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  • Where to find common database abbreviations in Spanish

    - by jmh_gr
    I'm doing a little pro bono work for an organization in Central America. I'm ok at Spanish and my contacts are perfectly fluent but are not techincal people. Even if they don't care what I call some fields in a database I still want to make as clean a schema as possible, and I'd like to know what some typical abbreviations are for field / variable names in Spanish. I understand abbreviations and naming conventions are entirely personal. I'm not asking for the "correct" or "best" way to abbreviate database object names. I'm just looking for references to lists of typical abbreviations that would be easily recognizable to a techincally competent native Spanish speaker. I believe I am a decent googler but I've had no luck on this one. For example, in my company (where English is the primary language) 'Date' is always shortened to 'DT', 'Code' to 'CD', 'Item' to 'IT', etc. It's easy for the crowds of IT temp workers who revolve through on various projects to figure out that 'DT' stands for 'Date', 'YR' for 'Year', or 'TN' for 'Transaction' without even having to consult the official abbreviations list.

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  • Inventory Consignment Flow

    - by ipohfly
    Not sure whether this is the right place to ask this question, but here goes.. Currently I have requirement to add support for consignment transaction in our inventory module. I have a very limited understanding of what consignment means in inventory, i.e. Customer get stocks/products from Seller without actually buying them, the product just resides in the Customer's inventory and it's still owned by the Seller. Only when the Customer actually buy the stocks then only will the ownership of the stock is transferred. The issue is i can't imagine how the data will be presented to both the Customer and the Seller. What i know is that i would need to deduct the stock from the Seller's inventory when the Customer raise a request to get the stock through consignment, but what about the 'ownership' of the stocks/products? Does that mean i would need to create another column in my table to state that for each inventory it is owned by who? Anywhere i can get information on how i should work out an inventory module like this? Thanks.

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  • Creating Ideal Customers with Modern Marketing

    - by Richard Lefebvre
    “Without that real-time perspective, it's just not possible to stay in step with what your customers want and need.” — Customer-Obsessed Marketing Is Your Next Competitive Edge Every business talks about focusing on the customer. But few actually deliver. Why? Because digital marketing technology can’t tell a compelling story. It lacks engaging dialogue with no connection beyond the transaction. It’s lost in translation because marketers don’t speak code. And it’s confusing to the customer because marketing and IT can’t connect process and data. Take a look at your digital marketing picture. From a distance it may look fine. But look up close. It’s fragmented and the dots are not connected. You need much higher resolution. Step back and see the big picture. Zoom in on the individual customer. But you’ll need Modern Marketing technology engineered with enterprise grade data management and proven cloud performance. Explore the people, processes, and technology of the Oracle Marketing Cloud. Create a culture of customer obsession. Simplify marketing across all channels to turn casual prospects into passionate advocates. Engage ideal customers with a meaningful experience. Personalize your brand narrative for each customer in every chapter of your story to increase engagement and revenue. Read the full article and watch the videos here

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  • Using Queries with Coherence Read-Through Caches

    - by jpurdy
    Applications that rely on partial caches of databases, and use read-through to maintain those caches, have some trade-offs if queries are required. Coherence does not support push-down queries, so queries will apply only to data that currently exists in the cache. This is technically consistent with "read committed" semantics, but the potential absence of data may make the results so unintuitive as to be useless for most use cases (depending on how much of the database is held in cache). Alternatively, the application itself may manually "push down" queries to the database, either retrieving results equivalent to querying the cache directly, or may query the database for a key set and read the values from the cache (relying on read-through to handle any missing values). Obviously, if the result set is too large, reading through the cache may cause significant thrashing. It's also worth pointing out that if the cache is asynchronously synchronized with the database (perhaps via database change listener), that an application may commit a transaction to the database, then generate a key set from the database via a query, then read cache entries through the cache, possibly resulting in a race condition where the application sees older data than it had previously committed. In theory this is not problematic but in practice it is very unintuitive. For this reason it often makes sense to invalidate the cache when updating the database, forcing the next read-through to update the cache.

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  • MySQL December Webinars

    - by Bertrand Matthelié
    We'll be running 3 webinars next week and hope many of you will be able to join us: MySQL Replication: Simplifying Scaling and HA with GTIDs Wednesday, December 12, at 15.00 Central European TimeJoin the MySQL replication developers for a deep dive into the design and implementation of Global Transaction Identifiers (GTIDs) and how they enable users to simplify MySQL scaling and HA. GTIDs are one of the most significant new replication capabilities in MySQL 5.6, making it simple to track and compare replication progress between the master and slave servers. Register Now MySQL 5.6: Building the Next Generation of Web/Cloud/SaaS/Embedded Applications and Services Thursday, December 13, at 9.00 am Pacific Time As the world's most popular web database, MySQL has quickly become the leading cloud database, with most providers offering MySQL-based services. Indeed, built to deliver web-based applications and to scale out, MySQL's architecture and features make the database a great fit to deliver cloud-based applications. In this webinar we will focus on the improvements in MySQL 5.6 performance, scalability, and availability designed to enable DBA and developer agility in building the next generation of web-based applications. Register Now Getting the Best MySQL Performance in Your Products: Part IV, Partitioning Friday, December 14, at 9.00 am Pacific Time We're adding Partitioning to our extremely popular "Getting the Best MySQL Performance in Your Products" webinar series. Partitioning can greatly increase the performance of your queries, especially when doing full table scans over large tables. Partitioning is also an excellent way to manage very large tables. It's one of the best ways to build higher performance into your product's embedded or bundled MySQL, and particularly for hardware-constrained appliances and devices. Register Now We have live Q&A during all webinars so you'll get the opportunity to ask your questions!

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  • The Execute SQL Task

    In this article we are going to take you through the Execute SQL Task in SQL Server Integration Services for SQL Server 2005 (although it appies just as well to SQL Server 2008).  We will be covering all the essentials that you will need to know to effectively use this task and make it as flexible as possible. The things we will be looking at are as follows: A tour of the Task. The properties of the Task. After looking at these introductory topics we will then get into some examples. The examples will show different types of usage for the task: Returning a single value from a SQL query with two input parameters. Returning a rowset from a SQL query. Executing a stored procedure and retrieveing a rowset, a return value, an output parameter value and passing in an input parameter. Passing in the SQL Statement from a variable. Passing in the SQL Statement from a file. Tour Of The Task Before we can start to use the Execute SQL Task in our packages we are going to need to locate it in the toolbox. Let's do that now. Whilst in the Control Flow section of the package expand your toolbox and locate the Execute SQL Task. Below is how we found ours. Now drag the task onto the designer. As you can see from the following image we have a validation error appear telling us that no connection manager has been assigned to the task. This can be easily remedied by creating a connection manager. There are certain types of connection manager that are compatable with this task so we cannot just create any connection manager and these are detailed in a few graphics time. Double click on the task itself to take a look at the custom user interface provided to us for this task. The task will open on the general tab as shown below. Take a bit of time to have a look around here as throughout this article we will be revisting this page many times. Whilst on the general tab, drop down the combobox next to the ConnectionType property. In here you will see the types of connection manager which this task will accept. As with SQL Server 2000 DTS, SSIS allows you to output values from this task in a number of formats. Have a look at the combobox next to the Resultset property. The major difference here is the ability to output into XML. If you drop down the combobox next to the SQLSourceType property you will see the ways in which you can pass a SQL Statement into the task itself. We will have examples of each of these later on but certainly when we saw these for the first time we were very excited. Next to the SQLStatement property if you click in the empty box next to it you will see ellipses appear. Click on them and you will see the very basic query editor that becomes available to you. Alternatively after you have specified a connection manager for the task you can click on the Build Query button to bring up a completely different query editor. This is slightly inconsistent. Once you've finished looking around the general tab, move on to the next tab which is the parameter mapping tab. We shall, again, be visiting this tab throughout the article but to give you an initial heads up this is where you define the input, output and return values from your task. Note this is not where you specify the resultset. If however you now move on to the ResultSet tab this is where you define what variable will receive the output from your SQL Statement in whatever form that is. Property Expressions are one of the most amazing things to happen in SSIS and they will not be covered here as they deserve a whole article to themselves. Watch out for this as their usefulness will astound you. For a more detailed discussion of what should be the parameter markers in the SQL Statements on the General tab and how to map them to variables on the Parameter Mapping tab see Working with Parameters and Return Codes in the Execute SQL Task. Task Properties There are two places where you can specify the properties for your task. One is in the task UI itself and the other is in the property pane which will appear if you right click on your task and select Properties from the context menu. We will be doing plenty of property setting in the UI later so let's take a moment to have a look at the property pane. Below is a graphic showing our properties pane. Now we shall take you through all the properties and tell you exactly what they mean. A lot of these properties you will see across all tasks as well as the package because of everything's base structure The Container. BypassPrepare Should the statement be prepared before sending to the connection manager destination (True/False) Connection This is simply the name of the connection manager that the task will use. We can get this from the connection manager tray at the bottom of the package. DelayValidation Really interesting property and it tells the task to not validate until it actually executes. A usage for this may be that you are operating on table yet to be created but at runtime you know the table will be there. Description Very simply the description of your Task. Disable Should the task be enabled or not? You can also set this through a context menu by right clicking on the task itself. DisableEventHandlers As a result of events that happen in the task, should the event handlers for the container fire? ExecValueVariable The variable assigned here will get or set the execution value of the task. Expressions Expressions as we mentioned earlier are a really powerful tool in SSIS and this graphic below shows us a small peek of what you can do. We select a property on the left and assign an expression to the value of that property on the right causing the value to be dynamically changed at runtime. One of the most obvious uses of this is that the property value can be built dynamically from within the package allowing you a great deal of flexibility FailPackageOnFailure If this task fails does the package? FailParentOnFailure If this task fails does the parent container? A task can he hosted inside another container i.e. the For Each Loop Container and this would then be the parent. ForcedExecutionValue This property allows you to hard code an execution value for the task. ForcedExecutionValueType What is the datatype of the ForcedExecutionValue? ForceExecutionResult Force the task to return a certain execution result. This could then be used by the workflow constraints. Possible values are None, Success, Failure and Completion. ForceExecutionValue Should we force the execution result? IsolationLevel This is the transaction isolation level of the task. IsStoredProcedure Certain optimisations are made by the task if it knows that the query is a Stored Procedure invocation. The docs say this will always be false unless the connection is an ADO connection. LocaleID Gets or sets the LocaleID of the container. LoggingMode Should we log for this container and what settings should we use? The value choices are UseParentSetting, Enabled and Disabled. MaximumErrorCount How many times can the task fail before we call it a day? Name Very simply the name of the task. ResultSetType How do you want the results of your query returned? The choices are ResultSetType_None, ResultSetType_SingleRow, ResultSetType_Rowset and ResultSetType_XML. SqlStatementSource Your Query/SQL Statement. SqlStatementSourceType The method of specifying the query. Your choices here are DirectInput, FileConnection and Variables TimeOut How long should the task wait to receive results? TransactionOption How should the task handle being asked to join a transaction? Usage Examples As we move through the examples we will only cover in them what we think you must know and what we think you should see. This means that some of the more elementary steps like setting up variables will be covered in the early examples but skipped and simply referred to in later ones. All these examples used the AventureWorks database that comes with SQL Server 2005. Returning a Single Value, Passing in Two Input Parameters So the first thing we are going to do is add some variables to our package. The graphic below shows us those variables having been defined. Here the CountOfEmployees variable will be used as the output from the query and EndDate and StartDate will be used as input parameters. As you can see all these variables have been scoped to the package. Scoping allows us to have domains for variables. Each container has a scope and remember a package is a container as well. Variable values of the parent container can be seen in child containers but cannot be passed back up to the parent from a child. Our following graphic has had a number of changes made. The first of those changes is that we have created and assigned an OLEDB connection manager to this Task ExecuteSQL Task Connection. The next thing is we have made sure that the SQLSourceType property is set to Direct Input as we will be writing in our statement ourselves. We have also specified that only a single row will be returned from this query. The expressions we typed in was: SELECT COUNT(*) AS CountOfEmployees FROM HumanResources.Employee WHERE (HireDate BETWEEN ? AND ?) Moving on now to the Parameter Mapping tab this is where we are going to tell the task about our input paramaters. We Add them to the window specifying their direction and datatype. A quick word here about the structure of the variable name. As you can see SSIS has preceeded the variable with the word user. This is a default namespace for variables but you can create your own. When defining your variables if you look at the variables window title bar you will see some icons. If you hover over the last one on the right you will see it says "Choose Variable Columns". If you click the button you will see a list of checkbox options and one of them is namespace. after checking this you will see now where you can define your own namespace. The next tab, result set, is where we need to get back the value(s) returned from our statement and assign to a variable which in our case is CountOfEmployees so we can use it later perhaps. Because we are only returning a single value then if you remember from earlier we are allowed to assign a name to the resultset but it must be the name of the column (or alias) from the query. A really cool feature of Business Intelligence Studio being hosted by Visual Studio is that we get breakpoint support for free. In our package we set a Breakpoint so we can break the package and have a look in a watch window at the variable values as they appear to our task and what the variable value of our resultset is after the task has done the assignment. Here's that window now. As you can see the count of employess that matched the data range was 2. Returning a Rowset In this example we are going to return a resultset back to a variable after the task has executed not just a single row single value. There are no input parameters required so the variables window is nice and straight forward. One variable of type object. Here is the statement that will form the soure for our Resultset. select p.ProductNumber, p.name, pc.Name as ProductCategoryNameFROM Production.ProductCategory pcJOIN Production.ProductSubCategory pscON pc.ProductCategoryID = psc.ProductCategoryIDJOIN Production.Product pON psc.ProductSubCategoryID = p.ProductSubCategoryID We need to make sure that we have selected Full result set as the ResultSet as shown below on the task's General tab. Because there are no input parameters we can skip the parameter mapping tab and move straight to the Result Set tab. Here we need to Add our variable defined earlier and map it to the result name of 0 (remember we covered this earlier) Once we run the task we can again set a breakpoint and have a look at the values coming back from the task. In the following graphic you can see the result set returned to us as a COM object. We can do some pretty interesting things with this COM object and in later articles that is exactly what we shall be doing. Return Values, Input/Output Parameters and Returning a Rowset from a Stored Procedure This example is pretty much going to give us a taste of everything. We have already covered in the previous example how to specify the ResultSet to be a Full result set so we will not cover it again here. For this example we are going to need 4 variables. One for the return value, one for the input parameter, one for the output parameter and one for the result set. Here is the statement we want to execute. Note how much cleaner it is than if you wanted to do it using the current version of DTS. In the Parameter Mapping tab we are going to Add our variables and specify their direction and datatypes. In the Result Set tab we can now map our final variable to the rowset returned from the stored procedure. It really is as simple as that and we were amazed at how much easier it is than in DTS 2000. Passing in the SQL Statement from a Variable SSIS as we have mentioned is hugely more flexible than its predecessor and one of the things you will notice when moving around the tasks and the adapters is that a lot of them accept a variable as an input for something they need. The ExecuteSQL task is no different. It will allow us to pass in a string variable as the SQL Statement. This variable value could have been set earlier on from inside the package or it could have been populated from outside using a configuration. The ResultSet property is set to single row and we'll show you why in a second when we look at the variables. Note also the SQLSourceType property. Here's the General Tab again. Looking at the variable we have in this package you can see we have only two. One for the return value from the statement and one which is obviously for the statement itself. Again we need to map the Result name to our variable and this can be a named Result Name (The column name or alias returned by the query) and not 0. The expected result into our variable should be the amount of rows in the Person.Contact table and if we look in the watch window we see that it is.   Passing in the SQL Statement from a File The final example we are going to show is a really interesting one. We are going to pass in the SQL statement to the task by using a file connection manager. The file itself contains the statement to run. The first thing we are going to need to do is create our file connection mananger to point to our file. Click in the connections tray at the bottom of the designer, right click and choose "New File Connection" As you can see in the graphic below we have chosen to use an existing file and have passed in the name as well. Have a look around at the other "Usage Type" values available whilst you are here. Having set that up we can now see in the connection manager tray our file connection manager sitting alongside our OLE-DB connection we have been using for the rest of these examples. Now we can go back to the familiar General Tab to set up how the task will accept our file connection as the source. All the other properties in this task are set up exactly as we have been doing for other examples depending on the options chosen so we will not cover them again here.   We hope you will agree that the Execute SQL Task has changed considerably in this release from its DTS predecessor. It has a lot of options available but once you have configured it a few times you get to learn what needs to go where. We hope you have found this article useful.

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  • Working with PivotTables in Excel

    - by Mark Virtue
    PivotTables are one of the most powerful features of Microsoft Excel.  They allow large amounts of data to be analyzed and summarized in just a few mouse clicks. In this article, we explore PivotTables, understand what they are, and learn how to create and customize them. Note:  This article is written using Excel 2010 (Beta).  The concept of a PivotTable has changed little over the years, but the method of creating one has changed in nearly every iteration of Excel.  If you are using a version of Excel that is not 2010, expect different screens from the ones you see in this article. A Little History In the early days of spreadsheet programs, Lotus 1-2-3 ruled the roost.  Its dominance was so complete that people thought it was a waste of time for Microsoft to bother developing their own spreadsheet software (Excel) to compete with Lotus.  Flash-forward to 2010, and Excel’s dominance of the spreadsheet market is greater than Lotus’s ever was, while the number of users still running Lotus 1-2-3 is approaching zero.  How did this happen?  What caused such a dramatic reversal of fortunes? Industry analysts put it down to two factors:  Firstly, Lotus decided that this fancy new GUI platform called “Windows” was a passing fad that would never take off.  They declined to create a Windows version of Lotus 1-2-3 (for a few years, anyway), predicting that their DOS version of the software was all anyone would ever need.  Microsoft, naturally, developed Excel exclusively for Windows.  Secondly, Microsoft developed a feature for Excel that Lotus didn’t provide in 1-2-3, namely PivotTables.  The PivotTables feature, exclusive to Excel, was deemed so staggeringly useful that people were willing to learn an entire new software package (Excel) rather than stick with a program (1-2-3) that didn’t have it.  This one feature, along with the misjudgment of the success of Windows, was the death-knell for Lotus 1-2-3, and the beginning of the success of Microsoft Excel. Understanding PivotTables So what is a PivotTable, exactly? Put simply, a PivotTable is a summary of some data, created to allow easy analysis of said data.  But unlike a manually created summary, Excel PivotTables are interactive.  Once you have created one, you can easily change it if it doesn’t offer the exact insights into your data that you were hoping for.  In a couple of clicks the summary can be “pivoted” – rotated in such a way that the column headings become row headings, and vice versa.  There’s a lot more that can be done, too.  Rather than try to describe all the features of PivotTables, we’ll simply demonstrate them… The data that you analyze using a PivotTable can’t be just any data – it has to be raw data, previously unprocessed (unsummarized) – typically a list of some sort.  An example of this might be the list of sales transactions in a company for the past six months. Examine the data shown below: Notice that this is not raw data.  In fact, it is already a summary of some sort.  In cell B3 we can see $30,000, which apparently is the total of James Cook’s sales for the month of January.  So where is the raw data?  How did we arrive at the figure of $30,000?  Where is the original list of sales transactions that this figure was generated from?  It’s clear that somewhere, someone must have gone to the trouble of collating all of the sales transactions for the past six months into the summary we see above.  How long do you suppose this took?  An hour?  Ten?  Probably. If we were to track down the original list of sales transactions, it might look something like this: You may be surprised to learn that, using the PivotTable feature of Excel, we can create a monthly sales summary similar to the one above in a few seconds, with only a few mouse clicks.  We can do this – and a lot more too! How to Create a PivotTable First, ensure that you have some raw data in a worksheet in Excel.  A list of financial transactions is typical, but it can be a list of just about anything:  Employee contact details, your CD collection, or fuel consumption figures for your company’s fleet of cars. So we start Excel… …and we load such a list… Once we have the list open in Excel, we’re ready to start creating the PivotTable. Click on any one single cell within the list: Then, from the Insert tab, click the PivotTable icon: The Create PivotTable box appears, asking you two questions:  What data should your new PivotTable be based on, and where should it be created?  Because we already clicked on a cell within the list (in the step above), the entire list surrounding that cell is already selected for us ($A$1:$G$88 on the Payments sheet, in this example).  Note that we could select a list in any other region of any other worksheet, or even some external data source, such as an Access database table, or even a MS-SQL Server database table.  We also need to select whether we want our new PivotTable to be created on a new worksheet, or on an existing one.  In this example we will select a new one: The new worksheet is created for us, and a blank PivotTable is created on that worksheet: Another box also appears:  The PivotTable Field List.  This field list will be shown whenever we click on any cell within the PivotTable (above): The list of fields in the top part of the box is actually the collection of column headings from the original raw data worksheet.  The four blank boxes in the lower part of the screen allow us to choose the way we would like our PivotTable to summarize the raw data.  So far, there is nothing in those boxes, so the PivotTable is blank.  All we need to do is drag fields down from the list above and drop them in the lower boxes.  A PivotTable is then automatically created to match our instructions.  If we get it wrong, we only need to drag the fields back to where they came from and/or drag new fields down to replace them. The Values box is arguably the most important of the four.  The field that is dragged into this box represents the data that needs to be summarized in some way (by summing, averaging, finding the maximum, minimum, etc).  It is almost always numerical data.  A perfect candidate for this box in our sample data is the “Amount” field/column.  Let’s drag that field into the Values box: Notice that (a) the “Amount” field in the list of fields is now ticked, and “Sum of Amount” has been added to the Values box, indicating that the amount column has been summed. If we examine the PivotTable itself, we indeed find the sum of all the “Amount” values from the raw data worksheet: We’ve created our first PivotTable!  Handy, but not particularly impressive.  It’s likely that we need a little more insight into our data than that. Referring to our sample data, we need to identify one or more column headings that we could conceivably use to split this total.  For example, we may decide that we would like to see a summary of our data where we have a row heading for each of the different salespersons in our company, and a total for each.  To achieve this, all we need to do is to drag the “Salesperson” field into the Row Labels box: Now, finally, things start to get interesting!  Our PivotTable starts to take shape….   With a couple of clicks we have created a table that would have taken a long time to do manually. So what else can we do?  Well, in one sense our PivotTable is complete.  We’ve created a useful summary of our source data.  The important stuff is already learned!  For the rest of the article, we will examine some ways that more complex PivotTables can be created, and ways that those PivotTables can be customized. First, we can create a two-dimensional table.  Let’s do that by using “Payment Method” as a column heading.  Simply drag the “Payment Method” heading to the Column Labels box: Which looks like this: Starting to get very cool! Let’s make it a three-dimensional table.  What could such a table possibly look like?  Well, let’s see… Drag the “Package” column/heading to the Report Filter box: Notice where it ends up…. This allows us to filter our report based on which “holiday package” was being purchased.  For example, we can see the breakdown of salesperson vs payment method for all packages, or, with a couple of clicks, change it to show the same breakdown for the “Sunseekers” package: And so, if you think about it the right way, our PivotTable is now three-dimensional.  Let’s keep customizing… If it turns out, say, that we only want to see cheque and credit card transactions (i.e. no cash transactions), then we can deselect the “Cash” item from the column headings.  Click the drop-down arrow next to Column Labels, and untick “Cash”: Let’s see what that looks like…As you can see, “Cash” is gone. Formatting This is obviously a very powerful system, but so far the results look very plain and boring.  For a start, the numbers that we’re summing do not look like dollar amounts – just plain old numbers.  Let’s rectify that. A temptation might be to do what we’re used to doing in such circumstances and simply select the whole table (or the whole worksheet) and use the standard number formatting buttons on the toolbar to complete the formatting.  The problem with that approach is that if you ever change the structure of the PivotTable in the future (which is 99% likely), then those number formats will be lost.  We need a way that will make them (semi-)permanent. First, we locate the “Sum of Amount” entry in the Values box, and click on it.  A menu appears.  We select Value Field Settings… from the menu: The Value Field Settings box appears. Click the Number Format button, and the standard Format Cells box appears: From the Category list, select (say) Accounting, and drop the number of decimal places to 0.  Click OK a few times to get back to the PivotTable… As you can see, the numbers have been correctly formatted as dollar amounts. While we’re on the subject of formatting, let’s format the entire PivotTable.  There are a few ways to do this.  Let’s use a simple one… Click the PivotTable Tools/Design tab: Then drop down the arrow in the bottom-right of the PivotTable Styles list to see a vast collection of built-in styles: Choose any one that appeals, and look at the result in your PivotTable:   Other Options We can work with dates as well.  Now usually, there are many, many dates in a transaction list such as the one we started with.  But Excel provides the option to group data items together by day, week, month, year, etc.  Let’s see how this is done. First, let’s remove the “Payment Method” column from the Column Labels box (simply drag it back up to the field list), and replace it with the “Date Booked” column: As you can see, this makes our PivotTable instantly useless, giving us one column for each date that a transaction occurred on – a very wide table! To fix this, right-click on any date and select Group… from the context-menu: The grouping box appears.  We select Months and click OK: Voila!  A much more useful table: (Incidentally, this table is virtually identical to the one shown at the beginning of this article – the original sales summary that was created manually.) Another cool thing to be aware of is that you can have more than one set of row headings (or column headings): …which looks like this…. You can do a similar thing with column headings (or even report filters). Keeping things simple again, let’s see how to plot averaged values, rather than summed values. First, click on “Sum of Amount”, and select Value Field Settings… from the context-menu that appears: In the Summarize value field by list in the Value Field Settings box, select Average: While we’re here, let’s change the Custom Name, from “Average of Amount” to something a little more concise.  Type in something like “Avg”: Click OK, and see what it looks like.  Notice that all the values change from summed totals to averages, and the table title (top-left cell) has changed to “Avg”: If we like, we can even have sums, averages and counts (counts = how many sales there were) all on the same PivotTable! Here are the steps to get something like that in place (starting from a blank PivotTable): Drag “Salesperson” into the Column Labels Drag “Amount” field down into the Values box three times For the first “Amount” field, change its custom name to “Total” and it’s number format to Accounting (0 decimal places) For the second “Amount” field, change its custom name to “Average”, its function to Average and it’s number format to Accounting (0 decimal places) For the third “Amount” field, change its name to “Count” and its function to Count Drag the automatically created field from Column Labels to Row Labels Here’s what we end up with: Total, average and count on the same PivotTable! Conclusion There are many, many more features and options for PivotTables created by Microsoft Excel – far too many to list in an article like this.  To fully cover the potential of PivotTables, a small book (or a large website) would be required.  Brave and/or geeky readers can explore PivotTables further quite easily:  Simply right-click on just about everything, and see what options become available to you.  There are also the two ribbon-tabs: PivotTable Tools/Options and Design.  It doesn’t matter if you make a mistake – it’s easy to delete the PivotTable and start again – a possibility old DOS users of Lotus 1-2-3 never had. We’ve included an Excel that should work with most versions of Excel, so you can download to practice your PivotTable skills. Download Our Practice Excel File Similar Articles Productive Geek Tips Magnify Selected Cells In Excel 2007Share Access Data with Excel in Office 2010Make Excel 2007 Print Gridlines In Workbook FileMake Excel 2007 Always Save in Excel 2003 FormatConvert Older Excel Documents to Excel 2007 Format TouchFreeze Alternative in AutoHotkey The Icy Undertow Desktop Windows Home Server – Backup to LAN The Clear & Clean Desktop Use This Bookmarklet to Easily Get Albums Use AutoHotkey to Assign a Hotkey to a Specific Window Latest Software Reviews Tinyhacker Random Tips Revo Uninstaller Pro Registry Mechanic 9 for Windows PC Tools Internet Security Suite 2010 PCmover Professional Ben & Jerry’s Free Cone Day, 3/23/10 New Stinger from McAfee Helps Remove ‘FakeAlert’ Threats Google Apps Marketplace: Tools & Services For Google Apps Users Get News Quick and Precise With Newser Scan for Viruses in Ubuntu using ClamAV Replace Your Windows Task Manager With System Explorer

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  • Macbook Pro Wireless Reconnecting

    - by A Student at a University
    I'm using a WPA2 EAP network. I'm sitting next to the access point. The connection keeps dropping and taking ~10 seconds to reconnect. My other devices are staying online. What's causing it? syslog: 01:21:10 dhclient: DHCPREQUEST of XXX.XXX.XXX.XXX on eth1 to XXX.XXX.XXX.XXX port 67 01:21:10 dhclient: DHCPACK of XXX.XXX.XXX.XXX from XXX.XXX.XXX.XXX 01:21:10 NetworkManager[XX40]: <info> (eth1): DHCPv4 state changed reboot -> renew 01:21:10 NetworkManager[XX40]: <info> address XXX.XXX.XXX.XXX 01:21:10 NetworkManager[XX40]: <info> prefix 20 (XXX.XXX.XXX.XXX) 01:21:10 NetworkManager[XX40]: <info> gateway XXX.XXX.XXX.XXX 01:21:10 NetworkManager[XX40]: <info> nameserver 'XXX.XXX.XXX.XXX' 01:21:10 NetworkManager[XX40]: <info> nameserver 'XXX.XXX.XXX.XXX' 01:21:10 NetworkManager[XX40]: <info> nameserver 'XXX.XXX.XXX.XXX' 01:21:10 NetworkManager[XX40]: <info> domain name 'server.domain.tld' 01:21:10 dhclient: bound to XXX.XXX.XXX.XXX -- renewal in XXX seconds. 01:33:30 dhclient: DHCPREQUEST of XXX.XXX.XXX.XXX on eth1 to XXX.XXX.XXX.XXX port 67 01:33:30 dhclient: DHCPACK of XXX.XXX.XXX.XXX from XXX.XXX.XXX.XXX 01:33:30 dhclient: bound to XXX.XXX.XXX.XXX -- renewal in XXX seconds. 01:35:13 wpa_supplicant[XX60]: CTRL-EVENT-EAP-STARTED EAP authentication started 01:35:13 wpa_supplicant[XX60]: CTRL-EVENT-EAP-METHOD EAP vendor 0 method 25 (PEAP) selected 01:35:14 wpa_supplicant[XX60]: EAP-MSCHAPV2: Authentication succeeded 01:35:14 wpa_supplicant[XX60]: EAP-TLV: TLV Result - Success - EAP-TLV/Phase2 Completed 01:35:14 wpa_supplicant[XX60]: CTRL-EVENT-EAP-SUCCESS EAP authentication completed successfully 01:35:14 NetworkManager[XX40]: <info> (eth1): supplicant connection state: completed -> 4-way handshake 01:35:14 wpa_supplicant[XX60]: WPA: Key negotiation completed with XX:XX:XX:XX:XX:XX [PTK=CCMP GTK=TKIP] 01:35:14 NetworkManager[XX40]: <info> (eth1): supplicant connection state: 4-way handshake -> group handshake 01:35:14 NetworkManager[XX40]: <info> (eth1): supplicant connection state: group handshake -> completed 01:35:17 wpa_supplicant[XX60]: CTRL-EVENT-DISCONNECTED - Disconnect event - remove keys 01:35:17 NetworkManager[XX40]: <info> (eth1): supplicant connection state: completed -> disconnected 01:35:17 NetworkManager[XX40]: <info> (eth1): supplicant connection state: disconnected -> scanning 01:35:26 wpa_supplicant[XX60]: CTRL-EVENT-DISCONNECTED - Disconnect event - remove keys 01:35:26 NetworkManager[XX40]: <info> (eth1): supplicant connection state: scanning -> disconnected 01:35:29 NetworkManager[XX40]: <info> (eth1): supplicant connection state: disconnected -> scanning 01:35:32 NetworkManager[XX40]: <info> (eth1): device state change: 8 -> 3 (reason 11) 01:35:32 NetworkManager[XX40]: <info> (eth1): deactivating device (reason: 11). 01:35:32 NetworkManager[XX40]: <info> (eth1): canceled DHCP transaction, DHCP client pid XX27 01:35:32 NetworkManager[XX40]: <info> Activation (eth1) starting connection 'Auto XXXXXXXXXX' 01:35:32 NetworkManager[XX40]: <info> (eth1): device state change: 3 -> 4 (reason 0) 01:35:32 NetworkManager[XX40]: <info> Activation (eth1) Stage 1 of 5 (Device Prepare) scheduled... 01:35:32 NetworkManager[XX40]: <info> (eth1): supplicant connection state: scanning -> disconnected 01:35:32 NetworkManager[XX40]: <info> Activation (eth1) Stage 1 of 5 (Device Prepare) started... 01:35:32 NetworkManager[XX40]: <info> Activation (eth1) Stage 2 of 5 (Device Configure) scheduled... 01:35:32 NetworkManager[XX40]: <info> Activation (eth1) Stage 1 of 5 (Device Prepare) complete. 01:35:32 NetworkManager[XX40]: <info> Activation (eth1) Stage 2 of 5 (Device Configure) starting... 01:35:32 NetworkManager[XX40]: <info> (eth1): device state change: 4 -> 5 (reason 0) 01:35:32 NetworkManager[XX40]: <info> Activation (eth1/wireless): access point 'Auto XXXXXXXXXX' has security, but secrets are required. 01:35:32 NetworkManager[XX40]: <info> (eth1): device state change: 5 -> 6 (reason 0) 01:35:32 NetworkManager[XX40]: <info> Activation (eth1) Stage 2 of 5 (Device Configure) complete. 01:35:32 NetworkManager[XX40]: <info> Activation (eth1) Stage 1 of 5 (Device Prepare) scheduled... 01:35:32 NetworkManager[XX40]: <info> Activation (eth1) Stage 1 of 5 (Device Prepare) started... 01:35:32 NetworkManager[XX40]: <info> (eth1): device state change: 6 -> 4 (reason 0) 01:35:32 NetworkManager[XX40]: <info> Activation (eth1) Stage 2 of 5 (Device Configure) scheduled... 01:35:32 NetworkManager[XX40]: <info> Activation (eth1) Stage 1 of 5 (Device Prepare) complete. 01:35:32 NetworkManager[XX40]: <info> Activation (eth1) Stage 2 of 5 (Device Configure) starting... 01:35:32 NetworkManager[XX40]: <info> (eth1): device state change: 4 -> 5 (reason 0) 01:35:32 NetworkManager[XX40]: <info> Activation (eth1/wireless): connection 'Auto XXXXXXXXXX' has security, and secrets exist. No new secrets needed. 01:35:32 NetworkManager[XX40]: <info> Config: added 'ssid' value 'XXXXXXXXXX' 01:35:32 NetworkManager[XX40]: <info> Config: added 'scan_ssid' value '1' 01:35:32 NetworkManager[XX40]: <info> Config: added 'key_mgmt' value 'WPA-EAP' 01:35:32 NetworkManager[XX40]: <info> Config: added 'password' value '<omitted>' 01:35:32 NetworkManager[XX40]: <info> Config: added 'eap' value 'PEAP' 01:35:32 NetworkManager[XX40]: <info> Config: added 'fragment_size' value 'XXX0' 01:35:32 NetworkManager[XX40]: <info> Config: added 'phase2' value 'auth=MSCHAPV2' 01:35:32 NetworkManager[XX40]: <info> Config: added 'ca_cert' value '/etc/ssl/certs/Equifax_Secure_CA.pem' 01:35:32 NetworkManager[XX40]: <info> Config: added 'identity' value 'XXXXXXX' 01:35:32 NetworkManager[XX40]: <info> Activation (eth1) Stage 2 of 5 (Device Configure) complete. 01:35:32 NetworkManager[XX40]: <info> Config: set interface ap_scan to 1 01:35:32 NetworkManager[XX40]: <info> (eth1): supplicant connection state: disconnected -> scanning 01:35:36 wpa_supplicant[XX60]: Associated with XX:XX:XX:XX:XX:XX 01:35:36 NetworkManager[XX40]: <info> (eth1): supplicant connection state: scanning -> associated 01:35:36 wpa_supplicant[XX60]: CTRL-EVENT-EAP-STARTED EAP authentication started 01:35:36 wpa_supplicant[XX60]: CTRL-EVENT-EAP-METHOD EAP vendor 0 method 25 (PEAP) selected 01:35:36 wpa_supplicant[XX60]: EAP-MSCHAPV2: Authentication succeeded 01:35:36 wpa_supplicant[XX60]: EAP-TLV: TLV Result - Success - EAP-TLV/Phase2 Completed 01:35:36 wpa_supplicant[XX60]: CTRL-EVENT-EAP-SUCCESS EAP authentication completed successfully 01:35:36 NetworkManager[XX40]: <info> (eth1): supplicant connection state: associated -> 4-way handshake 01:35:36 wpa_supplicant[XX60]: WPA: Could not find AP from the scan results 01:35:36 wpa_supplicant[XX60]: WPA: Key negotiation completed with XX:XX:XX:XX:XX:XX [PTK=CCMP GTK=TKIP] 01:35:36 wpa_supplicant[XX60]: CTRL-EVENT-CONNECTED - Connection to XX:XX:XX:XX:XX:XX completed (reauth) [id=0 id_str=] 01:35:36 NetworkManager[XX40]: <info> (eth1): supplicant connection state: 4-way handshake -> group handshake 01:35:36 NetworkManager[XX40]: <info> (eth1): supplicant connection state: group handshake -> completed 01:35:36 NetworkManager[XX40]: <info> Activation (eth1/wireless) Stage 2 of 5 (Device Configure) successful. Connected to wireless network 'XXXXXXXXXX'. 01:35:36 NetworkManager[XX40]: <info> Activation (eth1) Stage 3 of 5 (IP Configure Start) scheduled. 01:35:36 NetworkManager[XX40]: <info> Activation (eth1) Stage 3 of 5 (IP Configure Start) started... 01:35:36 NetworkManager[XX40]: <info> (eth1): device state change: 5 -> 7 (reason 0) 01:35:36 NetworkManager[XX40]: <info> Activation (eth1) Beginning DHCPv4 transaction (timeout in 45 seconds) 01:35:36 NetworkManager[XX40]: <info> dhclient started with pid XX87 01:35:36 NetworkManager[XX40]: <info> Activation (eth1) Stage 3 of 5 (IP Configure Start) complete. 01:35:36 dhclient: Internet Systems Consortium DHCP Client VXXX.XXX.XXX 01:35:36 dhclient: Copyright 2004-2009 Internet Systems Consortium. 01:35:36 dhclient: All rights reserved. 01:35:36 dhclient: For info, please visit https://www.isc.org/software/dhcp/ 01:35:36 dhclient: 01:35:36 NetworkManager[XX40]: <info> (eth1): DHCPv4 state changed nbi -> preinit 01:35:36 dhclient: Listening on LPF/eth1/XX:XX:XX:XX:XX:XX 01:35:36 dhclient: Sending on LPF/eth1/XX:XX:XX:XX:XX:XX 01:35:36 dhclient: Sending on Socket/fallback 01:35:36 dhclient: DHCPREQUEST of XXX.XXX.XXX.XXX on eth1 to XXX.XXX.XXX.XXX port 67 01:35:36 dhclient: DHCPACK of XXX.XXX.XXX.XXX from XXX.XXX.XXX.XXX 01:35:36 dhclient: bound to XXX.XXX.XXX.XXX -- renewal in XXX seconds. 01:35:36 NetworkManager[XX40]: <info> (eth1): DHCPv4 state changed preinit -> reboot 01:35:36 NetworkManager[XX40]: <info> Activation (eth1) Stage 4 of 5 (IP4 Configure Get) scheduled... 01:35:36 NetworkManager[XX40]: <info> Activation (eth1) Stage 4 of 5 (IP4 Configure Get) started... 01:35:36 NetworkManager[XX40]: <info> address XXX.XXX.XXX.XXX 01:35:36 NetworkManager[XX40]: <info> prefix 20 (XXX.XXX.XXX.XXX) 01:35:36 NetworkManager[XX40]: <info> gateway XXX.XXX.XXX.XXX 01:35:36 NetworkManager[XX40]: <info> nameserver 'XXX.XXX.XXX.XXX' 01:35:36 NetworkManager[XX40]: <info> nameserver 'XXX.XXX.XXX.XXX' 01:35:36 NetworkManager[XX40]: <info> nameserver 'XXX.XXX.XXX.XXX' 01:35:36 NetworkManager[XX40]: <info> domain name 'server.domain.tld' 01:35:36 NetworkManager[XX40]: <info> Activation (eth1) Stage 5 of 5 (IP Configure Commit) scheduled... 01:35:36 NetworkManager[XX40]: <info> Activation (eth1) Stage 4 of 5 (IP4 Configure Get) complete. 01:35:36 NetworkManager[XX40]: <info> Activation (eth1) Stage 5 of 5 (IP Configure Commit) started... 01:35:37 NetworkManager[XX40]: <info> (eth1): device state change: 7 -> 8 (reason 0) 01:35:37 NetworkManager[XX40]: <info> (eth1): roamed from BSSID XX:XX:XX:XX:XX:XX (XXXXXXXXXX) to XX:XX:XX:XX:XX:XX (XXXXXXXXX) 01:35:37 NetworkManager[XX40]: <info> Policy set 'Auto XXXXXXXXXX' (eth1) as default for IPv4 routing and DNS. 01:35:37 NetworkManager[XX40]: <info> Activation (eth1) successful, device activated. 01:35:37 NetworkManager[XX40]: <info> Activation (eth1) Stage 5 of 5 (IP Configure Commit) complete. 01:35:43 wpa_supplicant[XX60]: Trying to associate with XX:XX:XX:XX:XX:XX (SSID='XXXXXXXXXX' freq=2412 MHz) 01:35:43 NetworkManager[XX40]: <info> (eth1): supplicant connection state: completed -> associating 01:35:43 wpa_supplicant[XX60]: Association request to the driver failed 01:35:46 wpa_supplicant[XX60]: Associated with XX:XX:XX:XX:XX:XX 01:35:46 NetworkManager[XX40]: <info> (eth1): supplicant connection state: associating -> associated 01:35:46 NetworkManager[XX40]: <info> (eth1): supplicant connection state: associated -> 4-way handshake 01:35:46 wpa_supplicant[XX60]: WPA: Key negotiation completed with XX:XX:XX:XX:XX:XX [PTK=CCMP GTK=TKIP] 01:35:46 wpa_supplicant[XX60]: CTRL-EVENT-CONNECTED - Connection to XX:XX:XX:XX:XX:XX completed (reauth) [id=0 id_str=] 01:35:46 NetworkManager[XX40]: <info> (eth1): supplicant connection state: 4-way handshake -> group handshake 01:35:46 NetworkManager[XX40]: <info> (eth1): supplicant connection state: group handshake -> completed 01:40:47 wpa_supplicant[XX60]: WPA: Group rekeying completed with XX:XX:XX:XX:XX:XX [GTK=TKIP] 01:40:47 NetworkManager[XX40]: <info> (eth1): supplicant connection state: completed -> group handshake 01:40:47 NetworkManager[XX40]: <info> (eth1): supplicant connection state: group handshake -> completed 01:50:19 dhclient: DHCPREQUEST of XXX.XXX.XXX.XXX on eth1 to XXX.XXX.XXX.XXX port 67 01:50:19 dhclient: DHCPACK of XXX.XXX.XXX.XXX from XXX.XXX.XXX.XXX

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  • CLSF & CLK 2013 Trip Report by Jeff Liu

    - by jamesmorris
    This is a contributed post from Jeff Liu, lead XFS developer for the Oracle mainline Linux kernel team. Recently, I attended both the China Linux Storage and Filesystem workshop (CLSF), and the China Linux Kernel conference (CLK), which were held in Shanghai. Here are the highlights for both events. CLSF - 17th October XFS update (led by Jeff Liu) XFS keeps rapid progress with a lot of changes, especially focused on the infrastructure/performance improvements as well as  new feature development.  This can be reflected with a sample statistics among XFS/Ext4+JBD2/Btrfs via: # git diff --stat --minimal -C -M v3.7..v3.12-rc4 -- fs/xfs|fs/ext4+fs/jbd2|fs/btrfs XFS: 141 files changed, 27598 insertions(+), 19113 deletions(-) Ext4+JBD2: 39 files changed, 10487 insertions(+), 5454 deletions(-) Btrfs: 70 files changed, 19875 insertions(+), 8130 deletions(-) What made up those changes in XFS? Self-describing metadata(CRC32c). This is a new feature and it contributed about 70% code changes, it can be enabled via `mkfs.xfs -m crc=1 /dev/xxx` for v5 superblock. Transaction log space reservation improvements. With this change, we can calculate the log space reservation at mount time rather than runtime to reduce the the CPU overhead. User namespace support. So both XFS and USERNS can be enabled on kernel configuration begin from Linux 3.10. Thanks Dwight Engen's efforts for this thing. Split project/group quota inodes. Originally, project quota can not be enabled with group quota at the same time because they were share the same quota file inode, now it works but only for v5 super block. i.e, CRC enabled. CONFIG_XFS_WARN, an new lightweight runtime debugger which can be deployed in production environment. Readahead log object recovery, this change can speed up the log replay progress significantly. Speculative preallocation inode tracking, clearing and throttling. The main purpose is to deal with inodes with post-EOF space due to speculative preallocation, support improved quota management to free up a significant amount of unwritten space when at or near EDQUOT. It support backgroup scanning which occurs on a longish interval(5 mins by default, tunable), and on-demand scanning/trimming via ioctl(2). Bitter arguments ensued from this session, especially for the comparison between Ext4 and Btrfs in different areas, I have to spent a whole morning of the 1st day answering those questions. We basically agreed on XFS is the best choice in Linux nowadays because: Stable, XFS has a good record in stability in the past 10 years. Fengguang Wu who lead the 0-day kernel test project also said that he has observed less error than other filesystems in the past 1+ years, I own it to the XFS upstream code reviewer, they always performing serious code review as well as testing. Good performance for large/small files, XFS does not works very well for small files has already been an old story for years. Best choice (maybe) for distributed PB filesystems. e.g, Ceph recommends delopy OSD daemon on XFS because Ext4 has limited xattr size. Best choice for large storage (>16TB). Ext4 does not support a single file more than around 15.95TB. Scalability, any objection to XFS is best in this point? :) XFS is better to deal with transaction concurrency than Ext4, why? The maximum size of the log in XFS is 2038MB compare to 128MB in Ext4. Misc. Ext4 is widely used and it has been proved fast/stable in various loads and scenarios, XFS just need more customers, and Btrfs is still on the road to be a manhood. Ceph Introduction (Led by Li Wang) This a hot topic.  Li gave us a nice introduction about the design as well as their current works. Actually, Ceph client has been included in Linux kernel since 2.6.34 and supported by Openstack since Folsom but it seems that it has not yet been widely deployment in production environment. Their major work is focus on the inline data support to separate the metadata and data storage, reduce the file access time, i.e, a file access need communication twice, fetch the metadata from MDS and then get data from OSD, and also, the small file access is limited by the network latency. The solution is, for the small files they would like to store the data at metadata so that when accessing a small file, the metadata server can push both metadata and data to the client at the same time. In this way, they can reduce the overhead of calculating the data offset and save the communication to OSD. For this feature, they have only run some small scale testing but really saw noticeable improvements. Test environment: Intel 2 CPU 12 Core, 64GB RAM, Ubuntu 12.04, Ceph 0.56.6 with 200GB SATA disk, 15 OSD, 1 MDS, 1 MON. The sequence read performance for 1K size files improved about 50%. I have asked Li and Zheng Yan (the core developer of Ceph, who also worked on Btrfs) whether Ceph is really stable and can be deployed at production environment for large scale PB level storage, but they can not give a positive answer, looks Ceph even does not spread over Dreamhost (subject to confirmation). From Li, they only deployed Ceph for a small scale storage(32 nodes) although they'd like to try 6000 nodes in the future. Improve Linux swap for Flash storage (led by Shaohua Li) Because of high density, low power and low price, flash storage (SSD) is a good candidate to partially replace DRAM. A quick answer for this is using SSD as swap. But Linux swap is designed for slow hard disk storage, so there are a lot of challenges to efficiently use SSD for swap. SWAPOUT swap_map scan swap_map is the in-memory data structure to track swap disk usage, but it is a slow linear scan. It will become a bottleneck while finding many adjacent pages in the use of SSD. Shaohua Li have changed it to a cluster(128K) list, resulting in O(1) algorithm. However, this apporoach needs restrictive cluster alignment and only enabled for SSD. IO pattern In most cases, the swap io is in interleaved pattern because of mutiple reclaimers or a free cluster is shared by all reclaimers. Even though block layer can merge interleaved IO to some extent, but we cannot count on it completely. Hence the per-cpu cluster is added base on the previous change, it can help reclaimer do sequential IO and the block layer will be easier to merge IO. TLB flush: If we're reclaiming one active page, we should first move the page from active lru list to inactive lru list, and then reclaim the page from inactive lru to swap it out. During the process, we need to clear PTE twice: first is 'A'(ACCESS) bit, second is 'P'(PRESENT) bit. Processors need to send lots of ipi which make the TLB flush really expensive. Some works have been done to improve this, including rework smp_call_functiom_many() or remove the first TLB flush in x86, but there still have some arguments here and only parts of works have been pushed to mainline. SWAPIN: Page fault does iodepth=1 sync io, but it's a little waste if only issue a page size's IO. The obvious solution is doing swap readahead. But the current in-kernel swap readahead is arbitary(always 8 pages), and it always doesn't perform well for both random and sequential access workload. Shaohua introduced a new flag for madvise(MADV_WILLNEED) to do swap prefetch, so the changes happen in userspace API and leave the in-kernel readahead unchanged(but I think some improvement can also be done here). SWAP discard As we know, discard is important for SSD write throughout, but the current swap discard implementation is synchronous. He changed it to async discard which allow discard and write run in the same time. Meanwhile, the unit of discard is also optimized to cluster. Misc: lock contention For many concurrent swapout and swapin , the lock contention such as anon_vma or swap_lock is high, so he changed the swap_lock to a per-swap lock. But there still have some lock contention in very high speed SSD because of swapcache address_space lock. Zproject (led by Bob Liu) Bob gave us a very nice introduction about the current memory compression status. Now there are 3 projects(zswap/zram/zcache) which all aim at smooth swap IO storm and promote performance, but they all have their own pros and cons. ZSWAP It is implemented based on frontswap API and it uses a dynamic allocater named Zbud to allocate free pages. Zbud means pairs of zpages are "buddied" and it can only store at most two compressed pages in one page frame, so the max compress ratio is 50%. Each page frame is lru-linked and can do shink in memory pressure. If the compressed memory pool reach its limitation, shink or reclaim happens. It decompress the page frame into two new allocated pages and then write them to real swap device, but it can fail when allocating the two pages. ZRAM Acts as a compressed ramdisk and used as swap device, and it use zsmalloc as its allocator which has high density but may have fragmentation issues. Besides, page reclaim is hard since it will need more pages to uncompress and free just one page. ZRAM is preferred by embedded system which may not have any real swap device. Now both ZRAM and ZSWAP are in driver/staging tree, and in the mm community there are some disscussions of merging ZRAM into ZSWAP or viceversa, but no agreement yet. ZCACHE Handles file page compression but it is removed out of staging recently. From industry (led by Tang Jie, LSI) An LSI engineer introduced several new produces to us. The first is raid5/6 cards that it use full stripe writes to improve performance. The 2nd one he introduced is SandForce flash controller, who can understand data file types (data entropy) to reduce write amplification (WA) for nearly all writes. It's called DuraWrite and typical WA is 0.5. What's more, if enable its Dynamic Logical Capacity function module, the controller can do data compression which is transparent to upper layer. LSI testing shows that with this virtual capacity enables 1x TB drive can support up to 2x TB capacity, but the application must monitor free flash space to maintain optimal performance and to guard against free flash space exhaustion. He said the most useful application is for datebase. Another thing I think it's worth to mention is that a NV-DRAM memory in NMR/Raptor which is directly exposed to host system. Applications can directly access the NV-DRAM via a memory address - using standard system call mmap(). He said that it is very useful for database logging now. This kind of NVM produces are beginning to appear in recent years, and it is said that Samsung is building a research center in China for related produces. IMHO, NVM will bring an effect to current os layer especially on file system, e.g. its journaling may need to redesign to fully utilize these nonvolatile memory. OCFS2 (led by Canquan Shen) Without a doubt, HuaWei is the biggest contributor to OCFS2 in the past two years. They have posted 46 upstream patches and 39 patches have been merged. Their current project is based on 32/64 nodes cluster, but they also tried 128 nodes at the experimental stage. The major work they are working is to support ATS (atomic test and set), it can be works with DLM at the same time. Looks this idea is inspired by the vmware VMFS locking, i.e, http://blogs.vmware.com/vsphere/2012/05/vmfs-locking-uncovered.html CLK - 18th October 2013 Improving Linux Development with Better Tools (Andi Kleen) This talk focused on how to find/solve bugs along with the Linux complexity growing. Generally, we can do this with the following kind of tools: Static code checkers tools. e.g, sparse, smatch, coccinelle, clang checker, checkpatch, gcc -W/LTO, stanse. This can help check a lot of things, simple mistakes, complex problems, but the challenges are: some are very slow, false positives, may need a concentrated effort to get false positives down. Especially, no static checker I found can follow indirect calls (“OO in C”, common in kernel): struct foo_ops { int (*do_foo)(struct foo *obj); } foo->do_foo(foo); Dynamic runtime checkers, e.g, thread checkers, kmemcheck, lockdep. Ideally all kernel code would come with a test suite, then someone could run all the dynamic checkers. Fuzzers/test suites. e.g, Trinity is a great tool, it finds many bugs, but needs manual model for each syscall. Modern fuzzers around using automatic feedback, but notfor kernel yet: http://taviso.decsystem.org/making_software_dumber.pdf Debuggers/Tracers to understand code, e.g, ftrace, can dump on events/oops/custom triggers, but still too much overhead in many cases to run always during debug. Tools to read/understand source, e.g, grep/cscope work great for many cases, but do not understand indirect pointers (OO in C model used in kernel), give us all “do_foo” instances: struct foo_ops { int (*do_foo)(struct foo *obj); } = { .do_foo = my_foo }; foo>do_foo(foo); That would be great to have a cscope like tool that understands this based on types/initializers XFS: The High Performance Enterprise File System (Jeff Liu) [slides] I gave a talk for introducing the disk layout, unique features, as well as the recent changes.   The slides include some charts to reflect the performances between XFS/Btrfs/Ext4 for small files. About a dozen users raised their hands when I asking who has experienced with XFS. I remembered that when I asked the same question in LinuxCon/Japan, only 3 people raised their hands, but they are Chris Mason, Ric Wheeler, and another attendee. The attendee questions were mainly focused on stability, and comparison with other file systems. Linux Containers (Feng Gao) The speaker introduced us that the purpose for those kind of namespaces, include mount/UTS/IPC/Network/Pid/User, as well as the system API/ABI. For the userspace tools, He mainly focus on the Libvirt LXC rather than us(LXC). Libvirt LXC is another userspace container management tool, implemented as one type of libvirt driver, it can manage containers, create namespace, create private filesystem layout for container, Create devices for container and setup resources controller via cgroup. In this talk, Feng also mentioned another two possible new namespaces in the future, the 1st is the audit, but not sure if it should be assigned to user namespace or not. Another is about syslog, but the question is do we really need it? In-memory Compression (Bob Liu) Same as CLSF, a nice introduction that I have already mentioned above. Misc There were some other talks related to ACPI based memory hotplug, smart wake-affinity in scheduler etc., but my head is not big enough to record all those things. -- Jeff Liu

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  • CodePlex Daily Summary for Tuesday, May 25, 2010

    CodePlex Daily Summary for Tuesday, May 25, 2010New ProjectsBibleNames: BibleNames BibleNames BibleNames BibleNames BibleNamesBing Search for PHP Developers: This is the Bing SDK for PHP, a toolkit that allows you to easily use Bing's API to fetch search results and use in your own application. The Bin...Fading Clock: Fading Clock is a normal clock that has the ability to fade in out. It's developed in C# as a Windows App in .net 2.0.Fuzzy string matching algorithm in C# and LINQ: Fuzzy matching strings. Find out how similar two string is, and find the best fuzzy matching string from a string table. Given a string (strA) and...HexTile editor: Testing hexagonal tile editorhgcheck12: hgcheck12Metaverse Router: Metaverse Router makes it easier for MIIS, ILM, FIM Sync engine administrators to manage multiple provisioning modules, turn on/off provisioning wi...MyVocabulary: Use MyVocabulary to structure and test the words you want to learn in a foreign language. This is a .net 3.5 windows forms application developed in...phpxw: Phpxw 是一个简易的PHP框架。以我自己的姓名命名的。 Phpxw is a simple PHP framework. Take my name named.Plop: Social networking wrappers and projects.PST Data Structure View Tool: PST Data Structure View Tool (PSTViewTool) is a tool supporting the PST file format documentation effort. It allows the user to browse the internal...PST File Format SDK: PST File Format SDK (pstsdk) is a cross platform header only C++ library for reading PST files.QWine: QWine is Queue Machine ApplicationSharePoint Cross Site Collection Security Trimmed Navigation: This SP2010 project will show security trimmed navigation that works across site collections. The project is written for SP2010, but can be easily ...SharePoint List Field Manager: The SharePoint List Field Manager allows users to manage the Boolean properties of a list such as Read Only, Hidden, Show in New Form etc... It sup...Silverlight Toolbar for DataGrid working with RIA Services or local data: DataGridToolbar contains two controls for Silverlight DataGrid designed for RIA Services and local data. It can be used to filter or remove a data,...SilverShader - Silverlight Pixel Shader Demos: SilverShader is an extensible Silverlight application that is used to demonstrate the effect of different pixel shaders. The shaders can be applied...SNCFT Gadget: Ce gadget permet de consulter les horaires des trains et de chercher des informations sur le site de la société nationale des chemins de fer tunisi...Software Transaction Memory: Software Transaction Memory for .NETStreamInsight Samples: This project contains sample code for StreamInsight, Microsoft's platform for complex event processing. The purpose of the samples is to provide a ...StyleAnalizer: A CSS parserSudoku (Multiplayer in RnD): Sudoku project was to practice on C# by making a desktop application using some algorithm Before this, I had worked on http://shaktisaran.tech.o...Tiplican: A small website built for the purpose of learning .Net 4 and MVC 2TPager: Mercurial pager with color support on Windowsunirca: UNIRCA projectWcfTrace: The WcfTrace is a easy way to collect information about WCF-service call order, processing time and etc. It's developed in C#.New ReleasesASP.NET TimePicker Control: 12 24 Hour Bug Fix: 12 24 Hour Bug FixASP.NET TimePicker Control: ASP.NET TimePicker Control: This release fixes a focus bug that manifests itself when switching focus between two different timepicker controls on the same page, and make chan...ASP.NET TimePicker Control: ASP.NET TimePicker Control - colon CSS Fix: Fixes ":" seperator placement issues being too hi and too low in IE and FireFox, respectively.ASP.NET TimePicker Control: Release fixes 24 Hour Mode Bug: Release fixes 24 Hour Mode BugBFBC2 PRoCon: PRoCon 0.5.1.1: Visit http://phogue.net/?p=604 for release notes.BFBC2 PRoCon: PRoCon 0.5.1.2: Release notes can be found at http://phogue.net/?p=604BFBC2 PRoCon: PRoCon 0.5.1.4: Ha.. choosing the "stable" option at the moment is a bit of a joke =\ Release notes at http://phogue.net/?p=604BFBC2 PRoCon: PRoCon 0.5.1.5: BWHAHAHA stable.. ha. Actually this ones looking pretty good now. http://phogue.net/?p=604Bojinx: Bojinx Core V4.5.14: Issues fixed in this release: Fixed an issue that caused referencePropertyName when used through a property configuration in the context to not wo...Bojinx: Bojinx Debugger V0.9B: Output trace and filtering that works with the Bojinx logger.CassiniDev - Cassini 3.5/4.0 Developers Edition: CassiniDev 3.5.1.5 and 4.0.1.5 beta3: Fixed fairly serious bug #13290 http://cassinidev.codeplex.com/WorkItem/View.aspx?WorkItemId=13290Content Rendering: Content Rendering API 1.0.0 Revision 46406: Initial releaseDeploy Workflow Manager: Deploy Workflow Manager Web Part v2: Recommend you test in your development environment first BEFORE using in production.dotSpatial: System.Spatial.Projections Zip May 24, 2010: Adds a new spherical projection.eComic: eComic 2010.0.0.2: Quick release to fix a couple of bugs found in the previous version. Version 2010.0.0.2 Fixed crash error when accessing the "Go To Page" dialog ...Exchange 2010 RBAC Editor (RBAC GUI) - updated on 5/24/2010: RBAC Editor 0.9.4.1: Some bugs fixed; support for unscopoedtoplevel (adding script is not working yet) Please use email address in About menu of the tool for any feedb...Facebook Graph Toolkit: Preview 1 Binaries: The first preview release of the toolkit. Not recommended for use in production, but enought to get started developing your app.Fading Clock: Clock.zip: Clock.zip is a zip file that contains the application Clock.exe.hgcheck12: Rel8082: Rel8082hgcheck12: scsc: scasMetaverse Router: Metaverse Router v1.0: Initial stable release (v.1.0.0.0) of Metaverse Router Working with: FIM 2010 Synchronization Engine ILM 2007 MIIS 2003MSTestGlider: MSTestGlider 1.5: What MSTestGlider 1.5.zip unzips to: http://i49.tinypic.com/2lcv4eg.png If you compile MSTestGlider from its source you will need to change the ou...MyVocabulary: Version 1.0: First releaseNLog - Advanced .NET Logging: Nightly Build 2010.05.24.001: Changes since the last build:2010-05-23 20:45:37 Jarek Kowalski fixed whitespace in NLog.wxs 2010-05-23 12:01:48 Jarek Kowalski BufferingTargetWra...NoteExpress User Tools (NEUT) - Do it by ourselves!: NoteExpress User Tools 2.0.0: 测试版本:NoteExpress 2.5.0.1154 +调整了Tab页的排列方式 注:2.0未做大的改动,仅仅是运行环境由原来的.net 3.5升级到4.0。openrs: Beta Release (Revision 1): This is the beta release of the openrs framework. Please make sure you submit issues in the issue tracker tab. As this is beta, extreme, flawless ...openrs: Revision 2: Revision 2 of the framework. Basic worker example as well as minor improvements on the auth packet.phpxw: Phpxw: Phpxw 1.0 phpxw 是一个简易的PHP框架。以我自己的姓名命名的。 Phpxw is a simple PHP framework. Take my name named. 支持基本的业务逻辑流程,功能模块化,实现了简易的模板技术,同时也可以支持外接模板引擎。 Support...sELedit: sELedit v1.1a: Fixed: clean file before overwriting Fixed: list57 will only created when eLC.Lists.length > 57sGSHOPedit: sGSHOPedit v1.0a: Fixed: bug with wrong item array re-size when adding items after deleting items Added: link to project page pwdatabase.com version is now selec...SharePoint Cross Site Collection Security Trimmed Navigation: Release 1.0.0.0: If you want just the .wsp, and start using this, you can grab it here. Just stsadm add/deploy to your website, and activate the feature as describ...Silverlight 4.0 Popup Menu: Context Menu for Silverlight 4.0 v1.24 Beta: - Updated the demo and added clipboard cut/copy and paste functionality. - Added delay on hover events for both parent and child menus. - Parent me...Silverlight Toolbar for DataGrid working with RIA Services or local data: DataGridToolBar Beta: For Silverlight 4.0sMAPtool: sMAPtool v0.7d (without Maps): Added: link to project pagesMODfix: sMODfix v1.0a: Added: Support for ECM v52 modelssNPCedit: sNPCedit v0.9a: browse source commits for all changes...SocialScapes: SocialScapes TwitterWidget 1.0.0: The SocialScapes TwitterWidget is a DotNetNuke Widget for displaying Twitter searches. This widget will be used to replace the twitter functionali...SQL Server 2005 and 2008 - Backup, Integrity Check and Index Optimization: 23 May 2010: This is the latest version of my solution for Backup, Integrity Check and Index Optimization in SQL Server 2005, SQL Server 2008 and SQL Server 200...sqwarea: Sqwarea 0.0.280.0 (alpha): This release brings a lot of improvements. We strongly recommend you to upgrade to this version.sTASKedit: sTASKedit v0.7c: Minor Changes in GUI & BehaviourSudoku (Multiplayer in RnD): Sudoku (Multiplayer in RnD) 1.0.0.0 source: Sudoku project was to practice on C# by making a desktop application using some algorithm Idea: The basic idea of algorithm is from http://www.ac...Sudoku (Multiplayer in RnD): Sudoku (Multiplayer in RnD) 1.0.0.1 source: Worked on user-interface, would improve it Sudoku project was to practice on C# by making a desktop application using some algorithm Idea: The b...TFS WorkItem Watcher: TFS WorkItem Watcher Version 1.0: This version contains the following new features: Added support to autodetect whether to start as a service or to start in console mode. The "-c" ...TfsPolicyPack: TfsPolicyPack 0.1: This is the first release of the TfsPolicyPack. This release includes the following policies: CustomRegexPathPolicythinktecture Starter STS (Community Edition): StarterSTS v1.1 CTP: Added ActAs / identity delegation support.TPager: TPager-20100524: TPager 2010-05-24 releaseTrance Layer: TranceLayer Transformer: Transformer is a Beta version 2, morphing from "Digger" to "Transformer" release cycle. It is intended to be used as a demonstration of muscles wh...TweetSharp: TweetSharp v1.0.0.0: Changes in v1.0.0Added 100% public code comments Bug fixes based on feedback from the Release Candidate Changes to handle Twitter schema additi...VCC: Latest build, v2.1.30524.0: Automatic drop of latest buildWCF Client Generator: Version 0.9.2.33468: Version 0.9.2.33468 Fixed: Nested enum types names are not handled correctly. Can't close Visual Studio if generated files are open when the code...Word 2007 Redaction Tool: Version 1.2: A minor update to the Word 2007 Redaction Tool. This version can be installed directly over any existing version. Updates to Version 1.2Fixed bugs:...xPollinate - Windows Live Writer Cross Post Plugin: 1.0.0.5 for WLW 14.0.8117.416: This version works with WLW 14.0.8117.416. This release includes a fix to enable publishing posts that have been opened directly from a blog, but ...Yet another developer blog - Examples: jQuery Autocomplete in ASP.NET MVC: This sample application shows how to use jQuery Autocomplete plugin in ASP.NET MVC. This application is accompanied by the following entry on Yet a...Most Popular ProjectsRawrWBFS ManagerAJAX Control ToolkitMicrosoft SQL Server Product Samples: DatabaseSilverlight ToolkitWindows Presentation Foundation (WPF)patterns & practices – Enterprise LibraryMicrosoft SQL Server Community & SamplesPHPExcelASP.NETMost Active Projectspatterns & practices – Enterprise LibraryRawrpatterns & practices: Windows Azure Security GuidanceSqlServerExtensionsGMap.NET - Great Maps for Windows Forms & PresentationMono.AddinsCaliburn: An Application Framework for WPF and SilverlightBlogEngine.NETIonics Isapi Rewrite FilterSQL Server PowerShell Extensions

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  • Currency Conversion in Oracle BI applications

    - by Saurabh Verma
    Authored by Vijay Aggarwal and Hichem Sellami A typical data warehouse contains Star and/or Snowflake schema, made up of Dimensions and Facts. The facts store various numerical information including amounts. Example; Order Amount, Invoice Amount etc. With the true global nature of business now-a-days, the end-users want to view the reports in their own currency or in global/common currency as defined by their business. This presents a unique opportunity in BI to provide the amounts in converted rates either by pre-storing or by doing on-the-fly conversions while displaying the reports to the users. Source Systems OBIA caters to various source systems like EBS, PSFT, Sebl, JDE, Fusion etc. Each source has its own unique and intricate ways of defining and storing currency data, doing currency conversions and presenting to the OLTP users. For example; EBS stores conversion rates between currencies which can be classified by conversion rates, like Corporate rate, Spot rate, Period rate etc. Siebel stores exchange rates by conversion rates like Daily. EBS/Fusion stores the conversion rates for each day, where as PSFT/Siebel store for a range of days. PSFT has Rate Multiplication Factor and Rate Division Factor and we need to calculate the Rate based on them, where as other Source systems store the Currency Exchange Rate directly. OBIA Design The data consolidation from various disparate source systems, poses the challenge to conform various currencies, rate types, exchange rates etc., and designing the best way to present the amounts to the users without affecting the performance. When consolidating the data for reporting in OBIA, we have designed the mechanisms in the Common Dimension, to allow users to report based on their required currencies. OBIA Facts store amounts in various currencies: Document Currency: This is the currency of the actual transaction. For a multinational company, this can be in various currencies. Local Currency: This is the base currency in which the accounting entries are recorded by the business. This is generally defined in the Ledger of the company. Global Currencies: OBIA provides five Global Currencies. Three are used across all modules. The last two are for CRM only. A Global currency is very useful when creating reports where the data is viewed enterprise-wide. Example; a US based multinational would want to see the reports in USD. The company will choose USD as one of the global currencies. OBIA allows users to define up-to five global currencies during the initial implementation. The term Currency Preference is used to designate the set of values: Document Currency, Local Currency, Global Currency 1, Global Currency 2, Global Currency 3; which are shared among all modules. There are four more currency preferences, specific to certain modules: Global Currency 4 (aka CRM Currency) and Global Currency 5 which are used in CRM; and Project Currency and Contract Currency, used in Project Analytics. When choosing Local Currency for Currency preference, the data will show in the currency of the Ledger (or Business Unit) in the prompt. So it is important to select one Ledger or Business Unit when viewing data in Local Currency. More on this can be found in the section: Toggling Currency Preferences in the Dashboard. Design Logic When extracting the fact data, the OOTB mappings extract and load the document amount, and the local amount in target tables. It also loads the exchange rates required to convert the document amount into the corresponding global amounts. If the source system only provides the document amount in the transaction, the extract mapping does a lookup to get the Local currency code, and the Local exchange rate. The Load mapping then uses the local currency code and rate to derive the local amount. The load mapping also fetches the Global Currencies and looks up the corresponding exchange rates. The lookup of exchange rates is done via the Exchange Rate Dimension provided as a Common/Conforming Dimension in OBIA. The Exchange Rate Dimension stores the exchange rates between various currencies for a date range and Rate Type. Two physical tables W_EXCH_RATE_G and W_GLOBAL_EXCH_RATE_G are used to provide the lookups and conversions between currencies. The data is loaded from the source system’s Ledger tables. W_EXCH_RATE_G stores the exchange rates between currencies with a date range. On the other hand, W_GLOBAL_EXCH_RATE_G stores the currency conversions between the document currency and the pre-defined five Global Currencies for each day. Based on the requirements, the fact mappings can decide and use one or both tables to do the conversion. Currency design in OBIA also taps into the MLS and Domain architecture, thus allowing the users to map the currencies to a universal Domain during the implementation time. This is especially important for companies deploying and using OBIA with multiple source adapters. Some Gotchas to Look for It is necessary to think through the currencies during the initial implementation. 1) Identify various types of currencies that are used by your business. Understand what will be your Local (or Base) and Documentation currency. Identify various global currencies that your users will want to look at the reports. This will be based on the global nature of your business. Changes to these currencies later in the project, while permitted, but may cause Full data loads and hence lost time. 2) If the user has a multi source system make sure that the Global Currencies and Global Rate Types chosen in Configuration Manager do have the corresponding source specific counterparts. In other words, make sure for every DW specific value chosen for Currency Code or Rate Type, there is a source Domain mapping already done. Technical Section This section will briefly mention the technical scenarios employed in the OBIA adaptors to extract data from each source system. In OBIA, we have two main tables which store the Currency Rate information as explained in previous sections. W_EXCH_RATE_G and W_GLOBAL_EXCH_RATE_G are the two tables. W_EXCH_RATE_G stores all the Currency Conversions present in the source system. It captures data for a Date Range. W_GLOBAL_EXCH_RATE_G has Global Currency Conversions stored at a Daily level. However the challenge here is to store all the 5 Global Currency Exchange Rates in a single record for each From Currency. Let’s voyage further into the Source System Extraction logic for each of these tables and understand the flow briefly. EBS: In EBS, we have Currency Data stored in GL_DAILY_RATES table. As the name indicates GL_DAILY_RATES EBS table has data at a daily level. However in our warehouse we store the data with a Date Range and insert a new range record only when the Exchange Rate changes for a particular From Currency, To Currency and Rate Type. Below are the main logical steps that we employ in this process. (Incremental Flow only) – Cleanup the data in W_EXCH_RATE_G. Delete the records which have Start Date > minimum conversion date Update the End Date of the existing records. Compress the daily data from GL_DAILY_RATES table into Range Records. Incremental map uses $$XRATE_UPD_NUM_DAY as an extra parameter. Generate Previous Rate, Previous Date and Next Date for each of the Daily record from the OLTP. Filter out the records which have Conversion Rate same as Previous Rates or if the Conversion Date lies within a single day range. Mark the records as ‘Keep’ and ‘Filter’ and also get the final End Date for the single Range record (Unique Combination of From Date, To Date, Rate and Conversion Date). Filter the records marked as ‘Filter’ in the INFA map. The above steps will load W_EXCH_RATE_GS. Step 0 updates/deletes W_EXCH_RATE_G directly. SIL map will then insert/update the GS data into W_EXCH_RATE_G. These steps convert the daily records in GL_DAILY_RATES to Range records in W_EXCH_RATE_G. We do not need such special logic for loading W_GLOBAL_EXCH_RATE_G. This is a table where we store data at a Daily Granular Level. However we need to pivot the data because the data present in multiple rows in source tables needs to be stored in different columns of the same row in DW. We use GROUP BY and CASE logic to achieve this. Fusion: Fusion has extraction logic very similar to EBS. The only difference is that the Cleanup logic that was mentioned in step 0 above does not use $$XRATE_UPD_NUM_DAY parameter. In Fusion we bring all the Exchange Rates in Incremental as well and do the cleanup. The SIL then takes care of Insert/Updates accordingly. PeopleSoft:PeopleSoft does not have From Date and To Date explicitly in the Source tables. Let’s look at an example. Please note that this is achieved from PS1 onwards only. 1 Jan 2010 – USD to INR – 45 31 Jan 2010 – USD to INR – 46 PSFT stores records in above fashion. This means that Exchange Rate of 45 for USD to INR is applicable for 1 Jan 2010 to 30 Jan 2010. We need to store data in this fashion in DW. Also PSFT has Exchange Rate stored as RATE_MULT and RATE_DIV. We need to do a RATE_MULT/RATE_DIV to get the correct Exchange Rate. We generate From Date and To Date while extracting data from source and this has certain assumptions: If a record gets updated/inserted in the source, it will be extracted in incremental. Also if this updated/inserted record is between other dates, then we also extract the preceding and succeeding records (based on dates) of this record. This is required because we need to generate a range record and we have 3 records whose ranges have changed. Taking the same example as above, if there is a new record which gets inserted on 15 Jan 2010; the new ranges are 1 Jan to 14 Jan, 15 Jan to 30 Jan and 31 Jan to Next available date. Even though 1 Jan record and 31 Jan have not changed, we will still extract them because the range is affected. Similar logic is used for Global Exchange Rate Extraction. We create the Range records and get it into a Temporary table. Then we join to Day Dimension, create individual records and pivot the data to get the 5 Global Exchange Rates for each From Currency, Date and Rate Type. Siebel: Siebel Facts are dependent on Global Exchange Rates heavily and almost none of them really use individual Exchange Rates. In other words, W_GLOBAL_EXCH_RATE_G is the main table used in Siebel from PS1 release onwards. As of January 2002, the Euro Triangulation method for converting between currencies belonging to EMU members is not needed for present and future currency exchanges. However, the method is still available in Siebel applications, as are the old currencies, so that historical data can be maintained accurately. The following description applies only to historical data needing conversion prior to the 2002 switch to the Euro for the EMU member countries. If a country is a member of the European Monetary Union (EMU), you should convert its currency to other currencies through the Euro. This is called triangulation, and it is used whenever either currency being converted has EMU Triangulation checked. Due to this, there are multiple extraction flows in SEBL ie. EUR to EMU, EUR to NonEMU, EUR to DMC and so on. We load W_EXCH_RATE_G through multiple flows with these data. This has been kept same as previous versions of OBIA. W_GLOBAL_EXCH_RATE_G being a new table does not have such needs. However SEBL does not have From Date and To Date columns in the Source tables similar to PSFT. We use similar extraction logic as explained in PSFT section for SEBL as well. What if all 5 Global Currencies configured are same? As mentioned in previous sections, from PS1 onwards we store Global Exchange Rates in W_GLOBAL_EXCH_RATE_G table. The extraction logic for this table involves Pivoting data from multiple rows into a single row with 5 Global Exchange Rates in 5 columns. As mentioned in previous sections, we use CASE and GROUP BY functions to achieve this. This approach poses a unique problem when all the 5 Global Currencies Chosen are same. For example – If the user configures all 5 Global Currencies as ‘USD’ then the extract logic will not be able to generate a record for From Currency=USD. This is because, not all Source Systems will have a USD->USD conversion record. We have _Generated mappings to take care of this case. We generate a record with Conversion Rate=1 for such cases. Reusable Lookups Before PS1, we had a Mapplet for Currency Conversions. In PS1, we only have reusable Lookups- LKP_W_EXCH_RATE_G and LKP_W_GLOBAL_EXCH_RATE_G. These lookups have another layer of logic so that all the lookup conditions are met when they are used in various Fact Mappings. Any user who would want to do a LKP on W_EXCH_RATE_G or W_GLOBAL_EXCH_RATE_G should and must use these Lookups. A direct join or Lookup on the tables might lead to wrong data being returned. Changing Currency preferences in the Dashboard: In the 796x series, all amount metrics in OBIA were showing the Global1 amount. The customer needed to change the metric definitions to show them in another Currency preference. Project Analytics started supporting currency preferences since 7.9.6 release though, and it published a Tech note for other module customers to add toggling between currency preferences to the solution. List of Currency Preferences Starting from 11.1.1.x release, the BI Platform added a new feature to support multiple currencies. The new session variable (PREFERRED_CURRENCY) is populated through a newly introduced currency prompt. This prompt can take its values from the xml file: userpref_currencies_OBIA.xml, which is hosted in the BI Server installation folder, under :< home>\instances\instance1\config\OracleBIPresentationServicesComponent\coreapplication_obips1\userpref_currencies.xml This file contains the list of currency preferences, like“Local Currency”, “Global Currency 1”,…which customers can also rename to give them more meaningful business names. There are two options for showing the list of currency preferences to the user in the dashboard: Static and Dynamic. In Static mode, all users will see the full list as in the user preference currencies file. In the Dynamic mode, the list shown in the currency prompt drop down is a result of a dynamic query specified in the same file. Customers can build some security into the rpd, so the list of currency preferences will be based on the user roles…BI Applications built a subject area: “Dynamic Currency Preference” to run this query, and give every user only the list of currency preferences required by his application roles. Adding Currency to an Amount Field When the user selects one of the items from the currency prompt, all the amounts in that page will show in the Currency corresponding to that preference. For example, if the user selects “Global Currency1” from the prompt, all data will be showing in Global Currency 1 as specified in the Configuration Manager. If the user select “Local Currency”, all amount fields will show in the Currency of the Business Unit selected in the BU filter of the same page. If there is no particular Business Unit selected in that filter, and the data selected by the query contains amounts in more than one currency (for example one BU has USD as a functional currency, the other has EUR as functional currency), then subtotals will not be available (cannot add USD and EUR amounts in one field), and depending on the set up (see next paragraph), the user may receive an error. There are two ways to add the Currency field to an amount metric: In the form of currency code, like USD, EUR…For this the user needs to add the field “Apps Common Currency Code” to the report. This field is in every subject area, usually under the table “Currency Tag” or “Currency Code”… In the form of currency symbol ($ for USD, € for EUR,…) For this, the user needs to format the amount metrics in the report as a currency column, by specifying the currency tag column in the Column Properties option in Column Actions drop down list. Typically this column should be the “BI Common Currency Code” available in every subject area. Select Column Properties option in the Edit list of a metric. In the Data Format tab, select Custom as Treat Number As. Enter the following syntax under Custom Number Format: [$:currencyTagColumn=Subjectarea.table.column] Where Column is the “BI Common Currency Code” defined to take the currency code value based on the currency preference chosen by the user in the Currency preference prompt.

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  • ??ORACLE(?):PMON Release Lock

    - by Liu Maclean(???)
    ?????Oracle????????????PMON???????,??????ORACLE PROCESS,??cleanup dead process????release enqueue lock ,???cleanup latch? ????????????????, ????????????Pmon cleanup dead process?release lock??????????? ??Oracle=> MicroOracle, Maclean???????????Oracle behavior: SQL> select * from v$version; BANNER -------------------------------------------------------------------------------- Oracle Database 11g Enterprise Edition Release 11.2.0.3.0 - 64bit Production PL/SQL Release 11.2.0.3.0 - Production CORE    11.2.0.3.0      Production TNS for Linux: Version 11.2.0.3.0 - Production NLSRTL Version 11.2.0.3.0 - Production SQL> select * from global_name; GLOBAL_NAME -------------------------------------------------------------------------------- www.oracledatabase12g.com SQL> select pid,program  from v$process;        PID PROGRAM ---------- ------------------------------------------------          1 PSEUDO          2 [email protected] (PMON)          3 [email protected] (PSP0)          4 [email protected] (VKTM)          5 [email protected] (GEN0)          6 [email protected] (DIAG)          7 [email protected] (DBRM)          8 [email protected] (PING)          9 [email protected] (ACMS)         10 [email protected] (DIA0)         11 [email protected] (LMON)         12 [email protected] (LMD0)         13 [email protected] (LMS0)         14 [email protected] (RMS0)         15 [email protected] (LMHB)         16 [email protected] (MMAN)         17 [email protected] (DBW0)         18 [email protected] (LGWR)         19 [email protected] (CKPT)         20 [email protected] (SMON)         21 [email protected] (RECO)         22 [email protected] (RBAL)         23 [email protected] (ASMB)         24 [email protected] (MMON)         25 [email protected] (MMNL)         26 [email protected] (MARK)         27 [email protected] (D000)         28 [email protected] (SMCO)         29 [email protected] (S000)         30 [email protected] (LCK0)         31 [email protected] (RSMN)         32 [email protected] (TNS V1-V3)         33 [email protected] (W000)         34 [email protected] (TNS V1-V3)         35 [email protected] (TNS V1-V3)         37 [email protected] (ARC0)         38 [email protected] (ARC1)         40 [email protected] (ARC2)         41 [email protected] (ARC3)         43 [email protected] (GTX0)         44 [email protected] (RCBG)         46 [email protected] (QMNC)         47 [email protected] (TNS V1-V3)         48 [email protected] (TNS V1-V3)         49 [email protected] (Q000)         50 [email protected] (Q001)         51 [email protected] (GCR0) SQL> drop table maclean; Table dropped. SQL> create table maclean(t1 int); Table created. SQL> insert into maclean values(1); 1 row created. SQL> commit; Commit complete. ?????????, ?????????:PID=2  PMONPID=11 LMONPID=18 LGWRPID=20 SMONPID=12 LMD ??????2???”enq: TX – row lock contention”?????,???KILL??????,??????PMON?recover dead process?release TX lock: PROCESS A: QL> select addr,spid,pid from v$process where addr = ( select paddr from v$session where sid=(select distinct sid from v$mystat)); ADDR             SPID                            PID ---------------- ------------------------ ---------- 00000000BD516B80 17880                            46 SQL> select distinct sid from v$mystat;        SID ----------         22 SQL> update maclean set t1=t1+1; 1 row updated. PROCESS B SQL> select addr,spid,pid from v$process where addr = ( select paddr from v$session where sid=(select distinct sid from v$mystat)); ADDR             SPID                            PID ---------------- ------------------------ ---------- 00000000BD515AD0 17908                            45 SQL> update maclean set t1=t1+1; HANG.............. PROCESS B ??"enq: TX – row lock contention"?HANG? ????PROCESS C?? ?SMON?10500 event trace ??PMON?KST TRACE: SQL> set linesize 200 pagesize 1400 SQL> select * from v$lock where sid=22; ADDR             KADDR                   SID TY        ID1        ID2      LMODE    REQUEST      CTIME      BLOCK ---------------- ---------------- ---------- -- ---------- ---------- ---------- ---------- ---------- ---------- 00000000BDCD7618 00000000BDCD7670         22 AE        100          0          4          0         48          2 00007F63268A9E28 00007F63268A9E88         22 TM      77902          0          3          0         32          2 00000000B9BB4950 00000000B9BB49C8         22 TX     458765        892          6          0         32          1 PROCESS A holde?ENQUEUE LOCK??? AE?TM?TX SQL> alter system switch logfile; System altered. SQL> alter system checkpoint; System altered. SQL> alter system flush buffer_cache; System altered. SQL> alter system set "_trace_events"='10000-10999:255:2,20,33'; System altered. SQL> ! kill -9 17880 KILL PROCESS A ???PROCESS B??update ?PMON ? PROCESS B ?errorstack ?KST TRACE????? SQL> oradebug setorapid 2; Oracle pid: 2, Unix process pid: 17533, image: [email protected] (PMON) SQL> oradebug dump errorstack 4; Statement processed. SQL> oradebug tracefile_name /s01/orabase/diag/rdbms/vprod/VPROD1/trace/VPROD1_pmon_17533.trc SQL> oradebug setorapid 45; Oracle pid: 45, Unix process pid: 17908, image: [email protected] (TNS V1-V3) SQL> oradebug dump errorstack 4; Statement processed. SQL>oradebug tracefile_name /s01/orabase/diag/rdbms/vprod/VPROD1/trace/VPROD1_ora_17908.trc ??PMON? KST TRACE: 2012-05-18 10:37:34.557225 :8001ECE8:db_trace:ktur.c@5692:ktugru(): [10444:2:1] next rollback uba: 0x00000000.0000.00 2012-05-18 10:37:34.557382 :8001ECE9:db_trace:ksl2.c@16009:ksl_update_post_stats(): [10005:2:1] KSL POST SENT postee=18 num=4 loc='ksa2.h LINE:285 ID:ksasnd' id1=0 id2=0 name=   type=0 2012-05-18 10:37:34.557514 :8001ECEA:db_trace:ksq.c@8540:ksqrcli(): [10704:2:1] ksqrcl: release TX-0007000d-0000037c mode=X 2012-05-18 10:37:34.558819 :8001ECF0:db_trace:ksl2.c@16009:ksl_update_post_stats(): [10005:2:1] KSL POST SENT postee=45 num=5 loc='kji.h LINE:3418 ID:kjata: wake up enqueue owner' id1=0 id2=0 name=   type=0 2012-05-18 10:37:34.559047 :8001ECF8:db_trace:ksl2.c@16009:ksl_update_post_stats(): [10005:2:1] KSL POST SENT postee=12 num=6 loc='kjm.h LINE:1224 ID:kjmpost: post lmd' id1=0 id2=0 name=   type=0 2012-05-18 10:37:34.559271 :8001ECFC:db_trace:ksq.c@8826:ksqrcli(): [10704:2:1] ksqrcl: SUCCESS 2012-05-18 10:37:34.559291 :8001ECFD:db_trace:ktu.c@8652:ktudnx(): [10813:2:1] ktudnx: dec cnt xid:7.13.892 nax:0 nbx:0 2012-05-18 10:37:34.559301 :8001ECFE:db_trace:ktur.c@3198:ktuabt(): [10444:2:1] ABORT TRANSACTION - xid: 0x0007.00d.0000037c 2012-05-18 10:37:34.559327 :8001ECFF:db_trace:ksq.c@8540:ksqrcli(): [10704:2:1] ksqrcl: release TM-0001304e-00000000 mode=SX 2012-05-18 10:37:34.559365 :8001ED00:db_trace:ksq.c@8826:ksqrcli(): [10704:2:1] ksqrcl: SUCCESS 2012-05-18 10:37:34.559908 :8001ED01:db_trace:ksq.c@8540:ksqrcli(): [10704:2:1] ksqrcl: release AE-00000064-00000000 mode=S 2012-05-18 10:37:34.559982 :8001ED02:db_trace:ksq.c@8826:ksqrcli(): [10704:2:1] ksqrcl: SUCCESS 2012-05-18 10:37:34.560217 :8001ED03:db_trace:ksfd.c@15379:ksfdfods(): [10298:2:1] ksfdfods:fob=0xbab87b48 aiopend=0 2012-05-18 10:37:34.560336 :GSIPC:kjcs.c@4876:kjcsombdi(): GSIPC:SOD: 0xbc79e0c8 action 3 state 0 chunk (nil) regq 0xbc79e108 batq 0xbc79e118 2012-05-18 10:37:34.560357 :GSIPC:kjcs.c@5293:kjcsombdi(): GSIPC:SOD: exit cleanup for 0xbc79e0c8 rc: 1, loc: 0x303 2012-05-18 10:37:34.560375 :8001ED04:db_trace:kss.c@1414:kssdch(): [10809:2:1] kssdch(0xbd516b80 = process, 3) 1 0 exit 2012-05-18 10:37:34.560939 :8001ED06:db_trace:kmm.c@10578:kmmlrl(): [10257:2:1] KMMLRL: Entering: flg(0x0) rflg(0x4) 2012-05-18 10:37:34.561091 :8001ED07:db_trace:kmm.c@10472:kmmlrl_process_events(): [10257:2:1] KMMLRL: Events: succ(3) wait(0) fail(0) 2012-05-18 10:37:34.561100 :8001ED08:db_trace:kmm.c@11279:kmmlrl(): [10257:2:1] KMMLRL: Reg/update: flg(0x0) rflg(0x4) 2012-05-18 10:37:34.563325 :8001ED0B:db_trace:kmm.c@12511:kmmlrl(): [10257:2:1] KMMLRL: Update: ret(0) 2012-05-18 10:37:34.563335 :8001ED0C:db_trace:kmm.c@12768:kmmlrl(): [10257:2:1] KMMLRL: Exiting: flg(0x0) rflg(0x4) 2012-05-18 10:37:34.563354 :8001ED0D:db_trace:ksl2.c@2598:kslwtbctx(): [10005:2:1] KSL WAIT BEG [pmon timer] 300/0x12c 0/0x0 0/0x0 wait_id=78 seq_num=79 snap_id=1 PMON??dead process A??????????TX Lock:ksqrcl: release TX-0007000d-0000037c mode=X ?????Post Process B,??Process B ?acquire?TX lock???????:KSL POST SENT postee=45 num=5 loc=’kji.h LINE:3418 ID:kjata: wake up enqueue owner’ id1=0 id2=0 name=   type=0 Process B???PMON??????????ksl2.c@14563:ksliwat(): [10005:45:151] KSL POST RCVD poster=2 num=5 loc=’kji.h LINE:3418 ID:kjata: wake up enqueue owner’ id1=0 id2=0 name=   type=0 fac#=3 posted=0×3 may_be_posted=1kslwtbctx(): [10005:45:151] KSL WAIT BEG [latch: ges resource hash list] 3162668560/0xbc827e10 91/0x5b 0/0×0 wait_id=14 seq_num=15 snap_id=1kslwtectx(): [10005:45:151] KSL WAIT END [latch: ges resource hash list] 3162668560/0xbc827e10 91/0x5b 0/0×0 wait_id=14 seq_num=15 snap_id=1 ?RAC????POST LMD(lock Manager)??,????????GES??:2012-05-18 10:37:34.559047 :8001ECF8:db_trace:ksl2.c@16009:ksl_update_post_stats(): [10005:2:1] KSL POST SENT postee=12 num=6 loc=’kjm.h LINE:1224 ID:kjmpost: post lmd’ id1=0 id2=0 name=   type=0 ??ksqrcl: release TX????????:ksq.c@8826:ksqrcli(): [10704:2:1] ksqrcl: SUCCESS ??PMON abort Process A???Transaction2012-05-18 10:37:34.559291 :8001ECFD:db_trace:ktu.c@8652:ktudnx(): [10813:2:1] ktudnx: dec cnt xid:7.13.892 nax:0 nbx:02012-05-18 10:37:34.559301 :8001ECFE:db_trace:ktur.c@3198:ktuabt(): [10444:2:1] ABORT TRANSACTION – xid: 0×0007.00d.0000037c ??Process A?????maclean??TM lock:ksq.c@8540:ksqrcli(): [10704:2:1] ksqrcl: release TM-0001304e-00000000 mode=SXksq.c@8826:ksqrcli(): [10704:2:1] ksqrcl: SUCCESS ??Process A?????AE ( Prevent Dropping an edition in use) lock:ksq.c@8540:ksqrcli(): [10704:2:1] ksqrcl: release AE-00000064-00000000 mode=Sksq.c@8826:ksqrcli(): [10704:2:1] ksqrcl: SUCCESS ??cleanup process Akjcs.c@4876:kjcsombdi(): GSIPC:SOD: 0xbc79e0c8 action 3 state 0 chunk (nil) regq 0xbc79e108 batq 0xbc79e118GSIPC:kjcs.c@5293:kjcsombdi(): GSIPC:SOD: exit cleanup for 0xbc79e0c8 rc: 1, loc: 0×303kss.c@1414:kssdch(): [10809:2:1] kssdch(0xbd516b80 = process, 3) 1 0 exit 0xbd516b80??PROCESS A ?paddr ???? kssdch???????? ??process???state object SO KSS: delete children of state obj. PMON ??kmmlrl()????instance goodness??update for session drop deltakmmlrl(): [10257:2:1] KMMLRL: Entering: flg(0×0) rflg(0×4)kmmlrl_process_events(): [10257:2:1] KMMLRL: Events: succ(3) wait(0) fail(0)kmmlrl(): [10257:2:1] KMMLRL: Reg/update: flg(0×0) rflg(0×4)kmmlrl(): [10257:2:1] KMMLRL: Update: ret(0)kmmlrl(): [10257:2:1] KMMLRL: Exiting: flg(0×0) rflg(0×4) ????????PMON???? 3s???”pmon timer”??kslwtbctx(): [10005:2:1] KSL WAIT BEG [pmon timer] 300/0x12c 0/0×0 0/0×0 wait_id=78 seq_num=79 snap_id=1

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  • Persistence provider caller does not implement the EJB3 spec

    - by Joshua
    WARN [Ejb3Configuration] Persistence provider caller does not implement the EJB3 spec correctly. PersistenceUnitInfo.getNewTempClassLoad er() is null. How do you get rid of the above warning? 0:42:08,032 INFO [PersistenceUnitDeployment] Starting persistence unit pe rsistence.unit:unitName=k12-ear.ear/k12-ejb-1.0.0.jar#k12 10:42:08,371 INFO [Version] Hibernate Annotations 3.4.0.GA 10:42:08,442 INFO [Environment] Hibernate 3.3.1.GA 10:42:08,450 INFO [Environment] hibernate.properties not found 10:42:08,486 INFO [Environment] Bytecode provider name : javassist 10:42:08,492 INFO [Environment] using JDK 1.4 java.sql.Timestamp handling 10:42:08,754 INFO [Version] Hibernate Commons Annotations 3.1.0.GA 10:42:08,989 INFO [Version] Hibernate EntityManager 3.4.0.GA 10:42:09,211 INFO [Ejb3Configuration] Processing PersistenceUnitInfo [ name: k12 ...] 10:42:09,458 WARN [Ejb3Configuration] Persistence provider caller does not implement the EJB3 spec correctly. PersistenceUnitInfo.getNewTempClassLoad er() is null. 10:42:09,620 WARN [Ejb3Configuration] Defining hibernate.transaction.flush _before_completion=true ignored in HEM 10:42:09,745 DEBUG [AnnotationConfiguration] Execute first pass mapping pro cessing

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  • java.lang.ClassFormatError: Extra bytes at end of class file

    - by CheesePls
    I'm getting an odd error when I try and run this program. The class compiles fine into multiple .class files and I compiled it last week (before editing it) just fine. But now, I see this: Exception in thread "main" java.lang.ClassFormatError: Extra bytes at the end of class file blah/hooplah/fubar/nonsense/IndexId$Transaction From what I've looked up, Java 6 build 1.5 could fix it since it allows extra bytes at the end of class files (I think), but I would much rather use build 1.6. Any clear ideas on how this happened or how to fix it?

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  • iPhone Store Kit "Cannot connect to iTunes Store"

    - by lucasharding
    Hi, I am working on adding In-App purchases to my app. I am able to receive the productsRequest:didReceiveResponse method, and receive the array of products. My problem arises when I add a SKPayment to the SKPaymentQueue. After I add the product to the queue, in the paymentQueue:updatedTransactions method the transactions always have the state SKPaymentTransactionStateFailed. I NSLog the "transaction.error" and this is what it returns: Error Domain=SKErrorDomain Code=0 UserInfo=0x165000 "Cannot connect to iTunes Store" I have logged out of the Store in the Settings app, but after trying to purchase a product in my app it never asks me to log in with my test account. It just fails with the above error. Thanks in advance.

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  • Entity Framework - Using Transactions or SaveChanges(false) and AcceptAllChanges()?

    - by mark smith
    Hi there, I have been investigating transactions and it appears that they take call of them selves in EF as long as i pass false to savechanges.. SaveChanges(false) and if all goes well then AcceptAllChanges() Question is what is something goes bad, don't have to rollback? or as soon as the my method goes out of scope its ended? What happens to any indentiy columns that were assigned half way through the transaction.. i presume if somebody else added a record after mine before mine went bad then this means there will be a missing Identity value. Is there any reason to use standard "transactionScope" in code? ideas? - thanks

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  • Connection Pool error LINQ to SQL

    - by Ved
    Guys, In Our project I have used LINQ to SQL for every kind of database interaction. Now from what I know , When I create and use DataContext object : it opens the connection , crates a transaction , perform the query and closes the connection. Every now and then we are getting Connection pool error on our services and Server. " The timeout period elapsed prior to obtaining a connection from the pool. This may have occurred because all pooled connections were in use and max pool size was reached. " Any idea ? Am I completely off here ? Is this related to SQL Server itself ? We are using LINQ , .Net 3.5 and Sql Server 2008 NOTE: NO DATAREADER IS BEING USED ANYWHERE IN SYSTEM. Thanks

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  • How to rollback in EF4?

    - by Jaxidian
    In my research about rolling back transactions in EF4, it seems everybody refers to this blog post or offers a similar explanation. In my scenario, I'm wanting to do this in a unit testing scenario where I want to rollback practically everything I do within my unit testing context to keep from updating the data in the database (yeah, we'll increment counters but that's okay). In order to do this, is it best to follow the following plan? Am I missing some concept or anything else major with this (aside from my SetupMyTest and PerformMyTest functions won't really exist that way)? using (var ts = new TransactionScope()) { // Arrange SetupMyTest(context); // Act PerformMyTest(context); var numberOfChanges = context.SaveChanges(false); // if there's an issue, chances are that an exception has been thrown by now. // Assert Assert.IsTrue(numberOfChanges > 0, "Failed to _____"); // transaction will rollback because we do not ever call Complete on it }

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  • C# System.Data.SQLite Designer Code

    - by Nathan
    I've been messing around with the SQLite Designer in Visual Studio 2008 and I have noticed that when I use the generated Insert/Update statements they run extremely slow. Example: I have a data table with four columns and 5700 rows it took ~5 mins to insert the data into the database table However, I wrote my own database connection and insert methods using parameters and a single transaction and the same 5700 rows were inserted in under 1 second. Why is the generated code so slow and what is benefit to even using it? Thanks. Nathan

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  • Database Design for a double entry accounting system

    - by Khou
    Should journal entries be recorded in a database design? In the real world it makes sense to keep a daily entry book, then later transfer the daily entry book into double entry accounts. but in the computerized version, doing this produces duplicate records and that doesn't quite make sense? ???? What i mean is 1) user enter details , it gets recorded (this would be called the journalbook in real life) 2) the software does all the double entry accounting then references the journalbook and splits up the transaction into the double entry accounting system.

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  • SSIS parsing of an irregular flat file?

    - by ElHaix
    I'm pretty familiar with SSIS parsing of regular delimited text data files, however, I'm looking for some advice on an approach to tackle a file that looks like this test file: ISA*00* *00* *01*220220220 *ZZ*RL CODE 01*060327*1212*U*00300*000008859*0*P*:~ GS*RA*CPA-BPT*LOCALUTILITY*060319*1212*970819003*X*003030~ ST*820*000000001~ BPR*C*321.91*C*X12*CBC*04*000300488**9918939***04*000300002**1598564*070319~ TRN*1*00075319970819105029~ REF*RR*0003199708190000174858~ DTM*097*070318~ DTM*107*070318~ N1*PR*DIRECT PAYMENT~ N1*PE*ABC CORPORATE BILLER*ZZ*90005836~ ENT*1~ N1*PR*BILLING - TEST - NATTRASS~ RMR*CR*0009381082105011**142.15~ REF*TN*000303965~ DTM*109*070316~ ENT*2~ N1*PR*BILL FREID TEST~ RMR*CR*0011010451800011**179.76~ REF*TN*000304189~ The 321.91 is the total of the transaction. I would prefer to do this with SSIS, but could also do create a C# parser. Suggestions would be appreciated. Thank you.

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  • How do I get spring to inject my EntityManager?

    - by Trampas Kirk
    I'm following the guide here, but when the DAO executes, the EntityManager is null. I've tried a number of fixes I found in the comments on the guide, on various forums, and here (including this), to no avail. No matter what I seem to do the EntityManager remains null. Here are the relevant files, with packages etc changed to protect the innocent. spring-context.xml <?xml version="1.0" encoding="UTF-8"?> <beans xmlns="http://www.springframework.org/schema/beans" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xmlns:tx="http://www.springframework.org/schema/tx" xmlns:context="http://www.springframework.org/schema/context" xsi:schemaLocation="http://www.springframework.org/schema/beans http://www.springframework.org/schema/beans/spring-beans.xsd http://www.springframework.org/schema/tx http://www.springframework.org/schema/tx/spring-tx.xsd http://www.springframework.org/schema/context http://www.springframework.org/schema/context/spring-context.xsd" xmlns:p="http://www.springframework.org/schema/p"> <context:component-scan base-package="com.group.server"/> <context:annotation-config/> <tx:annotation-driven/> <bean id="propertyPlaceholderConfigurer" class="com.group.DecryptingPropertyPlaceholderConfigurer" p:systemPropertiesModeName="SYSTEM_PROPERTIES_MODE_OVERRIDE"> <property name="locations"> <list> <value>classpath*:spring-*.properties</value> <value>classpath*:${application.environment}.properties</value> </list> </property> </bean> <bean id="orderDao" class="com.package.service.OrderDaoImpl"/> <bean class="org.springframework.orm.jpa.support.PersistenceAnnotationBeanPostProcessor"/> <bean id="entityManagerFactory" class="org.springframework.orm.jpa.LocalContainerEntityManagerFactoryBean"> <property name="persistenceUnitName" value="MyServer"/> <property name="loadTimeWeaver"> <bean class="org.springframework.instrument.classloading.InstrumentationLoadTimeWeaver"/> </property> <property name="dataSource" ref="dataSource"/> <property name="jpaVendorAdapter"> <bean class="org.springframework.orm.jpa.vendor.HibernateJpaVendorAdapter"> <property name="showSql" value="${com.group.server.vendoradapter.showsql}"/> <property name="generateDdl" value="${com.group.server.vendoradapter.generateDdl}"/> <property name="database" value="${com.group.server.vendoradapter.database}"/> </bean> </property> </bean> <bean id="transactionManager" class="org.springframework.orm.jpa.JpaTransactionManager"> <property name="entityManagerFactory" ref="entityManagerFactory"/> <property name="dataSource" ref="dataSource"/> </bean> <bean id="dataSource" class="org.springframework.jdbc.datasource.DriverManagerDataSource"> <property name="driverClassName" value="${com.group.server.datasource.driverClassName}"/> <property name="url" value="${com.group.server.datasource.url}"/> <property name="username" value="${com.group.server.datasource.username}"/> <property name="password" value="${com.group.server.datasource.password}"/> </bean> <bean id="executorService" class="java.util.concurrent.Executors" factory-method="newCachedThreadPool"/> </beans> persistence.xml <persistence xmlns="http://java.sun.com/xml/ns/persistence" version="1.0"> <persistence-unit name="MyServer" transaction-type="RESOURCE_LOCAL"/> </persistence> OrderDaoImpl package com.group.service; import com.group.model.Order; import org.springframework.stereotype.Repository; import org.springframework.transaction.annotation.Transactional; import javax.persistence.EntityManager; import javax.persistence.PersistenceContext; import javax.persistence.Query; import java.util.List; @Repository @Transactional public class OrderDaoImpl implements OrderDao { private EntityManager entityManager; @PersistenceContext public void setEntityManager(EntityManager entityManager) { this.entityManager = entityManager; } @Override public Order find(Integer id) { Order order = entityManager.find(Order.class, id); return order; } @Override public List<Order> findAll() { Query query = entityManager.createQuery("select o from Order o"); return query.getResultList(); } @Override public List<Order> findBySymbol(String symbol) { Query query = entityManager.createQuery("select o from Order o where o.symbol = :symbol"); return query.setParameter("symbol", symbol).getResultList(); } }

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  • Issues using a Fedex Webservice via WDSL/SOAP

    - by Parris
    Hi Everyone, I downloaded the sample code to request a rate from fedex's website... i placed the WSDL file in the proper location, I have my acct number, password, meter number, and key. When I run the script I get this error: Error in processing transaction. ERROR prof 1000 Authentication Failed The script they give is as follows, and yes i do actually replace the XXX and YYY everywhere it says.: <?php // Copyright 2009, FedEx Corporation. All rights reserved. // Version 7.0.0 require_once('fedex-common.php5'); $newline = "<br />"; //The WSDL is not included with the sample code. //Please include and reference in $path_to_wsdl variable. $path_to_wsdl = "RateService_v7.wsdl"; ini_set("soap.wsdl_cache_enabled", "0"); $client = new SoapClient($path_to_wsdl, array('trace' => 1)); // Refer to http://us3.php.net/manual/en/ref.soap.php for more information $request['WebAuthenticationDetail'] = array('UserCredential' => array('Key' => 'XXX', 'Password' => 'YYY')); // Replace 'XXX' and 'YYY' with FedEx provided credentials $request['ClientDetail'] = array('AccountNumber' => 'XXX', 'MeterNumber' => 'YYY');// Replace 'XXX' with your account and meter number $request['TransactionDetail'] = array('CustomerTransactionId' => ' *** Rate Request v7 using PHP ***'); $request['Version'] = array('ServiceId' => 'crs', 'Major' => '7', 'Intermediate' => '0', 'Minor' => '0'); $request['ReturnTransitAndCommit'] = true; $request['RequestedShipment']['DropoffType'] = 'REGULAR_PICKUP'; // valid values REGULAR_PICKUP, REQUEST_COURIER, ... $request['RequestedShipment']['ShipTimestamp'] = date('c'); $request['RequestedShipment']['ServiceType'] = 'FEDEX_GROUND'; // valid values STANDARD_OVERNIGHT, PRIORITY_OVERNIGHT, FEDEX_GROUND, ... $request['RequestedShipment']['PackagingType'] = 'YOUR_PACKAGING'; // valid values FEDEX_BOX, FEDEX_PAK, FEDEX_TUBE, YOUR_PACKAGING, ... $request['RequestedShipment']['Shipper'] = array('Address' => array( 'StreetLines' => array('10 Fed Ex Pkwy'), // Origin details 'City' => 'Memphis', 'StateOrProvinceCode' => 'TN', 'PostalCode' => '38115', 'CountryCode' => 'US')); $request['RequestedShipment']['Recipient'] = array('Address' => array ( 'StreetLines' => array('13450 Farmcrest Ct'), // Destination details 'City' => 'Herndon', 'StateOrProvinceCode' => 'VA', 'PostalCode' => '20171', 'CountryCode' => 'US')); $request['RequestedShipment']['ShippingChargesPayment'] = array('PaymentType' => 'SENDER', 'Payor' => array('AccountNumber' => 'XXX', // Replace 'XXX' with payor's account number 'CountryCode' => 'US')); $request['RequestedShipment']['RateRequestTypes'] = 'ACCOUNT'; $request['RequestedShipment']['RateRequestTypes'] = 'LIST'; $request['RequestedShipment']['PackageCount'] = '2'; $request['RequestedShipment']['PackageDetailSpecified'] = true; $request['RequestedShipment']['PackageDetail'] = 'INDIVIDUAL_PACKAGES'; // Or PACKAGE_SUMMARY $request['RequestedShipment']['RequestedPackageLineItems'] = array('0' => array('Weight' => array('Value' => 2.0, 'Units' => 'LB'), 'Dimensions' => array('Length' => 10, 'Width' => 10, 'Height' => 3, 'Units' => 'IN')), '1' => array('Weight' => array('Value' => 5.0, 'Units' => 'LB'), 'Dimensions' => array('Length' => 20, 'Width' => 20, 'Height' => 10, 'Units' => 'IN'))); try { $response = $client ->getRates($request); if ($response -> HighestSeverity != 'FAILURE' && $response -> HighestSeverity != 'ERROR') { printRequestResponse($client); } else { echo 'Error in processing transaction.'. $newline. $newline; foreach ($response -> Notifications as $notification) { if(is_array($response -> Notifications)) { echo $notification -> Severity; echo ': '; echo $notification -> Message . $newline; } else { echo $notification . $newline; } } } writeToLog($client); // Write to log file } catch (SoapFault $exception) { printFault($exception, $client); } ?> I am not quite sure why it isn't working, i've read about using a proxy, but I am not quite sure how i would use it in this case? Isn't the point of using SOAP and WSDL to avoid using CURL, Direct Connect type stuff?

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  • ETL Operation - Return Primary Key

    - by user302254
    I am using Talend to populate a data warehouse. My job is writing customer data to a dimension table and transaction data to the fact table. The surrogate key (p_key) on the fact table is auto-incrementing. When I insert a new customer, I need my fact table to reflect the id of the related customer. As I mentioned my p_key is auto auto_incrementing so I can't just insert an arbitrary value for the p_key. Any thought on how I can insert a row into my dimension table and still retrieve the primary key to reference in my fact record? Thanks.

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  • Nested/Child TransactionScope Rollback

    - by Robert Wagner
    I am trying to nest TransactionScopes (.net 4.0) as you would nest Transactions in SQL Server, however it looks like they operate differently. I want my child transactions to be able to rollback if they fail, but allow the parent transaction to decide whether to commit/rollback the whole operation. A greatly simplified example of what I am trying to do: static void Main(string[] args) { using(var scope = new TransactionScope()) // Trn A { // Insert Data A DoWork(true); DoWork(false); // Rollback or Commit } } // This class is a few layers down static void DoWork(bool fail) { using(var scope = new TransactionScope()) // Trn B { // Update Data A if(!fail) { scope.Complete(); } } } I can't use the Suppress or RequiresNew options as Trn B relies on data inserted by Trn A. If I do use those options, Trn B is blocked by Trn A. Any ideas how I would get it to work, or if it is even possible using the System.Transactions namespace? Thanks

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