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  • Scripts Casing Flash Intro Animation To Stop [migrated]

    - by ubique
    When my Flash website loads, it freezes halfway through the initial animation for 2-3 seconds and then continues. This obviously doesn't look great and I can't figure out what is causing it. Am thinking it is one of the scripts in index.html causing the issue and have tried all sorts of ways to correct it - what have I done wrong? <!DOCTYPE html> <html lang="en"> <head> <title>company name</title> . . . <link href="style.css" rel="stylesheet" type="text/css" /> <script type="text/javascript" src="js/flashobject.js"></script> <!--[if lt IE 7]> <link href="ie6.css" rel="stylesheet" type="text/css" /> <![endif]--> </head> <body> <header> <hgroup> <h1>company</h1> <h2>company</h2> </hgroup> </header> <div id="container"> <div id="head"> <div class="aligncenter"><a href="http://www.adobe.com/go/EN_US-H-GET-FLASH"> <img src="http://www.adobe.com/images/shared/download_buttons/get_adobe_flash_player.png" alt="" /></a> </div> </div> </div> <div class="g-plus" data-href="https://plus.google.com/100925740920754223119?rel=publisher" data-width="170" data-height="69" data-theme="light"> </body> <!-- Flash --> <script type="text/javascript"> var fo = new FlashObject("main_v10.swf", "head", "100%", "100%", "8", ""); fo.addParam("quality", "high"); fo.addParam("allowFullScreen", "true"); fo.write("head"); </script> <!-- Hello Bar --> <script type="text/javascript" src="//www.hellobar.com/hellobar.js"></script> <script type="text/javascript"> new HelloBar(39040,52484); </script> <!-- GPlus --> <script type="text/javascript"> window.___gcfg = {lang: 'en'}; (function() {var po = document.createElement("script"); po.type = "text/javascript"; po.async = true;po.src = "https://apis.google.com/js/plusone.js"; var s = document.getElementsByTagName("script")[0]; s.parentNode.insertBefore(po, s); })();</script> <!-- Google --> <script type="text/javascript"> var _gaq = _gaq || []; _gaq.push(['_setAccount', 'UA-xxxxxxxx-1']); _gaq.push(['_setSiteSpeedSampleRate', 10]); _gaq.push(['_trackPageview']); (function init() { var ga = document.createElement('script'); ga.type = 'text/javascript'; ga.async = true; ga.src = ('https:' == document.location.protocol ? 'https://ssl' : 'http://www') + '.google-analytics.com/ga.js'; var s = document.getElementsByTagName('script')[0]; s.parentNode.insertBefore(ga,s); })(); window.onload = init; </script> </html>

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  • Get the Picture: Pinterest for Marketers

    - by Mike Stiles
    When trying to determine on which networks to conduct social marketing, the usual suspects immediately rise to the top; Facebook & Twitter, then LinkedIn (especially if you’re B2B), then maybe some Google Plus to hedge SEO bets.  So at what juncture do brands get excited about Pinterest? Pinterest has been easy for marketers to de-prioritize thanks to the perception its usage is so dominated by women. Um, what’s wrong with that? Women make an estimated 85% of all consumer purchases. So if there are indeed over 30 million US women active on it monthly, and they do 92% of the pinning, and 84% are still active on it after 4 years, when did an audience of highly engaged, very likely sales conversions become low priority? Okay, if you’re a tech B2B SaaS product like the Oracle Social Cloud, Pinterest may not be where you focus. But if you operate in the top Pinterest categories, which are truly far-reaching, it’s time to take note of Pinterest’s performance to date: 40.1 million monthly users in the US (eMarketer). Over 30 billion pins, half of which were pinned in the last 6 months. (Big momentum) 75% of usage is on their mobile app. (In solid shape for the mobile migration) Pinterest sharing grew 58% in 2013, beating Facebook, Twitter, or LinkedIn. (ShareThis) Pinterest is the 3rd most popular sharing platform overall (over email), with 48% of all sharing on tablets. Users referred by Pinterest are 10% more likely to buy on e-commerce sites and tend to spend twice that of users coming from Facebook. (Shopify) To be fair, brands haven’t had any paid marketing opportunities on that platform…until recently. Users are seeing Promoted Pins in both category and search feeds from rollout brands like Gap, ABC Family, Ziploc, and Nestle. Are the paid pins annoying users? It seems more so than other social networks, they’re fitting right in to the intended user experience and being accepted, getting almost as many click-throughs as user pins. New York Magazine’s Kevin Roose laid it out succinctly; Pinterest offers a place that’s image-centric, search-friendly, makes things easy to purchase, makes things easy to share, and puts users in an aspirational mood to buy. Pinterest is very confident in the value of that combo and that audience, with CPM rates 5x that of the most expensive Facebook ad, plus (at least for now) required spending commitments and required pin review by Pinterest for quality. The latest developments; a continued move toward search and discovery with enhancements like Guided Search to help you hone in on what interests you, Custom Categories, and the rumored Visual Search that stands to be a liberation from text. And most recently, Pinterest has opened up its API so brands can get access to deeper insights into the best search terms and categories in which to play ball, as well as what kinds of pins stand to perform best in those areas. As we learned in our rundown this week of Social Media Examiner’s Social Media Marketing Industry Report, around 50% of marketers specifically intend on upping their use of Pinterest. If you’re a big believer in fishing where the fish are, that’s probably an efficient position to take. @mikestiles @oraclesocialPhoto: Adam Lambert_Gorwyn, freeimages.com

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  • Detect, Analyze, Act – Fast!

    - by Ajay Khanna
    In fast changing business environment, it becomes crucial to identify business opportunities and business issues as soon as possible. If identified at the right time, business managers can address issues before they escalate to serious problems and can take advantage of the new opportunities before the competition does. Moreover, they have to be efficient to do this at the right cost. Success depends on how responsive organization is to emerging events and changing environment. These events can be customer issues, competition moves, changes in regulations, or changes in company policies. In order to be responsive in such situations, organizations need to first identify and track these situations. They can do that via business activity monitoring (BAM) and complex event processing (CEP). A unified monitoring dashboard helps put together a comprehensive picture of the situation in hand and provides deep insight to take proper actions. With CEP, businesses can connect all the relevant events, detect event patterns and take immediate actions using Business Process Management system.   So to be responsive we need: Real-Time Visibility with Business Activity Monitoring You can use BAM technology to monitor progress, track performance, meet service-level agreements (SLAs), manage exceptions, and issue alerts to an employee or application when a process is not functioning properly—all in real time. A unified monitoring dashboard helps you maintain a complete picture of each situation so you can take action effectively. BAM works hand in hand with BPM software to discover the significant activities that drive business success.   Real-Time Sense and Respond An event-driven BPM solution enables each step in a business process to be informed not only by the previous step, but also by any other step, data, and pattern of behavior deemed relevant to that step. This gives the company the ability to “sense and respond.” You can describe interesting event patterns and event correlations and monitor the business in real-time. Whenever a pre-defined pattern emerges you can take actions like raising alerts, notifications, or kicking off another business process. This synergy possible by integrating activity monitoring, event processing, and BPM makes it possible for managers to keep a finger on the pulse of their business. Business managers can now respond to customers faster, respond to competition faster, reduce fraud and do more cross-selling. Read more about being responsive in the whitepaper “The Instantly Responsive Enterprise: Integrating BPM and Complex Event Processing” in BPM Resource Kit.

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  • Where Are You on the Visualization Maturity Curve?

    - by Celine Beck
    The old phrase “A picture is worth a thousand words” is as true now as ever. Providing the right users with access to the right product data, at the right time, can provide significant benefits to a business. This is especially evident with increasing technical and product complexities, elongated supply chains, and growing pressure to bring innovative products to market faster. With this in mind, it is easy to understand why visualization is an integral part of any successful product lifecycle management (PLM) strategy. At a bare minimum, knowledge workers use multiple individual documents of different formats and structure, and leverage visualization solutions to access information; but the real value of visualization can be fully reaped when it is connected to enterprise applications like PLM and tied to the appropriate business context. The picture below illustrates this visualization maturity curve, as we presented during the last Oracle Open World and the transformational effect that visualization can have on PLM processes and performance (check out the post about AutoVue Key Highlights from Oracle Open World 2012 for more information). Organizations are likely to see greater positive impact on business performance when visualization is connected to enterprise systems, allowing access to information coming from multiple sources, such as PLM, supply chain management (SCM) and enterprise resource planning (ERP). This allows organizations to reach higher levels of collaboration and optimize decision-making capacity as users can benefit from in-context access to visual information. For instance, within a PLM system, a design engineer can access a product assembly and review digital annotations added by other users specific to the engineering change request he is reviewing rather than all historical annotations. The last stage on the curve is what we call augmented business visualization (ABV).  ABV is an innovative framework which lets structured data (from Oracle’s Agile PLM for instance) interact with unstructured data (documents, design, 3D models, etc). With this new level of integration, information coming from multiple sources can be presented in a highly visual fashion; color displays can be used in order to identify parts with specific characteristics (for example pending quality issues) and you can take actions directly from within the context of documents and designs, maximizing user productivity. Those who had the chance to attend our PLM session during Oracle Open World already got a sneak peek of our latest augmented business visualization for Oracle’s Agile PLM. The solution generated a lot of wows. Stephen Porter, CEO at Zero Wait State, indicated in a post entitled “The PLM State: the Manhattan Project-Oracle’s Next Big Secret Weapon” that “this kind of synergy between visualization and PLM could qualify as a powerful weapon differentiating Agile PLM from other solutions.” If you are interested in learning more about ABV for Oracle’s Agile PLM and hear about real examples of usage of visualization at all stages of the visualization maturity curve, don’t miss our Visual Decision Making to Optimize New Product Development and Introduction session during the Oracle Value Chain Summit (Feb. 4-6, 2013, San Francisco). We look forward to seeing you there!

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  • Where should you put constants and why?

    - by Tim Meyer
    In our mostly large applications, we usually have a only few locations for constants: One class for GUI and internal contstants (Tab Page titles, Group Box titles, calculation factors, enumerations) One class for database tables and columns (this part is generated code) plus readable names for them (manually assigned) One class for application messages (logging, message boxes etc) The constants are usually separated into different structs in those classes. In our C++ applications, the constants are only defined in the .h file and the values are assigned in the .cpp file. One of the advantages is that all strings etc are in one central place and everybody knows where to find them when something must be changed. This is especially something project managers seem to like as people come and go and this way everybody can change such trivial things without having to dig into the application's structure. Also, you can easily change the title of similar Group Boxes / Tab Pages etc at once. Another aspect is that you can just print that class and give it to a non-programmer who can check if the captions are intuitive, and if messages to the user are too detailed or too confusing etc. However, I see certain disadvantages: Every single class is tightly coupled to the constants classes Adding/Removing/Renaming/Moving a constant requires recompilation of at least 90% of the application (Note: Changing the value doesn't, at least for C++). In one of our C++ projects with 1500 classes, this means around 7 minutes of compilation time (using precompiled headers; without them it's around 50 minutes) plus around 10 minutes of linking against certain static libraries. Building a speed optimized release through the Visual Studio Compiler takes up to 3 hours. I don't know if the huge amount of class relations is the source but it might as well be. You get driven into temporarily hard-coding strings straight into code because you want to test something very quickly and don't want to wait 15 minutes just for that test (and probably every subsequent one). Everybody knows what happens to the "I will fix that later"-thoughts. Reusing a class in another project isn't always that easy (mainly due to other tight couplings, but the constants handling doesn't make it easier.) Where would you store constants like that? Also what arguments would you bring in order to convince your project manager that there are better concepts which also comply with the advantages listed above? Feel free to give a C++-specific or independent answer. PS: I know this question is kind of subjective but I honestly don't know of any better place than this site for this kind of question. Update on this project I have news on the compile time thing: Following Caleb's and gbjbaanb's posts, I split my constants file into several other files when I had time. I also eventually split my project into several libraries which was now possible much easier. Compiling this in release mode showed that the auto-generated file which contains the database definitions (table, column names and more - more than 8000 symbols) and builds up certain hashes caused the huge compile times in release mode. Deactivating MSVC's optimizer for the library which contains the DB constants now allowed us to reduce the total compile time of your Project (several applications) in release mode from up to 8 hours to less than one hour! We have yet to find out why MSVC has such a hard time optimizing these files, but for now this change relieves a lot of pressure as we no longer have to rely on nightly builds only. That fact - and other benefits, such as less tight coupling, better reuseability etc - also showed that spending time splitting up the "constants" wasn't such a bad idea after all ;-)

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  • The Three-Legged Milk Stool - Why Oracle Fusion Incentive Compensation makes the difference!

    - by Richard Lefebvre
    During the London Olympics, we were exposed to dozens of athletes who worked with sports psychologists to maximize their performance. Executives often hire business psychologists to coach their teams to excellence. In the same vein, Fusion Incentive Compensation can be used to get people to change their sales behavior so we can make our numbers. But what about using incentive compensation solutions in a non-sales scenario to drive change? Recently, I was working an opportunity where a company was having a low user adoption rate for Salesforce.com, which was causing problems for them. I suggested they use Fusion Incentive Comp to change the reps' behavior. We tossed around the idea of tracking user adoption by creating a variable bonus for reps based on how well they forecasted revenues in the new system. Another thought was to reward the reps for how often they logged into the system or for the percentage of leads that became opportunities and turned into revenue. A new twist on a great product. Fusion CRM's Sweet Spot I'm excited about the sales performance management (SPM) tools in Fusion CRM. This trio of Incentive Compensation, Territory Management, and Quota Management sets us apart from the competition because Oracle is the only vendor that provides all three of these capabilities on a single tech stack, in a single application, and with a single look and feel. The niche vendors offer standalone territory or incentive compensation solutions, but then the customer has to custom build the other tools and can end up with a Frankenstein-type environment. On average, companies overpay sales commissions by three to eight percent. You calculate that number for a company the size of Oracle for one quarter and it makes a pretty air-tight financial case for using SPM tools to figure accurate commissions. Plus when sales reps get the right compensation, they can be out selling rather than spending precious time figuring out what they didn't get paid or looking for another job. And one more thing ... Oracle knows incentive comp. We have been a Gartner Market Scope leader in this space for the last five years. Our solution gets high marks because of its scalability and because of its interoperability with other technologies. And now that we're leading with Fusion, our incentive compensation offering includes the innovations that the Fusion team built, plus enhancements from the E-Business Suite Incentive Comp team. It's a case of making a good thing even better. (See product video.) The "Wedge" Apps In a number of accounts that I'm working on, there is a non-Oracle CRM system of record. That gives me the perfect opportunity to introduce the benefits of our SPM tools and to get the customer using Fusion. Then the door is wide open for the company to uptake more of Fusion CRM, especially since all the integrations they need are out of the box. I really believe that implementing this wedge of SPM tools is the ticket to taking market share away from other vendors. It allows us to insert ourselves in an environment where no other CRM solution in the market has the extending capabilities of Fusion. Not Just Your Usual Suspects Usually the stakeholders that I talk to for Territory Management are tightly aligned with the sales management team. When I sell the quota planning tool, I'm talking to finance people on the ERP side of the house who are measuring quotas and forecasting revenue. And then Incentive Comp is of most interest to the sales operations people, and generally these people roll up to either HR or the payroll department. I think of our Fusion SPM tools as a three-legged stool straddling an organization's Sales, Finance, and HR departments. So when you're prospecting for opportunities -- yes, people with a CRM perspective will be very interested -- but don't limit yourselves to that constituency. You might find stakeholders in accounting, revenue planning, or HR compensation teams. You just might discover, as I did at United Airlines, that the HR organization is spearheading the CRM project because incentive compensation is what they need ... and they're the ones with the budget. Jason Loh Global Solutions Manager, Fusion CRM Sales Planning Oracle Corporation

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  • Where are my date ranges in Analytics coming from?

    - by Jeffrey McDaniel
    In the P6 Reporting Database there are two main tables to consider when viewing time - W_DAY_D and W_Calendar_FS.  W_DAY_D is populated internally during the ETL process and will provide a row for every day in the given time range. Each row will contain aspects of that day such as calendar year, month, week, quarter, etc. to allow it to be used in the time element when creating requests in Analytics to group data into these time granularities. W_Calendar_FS is used for calculations such as spreads, but is also based on the same set date range. The min and max day_dt (W_DAY_D) and daydate (W_Calendar_FS) will be related to the date range defined, which is a start date and a rolling interval plus a certain range. Generally start date plus 3 years.  In P6 Reporting Database 2.0 this date range was defined in the Configuration utility.  As of P6 Reporting Database 3.0, with the introduction of the Extended Schema this date range is set in the P6 web application. The Extended Schema uses this date range to calculate the data for near real time reporting in P6.  This same date range is validated and used for the P6 Reporting Database.  The rolling date range means if today is April 1, 2010 and the rolling interval is set to three years, the min date will be 1/1/2010 and the max date will be 4/1/2013.  1/1/2010 will be the min date because we always back fill to the beginning of the year. On April 2nd, the Extended schema services are run and the date range is adjusted there to move the max date forward to 4/2/2013.  When the ETL process is run the Reporting Database will pick up this change and also adjust the max date on the W_DAY_D and W_Calendar_FS. There are scenarios where date ranges affecting areas like resource limit may not be adjusted until a change occurs to cause a recalculation, but based on general system usage these dates in these tables will progress forward with the rolling intervals. Choosing a large date range can have an effect on the ETL process for the P6 Reporting Database. The extract portion of the process will pull spread data over into the STAR. The date range defines how long activity and resource assignment spread data is spread out in these tables. If an activity lasts 5 days it will have 5 days of spread data. If a project lasts 5 years, and the date range is 3 years the spread data after that 3 year date range will be bucketed into the last day in the date range. For the overall project and even the activity level you will still see the correct total values.  You just would not be able to see the daily spread 5 years from now. This is an important question when choosing your date range, do you really need to see spread data down to the day 5 years in the future?  Generally this amount of granularity years in the future is not needed. Remember all those values 5, 10, 15, 20 years in the future are still available to report on they would be in more of a summary format on the activity or project.  The data is always there, the level of granularity is the decision.

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  • I assume Row_Number doesn’t act only on rows of the window frame

    - by AspOnMyNet
    a) Quote is taken from http://www.postgresql.org/docs/current/static/tutorial-window.html for each row, there is a set of rows within its partition called its window frame. Many (but not all) window functions act only on the rows of the window frame, rather than of the whole partition. By default, if ORDER BY is supplied then the frame consists of all rows from the start of the partition up through the current row, plus any following rows that are equal to the current row according to the ORDER BY clause I assume Row_Number doesn’t act only on rows of the window frame, but instead always act on all rows of a partition? b) By default, if ORDER BY is supplied then the frame consists of all rows from the start of the partition up through the current row, plus any following rows that are equal to the current row according to the ORDER BY clause I assume that is only true for those window functions that act only on rows of the window frame ( thus above quote isn't true for ROW_NUMBER() function )? c) http://www.postgresql.org/docs/current/static/tutorial-window.html talks about PostgreSQL 8.4’s Windowing functions. Is everything in that article also true for Sql Server 2008’s Windowing functions thanx

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  • Click in a ListView item changes status of elements inside the item?

    - by Antonio
    Hi, I don't know exactly how to explain this problem, but I'll try. I have a ListView with several items. Each item has inside a TextView and two ImageView. I want the ImageView change when I click on them, and I want to open a context menu when I press for a long time into the ListView item. For the ImageView, everything works properly. For the whole item, I can show the context menu after a long press, but my problem is that the ImageView changes as well when I am pressing the TextView, for example. Somo pieces of my code: ListView item: <TextView android:id="@+id/title" android:textColor="@color/black" android:maxLines="2" android:textSize="14dip" /> <ImageView android:id="@+id/minus" android:src="@drawable/minusbutton" android:adjustViewBounds="true" android:gravity="center" /> <ImageView android:id="@+id/plus" android:src="@drawable/plusbutton" android:adjustViewBounds="true" android:gravity="center" /> Drawable to change the status of the plus button: <selector xmlns:android="http://schemas.android.com/apk/res/android"> <item android:state_enabled="false" android:drawable="@drawable/button_add_normal_disabled" /> <item android:state_enabled="true" android:state_pressed="true" android:drawable="@drawable/button_add_pressed" /> <item android:state_enabled="true" android:state_focused="true" android:state_pressed="false" android:drawable="@drawable/button_add_active" /> <item android:state_enabled="true" android:state_focused="false" android:state_pressed="false" android:drawable="@drawable/button_add_normal" /> I hope you understand my problem. I think that all the children of a view are affected by an event in the parent, but I am not sure. Do you have a solution? Thanks in advance

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  • Obtaining MAC address

    - by rink.attendant.6
    According to Obtain client MAC address in ASP.NET Application, it is not possible. I am not entirely convinced because whenever I connect to Tim Hortons WiFi, my MAC address is known. Occasionally, the network is slow and I see this URL like this before being redirected to the Connect page: http://timhortonswifi.com/cp/tdl3/index.asp ?cmd=login &switchip=172.30.129.73 &mac=60:6c:66:17:1a:83 &ip=10.40.66.229 &essid=Tim%20Hortons%20WiFi &apname=TDL-ON-NEP-02177-WAP1 &apgroup=02177 &url=http%3A%2F%2Fweather%2Egc%2Eca%2Fcity%2Fpages%2Fon-72_metric_e%2Ehtml So according to this URL, the site knows the IP address of the router, my MAC address, the IP address assigned to my device by the router, the network SSID, some other pieces of information, and the URL I was trying to access prior to connecting. There's two options: Tim Hortons WiFi Basic and Tim Hortons WiFi Plus, where the "Plus" option allows me to connect to any Tim Hortons WiFi access point in Canada automatically with this device. Registration requires an email address, so I'm assuming this is possible by checking the MAC address and storing it in a database that routers ping upon connection. More info here. According to the extension of this page, I can safely assume it is ASP. How are they obtaining this information?

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  • Nested table height in TCPDF

    - by Kuroki Kaze
    Is it possible to make nested table fit height of its parent cell in TCPDF? My code: <?php require_once('tcpdf/config/lang/eng.php'); require_once('tcpdf/tcpdf.php'); $pdf = new TCPDF(PDF_PAGE_ORIENTATION, PDF_UNIT, PDF_PAGE_FORMAT, true, 'UTF-8', false); $pdf->setPrintHeader(false); $pdf->setPrintFooter(false); $pdf->SetFont('times', 'BI', 8); $pdf->AddPage(); $pdf->writeHTML('<table> <tr><td bgcolor="gray"> Angoisse et vif espoir, sans humeur factieuse.<br/> Plus allait se vidant le fatal sablier,<br/> Plus ma torture était âpre et délicieuse;<br/> Tout mon coeur s’arrachait au monde familier</td> <td bgcolor="lightgray">Second</td> <td bgcolor="gray">Third</td> <td> <table style="height: 100%"> <tr bgcolor="blue" style="height: 30%"><td bgcolor="yellow" style="height: 30%">Ichi</td></tr> <tr bgcolor="white" style="height: 30%"><td bgcolor="cyan" style="height: 30%">Ni</td></tr> <tr bgcolor="blue" style="height: 30%"><td bgcolor="yellow" style="height: 30%">San</td></tr> </table> </td></tr> </table>'); $pdf->Output('example_002.pdf', 'I'); ?> I want table in last cell to fill it entirely. Is there any way to do this?

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  • Create 2 connection pools using c3p0 in Jetty

    - by Mike
    Hello, I'm trying to set up a maven web project that runs Jetty. In this project, I need 2 JNDIs... my plan is to configure 2 connection pools using c3p0 in Jetty. So, I created WEB-INF/jetty-env.xml, and I have the following:- <Configure class="org.mortbay.jetty.webapp.WebAppContext"> <New id="ds1" class="org.mortbay.jetty.plus.naming.Resource"> <Arg>jdbc/ds1</Arg> <Arg> <New class="com.mchange.v2.c3p0.ComboPooledDataSource"> // ... JTDS to SQL Server - omitted for brevity </New> </Arg> </New> <New id="ds2" class="org.mortbay.jetty.plus.naming.Resource"> <Arg>jdbc/ds2</Arg> <Arg> <New class="com.mchange.v2.c3p0.ComboPooledDataSource"> // ... JTDS to Sybase - omitted for brevity </New> </Arg> </New> </Configure> When I run jetty, I get this exception:- May 14, 2010 1:16:56 PM com.mchange.v2.c3p0.impl.AbstractPoolBackedDataSource getPoolManager INFO: Initializing c3p0 pool... com.mchange.v2.c3p0.ComboPooledDataSource [ acquireIncrement -> ... ... ... Exception in thread "com.mchange.v2.async.ThreadPoolAsynchronousRunner$PoolThread-#0" java.lang.LinkageError: net.sourceforge.jtds.jdbc.DefaultProperties at java.lang.ClassLoader.defineClassImpl(Native Method) at java.lang.ClassLoader.defineClass(ClassLoader.java:258) It seems to me that I can't create 2 connection pools using c3p0. If I remove either one of the connection pool, it worked. What am I doing wrong? How do I create 2 connection pools in Jetty? Thanks much.

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  • Dynamically inserting an image with JavaScript does not work on images that 302 redirect

    - by Samuel Clay
    I am dynamically inserting an image into an HTML document using jQuery. Here is the code: var image_url = "http://www.kottke.org/plus/misc/images/castro-pitching.jpg"; var $image = $('<img src="'+image_url+'" width="50" height="50" />'); $('body').prepend($image); Notice that the image http://www.kottke.org/plus/misc/images/castro-pitching.jpg is actually a 302 redirect to http://kottkegae.appspot.com/images/castro-pitching.jpg. If you were to go to the original image in your browser, it works fine. If you were to load an HTML page with that image in an img tag, it would load fine. However, if you were to insert it dynamically using jQuery (or JavaScript, for that matter), the browser will not show the 302'ed image. If you show the redirected image, it would work fine. var image_url = "http://kottkegae.appspot.com/images/castro-pitching.jpg"; var $image2 = $('<img src="'+image_url+'" width="50" height="50" />'); $('body').prepend($image2); That's crazy, right? What gives and how can I force the image to load when inserted dynamically?

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  • How to implement RSA-CBC?(I have uploaded the request document)

    - by tq0fqeu
    I don't konw more about cipher, I just want to implement RSA-CBC which maybe mean that the result of RSA encrypt in CBC mode, and I have implemented RSA. any code languages will be ok, java will be appreciated thx I copy the request as follow(maybe has spelling wrong), but that's French I don't konw that: Pr´esentation du mini-projet Le but du mini-projet est d’impl´ementer une version ´el´ementaire du chi?rement d’un bloc par RSA et d’inclure cette primitive dans un systeme de chi?rement par bloc avec chaˆinage de blocs et IV (Initial Vector ) al´eatoire. Dans ce systeme, un texte clair (`a chi?rer) est d´ecompos´e en blocs de taille t (?x´ee par l’utilisa- teur), chaque bloc (clair) est chi?r´e par RSA en un bloc crypt´e de mˆeme taille, puis le cryptogramme associ´e au texte clair initial est obtenu en chaˆinant les blocs crypt´es par la m´ethode CBC (cipher- block chaining) d´ecrite dans le cours (voir poly “Block Ciphers”) Votre programme devra demander a l’utilisateur la taille t, puis, apres g´en´eration des cl´es publique et priv´ee, lui proposer de chi?rer ou d´echi?rer un (court) ?chier ASCII. Il est indispensable que votre programme soit au moins capable de traiter le cas (tres peu r´ealiste du point de vue de la s´ecurit´e) t = 32. Pour les traiter des blocs plus grands, il vous faudra impl´ementer des routines d’arithm´etique multi-pr´ecision ; pour cela, je vous conseille de faire appela des bibliotheques libres comme GMP (GNU Multiprecision Library). Pour la g´en´eration al´eatoire des nombres premiers p et q, vous pouvez ´egalement faire appela des bibliotheques sp´ecialis´ees,a condition de me donner toutes les pr´ecisions n´ecessaires. Vous devez m’envoyer (avant une date qui reste a ?xer)a mon adresse ´electronique ([email protected]) un courriel (sujet : [MI1-crypto] : devoir, corps du message : les noms des ´etudiants ayant travaill´e sur le mini-projet) auquel sera attach´e un dossier compress´e regroupant vos sources C ou Java comment´ees, votre programme ex´ecutable, et un ?chier texte ou PDF donnant toutes les pr´ecisions sur les biblioth`eques utilis´ees, vos choix algorithmiques et d’impl´ementation, et les raisons de ces choix (complexit´e algorithmique, robus- tesse, facilit´e d’impl´ementation, etc.). Vous pouvez travailler en binˆome ou en trinˆome, mais je serai nettement plus exigeant avec les trinˆomes I have uploaded the request at http://uploading.com/files/22emmm6b/enonce_projet.pdf/ thx

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  • Duplicate entries on mysql on insert using doctrine

    - by Nikos Galis
    Hi all! I am facing a very weird problem with mysql and doctrine [with help of codeIgniter]. I am trying to make a simple migration script taking all records from one table and after a little process, saving them to another. However, on my laptop [running windows and wamp] I get double numbers of the original table records to have been copied to the destination table. In my colleagues' laptops, everything works fine! We are all using mysql 5.0.86 [plus windows plus wamp]. Here is the code : function buggy_function(){ $this->db(); //get db connection $q = Doctrine_Query::create()->from('Oldtable r'); $oldrecords = $q->fetchArray(); $count = 0; foreach ($oldrecords as $oldrecord){ $newrecord = new NewTableClass(); $newrecord->password = md5($oldrecord['password']); $newrecord->save(); echo $newrecord->id. ' Id -> saved.' } } Simple as that! I have 39 records on the Old table and I am getting 78 records in the new table, which are exactly the same records, except from the unique primary key. It seems as if the script runs twice. But the output of the script is the following : 1 Id -> saved. 2 Id -> saved. ... ... 39 Id -> saved. Do you have any idea why this is happening? Any known bug for mysql? Thank you in advanced!'

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  • Why is python decode replacing more than the invalid bytes from an encoded string?

    - by dangra
    Trying to decode an invalid encoded utf-8 html page gives different results in python, firefox and chrome. The invalid encoded fragment from test page looks like 'PREFIX\xe3\xabSUFFIX' >>> fragment = 'PREFIX\xe3\xabSUFFIX' >>> fragment.decode('utf-8', 'strict') ... UnicodeDecodeError: 'utf8' codec can't decode bytes in position 6-8: invalid data What follows is the summary of replacement policies used to handle decoding errors by python, firefox and chrome. Note how the three differs, and specially how python builtin removes the valid S (plus the invalid sequence of bytes). by Python The builtin replace error handler replaces the invalid \xe3\xab plus the S from SUFFIX by U+FFFD >>> fragment.decode('utf-8', 'replace') u'PREFIX\ufffdUFFIX' >>> print _ PREFIX?UFFIX The python implementation builtin replace error handler looks like: >>> python_replace = lambda exc: (u'\ufffd', exc.end) As expected, trying this gives same result than builtin: >>> codecs.register_error('python_replace', python_replace) >>> fragment.decode('utf-8', 'python_replace') u'PREFIX\ufffdUFFIX' >>> print _ PREFIX?UFFIX by Firefox Firefox replaces each invalid byte by U+FFFD >>> firefox_replace = lambda exc: (u'\ufffd', exc.start+1) >>> codecs.register_error('firefox_replace', firefox_replace) >>> test_string.decode('utf-8', 'firefox_replace') u'PREFIX\ufffd\ufffdSUFFIX' >>> print _ PREFIX??SUFFIX by Chrome Chrome replaces each invalid sequence of bytes by U+FFFD >>> chrome_replace = lambda exc: (u'\ufffd', exc.end-1) >>> codecs.register_error('chrome_replace', chrome_replace) >>> fragment.decode('utf-8', 'chrome_replace') u'PREFIX\ufffdSUFFIX' >>> print _ PREFIX?SUFFIX The main question is why builtin replace error handler for str.decode is removing the S from SUFFIX. Also, is there any unicode's official recommended way for handling decoding replacements?

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  • Maintaining state and data context between requests in ASP.NET + EF4

    - by Nick
    I have a EF4/ASP.NET web application that is structured to use POCOs and generic repositories, based essentially on this excellent article. The application is relatively sophisticated with one page that involves selection and linking of multiple entities to build up a complex user profile. This requires access to multiple entity types (20 or so) and associated repositories across multiple posts. When a repository is first accessed it uses the existing data context if exists, else it creates a new context. The problem is that if the lifetime of the context is only per-request (as suggested in the article) then you have to deal with multiple contexts and the complexity around detaching and attaching entities from contexts. My solution is to share the context between posts by creating a single View Model that includes all required repositories (initialised to share the same context) plus any associated data and store this model in a Session variable, retrieving from Session on subsequent page requests. Therefore maintaining the same context across all posts until the profile is saved. This works fine BUT I am concerned that I don't actually know exactly what is stored in the model session variable or more importantly the size of the Session variable. So two questions I suppose: firstly should I look for a better solution to handle the shared context across posts issue (any suggestions welcome)? And secondly what is actually stored in the Session when it includes a repository plus context? Any help appreciated!

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  • Java operator overloading

    - by nimcap
    Not using operators makes my code obscure. (aNumber / aNother) * count is better than aNumber.divideBy(aNother).times(count) After 6 months of not writing a single comment I had to write a comment to the simple operation above. Usually I refactor until I don't need comment. And this made me realize that it is easier to read and perceive math symbols and numbers than their written forms. For example TWENTY_THOUSAND_THIRTEEN.plus(FORTY_TWO.times(TWO_HUNDERED_SIXTY_ONE)) is more obscure than 20013 + 42*261 So do you know a way to get rid of obscurity while not using operator overloading in Java? Update: I did not think my exaggeration on comments would cause such trouble to me. I am admitting that I needed to write comment a couple of times in 6 months. But not more than 10 lines in total. Sorry for that. Update 2: Another example: budget.plus(bonusCoefficient.times(points)) is more obscure than budget + bonusCoefficient * points I have to stop and think on the first one, at first sight it looks like clutter of words, on the other hand, I get the meaning at first look for the second one, it is very clear and neat. I know this cannot be achieved in Java but I wanted to hear some ideas about my alternatives.

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  • How to move list items from two lists (from different areas) to one specific list by clicking the li

    - by pschorr
    I've been having some issues setting up a list of items and moving them between each other. Is it possible to have multiple lists, with a link inside each item to move it to a specified list? i.e. List of actions with a plus next to the action, click the plus and move to a specified box? Furthermore, would it be possible to then load a lightbox (code would have to be inline I'd guess) from that page and move those names to the specific list as well? Example Images Thanks much! More broad view of my efforts so far... The initial issue being that I could not use listboxes due to their being rendered natively inside each individual browser. Through listboxes I was able to set this up, but with a trigger via the code below (found on stackoverflow). While it gave me partial functionality it did not get the target I was looking for. document.getElementById('moveTrigger').onclick = function() { var listTwo = document.getElementById('secondList'); var options = document.getElementById('firstList').getElementsByTagName('option'); while(options.length != 0) { listTwo.appendChild(options[0]); } } I then moved onto jqueryui's sortable and it's ability to connect multiple, and most important, style-able lists and to be dragged between each other. This works for the side by side tables, but it does not offer the usability I was looking for overall. So, I've come to where I'm unsure as to where to move forward. While I can get around PHP, I wouldn't know where to start with this one personally. I'm open to any and all options! Thanks much!

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  • Starting with versioning mysql schemata without overkill. Good solutions?

    - by tharkun
    I've arrived at the point where I realise that I must start versioning my database schemata and changes. I consequently read the existing posts on SO about that topic but I'm not sure how to proceed. I'm basically a one man company and not long ago I didn't even use version control for my code. I'm on a windows environment, using Aptana (IDE) and SVN (with Tortoise). I work on PHP/mysql projects. What's a efficient and sufficient (no overkill) way to version my database schemata? I do have a freelancer or two in some projects but I don't expect a lot of branching and merging going on. So basically I would like to keep track of concurrent schemata to my code revisions. [edit] Momentary solution: for the moment I decided I will just make a schema dump plus one with the necessary initial data whenever I'm going to commit a tag (stable version). That seems to be just enough for me at the current stage.[/edit] [edit2]plus I'm now also using a third file called increments.sql where I put all the changes with dates, etc. to make it easy to trace the change history in one file. from time to time I integrate the changes into the two other files and empty the increments.sql[/edit]

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  • Automated Oracle Schema Migration Tool

    - by Dave Jarvis
    What are some tools (commercial or OSS) that provide a GUI-based mechanism for creating schema upgrade scripts? To be clear, here are the tool responsibilities: Obtain connection to recent schema version (called "source"). Obtain connection to previous schema version (called "target"). Compare all schema objects between source and target. Create a script to make the target schema equivalent to the source schema ("upgrade script"). Create a rollback script to revert the source schema, used if the upgrade script fails (at any point). Create individual files for schema objects. The software must: Use ALTER TABLE instead of DROP and CREATE for renamed columns. Work with Oracle 10g or greater. Create scripts that can be batch executed (via command-line). Trivial installation process. (Bonus) Create scripts that can be executed with SQL*Plus. Here are some examples (from StackOverflow, ServerFault, and Google searches): Change Manager Oracle SQL Developer Software that does not meet the criteria, or cannot be evaluated, includes: TOAD PL/SQL Developer - Invalid SQL*Plus statements. Does not produce ALTER statements. SQL Fairy - No installer. Complex installation process. Poorly documented. DBDiff - Crippled data set evaluation, poor customer support. OrbitDB - Crippled data set evaluation. SchemaCrawler - No easily identifiable download version for Oracle databases. SQL Compare - SQL Server, not Oracle. LiquiBase - Requires changing the development process. No installer. Manually edit config files. Does not recognize its own baseUrl parameter. The only acceptable crippling of the evaluation version is by time. Crippling by restricting the number of tables and views hides possible bugs that are only visible in the software during the attempt to migrate hundreds of tables and views.

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  • What is reading source on an ebook reader like?

    - by Daniel Straight
    There are a few open source projects I would really like to read through the code of to understand better / improve on. The problem is, for me, reading for a long time on the computer screen is tedious. I would love to be able to read code while lounging around and on a screen that was better on my eyes. Has anyone ever tried reading code on an ebook reader? It seems like the e-ink would make it easy on the eyes, plus it would be portable, plus it wouldn't kill any trees. In other words, it sounds perfect, but before I drop a couple benjamins on an ebook reader, I'd like to hear if anyone else has tried this and how it went. It seems Scott Hanselman discussed using the Kindle to read code, but I wouldn't necessarily want a Kindle. Has anyone had a positive experience with some other device? I realize this is not directly about programming, but it relates directly to my ability to improve my skills. I think if a good portable reading device for code exists, it could help a lot of programmers.

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  • Retrieve Records from paypal csv file

    - by Pankaj Khurana
    Hi, I want to retrieve all the records from paypal csv file where type='Payment Processed' and store it in a database table.It should be available in the following format: 'Heading':'Value' The format of the csv is: "Transaction ID","Reference Transaction ID","Date","Type","Subject","Item Number","Item Name","Invoice ID","Name","Email","Shipping Name","Shipping Address Line 1","Shipping Address Line 2","Shipping Address City","Shipping State/Province","Shipping Zip/Postal Code","Shipping Address Country","Shipping Method","Address Status","Contact Phone Number","Gross Amount","Receipt ID","Custom Field","Option 1 Name","Option 1 Value","Option 2 Name","Option 2 Value","Note","Auction Site","Auction User ID","Item URL","Auction Closing Date","Insurance Amount","Currency","Fees","Net Amount","Shipping & Handling Amount","Sales Tax Amount","To Email","Time","Time Zone" "1T","",5/5/2010 2:10:44 PM,"Payment Processed","CFP Self Study Kit","1","CFP Self Study Kit","","User1","[email protected]","","","","","","","","","N","","68.18","R1","","","","","","","","","",,"","USD","-2.62","65.56","0","0","[email protected]","01:40","Asia/Calcutta" "2T","",5/19/2010 4:04:08 PM,"Payment Processed","CFP Self Study Kit","1","CFP Self Study Kit","","User2","[email protected]","","","","","","","","","N","","68.18","R2","","","","","","","","","",,"","USD","-2.62","65.56","0","0","[email protected]","03:34","Asia/Calcutta" "3T","1RT",5/19/2010 5:28:45 PM,"Currency Conversion Completed","","","",""," ","","","","","","","","","","N","","17492.6","","","","","","","","","","",,"","INR","0","17492.6","0","0","","04:58","Asia/Calcutta" "4T","2RT",5/19/2010 5:28:45 PM,"Currency Conversion Completed","","","",""," ","","","","","","","","","","N","","-393.36","","","","","","","","","","",,"","USD","0","-393.36","0","0","","04:58","Asia/Calcutta" "5T","",5/19/2010 5:28:45 PM,"Transfer to Bank Initiated","P1006","","P1006",""," ","","","","","","","","","","N","","-17492.6","","","","","","","","","","",,"","INR","0","-17492.6","0","0","","04:58","Asia/Calcutta" "6T","",5/20/2010 5:38:02 PM,"Transfer to Bank Completed","P1006","","P1006",""," ","","","","","","","","","","N","","-17492.6","","","","","","","","","","",,"","INR","0","-17492.6","0","0","","05:08","Asia/Calcutta" "7T","",5/21/2010 12:32:37 PM,"Payment Processed","FP - LVC Plus","","FP - LVC Plus","","User3","[email protected]","User3","NEW DELHI","BEHIND KARNATAKA BANK LD","SOUTH","NEW DELHI","110023","IN","","N","","283.96","","","","","","","","","","",,"","USD","-9.95","274.01","0","0","[email protected]","00:02","Asia/Calcutta" "8T","",5/25/2010 4:40:48 PM,"Transfer to Bank Initiated","P1006","","P1006",""," ","","","","","","","","","","N","","-12569.85","","","","","","","","","","",,"","INR","0","-12569.85","0","0","","04:10","Asia/Calcutta" "9T","3RT",5/25/2010 4:40:48 PM,"Currency Conversion Completed","","","",""," ","","","","","","","","","","N","","-274.01","","","","","","","","","","",,"","USD","0","-274.01","0","0","","04:10","Asia/Calcutta" "10T","4RT",5/25/2010 4:40:48 PM,"Currency Conversion Completed","","","",""," ","","","","","","","","","","N","","12569.85","","","","","","","","","","",,"","INR","0","12569.85","0","0","","04:10","Asia/Calcutta" "11T","",5/26/2010 4:57:39 PM,"Transfer to Bank Completed","P1006","","P1006",""," ","","","","","","","","","","N","","-12569.85","","","","","","","","","","",,"","INR","0","-12569.85","0","0","","04:27","Asia/Calcutta" "Total","-247.05 USD","-15.19","-262.24" "Total","0.00 INR","0.00","0.00" Please help me on this Thanks

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  • Targeted Simplify in Mathematica

    - by Timo
    I generate very long and complex analytic expressions of the general form: (...something not so complex...)(...ditto...)(...ditto...)...lots... When I try to use Simplify, Mathematica grinds to a halt, I am assuming due to the fact that it tries to expand the brackets and or simplify across different brackets. The brackets, while containing long expressions, are easily simplified by Mathematica on their own. Is there some way I can limit the scope of Simplify to a single bracket at a time? Edit: Some additional info and progress. So using the advice from you guys I have now started using something in the vein of In[1]:= trouble = Log[(x + I y) (x - I y) + Sqrt[(a + I b) (a - I b)]]; In[2]:= Replace[trouble, form_ /; (Head[form] == Times) :> Simplify[form],{3}] Out[2]= Log[Sqrt[a^2 + b^2] + (x - I y) (x + I y)] Changing Times to an appropriate head like Plus or Power makes it possible to target the simplification quite accurately. The problem / question that remains, though, is the following: Simplify will still descend deeper than the level specified to Replace, e.g. In[3]:= Replace[trouble, form_ /; (Head[form] == Plus) :> Simplify[form], {1}] Out[3]= Log[Sqrt[a^2 + b^2] + x^2 + y^2] simplifies the square root as well. My plan was to iteratively use Replace from the bottom up one level at a time, but this clearly will result in vast amount of repeated work by Simplify and ultimately result in the exact same bogging down of Mathematica I experienced in the outset. Is there a way to restrict Simplify to a certain level(s)? I realize that this sort of restriction may not produce optimal results, but the idea here is getting something that is "good enough".

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  • Delete throws "deleted object would be re-saved by cascade"

    - by Greg
    I have following model: <class name="Person" table="Person" optimistic-lock="version"> <id name="Id" type="Int32" unsaved-value="0"> <generator class="native" /> </id> <!-- plus some properties here --> </class> <class name="Event" table="Event" optimistic-lock="version"> <id name="Id" type="Int32" unsaved-value="0"> <generator class="native" /> </id> <!-- plus some properties here --> </class> <class name="PersonEventRegistration" table="PersonEventRegistration" optimistic-lock="version"> <id name="Id" type="Int32" unsaved-value="0"> <generator class="native" /> </id> <property name="IsComplete" type="Boolean" not-null="true" /> <property name="RegistrationDate" type="DateTime" not-null="true" /> <many-to-one name="Person" class="Person" column="PersonId" foreign-key="FK_PersonEvent_PersonId" cascade="all-delete-orphan" /> <many-to-one name="Event" class="Event" column="EventId" foreign-key="FK_PersonEvent_EventId" cascade="all-delete-orphan" /> </class> There are no properties pointing to PersonEventRegistration either in Person nor in Event. When I try to delete an entry from PersonEventRegistration, I get the following error: "deleted object would be re-saved by cascade" The problem is, I don't store this object in any other collection - the delete code looks like this: public bool UnregisterFromEvent(Person person, Event entry) { var registrationEntry = this.session .CreateCriteria<PersonEventRegistration>() .Add(Restrictions.Eq("Person", person)) .Add(Restrictions.Eq("Event", entry)) .Add(Restrictions.Eq("IsComplete", false)) .UniqueResult<PersonEventRegistration>(); bool result = false; if (null != registrationEntry) { using (ITransaction tx = this.session.BeginTransaction()) { this.session.Delete(registrationEntry); tx.Commit(); result = true; } } return result; } What am I doing wrong here?

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