Search Results

Search found 12439 results on 498 pages for 'bad practice'.

Page 6/498 | < Previous Page | 2 3 4 5 6 7 8 9 10 11 12 13  | Next Page >

  • Good practice or service for monitoring unhandled application errors for a small organization

    - by palto
    I'm working with multiple software with varying ways of monitoring for errors. When I make software, I usually send email with the stack trace to admins(usually me). Some customer software is monitored by a team who check that a particular batch run was successfull. Other software might not have any monitoring at all(someone will call when things go wrong horribly). Sending emails is good, except when things start going wrong, my mail gets filled fast. Also I don't want to solve the same problem in code for every software. Is there some relatively cheap and low maintenance software or practice to handle this. I want it to be cheap/low maintenance because usually I work alone or in teams of 5 or smaller. For example it would be great if errors would be aggregated so I don't get 10 000 emails when something unexpected happens... For clarification: By unhandled errors I mean Exceptions that were unhandled by application code that were propagated to Tomcat or Jboss. I don't need help with how to catch those errors. I need help with what to do with them. Is there any cloud application that I could send my errors to? Or some simple server to install? Or some library that can handle errors using configuration files. I use Java if that is any help.

    Read the article

  • SOA Composite Sensors : Good Practice

    - by angelo.santagata
    I was discussing a interesting design problem with a colleague of mine Niall (his blog) on the topic of how to cancel an inflight SOA Composite process.  Obviously one way to do this is to cancel the process from enterprise Manager ( http://hostort/em ) , however we were thinking this isnt a “user friendly” way of doing this.. If you look at Nialls blog you’ll see he’s highlighted a number of different APIs which enable you the ability to manipulate the SCA instance, e.g. Code Snippet to purge (delete) an instance How to determine the instanceId from a composite_sensor_value using the “composite_sensor_value” table How to determine a BPEL Process status using the cube_instance table   Now all of these require that you know the instanceId of your SOA Composite, how does one find this out? Well the easiest way of doing this is to create a composite sensor on the SCA component. A composite sensor is simply a way of publishing a piece of business data as part of your composite. The magic here is that you can later query composites based on this value. So a good best practice is that for any composites you create consider publishing a composite sensor value using a primary key of some sort , e.g. orderId, that way if you need to manipulate/query composites you can easily look up the instanceId using the sensorid.   For information on how to create a composite Sensor id see this documentation link  

    Read the article

  • Is a "model" branch a common practice?

    - by dukeofgaming
    I just thought it could be a good thing to have a dedicated version control branch for all database schema changes and I wanted to know if anyone else is doing the same and what have the results been. Say that you are working with: Schema model/documentation (some file where you model the database visually to generate the schema source, say MySQL Workbench, with a .mwb file, which is binary) Schema source (a .sql file) Schema-based code generation The normal way we were working was with feature branches, so we would do changes to the model files (the database specific ones), and then have to regenerate points 2 and 3, dealing with the possible conflicts (or even code rewriting). Now say that your workflow goes the same way as the previous item numbering. With a model branch you wouldn't have to reconcile the schema model with binaries in other feature branches, or have to regenerate schema source and regenerate code (which might have human code on top of it). It makes so much sense to me it feels weird not having seen this earlier as a common practice. Edit: I'm counting on branch merges to be the assertions for the model matching the code. I use a DVCS, so I don't fear long-lived branches or scary-looking merges. I'm also doing feature branching.

    Read the article

  • Is this bad practice?

    - by gekod
    I just wanted to ask for your opinion on a situation that occurs sometimes and which I don't know what would be the most elegant way to solve it. Here it goes: We have module A which reads an entry from a database and sends a request to module B containing ONLY the information from the entry module B would need to accomplish it's job (to keep modularity I just give it the information it needs - module B has nothing to do with the rest of the information from the read DB entry). Now after finishing it's job, module B has to reply to a module C if it succeeded or failed. To do this module B replies with the information it has gotten from module A and some variable meaning success or fail. Now here comes the problem: module C needs to find that entry again BUT the information it has gotten from module B is not enough to uniquely find the exact same entry again. I don't think that module A giving more information to module B which it doesn't need to do it's job but which it could then give back to module C would be a good practice because this would mean giving some module information it doesn't really need. What do you think?

    Read the article

  • Best practice for storing information from a php script for future use

    - by tRudgeF3llow
    My employer uses forms to help people search for products. The product lists can change from time to time and the forms need to be updated again. The product information can be accessed through a third party API which I started tinkering with, I've recently built a script that retrieves the information with PHP and creates and populates a form dynamically with Javascript. So far so good, but... There are limitations to the API, mainly it can only be accessed a certain number of times per hour, it is probably more than my form/script would use but I want to create a script that is minimally intrusive. My main question is... What is the best practice for accessing the information once and storing it long enough to let the API reset? I was wondering about creating a cookie but there is the possibility of users that have them disabled. (Also, I am doing this as a personal project but I like the people I work for and I think this would help them out.) Thanks in advance.

    Read the article

  • Understanding 400 Bad Request Exception

    - by imran_ku07
        Introduction:          Why I am getting this exception? What is the cause of this error. Developers are always curious to know the root cause of an exception, even though they found the solution from elsewhere. So what is the reason of this exception (400 Bad Request).The answer is security. Security is an important feature for any application. ASP.NET try to his best to give you more secure application environment as possible. One important security feature is related to URLs. Because there are various ways a hacker can try to access server resource. Therefore it is important to make your application as secure as possible. Fortunately, ASP.NET provides this security by throwing an exception of Bad Request whenever he feels. In this Article I am try to present when ASP.NET feels to throw this exception. You will also see some new ASP.NET 4 features which gives developers some control on this situation.   Description:   http.sys Restrictions:           It is interesting to note that after deploying your application on windows server that runs IIS 6 or higher, the first receptionist of HTTP request is the kernel mode HTTP driver: http.sys. Therefore for completing your request successfully you need to present your validity to http.sys and must pass the http.sys restriction.           Every http request URL must not contain any character from ASCII range of 0x00 to 0x1F, because they are not printable. These characters are invalid because these are invalid URL characters as defined in RFC 2396 of the IETF. But a question may arise that how it is possible to send unprintable character. The answer is that when you send your request from your application in binary format.           Another restriction is on the size of the request. A request containg protocal, server name, headers, query string information and individual headers sent along with the request must not exceed 16KB. Also individual header should not exceed 16KB.           Any individual path segment (the portion of the URL that does not include protocol, server name, and query string, for example, http://a/b/c?d=e,  here the b and c are individual path) must not contain more than 260 characters. Also http.sys disallows URLs that have more than 255 path segments.           If any of the above rules are not follow then you will get 400 Bad Request Exception. The reason for this restriction is due to hack attacks against web servers involve encoding the URL with different character representations.           You can change the default behavior enforced by http.sys using some Registry switches present at HKEY_LOCAL_MACHINE\System\CurrentControlSet\Services\HTTP\Parameters    ASP.NET Restrictions:           After passing the restrictions enforced by the kernel mode http.sys then the request is handed off to IIS and then to ASP.NET engine and then again request has to pass some restriction from ASP.NET in order to complete it successfully.           ASP.NET only allows URL path lengths to 260 characters(only paths, for example http://a/b/c/d, here path is from a to d). This means that if you have long paths containing 261 characters then you will get the Bad Request exception. This is due to NTFS file-path limit.           Another restriction is that which characters can be used in URL path portion.You can use any characters except some characters because they are called invalid characters in path. Here are some of these invalid character in the path portion of a URL, <,>,*,%,&,:,\,?. For confirming this just right click on your Solution Explorer and Add New Folder and name this File to any of the above character, you will get the message. Files or folders cannot be empty strings nor they contain only '.' or have any of the following characters.....            For checking the above situation i have created a Web Application and put Default.aspx inside A%A folder (created from windows explorer), then navigate to, http://localhost:1234/A%25A/Default.aspx, what i get response from server is the Bad Request exception. The reason is that %25 is the % character which is invalid URL path character in ASP.NET. However you can use these characters in query string.           The reason for these restrictions are due to security, for example with the help of % you can double encode the URL path portion and : is used to get some specific resource from server.   New ASP.NET 4 Features:           It is worth to discuss the new ASP.NET 4 features that provides some control in the hand of developer. Previously we are restricted to 260 characters path length and restricted to not use some of characters, means these characters cannot become the part of the URL path segment.           You can configure maxRequestPathLength and maxQueryStringLength to allow longer or shorter paths and query strings. You can also customize set of invalid character using requestPathInvalidChars, under httpruntime element. This may be the good news for someone who needs to use some above character in their application which was invalid in previous versions. You can find further detail about new ASP.NET features about URL at here           Note that the above new ASP.NET settings will not effect http.sys. This means that you have pass the restriction of http.sys before ASP.NET ever come in to the action. Note also that previous restriction of http.sys is applied on individual path and maxRequestPathLength is applied on the complete path (the portion of the URL that does not include protocol, server name, and query string). For example, if URL is http://a/b/c/d?e=f, then maxRequestPathLength will takes, a/b/c/d, into account while http.sys will take a, b, c individually.   Summary:           Hopefully this will helps you to know how some of initial security features comes in to play, but i also recommend that you should read (at least first chapter called Initial Phases of a Web Request of) Professional ASP.NET 2.0 Security, Membership, and Role Management by Stefan Schackow. This is really a nice book.

    Read the article

  • Is it good practice to name variables differently when defining more than one function?

    - by John
    For example, in this simple function where fun1 takes as input two numbers, adds them together and passes them to function 2 for printing the output. var1_in is local to each function, so is it OK to use the name var1_in in both functions, or is it better practice to call them different things? fun1 <- function (var1_in, var2_in) { var3 = var1_in + var2_in fun2(var3) } fun2 <- function (var1_in) { var4 = var1_in print(var4) }

    Read the article

  • Is `break` and `continue` bad programming practice?

    - by Mikhail
    My boss keeps mentioning nonchalantly that bad programmers use break and continue in loops. I use them all the time because they make sense; let me show you the inspiration: function verify(object) { if (object->value < 0) return false; if (object->value > object->max_value) return false; if (object->name == "") return false; ... } The point here is that first the function checks that the conditions are correct, then executes the actual functionality. IMO same applies with loops: while (primary_condition) { if (loop_count > 1000) break; if (time_exect > 3600) break; if (this->data == "undefined") continue; if (this->skip == true) continue; ... } I think this makes it easier to read & debug; but I also don't see a downside. Please comment.

    Read the article

  • HRC BEST PRACTICE TOUR: la tappa di Roma del 28/05

    - by Claudia Caramelli-Oracle
    Guest post by Paola Provvisier, Master Principal Sales Consultant - Oracle 12.00 Normal 0 14 false false false IT X-NONE X-NONE MicrosoftInternetExplorer4 /* Style Definitions */ table.MsoNormalTable {mso-style-name:"Table Normal"; mso-tstyle-rowband-size:0; mso-tstyle-colband-size:0; mso-style-noshow:yes; mso-style-priority:99; mso-style-qformat:yes; mso-style-parent:""; mso-padding-alt:0cm 5.4pt 0cm 5.4pt; mso-para-margin:0cm; mso-para-margin-bottom:.0001pt; mso-pagination:widow-orphan; font-family:"Calibri","sans-serif"; mso-ascii- mso-ascii-theme-font:minor-latin; mso-fareast-font-family:"Times New Roman"; mso-fareast-theme-font:minor-fareast; mso-hansi- mso-hansi-theme-font:minor-latin; mso-bidi-font-family:"Times New Roman"; mso-bidi-theme-font:minor-bidi;} Presso la Banca del Mezzogiorno - Mediocredito Centrale, il 28 maggio scorso, si è svolto l’incontro dal titolo Compensation & Benefit – Welfare Aziendale, organizzato da HRComunity Academy nell’ambito della sua iniziativa HRC BEST PRACTICE TOUR e sponsorizzato da Oracle. La giornata ha visto protagonisti alcune grandi realtà bancarie e industriali con la partecipazione di circa 30 specialisti dell’area HR - Compensation & Benefit. Gli interventi che si sono succeduti nell’ambito della giornata hanno avuto come tema la condivisione delle best-pratice e delle iniziative in corso tra le aziende intervenute, con particolare riguardo alle proposte in merito al tema ‘Flexible Benefit’. Oracle, quale sponsor della giornata, ha introdotto con una Technical Overview gli attuali scenari del mercato del lavoro e le evoluzioni tecnologiche sulla piattaforma Oracle HCM Cloud, con particolare riguardo alle innovazioni a supporto dei temi della Compensation. La giornata, che ha suscitato apprezzamento e vivace interesse da parte di tutti i partecipanti con una proficua e partecipata sessione di domande e risposte a seguito dei vari interventi, si è conclusa con un piacevole buffet. Altre foto dell'evento sono presenti sulla Pagina Facebook di HRC.

    Read the article

  • Oracle Tutor: Top 10 to Implement Sustainable Policies and Procedures

    - by emily.chorba(at)oracle.com
    Overview Your organization (executives, managers, and employees) understands the value of having written business process documents (process maps, procedures, instructions, reference documents, and form abstracts). Policies and procedures should be documented because they help to reduce the range of individual decisions and encourage management by exception: the manager only needs to give special attention to unusual problems, not covered by a specific policy or procedure. As more and more procedures are written to cover recurring situations, managers will begin to make decisions which will be consistent from one functional area to the next.Companies should take a project management approach when implementing an environment for a sustainable documentation program and do the following:1. Identify an Executive Champion2. Put together a winning team3. Assign ownership4. Centralize publishing5. Establish the Document Maintenance Process Up Front6. Document critical activities only7. Document actual practice8. Minimize documentation9. Support continuous improvement10. Keep it simple 1. Identify an Executive ChampionAppoint a top down driver. Select one key individual to be a mentor for the procedure planning team. The individual should be a senior manager, such as your company president, CIO, CFO, the vice-president of quality, manufacturing, or engineering. Written policies and procedures can be important supportive aids when known to express the thinking for the chief executive officer and / or the president and to have his or her full support. 2. Put Together a Winning TeamChoose a strong Project Management Leader and staff the procedure planning team with management members from cross functional groups. Make sure team members have the responsibility - and the authority - to make things happen.The winning team should consist of the Documentation Project Manager, Document Owners (one for each functional area), a Document Controller, and Document Specialists (as needed). The Tutor Implementation Guide has complete job descriptions for these roles. 3. Assign Ownership It is virtually impossible to keep process documentation simple and meaningful if employees who are far removed from the activity itself create it. It is impossible to keep documentation up-to-date when responsibility for the document is not clearly understood.Key to the Tutor methodology, therefore, is the concept of ownership. Each document has a single owner, who is responsible for ensuring that the document is necessary and that it reflects actual practice. The owner must be a person who is knowledgeable about the activity and who has the authority to build consensus among the persons who participate in the activity as well as the authority to define or change the way an activity is performed. The owner must be an advocate of the performers and negotiate, not dictate practices.In the Tutor environment, a document's owner is the only person with the authority to approve an update to that document. 4. Centralize Publishing Although it is tempting (especially in a networked environment and with document management software solutions) to decentralize the control of all documents -- with each owner updating and distributing his own -- Tutor promotes centralized publishing by assigning the Document Administrator (gate keeper) to manage the updates and distribution of the procedures library. 5. Establish a Document Maintenance Process Up Front (and stick to it) Everyone in your organization should know they are invited to suggest changes to procedures and should understand exactly what steps to take to do so. Tutor provides a set of procedures to help your company set up a healthy document control system. There are many document management products available to automate some of the document change and maintenance steps. Depending on the size of your organization, a simple document management system can reduce the effort it takes to track and distribute document changes and updates. Whether your company decides to store the written policies and procedures on a file server or in a database, the essential tasks for maintaining documents are the same, though some tasks are automated. 6. Document Critical Activities Only The best way to keep your documentation simple is to reduce the number of process documents to a bare minimum and to include in those documents only as much detail as is absolutely necessary. The first step to reducing process documentation is to document only those activities that are deemed critical. Not all activities require documentation. In fact, some critical activities cannot and should not be standardized. Others may be sufficiently documented with an instruction or a checklist and may not require a procedure. A document should only be created when it enhances the performance of the employee performing the activity. If it does not help the employee, then there is no reason to maintain the document. Activities that represent little risk (such as project status), activities that cannot be defined in terms of specific tasks (such as product research), and activities that can be performed in a variety of ways (such as advertising) often do not require documentation. Sometimes, an activity will evolve to the point where documentation is necessary. For example, an activity performed by single employee may be straightforward and uncomplicated -- that is, until the activity is performed by multiple employees. Sometimes, it is the interaction between co-workers that necessitates documentation; sometimes, it is the complexity or the diversity of the activity.7. Document Actual Practices The only reason to maintain process documentation is to enhance the performance of the employee performing the activity. And documentation can only enhance performance if it reflects reality -- that is, current best practice. Documentation that reflects an unattainable ideal or outdated practices will end up on the shelf, unused and forgotten.Documenting actual practice means (1) auditing the activity to understand how the work is really performed, (2) identifying best practices with employees who are involved in the activity, (3) building consensus so that everyone agrees on a common method, and (4) recording that consensus.8. Minimize Documentation One way to keep it simple is to document at the highest level possible. That is, include in your documents only as much detail as is absolutely necessary.When writing a document, you should ask yourself, What is the purpose of this document? That is, what problem will it solve?By focusing on this question, you can target the critical information.• What questions are the end users likely to have?• What level of detail is required?• Is any of this information extraneous to the document's purpose? Short, concise documents are user friendly and they are easier to keep up to date. 9. Support Continuous Improvement Employees who perform an activity are often in the best position to identify improvements to the process. In other words, continuous improvement is a natural byproduct of the work itself -- but only if the improvements are communicated to all employees who are involved in the process, and only if there is consensus among those employees.Traditionally, process documentation has been used to dictate performance, to limit employees' actions. In the Tutor environment, process documents are used to communicate improvements identified by employees. How does this work? The Tutor methodology requires a process document to reflect actual practice, so the owner of a document must routinely audit its content -- does the document match what the employees are doing? If it doesn't, the owner has the responsibility to evaluate the process, to build consensus among the employees, to identify "best practices," and to communicate these improvements via a document update. Continuous improvement can also be an outgrowth of corrective action -- but only if the solutions to problems are communicated effectively. The goal should be to solve a problem once and only once, which means not only identifying the solution, but ensuring that the solution becomes part of the process. The Tutor system provides the method through which improvements and solutions are documented and communicated to all affected employees in a cost-effective, timely manner; it ensures that improvements are not lost or confined to a single employee. 10. Keep it Simple Process documents don't have to be complex and unfriendly. In fact, the simpler the format and organization, the more likely the documents will be used. And the simpler the method of maintenance, the more likely the documents will be kept up-to-date. Keep it simply by:• Minimizing skills and training required• Following the established Tutor document format and layout• Avoiding technology just for technology's sake No other rule has as major an impact on the success of your internal documentation as -- keep it simple. Learn More For more information about Tutor, visit Oracle.Com or the Tutor Blog. Post your questions at the Tutor Forum.   Emily Chorba Principle Product Manager Oracle Tutor & BPM 

    Read the article

  • SharpDX: best practice for multiple RenderForms?

    - by Rob Jellinghaus
    I have an XNA app, but I really need to add multiple render windows, which XNA doesn't do. I'm looking at SharpDX (both for multi-window support and for DX11 / Metro / many other reasons). I decided to hack up the SharpDX DX11 MultiCubeTexture sample to see if I could make it work. My changes are pretty trivial. The original sample had: [STAThread] private static void Main() { var form = new RenderForm("SharpDX - MiniCubeTexture Direct3D11 Sample"); ... I changed this to: struct RenderFormWithActions { internal readonly RenderForm Form; // should just be Action but it's not in System namespace?! internal readonly Action RenderAction; internal readonly Action DisposeAction; internal RenderFormWithActions(RenderForm form, Action renderAction, Action disposeAction) { Form = form; RenderAction = renderAction; DisposeAction = disposeAction; } } [STAThread] private static void Main() { // hackity hack new Thread(new ThreadStart(() = { RenderFormWithActions form1 = CreateRenderForm(); RenderLoop.Run(form1.Form, () = form1.RenderAction(0)); form1.DisposeAction(0); })).Start(); new Thread(new ThreadStart(() = { RenderFormWithActions form2 = CreateRenderForm(); RenderLoop.Run(form2.Form, () = form2.RenderAction(0)); form2.DisposeAction(0); })).Start(); } private static RenderFormWithActions CreateRenderForm() { var form = new RenderForm("SharpDX - MiniCubeTexture Direct3D11 Sample"); ... Basically, I split out all the Main() code into a separate method which creates a RenderForm and two delegates (a render delegate, and a dispose delegate), and bundles them all together into a struct. I call this method twice, each time from a separate, new thread. Then I just have one RenderLoop on each new thread. I was thinking this wouldn't work because of the [STAThread] declaration -- I thought I would need to create the RenderForm on the main (STA) thread, and run only a single RenderLoop on that thread. Fortunately, it seems I was wrong. This works quite well -- if you drag one of the forms around, it stops rendering while being dragged, but starts again when you drop it; and the other form keeps chugging away. My questions are pretty basic: Is this a reasonable approach, or is there some lurking threading issue that might make trouble? My code simply duplicates all the setup code -- it makes a duplicate SwapChain, Device, Texture2D, vertex buffer, everything. I don't have a problem with this level of duplication -- my app is not intensive enough to suffer resource issues -- but nonetheless, is there a better practice? Is there any good reference for which DirectX structures can safely be shared, and which can't? It appears that RenderLoop.Run calls the render delegate in a tight loop. Is there any standard way to limit the frame rate of RenderLoop.Run, if you don't want a 400FPS app eating 100% of your CPU? Should I just Thread.Sleep(30) in the render delegate? (I asked on the sharpdx.org forums as well, but Alexandre is on vacation for two weeks, and my sister wants me to do a performance with my app at her wedding in three and a half weeks, so I'm mighty incented here! http://robjsoftware.org for details of what I'm building....)

    Read the article

  • How to fix: Handler “PageHandlerFactory-Integrated” has a bad module “ManagedPipelineHandler” in its module list

    - by ybbest
    Issue: Recently, I am having issues with deploying asp.net mvc 4 application to Windows Server 2008 R2.After add the necessary role and features and I setup an application in IIS. However , I received the following error message: PageHandlerFactory-Integrated” has a bad module “ManagedPipelineHandler” in its module list   Solution: It turns out that this is because ASP.Net was not completely installed with IIS even though I checked that box in the “Add Feature” dialog.   To fix this, I simply ran the following command at the command prompt %windir%\Microsoft.NET\Framework64\v4.0.30319\aspnet_regiis.exe -i If I had been on a 32 bit system, it would have looked like the following: %windir%\Microsoft.NET\Framework\v4.0.21006\aspnet_regiis.exe –i   References: http://stackoverflow.com/questions/6846544/how-to-fix-handler-pagehandlerfactory-integrated-has-a-bad-module-managedpip

    Read the article

  • Worst practices in C++, common mistakes ...

    - by Felix Dombek
    After reading this famous rant by Linus Torvalds, I wondered what actually are all the bad things programmers might do in C++. I'm explicitly not referring to typography errors or bad program flow as treated in this question and answers, but to more high-level errors which are not detected by the compiler and do not result in obvious bugs at first run, complete design errors, things which are improbable in C but are likely to be done by newcomers who don't understand the full implications of their code. I also welcome answers pointing out a huge performance decrease where it would not usually be expected. An example of what one of my professors once told me: You have used somewhat too many instances of unneeded inheritance and virtuality. Inheritance makes a design much more complicated (and inefficient because of the RTTI (run-time type inference) subsystem), and it should therefore only be used where it makes sense, e.g. for the actions in the parse table." [I wrote an LR(1) parser generator.] "Because you make intensive use of templates, you practically don't need inheritance."

    Read the article

  • When to reply 400 Bad Request

    - by KajMagnus
    According to www.w3.org, a Web server should reply with status code 400 Bad Request if: "The request could not be understood by the server due to malformed syntax. The client SHOULD NOT repeat the request without modifications" Does that mean only request that violates some HTTP spec? Or does it include a request that my particular Web app thinks is broken? When would you reply 400? For example, if my Web app expects a query string to always include a "function=..." parameter, would you reply code 400 Bad Request or 403 Forbidden? (403 means that "The server understood the request, but is refusing to fulfill it.")

    Read the article

  • How to learn PHP effectively?

    - by Goma
    A dozen of bad tutorials out there that teach you bad habits especially when we speak about PHP. I want to learn how to avoid the things that can lead me to develop inefficient web applications. I like to learn from videos but most videos I've found on the internet are provided by people who do not follow good practices. My second option is to learn from books but I did not find a good book for starters in PHP! It would be very helpful for me if you can tell me about your story in learning PHP, what are things that I should avoid? How to learn about PHP security from the beginning to avoid unlearn something later on?. Please provide links to books, websites that provide high quality video tutorials for PHP, and you tips for a good start!

    Read the article

  • "BAD idea" warning when trying to recover Grub, after Windows removed it

    - by Shazzner
    Tried sudo grub-install on sda1 but it complained about being a BAD IDEA. I had to install windows for a work related issue so I used a separate disk (I had used it for ubuntu on this computer, but bought a bigger disk so installed ubuntu on that and left the old one in in case I needed an old file). Windows installed fine but overwrote Grub. So if I choose the Ubuntu disk to boot first in BIOS I get a blank screen. I googled and followed this advice: https://help.ubuntu.com/community/RecoveringUbuntuAfterInstallingWindows However, when I get down to this section: sudo grub-install --root-directory=/media/0d104aff-ec8c-44c8-b811-92b993823444 /dev/sda1 I get this: Attempting to install GRUB to a partition instead of the MBR. This is a BAD idea… --recheck does nothing. Any ideas?

    Read the article

  • SQL SERVER – Enumerations in Relational Database – Best Practice

    - by pinaldave
    Marko Parkkola This article has been submitted by Marko Parkkola, Data systems designer at Saarionen Oy, Finland. Marko is excellent developer and always thinking at next level. You can read his earlier comment which created very interesting discussion here: SQL SERVER- IF EXISTS(Select null from table) vs IF EXISTS(Select 1 from table). I must express my special thanks to Marko for sending this best practice for Enumerations in Relational Database. He has really wrote excellent piece here and welcome comments here. Enumerations in Relational Database This is a subject which is very basic thing in relational databases but often not very well understood and sometimes badly implemented. There are of course many ways to do this but I concentrate only two cases, one which is “the right way” and one which is definitely wrong way. The concept Let’s say we have table Person in our database. Person has properties/fields like Firstname, Lastname, Birthday and so on. Then there’s a field that tells person’s marital status and let’s name it the same way; MaritalStatus. Now MaritalStatus is an enumeration. In C# I would definitely make it an enumeration with values likes Single, InRelationship, Married, Divorced. Now here comes the problem, SQL doesn’t have enumerations. The wrong way This is, in my opinion, absolutely the wrong way to do this. It has one upside though; you’ll see the enumeration’s description instantly when you do simple SELECT query and you don’t have to deal with mysterious values. There’s plenty of downsides too and one would be database fragmentation. Consider this (I’ve left all indexes and constraints out of the query on purpose). CREATE TABLE [dbo].[Person] ( [Firstname] NVARCHAR(100), [Lastname] NVARCHAR(100), [Birthday] datetime, [MaritalStatus] NVARCHAR(10) ) You have nvarchar(20) field in the table that tells the marital status. Obvious problem with this is that what if you create a new value which doesn’t fit into 20 characters? You’ll have to come and alter the table. There are other problems also but I’ll leave those for the reader to think about. The correct way Here’s how I’ve done this in many projects. This model still has one problem but it can be alleviated in the application layer or with CHECK constraints if you like. First I will create a namespace table which tells the name of the enumeration. I will add one row to it too. I’ll write all the indexes and constraints here too. CREATE TABLE [CodeNamespace] ( [Id] INT IDENTITY(1, 1), [Name] NVARCHAR(100) NOT NULL, CONSTRAINT [PK_CodeNamespace] PRIMARY KEY ([Id]), CONSTRAINT [IXQ_CodeNamespace_Name] UNIQUE NONCLUSTERED ([Name]) ) GO INSERT INTO [CodeNamespace] SELECT 'MaritalStatus' GO Then I create a table that holds the actual values and which reference to namespace table in order to group the values under different namespaces. I’ll add couple of rows here too. CREATE TABLE [CodeValue] ( [CodeNamespaceId] INT NOT NULL, [Value] INT NOT NULL, [Description] NVARCHAR(100) NOT NULL, [OrderBy] INT, CONSTRAINT [PK_CodeValue] PRIMARY KEY CLUSTERED ([CodeNamespaceId], [Value]), CONSTRAINT [FK_CodeValue_CodeNamespace] FOREIGN KEY ([CodeNamespaceId]) REFERENCES [CodeNamespace] ([Id]) ) GO -- 1 is the 'MaritalStatus' namespace INSERT INTO [CodeValue] SELECT 1, 1, 'Single', 1 INSERT INTO [CodeValue] SELECT 1, 2, 'In relationship', 2 INSERT INTO [CodeValue] SELECT 1, 3, 'Married', 3 INSERT INTO [CodeValue] SELECT 1, 4, 'Divorced', 4 GO Now there’s four columns in CodeValue table. CodeNamespaceId tells under which namespace values belongs to. Value tells the enumeration value which is used in Person table (I’ll show how this is done below). Description tells what the value means. You can use this, for example, column in UI’s combo box. OrderBy tells if the values needs to be ordered in some way when displayed in the UI. And here’s the Person table again now with correct columns. I’ll add one row here to show how enumerations are to be used. CREATE TABLE [dbo].[Person] ( [Firstname] NVARCHAR(100), [Lastname] NVARCHAR(100), [Birthday] datetime, [MaritalStatus] INT ) GO INSERT INTO [Person] SELECT 'Marko', 'Parkkola', '1977-03-04', 3 GO Now I said earlier that there is one problem with this. MaritalStatus column doesn’t have any database enforced relationship to the CodeValue table so you can enter any value you like into this field. I’ve solved this problem in the application layer by selecting all the values from the CodeValue table and put them into a combobox / dropdownlist (with Value field as value and Description as text) so the end user can’t enter any illegal values; and of course I’ll check the entered value in data access layer also. I said in the “The wrong way” section that there is one benefit to it. In fact, you can have the same benefit here by using a simple view, which I schema bound so you can even index it if you like. CREATE VIEW [dbo].[Person_v] WITH SCHEMABINDING AS SELECT p.[Firstname], p.[Lastname], p.[BirthDay], c.[Description] MaritalStatus FROM [dbo].[Person] p JOIN [dbo].[CodeValue] c ON p.[MaritalStatus] = c.[Value] JOIN [dbo].[CodeNamespace] n ON n.[Id] = c.[CodeNamespaceId] AND n.[Name] = 'MaritalStatus' GO -- Select from View SELECT * FROM [dbo].[Person_v] GO This is excellent write up byMarko Parkkola. Do you have this kind of design setup at your organization? Let us know your opinion. Reference: Pinal Dave (http://blog.SQLAuthority.com) Filed under: Best Practices, Database, DBA, Readers Contribution, Software Development, SQL, SQL Authority, SQL Documentation, SQL Query, SQL Server, SQL Tips and Tricks, T SQL, Technology

    Read the article

  • Any great books of algorithm puzzles to practice whiteboard coding with?

    - by jboxer
    I'm looking to get some practice coding solutions to algorithm puzzles on a whiteboard. A friend is going to read puzzles to me (as if he were interviewing me), and I'll solve them on a whiteboard. Does anyone know any great books with algorithm puzzles that would be useful for this? I found a book called Puzzles for Programmers and Pros, but it only has six reviews on Amazon, so I'm not sure how good it really is. If anyone has any recommendations, I'd really appreciate it. Thanks a bunch.

    Read the article

  • Which is the best design practice for edit data in RIA?

    - by Onet Two
    Hi, First of all it is a UI design question! Which is the best design practice for edit data in RIA, for example in Flex or Silverlight? I would like to show customer's details, but there will be an edit window, than the datas of customer will be editable. I would like to show a new form where the data can be edited. What is the simplest way to show this form. I can make my ui tabbed, so I can open the form in a new tab, or I can open the form in a popup/modal dialog (Save-cancel). Maybe I can use in line editing. What is the most user friendly solution in a Silverlight or Flex GUI? What is your opinion? Thanks!

    Read the article

  • Oracle Tutor: Document Audit and Maintenance

    - by Emily Chorba
    Normal 0 false false false EN-US X-NONE X-NONE MicrosoftInternetExplorer4 /* Style Definitions */ table.MsoNormalTable {mso-style-name:"Table Normal"; mso-tstyle-rowband-size:0; mso-tstyle-colband-size:0; mso-style-noshow:yes; mso-style-priority:99; mso-style-qformat:yes; mso-style-parent:""; mso-padding-alt:0in 5.4pt 0in 5.4pt; mso-para-margin:0in; mso-para-margin-bottom:.0001pt; mso-pagination:widow-orphan; font-size:10.0pt; font-family:"Times New Roman","serif";} Perhaps the most critical phase in the process of documenting policies and procedure -- and the greatest challenge to owners -- is the maintenance of published documents. Documents must reflect current practice and they must be accurate. The most effective way to ensure this is through the regular audit of documents. In the Tutor environment, a Document Owner must audit each of his/her documents once every 6 to 12 months to verify that the document reflects actual practice. If it does not, the document is updated or employees are retrained (depending on the nature of the discrepancy). If a document update is required, the Tutor system enables the owner to modify and redistribute the document within one work day. This is possible because: Documents contain a minimum of detail, thereby reducing the edits. Document format and structure are simple, so changes are easy to identify The Tutor Author software tool enables the Document Owner or the Document Administrator to update the file quickly. The Document Administrator verifies the document format and integration, publishes the document, and distributes it to all affected employees, thereby freeing the Document Owner of the more tedious tasks. Learn More For more information about Tutor, visit Oracle.Com or the Tutor Blog. Post your questions at the Tutor Forum. Emily Chorba Principle Product Manager Oracle Tutor & UPK

    Read the article

  • Drive still usable if Seatools reports errors?

    - by Rob
    I have a Seagate 3TB Expansion Desktop drive that was part of a Linux RAID 6 array that failed. I eventually did a zero fill both through Seagate DiscWizard and via Linux dd, neither reported errors. When I ran Seatools now, I got: Short DST - Started 5/31/2014 10:04:36 PM Short DST - Pass 5/31/2014 10:05:37 PM Long Generic - Started 5/31/2014 10:15:19 PM Bad LBA: 518242762 Not Repaired (whole bunch of bad LBAs ommited) Bad LBA: 518715255 Not Repaired Long Generic Aborted 6/1/2014 3:12:18 AM i.e. the short test passed, the long test failed. Unfortunately, the drive is out of warranty, so I can't just RMA it. But I hate tossing a drive that can still be used. So, my questions are: If the zero fill succeeded, and the short test passed, can I still use the whole drive? if not, since I'm using LVM on top of RAID, is there a way to tell either of these to just skip the bad area? If not the above, can I just create partitions before and after the part of the drive with the bad LBAs?

    Read the article

  • PPTP server stuck at "GRE: Bad checksum from pppd"

    - by user92516
    I am a network engineer having quite limited experience with Ubuntu. I have been following up these online instructions to set up a pptp server but without much luck to get it to work. My server is a vm running an Apple Xserve behind a Cisco firewall. I made sure tcp 1723 and GRE are opened for the box. Below is the syslog output, looks like I always got stuck at GRE: Bad checksum from pppd. I'm running Ubuntu 10.04. Sep 24 13:21:53 ubuntu pptpd[1231]: CTRL: PTY read or GRE write failed (pty,gre)=(6,7) Sep 24 13:21:53 ubuntu pptpd[1231]: CTRL: Reaping child PPP[1232] Sep 24 13:21:53 ubuntu pptpd[1231]: CTRL: Client 166.137.85.165 control connection finished Sep 24 13:22:41 ubuntu pptpd[1276]: MGR: connections limit (100) reached, extra IP addresses ignored Sep 24 13:22:41 ubuntu pptpd[1277]: MGR: Manager process started Sep 24 13:22:41 ubuntu pptpd[1277]: MGR: Maximum of 100 connections available Sep 24 13:22:50 ubuntu pptpd[1278]: CTRL: Client 166.137.85.165 control connection started Sep 24 13:22:51 ubuntu pptpd[1278]: CTRL: Starting call (launching pppd, opening GRE) Sep 24 13:22:51 ubuntu pppd[1279]: Plugin /usr/lib/pptpd/pptpd-logwtmp.so loaded. Sep 24 13:22:51 ubuntu pppd[1279]: pppd 2.4.5 started by root, uid 0 Sep 24 13:22:51 ubuntu pppd[1279]: Using interface ppp0 Sep 24 13:22:51 ubuntu pppd[1279]: Connect: ppp0 <--> /dev/pts/1 Sep 24 13:22:51 ubuntu pptpd[1278]: GRE: Bad checksum from pppd. Sep 24 13:23:21 ubuntu pppd[1279]: LCP: timeout sending Config-Requests Sep 24 13:23:21 ubuntu pppd[1279]: Connection terminated. Sep 24 13:23:21 ubuntu pppd[1279]: Modem hangup Sep 24 13:23:21 ubuntu pppd[1279]: Exit. Sep 24 13:23:21 ubuntu pptpd[1278]: GRE: read(fd=6,buffer=805a540,len=8196) from PTY failed: status = -1 error = Input/output error, usually caused by unexpected termination of pppd, check option syntax and pppd logs Sep 24 13:23:21 ubuntu pptpd[1278]: CTRL: PTY read or GRE write failed (pty,gre)=(6,7) Sep 24 13:23:21 ubuntu pptpd[1278]: CTRL: Reaping child PPP[1279] Sep 24 13:23:21 ubuntu pptpd[1278]: CTRL: Client 166.137.85.165 control connection finished

    Read the article

  • Are programmers bad testers?

    - by jhsowter
    I know this sounds a lot like other questions which have already being asked, but it is actually slightly different. It seems to be generally considered that programmers are not good at performing the role of testing an application. For example: Joel on Software - Top Five (Wrong) Reasons You Don't Have Testers (emphasis mine) Don't even think of trying to tell college CS graduates that they can come work for you, but "everyone has to do a stint in QA for a while before moving on to code". I've seen a lot of this. Programmers do not make good testers, and you'll lose a good programmer, who is a lot harder to replace. And in this question, one of the most popular answers says (again, my emphasis): Developers can be testers, but they shouldn't be testers. Developers tend to unintentionally/unconciously avoid to use the application in a way that might break it. That's because they wrote it and mostly test it in the way it should be used. So the question is are programmers bad at testing? What evidence or arguments are there to support this conclusion? Are programmers only bad at testing their own code? Is there any evidence to suggest that programmers are actually good at testing? What do I mean by "testing?" I do not mean unit testing or anything that is considered part of the methodology used by the software team to write software. I mean some kind of quality assurance method that is used after the code has been built and deployed to whatever that software team would call the "test environment."

    Read the article

< Previous Page | 2 3 4 5 6 7 8 9 10 11 12 13  | Next Page >