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  • What is the effect on LVM snapshot size when a file block is rewritten with it's original contents?

    - by NevilleDNZ
    I'm exploring using LVM snapshot's to off site incremental archives from a snapshot "master" file system. In essence: simply copy across only the files on the "master" that have changed since the last incremental copy to the "archive". Then snapshot the "archive" to retain the incremental. I am a bit puzzled as to the block usage behaviour of the archive's own incremental snapshot. I'm expecting that LVM is not smart enough to know that the "file block" is actually unchanged, and the a new copy will be allocated and written for the fresh "archive" file system. Can anyone confirm this, or point me to a document/page that gives some hints? BTW: the OS hard disk cache, hard disk physical cache and hard disk itself also doesn't need to do any actual "disk writes" as the "disk block" likewise is unnecessary. Any pointers to discussion of this style of optimisation would also be ineresting.

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  • OS X server 10.6 - how to restore default groups?

    - by Zoran Simic
    I've set up my OS X server as an open directory master first, then (experimenting), I've changed it to standalone server, then set it back as an open directory master again. Now, all the default groups I saw before are gone (Domain Administrators, Domain users etc). Do you know how to restore these groups? Note that the groups are gone only from the Workgroup Manager UI. They do seem to be still there otherwise. id -G gives the usual list of groups. If I create an account and makes its primary group 'staff', Workgroup Manager shows all the inherited groups properly (but not on the main list). If I create an account and associate it to a new group I just created, then the account has no inherited groups...

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  • Session persistence between multiple Rails / Unicorn servers with Redis as session_store on AWS

    - by d_ethier
    I've got 2 nginx EC2 instances pointing to 2 Unicorn EC2 instances in a round robin load balanced configuration. The two nginx instances are being the Elastic Load Balancer. Both Unicorn instances have a Redis session_store configured which is in a master/slave configuration with an Elastic IP attached to the master. I've tried configuring the session stickiness on the load balancer, but sessions are lost on each page refresh. I'm using the redis-store gem for the session_store configuration and redis support. Anyone have any ideas as to why this is not working?

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  • "remote file operation failed" on Hudson

    - by Aveen
    I am running a Windows slave for Husdon 1.337 (Linux master). When running a project on the Windows node, it fails with the following message: Building remotely on winTestSlave Checking out a fresh workspace because there's no workspace at C:\hudson\***\ejb remote file operation failed It did work yesterday and I have not upgraded Hudson or changed its configurations (or the slave's configurations) in any way. I establish the connection between the slave and the master by running the following command on a cygwim prompt on the slave: java -jar slave.jar -jnlpUrl http://myserver/computer/winTestSlave/slave-agent.jnlp I saw the issue http://issues.hudson-ci.org/browse/HUDSON-5374 and did as instructed in the work-around but that did not work. I also tried with a newer version of slave.jar (version 1.356) but that did not work either. Does anyone please have any idea of how to fix this? I really cannot find more information anywhere else!

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  • trigger script on postfix delivery errors

    - by edovino
    I'm trying to get postfix to run a script on soft (4xx) and hard (5xx) delivery errors, but I'm not sure where to start. If I understand things correctly, I could insert (pipe-based) filters in the master.cf file, there's a whole 'milter' infrastructure available, an finally I suppose I could simply grep through the mail.info logs. So - any advice? Should I go the 'handle it via master.cf' route, and if so, what daemon should I intercept? 'bounce'? The grep-the-logs route is probably simplest, but I can't help but feel that there is a better way. Any advice appreciated!

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  • JPA2 adding referential contraint to table complicates criteria query with lazy fetch, need advice

    - by Quaternion
    Following is a lot of writing for what I feel is a pretty simple issue. Root of issue is my ignorance, not looking so much for code but advice. Table: Ininvhst (Inventory-schema inventory history) column ihtran (inventory history transfer code) using an old entity mapping I have: @Basic(optional = false) @Column(name = "IHTRAN") private String ihtran; ihtran is really a foreign key to table Intrnmst ("Inventory Transfer Master" which contains a list of "transfer codes"). This was not expressed in the database so placed a referential constraint on Ininvhst re-generating JPA2 entity classes produced: @JoinColumn(name = "IHTRAN", referencedColumnName = "TMCODE", nullable = false) @ManyToOne(optional = false) private Intrnmst intrnmst; Now previously I was using JPA2 to select the records/(Ininvhst entities) from the Ininvhst table where "ihtran" was one of a set of values. I used in.value() to do this... here is a snippet: cq = cb.createQuery(Ininvhst.class); ... In in = cb.in(transactionType); //Get in expression for transacton types for (String s : transactionTypes) { //has a value in = in.value(s);//check if the strings we are looking for exist in the transfer master } predicateList.add(in); My issue is that the Ininvhst used to contain a string called ihtran but now it contains Ininvhst... So I now need a path expression: this.predicateList = new ArrayList<Predicate>(); if (transactionTypes != null && transactionTypes.size() > 0) { //list of strings has some values Path<Intrnmst> intrnmst = root.get(Ininvhst_.intrnmst); //get transfermaster from Ininvhst Path<String> transactionType = intrnmst.get(Intrnmst_.tmcode); //get transaction types from transfer master In<String> in = cb.in(transactionType); //Get in expression for transacton types for (String s : transactionTypes) { //has a value in = in.value(s);//check if the strings we are looking for exist in the transfer master } predicateList.add(in); } Can I add ihtran back into the entity along with a join column that is both references "IHTRAN"? Or should I use a projection to somehow return Ininvhst along with the ihtran string which is now part of the Intrnmst entity. Or should I use a projection to return Ininvhst and somehow limit Intrnmst just just the ihtran string. Further information: I am using the resulting list of selected Ininvhst objects in a web application, the class which contains the list of Ininvhst objects is transformed into a json object. There are probably quite a few serialization methods that would navigate the object graph the problem is that my current fetch strategy is lazy so it hits the join entity (Intrnmst intrnmst) and there is no Entity Manager available at that point. At this point I have prevented the object from serializing the join column but now I am missing a critical piece of data. I think I've said too much but not knowing enough I don't know what you JPA experts need. What I would like is my original object to have both a string object and be able to join on the same column (ihtran) and have it as a string too, but if this isn't possible or advisable I want to hear what I should do and why. Pseudo code/English is more than fine.

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  • PC cannot see Clonezilla server when using PXE Boot

    - by r2b2
    Hi I have about 15 workstations, all have the same hardware specs so I figured clonezilla is perfect for cloning them. So I followed everything this guide says :cloning groups of school computers That guide above makes it all look easy but when I tried setting up Clonezilla Server Edition on my laptop (Kubuntu 10.10) and configured the master computer for PXE boot, the master computer could not see the Clonezilla server. It just shows 'DHCP...' which seems it trying to grab an IP address but to no avail. Please help. Thanks!

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  • mysql cluster virtual ip

    - by user225995
    I am new in mysql cluster and mysql cluster and versions are not my choice. I setup four machines. Two of them manager , Two of them data cluster (ndb and mysqld). And i integrate with mysql utilities master/slave configuration. Everything working fine. Mysql version 5.6.17, ndb 7.3.5 , servers ubuntu 14.04. There will be no much transactions. The only important thing is HA. Everythings must be double. My problem is virtual ip. Since I have only one farm which have master slave configuration, how can i do it without proxy? If I must use proxy which proxy is better?

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  • Data capture from other sheet into Summary sheet

    - by Hemant
    an Excel workbook which has Summary sheet, Pending and Master Sheet. My requirement is below and try to develop a Macro or VB logic for excel • I want to control this workbook from Summary sheet. o Generate Fault Summary – ? I have set logic but if doesn’t give warning if sheet name is exists , so need to add this logic . ? When we press the Fault Report Summary command button then it copy the master sheet with cell “A6” Name and will hide the Master sheet. Again when you select the another Month name then it will generate the sheet for that month name. o Generate Toll System Uptime ? When I select the sheet name and “Week” then Press the “Enter “Command button then it should get the result from that sheet number . Each sheet number has Month detail in B2 Cell. ? To calculate the Uptime formula for Week wise is • Week-01 = (1680-SUMIFS(L5:L23,B5:B23,"="&B2,B5:B23,"<="&(B2+6)))/1680 • Week-02 =(1680-SUMIFS(L5:L23,B5:B23,"="&(B2+7),B5:B23,"<="&(B2+13)))/1680 • Week-03 =(1680-SUMIFS(L5:L23,B5:B23,"="&(B2+14),B5:B23,"<="&(B2+20)))/1680 • Week-04 =(1680-SUMIFS(L5:L23,B5:B23,"="&(B2+21),B5:B23,"<="&(B2+27)))/1680 • Month =(1680-SUMIFS(L5:L23,B5:B23,"="&(B2),B5:B23,"<="&(DATE(YEAR(B2),1+MONTH(B2),1)-1)))/1680 ? Result should reflect in Summary sheet at B18 cell . o Pending Fault Report Summary ? When segregate the report on its status like which one is open or Close . It is open then it is Pending Fault Report and when it is Close status it means it is closed. ? If any fault which has OPEN status in all sheets(Jan-13,Feb-13,Mar-13….etc) then it should be come as well as in Pending Sheet which ascending date order. ? When it’s status is changed then it should be moved in that month sheet or nearby fault created date. It status is close then it should not be available in pending sheet as it’s status is Closed. ? Each fault has Reported date and we monitor all fault according reported date. ? When we press the Update Fault Report Summary command button then it should update as above logic. ? Some time we export the Pending fault report , so date calendar should be present in Start and End date to Choose the date. When we press the Export command line then it should export the Pending fault report and able to save in Excel,PDF.

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  • Clonezilla , NLite and PCs with different hardware specs

    - by r2b2
    I used Clonezilla to create and restore images from a master computer to other workstations with the same specs. But the problem now is there are new computers whose hardware specs are different than the ones I maintained (mostly the videocard is different). Is it possible to create a customize Windows XP installer using Nlite and integrate all potential videocard and motherboard drivers ? If I then used this NLite ISO to install to a master computer which i will later clone and restore the image to other workstations, will windows xp still pick up the correct driver set? During XP installation, does the installer transfers all the drivers to the computer's harddisk? Thanks! Ryan

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  • Is it possible to reference a linkbotton outside an update panel as the update trigger?

    - by Selase
    I have a page based on a master page and as such i can only see the content place holders i used in the master page showing up in the aspx pages based on the master page. the source code shown below: <%@ Page Title="" Language="C#" MasterPageFile="~/Site.Master" AutoEventWireup="true" CodeBehind="CaseAdmin.aspx.cs" Inherits="Prototype4.CaseAdmin" %> <%@PreviousPageType VirtualPath="~/Account/Login.aspx"%> <asp:Content ID="Content1" ContentPlaceHolderID="HeadContent" runat="server"> </asp:Content> <asp:Content ID="CaseRightNews" ContentPlaceHolderID="RightNewsItem" runat="server"> </asp:Content> <asp:Content ID="CaseLeftNav" ContentPlaceHolderID="LeftNavigation" runat="server"> <div style="margin-top:20px; margin-bottom:20px;"> <p class="actionButton"> <asp:LinkButton ID="OpenCaseLinkButton" runat="server" onclick="OpenCaseLinkButton_Click">Open Case</asp:LinkButton> </p> <p class="actionButton"><asp:LinkButton ID="RegisterExhibitLinkButton" runat="server" onclick="RegisterExhibitLinkButton_Click">Register Exhibit</asp:LinkButton> </p> </div> </asp:Content> <asp:Content ID="CaseMainContnt" ContentPlaceHolderID="MainContent" runat="server"> <asp:ScriptManager ID="ScriptManager" runat="server" /> <asp:UpdatePanel ID="CaseMainCntntUpdatePanel" UpdateMode="Conditional" runat="server"> <Triggers> <asp:AsyncPostBackTrigger ControlID="" eventname="Click"/> </Triggers> <ContentTemplate> <%--Some text here to inform user to click on the open case botton to display open case form--%> </ContentTemplate> </asp:UpdatePanel> <asp:UpdatePanel runat="server" id="UpdatePanel1" updatemode="Conditional"> <Triggers> <asp:AsyncPostBackTrigger ControlID="" eventname="Click"/> </Triggers> <ContentTemplate> <%--some text here to inform users to click on the add exhibit botton to display add exhibit form--%> </ContentTemplate> </asp:UpdatePanel> </asp:Content> the section of the entire page i wish to change upon update is the (this is the main content of the page). for this reason i placed the updatepanel inside the content place holder since it cant be sitting outside and not wrapped in a content place holder. However, the buttons that i wish to apply the trigger that fires the update to, are in another content place holder(). How can i possibly get those buttons to act as the trigger while changing only what appears in the main content area. Plus, i tried getting the updatepanel to work just so i could see if it does the update well but it turned out really bad. i added some linkbottons in the content template area and used them as the triggers for testing reasons. i tested and the changes took over the entire page in contrast to just appearing in the content area. I actually just wanted to load a form that is created in another asp. page into the main content area... I seriously need help with this... Every little help, detail and information is dearly appreciated... thanks so much in advance

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  • Creating ip alias on bonded interface ie. bond0:1

    - by bobothechimp
    System: HP Proliant DL360 G5 running CentOS 5.4 Bonded interface is working fine for a long time. I just went to add an alias the way I always have on a regular interface, and on first check it works (pinging on the local box) but it is not accessable from outside (iptables is turned off). In addition with this setup the normal network response started to decline, hanging for around a minute before I could get a prompt on login. Here are my config files: [root network-scripts]# cat ifcfg-eth0 DEVICE=eth0 BOOTPROTO=none ONBOOT=yes MASTER=bond0 SLAVE=yes USERCTL=no [root network-scripts]# cat ifcfg-eth1 DEVICE=eth1 BOOTPROTO=none ONBOOT=yes MASTER=bond0 SLAVE=yes USERCTL=no [root network-scripts]# cat ifcfg-bond0 DEVICE=bond0 BONDING_OPTS="mode=1 miimon=100" BOOTPROTO=none ONBOOT=yes NETWORK=10.2.1.0 NETMASK=255.255.255.0 IPADDR=10.2.1.11 USERCTL=no [root network-scripts]# cat ifcfg-bond0:1 DEVICE=bond0:1 BOOTPROTO=static ONBOOT=yes NETWORK=10.2.1.0 NETMASK=255.255.255.0 IPADDR=10.2.1.12 USERCTL=no any thoughts?

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  • Samba / smbd on Centos 6.5

    - by Satalink
    I've installed Samba4 and have the smb.conf file as follows: [global] workgroup = WORKGROUP server string = Samba Server realm = REXIALO.COM netbios name = REXIALO.COM security = user map to guest = Bad Password bind interfaces only = no interfaces = lo venet0 log file = /var/log/samba/samba.log max log size = 1000 [webroot] path = /usr/local/apache/htdocs comment = Example.com webroot directory read only = No I can connect from the same server with smbclient. Localhost: # smbclient -L localhost -U root Domain=[WORKGROUP] OS=[Unix] Server=[Samba 4.1.11] Sharename Type Comment --------- ---- ------- webroot Disk RexiAlo webroot directory IPC$ IPC IPC Service (RexiAlo Samba Server) Domain=[WORKGROUP] OS=[Unix] Server=[Samba 4.1.11] Server Comment --------- ------- Workgroup Master --------- -------Enter root's password: network: # smbclient -L rexialo.com -U Domain=[WORKGROUP] OS=[Unix] Server=[Samba 4.1.11] Sharename Type Comment --------- ---- ------- webroot Disk RexiAlo webroot directory IPC$ IPC IPC Service (RexiAlo Samba Server) Domain=[WORKGROUP] OS=[Unix] Server=[Samba 4.1.11] Server Comment --------- ------- Workgroup Master --------- ------- The problem is when I try to map to the smb webroot from Windows 7, it asks for user/pass but just times out and then prompts for credentials. The samba.log file does not show any activity other than the startup of the smbd process. Any help would be appreciated.

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  • Which hardware to VM ratio for Build-Server virtualization?

    - by Martin
    Let's start with saying that I'm a total noob wrt. to server virtualization. That is, I use VMs often during development, but they're simple desktop machine things for me. Now to my problem: We have two (physical) build servers, one master, one slave running Jenkins to do daily tasks and build (Visual C++ Builds) our release packages for our software. As such these machines are critical to our company, because we do lot's releases and without a controlled environment to create them, we can't ship fixes. (And currently there's no proper backup of these machines in place, because they do not hold any data as such - it just would be a major pain to setup them again should they go bust. (But setting up backup that I'd know would work in case of HW failure would even be more pain, so we have skipped that until now.)) Therefore (and for scaling purposes) we would like to go virtual with these machines. Outsourcing to the cloud is not an option, not at all, so we'll have to use on-premises hardware and VM hosts. Each Build-Server (master or slave) is a fully configured (installs, licenses, shares in case of the master, ...) Windows Server box. I would now ideally like to just convert the (two) existing physical nodes to VM images and run them. Later add more VM slave instances as clones of the existing ones. And here begin my questions: Should I go for one VM per one hardware-box or should I go for something where a single hardware runs multiple VMs? That would mean a single point of failure hardware wise and doesn't seem like a good idea ... or?? Since we're doing C++ compilation with Visual Studio, I assume that during a build the hardware (processor cores + disk) will be fully utilized, so going with more than one build-node per hardware doesn't seem to make much sense?? Wrt. to hardware options, does it make any difference which VM software we use (VMWare, MS, Virtualbox, ... ?) (We're using Windows exclusively for our builds.) Regarding budget: We have a normal small company (20 developers) budget for this. ;-) That is, if it's going to cost a few k$ it's going to cost. If it's free - the better. I strongly prefer solutions where there's no multi-k$ maintenance costs per year.

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  • Cross join problem query

    - by user66121
    i have following table structure HUB_DETAILS (Master) Branch_ID Branch_Name VTRCheckList (Master) CLid CLName VTRCheckListDetails (Detail) CLid Branch_ID VTRValue vtrRespDate Actually when i run the following query it does comes with all the Checklist names alongwith all branch names but shows the value in every branch infact only 1 branch has data in the given date criteria. it should show 0 if there is no data in checklist of the respective branch. SELECT VTRCheckList.CLName, Hub_Details.BranchName, sum(cast(VTRCheckListDetails.VtrValue as int)) as 'Total' FROM VTRCheckListDetails INNER JOIN VTRCheckList ON VTRCheckListDetails.CLid = VTRCheckList.CLid CROSS JOIN Hub_Details where Convert(date,VTRCheckListDetails.vtrRespDate, 105) >= convert(date,'01-01-2011',105) and Convert(date, VTRCheckListDetails.vtrRespDate, 105) <= convert(date,'30-01-2011',105) GROUP BY VTRCheckList.CLName, Hub_Details.BranchName

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  • How do you create a SQL query in Excel 2007 with a dynamic date range?

    - by Jordan
    I am trying to create a reporting spreadsheet that can print reports for a given time period. The query below works, but when I try to use a "?" parameter in place of the date, I get an error after selecting a cell containing my date. If I use single quotes ('?') I get a conversion from string to date/time failure, if I don't (?) I get a syntax error near @p1. Eventually I will need either a start and end date or a formula adding a month or shift to the starting date/time to filter the data down to important information. The query was built in Microsoft Query. SELECT FloatTable.DateAndTime, TagTable.TagName FROM master.dbo.FloatTable FloatTable, master.dbo.TagTable TagTable WHERE FloatTable.TagIndex = TagTable.TagIndex AND ((FloatTable.DateAndTime={ts '2012-06-01 00:00:00'})) Any assistance would be much appreciated. Thanks in advance.

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  • Puppet:get real-time status of catalog evaluation and post to remote server

    - by txworking
    According to this article http://docs.puppetlabs.com/guides/puppet_internals.html There are four phases when puppet agent got a catalog from master. resource generation = relationships = evaluation = reporting Reporting As the transaction progresses, it collects logs and metrics on what it does. At the end of evaluation, it turns this information into a report, which it sends to the server (if requested). And at the end of evaluation puppet agent would generate a report and sent the report to the master. Is there a way to get real-time status of evaluation phase and post them to a remote logcollector? Glad for any suggestions.

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  • How do I capture and playback http web requests against multiple web servers?

    - by KevM
    My overall goal is to not interrupt a production system while capturing HTTP Posts to a web application so that I can reverse engineer the telemetry coming from a closed application. I have control over the transmitter of the HTTP Posts but not the receiving web application. It seems like I need a request "forking" proxy. Sort of a reverse proxy that pushes the request to 2 endpoints, a master and slave, only relaying the response from the master endpoint back to the requester. I am not a server geek so something like this may exist but I don't know the term of art for what I am looking for. Another possibility could be a simple logging proxy. Capture a log of the web requests. Rewrite the log to target my "slave" web application. Playback the log with curl or something. Thank you for your assistance.

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  • LDAP replication breaking referrals

    - by MasterZ
    We have an issue that we believe is caused by ldap replication changing the port of the referal from 686 (secure) to 389 (unsecure). If we setup a new referral everything works, but then as soon as we change someone's password it changes on the master, and then the master replicates and the referral breaks. Any further attempts to modify someone's account give the error "PAM: Cannot connect to LDAP". We used snoop and monitored the firewall to see what was going on. The first password attempt (the one that works) goes over port 686 (as it is supposed to) but every subsequent attempt attempts to use port 389, and therefore fails. We only have 1 referral configured on the client, port 686

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  • Lookups targeting merged cells - only returning value for first row

    - by Ian
    I have a master worksheet which contains data that I wish to link to another 'summary' sheet using a lookup. However, some of the cells whose data I wish to include in the summary sheet are merged across two or more adjacent rows. To be clear, the 'primary' column A that I am using in my formula in order to identify the target row does not contain merged cells, but the column from which I wish to return a value does. I have tried VLOOKUP and INDEX+MATCH. The problem is that the data is only returned for the first row's key, and the others return zero (as though the cell in the target column were blank, where actually it is merged). I have tried inelegant ways around this, e.g. using IF statements to try to find the top row of the merged cell. However, these don't work well if the order of values in the summary sheet is different from that in the master sheet, as well as being messy. Can this be done?

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  • Distributed filesystem across a slow link

    - by Jeff Ferland
    I have an image in my head where a link is too slow to realize the real-time transfer of files, but fast enough to catch up every day. What I'd like to see is a master <- master setup where when I write a file to Server A, the metadata will transfer to Server B immediately and the file will transfer at idle or immediately when Server B's client tries to read the file before Server A has sent it. It seems that there are many filesystems which can perform well over fast links, but I don't know of any that do well with a big bottle neck and a few hours of latency.

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  • Amazon EC2 as load balanced/failover solution

    - by sugiggs
    Hi All, I'm thinking of an idea but not sure the pros/cons of it. At the moment, we are hosting our website on a dedicated server. As a failover/load balanced solution, I'm thinking to use Amazon EC2+EBS. The files can be rsync and mysql can be setup as master-master replication When the load is high, I can up the machine, given sometime to "sync" and load balanced the traffic there. is it do-able? any link I can read more on this?

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  • SQL SERVER – Difference Between GRANT and WITH GRANT

    - by pinaldave
    This was very interesting question recently asked me to during my session at TechMela Nepal. The question is what is the difference between GRANT and WITH GRANT when giving permissions to user. Let us first see syntax for the same. GRANT: USE master; GRANT VIEW ANY DATABASE TO username; GO WITH GRANT: USE master; GRANT VIEW ANY DATABASE TO username WITH GRANT OPTION; GO The difference between both of this option is very simple. In case of only GRANT – username can not grant the same permission to other users. In case, of the option of WITH GRANT – username will be able to give the permission it has received to other users. This is very basic definition of the subject. I would like to request my readers to come up with working script to prove this scenario. If can submit your script to me by email (pinal ‘at’ sqlauthority.com) or in comment field. Reference : Pinal Dave (http://blog.SQLAuthority.com) Filed under: Pinal Dave, SQL, SQL Authority, SQL Query, SQL Scripts, SQL Security, SQL Server, SQL Tips and Tricks, T SQL, Technology Tagged: SQL Permissions

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  • Webcast with Brian Griffin, Ancestry, 2013 Winner 10 Best Web Support Sites

    - by Tuula Fai
    The web is one of the fastest growing channels for providing service, support and information, as seen in The Service Council's (TSC) latest multi-channel research survey. Join TSC's Chief Customer Officer Sumair Dutta as he shares key findings from his current customer experience research from over 200 organizations. Sumair will be joined by Brian Griffin, Senior Program Manager, Global Support Experience, Ancestry.com who will show how Ancestry is using the web as a powerful tool to enhance self-service opportunities and increase customer engagement. Smarter Web Service Educast Thursday, November 14th 2 pm ET / 11 am PT Register: http://bit.ly/1cwz4Ns  

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