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  • What is a proper way to store site-level global variables in a SharePoint site?

    - by ccomet
    One thing that has driven me nuts about SharePoint2007 is the apparent inability to have defineable settings that apply specifically to a site or site collection itself, and not the content. I mean, you have some pre-defined settings like the Site Logo, the Site Name, and various other things, but there doesn't appear to be anywhere to add new kinds of settings. The application I am working on needs to be able to create multiple kinds of "project site collections" that all follow a basic template, but have certain additional settings that apply specifically to that site collection and that one alone. In addition to the standard site name we also need to define the Project Number, the Project Name, and the Client Name. And given the requests of some of our clients, we also reach a point where we have to have configurable settings that alter how some of the workflows work, like whether files are marked with Letters or Numbers. Our current solution, which I'm hesitant about, has been to store an XML file on the SharePoint server. This file contains one node for each site collection, identified by the URL of the root site. Inside the node are all of the elements that need to be defined for that site collection. When we need them, we have to access the XML file (which will always require SPSecurity.RunWithElevatedPrivileges to access files right on the server) every time to load it and retrieve the data. There are a lot of automated processes which will have to do this, and I'm hesitant about the stability of this method when we reach hundreds of sites with thousands of files running tens of thousands of workflows, all wanting to access this file. Maybe they're unfounded worries, but I'd rather worry than risk everything breaking in a couple years. I was looking into the SPWeb object and found the AllProperties hashtable. It looks like just the kind of thing which might work, but I don't know how safe it is to be modifying this. I read through both MSDN and the WSS SDK but found nothing that clarified on adding completely new properties into AllProperties. Is it safe to use AllProperties for this kind of thing? Or is there yet another feature that I am missing, which could handle the concept of global variables at the site collection or site scope?

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  • SQL/Schema comparison and upgrade

    - by Workshop Alex
    I have a simple situation. A large organisation is using several different versions of some (desktop) application and each version has it's own database structure. There are about 200 offices and each office will have it's own version, which can be one of 7 different ones. The company wants to upgrade all applications to the latest versions, which will be version 8. The problem is that they don't have a separate database for each version. Nor do they have a separate database for each office. They have one single database which is handled by a dedicated server, thus keeping things like management and backups easier. Every office has it's own database schema and within the schema there's the whole database structure for their specific application version. As a result, I'm dealing with 200 different schema's which need to be upgraded, each with 7 possible versions. Fortunately, every schema knows the proper version so checking the version isn't difficult. But my problem is that I need to create upgrade scripts which can upgrade from version 1 to version 2 to version 3 to etc... Basically, all schema's need to be bumped up one version until they're all version 8. Writing the code that will do this is no problem. the challenge is how to create the upgrade script from one version to the other? Preferably with some automated tool. I've examined RedGate's SQL Compare and Altova's DatabaseSpy but they're not practical. Altova is way too slow. RedGate requires too much processing afterwards, since the generated SQL Script still has a few errors and it refers to the schema name. Furthermore, the code needs to become part of a stored procedure and the code generated by RedGate doesn't really fit inside a single procedure. (Plus, it's doing too much transaction-handling, while I need everything within a single transaction. I have been considering using another SQL Comparison tool but it seems to me that my case is just too different from what standard tools can deliver. So I'm going to write my own comparison tool. To do this, I'll be using ADOX with Delphi to read the catalogues for every schema version in the database, then use this to write the SQL Statements that will need to upgrade these schema's to their next version. (Comparing 1 with 2, 2 with 3, 3 with 4, etc.) I'm not unfamiliar with generating SQL-Script-Generators so I don't expect too many problems. And I'll only be upgrading the table structures, not any of the other database objects. So, does anyone have some good tips and tricks to apply when doing this kind of comparisons? Things to be aware of? Practical tips to increase speed?

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  • java web application best practices

    - by Bruce
    Hi all I'm trying to figure out the optimum way to develop and release a fairly simple web application, and I'm running into several problems. I'll outline the decisions I've made, because somewhere I've clearly gone off the rails.. Hugely grateful for any help! I have what I think is a fairly simple web application. It contains a couple of jsps that reference a couple of java beans, and the usual static html, js, css and images. Decision 1) I wanted to have a clear and clean release procedure, such that I could develop on my local machine and then release reliably to a production machine. I therefore made the decision to package the application into a war file (including all the static resources), to minimize the separate bits and pieces I would need to release. So far so good? Decision 2) I wanted things on my local machine to be as similar as possible to the production environment. So in my html, for example, I may have a reference to a static file such as http://static.foo.com/file . To keep this code working seamlessly on dev and prod, I decided to put static.foo.com in my /etc/hosts when developing locally, so that all the urls work correctly without changing anything. Decision 3) I decided to use eclipse and maven to give me a best practice environment for administering and building my project. So I have a nice tight set up now, except that: Every time I want to change anything in development, like one line in an html file, I have to rebuild the entire project and then wait for tomcat to load the war before I can see if it's what I wanted. So my questions are: 1) Is there a way to connect up eclipse and tomcat so that I don't have to rebuild the war each time? ie tomcat is looking straight at my actual workspace to serve up the static files? 2)I think I'm maybe making things harder by using /etc/hosts to reflect production urls - is there a better way that doesn't involve manually changing over urls (relative urls are fine of course, but where you have many subdomains, say one for static files and one for dynamic, you have to write out the full path, surely?) 3) Is this really best practice?? How do people set things up so that they balance the requirement for an automated, all-encompassing build process on the one hand, and the speed and flexibility to be able to develop javascript and html and css quickly, as quickly as if one just pointed apache at the directory and developed live? What do people find works? Many thanks!

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  • How to handle environment-specific application configuration organization-wide?

    - by Stuart Lange
    Problem Your organization has many separate applications, some of which interact with each other (to form "systems"). You need to deploy these applications to separate environments to facilitate staged testing (for example, DEV, QA, UAT, PROD). A given application needs to be configured slightly differently in each environment (each environment has a separate database, for example). You want this re-configuration to be handled by some sort of automated mechanism so that your release managers don't have to manually configure each application every time it is deployed to a different environment. Desired Features I would like to design an organization-wide configuration solution with the following properties (ideally): Supports "one click" deployments (only the environment needs to be specified, and no manual re-configuration during/after deployment should be necessary). There should be a single "system of record" where a shared environment-dependent property is specified (such as a database connection string that is shared by many applications). Supports re-configuration of deployed applications (in the event that an environment-specific property needs to change), ideally without requiring a re-deployment of the application. Allows an application to be run on the same machine, but in different environments (run a PROD instance and a DEV instance simultaneously). Possible Solutions I see two basic directions in which a solution could go: Make all applications "environment aware". You would pass the environment name (DEV, QA, etc) at the command line to the app, and then the app is "smart" enough to figure out the environment-specific configuration values at run-time. The app could fetch the values from flat files deployed along with the app, or from a central configuration service. Applications are not "smart" as they are in #1, and simply fetch configuration by property name from config files deployed with the app. The values of these properties are injected into the config files at deploy-time by the install program/script. That install script takes the environment name and fetches all relevant configuration values from a central configuration service. Question How would/have you achieved a configuration solution that solves these problems and supports these desired features? Am I on target with the two possible solutions? Do you have a preference between those solutions? Also, please feel free to tell me that I'm thinking about the problem all wrong. Any feedback would be greatly appreciated.

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  • ASP.Net / MySQL : Translating content into several languages

    - by philwilks
    I have an ASP.Net website which uses a MySQL database for the back end. The website is an English e-commerce system, and we are looking at the possibility of translating it into about five other languages (French, Spanish etc). We will be getting human translators to perform the translation - we've looked at automated services but these aren't good enough. The static text on the site (e.g. headings, buttons etc) can easily be served up in multiple languages via .Net's built in localization features (resx files etc). The thing that I'm not so sure about it how best to store and retrieve the multi-language content in the database. For example, there is a products table that includes these fields... productId (int) categoryId (int) title (varchar) summary (varchar) description (text) features (text) The title, summary, description and features text would need to be available in all the different languages. Here are the two options that I've come up with... Create additional field for each language For example we could have titleEn, titleFr, titleEs etc for all the languages, and repeat this for all text columns. We would then adapt our code to use the appropriate field depending on the language selected. This feels a bit hacky, and also would lead to some very large tables. Also, if we wanted to add additional languages in the future it would be time consuming to add even more columns. Use a lookup table We could create a new table with the following format... textId | languageId | content ------------------------------- 10 | EN | Car 10 | FR | Voiture 10 | ES | Coche 11 | EN | Bike 11 | FR | Vélo We'd then adapt our products table to reference the appropriate textId for the title, summary, description and features instead of having the text stored in the product table. This seems much more elegant, but I can't think of a simple way of getting this data out of the database and onto the page without using complex SQL statements. Of course adding new languages in the future would be very simple compared to the previous option. I'd be very grateful for any suggestions about the best way to achieve this! Is there any "best practice" guidance out there? Has anyone done this before?

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  • Symfony2 Forms: is it possible to bind a form in an "unconventional way"?

    - by DonCallisto
    Imagine this scenario: in our company there is an employee that "play" around graphic,css,html and so on. Our new project will born under symfony2 so we're trying some silly - but "real" - stuff (like authentication from db, submit data from a form and persist it to db and so on..) The problem As far i know, learnt from symfony2 "book" that i found on the site (you can find it here), there is an "automated" way for creating and rendering forms: 1) Build the form up into a controller in this way $form = $this->createFormBuilder($task) ->add('task','text'), ->add('dueDate','date'), ->getForm(); return $this->render('pathToBundle:Controller:templateTwig', array('form'=>$form->createview()); 2) Into templateTwig render the template {{ form_widget(form) }} // or single rows method 3) Into a controller (the same that have a route where you can submit data), take back submitted information if($rquest->getMethod()=='POST'){ $form->bindRequest($request); /* and so on */ } Return to scenario Our graphic employee don't want to access controllers, write php and other stuff like those. So he'll write a twig template with a "unconventional" (from symfony2 point of view, but conventional from HTML point of view) method: /* into twig template */ <form action="{{ path('SestanteUserBundle_homepage') }}" method="post" name="userForm"> <div> USERNAME: <input type="text" name="user_name" value="{{ user.username}}"/> </div> <div> EMAIL: <input type="text" name="user_mail" value="{{ user.email }}"/> </div> <input type="hidden" name="user_id" value="{{ id }}" /> <input type="submit" value="modifica i dati"> </form> Now, if into the controller that handle the submission of data we do something like that public function indexAction(Request $request) { if($request->getMethod() == 'POST'){ // sono arrivato per via di un submit, quindi devo modificare i dati prima di farli vedere a video $defaultData = array('message'=>'ho visto questa cosa in esempio, ma non capisco se posso farne a meno'); $form = $this->createFormBuilder($defaultData) ->add('user_name','text') ->add('user_mail','email') ->add('user_id','integer') ->getForm(); $form->bindRequest($request); //bindo la form ad una request $data = $form->getData(); //mi aspetto un'array chiave=>valore /* .... */ We expected that $data will contain an array with key,value from the submitted form. We found that it isn't true. After googling for a while and try with other "bad" ideas, we're frozen into that. So, if you have a "graphic office" that can't handle directly php code, how can we interface from form(s) to controller(s) ? UPDATE It seems that Symfony2 use a different convention for form's field name and lookup once you've submitted that. In particular, if my form's name is addUser and a field is named userName, the field's name will be AddUser[username] so maybe it have a "dynamic" lookup method that will extract form's name, field's name, concat them and lookup for values. Is it possible?

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  • Visual Studio not recognizing "BuildStep"

    - by AmbiguousX
    I'm trying to add an automatic post-build trigger to run NDepend after an automated team build in TFS 2010. NDepend's website provided code for integrating this capability, and so I have pasted their code into my .csproj file where they said for it to go, but I receive errors on the build. The errors refer to two of the three "BuildStep" tags I have in the code snippet. The following two snippets are giving me errors: <BuildStep TeamFoundationServerUrl="$(TeamFoundationServerUrl)" BuildUri="$(BuildUri)" Message="Running NDepend analysis"> <Output TaskParameter="Id" PropertyName="StepId" /> </BuildStep> and <BuildStep TeamFoundationServerUrl="$(TeamFoundationServerUrl)" BuildUri="$(BuildUri)" Id="$(StepId)" Status="Failed" /> However, this code snippet is NOT throwing up any problems: <BuildStep TeamFoundationServerUrl="$(TeamFoundationServerUrl)" BuildUri="$(BuildUri)" Id="$(StepId)" Status="Succeeded" /> I just don't understand why one works fine and a nearly identically laid out BuildStep tag does not. Is there something simple that I'm just overlooking? EDIT: Here is how it looks all together, if this makes a difference: <Target Name="NDepend" > <PropertyGroup> <NDPath>c:\tools\NDepend\NDepend.console.exe</NDPath> <NDProject>$(SolutionDir)MyProject.ndproj</NDProject> <NDOut>$(TargetDir)NDepend</NDOut> <NDIn>$(TargetDir)</NDIn> </PropertyGroup> <Exec Command='"$(NDPath)" "$(NDProject)" /OutDir "$(NDOut)" /InDirs "$(NDIn)"'/> </Target> <Target Name="AfterBuild"> <BuildStep TeamFoundationServerUrl="$(TeamFoundationServerUrl)" BuildUri="$(BuildUri)" Message="Running NDepend analysis"> <Output TaskParameter="Id" PropertyName="StepId" /> </BuildStep> <PropertyGroup> <NDPath>c:\tools\NDepend\NDepend.console.exe</NDPath> <NDProject>$(SolutionRoot)\Main\src\MyProject.ndproj</NDProject> <NDOut>$(BinariesRoot)\NDepend</NDOut> <NDIn>$(BinariesRoot)\Release</NDIn> </PropertyGroup> <Exec Command='$(NDPath) "$(NDProject)" /OutDir "$(NDOut)" /InDirs "$(NDIn)"'/> <BuildStep TeamFoundationServerUrl="$(TeamFoundationServerUrl)" BuildUri="$(BuildUri)" Id="$(StepId)" Status="Succeeded" /> <OnError ExecuteTargets="MarkBuildStepAsFailed" /> </Target> <Target Name="MarkBuildStepAsFailed"> <BuildStep TeamFoundationServerUrl="$(TeamFoundationServerUrl)" BuildUri="$(BuildUri)" Id="$(StepId)" Status="Failed" /> </Target> EDIT: Added a bounty because I really need to get this going for my team. Thank you in advance!

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  • I want to change DPI with Imagemagick without changing the actual byte-size of the image data

    - by user1694803
    I feel so horribly sorry that I have to ask this question here, but after hours of researching how to do an actually very simple task I'm still failing... In Gimp there is a very simple way to do what I want. I only have the German dialog installed but I'll try to translate it. I'm talking about going to "Picture-PrintingSize" and then adjusting the Values "X-Resolution" and "Y-Resolution" which are known to me as so called DPI values. You can also choose the format which by default is "Pixel/Inch". (In German the dialog is "Bild-Druckgröße" and there "X-Auflösung" and "Y-Auflösung") Ok, the values there are often "72" by default. When I change them to e.g. "300" this has the effect that the image stays the same on the computer, but if I print it, it will be smaller if you look at it, but all the details are still there, just smaller - it has a higher resolution on the printed paper (but smaller size... which is fine for me). I am often doing that when I am working with LaTeX, or to be exact with the command "pdflatex" on a recent Ubuntu-Machine. When I'm doing the above process with Gimp manually everything works just fine. The images will appear smaller in the resulting PDF but with high printing quality. What I am trying to do is to automate the process of going into Gimp and adjusting the DPI values. Since Imagemagick is known to be superb and I used it for many other tasks I tried to achieve my goal with this tool. But it does just not do what I want. After trying a lot of things I think this actually is be the command that should be my friend: convert input.png -density 300 output.png This should set the DPI to 300, as I can read everywhere in the web. It seems to work. When I check the file it stays the same. file input.png output.png input.png: PNG image data, 611 x 453, 8-bit grayscale, non-interlaced output.png: PNG image data, 611 x 453, 8-bit grayscale, non-interlaced When I use this command, it seems like it did what I wanted: identify -verbose output.png | grep 300 Resolution: 300x300 PNG:pHYs : x_res=300, y_res=300, units=0 (Funny enough, the same output comes for input.png which confuses me... so this might be the wrong parameters to watch?) But when I now render my TeX with "pdflatex" the image is still big and blurry. Also when I open the image with Gimp again the DPI values are set to "72" instead of "300". So there actually was no effect at all. Now what is the problem here. Am I getting something completely wrong? I can't be that wrong since everything works just fine with Gimp... Thanks for any help in this. I am also open to other automated solutions which are easily done on a Linux system...

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  • What is wrong in my DKIM setup? I'm getting all fails

    - by djechelon
    I own a domain name I have implemented SPF and DKIM to avoid my mails being junked. I have also upgraded to DMARC in monitor mode. Since I received a few failure reports recently I wanted to investigate more. I have only one server sending outbound emails, running postfix + dkimproxy. I trust that dkimproxy has no major software bugs resulting in bad messages. I have tested ReturnPath's automated DKIM test and this is the part related to DKIM/DomainKeys DKIM Results ============ Result = failed: invalid key for signature: Syntax error in tag: \"v Domain = domain.org Selector = sel DNS Record(s) = sel._domainkey.domain.org TXT "v=1; p=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; t=s" Public Key Length = 4096 DomainKeys Results ================== Domain = domain.org Selector = sel DNS Record(s) = sel._domainkey.domain.org TXT "v=1; p=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; t=s" The mail displays an anonymised DNS record with genuine public key. It reports an error in tag v. A few hours ago I noticed my v tag was v=DKIM1 instead of v=1 as specified in RFC. I thought it was an error made by me during the initial setup months ago and fixed to v=1, but anyway I received one DMARC success from Google. Let me explain better: I enforced DMARC a couple of days ago. On 4/16 morning I got a mail from Google telling me that DMARC fully passes, then since 4/17 I get all failures. Then I discovered the v=DKIM1 tag and replaced with v=1 without success I have not modified my DNS records before that. So, keeping in topic with the question, why does ReturnPath refuse my DKIM DNS record? Is something wrong in my DKIM implementation at DNS level? [Add] I have just tried port25.com's tester but at least DKIM passes ---------------------------------------------------------- DomainKeys check details: ---------------------------------------------------------- Result: permerror (DK_STAT_BADKEY: Unusable key, public if verifying, private if signing.) ID(s) verified: header.From=########### DNS record(s): sel._domainkey.domain.org. 1800 IN TXT ""v=1; p=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; t=s"" ---------------------------------------------------------- DKIM check details: ---------------------------------------------------------- Result: pass (matches From: #########) ID(s) verified: header.d=domain.org Canonicalized Headers: message-id:<[email protected]>'0D''0A' date:Thu,'20'18'20'Apr'20'2013'20'11:40:26'20'+0200'0D''0A' from:#############'0D''0A' mime-version:1.0'0D''0A' to:[email protected]'0D''0A' subject:Test'0D''0A' content-type:text/plain;'20'charset=ISO-8859-15;'20'format=flowed'0D''0A' content-transfer-encoding:7bit'0D''0A' dkim-signature:v=1;'20'a=rsa-sha1;'20'c=relaxed;'20'd=domain.org;'20'h='20'message-id:date:from:mime-version:to:subject:content-type'20':content-transfer-encoding;'20's=dom;'20'bh=uoq1oCgLlTqpdDX/iUbLy7J1Wi'20'c=;'20'b= Canonicalized Body: '0D''0A' DNS record(s): sel._domainkey.domain.org. 1800 IN TXT ""v=1; p=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; t=s"" Public key used for verification: sel._domainkey.domain.org (4096 bits)

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  • Recommendations for distributed processing/distributed storage systems

    - by Eddie
    At my organization we have a processing and storage system spread across two dozen linux machines that handles over a petabyte of data. The system right now is very ad-hoc; processing automation and data management is handled by a collection of large perl programs on independent machines. I am looking at distributed processing and storage systems to make it easier to maintain, evenly distribute load and data with replication, and grow in disk space and compute power. The system needs to be able to handle millions of files, varying in size between 50 megabytes to 50 gigabytes. Once created, the files will not be appended to, only replaced completely if need be. The files need to be accessible via HTTP for customer download. Right now, processing is automated by perl scripts (that I have complete control over) which call a series of other programs (that I don't have control over because they are closed source) that essentially transforms one data set into another. No data mining happening here. Here is a quick list of things I am looking for: Reliability: These data must be accessible over HTTP about 99% of the time so I need something that does data replication across the cluster. Scalability: I want to be able to add more processing power and storage easily and rebalance the data on across the cluster. Distributed processing: Easy and automatic job scheduling and load balancing that fits with processing workflow I briefly described above. Data location awareness: Not strictly required but desirable. Since data and processing will be on the same set of nodes I would like the job scheduler to schedule jobs on or close to the node that the data is actually on to cut down on network traffic. Here is what I've looked at so far: Storage Management: GlusterFS: Looks really nice and easy to use but doesn't seem to have a way to figure out what node(s) a file actually resides on to supply as a hint to the job scheduler. GPFS: Seems like the gold standard of clustered filesystems. Meets most of my requirements except, like glusterfs, data location awareness. Ceph: Seems way to immature right now. Distributed processing: Sun Grid Engine: I have a lot of experience with this and it's relatively easy to use (once it is configured properly that is). But Oracle got its icy grip around it and it no longer seems very desirable. Both: Hadoop/HDFS: At first glance it looked like hadoop was perfect for my situation. Distributed storage and job scheduling and it was the only thing I found that would give me the data location awareness that I wanted. But I don't like the namename being a single point of failure. Also, I'm not really sure if the MapReduce paradigm fits the type of processing workflow that I have. It seems like you need to write all your software specifically for MapReduce instead of just using Hadoop as a generic job scheduler. OpenStack: I've done some reading on this but I'm having trouble deciding if it fits well with my problem or not. Does anyone have opinions or recommendations for technologies that would fit my problem well? Any suggestions or advise would be greatly appreciated. Thanks!

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  • Screen -X exec commands not working until manually attached

    - by James Watt
    I have a batch script that starts a java server application inside of a screen. The command looks like this: cd /dir/ && screen -A -m -d -S javascreen java -Xms640M -Xmx1024M -jar javaserverapp.jar nogui After I run the batch script, it starts the server and puts it inside the correct screen. If I list my screens after, I see something like this: user@gtwy /dir $ screen -list There is a screen on: 16180.javascreen (Detached) 1 Socket in /var/run/screen/S-user. However, I have a second batch script that sends automated commands to this server and runs on a different crontab interval. Because of the way the application works, I send commands to it like this (this command tells it to alert connected users "testing 123"): screen -X exec .\!\! echo say testing 123 I've also tried: screen -R -X exec .\!\! echo say testing 123 screen -S javascreen -X exec .\!\! echo say testing 123 Unfortunately, these commands DO NOT WORK. They don't even give me an error message, they just do nothing. HOWEVER - If I manually attach to the screen first (with the below command) and then detach, now I can run any of the above commands flawlessly. I can demonstrate this with a video, if I wasn't clear enough here. screen -r -d Thanks in advance. Update: here is the important parts of /etc/screenrc. It should be totally vanilla, I've never edited this file. # VARIABLES # =============================================================== # No annoying audible bell, using "visual bell" # vbell on # default: off # vbell_msg " -- Bell,Bell!! -- " # default: "Wuff,Wuff!!" # Automatically detach on hangup. autodetach on # default: on # Don't display the copyright page startup_message off # default: on # Uses nethack-style messages # nethack on # default: off # Affects the copying of text regions crlf off # default: off # Enable/disable multiuser mode. Standard screen operation is singleuser. # In multiuser mode the commands acladd, aclchg, aclgrp and acldel can be used # to enable (and disable) other user accessing this screen session. # Requires suid-root. multiuser off # Change default scrollback value for new windows defscrollback 1000 # default: 100 # Define the time that all windows monitored for silence should # wait before displaying a message. Default 30 seconds. silencewait 15 # default: 30 # bufferfile: The file to use for commands # "readbuf" ('<') and "writebuf" ('>'): bufferfile $HOME/.screen_exchange # # hardcopydir: The directory which contains all hardcopies. # hardcopydir ~/.hardcopy # hardcopydir ~/.screen # # shell: Default process started in screen's windows. # Makes it possible to use a different shell inside screen # than is set as the default login shell. # If begins with a '-' character, the shell will be started as a login shell. # shell zsh # shell bash # shell ksh shell -$SHELL # shellaka '> |tcsh' # shelltitle '$ |bash' # emulate .logout message pow_detach_msg "Screen session of \$LOGNAME \$:cr:\$:nl:ended." # caption always " %w --- %c:%s" # caption always "%3n %t%? @%u%?%? [%h]%?%=%c" # advertise hardstatus support to $TERMCAP # termcapinfo * '' 'hs:ts=\E_:fs=\E\\:ds=\E_\E\\' # set every new windows hardstatus line to somenthing descriptive # defhstatus "screen: ^En (^Et)" # don't kill window after the process died # zombie "^["

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  • multi-user rvm gem install failure when called from CloudFormation::Init

    - by Peter Mounce
    I've taken an Amazon Linux AMI (based on CentOS) and installed RVM (1.10.3) to it in multi-user fashion (see {1} below). I used that to install ruby 1.9.3-p125, rubygems 1.8.17, and bundler 1.1 as the baseline requirements for most things I'm going to be using the instances for. I've captured that instance to an AMI, and am now launching it via CloudFormation, with some CloudFormation::Init commands. One of them is to use s3cmd to pull down a private gem from S3, and the next one, the one that fails, is to install that gem. It fails with an error message 2012-03-15 16:53:20,201 [ERROR] Command 20_install_gems (/usr/local/rvm/rubies/ruby-1.9.3-p125/bin/gem install ./*.gem) failed 2012-03-15 16:53:20,202 [DEBUG] Command 20_install_gems output: /usr/local/rvm/rubies/ruby-1.9.3-p125/bin/gem:12:in `require': no such file to load -- rubygems (LoadError) from /usr/local/rvm/rubies/ruby-1.9.3-p125/bin/gem:12 Now, that happens during the cfn-init execution - I assume, but haven't checked yet, that cfn-init is being run with an environment different from that of ec2-user (there are no other users on the instance). If I run gem install mygem.gem in an interactive session then that works fine. So, my question really, is what should I do to make this work for cfn-init? Have I correctly set up rvm as multi-user? I've confirmed that cfn-init is being run as the root user, with his restricted environment. How should I source the /etc/profile.d/rvm.sh into root's sessions? {1} My semi-automated rvm installation steps (run in interactive session as ec2-user): sudo bash -s stable < <(curl -s https://raw.github.com/wayneeseguin/rvm/master/binscripts/rvm-installer ) sudo gpasswd -a ec2-user rvm # iconv-devel is baked into centos' glibc sudo yum install -y autoconf automake bison bzip2 gcc-c++ git libffi-devel libtool libxml2-devel libxslt-devel libyaml-devel make openssl-devel patch readline readline-devel zlib zlib-devel source /etc/profile.d/rvm.sh rvm list known # in a new session: rvm install ruby-1.9.3-p125 rvm use 1.9.3 --default gem update --system # gems required by public_web-awareness gem install aws-sdk bundler cocaine sinatra echo -e "gem: --no-ri --no-rdoc\n" > /home/ec2-user/.gemrc # delete unnecessary documentation files rm -rf `gem env gemdir`/doc sudo -s sudo echo -e "gem: --no-ri --no-rdoc\n" > /etc/skel/.gemrc sudo echo -e "gem: --no-ri --no-rdoc\n" > /etc/gemrc # ctrl + d out of the sudo session Some environment information: [ec2-user@ip ~]$ echo $PATH /usr/local/rvm/gems/ruby-1.9.3-p125/bin:/usr/local/rvm/gems/ruby-1.9.3-p125@global/bin:/usr/local/rvm/rubies/ruby-1.9.3-p125/bin:/usr/local/rvm/bin:/usr/local/bin:/bin:/usr/bin:/usr/local/sbin:/usr/sbin:/sbin:/opt/aws/bin:/home/ec2-user/bin [ec2-user@ip ~]$ echo $GEM_HOME /usr/local/rvm/gems/ruby-1.9.3-p125 [ec2-user@ip ~]$ echo $GEM_PATH /usr/local/rvm/gems/ruby-1.9.3-p125:/usr/local/rvm/gems/ruby-1.9.3-p125@global [ec2-user@ip ~]$ echo $BUNDLE_PATH [ec2-user@ip ~]$ gem list *** LOCAL GEMS *** aws-sdk (1.3.6) bundler (1.1.0) cocaine (0.2.1) httparty (0.8.1) json (1.6.5) multi_json (1.1.0) multi_xml (0.4.1) nokogiri (1.5.1, 1.5.0) rack (1.4.1) rack-protection (1.2.0) rake (0.9.2) sinatra (1.3.2) tilt (1.3.3) uuidtools (2.1.2) yamler (0.1.0)

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  • ubuntu 10.04; kvm bridged networking not working with public ip addresses

    - by senorsmile
    I have a dedicated hosted server box with ubuntu 10.04 64 bit installed. I would like to run kvm with ubuntu 8.04 installed for some php 5.2 compatible apps(they don't work right with php 5.3, the default in ubuntu 10.04). I installed KVM as instructed at https://help.ubuntu.com/community/KVM/Installation . I installed the vm using virt-manager. I never could figure out how use virt-install or any of those automated installers. I just installed it using the disc. I set up bridged networking as per https://help.ubuntu.com/community/KVM/Networking . However, the bridged connection doesn't work. Here's my /etc/network/interfaces on the host, running ubuntu 10.04. (with specific public ip blanked) auto lo iface lo inet loopback auto eth0 iface eth0 inet manual auto br0 iface br0 inet static address xx.xx.xx.xx netmask 255.255.255.248 gateway xx.xx.xx.xa bridge_ports eth0 bridge_stp on bridge_fd 0 bridge_maxwait 10 ` Here's my /etc/network/interfaces on the guest, running ubuntu 8.04. auto lo iface lo inet loopback auto eth0 iface eth0 inet static address xx.xx.xx.xy netmask 255.255.255.248 gateway xx.xx.xx.xa The two vm's can communicate to each other. But, the guest vm can't access anyone in the real world. Here's my /etc/libvirt/qemu/store_804.xml <domain type='kvm'> <name>store_804</name> <uuid>27acfb75-4f90-a34c-9a0b-70a6927ae84c</uuid> <memory>2097152</memory> <currentMemory>2097152</currentMemory> <vcpu>2</vcpu> <os> <type arch='x86_64' machine='pc-0.12'>hvm</type> <boot dev='hd'/> </os> <features> <acpi/> <apic/> <pae/> </features> <clock offset='utc'/> <on_poweroff>destroy</on_poweroff> <on_reboot>restart</on_reboot> <on_crash>restart</on_crash> <devices> <emulator>/usr/bin/kvm</emulator> <disk type='file' device='disk'> <driver name='qemu' type='raw'/> <source file='/var/lib/libvirt/images/store_804.img'/> <target dev='hda' bus='ide'/> </disk> <disk type='block' device='cdrom'> <driver name='qemu' type='raw'/> <target dev='hdc' bus='ide'/> <readonly/> </disk> <interface type='bridge'> <mac address='52:54:00:26:0b:c6'/> <source bridge='br0'/> <model type='virtio'/> </interface> <console type='pty'> <target port='0'/> </console> <console type='pty'> <target port='0'/> </console> <input type='mouse' bus='ps2'/> <graphics type='vnc' port='-1' autoport='yes'/> <sound model='es1370'/> <video> <model type='cirrus' vram='9216' heads='1'/> </video> </devices> </domain> Any idea where I've gone wrong?

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  • How to automate org-refile for multiple todo

    - by lawlist
    I'm looking to automate org-refile so that it will find all of the matches and re-file them to a specific location (but not archive). I found a fully automated method of archiving multiple todo, and I am hopeful to find or create (with some help) something similar to this awesome function (but for a different heading / location other than archiving): https://github.com/tonyday567/jwiegley-dot-emacs/blob/master/dot-org.el (defun org-archive-done-tasks () (interactive) (save-excursion (goto-char (point-min)) (while (re-search-forward "\* \\(None\\|Someday\\) " nil t) (if (save-restriction (save-excursion (org-narrow-to-subtree) (search-forward ":LOGBOOK:" nil t))) (forward-line) (org-archive-subtree) (goto-char (line-beginning-position)))))) I also found this (written by aculich), which is a step in the right direction, but still requires repeating the function manually: http://stackoverflow.com/questions/7509463/how-to-move-a-subtree-to-another-subtree-in-org-mode-emacs ;; I also wanted a way for org-refile to refile easily to a subtree, so I wrote some code and generalized it so that it will set an arbitrary immediate target anywhere (not just in the same file). ;; Basic usage is to move somewhere in Tree B and type C-c C-x C-m to mark the target for refiling, then move to the entry in Tree A that you want to refile and type C-c C-w which will immediately refile into the target location you set in Tree B without prompting you, unless you called org-refile-immediate-target with a prefix arg C-u C-c C-x C-m. ;; Note that if you press C-c C-w in rapid succession to refile multiple entries it will preserve the order of your entries even if org-reverse-note-order is set to t, but you can turn it off to respect the setting of org-reverse-note-order with a double prefix arg C-u C-u C-c C-x C-m. (defvar org-refile-immediate nil "Refile immediately using `org-refile-immediate-target' instead of prompting.") (make-local-variable 'org-refile-immediate) (defvar org-refile-immediate-preserve-order t "If last command was also `org-refile' then preserve ordering.") (make-local-variable 'org-refile-immediate-preserve-order) (defvar org-refile-immediate-target nil) "Value uses the same format as an item in `org-refile-targets'." (make-local-variable 'org-refile-immediate-target) (defadvice org-refile (around org-immediate activate) (if (not org-refile-immediate) ad-do-it ;; if last command was `org-refile' then preserve ordering (let ((org-reverse-note-order (if (and org-refile-immediate-preserve-order (eq last-command 'org-refile)) nil org-reverse-note-order))) (ad-set-arg 2 (assoc org-refile-immediate-target (org-refile-get-targets))) (prog1 ad-do-it (setq this-command 'org-refile))))) (defadvice org-refile-cache-clear (after org-refile-history-clear activate) (setq org-refile-targets (default-value 'org-refile-targets)) (setq org-refile-immediate nil) (setq org-refile-immediate-target nil) (setq org-refile-history nil)) ;;;###autoload (defun org-refile-immediate-target (&optional arg) "Set current entry as `org-refile' target. Non-nil turns off `org-refile-immediate', otherwise `org-refile' will immediately refile without prompting for target using most recent entry in `org-refile-targets' that matches `org-refile-immediate-target' as the default." (interactive "P") (if (equal arg '(16)) (progn (setq org-refile-immediate-preserve-order (not org-refile-immediate-preserve-order)) (message "Order preserving is turned: %s" (if org-refile-immediate-preserve-order "on" "off"))) (setq org-refile-immediate (unless arg t)) (make-local-variable 'org-refile-targets) (let* ((components (org-heading-components)) (level (first components)) (heading (nth 4 components)) (string (substring-no-properties heading))) (add-to-list 'org-refile-targets (append (list (buffer-file-name)) (cons :regexp (format "^%s %s$" (make-string level ?*) string)))) (setq org-refile-immediate-target heading)))) (define-key org-mode-map "\C-c\C-x\C-m" 'org-refile-immediate-target) It sure would be helpful if aculich, or some other maven, could please create a variable similar to (setq org-archive-location "~/0.todo.org::* Archived Tasks") so users can specify the file and heading, which is already a part of the org-archive-subtree functionality. I'm doing a search and mark because I don't have the wherewithal to create something like org-archive-location for this setup. EDIT: One step closer -- almost home free . . . (defun lawlist-auto-refile () (interactive) (beginning-of-buffer) (re-search-forward "\* UNDATED") (org-refile-immediate-target) ;; cursor must be on a heading to work. (save-excursion (re-search-backward "\* UNDATED") ;; must be written in such a way so that sub-entries of * UNDATED are not searched; or else infinity loop. (while (re-search-backward "\* \\(None\\|Someday\\) " nil t) (org-refile) ) ) )

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  • What is the best server or Ip address to use for prolonged testing?

    - by eldorel
    I usually run uptime/latency tests against (and from) two servers that we own at different sites and until recently I've used the google dns servers as a control group. However, I've realized there is a potential problem with monitoring latency over extended periods of time. Almost all of the major service providers are using ANYCAST. For short tests this doesn't matter, but I need to run a set of tests for at least a week to try and catch an intermittent problem, and a change in the anycast priority while trying to test latency will cause the latency values for that server to change accordingly. Since I'm submitting graphs of this data to the ISP, I need to avoid/account for as many variables as possible. Spikes in the data for only one of the tested servers will only cause headaches. So can anyone recommend servers that: are not using anycast are owned by an entity that has a good uptime reputation (so they can't claim that the problem is server-side) will respond to ICMP requests Have an available service that runs on TCP/UDP (http or dns preferably) Wont consider an automated request every 10 minutes to be abuse Are accessible from anywhere in the world Are not local to the isp ( consider this an investigation of a hostile party ) Thanks in advance. Edit: added #6 and #7 above. More info: I am attempting to demonstrate a network problem for an entire node of our local ISP's network. They are actively blaming the issue on the equipment installed at the customer sites (our backup site is one of these), and refuse to escalate the problem. (even though 2 of these businesses have ISP provided modems, and all of us have completely different routers/services running) I am already quite familiar with the need to test an isp controlled IP, but they are actively dropping all packets targeted at gateway ip addresses and are only passing traffic addressed beyond the gateways. So to demonstrate the issue, I am sending packets to other systems in the same node, systems one hop away from the affected node, and systems completely outside the network. Unfortunately, all of the systems I have currently are either administered directly by myself, or by people who are biased enough to assist me. I need to have several systems included in the trace/log/graphs that are 100% not in the control of either myself or the isp so that the graphs have a stable/unbiased control group. These requirements are straight from legal, I'm just trying to make sure that everything that could be argued to invalidate the data is already covered. In Summary: I need to be able to show tcp/udp/icmp as 3 separate data points, and I need to be able to show the connections inside the local node, from local node to another nearby node, from those 2 nodes to the internet, and through the internet to both verifiable servers and a control group that I have no control over whatsoever. Again, Google/opendns/yahoo/msn/facebook/etc all use anycast, which throws the numbers off every time the anycast caches expire, so I need suggestions of an IP or server that is available for this type of testing. I was hoping someone knew of a system run by someone such as ISC or ICANN, or perhaps even a .gov server (fcc or nsa maybe?) setup for this type of testing. Thanks again.

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  • Computer not POSTing "randomly"?

    - by smoth190
    I have a custom built PC that is exhibiting some...odd... behavior, something I've never seen before. It was working fine one day, and the next day, it wouldn't start. Seeing as I wanted an upgrade anyway, I purchased a new motherboard that was compatible with all my parts. While replacing the motherboard, I accidentally damaged the CPU. Well, I wanted a new one anyway... so I got a new one. Seeing as I was replacing a ton of parts already, I bought a new PSU because the old one was super loud. When I slapped it all together, it starts up, lights, fans, drives, they all start. But I get no display from the monitor. No beeps, which I believe means it doesn't POST. I figured it was the RAM, because after removing the sound card and graphics card, there was nothing else that I hadn't replaced. When I remove both sticks of RAM, I get a continuous beeping, and according to the mobo handbook, means no RAM. So I think the mobo is functional, or atleast partly. I bought new RAM, but it still didn't work. I tried 3 monitors, with both VGA and DIV. So it's probably not the monitor, either. Now, let me get to the random part. Every 20 or so boots (I should also mention, for about 3 out of 5 boots I have to unplug the PC because it won't powerdown via the button), it will POST and I'll get display. Then, after about 2 or 3 resets, it won't work again. This confuses me so much, because even when I change nothing, it will/will not work. My thought is that maybe it has something to do with the RAM not clearing or something. I also reset the CMOS battery, incase that had anything to do with it, but no eval. I found some weird suggestion online about holding the power button for 30 seconds while it was unplugged. That did nothing, but I didn't expect it would... I've replaced just about the entire computer, and all the parts are compatible. Done about everything I can think of, but nothing has worked. Hopefully someone can help me here. And as I side note: When I do get my computer to boot, it says my hardware has changed and I have to re-activate windows. But it says I have to call Microsoft to do it. So I get this fancy automated voice that asks me to enter in a code into windows, then it asks me "How many computers have you activated with this copy of Windows?". Well, I had it on my computer before I replaced everything, so I said 1. Then he yelled at me for violating my 1-use license. I dunno what's going on there, do I have to re-purchase Windows 7? And they wonder why people pirate software... That's just a bonus question, though. Specs: 8GB of DDR2 RAM (Corsair) AMD CPU (I don't know what GHz or model because I can't find the box... (I think its 4 cores of 2.8Ghz) ASRock A785GM-LE Motherboard

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  • WiX 3 Tutorial: Generating file/directory fragments with Heat.exe

    - by Mladen Prajdic
    In previous posts I’ve shown you our SuperForm test application solution structure and how the main wxs and wxi include file look like. In this post I’ll show you how to automate inclusion of files to install into your build process. For our SuperForm application we have a single exe to install. But in the real world we have 10s or 100s of different files from dll’s to resource files like pictures. It all depends on what kind of application you’re building. Writing a directory structure for so many files by hand is out of the question. What we need is an automated way to create this structure. Enter Heat.exe. Heat is a command line utility to harvest a file, directory, Visual Studio project, IIS website or performance counters. You might ask what harvesting means? Harvesting is converting a source (file, directory, …) into a component structure saved in a WiX fragment (a wxs) file. There are 2 options you can use: Create a static wxs fragment with Heat and include it in your project. The pro of this is that you can add or remove components by hand. The con is that you have to do the pro part by hand. Automation always beats manual labor. Run heat command line utility in a pre-build event of your WiX project. I prefer this way. By always recreating the whole fragment you don’t have to worry about missing any new files you add. The con of this is that you’ll include files that you otherwise might not want to. There is no perfect solution so pick one and deal with it. I prefer using the second way. A neat way of overcoming the con of the second option is to have a post-build event on your main application project (SuperForm.MainApp in our case) to copy the files needed to be installed in a special location and have the Heat.exe read them from there. I haven’t set this up for this tutorial and I’m simply including all files from the default SuperForm.MainApp \bin directory. Remember how we created a System Environment variable called SuperFormFilesDir? This is where we’ll use it for the first time. The command line text that you have to put into the pre-build event of your WiX project looks like this: "$(WIX)bin\heat.exe" dir "$(SuperFormFilesDir)" -cg SuperFormFiles -gg -scom -sreg -sfrag -srd -dr INSTALLLOCATION -var env.SuperFormFilesDir -out "$(ProjectDir)Fragments\FilesFragment.wxs" After you install WiX you’ll get the WIX environment variable. In the pre/post-build events environment variables are referenced like this: $(WIX). By using this you don’t have to think about the installation path of the WiX. Remember: for 32 bit applications Program files folder is named differently between 32 and 64 bit systems. $(ProjectDir) is obviously the path to your project and is a Visual Studio built in variable. You can view all Heat.exe options by running it without parameters but I’ll explain some that stick out the most. dir "$(SuperFormFilesDir)": tell Heat to harvest the whole directory at the set location. That is the location we’ve set in our System Environment variable. –cg SuperFormFiles: the name of the Component group that will be created. This name is included in out Feature tag as is seen in the previous post. -dr INSTALLLOCATION: the directory reference this fragment will fall under. You can see the top level directory structure in the previous post. -var env.SuperFormFilesDir: the name of the variable that will replace the SourceDir text that would otherwise appear in the fragment file. -out "$(ProjectDir)Fragments\FilesFragment.wxs": the full path and name under which the fragment file will be saved. If you have source control you have to include the FilesFragment.wxs into your project but remove its source control binding. The auto generated FilesFragment.wxs for our test app looks like this: <?xml version="1.0" encoding="utf-8"?><Wix xmlns="http://schemas.microsoft.com/wix/2006/wi"> <Fragment> <ComponentGroup Id="SuperFormFiles"> <ComponentRef Id="cmp5BB40DB822CAA7C5295227894A07502E" /> <ComponentRef Id="cmpCFD331F5E0E471FC42A1334A1098E144" /> <ComponentRef Id="cmp4614DD03D8974B7C1FC39E7B82F19574" /> <ComponentRef Id="cmpDF166522884E2454382277128BD866EC" /> </ComponentGroup> </Fragment> <Fragment> <DirectoryRef Id="INSTALLLOCATION"> <Component Id="cmp5BB40DB822CAA7C5295227894A07502E" Guid="{117E3352-2F0C-4E19-AD96-03D354751B8D}"> <File Id="filDCA561ABF8964292B6BC0D0726E8EFAD" KeyPath="yes" Source="$(env.SuperFormFilesDir)\SuperForm.MainApp.exe" /> </Component> <Component Id="cmpCFD331F5E0E471FC42A1334A1098E144" Guid="{369A2347-97DD-45CA-A4D1-62BB706EA329}"> <File Id="filA9BE65B2AB60F3CE41105364EDE33D27" KeyPath="yes" Source="$(env.SuperFormFilesDir)\SuperForm.MainApp.pdb" /> </Component> <Component Id="cmp4614DD03D8974B7C1FC39E7B82F19574" Guid="{3443EBE2-168F-4380-BC41-26D71A0DB1C7}"> <File Id="fil5102E75B91F3DAFA6F70DA57F4C126ED" KeyPath="yes" Source="$(env.SuperFormFilesDir)\SuperForm.MainApp.vshost.exe" /> </Component> <Component Id="cmpDF166522884E2454382277128BD866EC" Guid="{0C0F3D18-56EB-41FE-B0BD-FD2C131572DB}"> <File Id="filF7CA5083B4997E1DEC435554423E675C" KeyPath="yes" Source="$(env.SuperFormFilesDir)\SuperForm.MainApp.vshost.exe.manifest" /> </Component> </DirectoryRef> </Fragment></Wix> The $(env.SuperFormFilesDir) will be replaced at build time with the directory where the files to be installed are located. There is nothing too complicated about this. In the end it turns out that this sort of automation is great! There are a few other ways that Heat.exe can compose the wxs file but this is the one I prefer. It just seems the clearest. Play with its options to see what can it do. It’s one awesome little tool.   WiX 3 tutorial by Mladen Prajdic navigation WiX 3 Tutorial: Solution/Project structure and Dev resources WiX 3 Tutorial: Understanding main wxs and wxi file WiX 3 Tutorial: Generating file/directory fragments with Heat.exe

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  • This task is currently locked by a running workflow and cannot be edited. Limitation to both Nintex and SPD workflow

    - by ybbest
    Note, this post is from Nintex Forum here. These limitations apply to both SharePoint designer Workflow and Nintex Workflow as Nintex using the SharePoint workflow engine. The common cause that I experience is that ‘parent’ workflow is generating more than one task at once. This is common as you can have multiple approvers for certain approval process. You could also have workflow running when the task is created, one of the common scenario is you would like to set a custom column value in your approval task. For me this is huge limitation, as Nintex lover I really hope Nintex could solve this problem with Microsoft going forward. Introduction “This task is currently locked by a running workflow and cannot be edited” is a common message that is seen when an error occurs while the SharePoint workflow engine is processing a task item associated with a workflow. When a workflow processes a task normally, the following sequence of events is expected to occur: 1.       The process begins. 2.       The workflow places a ‘lock’ on the task so nothing else can change the values while the workflow is processing. 3.       The workflow processes the task. 4.       The lock is released when the task processing is finished. When the message is encountered, it usually indicates that an error occurred between step 2 and 4. As a result, the lock is never released. Therefore, the ‘task locked’ message is not an error itself, rather a symptom of another error – the ‘task locked’ message does not indicate what went wrong. In most cases, once this message is encountered, the workflow cannot be made to continue and must be terminated and started again. The following is a guide that can help troubleshoot the cause of these messages.  Some initial observations to narrow down the potential causes are: Is the error consistent or intermittent? When the error is consistent, it will happen every time the workflow is run. When it is intermittent, it may happen regularly, but not every time. Does the error occur the first time the user tries to respond to a task, or do they respond and notice the workflow does not continue, and when they respond again the error occurs? If the message is present when the user first responds to the task, the issue would have occurred when the task was created. Otherwise, it would have occurred when the user attempted to respond to the task. Causes Modifying the task list A cause of this error appearing consistently the first time a user tries to respond to a task is a modification to the default task list schema. For example, changing the ‘Assigned to’ field in a task list to be a multiple selection will cause the behaviour. Deleting the workflow task then restoring it from the Recycle bin If you start a workflow, delete the workflow task then restore it from the Recycle Bin in SharePoint, the workflow will fail with the ‘task locked’ error.  This is confirmed behaviour whether using a SharePoint Designer or a Nintex workflow.  You will need to terminate the workflow and start it again. Parallel simultaneous responses A cause of this error appearing inconsistently is multiple users responding to tasks in parallel at the same time. In this scenario, one task will complete correctly and the other will not process. When the user tries again, the ‘task locked’ message will display. Nintex included a workaround for this issue in build 11000. In build 11000 and later, one of the users will receive a message on the task form when they attempt to respond, stating that they need to try again in a few moments. Additional processing on the task A cause of this error appearing consistently and inconsistently is having an additional system running on the items in the task list. Some examples include: a workflow running on the task list, an event receiver running on the task list or another automated process querying and updating workflow tasks. Note: This Microsoft help article (http://office.microsoft.com/en-us/sharepointdesigner/HA102376561033.aspx#5) explains creating a workflow that runs on the task list to update a field on the task. Our experience shows that this causes the ‘Task Locked’ issues when the ‘parent’ workflow is generating more than one task at once. Isolated system error If the error is a rare event, or a ‘one off’ event, then an isolated system error may have occurred. For example, if there is a database connectivity issue while the workflow is processing the task response, the task will lock. In this case, the user will respond to a task but the workflow will not continue. When they respond again, the ‘task locked’ message will display. In this case, there will be an error in the SharePoint ULS Logs at the time that the user originally responded. Temporary delay while workflow processes If the workflow is taking a long time to process after a user submits a task, they may notice and try to respond to the task again. They will see the task locked error, but after a number of attempts (or after waiting some time) the task response page eventually indicates the task has been responded to. In this case, nothing actually went wrong, and the error message gives an accurate indication of what is happening – the workflow temporarily locked the task while it was processing. This scenario may occur in a very large workflow, or after the SharePoint application pool has just started. Modifying the task via a web service with an invalid url If the Nintex Workflow web service is used to respond to or delegate a task, the site context part of the url must be a valid alternative access mapping url. For example, if you access the web service via the IP address of the SharePoint server, and the IP address is not a valid AAM, the task can become locked. The workflow has become stuck without any apparent errors This behaviour can occur as a result of a bug in the SharePoint 2010 workflow engine.  If you do not have the August 2010 Cumulative Update (or later) for SharePoint, and your workflow uses delays, “Flexi-task”, State machine”, “Task Reminder” actions or variables, you could be affected. Check the SharePoint 2010 Updates site here: http://technet.microsoft.com/en-us/sharepoint/ff800847.  The October CU is recommended http://support.microsoft.com/kb/2553031.   The fix is described as “Consider the following scenario. You add a Delay activity to a workflow. Then, you set the duration for the Delay activity. You deploy the workflow in SharePoint Foundation 2010. In this scenario, the workflow is not resumed after the duration of the Delay activity”. If you find this is occurring in your environment, install the October CU, terminate all the running workflows affected and run them afresh. Investigative steps The first step to isolate the issue is to create a new task list on the site and configure the workflow to use it.  Any customizations that were made to the original task list should not be made to the new task list. If the new task list eliminates the issue, then the cause can be attributed to the original task list or a change that was made to it. To change the task list that the workflow uses: In Workflow Designer select Settings -> Startup Options Then configure the task list as required If any of the scenarios above do not help, check the SharePoint logs for any messages with a category of ‘Workflow Infrastructure’. Conclusion The information in this article has been gathered from observations and investigations by Nintex. The sources of these issues are the underlying SharePoint workflow engine. This article will be updated if further causes are discovered. From <http://connect.nintex.com/forums/thread/6503.aspx>

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  • WatiN screenshot saver

    - by Brian Schroer
    In addition to my automated unit, system and integration tests for ASP.NET projects, I like to give my customers something pretty that they can look at and visually see that the web site is behaving properly. I use the Gallio test runner to produce a pretty HTML report, and WatiN (Web Application Testing In .NET) to test the UI and create screenshots. I have a couple of issues with WatiN’s “CaptureWebPageToFile” method, though: It blew up the first (and only) time I tried it, possibly because… It scrolls down to capture the entire web page (I tried it on a very long page), and I usually don’t need that Also, sometimes I don’t need a picture of the whole browser window - I just want a picture of the element that I'm testing (for example, proving that a button has the correct caption). I wrote a WatiN screenshot saver helper class with these methods: SaveBrowserWindowScreenshot(Watin.Core.IE ie)  / SaveBrowserWindowScreenshot(Watin.Core.Element element) saves a screenshot of the browser window SaveBrowserWindowScreenshotWithHighlight(Watin.Core.Element element) saves a screenshot of the browser window, with the specified element scrolled into view and highlighted SaveElementScreenshot(Watin.Core.Element element) saves a picture of only the specified element The element highlighting improves on the built-in WatiN method (which just gives the element a yellow background, and makes the element pretty much unreadable when you have a light foreground color) by adding the ability to specify a HighlightCssClassName that points to a style in your site’s stylesheet. This code is specifically for testing with Internet Explorer (‘cause that’s what I have to test with at work), but you’re welcome to take it and do with it what you want… using System; using System.Drawing; using System.Drawing.Imaging; using System.IO; using System.Reflection; using System.Runtime.InteropServices; using System.Text; using System.Threading; using SHDocVw; using WatiN.Core; using mshtml; namespace BrianSchroer.TestHelpers { public static class WatinScreenshotSaver { public static void SaveBrowserWindowScreenshotWithHighlight (Element element, string screenshotName) { HighlightElement(element, true); SaveBrowserWindowScreenshot(element, screenshotName); HighlightElement(element, false); } public static void SaveBrowserWindowScreenshotWithHighlight(Element element) { HighlightElement(element, true); SaveBrowserWindowScreenshot(element); HighlightElement(element, false); } public static void SaveBrowserWindowScreenshot(Element element, string screenshotName) { SaveScreenshot(GetIe(element), screenshotName, SaveBitmapForCallbackArgs); } public static void SaveBrowserWindowScreenshot(Element element) { SaveScreenshot(GetIe(element), null, SaveBitmapForCallbackArgs); } public static void SaveBrowserWindowScreenshot(IE ie, string screenshotName) { SaveScreenshot(ie, screenshotName, SaveBitmapForCallbackArgs); } public static void SaveBrowserWindowScreenshot(IE ie) { SaveScreenshot(ie, null, SaveBitmapForCallbackArgs); } public static void SaveElementScreenshot(Element element, string screenshotName) { // TODO: Figure out how to get browser window "chrome" size and not have to go to full screen: var iex = (InternetExplorerClass) GetIe(element).InternetExplorer; bool fullScreen = iex.FullScreen; if (!fullScreen) iex.FullScreen = true; ScrollIntoView(element); SaveScreenshot(GetIe(element), screenshotName, args => SaveElementBitmapForCallbackArgs(element, args)); iex.FullScreen = fullScreen; } public static void SaveElementScreenshot(Element element) { SaveElementScreenshot(element, null); } private static void SaveScreenshot(IE browser, string screenshotName, Action<ScreenshotCallbackArgs> screenshotCallback) { string fileName = string.Format("{0:000}{1}{2}.jpg", ++_screenshotCount, (string.IsNullOrEmpty(screenshotName)) ? "" : " ", screenshotName); string path = Path.Combine(ScreenshotDirectoryName, fileName); Console.WriteLine(); // Gallio HTML-encodes the following display, but I have a utility program to // remove the "HTML===" and "===HTML" and un-encode the rest to show images in the Gallio report: Console.WriteLine("HTML===<div><b>{0}:</br></b><img src=\"{1}\" /></div>===HTML", screenshotName, new Uri(path).AbsoluteUri); MakeBrowserWindowTopmost(browser); try { var args = new ScreenshotCallbackArgs { InternetExplorerClass = (InternetExplorerClass)browser.InternetExplorer, ScreenshotPath = path }; Thread.Sleep(100); screenshotCallback(args); } catch (Exception ex) { Console.WriteLine(ex.Message); } } public static void HighlightElement(Element element, bool doHighlight) { if (!element.Exists) return; if (string.IsNullOrEmpty(HighlightCssClassName)) { element.Highlight(doHighlight); return; } string jsRef = element.GetJavascriptElementReference(); if (string.IsNullOrEmpty(jsRef)) return; var sb = new StringBuilder("try { "); sb.AppendFormat(" {0}.scrollIntoView(false);", jsRef); string format = (doHighlight) ? "{0}.className += ' {1}'" : "{0}.className = {0}.className.replace(' {1}', '')"; sb.AppendFormat(" " + format + ";", jsRef, HighlightCssClassName); sb.Append("} catch(e) {}"); string script = sb.ToString(); GetIe(element).RunScript(script); } public static void ScrollIntoView(Element element) { string jsRef = element.GetJavascriptElementReference(); if (string.IsNullOrEmpty(jsRef)) return; var sb = new StringBuilder("try { "); sb.AppendFormat(" {0}.scrollIntoView(false);", jsRef); sb.Append("} catch(e) {}"); string script = sb.ToString(); GetIe(element).RunScript(script); } public static void MakeBrowserWindowTopmost(IE ie) { ie.BringToFront(); SetWindowPos(ie.hWnd, HWND_TOPMOST, 0, 0, 0, 0, TOPMOST_FLAGS); } public static string HighlightCssClassName { get; set; } private static int _screenshotCount; private static string _screenshotDirectoryName; public static string ScreenshotDirectoryName { get { if (_screenshotDirectoryName == null) { var asm = Assembly.GetAssembly(typeof(WatinScreenshotSaver)); var uri = new Uri(asm.CodeBase); var fileInfo = new FileInfo(uri.LocalPath); string directoryName = fileInfo.DirectoryName; _screenshotDirectoryName = Path.Combine( directoryName, string.Format("Screenshots_{0:yyyyMMddHHmm}", DateTime.Now)); Console.WriteLine("Screenshot folder: {0}", _screenshotDirectoryName); Directory.CreateDirectory(_screenshotDirectoryName); } return _screenshotDirectoryName; } set { _screenshotDirectoryName = value; _screenshotCount = 0; } } [DllImport("user32.dll")] [return: MarshalAs(UnmanagedType.Bool)] private static extern bool SetWindowPos(IntPtr hWnd, IntPtr hWndInsertAfter, int X, int Y, int cx, int cy, uint uFlags); private static readonly IntPtr HWND_TOPMOST = new IntPtr(-1); private const UInt32 SWP_NOSIZE = 0x0001; private const UInt32 SWP_NOMOVE = 0x0002; private const UInt32 TOPMOST_FLAGS = SWP_NOMOVE | SWP_NOSIZE; private static IE GetIe(Element element) { if (element == null) return null; var container = element.DomContainer; while (container as IE == null) container = container.DomContainer; return (IE)container; } private static void SaveBitmapForCallbackArgs(ScreenshotCallbackArgs args) { InternetExplorerClass iex = args.InternetExplorerClass; SaveBitmap(args.ScreenshotPath, iex.Left, iex.Top, iex.Width, iex.Height); } private static void SaveElementBitmapForCallbackArgs(Element element, ScreenshotCallbackArgs args) { InternetExplorerClass iex = args.InternetExplorerClass; Rectangle bounds = GetElementBounds(element); SaveBitmap(args.ScreenshotPath, iex.Left + bounds.Left, iex.Top + bounds.Top, bounds.Width, bounds.Height); } /// <summary> /// This method is used instead of element.NativeElement.GetElementBounds because that /// method has a bug (http://sourceforge.net/tracker/?func=detail&aid=2994660&group_id=167632&atid=843727). /// </summary> private static Rectangle GetElementBounds(Element element) { var ieElem = element.NativeElement as WatiN.Core.Native.InternetExplorer.IEElement; IHTMLElement elem = ieElem.AsHtmlElement; int left = elem.offsetLeft; int top = elem.offsetTop; for (IHTMLElement parent = elem.offsetParent; parent != null; parent = parent.offsetParent) { left += parent.offsetLeft; top += parent.offsetTop; } return new Rectangle(left, top, elem.offsetWidth, elem.offsetHeight); } private static void SaveBitmap(string path, int left, int top, int width, int height) { using (var bitmap = new Bitmap(width, height)) { using (Graphics g = Graphics.FromImage(bitmap)) { g.CopyFromScreen( new Point(left, top), Point.Empty, new Size(width, height) ); } bitmap.Save(path, ImageFormat.Jpeg); } } private class ScreenshotCallbackArgs { public InternetExplorerClass InternetExplorerClass { get; set; } public string ScreenshotPath { get; set; } } } }

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  • Upgrading Windows 8 boot to VHD to Windows 8.1&ndash;Step by step guide

    - by Liam Westley
    Originally posted on: http://geekswithblogs.net/twickers/archive/2013/10/19/upgrading-windows-8-boot-to-vhd-to-windows-8.1ndashstep-by.aspxBoot to VHD – dual booting Windows 7 and Windows 8 became easy When Windows 8 arrived, quite a few people decided that they would still dual boot their machines, and instead of mucking about with resizing disk partitions to free up space for Windows 8 they decided to use the boot from VHD feature to create a huge hard disc image into which Windows 8 could be installed.  Scott Hanselman wrote this installation guide, while I myself used the installation guide from Ed Bott of ZD net fame. Boot to VHD is a great solution, it achieves a dual boot, can be backed up easily and had virtually no effect on the original Windows 7 partition. As a developer who has dual booted Windows operating systems for years, hacking boot.ini files, the boot to VHD was a much easier solution. Upgrade to Windows 8.1 – ah, you can’t do that on a virtual disk installation (boot to VHD) Last week the final version of Windows 8.1 arrived, and I went into the Windows Store to upgrade.  Luckily I’m on a fast download service, and use an SSD, because once the upgrade was downloaded and prepared Windows informed that This PC can’t run Windows 8.1, and provided the reason, You can’t install Windows on a virtual drive.  You can see an image of the message and discussion that sparked my search for a solution in this Microsoft Technet forum post. I was determined not to have to resize partitions yet again and fiddle with VHD to disk utilities and back again, and in the end I did succeed in upgrading to a Windows 8.1 boot to VHD partition.  It takes quite a bit of effort though … tldr; Simple steps of how you upgrade Boot into Windows 7 – make a copy of your Windows 8 VHD, to become Windows 8.1 Enable Hyper-V in your Windows 8 (the original boot to VHD partition) Create a new virtual machine, attaching the copy of your Windows 8 VHD Start the virtual machine, upgrade it via the Windows Store to Windows 8.1 Shutdown the virtual machine Boot into Windows 7 – use the bcedit tool to create a new Windows 8.1 boot to VHD option (pointing at the copy) Boot into the new Windows 8.1 option Reactivate Windows 8.1 (it will have become deactivated by running under Hyper-V) Remove the original Windows 8 VHD, and in Windows 7 use bcedit to remove it from the boot menu Things you’ll need A system that can run Hyper-V under Windows 8 (Intel i5, i7 class CPU) Enough space to have your original Windows 8 boot to VHD and a copy at the same time An ISO or DVD for Windows 8 to create a bootable Windows 8 partition Step by step guide Boot to your base o/s, the real one, Windows 7. Make a copy of the Windows 8 VHD file that you use to boot Windows 8 (via boot from VHD) – I copied it from a folder on C: called VHD-Win8 to VHD-Win8.1 on my N: drive. Reboot your system into Windows 8, and enable Hyper-V if not already present (this may require reboot) Use the Hyper-V manager , create a new Hyper-V machine, using half your system memory, and use the option to attach an existing VHD on the main IDE controller – this will be the new copy you made in Step 2. Start the virtual machine, use Connect to view it, and you’ll probably discover it cannot boot as there is no boot record If this is the case, go to Hyper-V manager, edit the Settings for the virtual machine to attach an ISO of a Windows 8 DVD to the second IDE controller. Start the virtual machine, use Connect to view it, and it should now attempt a fresh installation of Windows 8.  You should select Advanced Options and choose Repair - this will make VHD bootable When the setup reboots your virtual machine, turn off the virtual machine, and remove the ISO of the Windows 8 DVD from the virtual machine settings. Start virtual machine, use Connect to view it.  You will see the devices to be re-discovered (including your quad CPU becoming single CPU).  Eventually you should see the Windows Login screen. You may notice that your desktop background (Win+D) will have turned black as your Windows installation has become deactivate due to the hardware changes between your real PC and Hyper-V. Fortunately becoming deactivated, does not stop you using the Windows Store, where you can select the update to Windows 8.1. You can now watch the progress joy of the Windows 8 update; downloading, preparing to update, checking compatibility, gathering info, preparing to restart, and finally, confirm restart - remember that you are restarting your virtual machine sitting on the copy of the VHD, not the Windows 8 boot to VHD you are currently using to run Hyper-V (confused yet?) After the reboot you get the real upgrade messages; setting up x%, xx%, (quite slow) After a while, Getting ready Applying PC Settings x%, xx% (really slow) Updating your system (fast) Setting up a few more things x%, (quite slow) Getting ready, again Accept license terms Express settings Confirmed previous password Next, I had to set up a Microsoft account – which is possibly now required, and not optional Using the Microsoft account required a 2 factor authorization, via text message, a 7 digit code for me Finalising settings Blank screen, HI .. We're setting up things for you (similar to original Windows 8 install) 'You can get new apps from the Store', below which is ’Installing your apps’ - I had Windows Media Center which is counts as an app from the Store ‘Taking care of a few things’, below which is ‘Installing your apps’ ‘Taking care of a few things’, below ‘Don't turn off your PC’ ‘Getting your apps ready’, below ‘Don't turn off your PC’ ‘Almost ready’, below ‘Don't turn off your PC’ … finally, we get the Windows 8.1 start menu, and a quick Win+D to check the desktop confirmed all the application icons I expected, pinned items on the taskbar, and one app moaning about a missing drive At this point the upgrade is complete – you can shutdown the virtual machine Reboot from the original Windows 8 and return to Windows 7 to configure booting to the Windows 8.1 copy of the VHD In an administrator command prompt do following use the bcdedit tool (from an MSDN blog about configuring VHD to boot in Windows 7) Type bcedit to list the current boot options, so you can copy the GUID (complete with brackets/braces) for the original Windows 8 boot to VHD Create a new menu option, copy of the Windows 8 option; bcdedit /copy {originalguid} /d "Windows 8.1" Point the new Windows 8.1 option to the copy of the VHD; bcdedit /set {newguid} device vhd=[D:]\Image.vhd Point the new Windows 8.1 option to the copy of the VHD; bcdedit /set {newguid} osdevice vhd=[D:]\Image.vhd Set autodetection of the HAL (may already be set); bcdedit /set {newguid} detecthal on Reboot from Windows 7 and select the new option 'Windows 8.1' on the boot menu, and you’ll have some messages to look at, as your hardware is redetected (as you are back from 1 CPU to 4 CPUs) ‘Getting devices ready, blank then %xx, with occasional blank screen, for the graphics driver, (fast-ish) Getting Ready message (fast) You will have to suffer one final reboots, choose 'Windows 8.1' and you can now login to a lovely Windows 8.1 start screen running on non virtualized hardware via boot to VHD After checking everything is running fine, you can now choose to Activate Windows, which for me was a toll free phone call to the automated system where you type in lots of numbers to be given a whole bunch of new activation codes. Once you’re happy with your new Windows 8.1 boot to VHD, and no longer need the Windows 8 boot to VHD, feel free to delete the old one.  I do believe once you upgrade, you are no longer licensed to use it anyway. There, that was simple wasn’t it? Looking at the huge list of steps it took to perform this upgrade, you may wonder whether I think this is worth it.  Well, I think it is worth booting to VHD.  It makes backups a snap (go to Windows 7, copy the VHD, you backed up the o/s) and helps with disk management – want to move the o/s, you can move the VHD and repoint the boot menu to the new location. The downside is that Microsoft has complete neglected to support boot to VHD as an upgradable option.  Quite a poor decision in my opinion, and if you read twitter and the forums quite a few people agree with that view.  It’s a shame this got missed in the work on creating the upgrade packages for Windows 8.1.

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  • Bye Bye Year of the Dragon, Hello BPM

    - by Ajay Khanna
    Normal 0 false false false EN-US X-NONE X-NONE MicrosoftInternetExplorer4 /* Style Definitions */ table.MsoNormalTable {mso-style-name:"Table Normal"; mso-tstyle-rowband-size:0; mso-tstyle-colband-size:0; mso-style-noshow:yes; mso-style-priority:99; mso-style-qformat:yes; mso-style-parent:""; mso-padding-alt:0in 5.4pt 0in 5.4pt; mso-para-margin:0in; mso-para-margin-bottom:.0001pt; mso-pagination:widow-orphan; font-size:11.0pt; font-family:"Calibri","sans-serif"; mso-ascii-font-family:Calibri; mso-ascii-theme-font:minor-latin; mso-fareast-font-family:"Times New Roman"; mso-fareast-theme-font:minor-fareast; mso-hansi-font-family:Calibri; mso-hansi-theme-font:minor-latin; mso-bidi-font-family:"Times New Roman"; mso-bidi-theme-font:minor-bidi;} As 2012 fades and we usher in a New Year, let’s look back at some of the hottest BPM trends and those we’ll be seeing more of in the coming months. BPM is as much about people as it is about technology. As people adopt new ways of engagement, new channels of communications and new devices to interact , the changes are reflected in BPM practices. As Social and Mobile have become an integral part of our personal and professional lives, we’ll see tighter integration of social and mobile with BPM, and more use cases emerging for smarter process management in 2013. And with products and services becoming less differentiated, organizations will strive to differentiate on Customer Experience. Concepts like Pace Layered Architecture and Dynamic Case Management will provide more flexibility and agility to IT groups and knowledge workers. Take a look at some of these capabilities we showcased (see video) at Oracle OpenWorld 2012. Some of these trends that will continue to gain momentum in 2013: Social networks and social media have provided a new way for businesses to engage with customers. A prospect is likely to reach out to their social network before making any purchase. Companies are increasingly engaging with customers in social networks to influence their purchasing decisions, as well as listening to customers via tools like sentiment analysis to see what customers think about a particular product or process. These insights are valuable as companies look to improve their processes. Inside organizations, workers are using social tools to engage with each other to design new products and processes. Social collaboration tools are being used to resolve issues where an employee needs consultation to reach a decision. Oracle BPM Suite includes social interaction as an integral part of its process design and work management to empower today’s business users. Ubiquitous smart mobile devices are trending as a tool of choice for many workers. Many companies are adopting the policy of “Bring Your Own Device,” and the device of choice is a tablet. Devices like smart phones and tablets not only provide mobility to workers and customers, but they also provide additional important information – the context. By integrating the mobile context (location, photos, and preferences) into your processes, organizations can make much more informed decisions, as well as offer more personalized service to customers. Using Oracle ADF Mobile, you can easily create user interfaces for mobile devices and also capture location data for process execution. Customer experience was at the forefront of trending topics in 2012. Organizations are trying to understand their customers better and offer them more personalized and differentiated services. Customer experience is paramount when companies design sales and support processes. Companies are looking to BPM to consistently and efficiently orchestrate customer facing processes across disparate systems, departments and channels of communication. Oracle BPM Suite provides just the right capabilities for organizations to design and deliver an excellent customer experience. Pace Layered Architecture strategy is gaining traction as a way to maximize agility and minimize disruption in organizations. It provides a framework to manage the evolution of your information system when different pieces of it are changing at different rates and need to be updated independent of one another. Oracle Fusion Middleware and Oracle BPM Suite are designed with this in mind. The database layer, integration layer, application layer, and process layer should not be required to change at the same time. Most of the business changes to policy or process can be done at the process layer without disrupting the whole infrastructure. By understanding the type of change needed at a particular level, organizations can become much more agile and efficient. Adaptive Case Management proposes more flexibility to manage processes or cases that do not follow a structured process flow. In such situations, the knowledge worker managing the case needs to evaluate what step should occur next because the sequence of steps can’t be predetermined. Another characteristic is that it requires much more collaboration than straight-through process. As simple processes become automated, and customers adopt more and more self-service, cases that reach the case workers are much more complex and need more investigation. Oracle BPM suite includes comprehensive adaptive case management capability to manage such unstructured and complex processes. Smart BPM or making your BPM intelligent has been the holy grail for BPM practitioners who imagined that one day BPM would become one with Business Intelligence, Business Activity Monitoring and Complex Event Processing, making it much more responsive and helpful in organizational decision making. In 2013, organizations will begin to deploy these intelligent BPM solutions. Oracle offers an integrated solution that brings together the powerful functionality of BI, BAM, event processing, and Real Time Decisions to help organizations create smart process based solutions. In order to help customers reach their BPM goals faster and remove risks associated with BPM initiatives, Oracle has introduced Oracle Process Accelerators, pre-built best practices applications built on Oracle BPM Suite that are fully production grade and ready to deploy. These are exiting times for BPM practitioners and there is so much to look forward to in 2013. We wish you a very happy and prosperous New Year 2013. Happy BPMing!

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  • Regression testing with Selenium GRID

    - by Ben Adderson
    A lot of software teams out there are tasked with supporting and maintaining systems that have grown organically over time, and the web team here at Red Gate is no exception. We're about to embark on our first significant refactoring endeavour for some time, and as such its clearly paramount that the code be tested thoroughly for regressions. Unfortunately we currently find ourselves with a codebase that isn't very testable - the three layers (database, business logic and UI) are currently tightly coupled. This leaves us with the unfortunate problem that, in order to confidently refactor the code, we need unit tests. But in order to write unit tests, we need to refactor the code :S To try and ease the initial pain of decoupling these layers, I've been looking into the idea of using UI automation to provide a sort of system-level regression test suite. The idea being that these tests can help us identify regressions whilst we work towards a more testable codebase, at which point the more traditional combination of unit and integration tests can take over. Ending up with a strong battery of UI tests is also a nice bonus :) Following on from my previous posts (here, here and here) I knew I wanted to use Selenium. I also figured that this would be a good excuse to put my xUnit [Browser] attribute to good use. Pretty quickly, I had a raft of tests that looked like the following (this particular example uses Reflector Pro). In a nut shell the test traverses our shopping cart and, for a particular combination of number of users and months of support, checks that the price calculations all come up with the correct values. [BrowserTheory] [Browser(Browsers.Firefox3_6, "http://www.red-gate.com")] public void Purchase1UserLicenceNoSupport(SeleniumProvider seleniumProvider) {     //Arrange     _browser = seleniumProvider.GetBrowser();     _browser.Open("http://www.red-gate.com/dynamic/shoppingCart/ProductOption.aspx?Product=ReflectorPro");                  //Act     _browser = ShoppingCartHelpers.TraverseShoppingCart(_browser, 1, 0, ".NET Reflector Pro");     //Assert     var priceResult = PriceHelpers.GetNewPurchasePrice(db, "ReflectorPro", 1, 0, Currencies.Euros);         Assert.Equal(priceResult.Price, _browser.GetText("ctl00_content_InvoiceShoppingItemRepeater_ctl01_Price"));     Assert.Equal(priceResult.Tax, _browser.GetText("ctl00_content_InvoiceShoppingItemRepeater_ctl02_Tax"));     Assert.Equal(priceResult.Total, _browser.GetText("ctl00_content_InvoiceShoppingItemRepeater_ctl02_Total")); } These tests are pretty concise, with much of the common code in the TraverseShoppingCart() and GetNewPurchasePrice() methods. The (inevitable) problem arose when it came to execute these tests en masse. Selenium is a very slick tool, but it can't mask the fact that UI automation is very slow. To give you an idea, the set of cases that covers all of our products, for all combinations of users and support, came to 372 tests (for now only considering purchases in dollars). In the world of automated integration tests, that's a very manageable number. For unit tests, it's a trifle. However for UI automation, those 372 tests were taking just over two hours to run. Two hours may not sound like a lot, but those cases only cover one of the three currencies we deal with, and only one of the many different ways our systems can be asked to calculate a price. It was already pretty clear at this point that in order for this approach to be viable, I was going to have to find a way to speed things up. Up to this point I had been using Selenium Remote Control to automate Firefox, as this was the approach I had used previously and it had worked well. Fortunately,  the guys at SeleniumHQ also maintain a tool for executing multiple Selenium RC tests in parallel: Selenium Grid. Selenium Grid uses a central 'hub' to handle allocation of Selenium tests to individual RCs. The Remote Controls simply register themselves with the hub when they start, and then wait to be assigned work. The (for me) really clever part is that, as far as the client driver library is concerned, the grid hub looks exactly the same as a vanilla remote control. To create a new browser session against Selenium RC, the following C# code suffices: new DefaultSelenium("localhost", 4444, "*firefox", "http://www.red-gate.com"); This assumes that the RC is running on the local machine, and is listening on port 4444 (the default). Assuming the hub is running on your local machine, then to create a browser session in Selenium Grid, via the hub rather than directly against the control, the code is exactly the same! Behind the scenes, the hub will take this request and hand it off to one of the registered RCs that provides the "*firefox" execution environment. It will then pass all communications back and forth between the test runner and the remote control transparently. This makes running existing RC tests on a Selenium Grid a piece of cake, as the developers intended. For a more detailed description of exactly how Selenium Grid works, see this page. Once I had a test environment capable of running multiple tests in parallel, I needed a test runner capable of doing the same. Unfortunately, this does not currently exist for xUnit (boo!). MbUnit on the other hand, has the concept of concurrent execution baked right into the framework. So after swapping out my assembly references, and fixing up the resulting mismatches in assertions, my example test now looks like this: [Test] public void Purchase1UserLicenceNoSupport() {    //Arrange    ISelenium browser = BrowserHelpers.GetBrowser();    var db = DbHelpers.GetWebsiteDBDataContext();    browser.Start();    browser.Open("http://www.red-gate.com/dynamic/shoppingCart/ProductOption.aspx?Product=ReflectorPro");                 //Act     browser = ShoppingCartHelpers.TraverseShoppingCart(browser, 1, 0, ".NET Reflector Pro");    var priceResult = PriceHelpers.GetNewPurchasePrice(db, "ReflectorPro", 1, 0, Currencies.Euros);    //Assert     Assert.AreEqual(priceResult.Price, browser.GetText("ctl00_content_InvoiceShoppingItemRepeater_ctl01_Price"));     Assert.AreEqual(priceResult.Tax, browser.GetText("ctl00_content_InvoiceShoppingItemRepeater_ctl02_Tax"));     Assert.AreEqual(priceResult.Total, browser.GetText("ctl00_content_InvoiceShoppingItemRepeater_ctl02_Total")); } This is pretty much the same as the xUnit version. The exceptions are that the attributes have changed,  the //Arrange phase now has to handle setting up the ISelenium object, as the attribute that previously did this has gone away, and the test now sets up its own database connection. Previously I was using a shared database connection, but this approach becomes more complicated when tests are being executed concurrently. To avoid complexity each test has its own connection, which it is responsible for closing. For the sake of readability, I snipped out the code that closes the browser session and the db connection at the end of the test. With all that done, there was only one more step required before the tests would execute concurrently. It is necessary to tell the test runner which tests are eligible to run in parallel, via the [Parallelizable] attribute. This can be done at the test, fixture or assembly level. Since I wanted to run all tests concurrently, I marked mine at the assembly level in the AssemblyInfo.cs using the following: [assembly: DegreeOfParallelism(3)] [assembly: Parallelizable(TestScope.All)] The second attribute marks all tests in the assembly as [Parallelizable], whilst the first tells the test runner how many concurrent threads to use when executing the tests. I set mine to three since I was using 3 RCs in separate VMs. With everything now in place, I fired up the Icarus* test runner that comes with MbUnit. Executing my 372 tests three at a time instead of one at a time reduced the running time from 2 hours 10 minutes, to 55 minutes, that's an improvement of about 58%! I'd like to have seen an improvement of 66%, but I can understand that either inefficiencies in the hub code, my test environment or the test runner code (or some combination of all three most likely) contributes to a slightly diminished improvement. That said, I'd love to hear about any experience you have in upping this efficiency. Ultimately though, it was a saving that was most definitely worth having. It makes regression testing via UI automation a far more plausible prospect. The other obvious point to make is that this approach scales far better than executing tests serially. So if ever we need to improve performance, we just register additional RC's with the hub, and up the DegreeOfParallelism. *This was just my personal preference for a GUI runner. The MbUnit/Gallio installer also provides a command line runner, a TestDriven.net runner, and a Resharper 4.5 runner. For now at least, Resharper 5 isn't supported.

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  • Run Your Tests With Any NUnit Version

    - by Alois Kraus
    I always thought that the NUnit test runners and the test assemblies need to reference the same NUnit.Framework version. I wanted to be able to run my test assemblies with the newest GUI runner (currently 2.5.3). Ok so all I need to do is to reference both NUnit versions the newest one and the official for the current project. There is a nice article form Kent Bogart online how to reference the same assembly multiple times with different versions. The magic works by referencing one NUnit assembly with an alias which does prefix all types inside it. Then I could decorate my tests with the TestFixture and Test attribute from both NUnit versions and everything worked fine except that this was ugly. After playing a little bit around to make it simpler I found that I did not need to reference both NUnit.Framework assemblies. The test runners do not require the TestFixture and Test attribute in their specific version. That is really neat since the test runners are instructed by attributes what to do in a declarative way there is really no need to tie the runners to a specific version. At its core NUnit has this little method hidden to find matching TestFixtures and Tests   public bool CanBuildFrom(Type type) {     if (!(!type.IsAbstract || type.IsSealed))     {         return false;     }     return (((Reflect.HasAttribute(type,           "NUnit.Framework.TestFixtureAttribute", true) ||               Reflect.HasMethodWithAttribute(type, "NUnit.Framework.TestAttribute"       , true)) ||               Reflect.HasMethodWithAttribute(type, "NUnit.Framework.TestCaseAttribute"   , true)) ||               Reflect.HasMethodWithAttribute(type, "NUnit.Framework.TheoryAttribute"     , true)); } That is versioning and backwards compatibility at its best. I tell NUnit what to do by decorating my tests classes with NUnit Attributes and the runner executes my intent without the need to bind me to a specific version. The contract between NUnit versions is actually a bit more complex (think of AssertExceptions) but this is also handled nicely by using not the concrete type but simply to check for the catched exception type by string. What can we learn from this? Versioning can be easy if the contract is small and the users of your library use it in a declarative way (Attributes). Everything beyond it will force you to reference several versions of the same assembly with all its consequences. Type equality is lost between versions so none of your casts will work. That means that you cannot simply use IBigInterface in two versions. You will need a wrapper to call the correct versioned one. To get out of this mess you can use one (and only one) version agnostic driver to encapsulate your business logic from the concrete versions. This is of course more work but as NUnit shows it can be easy. Simplicity is therefore not a nice thing to have but also requirement number one if you intend to make things more complex in version two and want to support any version (older and newer). Any interaction model above easy will not be maintainable. There are different approached to versioning. Below are my own personal observations how versioning works within the  .NET Framwork and NUnit.   Versioning Models 1. Bug Fixing and New Isolated Features When you only need to fix bugs there is no need to break anything. This is especially true when you have a big API surface. Microsoft did this with the .NET Framework 3.0 which did leave the CLR as is but delivered new assemblies for the features WPF, WCF and Windows Workflow Foundations. Their basic model was that the .NET 2.0 assemblies were declared as red assemblies which must not change (well mostly but each change was carefully reviewed to minimize the risk of breaking changes as much as possible) whereas the new green assemblies of .NET 3,3.5 did not have such obligations since they did implement new unrelated features which did not have any impact on the red assemblies. This is versioning strategy aimed at maximum compatibility and the delivery of new unrelated features. If you have a big API surface you should strive hard to do the same or you will break your customers code with every release. 2. New Breaking Features There are times when really new things need to be added to an existing product. The .NET Framework 4.0 did change the CLR in many ways which caused subtle different behavior although the API´s remained largely unchanged. Sometimes it is possible to simply recompile an application to make it work (e.g. changed method signature void Func() –> bool Func()) but behavioral changes need much more thought and cannot be automated. To minimize the impact .NET 2.0,3.0,3.5 applications will not automatically use the .NET 4.0 runtime when installed but they will keep using the “old” one. What is interesting is that a side by side execution model of both CLR versions (2 and 4) within one process is possible. Key to success was total isolation. You will have 2 GCs, 2 JIT compilers, 2 finalizer threads within one process. The two .NET runtimes cannot talk  (except via the usual IPC mechanisms) to each other. Both runtimes share nothing and run independently within the same process. This enables Explorer plugins written for the CLR 2.0 to work even when a CLR 4 plugin is already running inside the Explorer process. The price for isolation is an increased memory footprint because everything is loaded and running two times.   3. New Non Breaking Features It really depends where you break things. NUnit has evolved and many different Assert, Expect… methods have been added. These changes are all localized in the NUnit.Framework assembly which can be easily extended. As long as the test execution contract (TestFixture, Test, AssertException) remains stable it is possible to write test executors which can run tests written for NUnit 10 because the execution contract has not changed. It is possible to write software which executes other components in a version independent way but this is only feasible if the interaction model is relatively simple.   Versioning software is hard and it looks like it will remain hard since you suddenly work in a severely constrained environment when you try to innovate and to keep everything backwards compatible at the same time. These are contradicting goals and do not play well together. The easiest way out of this is to carefully watch what your customers are doing with your software. Minimizing the impact is much easier when you do not need to guess how many people will be broken when this or that is removed.

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  • Using SQL Source Control with Fortress or Vault &ndash; Part 2

    - by AjarnMark
    In Part 1, I started talking about using Red-Gate’s newest version of SQL Source Control and how I really like it as a viable method to source control your database development.  It looks like this is going to turn into a little series where I will explain how we have done things in the past, and how life is different with SQL Source Control.  I will also explain some of my philosophy and methodology around deployment with these tools.  But for now, let’s talk about some of the good and the bad of the tool itself. More Kudos and Features I mentioned previously how impressed I was with the responsiveness of Red-Gate’s team.  I have been having an ongoing email conversation with Gyorgy Pocsi, and as I have run into problems or requested things behave a little differently, it has not been more than a day or two before a new Build is ready for me to download and test.  Quite impressive! I’m sure much of the requests I put in were already in the plans, so I can’t really take credit for them, but throughout this conversation, Red-Gate has implemented several features that were not in the first Early Access version.  Those include: Honoring the Fortress configuration option to require Work Item (Bug) IDs on check-ins. Adding the check-in comment text as a comment to the Work Item. Adding the list of checked-in files, along with the Fortress links for automatic History and DIFF view Updating the status of a Work Item on check-in (e.g. setting the item to Complete or, in our case “Dev-Complete”) Support for the Fortress 2.0 API, and not just the Vault Pro 5.1 API.  (See later notes regarding support for Fortress 2.0). These were all features that I felt we really needed to have in-place before I could honestly consider converting my team to using SQL Source Control on a regular basis.  Now that I have those, my only excuse is not wanting to switch boats on the team mid-stream.  So when we wrap up our current release in a few weeks, we will make the jump.  In the meantime, I will continue to bang on it to make sure it is stable.  It passed one test for stability when I did a test load of one of our larger database schemas into Fortress with SQL Source Control.  That database has about 150 tables, 200 User-Defined Functions and nearly 900 Stored Procedures.  The initial load to source control went smoothly and took just a brief amount of time. Warnings Remember that this IS still in pre-release stage and while I have not had any problems after that first hiccup I wrote about last time, you still need to treat it with a healthy respect.  As I understand it, the RTM is targeted for February.  There are a couple more features that I hope make it into the final release version, but if not, they’ll probably be coming soon thereafter.  Those are: A Browse feature to let me lookup the Work Item ID instead of having to remember it or look back in my Item details.  This is just a matter of convenience. I normally have my Work Item list open anyway, so I can easily look it up, but hey, why not make it even easier. A multi-line comment area.  The current space for writing check-in comments is a single-line text box.  I would like to have a multi-line space as I sometimes write lengthy commentary.  But I recognize that it is a struggle to get most developers to put in more than the word “fixed” as their comment, so this meets the need of the majority as-is, and it’s not a show-stopper for us. Merge.  SQL Source Control currently does not have a Merge feature.  If two or more people make changes to the same database object, you will get a warning of the conflict and have to choose which one wins (and then manually edit to include the others’ changes).  I think it unlikely you will run into actual conflicts in Stored Procedures and Functions, but you might with Views or Tables.  This will be nice to have, but I’m not losing any sleep over it.  And I have multiple tools at my disposal to do merges manually, so really not a show-stopper for us. Automation has its limits.  As cool as this automation is, it has its limits and there are some changes that you will be better off scripting yourself.  For example, if you are refactoring table definitions, and want to change a column name, you can write that as a quick sp_rename command and preserve the data within that column.  But because this tool is looking just at a before and after picture, it cannot tell that you just renamed a column.  To the tool, it looks like you dropped one column and added another.  This is not a knock against Red-Gate.  All automated scripting tools have this issue, unless the are actively monitoring your every step to know exactly what you are doing.  This means that when you go to Deploy your changes, SQL Compare will script the change as a column drop and add, or will attempt to rebuild the entire table.  Unfortunately, neither of these approaches will preserve the existing data in that column the way an sp_rename will, and so you are better off scripting that change yourself.  Thankfully, SQL Compare will produce warnings about the potential loss of data before it does the actual synchronization and give you a chance to intercept the script and do it yourself. Also, please note that the current official word is that SQL Source Control supports Vault Professional 5.1 and later.  Vault Professional is the new name for what was previously known as Fortress.  (You can read about the name change on SourceGear’s site.)  The last version of Fortress was 2.x, and the API for Fortress 2.x is different from the API for Vault Pro.  At my company, we are currently running Fortress 2.0, with plans to upgrade to Vault Pro early next year.  Gyorgy was able to come up with a work-around for me to be able to use SQL Source Control with Fortress 2.0, even though it is not officially supported.  If you are using Fortress 2.0 and want to use SQL Source Control, be aware that this is not officially supported, but it is working for us, and you can probably get the work-around instructions from Red-Gate if you’re really, really nice to them. Upcoming Topics Some of the other topics I will likely cover in this series over the next few weeks are: How we used to do source control back in the old days (a few weeks ago) before SQL Source Control was available to Vault users What happens when you restore a database that is linked to source control Handling multiple development branches of source code Concurrent Development practices and handling Conflicts Deployment Tips and Best Practices A recap after using the tool for a while

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  • How can a code editor effectively hint at code nesting level - without using indentation?

    - by pgfearo
    I've written an XML text editor that provides 2 view options for the same XML text, one indented (virtually), the other left-justified. The motivation for the left-justified view is to help users 'see' the whitespace characters they're using for indentation of plain-text or XPath code without interference from indentation that is an automated side-effect of the XML context. I want to provide visual clues (in the non-editable part of the editor) for the left-justified mode that will help the user, but without getting too elaborate. I tried just using connecting lines, but that seemed too busy. The best I've come up with so far is shown in a mocked up screenshot of the editor below, but I'm seeking better/simpler alternatives (that don't require too much code). [Edit] Taking the heatmap idea (from: @jimp) I get this and 3 alternatives - labelled a, b and c: The following section describes the accepted answer as a proposal, bringing together ideas from a number of other answers and comments. As this question is now community wiki, please feel free to update this. NestView The name for this idea which provides a visual method to improve the readability of nested code without using indentation. Contour Lines The name for the differently shaded lines within the NestView The image above shows the NestView used to help visualise an XML snippet. Though XML is used for this illustration, any other code syntax that uses nesting could have been used for this illustration. An Overview: The contour lines are shaded (as in a heatmap) to convey nesting level The contour lines are angled to show when a nesting level is being either opened or closed. A contour line links the start of a nesting level to the corresponding end. The combined width of contour lines give a visual impression of nesting level, in addition to the heatmap. The width of the NestView may be manually resizable, but should not change as the code changes. Contour lines can either be compressed or truncated to keep acheive this. Blank lines are sometimes used code to break up text into more digestable chunks. Such lines could trigger special behaviour in the NestView. For example the heatmap could be reset or a background color contour line used, or both. One or more contour lines associated with the currently selected code can be highlighted. The contour line associated with the selected code level would be emphasized the most, but other contour lines could also 'light up' in addition to help highlight the containing nested group Different behaviors (such as code folding or code selection) can be associated with clicking/double-clicking on a Contour Line. Different parts of a contour line (leading, middle or trailing edge) may have different dynamic behaviors associated. Tooltips can be shown on a mouse hover event over a contour line The NestView is updated continously as the code is edited. Where nesting is not well-balanced assumptions can be made where the nesting level should end, but the associated temporary contour lines must be highlighted in some way as a warning. Drag and drop behaviors of Contour Lines can be supported. Behaviour may vary according to the part of the contour line being dragged. Features commonly found in the left margin such as line numbering and colour highlighting for errors and change state could overlay the NestView. Additional Functionality The proposal addresses a range of additional issues - many are outside the scope of the original question, but a useful side-effect. Visually linking the start and end of a nested region The contour lines connect the start and end of each nested level Highlighting the context of the currently selected line As code is selected, the associated nest-level in the NestView can be highlighted Differentiating between code regions at the same nesting level In the case of XML different hues could be used for different namespaces. Programming languages (such as c#) support named regions that could be used in a similar way. Dividing areas within a nesting area into different visual blocks Extra lines are often inserted into code to aid readability. Such empty lines could be used to reset the saturation level of the NestView's contour lines. Multi-Column Code View Code without indentation makes the use of a multi-column view more effective because word-wrap or horizontal scrolling is less likely to be required. In this view, once code has reach the bottom of one column, it flows into the next one: Usage beyond merely providing a visual aid As proposed in the overview, the NestView could provide a range of editing and selection features which would be broadly in line with what is expected from a TreeView control. The key difference is that a typical TreeView node has 2 parts: an expander and the node icon. A NestView contour line can have as many as 3 parts: an opener (sloping), a connector (vertical) and a close (sloping). On Indentation The NestView presented alongside non-indented code complements, but is unlikely to replace, the conventional indented code view. It's likely that any solutions adopting a NestView, will provide a method to switch seamlessly between indented and non-indented code views without affecting any of the code text itself - including whitespace characters. One technique for the indented view would be 'Virtual Formatting' - where a dynamic left-margin is used in lieu of tab or space characters. The same nesting-level data used to dynamically render the NestView could also used for the more conventional-looking indented view. Printing Indentation will be important for the readability of printed code. Here, the absence of tab/space characters and a dynamic left-margin means that the text can wrap at the right-margin and still maintain the integrity of the indented view. Line numbers can be used as visual markers that indicate where code is word-wrapped and also the exact position of indentation: Screen Real-Estate: Flat Vs Indented Addressing the question of whether the NestView uses up valuable screen real-estate: Contour lines work well with a width the same as the code editor's character width. A NestView width of 12 character widths can therefore accommodate 12 levels of nesting before contour lines are truncated/compressed. If an indented view uses 3 character-widths for each nesting level then space is saved until nesting reaches 4 levels of nesting, after this nesting level the flat view has a space-saving advantage that increases with each nesting level. Note: A minimum indentation of 4 character widths is often recommended for code, however XML often manages with less. Also, Virtual Formatting permits less indentation to be used because there's no risk of alignment issues A comparison of the 2 views is shown below: Based on the above, its probably fair to conclude that view style choice will be based on factors other than screen real-estate. The one exception is where screen space is at a premium, for example on a Netbook/Tablet or when multiple code windows are open. In these cases, the resizable NestView would seem to be a clear winner. Use Cases Examples of real-world examples where NestView may be a useful option: Where screen real-estate is at a premium a. On devices such as tablets, notepads and smartphones b. When showing code on websites c. When multiple code windows need to be visible on the desktop simultaneously Where consistent whitespace indentation of text within code is a priority For reviewing deeply nested code. For example where sub-languages (e.g. Linq in C# or XPath in XSLT) might cause high levels of nesting. Accessibility Resizing and color options must be provided to aid those with visual impairments, and also to suit environmental conditions and personal preferences: Compatability of edited code with other systems A solution incorporating a NestView option should ideally be capable of stripping leading tab and space characters (identified as only having a formatting role) from imported code. Then, once stripped, the code could be rendered neatly in both the left-justified and indented views without change. For many users relying on systems such as merging and diff tools that are not whitespace-aware this will be a major concern (if not a complete show-stopper). Other Works: Visualisation of Overlapping Markup Published research by Wendell Piez, dated from 2004, addresses the issue of the visualisation of overlapping markup, specifically LMNL. This includes SVG graphics with significant similarities to the NestView proposal, as such, they are acknowledged here. The visual differences are clear in the images (below), the key functional distinction is that NestView is intended only for well-nested XML or code, whereas Wendell Piez's graphics are designed to represent overlapped nesting. The graphics above were reproduced - with kind permission - from http://www.piez.org Sources: Towards Hermenutic Markup Half-steps toward LMNL

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