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  • When should I use Dependency Injection and when utility methods?

    - by Roman
    I have a Java EE project with Spring IoC container. I've just found in Utils class static method sendMail(long list of params). I don't know why but I feel that it would look better if we had separate class (Spring bean with singleton scope) which will be responsible for sending email. But I can't find any arguments which can prove my position. So, are there any pros (or cons) in using DI in this (rather general) situation?

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  • OPS4j repository alternative

    - by Paul Whelan
    The OPS4J repository is down at present and I am trying to run pax-provision using a profile for spring-dm. My question is how do I tell maven to locate the profile information from a site other than ops4j.org. Is this possible? ideally I would like to cache all the packages from the repo especially the spring-dm details which seem never to be cached and are downloaded all the time making coding on the train and times when the site is down impossible. Thanks Paul

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  • Request is not generated fro m jsp page

    - by Hitesh Solanki
    Hiii.... I am developing small spring application. I have to store the details of the student information in the database. I have develop one simpleformcontroller. I have used netbeans + hibernate mapping + spring. when I submit the form, jsp page is redirect on the same page and control does not go to Formcontroller..

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  • Existing Maven Project on Amazon Beanstalk

    - by Abhishek Ranjan
    I am trying to migrate my existing Maven project to Amazon Beanstalk. Looking at amazon's documentation,i don't see any maven project deployment instructions. I tried to upload the war file generated but the application is not coming up on beanstalk. I would like to know if there is any existing documentation to deploy on beanstalk from maven. I have Spring Data JPA,Spring MVC application,do i need to do specific configuration or move configuration files from within the WAR file.

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  • Is it worth investing time in learning low level Java?

    - by Kevin Rave
    Low level Java, I mean, bits, bytes, bit masking, GC internals, JVM stuff, etc in the following contexts: - When you are building an enterprise app using frameworks like Spring, Hybernate, etc. - Interviews for a Sr Java Developer position where you are expected work on a existing Enterprise App that was built using some frameworks (Spring, EJB, Hybernate,etc) - Architects (Java) I understand knowing the very low level is "good". But how often do you think / use of these in the real-world, unless you are developing something from the ground-up keeping performance in mind?

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  • how to trigger notification from other framework in atmosphere (comet)?

    - by Sean Xiong
    basically i have read some samples, but all are self contained in one servlet. such as: use doGet to establish the long polling connection, and then use doPost to trigger the event to notify all suspended connections. Here is my question: I have other web actions programming in spring mvc, in the spring mvc controller a user post a message via /message/post, how can I make this action to trigger the atmosphere handler to notify the suspended connections?

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  • MULE lifecycle - how to hook into startup process

    - by prule
    I would like to be able to create some directories after Mule has started, but before it starts any other services. I started looking into notifications but I'm not sure if that is the right place to do it. I will need access to the spring beans so it would have to be after spring init, but before any of the connectors and other processes kick off. http://www.mulesource.org/display/MULE2USER/Mule+Server+Notifications Thanks.

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  • Need (logback)Teefilter sample code - sprinng/Eclipse

    - by user359942
    I am looking for more complete sample code on how TeeFilter of Logback can be used to log HTTP messages. I am trying to add this support to my Spring 3 (MVC)/Hibernate 3/Annotations Maven2 project. I have the config and xml files but I need to know where and how I can trigger this Filter to do the job for me in the Spring MVC framework. Any help will be greatly appreciated.

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  • Migrate existing Maven Project into an OSGI Bundle

    - by user1706291
    i am new to the whole OSGi stuff and my task is to create an OSGi Bundle out from an exisitng maven project. To get started i decided to pick the smallest part and starting with it: Here is the pom.xml project xmlns="http://maven.apache.org/POM/4.0.0" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xsi:schemaLocation="http://maven.apache.org/POM/4.0.0 http://maven.apache.org/maven-v4_0_0.xsd"> <modelVersion>4.0.0</modelVersion> <parent> <artifactId>cross</artifactId> <groupId>net.sf.maltcms</groupId> <version>1.2.12-SNAPSHOT</version> </parent> <artifactId>cross-main</artifactId> <packaging>jar</packaging> <name>cross-main</name> <dependencies> <dependency> <groupId>${project.groupId}</groupId> <artifactId>cross-annotations</artifactId> <version>${project.version}</version> </dependency> <dependency> <groupId>${project.groupId}</groupId> <artifactId>cross-event</artifactId> <version>${project.version}</version> </dependency> <dependency> <groupId>${project.groupId}</groupId> <artifactId>cross-tools</artifactId> <version>${project.version}</version> </dependency> <dependency> <groupId>${project.groupId}</groupId> <artifactId>cross-exception</artifactId> <version>${project.version}</version> </dependency> <dependency> <groupId>commons-codec</groupId> <artifactId>commons-codec</artifactId> <version>1.4</version> </dependency> <dependency> <groupId>${project.groupId}</groupId> <artifactId>cross-main-api</artifactId> <version>${project.version}</version> <exclusions> <exclusion> <artifactId>commons-logging</artifactId> <groupId>commons-logging</groupId> </exclusion> </exclusions> </dependency> <dependency> <groupId>org.springframework</groupId> <artifactId>spring-aop</artifactId> <version>3.0.6.RELEASE</version> </dependency> <dependency> <groupId>org.springframework</groupId> <artifactId>spring-asm</artifactId> <version>3.0.6.RELEASE</version> </dependency> <dependency> <groupId>org.springframework</groupId> <artifactId>spring-beans</artifactId> <version>3.0.6.RELEASE</version> </dependency> <dependency> <groupId>org.springframework</groupId> <artifactId>spring-context</artifactId> <version>3.0.6.RELEASE</version> </dependency> <dependency> <groupId>org.springframework</groupId> <artifactId>spring-core</artifactId> <version>3.0.6.RELEASE</version> <exclusions> <exclusion> <artifactId>commons-logging</artifactId> <groupId>commons-logging</groupId> </exclusion> </exclusions> </dependency> <dependency> <groupId>org.springframework</groupId> <artifactId>spring-expression</artifactId> <version>3.0.6.RELEASE</version> </dependency> <dependency> <groupId>commons-io</groupId> <artifactId>commons-io</artifactId> <version>2.1</version> </dependency> <dependency> <groupId>net.sf.ehcache</groupId> <artifactId>ehcache-core</artifactId> <version>2.4.6</version> </dependency> <dependency> <groupId>${project.groupId}</groupId> <artifactId>cross-math</artifactId> <version>${project.version}</version> </dependency> <dependency> <groupId>com.db4o</groupId> <artifactId>db4o-all</artifactId> <version>8.0.249</version> </dependency> <dependency> <groupId>net.sf.mpaxs</groupId> <artifactId>mpaxs-spi</artifactId> <version>1.6.10</version> </dependency> <dependency> <groupId>net.sf.mpaxs</groupId> <artifactId>mpaxs-server</artifactId> <version>1.6.10</version> </dependency> </dependencies> I did some research and found the Apache Bundle Plugin for maven and changed the pom to this <packaging>bundle</packaging> and added <build> <plugins> <plugin> <groupId>org.apache.felix</groupId> <artifactId>maven-bundle-plugin</artifactId> <extensions>true</extensions> <configuration> <instructions> <Bundle-SymbolicName>${pom.artifactId}</Bundle-SymbolicName> </instructions> </configuration> </plugin> </plugins> </build> mvn clean install went fine and i got a jar file containing the manifest, but of course the bundle could not be resolved BundleException: The bundle "cross-main_1.2.12.SNAPSHOT [30]" could not be resolved. Reason: Missing Constraint: Import-Package: com.db4o; version="[8.0.0,9.0.0) To make a long story short: What are the possibiliteis to migrate a maven application into an OSGi Bundle? Espacially how to manage the dependencys

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  • Directories with random numbers as foldername being created that contain .ser files

    - by Dur4ndal
    Hi all: So in our server there are folders being generated with random names (such as "7nxxd", "tpy16q"). Inside each of these is the same subdirectory structure: <randomfilename>/.tld_cache/WEB-INF/tld/ c.tld/ fn.tld/ spring-form.tld/ fmt.tld/ spring.tld/ tiles-jsp.tld/ Each of these directories has 2 files: crc.ser and des.ser. Why are these files being created? Is there a way to specify the directory that they get written to besides the random name?

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  • JSF Data transfer between UI to Business Layers

    - by Ram
    Hi, We are using JSF in UI,Spring in Business Layer,Hibernate in Persistance layer.Now my question is how to pass data from my JSF1.1_01 UI to spring Business Layer.Can I directly used my Business object in my Backed Bean or through DTO should I transfer data between the layer? Can one explain me with clear explanation if possible with piece of code and that related websites?

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  • Manipulating values from database table with php

    - by charliecodex23
    I currently have 5 tables in MySQL database. Some of them share foreign keys and are interdependent of each other. I am displaying classes accordingly to their majors. Each class is taught during the fall, spring or all_year. In my database I have a table named semester which has an id, year, and semester fields. The semester field in particular is a tinyint that has three values 0, 1, 2. This signifies the fall, spring or all_year. When I display the query instead of having it show 0 or 1 or 2 can I have it show fall, spring etc? Extra: How can I add space to the end of each loop so the data doesn't look clustered? Key 0 Fall 1 Spring 2 All-year PHP <? try { $pdo = new PDO ("mysql:host=$hostname;dbname=$dbname","$username","$pw"); } catch (PDOException $e) { echo "Failed to get DB handle: " . $e->getMessage() . "\n"; exit; } $query = $pdo->prepare("SELECT course.name, course.code, course.description, course.hours, semester.semester, semester.year FROM course LEFT JOIN major_course_xref ON course.id = major_course_xref.course_id LEFT JOIN major ON major.id = major_course_xref.major_id LEFT JOIN course_semester_xref ON course.id = course_semester_xref.course_id LEFT JOIN semester ON course_semester_xref.semester_id = semester.id"); $query->execute(); if ($query->execute()){ while ($row = $query->fetch(PDO::FETCH_ASSOC)){ print $row['name'] . "<br>"; print $row['code'] . "<br>"; print $row['description'] . "<br>"; print $row['hours'] . " hrs.<br>"; print $row['semester'] . "<br>"; print $row['year'] . "<br>"; } } else echo 'Could not fetch results.'; unset($pdo); unset($query); ?> Current Display Computer Programming I CPSC1400 Introduction to disciplined, object-oriented program development. 4 hrs. 0 2013 Desire Display Computer Programming I CPSC1400 Introduction to disciplined, object-oriented program development. 4 hrs. Fall 2013

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  • Is there a way to add AD LDS users to an AD Domain Group or allow them domain security rights?

    - by Tom
    I have a web application in which our outside customers need access to run transactions (stored procs on Sql Server) on our domain. We have looked into LDS to keep these users separate from our domain. The problem we are having is allowing the LDS users the AD security rights to access these stored procs. For administration purposes we would like to use an AD group for each transaction (stored proc) which has access to execute. Is there a way to add LDS users to this AD group or allow them the security rights to do this? We have setup LDS and can authenicate an AD user thru to runs these transactions. LDS is running on Server 08 R2. AD is also Server 08 R2. Thanks.

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  • Do MSDTC and disaster recovery go together?

    - by DevDelivery
    Our application writes to multiple Sql Server databases within a distributed transaction. The Ops guys are saying that this messes up their disaster recovery plan because while the transactions on the live tables may commit at the same time, the log shipping on the separate databases happen at slightly different times. So in in a disaster recovery situation, there will be a few partial transactions. Is there a method for maintaining separate but synced databases in DR? Or do we have to re-design to relatively independent databases (or a single database)?

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  • OS X Money Management Software

    - by Ryan O
    I recently moved from Windows to a Mac, but I still have to keep Virtualbox and Windows installation on the machine to use Quicken. iBank looked promising, but I had problems importing my data from Quicken. I would switch to Mint if they would allow you to enter transactions manually, but the lack of that feature is a deal breaker. (I use Quicken primarily to track uncleared transactions, with the bonus of reporting on past spending.) Is there any other software I should try that will be able to import at least most of my old data from Quicken? Edit: For what it's worth, I never did find anything else. Quicken Essentials for Mac was released this year, but doesn't handle investments well from what I hear. I'm now on Quicken 2010 under XP running inside Virtualbox. It's not ideal, but it seems to be the only thing around right now that meets my needs.

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  • What the best way to achieve RPO of zero and lowest possible RTO (less than 15 minutes) with SQL 2008 R2?

    - by Adrian Hope-Bailie
    We are running a payments (EFT transaction processing) application which is processing high volumes of transactions 24/7 and are currently investigating a better way of doing DB replication to our disaster recovery site. Our current and previous strategies have included using both DoubleTake and Redgate to replicate data to a warm stand-by. DoubleTake is the supported solution from the payments software vendor however their (DoubleTake's) support in South Africa is very poor. We had a few issues and simply couldn't ever resolve them so we had to give up on DoubleTake. We have been using Redgate to manually read the data from the primary site (via queries) and write to the DR site but this is: A bad solution Getting the software vendor hot and bothered whenever we have support issues as it has a tendency to interfere with the payment application which is very DB intensive. We recently upgraded the whole system to run on SQL 2008 R2 Enterprise which means we should probably be looking at using some of the built-in replication features. The server has 2 fairly large databases with a mixture of tables containing highly volatile transactional data and pretty static configuration data. Replication would be done over a WAN link to a separate physical site and needs to achieve the following objectives. RPO: Zero loss - This is transactional data with financial impact so we can't lose anything. RTO: Tending to zero - The business depends on our ability to process transactions every minute we are down we are losing money I have looked at a few of the other questions/answers but none meet our case exactly: SQL Server 2008 failover strategy - Log shipping or replication? How to achieve the following RTO & RPO with logshipping only using SQL Server? What is the best of two approaches to achieve DB Replication? My current thinking is that we should use mirroring but I am concerned that for RPO:0 we will need to do delayed commits and this could impact the performance of the primary DB which is not an option. Our current DR process is to: Stop incoming traffic to the primary site and allow all in-flight transaction to complete. Allow the replication to DR to complete. Change network routing to route to DR site. Start all applications and services on the secondary site (Ideally we can change this to a warmer stand-by whereby the applications are already running but not processing any transactions). In other words the DR database needs to, as quickly as possible, catch up with primary and be ready for processing as the new primary. We would then need to be able to reverse this when we are ready to switch back. Is there a better option than mirroring (should we be doing log-shipping too) and can anyone suggest other considerations that we should keep in mind?

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  • How to unmangle PDF format into a usable text or spreadsheet document?

    - by Chuck
    Upon requesting some daily/hourly sales data from a coworker who is responsible for such requests, I was given a series of PDF files. The point of sale program that is used, for some reason, answers requests for this type of information in the form of PDF files. The issue: The PDF files look to be in a format that should easily be copy and pasted into a spreadsheet. There are three columns that look to be neatly organized across two pages. When copy/pasting the first page, all three columns from the PDF's first page are dumped into a single column consisting of the Date followed by the Hours for the transactions on that day. The end of this Date/Time information is followed by all of the Total Sales values that should be attached a Date and Time of the transaction. (NOTE: There are no duplicated Dates in the Date column, ie, Multiple transactions for a day only have one yyyy/mm/dd listed for the first row but not the following rows.) While it was a huge pain, it was possible to, in about four or five steps, get the single column of data broken out into three columns that matched the PDF. The second page of the PDF file, when attempting to copy/paste into a spreadsheet, creates a single column with the first third of the cells being the Dates from the PDF, the second third of the cells being the Hours of the transactions and the final third of the cells being filled with the Total Sales. After the copy/paste there is no way to figure out which Hours belong to which Dates or Total Sales due to the lack of the duplicated Dates in the Date column as mentioned above. My PDF-fu is next to non-existent. I've just now started to work with PDF editors and some www.convertmyPDFforfree.com websites, so far, with absolutely nothing remotely coming anywhere near usable output. (Both methods have so far done nothing but product blank documents.) Before I go back and pester my co-worker into figuring out a way to create a report in some other format than PDF, is there any method by which to take the data that looks to be formatted correctly in a PDF and copy/paste it into a spreadsheet that will look the same? I appreciate any help that can be made available. The sales data isn't so sensitive that I couldn't part with a bit to let somebody actually see what it is that needs to be dealt with, just let me know. The PDF's are less than 100kb each so sending them shouldn't be a burden to any interested party.

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  • Is the community MySQL safe for production use?

    - by n_kips
    Or Will I need to get the enterprise version? This is because I found this on MySQL's site: If you are running a MySQL production level system, we would like to direct your attention to the product description of MySQL Enterprise Edition at: http://mysql.com/products/enterprise/ When I check the features, it seems like the community edition does not support transactions, while the enterprise version does. If it is true that the community edition is not right for production, then it seems like posgresql may be my way out, for it supports transactions and it is fully opensource. Will the sql syntax need to change (much) if I have to change? Thank you.

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  • "Local transaction already has 1 non-XA Resource: cannot add more resources" error

    - by jthg
    After reading previous questions about this error, it seems like all of them conclude that you need to enable XA on all of the data sources. But: What if I don't want a distributed transaction? What would I do if I want to start transactions on two different databases at the same time, but commit the transaction on one database and roll back the transaction on the other? I'm wondering how my code actually initiated a distributed transaction. It looks to me like I'm starting completely separate transactions on each of the databases. Info about the application: The application is an EJB running on a Sun Java Application Server 9.1 I use something like the following spring context to set up the hibernate session factories: <bean id="dbADatasource" class="org.springframework.jndi.JndiObjectFactoryBean"> <property name="jndiName" value="jdbc/dbA"/> </bean> <bean id="dbASessionFactory" class="org.springframework.orm.hibernate3.LocalSessionFactoryBean"> <property name="dataSource" ref="dbADatasource" /> <property name="hibernateProperties"> [hibernate properties...] </property> <property name="mappingResources"> [mapping resources...] </property> </bean> <bean id="dbBDatasource" class="org.springframework.jndi.JndiObjectFactoryBean"> <property name="jndiName" value="jdbc/dbB"/> </bean> <bean id="dbBSessionFactory" class="org.springframework.orm.hibernate3.LocalSessionFactoryBean"> <property name="dataSource" ref="dbBDatasource" /> <property name="hibernateProperties"> [hibernate properties...] </property> <property name="mappingResources"> [mapping resources...] </property> </bean> Both of the JNDI resources are javax.sql.ConnectionPoolDatasoure's. They actually both point to the same connection pool, but we have two different JNDI resources because there's the possibility that the two groups of tables will move to different databases in the future. Then in code, I do: sessionA = dbASessionFactory.openSession(); sessionB = dbBSessionFactory.openSession(); sessionA.beginTransaction(); sessionB.beginTransaction(); The sessionB.beginTransaction() line produces the error in the title of this post - sometimes. I ran the app on two different sun application servers. On one runs it fine, the other throws the error. I don't see any difference in how the two servers are configured although they do connect to different, but equivalent databases. So the question is Why doesn't the above code start completely independent transactions? How can I force it to start independent transactions rather than a distributed transaction? What configuration could cause the difference in behavior between the two application servers? Thanks.

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  • Problem using form builder & DOM manipulation in Rails with multiple levels of nested partials

    - by Chris Hart
    I'm having a problem using nested partials with dynamic form builder code (from the "complex form example" code on github) in Rails. I have my top level view "new" (where I attempt to generate the template): <% form_for (@transaction_group) do |txngroup_form| %> <%= txngroup_form.error_messages %> <% content_for :jstemplates do -%> <%= "var transaction='#{generate_template(txngroup_form, :transactions)}'" %> <% end -%> <%= render :partial => 'transaction_group', :locals => { :f => txngroup_form, :txn_group => @transaction_group }%> <% end -%> This renders the transaction_group partial: <div class="content"> <% logger.debug "in partial, class name = " + txn_group.class.name %> <% f.fields_for txn_group.transactions do |txn_form| %> <table id="transactions" class="form"> <tr class="header"><td>Price</td><td>Quantity</td></tr> <%= render :partial => 'transaction', :locals => { :tf => txn_form } %> </table> <% end %> <div>&nbsp;</div><div id="container"> <%= link_to 'Add a transaction', '#transaction', :class => "add_nested_item", :rel => "transactions" %> </div> <div>&nbsp;</div> ... which in turn renders the transaction partial: <tr><td><%= tf.text_field :price, :size => 5 %></td> <td><%= tf.text_field :quantity, :size => 2 %></td></tr> The generate_template code looks like this: def generate_html(form_builder, method, options = {}) options[:object] ||= form_builder.object.class.reflect_on_association(method).klass.new options[:partial] ||= method.to_s.singularize options[:form_builder_local] ||= :f form_builder.fields_for(method, options[:object], :child_index => 'NEW_RECORD') do |f| render(:partial => options[:partial], :locals => { options[:form_builder_local] => f }) end end def generate_template(form_builder, method, options = {}) escape_javascript generate_html(form_builder, method, options) end (Obviously my code is not the most elegant - I was trying to get this nested partial thing worked out first.) My problem is that I get an undefined variable exception from the transaction partial when loading the view: /Users/chris/dev/ss/app/views/transaction_groups/_transaction.html.erb:2:in _run_erb_app47views47transaction_groups47_transaction46html46erb_locals_f_object_transaction' /Users/chris/dev/ss/app/helpers/customers_helper.rb:29:in generate_html' /Users/chris/dev/ss/app/helpers/customers_helper.rb:28:in generate_html' /Users/chris/dev/ss/app/helpers/customers_helper.rb:34:in generate_template' /Users/chris/dev/ss/app/views/transaction_groups/new.html.erb:4:in _run_erb_app47views47transaction_groups47new46html46erb' /Users/chris/dev/ss/app/views/transaction_groups/new.html.erb:3:in _run_erb_app47views47transaction_groups47new46html46erb' /Users/chris/dev/ss/app/views/transaction_groups/new.html.erb:1:in _run_erb_app47views47transaction_groups47new46html46erb' /Users/chris/dev/ss/app/controllers/transaction_groups_controller.rb:17:in new' I'm pretty sure this is because the do loop for form_for hasn't executed yet (?)... I'm not sure that my approach to this problem is the best, but I haven't been able to find a better solution for dynamically adding form partials to the DOM. Basically I need a way to add records to a has_many model dynamically on a nested form. Any recommendations on a way to fix this particular problem or (even better!) a cleaner solution are appreciated. Thanks in advance. Chris

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  • Technical Article: Oracle Magazine Java Developer of the Year Adam Bien on Java EE 6 Simplicity by Design

    - by janice.heiss(at)oracle.com
    Java Champion and Oracle Magazine Java Developer of the Year, Adam Bien, offers his unique perspective on how to leverage new Java EE 6 features to build simple and maintainable applications in a new article in Oracle Magazine. Bien examines different Java EE 6 architectures and design approaches in an effort to help developers build efficient, simple, and maintainable applications.From the article: "Java EE 6 consists of a set of independent APIs released together under the Java EE name. Although these APIs are independent, they fit together surprisingly well. For a given application, you could use only JavaServer Faces (JSF) 2.0, you could use Enterprise JavaBeans (EJB) 3.1 for transactional services, or you could use Contexts and Dependency Injection (CDI) with Java Persistence API (JPA) 2.0 and the Bean Validation model to implement transactions.""With a pragmatic mix of available Java EE 6 APIs, you can entirely eliminate the need to implement infrastructure services such as transactions, threading, throttling, or monitoring in your application. The real challenge is in selecting the right subset of APIs that minimizes overhead and complexity while making sure you don't have to reinvent the wheel with custom code. As a general rule, you should strive to use existing Java SE and Java EE services before expanding your search to find alternatives." Read the entire article here.

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  • SOA Suite 11gR1 Patch Set 2 (PS2) released today!

    - by Demed L'Her
      We just released this morning SOA Suite 11gR1 Patch Set 2 (PS2)! You can download it as usual from: OTN (main platforms only) eDelivery (all platforms)   11gR1 PS2 is delivered as a sparse installer, that is to say that it is meant to be applied on the latest full release (11gR1 PS1). The good part is that it’s great for existing PS1 users who simply need to apply the patch and run the patch assistant – the not so good part is that new users will first need to download PS1. What’s in that release? Bug fixes of course but also several significant new features. Here is a short selection of the most significant features in PS2: Spring component (for native Java extensibility and integration) SOA Partitions (to organize and manage your composites) Direct Binding (for transactional invocations to and from Oracle Service Bus) HTTP binding (for those of you trying to do away with SOAP and looking for simple GET and POST) Resequencer (for ordering out-of-order messages) WS Atomic Transactions (WS-AT) support (for propagation of transactions across heterogeneous environments) Check out the complete list of new features in PS2 for more (including links to the documentation for the above)! But maybe even more importantly we are also releasing Oracle Service Bus 11gR1 and BPM Suite 11gR1 at the same time – all on the same base platform (WebLogic Server 10.3.3)! (NB: it might take a while for all pages and caches to be updated with the new content so if you don’t find what you need today, try again soon!)   Technorati Tags: ps1,11gr1ps2,new release,oracle soa suite,oracle

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  • What is ODBC?

    According to Microsoft, ODBC is a specification for a database API.  This API is database and operating system agnostic due to the fact that the primary goal of the ODBC API is to be language-independent. Additionally, the open functions of the API are created by the manufactures of DBMS-specific drivers. Developers can use these exposed functions from within their own custom applications so that they can communicate with DBMS through the language-independent drivers. ODBC Advantages Multiple ODBC drivers for each DBSM Example Oracle’s ODBC Driver Merant’s Oracle Driver Microsoft’s Oracle Driver ODBC Drivers are constantly updated for the latest data types ODBC allows for more control when querying ODBC allows for Isolation Levels ODBC Disadvantages ODBC Requires DSN ODBC is the proxy between an application and a database ODBC is dependent on third party drivers ODBC Transaction Isolation Levels are related to and limited by the transaction management capabilities of the data source. Transaction isolation levels:  READ UNCOMMITTED Data is allowed to be read prior to the committing of a transaction.  READ COMMITTED Data is only accessible after a transaction has completed  REPEATABLE READ The same data value is read during the entire transaction  SERIALIZABLE Transactions have no effect on other transactions

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  • Iterative Conversion

    - by stuart ramage
    Question Received: I am toying with the idea of migrating the current information first and the remainder of the history at a later date. I have heard that the conversion tool copes with this, but haven't found any information on how it does. Answer: The Toolkit will support iterative conversions as long as the original master data key tables (the CK_* tables) are not cleared down from Staging (the already converted Transactional Data would need to be cleared down) and the Production instance being migrated into is actually Production (we have migrated into a pre-prod instance in the past and then unloaded this and loaded it into the real PROD instance, but this will not work for your situation. You need to be migrating directly into your intended environment). In this case the migration tool will still know all about the original keys and the generated keys for the primary objects (Account, SA, etc.) and as such it will be able to link the data converted as part of a second pass onto these entities. It should be noted that this may result in the original opening balances potentially being displayed with an incorrect value (if we are talking about Financial Transactions) and also that care will have to be taken to ensure that all related objects are aligned (eg. A Bill must have a set to bill segments, meter reads and a financial transactions, and these entities cannot exist independantly). It should also be noted that subsequent runs of the conversion tool would need to be 'trimmed' to ensure that they are only doing work on the objects affected. You would not want to revalidate and migrate all Person, Account, SA, SA/SP, SP and Premise details since this information has already been processed, but you would definitely want to run the affected transactional record validation and keygen processes. There is no real "hard-and-fast" rule around this processing since is it specific to each implmentations needs, but the majority of the effort required should be detailed in the Conversion Tool section of the online help (under Adminstration/ The Conversion Tool). The major rule is to ensure that you only run the steps and validation/keygen steps that you need and do not do a complete rerun for your subsequent conversion.

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  • How do I manage the technical debate over WCF vs. Web API?

    - by Saeed Neamati
    I'm managing a team of like 15 developers now, and we are stuck at a point on choosing the technology, where the team is broken into two completely opposite teams, debating over usage of WCF vs. Web API. Team A which supports usage of Web API, brings forward these reasons: Web API is just the modern way of writing services (Wikipedia) WCF is an overhead for HTTP. It's a solution for TCP, and Net Pipes, and other protocols WCF models are not POCO, because of [DataContract] & [DataMember] and those attributes SOAP is not as readable and handy as JSON SOAP is an overhead for network compared to JSON (transport over HTTP) No method overloading Team B which supports the usage of WCF, says: WCF supports multiple protocols (via configuration) WCF supports distributed transactions Many good examples and success stories exist for WCF (while Web API is still young) Duplex is excellent for two-way communication This debate is continuing, and I don't know what to do now. Personally, I think that we should use a tool only for its right place of usage. In other words, we'd better use Web API, if we want to expose a service over HTTP, but use WCF when it comes to TCP and Duplex. By searching the Internet, we can't get to a solid result. Many posts exist for supporting WCF, but on the contrary we also find people complaint about it. I know that the nature of this question might sound arguable, but we need some good hints to decide. We're stuck at a point where choosing a technology by chance might make us regret it later. We want to choose with open eyes. Our usage would be mostly for web, and we would expose our services over HTTP. In some cases (say 5 to 10 percent) we might need distributed transactions though. What should I do now? How do I manage this debate in a constructive way?

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