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  • How can I repair my USB drive?

    - by yurko
    USB drive is in read only state and I can't repair it. First of all I tried erase it using dd: root@yurko-laptop:/home/yurko-laptop# ls -l /dev/disk/by-id | grep usb lrwxrwxrwx 1 root root 9 ??? 18 23:45 usb-Generic_Flash_Disk_C173828A-0:0 -> ../../sdb lrwxrwxrwx 1 root root 10 ??? 18 23:45 usb-Generic_Flash_Disk_C173828A-0:0-part1 -> ../../sdb1 root@yurko-laptop:/home/yurko-laptop# dd if=/dev/zero of=/dev/sdb dd: ?????? ? «/dev/sdb»: ?? ?????????? ????????? ????? 8257537+0 ??????? ??????? 8257536+0 ??????? ???????? ??????????? 4227858432 ????? (4,2 GB), 942,633 c, 4,5 MB/c After that I wanted to create new filesystem using fdisk: root@yurko-laptop:/home/yurko-laptop# fdisk /dev/sdb You will not be able to write the partition table. WARNING: DOS-compatible mode is deprecated. It's strongly recommended to switch off the mode (command 'c') and change display units to sectors (command 'u'). Command (m for help): p Disk /dev/sdb: 4227 MB, 4227858432 bytes 4 heads, 63 sectors/track, 32768 cylinders Units = cylinders of 252 * 512 = 129024 bytes Sector size (logical/physical): 512 bytes / 512 bytes I/O size (minimum/optimal): 512 bytes / 512 bytes Disk identifier: 0x00000000 Device Boot Start End Blocks Id System /dev/sdb1 18 32768 4126596 b W95 FAT32 Command (m for help): fdisk showed that the partition still exists and I can't write the partition table. I tried to delete the existing partition: Command (m for help): d Selected partition 1 Command (m for help): w Unable to write /dev/sdb root@yurko-laptop:/home/yurko-laptop# Why am I not be able to write the partition table? Does it mean that some hardware failure occurred? And is it possible to repair the current USB drive? I've tried to use hdparm and it showed that the readonly flag is on: root@yurko-laptop:/home/yurko-laptop# hdparm /dev/sdb /dev/sdb: SG_IO: bad/missing sense data, sb[]: f0 00 05 00 00 00 00 0a 00 00 00 00 26 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 multcount = 0 (off) readonly = 1 (on) readahead = 256 (on) geometry = 1016/131/62, sectors = 8257536, start = 0

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  • File/folder permissions and groups on Linux with Apache

    - by phobia
    I'm trying to learn about permissions on linux webserver with apache. Some clues to the system: The server I have to play around with is Fedora based. Apache runs as apache:apache. To allow for e.g. php to write to a file the file needs to be chmod 777. 755 is not sufficiant. What I'm wondering is basically how set up permissions like they should be on e.g. a "shared web host". My main problem is that if I set a permission so that one user cannot access anothers home folder, then apache can't read from the public_html folder either. To keep the users out I need to set chmod 700. But to let apache to read I need to have at least execute on world, so a 701 basically works, but won't let some users in. So I'm really stuck on what to do. Have been concidering adding the apache user to the frous grours below to avoid having to add the world execute flag, but is that a bad thing? Should it be the other way around, the users in the groups below should also be in the apache group? I was aiming at having 4 groups: 1. webapp same as dev_int, but is the only one that can go inside the webapp/live folder to e.g. do an update from the repo. 2. dev_int can read,write and execute everything in the "web root", including the two below, but nothing outside of the web root 3. dev_ext can read write and execute in all client folders, but cannot access anything outside of the webapp root 4. clientsBasic ftp accounts. Has a home folder with a public_html, but cannot access any other home folders An example of folder structure: webroot    no users in the aforementioned groups can go outside of here some_project    :dev_int only webapp live    :webapp only staging    :dev_int and :dev_ext clients    :dev_int and :dev_ext client_1    :dev_int, :dev_ext and client1:clients public_html dev developer_1    developer_1:dev_int OR :dev_ext public_html

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  • Write STDOUT & STDERR to a logfile, also write STDERR to screen

    - by Stefan Lasiewski
    I would like to run several commands, and capture all output to a logfile. I also want to print any errors to the screen (or optionally mail the output to someone). Here's an example. The following command will run three commands, and will write all output (STDOUT and STDERR) into a single logfile. { command1 && command2 && command3 ; } > logfile.log 2>&1 Here is what I want to do with the output of these commands: STDERR and STDOUT for all commands goes to a logfile, in case I need it later--- I usually won't look in here unless there are problems. Print STDERR to the screen (or optionally, pipe to /bin/mail), so that any error stands out and doesn't get ignored. It would be nice if the return codes were still usable, so that I could do some error handling. Maybe I want to send email if there was an error, like this: { command1 && command2 && command3 ; } logfile.log 2&1 || mailx -s "There was an error" [email protected] The problem I run into is that STDERR loses context during I/O redirection. A '2&1' will convert STDERR into STDOUT, and therefore I cannot view errors if I do 2 error.log Here are a couple juicier examples. Let's pretend that I am running some familiar build commands, but I don't want the entire build to stop just because of one error so I use the '--keep-going' flag. { ./configure && make --keep-going && make install ; } > build.log 2>&1 Or, here's a simple (And perhaps sloppy) build and deploy script, which will keep going in the event of an error. { ./configure && make --keep-going && make install && rsync -av --keep-going /foo devhost:/foo} > build-and-deploy.log 2>&1 I think what I want involves some sort of Bash I/O Redirection, but I can't figure this out.

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  • Why MySQL sat for 2 minutes doing nothing?

    - by Alex R
    This was a one-time thing, not reproducible... But I saved the show innodb status output. Can anybody tell what's going on here? The simple insert took almost 3 minutes to complete. | InnoDB | | ===================================== 110201 15:58:10 INNODB MONITOR OUTPUT ===================================== Per second averages calculated from the last 34 seconds ---------- SEMAPHORES ---------- OS WAIT ARRAY INFO: reservation count 11963, signal count 11766 --Thread 1824 has waited at .\btr\btr0cur.c line 443 for 118.00 seconds the sema phore: S-lock on RW-latch at 09D6453C created in file .\buf\buf0buf.c line 550 a writer (thread id 1824) has reserved it in mode wait exclusive number of readers 1, waiters flag 1 Last time read locked in file .\buf\buf0flu.c line 599 Last time write locked in file .\btr\btr0cur.c line 443 Mutex spin waits 0, rounds 527817, OS waits 7133 RW-shared spins 2532, OS waits 1226; RW-excl spins 1652, OS waits 1118 ------------ TRANSACTIONS ------------ Trx id counter 0 95830 Purge done for trx's n:o < 0 95814 undo n:o < 0 0 History list length 11 LIST OF TRANSACTIONS FOR EACH SESSION: ---TRANSACTION 0 0, not started, OS thread id 3704 MySQL thread id 551, query id 2702112 localhost 127.0.0.1 root show innodb status ---TRANSACTION 0 95829, not started, OS thread id 3132 MySQL thread id 534, query id 2702020 localhost 127.0.0.1 root ---TRANSACTION 0 95828, not started, OS thread id 3152 MySQL thread id 527, query id 2701973 localhost 127.0.0.1 root ---TRANSACTION 0 95827, ACTIVE 118 sec, OS thread id 1824 inserting, thread decl ared inside InnoDB 500 mysql tables in use 1, locked 1 1 lock struct(s), heap size 320, 0 row lock(s) MySQL thread id 526, query id 2701972 localhost 127.0.0.1 root update INSERT INTO log_searchcriteria (userid,search_criteria,date,search_type) VALUES ( NAME_CONST('userid',NULL), NAME_CONST('search_criteria',_latin1' SELECT SQL_C ALC_FOUND_ROWS idx_search.CTCX_LATITUDE, idx_search.CTCX_LONGITUDE, idx_search.b uilding_id, idx_search.LN_LIST_NUMBER, idx_search.LP_LIST_PRICE, idx_search.HSN_ ADRESS_HOUSE_NUMBER, idx_search.STR_ADDRESS_STREET, idx_search.CP_ADDRESS_COMPAS S_POINT, idx_search.UN_UNIT, idx_search.CIT_CITY, idx_search.ZP_ZIP_CODE, idx_se arch.AR_AREA_NAME, idx_search.BR_BEDROOMS, idx_search.BTH_BATHS, idx_search.ST_S TATUS, idx_search.CTCX_STYLE_TYPE, idx_s -------- FILE I/O -------- I/O thread 0 state: wait Windows aio (insert buffer thread) I/O thread 1 state: wait Windows aio (log thread) I/O thread 2 state: wait Windows aio (read thread) I/O thread 3 state: wait Windows aio (write thread) Pending normal aio reads: 0, aio writes: 1, ibuf aio reads: 0, log i/o's: 0, sync i/o's: 0 Pending flushes (fsync) log: 0; buffer pool: 0 151006 OS file reads, 120758 OS file writes, 6844 OS fsyncs 0.00 reads/s, 0 avg bytes/read, 0.00 writes/s, 0.00 fsyncs/s ------------------------------------- INSERT BUFFER AND ADAPTIVE HASH INDEX ------------------------------------- Ibuf: size 1, free list len 5, seg size 7, 24664 inserts, 24664 merged recs, 4612 merges Hash table size 553253, node heap has 629 buffer(s) 0.00 hash searches/s, 0.00 non-hash searches/s --- LOG --- Log sequence number 5 2318193115 Log flushed up to 5 2318193115 Last checkpoint at 5 2318129891 0 pending log writes, 0 pending chkp writes 3036 log i/o's done, 0.00 log i/o's/second ---------------------- BUFFER POOL AND MEMORY ---------------------- Total memory allocated 213459462; in additional pool allocated 1720192 Dictionary memory allocated 240416 Buffer pool size 8192 Free buffers 0 Database pages 7563 Modified db pages 18 Pending reads 0 Pending writes: LRU 0, flush list 18, single page 0 Pages read 150973, created 28788, written 115137 0.00 reads/s, 0.00 creates/s, 0.00 writes/s No buffer pool page gets since the last printout -------------- ROW OPERATIONS -------------- 1 queries inside InnoDB, 0 queries in queue 1 read views open inside InnoDB Main thread id 2992, state: flushing buffer pool pages Number of rows inserted 794294, updated 89203, deleted 13698, read 1453084305 0.00 inserts/s, 0.00 updates/s, 0.00 deletes/s, 0.00 reads/s ---------------------------- END OF INNODB MONITOR OUTPUT ============================ Thanks

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  • HP UX can not boot from Ignite Tape

    - by Spirit
    We have hp rp2470 server running hp-ux 11.00, with LVM mirroring. As for redundancy we have second rp2470 same hw (same two processors, same ram, same two hdd’s, same number of lan cards). I want to clone first one to the second. For that purpose I am making ignite tape with the following command: make_tape_recovery -x inc_entire=vg00 Ignite tape finishes without problems. When I boot second server from this ignate tape, server is starting to boot, and ignite restore finishes without any errors, only few notes, which are normal. However vmunix is not booting and when restore finishes, it boot to ISL prompt. From this I cannot boot /stand/vmunix. I tried to run recovery shell but no success. When recovery shell ask to do frecover to restore critical files, then I receive error: frecover(5405): unable to open /dev/rmt/0m At first I thought that the problem might be in the difference of the firmware version of the servers: fw version of production server is: Firmware Version 43.50 and fw version of backup server is: Firmware Version 42.19 So i did a fw upgrade of my backup server so that both servers are v43.50, and tried a recovery but again cant boot the system. Next I did another archive tape with -I (Interactive) flag: make_tape_recovery -I -x inc_entire=vg00 and tried recovery with it, again no good. I cannot find any error or warnings on ignite log, and I cannot boot hpux. I am only on ISL prompt. This is what i've noticed on the gsp logs: ************* SYSTEM ALERT ************** SYSTEM NAME: mcnfwim1 DATE: 07/27/2003 TIME: 10:18:49 ALERT LEVEL: 6 = Boot possible, pending failure - action required REASON FOR ALERT SOURCE: 8 = I/O SOURCE DETAIL: 6 = disk SOURCE ID: 0 PROBLEM DETAIL: 0 = no problem detail LEDs: RUN ATTENTION FAULT REMOTE POWER FLASH OFF ON ON ON LED State: Boot Failed. Running non-OS code. Check Chassis and Console Logs for error messages. 0x00000060860010B0 00000000 00000000 - type 0 = Data Field Unused 0x58000860860010B0 00006706 1B0A1231 - type 11 = Timestamp 07/27/2003 10:18:49 And another gsp log: Log Entry # 3 : SYSTEM NAME: mcnfwim1 DATE: 07/27/2003 TIME: 10:12:20 ALERT LEVEL: 6 = Boot possible, pending failure - action required SOURCE: 8 = I/O SOURCE DETAIL: 6 = disk SOURCE ID: 0 PROBLEM DETAIL: 0 = no problem detail CALLER ACTIVITY: 1 = test STATUS: 0 CALLER SUBACTIVITY: 0B = implementation dependent REPORTING ENTITY TYPE: 0 = system firmware REPORTING ENTITY ID: 00 0x00000060860010B0 00000000 00000000 type 0 = Data Field Unused 0x58000860860010B0 00006706 1B0A0C14 type 11 = Timestamp 07/27/2003 10:12:20 Type CR for next entry, - CR for previous entry, Q CR to quit. Please note that I can not change anything on the production server. I can only make changes to the backup server. Any help is appreciated.

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  • Sendmail Tuning For Batch Mail Jobs

    - by Kyle Brandt
    I have a webservers that send out emails to a sendmail relay server as a batch job. The emails need to be accepted by the relay sendmail server as fast as possible, however, they do not need to go out (be relayed) very quickly. I am seeing a couple timeouts once and a while from the webserver trying to connect to the relay server. The load currently is about 30 emails a second for a couple minutes. There are quite a few tuning options for sendmail in the sendmail tuning guide. What I am focusing on now is the Delivery Mode: Delivery Mode There are a number of delivery modes that sendmail can operate in, set by the DeliveryMode ( d) configuration option. These modes specify how quickly mail will be delivered. Legal modes are: i deliver interactively (synchronously) b deliver in background (asynchronously) q queue only (don't deliver) d defer delivery attempts (don't deliver) There are tradeoffs. Mode i gives the sender the quickest feedback, but may slow down some mailers and is hardly ever necessary. Mode b delivers promptly but can cause large numbers of processes if you have a mailer that takes a long time to deliver a message. Mode q minimizes the load on your machine, but means that delivery may be delayed for up to the queue interval. Mode d is identical to mode q except that it also prevents lookups in maps including the -D flag from working during the initial queue phase; it is intended for ``dial on demand'' sites where DNS lookups might cost real money. Some simple error messages (e.g., host unknown during the SMTP protocol) will be delayed using this mode. Mode b is the usual default. If you run in mode q (queue only), d (defer), or b (deliver in background) sendmail will not expand aliases and follow .forward files upon initial receipt of the mail. This speeds up the response to RCPT commands. Mode i should not be used by the SMTP server. I currently have the CentOS default modes: Sendmail.cf: DeliveryMode=background Submit.cf: DeliveryMode=i Is sendmail.cf/mc for outgoing email from relay (to the intertubes) and sumbit.cf/mc for incoming eamil (from my webservers). Would it make sense to change the outgoing delivery mode to queue? If I did, what would the outbound email flow behave like? If this is the right thing to do, can anyone show me example mc configurations for this change? If it isn't, what recommendations are there for these constraints?

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  • Daemon process exiting when shell closes

    - by Pace
    I have a script which starts a daemon process and then sleeps for 20 seconds. If I run the script on SLES11 SP1 or RHEL6 then after the script exits the process is still running. If I run the script on SLES11 SP3 or RHEL6.3 then after the script exits the process is no longer running. The process continues to run for the entire 20 second sleep and is killed when the process exits. The script is run via expect so the script's entire shell exits with the process. Obviously if this wasn't a daemon it was starting I wouldn't be surprised. Also, I suspect the problem isn't the OS version as much as it is the difference in the way we've setup the newer servers (no idea what those differences are though, the older servers were set up years ago). During the 20 seconds the process runs if I do a ps I get the following: root 4699 1 0 15:14 pts/2 00:00:00 sudo -u openmq /opt/PacketPortal/openmq/default/bin/imqbrokerd -bgnd -autorestart -silent -port 7676 -Dimq.service.activelist=admin,ssljms -D openmq 4701 4699 0 15:14 pts/2 00:00:00 /bin/sh /opt/PacketPortal/openmq/default/bin/imqbrokerd -bgnd -autorestart -silent -port 7676 -Dimq.service.activelist=admin,ssljms -Dimq.ssl The fact that the parent process of 4699 is 1 seems to suggest to me that the process has been correctly daemonized. However, after the expect script exits both 4699 and 4701 are killed. What could be causing this? UPDATE I've printed the same output on the servers that work. During the 20 second sleep I get: openmq 18652 1 0 15:44 pts/1 00:00:00 /bin/sh /opt/PacketPortal/openmq/default/bin/imqbrokerd -bgnd -autorestart -silent -port 7676 -Dimq.service.activelist=admin,ssljms -Dimq.ssljms.tls.port=7680 openmq 18686 18652 8 15:44 pts/1 00:00:02 /usr/java/latest/bin/java -cp /opt/PacketPortal/openmq/default/bin/../lib/imqbroker.jar:/opt/PacketPortal/openmq/default/bin/../lib/imqutil.jar:/opt/PacketPortal/ope After the 20 second sleep I get: openmq 18652 1 0 15:44 ? 00:00:00 /bin/sh /opt/PacketPortal/openmq/default/bin/imqbrokerd -bgnd -autorestart -silent -port 7676 -Dimq.service.activelist=admin,ssljms -Dimq.ssljms.tls.port=7680 openmq 18686 18652 5 15:44 ? 00:00:02 /usr/java/latest/bin/java -cp /opt/PacketPortal/openmq/default/bin/../lib/imqbroker.jar:/opt/PacketPortal/openmq/default/bin/../lib/imqutil.jar:/opt/PacketPortal/ope After the script exits it disconnects the controlling terminal. I wonder why it doesn't do that on the newer servers. UPDATE Here is the section of the script that actually launches OpenMQ. The -bgnd flag is what is supposed to daemonize it. sudo -u openmq $IMQ_HOME/bin/$EXECUTABLE -bgnd $BROKER_OPTIONS $ARGS > /dev/null 2>&1 &

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  • Windows Server 2008 Software Raid 5 - Data integrity issues

    - by Fopedush
    I've got a server running Windows Server 2008 R2, with a (windows native) software raid-5 array. The array consists of 7x 1TB Western Digital RE3 and RE4 drives. I have offline backups of this array. The problem is this: I noticed a few days ago after copying a large file to the disk that there was an integrity issue with that file - it was a ~12GB file that I had downloaded via uTorrent. After moving it to the raid array, I used uTorrent to relocate the download location, and performed a re-check so I could seed it from that location. The recheck found that only 6308/6310 chunks of the copied file were intact. My next step was to write a quick powershell script that would copy files to the array, while performing a SHA1 hash of the original and resultant files and comparing them. Smaller files (100-1000MB) copied over just fine. When I started copying larger data (~15GB), I found that the hash check failed about 2/3rds of the time. The corrupt files had very, very small inconsistencies - less than .01%. I further eliminated the possibility of networking or client issues by placing this large file on the C:\ of the server, and copying it repeatedly from there to the array, seeing similar results. Copying the data via explorer, powershell, or the standard windows command prompt yield the same results. None of the copies fail or report any problems. The raid array itself is listed as healthy in disk management. After a few experiments, I shut down the server and ran memtest overnight. No errors were detected. A basic run of chkdsk found no problems, but I did not use the /R flag, as I was unsure how that might affect a software raid-5 volume. I next ran Crystal Disk Info to check the smart data on the drives - but found that CDI only detected 5 out of 7 of the disks in the array. I have no idea why. Nevertheless, CDI shows the following "caution" flags on a single one of the drives: 05 199 199 140 000000000001 Reallocated Sectors Count C5 200 200 __0 000000000001 Current Pending Sector Count Which is a little bit alarming, but I don't really know what to do with the information. I hardly feel like one reallocated sector could be causing this. At this point, I'm looking for some guidance on what to do next. I need to determine the cause of this issue, but I'm hesitant to run chkdsk /R or any bootable disk health checkers because I'm afraid they might break the array. I've considered triggering a re-sync of the array, but I'm not actually sure how to do that without doing something silly like manually dropping a disk and then restoring it. Any advice that could help me ferret out the precise cause of this issue would be greatly appreciated.

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  • Suspected network performance issue on VirtualBox Ubuntu guest on Win7 host

    - by Adam
    I set up Ubuntu 12.04 in VirtualBox on the Win7 machine I was allocated on my new project. I am running Java, Eclipse, Tomcat to develop a large data-intensive application and I noticed that this application runs at half the speed of my colleague's identical machine, where he runs it all under Windows. I think I have narrowed down the performance issue to the network, after comparing and equalising all the Java VM settings with my colleague. Is there a ping test I can do or some other network diagnostic test to flag up any problems? To give some background, the network performance is confusing. Running a network speed test to my colleague's machine with iperf shows speeds of 6 Mb/s from my Ubuntu guest, and 90 Mb/s from the win7 host. Large downloads, e.g. the Java SDK, come down at about 1.2 MB/s on both the guest and the host. Pings are sub-1ms on the host, but 1.5ms on the guest. I also did a broadband speed test, and got 10Mb/s download speed on both, but the host has an upload speed of 10Mb/s but the guest only uploads at 3Mb/s. I've been trying to diagnose any MTU problems with ping -M do to identify any kind of packet fragmentation problem but it's progressing very slow because I don't have much experience in this area. From what I read on other people's networking issues with VB and Linux guests on Win7 hosts, I should be able to get the speed on the guest up to the same level as the host. I installed a fresh VM with Ubuntu again to see if I'd foobar'd it somehow, but I'm getting the same readings with iperf on the virgin installation. My setup is: Adapter 1: Intel PRO/1000 MT Desktop (NAT) Adapter 2: ditto (host-only adapter) eth0 Link encap:Ethernet HWaddr 08:00:27:0b:76:bf inet addr:10.0.2.15 Bcast:10.0.2.255 Mask:255.255.255.0 inet6 addr: fe80::a00:27ff:fe0b:76bf/64 Scope:Link UP BROADCAST RUNNING MULTICAST MTU:1500 Metric:1 RX packets:86236 errors:0 dropped:0 overruns:0 frame:0 TX packets:49369 errors:0 dropped:0 overruns:0 carrier:0 collisions:0 txqueuelen:1000 RX bytes:69163946 (69.1 MB) TX bytes:3530535 (3.5 MB) eth2 Link encap:Ethernet HWaddr 08:00:27:a3:26:b8 inet addr:192.168.56.101 Bcast:192.168.56.255 Mask:255.255.255.0 inet6 addr: fe80::a00:27ff:fea3:26b8/64 Scope:Link UP BROADCAST RUNNING MULTICAST MTU:1500 Metric:1 RX packets:59 errors:0 dropped:0 overruns:0 frame:0 TX packets:57 errors:0 dropped:0 overruns:0 carrier:0 collisions:0 txqueuelen:1000 RX bytes:9148 (9.1 KB) TX bytes:7648 (7.6 KB) lo Link encap:Local Loopback inet addr:127.0.0.1 Mask:255.0.0.0 inet6 addr: ::1/128 Scope:Host UP LOOPBACK RUNNING MTU:16436 Metric:1 RX packets:701 errors:0 dropped:0 overruns:0 frame:0 TX packets:701 errors:0 dropped:0 overruns:0 carrier:0 collisions:0 txqueuelen:0 RX bytes:66321 (66.3 KB) TX bytes:66321 (66.3 KB)

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  • Why did Intel drop the Itanium?

    - by Cole Johnson
    I was reading up on the history of the computer and I came along the IA-64 (Itanium) processors. They sounded really interesting and I was confused as to why Intel would decide to drop them. The ability to choose explicitly what 2 instructions you wanted to run in that cycle is a great idea, especially when writing your program in assembly, for example, a faster bootloader. The hundreds of registers should be convincing for any assembly programmer. You could essentially store all the functions variables in the registers if it doesn't call any other ones. The ability to do instructions like this: (qp) xor r1 = r2, r3 ; r1 = r2 XOR r3 (qp) xor r1 = (imm8), r3 ; r1 = (imm8) XOR r3 versus having to do: ; eax = r1 ; ebx = r2 ; ecx = r3 mov eax, ebx ; first put r2 into r1 xor eax, ecx ; then set r1 equivalent to r2 XOR r3 or ; SAME mov eax, (imm32) ; first put (imm32) into r1 xor eax, ecx ; then set r1 equivalent to (imm32) XOR r3 I heard it was because of no backwards x86 comparability, but couldn't thy be fixed by just adding the Pentium circuitry to it and just add a processor flag that would switch it to Itanium mode (like switching to Protected or Long mode) All the great things about it would have surly put them a giant leap ahead of AMD. Any ideas? Sadly this means you will need a very advanced compiler to do this. Or even one per specific model of the CPU. (E.g. a newer version of the Itanium with an extra feature would require different compiler). When I was working on a WinForms (target only had .NET 2.0) project in Visual Studio 2010, I had a compile target of IA-64. That means that there is a .NET runtime that was able to be compiled for IA-64 and a .NET runtime means Windows. Plus, Hamilton's answer mentions Windows NT. Having a full blown OS like Windows NT means that there is a compiler capable of generating IA-64 machine code.

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  • High CPU usage - symptoms moving from server to server after bouncing

    - by grt3kl
    First off, I apologize if I didn't include enough information to properly troubleshoot this issue. This sort of thing isn't my specialty, so it is a learning process. If there's something I need to provide, please let me know and I'll be happy to do what I can. The images associated with my question are at the bottom of this post. We are dealing with a clustered environment of four WebLogic 9.2 Java application servers. The cluster utilizes a round-robin load algorithm. Other details include: Java(TM) 2 Runtime Environment, Standard Edition (build 1.5.0_12-b04) BEA JRockit(R) (build R27.4.0-90_CR352234-91983-1.5.0_12-20071115-1605-linux-x86_64, compiled mode) Basically, I started looking at the servers' performance because our customers are seeing lots of lag at various times of the day. Our servers should easily handle the loads they are given, so it's not clear what's going on. Using HP Performance Manager, I generated some graphs that indicate that the CPU usage is completely out of whack. It seems that, at any given point, one or more of the servers has a CPU utilization of over 50%. I know this isn't particularly high, but I would say it is a red flag based on the CPU utilization of the other servers in the WebLogic cluster. Interesting things to note: The high CPU utilization was occurring only on server02 for several weeks. The server crashed (extremely rare; we are not sure if it's related to this) and upon starting it back up, the CPU utilization was normal on all 4 servers. We restarted all 4 managed servers and the application server (on server01) yesterday, on 2/28. As you can see, server03 and server04 picked up the behavior that was seen on server02 before. The CPU utilization is a Java process owned by the application user (appown). The number of transactions is consistent across all servers. It doesn't seem like any one server is actually handling more than another. If anyone has any ideas or can at least point me in the right direction, that would be great. Again, please let me know if there is any additional information I should post. Thanks!

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  • How can the Private Bytes of a process be significantly less than its effect on the system commit charge?

    - by bacar
    On a 64-bit Windows Server 2003, I can see using taskmgr or process explorer that the total commit charge is around 3.5GB, yet when I sum the Private Bytes consumed by each process (by running pslist -m and adding all values under the Priv column) the total comes in at 1.6GB. I know which process seems to be causing this (sqlservr.exe) as when I kill the process, the commit charge drops dramatically. However the process in question is consuming only ~220MB of Private Bytes yet killing the process drops the commit charge by ~1.6GB. How is this possible? How can the commit charge be so significantly greater than Private Bytes, which should represent the amount of committed memory? If some other factor contributes to the commit charge, what is that factor and how can I view its impact in process explorer? Note: I claim that I understand the difference between reserved and committed memory already: my investigations above relate specifically to Private Bytes which includes only committed memory and excludes reserved memory. the Virtual Size of the process in this case is over 4GB, but this should be irrelevant - Virtual Size in procexp represents reserved, not committed memory, and should not contribute to the commit charge. I'm particularly interested in generalised answers to this question: I'm assuming that if sqlservr.exe can behave in this way, that any process potentially could. Further Investigations I notice that pointing Sysinternals VMMap at this process reports a committed "Private Data" of 1.6GB despite Procexp's reported a Private Bytes of 220MB. This is particularly strange given that the documentation for this field in the "Windows® Sysinternals Administrator's Reference" states that: Private Data memory is memory that is allocated by VirtualAlloc and that is not further handled by the Heap Manager or the .NET runtime, or assigned to the Stack category... VMMap’s definition of “Private Data” is more granular than that of Process Explorer’s “private bytes.” Procexp’s “private bytes” includes all private committed memory belonging to the process. i.e. that VMMap's committed "Private Data" should be smaller than procexp's "Private Bytes". Also, after reading the 'Process committed memory' section of Mark Russinovich's excellent Pushing the Limits of Windows: Virtual Memory, he highlights two cases which won't show up in Private Bytes: File mapping views with copy-on-write semantics (however, according to VMMap there is no significant space allocated to Mapped Files). pagefile-backed virtual memory (however, I tried testlimit with the -l flag as suggested, and no significant memory is consumed by pagefile-backed sections)

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  • Too many Tunnel Adapter Interfaces

    - by Tomas Lycken
    If I open a command prompt on my machine and type ipconfig /all, I see lots of Tunnel adapter Local Area Connection* 9: Media state . . . . . . . . . . . . . : Media disconnected Connection-specific DNS Sufficx . . . : Description . . . . . . . . . . . . . : Microsoft 6to4 Adapter #5 Physical address. . . . . . . . . . . : 00-00-00-00-00-00-00-E0 DHCP Enabled. . . . . . . . . . . . . : No Autoconfiguration Enabled . . . . . . : Yes In fact, they're so many that my "real" adapters are pushed out of the stack, and can't be seen anymore. Is there any flag I can use on ipconfig to hide all virtual interfaces? Or is there some other way around this problem? Since they always say "Media disconnected" I suppose disabling could be an option, but if possible I'd rather not turn any functionality off. I just want to control what output I get from ipconfig. Also, I know these are related to IPv6 stuff. However, most of what I find on google merely states what these are, and that they're harmless - nothing about hiding/removing them.

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  • Nginx not working properly on subdomains [SOLVED]

    - by javipas
    I've been trying to setup a Sugar CRM instance. I've got a domain that has its main site on a server (www.domain.com) and I've created a subdomain (sugar.domain.com), but I wnat this subdomain to be hosted on another server. This second server has nginx installed, and there's a working WordPress blog there on a virtualhost, so I would need to setup a second site. To do this I've created the directory structure, and I've created a /etc/nginx/sites-enabled/sugar.domain.com configuration file that has the following: * server { listen 80; server_name sugar.domain.com *.domain.com; access_log /var/www/sugar/log/access.log; error_log /var/www/sugar/log/error.log info; location / { root /var/www/sugar; index index.php; } location ~ .php$ { fastcgi_split_path_info ^(.+\.php)(.*)$; fastcgi_pass backend; fastcgi_index index.php; fastcgi_param SCRIPT_FILENAME /var/www/sugar/$fastcgi_script_name; include fastcgi_params; fastcgi_param QUERY_STRING $query_string; fastcgi_param REQUEST_METHOD $request_method; fastcgi_param CONTENT_TYPE $content_type; fastcgi_param CONTENT_LENGTH $content_length; fastcgi_intercept_errors on; fastcgi_ignore_client_abort on; fastcgi_read_timeout 180; } ## Disable viewing .htaccess & .htpassword location ~ /\.ht { deny all; } } upstream backend { server 127.0.0.1:9000; } As far as I know, I need the *.domain.com parameter on the "server_name" flag, but something is crashing here: I get either a 403 Forbidden error, or I get PHP code (I can read the PHP file code in the browser, like normal text) that somehow is not executed. I've tried setting permissions to 755 inside the /var/www/sugar/ directory, and I've also set up the owner:group with a chown -R www-data:www-data /var/www/sugar/ The thing is, I don't now if my mistake is in the nginx site configuration, in my folder permissions, or in other place :( Could it be because of the main domain (www.domain.com) is hosted on other server? Do they have to be together necessarily?

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  • Nginx not working properly on subdomains

    - by javipas
    I've been trying to setup a Sugar CRM instance. I've got a domain that has its main site on a server (www.domain.com) and I've created a subdomain (sugar.domain.com), but I wnat this subdomain to be hosted on another server. This second server has nginx installed, and there's a working WordPress blog there on a virtualhost, so I would need to setup a second site. To do this I've created the directory structure, and I've created a /etc/nginx/sites-enabled/sugar.domain.com configuration file that has the following: * server { listen 80; server_name sugar.domain.com *.domain.com; access_log /var/www/sugar/log/access.log; error_log /var/www/sugar/log/error.log info; location / { root /var/www/sugar; index index.php; } location ~ .php$ { fastcgi_split_path_info ^(.+\.php)(.*)$; fastcgi_pass backend; fastcgi_index index.php; fastcgi_param SCRIPT_FILENAME /var/www/sugar/$fastcgi_script_name; include fastcgi_params; fastcgi_param QUERY_STRING $query_string; fastcgi_param REQUEST_METHOD $request_method; fastcgi_param CONTENT_TYPE $content_type; fastcgi_param CONTENT_LENGTH $content_length; fastcgi_intercept_errors on; fastcgi_ignore_client_abort on; fastcgi_read_timeout 180; } ## Disable viewing .htaccess & .htpassword location ~ /\.ht { deny all; } } upstream backend { server 127.0.0.1:9000; } As far as I know, I need the *.domain.com parameter on the "server_name" flag, but something is crashing here: I get either a 403 Forbidden error, or I get PHP code (I can read the PHP file code in the browser, like normal text) that somehow is not executed. I've tried setting permissions to 755 inside the /var/www/sugar/ directory, and I've also set up the owner:group with a chown -R www-data:www-data /var/www/sugar/ The thing is, I don't now if my mistake is in the nginx site configuration, in my folder permissions, or in other place :( Could it be because of the main domain (www.domain.com) is hosted on other server? Do they have to be together necessarily?

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  • Subversion 1.7.x and expat location in configure

    - by ditto
    I am running CentOS 6.3 64bit and DirectAdmin control panel. Currently I have installed Apache Subversion 1.6.19 without any problems. I have installed expat and expat-devel and neon-devel using yum. When installing Apache Subversion 1.6.19 this configure command works fine: ./configure --prefix=/usr --with-ssl --with-apxs=/usr/sbin/apxs --with-apr=/usr/bin/apr-config However when installing Apache Subversion 1.7.7 using the same configure command as above, I get this error after doing commmand "make": /etc/httpd/lib/libaprutil-1.so: undefined reference to `XML_StopParser' collect2: ld returned 1 exit status make: *** [subversion/svnadmin/svnadmin] Error 1 However I found out I can solve that problem by adding this into the configure command: --with-expat=includes:lib_search_dirs:libs So it then looks like this: ./configure --prefix=/usr --with-ssl --with-expat=includes:lib_search_dirs:libs --with-apxs=/usr/sbin/apxs --with-apr=/usr/bin/apr-config However that configure command then give this warning: configure: WARNING: Expat found amongst libraries used by APR-Util, but Subversion libraries might be needlessly linked against additional unused libraries. It can be avoided by specifying exact location of Expat in argument of --with-expat option. So I want to solve that. I have experimentet alot, but not been able to figure out how to "specifying exact location of Expat" in configure command, and how to find out what the location should be? However after a lot of searching I found this: http://subversion.tigris.org/issues/show_bug.cgi?id=3997 - that is a FreeBSD user saying this: Building Subversion 1.7.x on FreeBSD currently requires a configure flag: --with-expat=/usr/local/include:/usr/local/lib:expat As that is the default location of expat on that platform, it would be nice if configure detected it automatically. However I am not using FreeBSD, I am running CentOS 6.3 64bit. Also remember I said I have installed expat and expat-devel and neon-devel using yum. However I tried to use the expat/command path posted by the FreeBSD user, and it seems to work, it does not give errors when running configure command, and does not give errors when running "make". This is what I used then: ./configure --prefix=/usr --with-ssl --with-expat=/usr/local/include:/usr/local/lib:expat --with-apxs=/usr/sbin/apxs --with-apr=/usr/bin/apr-config But this server is a production server, and therfor I need your help to advice if this is also correct to run on a CentOS server? Is the following path in expat command correct on CentOS?: --with-expat=/usr/local/include:/usr/local/lib:expat If not, please advice what it should be changed to. Thanks in advance for any confirmation or help on this!

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  • cd Command Linux and Mystery Flags

    - by Jason R. Mick
    Platform: CentOS 6.2 Shell:tcsh I'm playing around with cd for a BASH script, and noticed the wondrous cd - option, but was left with many questions... Why the cd -? Isn't this redundant with cd ..? EDIT [As FatalError points out, these two commands don't do the same things... so the answer is "no"] Can you delve farther back into your history with - flag, a la in a browser? e.g. When I type cd -, it takes me to my previous directory, but then if I enter that command again, it takes me to the directory I just came from, creating a sort of loop. Is a shorthand for going back multiple levels supported?EDITI realize I can go back with cd .., but was hoping this could be a gateway to a less verbose deep back, e.g. cd -3 vs. cd ../../../ ... hopefully that clarifies what I'm asking....EDIT2As to the current feedback, while .. is a special directory, I don't see a reason why the built-in cd to the terminal couldn't use a shorthand for ../../ ... ../ e.g. cd ..5 or why the built-in also couldn't have a history (a la auto pushd/popd) that could be turned on and used like cd -3. I get that this could be somewhat of security/privacy risk, but I don't see how it's any worst than storing a command history, which most shells/terminals do. The manpage for cd, accessible via man cd and help cd (it's the same for either command), only lists -L and -P flags. However when I type in cd --help it outputs Usage: cd [-plvn][-|<dir>].. Am I right in assuming the other flags and the - (back) option are nonstandard? What are the -n and -v flags for? Both seem to take me back to my home directory, that's all I've been able to figure out via experimentation. A quick read on web resources [1][2] offered just the same sort of info that the man page did and didn't answer my questions. Note: The second Linux-centric resource above claimed cd only had two options (obviously not true in current CentOS) hence my assumption that this functionality could be non-standard.

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  • My USB bootable thumb drive, no longer boots on a single particular computer on which it previously worked

    - by LiamMeron
    I created a bootable drive, booting CrunchBang, about 2 months ago. About a month ago, I booted into it on another laptop. After shutting down, I have been unable to get it to boot on my own laptop, despite having worked previously. I can still boot into it on my desktop, and can also boot into it on all other computers that I have tried. If I plug it in when I am running Ubuntu, the Home and / folders mount, the only error being that for some reason my PC likes to try and mount the swap partition too, which naturally, gives an error. The BIOS settings are all still setup to boot from USB. When I boot, all I get is a black screen with the white cursor, it will stay there for as long as I leave it. If it is worth anything, I have GRUB loader installed on the drive. The partitions look a little odd, but I am rather unfamiliar with how they are dealt with. The first partition, /, is sdb1 and has the bootable flag. The second partition is an extended system, and is sdb2. The third partition, according to GParted, seems to be nested under the second. This is the swap partition, and it is sdb5 The fourth partition is my home partition and is sdb6 and is also nested under the extended system. The first and fourth partitions are ext4. I don't know if that helps, but the more info, the better accuracy, generally. Thanks. EDIT: I tried reinstalling GRUB on the drive, but that didn't work. However, when I reinstalled GRUB on my laptop, I did it with my USB thumbdrive in. This caused the GRUB updater to find the /boot folder and add the proper details into my laptop's GRUB loader. I could log into CrunchBang from my laptop's GRUB but I was still unable to boot directly to the drive. It looked like my BIOS is unable to find the bootloader. I am unable to install GRUB to a partition I just created, a /boot partition at the start of the drive, GRUB just doesn't allow it. I think I'm going to have to reinstall #! on my drive, which won't be a great loss as I haven't put much time into it.

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  • Xml failing to deserialise

    - by Carnotaurus
    I call a method to get my pages [see GetPages(String xmlFullFilePath)]. The FromXElement method is supposed to deserialise the LitePropertyData elements to strongly type LitePropertyData objects. Instead it fails on the following line: return (T)xmlSerializer.Deserialize(memoryStream); and gives the following error: <LitePropertyData xmlns=''> was not expected. What am I doing wrong? I have included the methods that I call and the xml data: public static T FromXElement<T>(this XElement xElement) { using (var memoryStream = new MemoryStream(Encoding.ASCII.GetBytes(xElement.ToString()))) { var xmlSerializer = new XmlSerializer(typeof(T)); return (T)xmlSerializer.Deserialize(memoryStream); } } public static List<LitePageData> GetPages(String xmlFullFilePath) { XDocument document = XDocument.Load(xmlFullFilePath); List<LitePageData> results = (from record in document.Descendants("row") select new LitePageData { Guid = IsValid(record, "Guid") ? record.Element("Guid").Value : null, ParentID = IsValid(record, "ParentID") ? Convert.ToInt32(record.Element("ParentID").Value) : (Int32?)null, Created = Convert.ToDateTime(record.Element("Created").Value), Changed = Convert.ToDateTime(record.Element("Changed").Value), Name = record.Element("Name").Value, ID = Convert.ToInt32(record.Element("ID").Value), LitePageTypeID = IsValid(record, "ParentID") ? Convert.ToInt32(record.Element("ParentID").Value) : (Int32?)null, Html = record.Element("Html").Value, FriendlyName = record.Element("FriendlyName").Value, Properties = record.Element("Properties") != null ? record.Element("Properties").Element("LitePropertyData").FromXElement<List<LitePropertyData>>() : new List<LitePropertyData>() }).ToList(); return results; } Here is the xml: <?xml version="1.0" encoding="utf-8"?> <root> <rows> <row> <ID>1</ID> <ImageUrl></ImageUrl> <Html>Home page</Html> <Created>01-01-2012</Created> <Changed>01-01-2012</Changed> <Name>Home page</Name> <FriendlyName>home-page</FriendlyName> </row> <row xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xmlns:xsd="http://www.w3.org/2001/XMLSchema"> <Guid>edeaf468-f490-4271-bf4d-be145bc6a1fd</Guid> <ID>8</ID> <Name>Unused</Name> <ParentID>1</ParentID> <Created>2006-03-25T10:57:17</Created> <Changed>2012-07-17T12:24:30.0984747+01:00</Changed> <ChangedBy /> <LitePageTypeID xsi:nil="true" /> <Html> What is the purpose of this option? This option checks the current document for accessibility issues. It uses Bobby to provide details of whether the current web page conforms to W3C's WCAG criteria for web content accessibility. Issues with Bobby and Cynthia Bobby and Cynthia are free services that supposedly allow a user to expose web page accessibility barriers. It is something of a guide but perhaps a blunt instrument. I tested a few of the webpages that I have designed. Sure enough, my pages fall short and for good reason. I am not about to claim that Bobby and Cynthia are useless. Although it is useful and commendable tool, it project appears to be overly ambitious. Nevertheless, let me explain my issues with Bobby and Cynthia: First, certain W3C standards for designing web documents are often too strict and unworkable. For instance, in some versions W3C standards for HTML, certain tags should not include a particular attribute, whereas in others they are requisite if the document is to be ???well-formed???. The standard that a designer chooses is determined usually by the requirements specification document. This specifies which browsers and versions of those browsers that the web page is expected to correctly display. Forcing a hypertext document to conform strictly to a specific W3C standard for HTML is often no simple task. In the worst case, it cannot conform without losing some aesthetics or accessibility functionality. Second, the case of HTML documents is not an isolated case. Standards for XML, XSL, JavaScript, VBScript, are analogous. Therefore, you might imagine the problems when you begin to combine these languages and formats in an HTML document. Third, there is always more than one way to skin a cat. For example, Bobby and Cynthia may flag those IMG tags that do not contain a TITLE attribute. There might be good reason that a web developer chooses not to include the title attribute. The title attribute has a limited numbers of characters and does not support carriage returns. This is a major defect in the design of this tag. In fact, before the TITLE attribute was supported, there was the ALT attribute. Most browsers support both, yet they both perform a similar function. However, both attributes share the same deficiencies. In practice, there are instances where neither attribute would be used. Instead, for example, the developer would write some JavaScript or VBScript to circumvent these deficiencies. The concern is that Bobby and Cynthia would not notice this because it does not ???understand??? what the JavaScript does. </Html> <FriendlyName>unused</FriendlyName> <IsDeleted>false</IsDeleted> <Properties> <LitePropertyData> <Description>Image for the page</Description> <DisplayEditUI>true</DisplayEditUI> <OwnerTab>1</OwnerTab> <DisplayName>Image Url</DisplayName> <FieldOrder>1</FieldOrder> <IsRequired>false</IsRequired> <Name>ImageUrl</Name> <IsModified>false</IsModified> <ParentPageID>3</ParentPageID> <Type>String</Type> <Value xsi:type="xsd:string">smarter.jpg</Value> </LitePropertyData> <LitePropertyData> <Description>WebItemApplicationEnum</Description> <DisplayEditUI>true</DisplayEditUI> <OwnerTab>1</OwnerTab> <DisplayName>WebItemApplicationEnum</DisplayName> <FieldOrder>1</FieldOrder> <IsRequired>false</IsRequired> <Name>WebItemApplicationEnum</Name> <IsModified>false</IsModified> <ParentPageID>3</ParentPageID> <Type>Number</Type> <Value xsi:type="xsd:string">1</Value> </LitePropertyData> </Properties> <Seo> <Author>Phil Carney</Author> <Classification /> <Copyright>Carnotaurus</Copyright> <Description> What is the purpose of this option? This option checks the current document for accessibility issues. It uses Bobby to provide details of whether the current web page conforms to W3C's WCAG criteria for web content accessibility. Issues with Bobby and Cynthia Bobby and Cynthia are free services that supposedly allow a user to expose web page accessibility barriers. It is something of a guide but perhaps a blunt instrument. I tested a few of the webpages that I have designed. Sure enough, my pages fall short and for good reason. I am not about to claim that Bobby and Cynthia are useless. Although it is useful and commendable tool, it project appears to be overly ambitious. Nevertheless, let me explain my issues with Bobby and Cynthia: First, certain W3C standards for designing web documents are often too strict and unworkable. For instance, in some versions W3C standards for HTML, certain tags should not include a particular attribute, whereas in others they are requisite if the document is to be ???well-formed???. The standard that a designer chooses is determined usually by the requirements specification document. This specifies which browsers and versions of those browsers that the web page is expected to correctly display. Forcing a hypertext document to conform strictly to a specific W3C standard for HTML is often no simple task. In the worst case, it cannot conform without losing some aesthetics or accessibility functionality. Second, the case of HTML documents is not an isolated case. Standards for XML, XSL, JavaScript, VBScript, are analogous. Therefore, you might imagine the problems when you begin to combine these languages and formats in an HTML document. Third, there is always more than one way to skin a cat. For example, Bobby and Cynthia may flag those IMG tags that do not contain a TITLE attribute. There might be good reason that a web developer chooses not to include the title attribute. The title attribute has a limited numbers of characters and does not support carriage returns. This is a major defect in the design of this tag. In fact, before the TITLE attribute was supported, there was the ALT attribute. Most browsers support both, yet they both perform a similar function. However, both attributes share the same deficiencies. In practice, there are instances where neither attribute would be used. Instead, for example, the developer would write some JavaScript or VBScript to circumvent these deficiencies. The concern is that Bobby and Cynthia would not notice this because it does not ???understand??? what the JavaScript does. </Description> <Keywords>unused</Keywords> <Title>unused</Title> </Seo> </row> </rows> </root> EDIT Here are my entities: public class LitePropertyData { public virtual string Description { get; set; } public virtual bool DisplayEditUI { get; set; } public int OwnerTab { get; set; } public virtual string DisplayName { get; set; } public int FieldOrder { get; set; } public bool IsRequired { get; set; } public string Name { get; set; } public virtual bool IsModified { get; set; } public virtual int ParentPageID { get; set; } public LiteDataType Type { get; set; } public object Value { get; set; } } [Serializable] public class LitePageData { public String Guid { get; set; } public Int32 ID { get; set; } public String Name { get; set; } public Int32? ParentID { get; set; } public DateTime Created { get; set; } public String CreatedBy { get; set; } public DateTime Changed { get; set; } public String ChangedBy { get; set; } public Int32? LitePageTypeID { get; set; } public String Html { get; set; } public String FriendlyName { get; set; } public Boolean IsDeleted { get; set; } public List<LitePropertyData> Properties { get; set; } public LiteSeoPageData Seo { get; set; } /// <summary> /// Saves the specified XML full file path. /// </summary> /// <param name="xmlFullFilePath">The XML full file path.</param> public void Save(String xmlFullFilePath) { XDocument doc = XDocument.Load(xmlFullFilePath); XElement demoNode = this.ToXElement<LitePageData>(); demoNode.Name = "row"; doc.Descendants("rows").Single().Add(demoNode); doc.Save(xmlFullFilePath); } }

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  • ERROR: Linux route add command failed: external program exited with error status: 4

    - by JohnMerlino
    A remote machine running fedora uses openvpn, and multiple developers were successfully able to connect to it via their client openvpn. However, I am running Ubuntu 12.04 and I am having trouble connecting to the server via vpn. I copied ca.crt, home.key, and home.crt from the server to my local machine to /etc/openvpn folder. My client.conf file looks like this: ############################################## # Sample client-side OpenVPN 2.0 config file # # for connecting to multi-client server. # # # # This configuration can be used by multiple # # clients, however each client should have # # its own cert and key files. # # # # On Windows, you might want to rename this # # file so it has a .ovpn extension # ############################################## # Specify that we are a client and that we # will be pulling certain config file directives # from the server. client # Use the same setting as you are using on # the server. # On most systems, the VPN will not function # unless you partially or fully disable # the firewall for the TUN/TAP interface. ;dev tap dev tun # Windows needs the TAP-Win32 adapter name # from the Network Connections panel # if you have more than one. On XP SP2, # you may need to disable the firewall # for the TAP adapter. ;dev-node MyTap # Are we connecting to a TCP or # UDP server? Use the same setting as # on the server. ;proto tcp proto udp # The hostname/IP and port of the server. # You can have multiple remote entries # to load balance between the servers. remote xx.xxx.xx.130 1194 ;remote my-server-2 1194 # Choose a random host from the remote # list for load-balancing. Otherwise # try hosts in the order specified. ;remote-random # Keep trying indefinitely to resolve the # host name of the OpenVPN server. Very useful # on machines which are not permanently connected # to the internet such as laptops. resolv-retry infinite # Most clients don't need to bind to # a specific local port number. nobind # Downgrade privileges after initialization (non-Windows only) ;user nobody ;group nogroup # Try to preserve some state across restarts. persist-key persist-tun # If you are connecting through an # HTTP proxy to reach the actual OpenVPN # server, put the proxy server/IP and # port number here. See the man page # if your proxy server requires # authentication. ;http-proxy-retry # retry on connection failures ;http-proxy [proxy server] [proxy port #] # Wireless networks often produce a lot # of duplicate packets. Set this flag # to silence duplicate packet warnings. ;mute-replay-warnings # SSL/TLS parms. # See the server config file for more # description. It's best to use # a separate .crt/.key file pair # for each client. A single ca # file can be used for all clients. ca ca.crt cert home.crt key home.key # Verify server certificate by checking # that the certicate has the nsCertType # field set to "server". This is an # important precaution to protect against # a potential attack discussed here: # http://openvpn.net/howto.html#mitm # # To use this feature, you will need to generate # your server certificates with the nsCertType # field set to "server". The build-key-server # script in the easy-rsa folder will do this. ns-cert-type server # If a tls-auth key is used on the server # then every client must also have the key. ;tls-auth ta.key 1 # Select a cryptographic cipher. # If the cipher option is used on the server # then you must also specify it here. ;cipher x # Enable compression on the VPN link. # Don't enable this unless it is also # enabled in the server config file. comp-lzo # Set log file verbosity. verb 3 # Silence repeating messages ;mute 20 But when I start server and look in /var/log/syslog, I notice the following error: May 27 22:13:51 myuser ovpn-client[5626]: /sbin/route add -net 10.27.12.1 netmask 255.255.255.252 gw 10.27.12.37 May 27 22:13:51 myuser ovpn-client[5626]: ERROR: Linux route add command failed: external program exited with error status: 4 May 27 22:13:51 myuser ovpn-client[5626]: /sbin/route add -net 172.27.12.0 netmask 255.255.255.0 gw 10.27.12.37 May 27 22:13:51 myuser ovpn-client[5626]: /sbin/route add -net 10.27.12.1 netmask 255.255.255.255 gw 10.27.12.37 And I am unable to connect to the server via openvpn: $ ssh [email protected] ssh: connect to host xxx.xx.xx.130 port 22: No route to host What may I be doing wrong?

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  • How to Modify Data Security in Fusion Applications

    - by Elie Wazen
    The reference implementation in Fusion Applications is designed with built-in data security on business objects that implement the most common business practices.  For example, the “Sales Representative” job has the following two data security rules implemented on an “Opportunity” to restrict the list of Opportunities that are visible to an Sales Representative: Can view all the Opportunities where they are a member of the Opportunity Team Can view all the Opportunities where they are a resource of a territory in the Opportunity territory team While the above conditions may represent the most common access requirements of an Opportunity, some customers may have additional access constraints. This blog post explains: How to discover the data security implemented in Fusion Applications. How to customize data security Illustrative example. a.) How to discover seeded data security definitions The Security Reference Manuals explain the Function and Data Security implemented on each job role.  Security Reference Manuals are available on Oracle Enterprise Repository for Oracle Fusion Applications. The following is a snap shot of the security documented for the “Sales Representative” Job. The two data security policies define the list of Opportunities a Sales Representative can view. Here is a sample of data security policies on an Opportunity. Business Object Policy Description Policy Store Implementation Opportunity A Sales Representative can view opportunity where they are a territory resource in the opportunity territory team Role: Opportunity Territory Resource Duty Privilege: View Opportunity (Data) Resource: Opportunity A Sales Representative can view opportunity where they are an opportunity sales team member with view, edit, or full access Role: Opportunity Sales Representative Duty Privilege: View Opportunity (Data) Resource: Opportunity Description of Columns Column Name Description Policy Description Explains the data filters that are implemented as a SQL Where Clause in a Data Security Grant Policy Store Implementation Provides the implementation details of the Data Security Grant for this policy. In this example the Opportunities listed for a “Sales Representative” job role are derived from a combination of two grants defined on two separate duty roles at are inherited by the Sales Representative job role. b.) How to customize data security Requirement 1: Opportunities should be viewed only by members of the opportunity team and not by all the members of all the territories on the opportunity. Solution: Remove the role “Opportunity Territory Resource Duty” from the hierarchy of the “Sales Representative” job role. Best Practice: Do not modify the seeded role hierarchy. Create a custom “Sales Representative” job role and build the role hierarchy with the seeded duty roles. Requirement 2: Opportunities must be more restrictive based on a custom attribute that identifies if a Opportunity is confidential or not. Confidential Opportunities must be visible only the owner of the Opportunity. Solution: Modify the (2) data security policy in the above example as follows: A Sales Representative can view opportunity where they are a territory resource in the opportunity territory team and the opportunity is not confidential. Implementation of this policy is more invasive. The seeded SQL where clause of the data security grant on “Opportunity Territory Resource Duty” has to be modified and the condition that checks for the confidential flag must be added. Best Practice: Do not modify the seeded grant. Create a new grant with the modified condition. End Date the seeded grant. c.) Illustrative Example (Implementing Requirement 2) A data security policy contains the following components: Role Object Instance Set Action Of the above four components, the Role and Instance Set are the only components that are customizable. Object and Actions for that object are seed data and cannot be modified. To customize a seeded policy, “A Sales Representative can view opportunity where they are a territory resource in the opportunity territory team”, Find the seeded policy Identify the Role, Object, Instance Set and Action components of the policy Create a new custom instance set based on the seeded instance set. End Date the seeded policies Create a new data security policy with custom instance set c-1: Find the seeded policy Step 1: 1. Find the Role 2. Open 3. Find Policies Step 2: Click on the Data Security Tab Sort by “Resource Name” Find all the policies with the “Condition” as “where they are a territory resource in the opportunity territory team” In this example, we can see there are 5 policies for “Opportunity Territory Resource Duty” on Opportunity object. Step 3: Now that we know the policy details, we need to create new instance set with the custom condition. All instance sets are linked to the object. Find the object using global search option. Open it and click on “condition” tab Sort by Display name Find the Instance set Edit the instance set and copy the “SQL Predicate” to a notepad. Create a new instance set with the modified SQL Predicate from above by clicking on the icon as shown below. Step 4: End date the seeded data security policies on the duty role and create new policies with your custom instance set. Repeat the navigation in step Edit each of the 5 policies and end date them 3. Create new custom policies with the same information as the seeded policies in the “General Information”, “Roles” and “Action” tabs. 4. In the “Rules” tab, please pick the new instance set that was created in Step 3.

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  • SQL SERVER – Advanced Data Quality Services with Melissa Data – Azure Data Market

    - by pinaldave
    There has been much fanfare over the new SQL Server 2012, and especially around its new companion product Data Quality Services (DQS). Among the many new features is the addition of this integrated knowledge-driven product that enables data stewards everywhere to profile, match, and cleanse data. In addition to the homegrown rules that data stewards can design and implement, there are also connectors to third party providers that are hosted in the Azure Datamarket marketplace.  In this review, I leverage SQL Server 2012 Data Quality Services, and proceed to subscribe to a third party data cleansing product through the Datamarket to showcase this unique capability. Crucial Questions For the purposes of the review, I used a database I had in an Excel spreadsheet with name and address information. Upon a cursory inspection, there are miscellaneous problems with these records; some addresses are missing ZIP codes, others missing a city, and some records are slightly misspelled or have unparsed suites. With DQS, I can easily add a knowledge base to help standardize my values, such as for state abbreviations. But how do I know that my address is correct? And if my address is not correct, what should it be corrected to? The answer lies in a third party knowledge base by the acknowledged USPS certified address accuracy experts at Melissa Data. Reference Data Services Within DQS there is a handy feature to actually add reference data from many different third-party Reference Data Services (RDS) vendors. DQS simplifies the processes of cleansing, standardizing, and enriching data through custom rules and through service providers from the Azure Datamarket. A quick jump over to the Datamarket site shows me that there are a handful of providers that offer data directly through Data Quality Services. Upon subscribing to these services, one can attach a DQS domain or composite domain (fields in a record) to a reference data service provider, and begin using it to cleanse, standardize, and enrich that data. Besides what I am looking for (address correction and enrichment), it is possible to subscribe to a host of other services including geocoding, IP address reference, phone checking and enrichment, as well as name parsing, standardization, and genderization.  These capabilities extend the data quality that DQS has natively by quite a bit. For my current address correction review, I needed to first sign up to a reference data provider on the Azure Data Market site. For this example, I used Melissa Data’s Address Check Service. They offer free one-month trials, so if you wish to follow along, or need to add address quality to your own data, I encourage you to sign up with them. Once I subscribed to the desired Reference Data Provider, I navigated my browser to the Account Keys within My Account to view the generated account key, which I then inserted into the DQS Client – Configuration under the Administration area. Step by Step to Guide That was all it took to hook in the subscribed provider -Melissa Data- directly to my DQS Client. The next step was for me to attach and map in my Reference Data from the newly acquired reference data provider, to a domain in my knowledge base. On the DQS Client home screen, I selected “New Knowledge Base” under Knowledge Base Management on the left-hand side of the home screen. Under New Knowledge Base, I typed a Name and description of my new knowledge base, then proceeded to the Domain Management screen. Here I established a series of domains (fields) and then linked them all together as a composite domain (record set). Using the Create Domain button, I created the following domains according to the fields in my incoming data: Name Address Suite City State Zip I added a Suite column in my domain because Melissa Data has the ability to return missing Suites based on last name or company. And that’s a great benefit of using these third party providers, as they have data that the data steward would not normally have access to. The bottom line is, with these third party data providers, I can actually improve my data. Next, I created a composite domain (fulladdress) and added the (field) domains into the composite domain. This essentially groups our address fields together in a record to facilitate the full address cleansing they perform. I then selected my newly created composite domain and under the Reference Data tab, added my third party reference data provider –Melissa Data’s Address Check- and mapped in each domain that I had to the provider’s Schema. Now that my composite domain has been married to the Reference Data service, I can take the newly published knowledge base and create a project to cleanse and enrich my data. My next task was to create a new Data Quality project, mapping in my data source and matching it to the appropriate domain column, and then kick off the verification process. It took just a few minutes with some progress indicators indicating that it was working. When the process concluded, there was a helpful set of tabs that place the response records into categories: suggested; new; invalid; corrected (automatically); and correct. Accepting the suggestions provided by  Melissa Data allowed me to clean up all the records and flag the invalid ones. It is very apparent that DQS makes address data quality simplistic for any IT professional. Final Note As I have shown, DQS makes data quality very easy. Within minutes I was able to set up a data cleansing and enrichment routine within my data quality project, and ensure that my address data was clean, verified, and standardized against real reference data. As reviewed here, it’s easy to see how both SQL Server 2012 and DQS work to take what used to require a highly skilled developer, and empower an average business or database person to consume external services and clean data. Reference: Pinal Dave (http://blog.sqlauthority.com) Filed under: PostADay, SQL, SQL Authority, SQL Query, SQL Server, SQL Tips and Tricks, SQL Utility, T SQL, Technology Tagged: DQS

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  • SanjayP&rsquo;s venture after Microsoft involves no Microsoft

    - by eddraper
    When I was at Microsoft, I always found Sanjay Parthasarathy to be a bright and passionate leader.  While he was a bit disconnected at times with what was really going on out in the trenches, I always thought he was true believer in what we in Developer Platform and Evangelism (DPE) were doing.  He got it.  He had started DPE and kicked a lot of doors down up in Redmond to make it happen.  Back in the early 2000s, battles over platform choices at large customers was trench warfare… bayonets and hand grenades at the P-Code level.  This model was not at all suited to Microsoft’s org structure at the time.  While there were plenty of people fully able to have competitive conversations around Windows Server, or AD, or Exchange, or the desktop, there weren’t many that could have deep technical conversations around Java vs .NET and the platform “stack” as a cohesive, unified unit of value.  This task fell to DPE. Sanjay ended up leaving Microsoft a number of months before me in 2009 and I remember thinking these exact words: “holy shit, SanjayP left Microsoft.”  When SanjayP left DPE years before that,  Sheila Gulati had stepped into his shoes and I thought we where starting to miss a beat.  Sheila had built an amazing business at Microsoft India, but I don’t recall being inspired by her as a leader.  SanjayP’s talks felt like the opening scene of “Patton” with George C. Scott pacing in front of the American flag.  Sheila was a voice on a con-call.  When she moved on in 2007, Walid Abu-Hadba was given the reigns.  Personally, I don’t ever recall even seeing his face.  I think I might recall hearing his voice on some con-calls, but for all intents and purposes he was invisible to me.  Perhaps this was the beginning of my carelessness around seeking “visibility.” Fast forward to Build 2011.  First off, we have no PDC – we have Build.  Microsoft had made an 11 year investment by this time in building an organization to make its technology relevant to developers.  One would think such an org would be in the driver’s seat of such an event, but we see Windows product group people on the podiums.  Watching, I could see the messaging unfold… but no story.  It was like the old days.  Demos and PowerPoints by team members building the tech, and in many cases VPs.  The ensuing confusion is almost legendary now.  Windows 8 was, and is, a pretty big deal… but who is telling the story – not just features and benefits, but the story around how it all fits together. Having been out of Microsoft for two years now, and looking in, I can only conclude that the “DPE of old” has at best been emasculated, and at worst been completely marginalized by internal politics, or perhaps the eternal march of the corporate entropy generator that resides at all large companies.  I don’t think this is a good thing for anyone. And now, back to Sanjay who is the father of Microsoft DPE… I noticed that he has moved back to India and is doing start-up work.  His current company Indix looks to be doing some interesting things with “big data” and here’s their stack: Nary a trace of anything Microsoft.  What could account for this?  I wonder….  Better availability of labor and expertise in India for this stack?  Donno, but even in India, leet R and Hadoop skills have to be hard to find. Technical superiority?  This, I sincerely doubt. This stack, with SanjayP’s name as CEO leaves me with an unsettling feeling.  If he did believe, he no longer does.  One doesn’t place bets with real money on things they don’t believe in.  Perhaps he never did believe, and was a corporate creature seeking to find a niche for himself after which he manipulated me and others.  Or perhaps… anger… be it passive aggression or an outright “in your face F*** you” to his former masters. I guess in the end, only he knows the true reason… But I have my theory...

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  • .NET 3.5 Installation Problems in Windows 8

    - by Rick Strahl
    Windows 8 installs with .NET 4.5. A default installation of Windows 8 doesn't seem to include .NET 3.0 or 3.5, although .NET 2.0 does seem to be available by default (presumably because Windows has app dependencies on that). I ran into some pretty nasty compatibility issues regarding .NET 3.5 which I'll describe in this post. I'll preface this by saying that depending on how you install Windows 8 you may not run into these issues. In fact, it's probably a special case, but one that might be common with developer folks reading my blog. Specifically it's the install order that screwed things up for me -  installing Visual Studio before explicitly installing .NET 3.5 from Windows Features - in particular. If you install Visual Studio 2010 I highly recommend you install .NET 3.5 from Windows features BEFORE you install Visual Studio 2010 and save yourself the trouble I went through. So when I installed Windows 8, and then looked at the Windows Features to install after the fact in the Windows Feature dialog, I thought - .NET 3.5 - who needs it. I'd be happy to not have to install .NET 3.5, but unfortunately I found out quite a while after initial installation that one of my applications/tools (DevExpress's awesome CodeRush) depends on it and won't install without it. Enabling .NET 3.5 in Windows 8 If you want to run .NET 3.5 on Windows 8, don't download an installer - those installers don't work on Windows 8, and you don't need to do this because you can use the Windows Features dialog to enable .NET 3.5: And that *should* do the trick. If you do this before you install other apps that require .NET 3.5 and install a non-SP1 one version of it, you are going to have no problems. Unfortunately for me, even after I've installed the above, when I run the CodeRush installer I still get this lovely dialog: Now I double checked to see if .NET 3.5 is installed - it is, both for 32 bit and 64 bit. I went as far as creating a small .NET Console app and running it to verify that it actually runs. And it does… So naturally I thought the CodeRush installer is a little whacky. After some back and forth Alex Skorkin on Twitter pointed me in the right direction: He asked me to look in the registry for exact info on which version of .NET 3.5 is installed here: HKEY_LOCAL_MACHINE\SOFTWARE\Microsoft\NET Framework Setup\NDP where I found that .NET 3.5 SP1 was installed. This is the 64 bit key which looks all correct. However, when I looked under the 32 bit node I found: HKEY_LOCAL_MACHINE\SOFTWARE\Wow6432Node\Microsoft\NET Framework Setup\NDP\v3.5 Notice that the service pack number is set to 0, rather than 1 (which it was for the 64 bit install), which is what the installer requires. So to summarize: the 64 bit version is installed with SP1, the 32 bit version is not. Uhm, Ok… thanks for that! Easy to fix, you say - just install SP1. Nope, not so easy because the standalone installer doesn't work on Windows 8. I can't get either .NET 3.5 installer or the SP 1 installer to even launch. They simply start and hang (or exit immediately) without messages. I also tried to get Windows to update .NET 3.5 by checking for Windows Updates, which should pick up on the dated version of .NET 3.5 and pull down SP1, but that's also no go. Check for Updates doesn't bring down any updates for me yet. I'm sure at some random point in the future Windows will deem it necessary to update .NET 3.5 to SP1, but at this point it's not letting me coerce it to do it explicitly. How did this happen I'm not sure exactly whether this is the cause and effect, but I suspect the story goes like this: Installed Windows 8 without support for .NET 3.5 Installed Visual Studio 2010 which installs .NET 3.5 (no SP) I now had .NET 3.5 installed but without SP1. I then: Tried to install CodeRush - Error: .NET 3.5 SP1 required Enabled .NET 3.5 in Windows Features I figured enabling the .NET 3.5 Windows Features would do the trick. But still no go. Now I suspect Visual Studio installed the 32 bit version of .NET 3.5 on my machine and Windows Features detected the previous install and didn't reinstall it. This left the 32 bit install at least with no SP1 installed. How to Fix it My final solution was to completely uninstall .NET 3.5 *and* to reboot: Go to Windows Features Uncheck the .NET Framework 3.5 Restart Windows Go to Windows Features Check .NET Framework 3.5 and voila, I now have a proper installation of .NET 3.5. I tried this before but without the reboot step in between which did not work. Make sure you reboot between uninstalling and reinstalling .NET 3.5! More Problems The above fixed me right up, but in looking for a solution it seems that a lot of people are also having problems with .NET 3.5 installing properly from the Windows Features dialog. The problem there is that the feature wasn't properly loading from the installer disks or not downloading the proper components for updates. It turns out you can explicitly install Windows features using the DISM tool in Windows.dism.exe /online /enable-feature /featurename:NetFX3 /Source:f:\sources\sxs You can try this without the /Source flag first - which uses the hidden Windows installer files if you kept those. Otherwise insert the DVD or ISO and point at the path \sources\sxs path where the installer lives. This also gives you a little more information if something does go wrong.© Rick Strahl, West Wind Technologies, 2005-2012Posted in Windows  .NET   Tweet !function(d,s,id){var js,fjs=d.getElementsByTagName(s)[0];if(!d.getElementById(id)){js=d.createElement(s);js.id=id;js.src="//platform.twitter.com/widgets.js";fjs.parentNode.insertBefore(js,fjs);}}(document,"script","twitter-wjs"); (function() { var po = document.createElement('script'); po.type = 'text/javascript'; po.async = true; po.src = 'https://apis.google.com/js/plusone.js'; var s = document.getElementsByTagName('script')[0]; s.parentNode.insertBefore(po, s); })();

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  • SQL SERVER – PAGELATCH_DT, PAGELATCH_EX, PAGELATCH_KP, PAGELATCH_SH, PAGELATCH_UP – Wait Type – Day 12 of 28

    - by pinaldave
    This is another common wait type. However, I still frequently see people getting confused with PAGEIOLATCH_X and PAGELATCH_X wait types. Actually, there is a big difference between the two. PAGEIOLATCH is related to IO issues, while PAGELATCH is not related to IO issues but is oftentimes linked to a buffer issue. Before we delve deeper in this interesting topic, first let us understand what Latch is. Latches are internal SQL Server locks which can be described as very lightweight and short-term synchronization objects. Latches are not primarily to protect pages being read from disk into memory. It’s a synchronization object for any in-memory access to any portion of a log or data file.[Updated based on comment of Paul Randal] The difference between locks and latches is that locks seal all the involved resources throughout the duration of the transactions (and other processes will have no access to the object), whereas latches locks the resources during the time when the data is changed. This way, a latch is able to maintain the integrity of the data between storage engine and data cache. A latch is a short-living lock that is put on resources on buffer cache and in the physical disk when data is moved in either directions. As soon as the data is moved, the latch is released. Now, let us understand the wait stat type  related to latches. From Book On-Line: PAGELATCH_DT Occurs when a task is waiting on a latch for a buffer that is not in an I/O request. The latch request is in Destroy mode. PAGELATCH_EX Occurs when a task is waiting on a latch for a buffer that is not in an I/O request. The latch request is in Exclusive mode. PAGELATCH_KP Occurs when a task is waiting on a latch for a buffer that is not in an I/O request. The latch request is in Keep mode. PAGELATCH_SH Occurs when a task is waiting on a latch for a buffer that is not in an I/O request. The latch request is in Shared mode. PAGELATCH_UP Occurs when a task is waiting on a latch for a buffer that is not in an I/O request. The latch request is in Update mode. PAGELATCH_X Explanation: When there is a contention of access of the in-memory pages, this wait type shows up. It is quite possible that some of the pages in the memory are of very high demand. For the SQL Server to access them and put a latch on the pages, it will have to wait. This wait type is usually created at the same time. Additionally, it is commonly visible when the TempDB has higher contention as well. If there are indexes that are heavily used, contention can be created as well, leading to this wait type. Reducing PAGELATCH_X wait: The following counters are useful to understand the status of the PAGELATCH: Average Latch Wait Time (ms): The wait time for latch requests that have to wait. Latch Waits/sec: This is the number of latch requests that could not be granted immediately. Total Latch Wait Time (ms): This is the total latch wait time for latch requests in the last second. If there is TempDB contention, I suggest that you read the blog post of Robert Davis right away. He has written an excellent blog post regarding how to find out TempDB contention. The same blog post explains the terms in the allocation of GAM, SGAM and PFS. If there was a TempDB contention, Paul Randal explains the optimal settings for the TempDB in his misconceptions series. Trace Flag 1118 can be useful but use it very carefully. I totally understand that this blog post is not as clear as my other blog posts. I suggest if this wait stats is on one of your higher wait type. Do leave a comment or send me an email and I will get back to you with my solution for your situation. May the looking at all other wait stats and types together become effective as this wait type can help suggest proper bottleneck in your system. Read all the post in the Wait Types and Queue series. Note: The information presented here is from my experience and there is no way that I claim it to be accurate. I suggest reading Book OnLine for further clarification. All the discussions of Wait Stats in this blog are generic and vary from system to system. It is recommended that you test this on a development server before implementing it to a production server. Reference: Pinal Dave (http://blog.SQLAuthority.com)   Filed under: Pinal Dave, PostADay, SQL, SQL Authority, SQL Query, SQL Scripts, SQL Server, SQL Tips and Tricks, SQL Wait Stats, SQL Wait Types, T SQL, Technology

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