1 and 2 are difficult to attain in the NoSQL world. Mongo won't save you headaches here either. Option 3 looks a bit harsh. But here's where this can go: ledger. See, and account doesn't need to be represented by a single row in a table of all accounts with only the current balance on it. More often than not, accounting systems use ledgers. And entries in ledgers - as it turns out – don't actually get updated. Once a ledger entry is written, it is not removed or altered. A transaction is represented by an entry in the ledger stating and amount withdrawn from A's account and an entry in the ledger stating an addition of said amount to B's account. For sake of space-saving, that entry in the ledger can happen using one entry. Think {Timestamp, FromAccountId, ToAccountId, Amount}. The implication of the original question – "how do you enforce non-negative balance rule" then boils down to: Insert entry in ledger Run validation of recent entries Insert reverse entry to roll back transaction if validation failed. What is validation? Sum up the transactions that A's account has (all deposits and debits), and ensure the balance is positive. For sake of efficiency, one can roll up transactions and "close the book" on transactions with a pseudo entry stating balance as of midnight or something. This lets you avoid doing math on the fly on too many transactions. You simply run from the latest "approved balance" marker to date. But that's an optimization, and premature optimizations are the root of (some? most?) evil.. Back to some nagging questions though: "But mongo is only eventually consistent!" Well, yes, kind of. It's not actually true that Mongo has not transactions. It would be more descriptive to say that Mongo's transaction scope is a single document in a single collection. A write to a Mongo document happens completely or not at all. So although it is true that you can't update more than one documents "at the same time" under a "transaction" umbrella as an atomic update, it is NOT true that there' is no isolation. So a competition between two concurrent updates is completely coherent and the writes will be serialized. They will not scribble on the same document at the same time. In our case - in choosing a ledger approach - we're not even trying to "update" a document, we're simply adding a document to a collection. So there goes the "no transaction" issue. Now let's turn our attention to consistency. What you should know about mongo is that at any given moment, only on member of a replica set is writable. This means that the writable instance in a set of replicated instances always has "the truth". There could be a replication lag such that a reader going to one of the replicas still sees "old" state of a collection or document. But in our ledger case, things fall nicely into place: Run your validation against the writable instance. It is guaranteed to have a ledger either with (after) or without (before) the ledger entry got written. No funky states. Again, the ledger writing *adds* a document, so there's no inconsistent document state to be had either way. Next, we might worry about data loss. Here, mongo offers several write-concerns. Write-concern in Mongo is a mode that marshals how uptight you want the db engine to be about actually persisting a document write to disk before it reports to the application that it is "done". The most volatile, is to say you don't care. In that case, mongo would just accept your write command and say back "thanks" with no guarantee of persistence. If the server loses power at the wrong moment, it may have said "ok" but actually no written the data to disk. That's kind of bad. Don't do that with data you care about. It may be good for votes on a pole regarding how cute a furry animal is, but not so good for business. There are several other write-concerns varying from flushing the write to the disk of the writable instance, flushing to disk on several members of the replica set, a majority of the replica set or all of the members of a replica set. The former choice is the quickest, as no network coordination is required besides the main writable instance. The others impose extra network and time cost. Depending on your tolerance for latency and read-lag, you will face a choice of what works for you. It's really important to understand that no data loss occurs once a document is flushed to an instance. The record is on disk at that point. From that point on, backup strategies and disaster recovery are your worry, not loss of power to the writable machine. This scenario is not different from a relational database at that point. Where does this leave us? Oh, yes. Eventual consistency. By now, we ensured that the "source of truth" instance has the correct data, persisted and coherent. But because of lag, the app may have gone to the writable instance, performed the update and then gone to a replica and looked at the ledger there before the transaction replicated. Here are 2 options to deal with this. Similar to write concerns, mongo support read preferences. An app may choose to read only from the writable instance. This is not an awesome choice to make for every ready, because it just burdens the one instance, and doesn't make use of the other read-only servers. But this choice can be made on a query by query basis. So for the app that our person A is using, we can have person A issue the transfer command to B, and then if that same app is going to immediately as "are we there yet?" we'll query that same writable instance. But B and anyone else in the world can just chill and read from the read-only instance. They have no basis to expect that the ledger has just been written to. So as far as they know, the transaction hasn't happened until they see it appear later. We can further relax the demand by creating application UI that reacts to a write command with "thank you, we will post it shortly" instead of "thank you, we just did everything and here's the new balance". This is a very powerful thing. UI design for highly scalable systems can't insist that the all databases be locked just to paint an "all done" on screen. People understand. They were trained by many online businesses already that your placing of an order does not mean that your product is already outside your door waiting (yes, I know, large retailers are working on it... but were' not there yet). The second thing we can do, is add some artificial delay to a transaction's visibility on the ledger. The way that works is simply adding some logic such that the query against the ledger never nets a transaction for customers newer than say 15 minutes and who's validation flag is not set. This buys us time 2 ways: Replication can catch up to all instances by then, and validation rules can run and determine if this transaction should be "negated" with a compensating transaction. In case we do need to "roll back" the transaction, the backend system can place the timestamp of the compensating transaction at the exact same time or 1ms after the original one. Effectively, once A or B visits their ledger, both transactions would be visible and the overall balance "as of now" would reflect no change.  The 2 transactions (attempted/ reverted) would be visible , since we do actually account for the attempt. Hold on a second. There's a hole in the story: what if several transfers from A to some accounts are registered, and 2 independent validators attempt to compute the balance concurrently? Is there a chance that both would conclude non-sufficient-funds even though rolling back transaction 100 would free up enough for transaction 117 (some random later transaction)? Yes. there is that chance. But the integrity of the business rule is not compromised, since the prime rule is don't dispense money you don't have. To minimize or eliminate this scenario, we can also assign a single validation process per origin account. This may seem non-scalable, but it can easily be done as a "sharded" distribution. Say we have 11 validation threads (or processing nodes etc.). We divide the account number space such that each validator is exclusively responsible for a certain range of account numbers. Sounds cunningly similar to Mongo's sharding strategy, doesn't it? Each validator then works in isolation. More capacity needed? Chop the account space into more chunks. So where  are we now with the nagging questions? "No joins": Huh? What are those for? "No transactions": You mean no cross-collection and no cross-document transactions? Granted - but don't always need them either. "No hope for real applications": well... There are more issues and edge cases to slog through, I'm sure. But hopefully this gives you some ideas of how to solve common problems without distributed locking and relational databases. But then again, you can choose relational databases if they suit your problem.

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  • How to keep plug-in manifest version and pom version in sync in Maven with Tycho

    - by abhin4v
    I am using Maven with Tycho to build an eclipse plugin. Tycho generates the pom.xml file for Maven by inspecting the manifest file of the plugin. Now both the manifest file and the pom file have the version of the plugin and they need to be kept in sync manually. This is because I have done some customization in the generated pom file and cannot overwrite it every time I change the version in the manifest. My question here is, is there a way to keep these versions in sync automatically using Tycho?

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  • How to connect to the database in Magento?

    - by Click Upvote
    I'm trying to build a simple Magento Module that needs to connect to the database at the start of each page request. All tables need to be accessible to it. I've been pulling my hair out trying to understand how to do it. The best I could figure out was that I need to set this in the config.xml file of my module, but exactly what that command is/how it may be used, i haven't been able to figure out. Can someone please guide me or show me how to accomplish this? If not, would it be too bad a practice to include a custom config.php file which connects to the database manually?

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  • SA_OAuthTwitterEngine and MGTwitterEngine retweet doesn't works

    - by NemeSys
    I'm developing an iOS app with Twitter features. To do that I'm using SA_OAuthTwitterEngine and MGTwitterEngine wrappers. I've followed this post. I'm trying to retweet a tweet from the followed user timeline. This is what I send/receive: 2012-04-12 18:34:00.291 Project[13605:207] INFO -> Twitter URL: https://api.twitter.com/1/statuses/retweet/190459190869753856.xml 2012-04-12 18:34:00.292 Project[13605:207] INFO -> retweet response: 0AFF2EF9-6BCC-4B1E-B65A-02BD24A38C18 Here I pass to the API the id field of the selected tweet which I want to retweet. But after execute the method, the retweeted doesn't appears in the user timeline, where I'm getting the user tweets and tweets retweeted by user. What I'm loosing here? According with this the request to the Twitter API is ok. And I've checked the app permissions setted in twitter and have all: read/write and direct messages. Thanks.

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  • How do I sync Dreamweaver site definitions across 2 computers?

    - by baritoneuk
    I use Dreamweaver on my laptop and Desktop PC and frequently change between them. I keep all my sites synced using Syncplicity (similar to Dropbox, which indecently I also use) I want my site definitions to be synced across the two computers. If I add a new site on one computer I want it to appear on the other one. I know I can export all sites on one computer and then get Syncplicity to sync the files to the other computer at which point I can import them. However this relies on me remembering to do this each time I add a new site, and it's also quite time consuming. As far as I can tell, Dreamweaver (at least upto CS4- not sure about CS5) stupidly stores the site definitions in the registry. I really don't know why they do this- if they stored it in xml files then I could easily sync the information. Does anyone know if what I am asking is possible?

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  • Serving static content with Struts2: Tomcat error 404

    - by Nicolas Raoul
    With Struts2 I can't find a way to serve a static CSS :-/ Newbie question but I could not find any answer on the Internet: The CSS file is static/styles.css in my WAR file. Tomcat replies with 404 when I request http://server/myapp/static/styles.css But it works if I put styles.css at the root of the WAR and request http://server/myapp/styles.css I tried adding the following to my struts.xml in the only package but still 404: <action name="/static/*"> <result>/static/{1}</result> </action> Or as a second package: <package name="static" extends="struts-default" namespace="/static"> <action name="/static/*"> <result>/static/{1}</result> </action> </package>

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  • Searching a table MySQL & PHP.

    - by S1syphus
    I want to be able to search through a MySQL table using values from a search string, from the url and display the results as an XML output. I think I have got the formatting and declaring the variables from the search string down. The issue I have is searching the entire table, I've looked over SO for previous answers, and they all seem to have to declare each column in the table to search through. So for example my database layout is as follows: **filesindex** -filename -creation -length -wall -playlocation First of all would the following be appropriate: $query = "SELECT * FROM filesindex WHERE filename LIKE '".$searchterm."%' UNION SELECT * FROM filesindex WHERE creation LIKE '".$searchterm."%' UNION SELECT * FROM filesindex WHERE length LIKE '".$searchterm."%' UNION SELECT * FROM filesindex WHERE wall LIKE '".$searchterm."%' UNION SELECT * FROM filesindex WHERE location LIKE '".$searchterm."%'"; Or ideally, is there an easier way that involves less hardcoding to search a table. Any ideas? Thanks

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  • Transaction issue in java with hibernate - latest entries not pulled from database

    - by Gearóid
    Hi, I'm having what seems to be a transactional issue in my application. I'm using Java 1.6 and Hibernate 3.2.5. My application runs a monthly process where it creates billing entries for a every user in the database based on their monthly activity. These billing entries are then used to create Monthly Bill object. The process is: Get users who have activity in the past month Create the relevant billing entries for each user Get the set of billing entries that we've just created Create a Monthly Bill based on these entries Everything works fine until Step 3 above. The Billing Entries are correctly created (I can see them in the database if I add a breakpoint after the Billing Entry creation method), but they are not pulled out of the database. As a result, an incorrect Monthly Bill is generated. If I run the code again (without clearing out the database), new Billing Entries are created and Step 3 pulls out the entries created in the first run (but not the second run). This, to me, is very confusing. My code looks like the following: for (User user : usersWithActivities) { createBillingEntriesForUser(user.getId()); userBillingEntries = getLastMonthsBillingEntriesForUser(user.getId()); createXMLBillForUser(user.getId(), userBillingEntries); } The methods called look like the following: @Transactional public void createBillingEntriesForUser(Long id) { UserManager userManager = ManagerFactory.getUserManager(); User user = userManager.getUser(id); List<AccountEvent> events = getLastMonthsAccountEventsForUser(id); BillingEntry entry = new BillingEntry(); if (null != events) { for (AccountEvent event : events) { if (event.getEventType().equals(EventType.ENABLE)) { Calendar cal = Calendar.getInstance(); Date eventDate = event.getTimestamp(); cal.setTime(eventDate); double startDate = cal.get(Calendar.DATE); double numOfDaysInMonth = cal.getActualMaximum(Calendar.DAY_OF_MONTH); double numberOfDaysInUse = numOfDaysInMonth - startDate; double fractionToCharge = numberOfDaysInUse/numOfDaysInMonth; BigDecimal amount = BigDecimal.valueOf(fractionToCharge * Prices.MONTHLY_COST); amount.scale(); entry.setAmount(amount); entry.setUser(user); entry.setTimestamp(eventDate); userManager.saveOrUpdate(entry); } } } } @Transactional public Collection<BillingEntry> getLastMonthsBillingEntriesForUser(Long id) { if (log.isDebugEnabled()) log.debug("Getting all the billing entries for last month for user with ID " + id); //String queryString = "select billingEntry from BillingEntry as billingEntry where billingEntry>=:firstOfLastMonth and billingEntry.timestamp<:firstOfCurrentMonth and billingEntry.user=:user"; String queryString = "select be from BillingEntry as be join be.user as user where user.id=:id and be.timestamp>=:firstOfLastMonth and be.timestamp<:firstOfCurrentMonth"; //This parameter will be the start of the last month ie. start of billing cycle SearchParameter firstOfLastMonth = new SearchParameter(); firstOfLastMonth.setTemporalType(TemporalType.DATE); //this parameter holds the start of the CURRENT month - ie. end of billing cycle SearchParameter firstOfCurrentMonth = new SearchParameter(); firstOfCurrentMonth.setTemporalType(TemporalType.DATE); Query query = super.entityManager.createQuery(queryString); query.setParameter("firstOfCurrentMonth", getFirstOfCurrentMonth()); query.setParameter("firstOfLastMonth", getFirstOfLastMonth()); query.setParameter("id", id); List<BillingEntry> entries = query.getResultList(); return entries; } public MonthlyBill createXMLBillForUser(Long id, Collection<BillingEntry> billingEntries) { BillingHistoryManager manager = ManagerFactory.getBillingHistoryManager(); UserManager userManager = ManagerFactory.getUserManager(); MonthlyBill mb = new MonthlyBill(); User user = userManager.getUser(id); mb.setUser(user); mb.setTimestamp(new Date()); Set<BillingEntry> entries = new HashSet<BillingEntry>(); entries.addAll(billingEntries); String xml = createXmlForMonthlyBill(user, entries); mb.setXmlBill(xml); mb.setBillingEntries(entries); MonthlyBill bill = (MonthlyBill) manager.saveOrUpdate(mb); return bill; } Help with this issue would be greatly appreciated as its been wracking my brain for weeks now! Thanks in advance, Gearoid.

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