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  • Issues with Verizon's "Network Extender" device talking on my home network.

    - by Logan
    I recently switched my phone service to Verizon from ATT, and I get somewhat spotty service in my house. I called them and they sent me a "network extender" device for free. Its a femtocell that connects to my home network. The directions that come with it are very dumbed down, basically just say to connect it to your router and put it near a window (so it can get a GPS signal, it has to make sure its within the correct area before operating). The problem I'm having is the network light on it stays red. The troubleshooting information that came with it tells me this means there is a bad network connection. Its connected through an ASUS router running DD-WRT. No other devices on my network have a problem with it, including a Western Digital WDLIVE device, mine and my wife's cell phones (via wifi), a Wii, and an Xbox. If I connect the device directly to my cable modem, the light goes blue (which means good) and it starts working. So this tells me that its definately a configuration issue with my router. Verizon basically washed their hands of me when I connected it to my cable modem, and told me that its a router issue and to try a different router. Because normal people just have extra routers laying around their houses... When I connect it to the router, I can watch the DHCP Clients list on the status page, and the MAC of the network extender quickly fills up the clients list, grabbing every available DHCP address. Its like it grabs an address, can't connect to the internet, releases it, grabs another, then another, then another. So in the DHCP server settings I assigned a static IP to its MAC. This made it quit doing what it was doing before, but its still not working. I found the ports I needed to open on verizon's website, and opened them in the port forwarding config on my router. This still didn't help. So, I tried setting the network extender device's IP as the DMZ IP on the router. This still did no good. I called Verizon back and got the tech to write up a report which he passed on to a "senior network tech" who I got a call back from a few hours ago. This guy told me that while an ASUS router isn't listed as a supported device, he's not really sure why its not working. He suggested restoring the firmware to stock ASUS firmware and trying again. I have a very hard time believing its DD-WRT doing this, since every other device is working just fine with it. But its also not the Network Extender, since it works just fine when connected directly to the modem. At this point I'm out of ideas, and the next step is to restore the stock firmware on my router, and then going to walmart and getting a linksys WRT-54G to try. Is there anything else I could try before going that drastic? Cliffs- -Network extender won't work behind router, works when connected directly to cable modem. -Extender goes nuts when allowed to pick its own DHCP address, I had to assign it a static IP. -Won't work when correct ports are forwarded to it -Won't work with a DMZ address.

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  • IP Micro-outages, telephone micro-outages, and CATV micro-outages

    - by Michael Graff
    This is a long and complicated question, mostly because it has been going on for 2.5 years without a solution in sight. It also is only one-third computer related, the other two-thirds are cable TV and cable-phone related. Background I have COX Communications for a cable provider, and we get Internet, digital cable TV, and digital phone service through them. The Internet is a SB5101 right now, and has been a DPC2100 and SB5120 in the past. Same results. The phone service is provided through a telephone interface mounted on the outside of the house (not classic VoIP) and the CATV is through a Scientific Atlanta receiver without DVR. I do have a TiVo connected to the CATV box. Symptoms The CATV shows "blocking" -- sometimes very very short duration where a few blocks appear on the screen. Sometimes it lasts long enough that the video "pauses" for 2-5 seconds, and rarely but not unseen the audio also fails. The CATV decoder box shows no correctable (FEC) or uncorrectable errors. That is, all BER counters are zero for the video stream. The Internet shows "micro-outages" where it appears that sent packets are not making it out, but I continue to receive packets from local modems. That is, pings stop coming back, but I continue to see modems broadcast for DHCP, and sometimes they ask more than once. The cable modem shows no errors during this time, but cable modems lie like you would not believe. It is actually possible to unplug the coax from the modem for 20 seconds and it reports NO ERRORS to the provider's tools. The phone service cuts out for 1-3 seconds, infrequently. When this happens, I hear NOTHING (not even comfort noise) and the remote side hears a "click" as if I were getting a call waiting message. However, there is no call incoming, other than the one I'm currently on of course. Things SEEM to happen more frequently when the temperature outside swings from cold to warm, so fall/spring seems worse than summer/winter. All micro-outages occur between once or twice a day (which I could ignore) to 10 times per hour. All SNR, signal levels, noise levels, etc. show very close to optimal when measured. COX's diagnosis This is a continual pain for me. Over the last 2.5 years, they have opened, "fixed" something, and closed the tickets. They close it without confirming that it is indeed better, and when I reopen they cannot do that, but instead they open a new ticket and send yet another low-level tech out to do the same signal tests and report that all is OK. I've finally gotten a line tech who has a clue and is motivated enough to pursue this with me. We have tried things like switching the local nodes over to UPS and generator power, but this does not trigger the noise. We have tried replacing all cabling, the tap outside my house, the modem, the CATV decoder -- all without resolution. Recently they have decided it is both my computer or switch, my TiVo, and my phone that are all broken and causing this issue. My debugging steps I spent the worse day of my TV-watching life yesterday and part of today. I watched live TV without the TiVo. I witnessed blocking, but it did "feel different." and was actually more severe. Some days it is better, some days it is worse, so perhaps this was just a very bad day. Today, I connected the TiVo to my DVD player, and ran two very long movies through it. I saw no blocking at all during nearly 6 hours of video. Suggestions? Does anyone have any suggestions on what to do next? I understand perhaps only the IP side can be addressed here, but it is one of the more limiting debugging options.

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  • Deployment Workbench no longer available after PXE boot

    - by Patrick
    Our build process revolves around windows Deployment Workbench. Unfortunately this was setup by someone who is no longer with the company, and no-one has ever dared/needed to make any changes. The other day it stopped working. It turns out that one of our build guys started thinking about changing some stuff in it, clicked something and now it no longer works (He is saying now that he right clicked on the 'LAB' entry in 'Deployment points' and hit 'Update', which took some time to run through apparently). The job has fallen on me to resolve and frankly I'm not sure what I'm doing. I was wondering if someone with more experience than me can provide some pointers as to troubleshooting cos I'm feeling quite a lot in the dark here. On the server I have Deployment Workbench up and running (MMC snapin) version 3.0. There is a WDS service that appears to be running ok, as does the tFTPd service. Nothing specific to this in event logs. From the client side; PXE boot works and gets you to the Win PE launch, and it has the correct company logo as the background (proving to me that its loading win PE from the network). WPEINIT runs, and asks for domain credentials, here the team simply put User/Pass/Domain in the boxes and click ok. Normally the build would kick off. Instead they get an error message saying that the \NATBLU01\Distribution$ share isn't available. Checking \NATBLU01\Distribution$ shows that its there and accessible over the network. Security/permissions seem ok, even 'ANONYMOUS LOGON' has read access to that share so I don't see that being a problem. Digging the trace files from C:\MININT\SMSOSD\OSDLOGS\ after an attempt to run the build I can see an error saying much the same - <![LOG[Validating connection to \\NATBLU01\Distribution$]LOG]!><time="16:42:14.000+000" date="03-15-2012" component="LiteTouch" context="" type="1" thread="" file="LiteTouch"> <![LOG[FindFile: The file OSDConnectToUNC.exe could not be found in any standard locations.]LOG]!><time="16:42:14.000+000" date="03-15-2012" component="LiteTouch" context="" type="1" thread="" file="LiteTouch"> <![LOG[The network location cannot be reached. For information about network troubleshooting, see Windows Help.]LOG]!><time="16:42:24.000+000" date="03-15-2012" component="LiteTouch" context="" type="3" thread="" file="LiteTouch"> <![LOG[ERROR - Unable to map a network drive to \\NATBLU01\Distribution$.]LOG]!><time="16:42:24.000+000" date="03-15-2012" component="LiteTouch" context="" type="3" thread="" file="LiteTouch"> BDD.LOG shows much the same. Full copies of the .LOG files can both files be found here : BDD.LOG LITETOUCH.LOG I can get to a command prompt from the Win PE that boots from PXE, however there isn't any network stuff there. IPCONFIG returns nothing so none of the tests I would usually run resolve anything. I'm at a loss frankly. I did wonder if I could perhaps start a new build process but if the change to the DeploymentWorkbench has knocked it offline I don't think I'm going to be able to create a new deployment. Failing that; we do have a deployment point labeled type 'Media' which appears to be a DVD ISO image of one of the builds, but its dated 2008, is it possible to export the network build to .ISO and build from DVD? We are looking at new hardware to run this from anyway (for the impending Windows 7 roll out) so a temporary work round isn't going to be too much of a problem. All assistance is appreciated! EDIT : OK. Got it working again. Solution was close to Newmanth's idea. The problem was that our PE image didn't appear to be connecting the network. I had an older copy of the PE boot.WIM on a stick that I had been using for other purposes. I booted that and correctly got a network connection. Showed a correct internal IP and could ping out etc etc. However I was still getting the same errors in all the logs and in when wpeinit was running. What I did seperately was to update the PE image that DeploymentWorkbench was pushing out to display a different back ground. I wanted to prove that I was working in the correct place. Turns out that I wasn't. I went and looked at the other deployment stuff we had on this machine, Windows Deployment Services was installed and although all the install images are off line the boot image was online, so I uploaded the copy from my stick to that. Booted straight off. And fixed. Working. Yay! For anyone stumbling across this in the future you may find that although your deployment images are located in the DeploymentWorkbench, the Win PE boot image you are launching from is located in the associated Windows Deployment Services images.

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  • Asus P8P67 Rev. 3.1 Motherboard issues powering on and saving settings

    - by Scott
    Edit: New Information Have some updated information from the old question below: So basically my issue right now is somewhat similar, but I've been able to rule out a couple of things. I don't think this has anything to do with light on the motherboard. No matter what lights are on/off on the motherboard when the computer is off, they don't affect this issue. The main power LED on the Mobo is always lit when the power supply is turned on, and that's what matters anyway. Even when the main power LED is on, the PC will NOT boot up the first time I hit the power switch. I have to go reset the power supply (make all lights turn off on the Mobo and back on), and THEN hit the power switch. Then everything boots up. Also, the BIOS settings are reset every time this happens. Asus Tech Support told me to try jumping the power with something metal to try and rule out that it's a problem with the connectors getting power, or if it's a problem with the case power switch pins - haven't done that yet though. Any ideas? This is a lot simpler than it was before when I thought it had to do with certain LED indicators for RAM, EPU, etc. Original Question So I built my new desktop just about 3 weeks ago. I've been having a few issues which I think are all related to my motherboard, an Asus P8P67 Revision 3.1, but I'm not 100% sure as this is really the first from-scratch build I've ever done. I've posted these questions on the Asus forums, Asus Tech Support, and the Corsair forums as well as I thought it might have something to do with my power supply at one point. None of these avenues have solved my issue until now completely, so I thought I'd come here to see what you guys think. Here's what's happening: My computer is off, and I go to power it on. I press the power switch on the case (Antec Nine Hundred), and nothing seems to happen. Upon further inspection, I see that what this actually does is simply turn on the EPU LED on my motherboard, but doesn't actually boot anything up. I then have to go and flip the main power switch on the power supply off and back on. What this does is turn off all lights on the Motherboard after a few seconds, and turn them all back on (including the EPU LED that was off before I hit the power switch the first time). Now, hitting the power switch works. The machine boots up fine, and starts going through the boot up process. As a side note: My Motherboard is set to "Force BIOS", and every single time I change this to do the opposite, the next time my computer boots up that change reverts itself. I think this may be due to the fact that I am doing the hard reset on the power supply each time, but I'm not sure. I had thought that the Motherboard would keep its BIOS settings unless you did something to the Mobo itself - so this may be a related issue, or something else completely. That's basically it. Once it's on, it's on. It works fine, recognizes all of my hardware, and runs great. All fans/lights in the case work great, and I'm getting standard readings. The next time I go to shut the computer down however, I can expect the same exact process getting it up and running, including being forced to go into BIOS and exit again before I can load Windows. Another side note: If I power on my computer using the power switch DIRECTLY after shutting it down, it powers right back on (I think this is because the EPU LED light doesn't have time to turn off). It looks as if as long as the EPU LED is lit up on the motherboard before I hit the power switch on the case, the thing will boot up fine (although this doesn't explain the "Force BIOS" issue, at least it's something). Any ideas? Thanks guys. P.S. - System Specs Asus P8P67 Rev. 3.1 Motherboard Intel Core i7 2600K Processor 16GB (4x4GB) G-Skill 1600 RAM NVIDIA EVGA GTX 570 Video Card Crucial 128GB SSD HD Corsair 850W Power Supply Seagate 2TB HDD

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  • RAID controller dropping the wrong drive

    - by bramp
    I've been having an issue with 3ware 9500S-8 RAID 10, and I have contracted their tech support, but I wanted to hear the serverfault community's recommendations. Firstly, all my data is backuped and secure, so I don't mind blowing my RAID away if I have to. But let me describe the problem I've been seeing. A month ago, disk 6 dropped out of the RAID. It is mirrored with disk 7, so I wasn't that bothered. I went to the data centre and replaced it. When I got back to the office, I noticed that disk 6 will still not in the RAID, and in fact the controller was show the name of the old drive still. A week later I went back and replace the drive again, thinking I might have swapped in a bad drive. Still the same problem. I decided to reboot the machine, to see if that would "force" the controller into seeing the new drive. It did, and a rebuild started to happen (from disk 7). Eventually both drives were showing as good. A week later, the MySQL database has flagged the database is corrupt, and is unable to repair it. I don't know what has gone wrong, but I suspected this 6-7 pair. At this point I noticed that the RAID had constantly been verifying itself, over and over. Regardless of this I began to rebuild the database, which took about 19 hours. It's a big database. Near the end of the repair, the RAID controller told me it had dropped disk 7, and that some data was most likely corrupted. I contacted LSI tech support, and they very promptly started to help me. I mentioned that drive 7 had been dropped. They suspect that drive 7 was always at fault, and drive 6 had always been good. I want to know how often a RAID controller would drop the wrong drive (in this case dropping drive 6 a month ago, instead of 7). I foolishly didn't run smartctl on the drives before I started swapping them out. I just assumed the RAID controller knew what it was talking about. I think my plan of action is to replace drive 7, rebuild the array from scratch, double check smartctl on ALL the disks, and then start restoring my data again. I would appreciate anyone's input on what the correct procedure for swapping drives is, and how often failures like this happen. If anyone would like more information then I'd be happy to provide it. thanks in advance. Oh some more information. I'm running CentOS 5.3, with two RAID arrays, a simple RAID 1 for the OS, and RAID 10 for the database. Both arrays are on different controllers. The RAID 10 is made of 10 identical ST3640323AS drives, until I swapped in a SAMSUNG HD103SJ last month.

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  • "Service Unavailable" when browsing to static HTML page in non-application IIS website on Windows 2003 (possibly SharePoint WSS 2.0 related?)

    - by Jordan Rieger
    Background: My client has an old Pentium III Windows 2003 server whose 16/36 GB disks are dying. On it he has a database-driven web site and email application that needs further customization by a developer (me). First we need to get it working on the new server. The original developer is no longer available to provide a system setup guide. So my client got a tech who imaged the old drives over to the new server and managed to get it booting. But the IIS-driven site no longer works. In fact it seems that IIS itself does not work. Problem: Service Unavailable when attempting to browse from the server itself to the URL for a local Web Site called test which I setup in IIS to serve a single static index.htm file. This I did to isolate the problem, and eliminate the client's application from the equation. The site is setup on port 80 with the host header "test.myclientsdomain.com", and I used the etc\hosts file to point that host at the local IP. I know the host entry took effect because I can ping it. When doing an iisreset, I get: Attempting start... Restart attempt failed. IIS Admin Service or a service dependent on IIS Admin is not active. It most likely failed to start, which may mean that it's disabled. Despite this message, the services all stay in the Started state. The only relevant System event logs I found are: Event Type: Error Event Source: W3SVC Event Category: None Event ID: 1002 Date: 11/4/2012 Time: 11:04:47 PM User: N/A Computer: ALPHA1 Description: Application pool 'DefaultAppPool' is being automatically disabled due to a series of failures in the process(es) serving that application pool. Event Type: Error Event Source: W3SVC Event Category: None Event ID: 1039 Date: 11/4/2012 Time: 11:13:12 PM User: N/A Computer: ALPHA1 Description: A process serving application pool 'DefaultAppPool' reported a failure. The process id was '5636'. The data field contains the error number. Data: 0000: 7e 00 07 80 ~.. And one Application event log: Event Type: Error Event Source: Windows SharePoint Services 2.0 Event Category: None Event ID: 1000 Date: 11/4/2012 Time: 11:34:04 PM User: N/A Computer: ALPHA1 Description: #50070: Unable to connect to the database STS_Config on ALPHA2\SharePoint. Check the database connection information and make sure that the database server is running. That last log tells me that the tech may have initially tried to have both the old and the new server running, by renaming the new server from ALPHA1 to ALPHA2. And perhaps SharePoint grabbed onto that change, and now can't tell that the machine name has been switched back to the old ALPHA1. But why would SharePoint interfere with a static IIS web site serving a single HTML file? The test site is not even within an Application pool (I clicked the Remove button.) What I have tried/eliminated: No relevant services seem to be disabled: IIS Admin, WWW Publishing, Sharepoint Timer Giving Full Control to All Users/Everyone on the c:\inetpub\test folder serving my test site. I can connect to and query the local SharePoint config database (ALPHA1\SHAREPOINT\STS_CONFIG) from SSMS. But when I try to do stsadm -o setconfigdb -connect -databaseserver ALPHA1\SHAREPOINT it tells me The SharePoint admininstration port does not exist. Please use stsadm.exe to create it. And when I do that, using the port 9487 specified in the IIS SharePoint Admin site config, it tells me the port is already in use. Needless to say, simply browsing to the admin site gives me a similar error about being unable to reach the config database. I didn't want to go further down the SharePoint path as it may be completed unrelated to my IIS issue, and I don't even know yet if SharePoint is required for this application to work. The app itself is ASP.Net/C#/Silverlight and a little MS Word integration (maybe that's where the SharePoint stuff comes in.)

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  • Creating a multi-tenant application using PostgreSQL's schemas and Rails

    - by ramon.tayag
    Stuff I've already figured out I'm learning how to create a multi-tenant application in Rails that serves data from different schemas based on what domain or subdomain is used to view the application. I already have a few concerns answered: How can you get subdomain-fu to work with domains as well? Here's someone that asked the same question which leads you to this blog. What database, and how will it be structured? Here's an excellent talk by Guy Naor, and good question about PostgreSQL and schemas. I already know my schemas will all have the same structure. They will differ in the data they hold. So, how can you run migrations for all schemas? Here's an answer. Those three points cover a lot of the general stuff I need to know. However, in the next steps I seem to have many ways of implementing things. I'm hoping that there's a better, easier way. Finally, to my question When a new user signs up, I can easily create the schema. However, what would be the best and easiest way to load the structure that the rest of the schemas already have? Here are some questions/scenarios that might give you a better idea. Should I pass it on to a shell script that dumps the public schema into a temporary one, and imports it back to my main database (pretty much like what Guy Naor says in his video)? Here's a quick summary/script I got from the helpful #postgres on freenode. While this will probably work, I'm gonna have to do a lot of stuff outside of Rails, which makes me a bit uncomfortable.. which also brings me to the next question. Is there a way to do this straight from Ruby on Rails? Like create a PostgreSQL schema, then just load the Rails database schema (schema.rb - I know, it's confusing) into that PostgreSQL schema. Is there a gem/plugin that has these things already? Methods like "create_pg_schema_and_load_rails_schema(the_new_schema_name)". If there's none, I'll probably work at making one, but I'm doubtful about how well tested it'll be with all the moving parts (especially if I end up using a shell script to create and manage new PostgreSQL schemas). Thanks, and I hope that wasn't too long! UPDATE May 11, 2010 11:26 GMT+8 Since last night I've been able to get a method to work that creates a new schema and loads schema.rb into it. Not sure if what I'm doing is correct (seems to work fine, so far) but it's a step closer at least. If there's a better way please let me know. module SchemaUtils def self.add_schema_to_path(schema) conn = ActiveRecord::Base.connection conn.execute "SET search_path TO #{schema}, #{conn.schema_search_path}" end def self.reset_search_path conn = ActiveRecord::Base.connection conn.execute "SET search_path TO #{conn.schema_search_path}" end def self.create_and_migrate_schema(schema_name) conn = ActiveRecord::Base.connection schemas = conn.select_values("select * from pg_namespace where nspname != 'information_schema' AND nspname NOT LIKE 'pg%'") if schemas.include?(schema_name) tables = conn.tables Rails.logger.info "#{schema_name} exists already with these tables #{tables.inspect}" else Rails.logger.info "About to create #{schema_name}" conn.execute "create schema #{schema_name}" end # Save the old search path so we can set it back at the end of this method old_search_path = conn.schema_search_path # Tried to set the search path like in the methods above (from Guy Naor) # conn.execute "SET search_path TO #{schema_name}" # But the connection itself seems to remember the old search path. # If set this way, it works. conn.schema_search_path = schema_name # Directly from databases.rake. # In Rails 2.3.5 databases.rake can be found in railties/lib/tasks/databases.rake file = "#{Rails.root}/db/schema.rb" if File.exists?(file) Rails.logger.info "About to load the schema #{file}" load(file) else abort %{#{file} doesn't exist yet. It's possible that you just ran a migration!} end Rails.logger.info "About to set search path back to #{old_search_path}." conn.schema_search_path = old_search_path end end

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  • Doing CRUD on XML using id attributes in C# ASP.NET

    - by Brandon G
    I'm a LAMP guy and ended up working this small news module for an asp.net site, which I am having some difficulty with. I basically am adding and deleting elements via AJAX based on the id. Before, I had it working based on the the index of a set of elements, but would have issues deleting, since the index would change in the xml file and not on the page (since I am using ajax). Here is the rundown news.xml <?xml version="1.0" encoding="utf-8"?> <news> <article id="1"> <title>Red Shield Environmental implements the PARCSuite system</title> <story>Add stuff here</story> </article> <article id="2"> <title>Catalyst Paper selects PARCSuite for its Mill-Wide Process...</title> <story>Add stuff here</story> </article> <article id="3"> <title>Weyerhaeuser uses Capstone Technology to provide Control...</title> <story>Add stuff here</story> </article> </news> Page sending del request: <script type="text/javascript"> $(document).ready(function () { $('.del').click(function () { var obj = $(this); var id = obj.attr('rel'); $.post('add-news-item.aspx', { id: id }, function () { obj.parent().next().remove(); obj.parent().remove(); } ); }); }); </script> <a class="del" rel="1">...</a> <a class="del" rel="1">...</a> <a class="del" rel="1">...</a> My functions protected void addEntry(string title, string story) { XmlDocument news = new XmlDocument(); news.Load(Server.MapPath("../news.xml")); XmlAttributeCollection ids = news.Attributes; //Create a new node XmlElement newelement = news.CreateElement("article"); XmlElement xmlTitle = news.CreateElement("title"); XmlElement xmlStory = news.CreateElement("story"); XmlAttribute id = ids[0]; int myId = int.Parse(id.Value + 1); id.Value = ""+myId; newelement.SetAttributeNode(id); xmlTitle.InnerText = this.TitleBox.Text.Trim(); xmlStory.InnerText = this.StoryBox.Text.Trim(); newelement.AppendChild(xmlTitle); newelement.AppendChild(xmlStory); news.DocumentElement.AppendChild(newelement); news.Save(Server.MapPath("../news.xml")); } protected void deleteEntry(int selectIndex) { XmlDocument news = new XmlDocument(); news.Load(Server.MapPath("../news.xml")); XmlNode xmlnode = news.DocumentElement.ChildNodes.Item(selectIndex); xmlnode.ParentNode.RemoveChild(xmlnode); news.Save(Server.MapPath("../news.xml")); } I haven't updated deleteEntry() and you can see, I was using the array index but need to delete the article element based on the article id being passed. And when adding an entry, I need to set the id to the last elements id + 1. Yes, I know SQL would be 100 times easier, but I don't have access so... help?

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  • Partial view links not working in Fire Fox

    - by user329540
    I have a MVC4 asp.net application, I have two layouts a main layout for the main page and a second layout for the nested pages. The problem I have is with the second layout, on this layout I call a partial view which has my navigation links. In IE the navigation menu displays fine and when each item is clicked it navigates as expected. However in FF when the page renders the navigation bar is displayed but it has no 'click functionality' if you will its as if its simply text. My layout of nested page: <header> <img src="../../Images/fronttop.png" id="nestedPageheader" alt="Background Img"/> <div class="content-wrapper"> <section > <nav> <div id="navcontainer"> </div> </nav> </section> <div> </header> The script to retreive partial view and information for dynamic links on layout page. <script type="text/javascript"> var menuLoaded = false; $(document).ready(function () { if($('#navcontainer')[0].innerHTML.trim() == "") { $.ajax({ url: "@Url.Content("~/Home/MenuLayout")", type: "GET", success: function (response, status, xhr) { var nvContainer = $('#navcontainer'); nvContainer.html(response); menuLoaded = true; }, error: function (XMLHttpRequest, textStatus, errorThrown) { var nvContainer = $('#navcontainer'); nvContainer.html(errorThrown); } }); } }); </script> May partial view: @model Mscl.OpCost.Web.Models.stuffmodel <div class="menu"> <ul> <li><a>@Html.ActionLink("Home", "Index", "Home")</a></li> <li><a>@Html.ActionLink("some stuff", "stuffs", "stuff")</a></li> <li> <h5><a><span>somestuff</span></a></h5> <ul> <li><a>stuffs1s</a> <ul> @foreach (var image in Model.stuffs.Where(g => g.Grouping == 1)) { <li> <a>@Html.ActionLink(image.Title, "stuffs", "stuff", new { Id = image.CategoryId }, null)</a> </li> } </ul> </li> </ul> </il> </ul> </div> I need to know why this works fine in IE but why its not working in FF(all versions). Any assistance would be appreciated.

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  • Getting a Temporary Table Returned from from Dynamic SQL in SQL Server 05, and parsing

    - by gloomy.penguin
    So I was requested to make a few things.... (it is Monday morning and for some reason this whole thing is turning out to be really hard for me to explain so I am just going to try and post a lot of my code; sorry) First, I needed a table: CREATE TABLE TICKET_INFORMATION ( TICKET_INFO_ID INT IDENTITY(1,1) NOT NULL, TICKET_TYPE INT, TARGET_ID INT, TARGET_NAME VARCHAR(100), INFORMATION VARCHAR(MAX), TIME_STAMP DATETIME DEFAULT GETUTCDATE() ) -- insert this row for testing... INSERT INTO TICKET_INFORMATION (TICKET_TYPE, TARGET_ID, TARGET_NAME, INFORMATION) VALUES (1,1,'RT_ID','IF_ID,int=1&IF_ID,int=2&OTHER,varchar(10)=val,ue3&OTHER,varchar(10)=val,ue4') The Information column holds data that needs to be parsed into a table. This is where I am having problems. In the resulting table, Target_Name needs to become a column that holds Target_ID as a value for each row in the resulting table. The string that needs to be parsed is in this format: @var_name1,@var_datatype1=@var_value1&@var_name2,@var_datatype2=@var_value2&@var_name3,@var_datatype3=@var_value3 And what I ultimately need as a result (in a table or table variable): RT_ID IF_ID OTHER 1 1 val,ue3 1 2 val,ue3 1 1 val,ue4 1 2 val,ue4 And I need to be able to join on the result. Initially, I was just going to make this a function that returns a table variable but for some reason I can't figure out how to get it into an actual table variable. Whatever parses the string needs to be able to be used directly in queries so I don't think a stored procedure is really the right thing to be using. This is the code that parses the Information string... it returns in a temporary table. -- create/empty temp table for var_name, var_type and var_value fields if OBJECT_ID('tempdb..#temp') is not null drop table #temp create table #temp (row int identity(1,1), var_name varchar(max), var_type varchar(30), var_value varchar(max)) -- just setting stuff up declare @target_name varchar(max), @target_id varchar(max), @info varchar(max) set @target_name = (select target_name from ticket_information where ticket_info_id = 1) set @target_id = (select target_id from ticket_information where ticket_info_id = 1) set @info = (select information from ticket_information where ticket_info_id = 1) --print @info -- some of these variables are re-used later declare @col_type varchar(20), @query varchar(max), @select as varchar(max) set @query = 'select ' + @target_id + ' as ' + @target_name + ' into #target; ' set @select = 'select * into ##global_temp from #target' declare @var_name varchar(100), @var_type varchar(100), @var_value varchar(100) declare @comma_pos int, @equal_pos int, @amp_pos int set @comma_pos = 1 set @equal_pos = 1 set @amp_pos = 0 -- while loop to parse the string into a table while @amp_pos < len(@info) begin -- get new comma position set @comma_pos = charindex(',',@info,@amp_pos+1) -- get new equal position set @equal_pos = charindex('=',@info,@amp_pos+1) -- set stuff that is going into the table set @var_name = substring(@info,@amp_pos+1,@comma_pos-@amp_pos-1) set @var_type = substring(@info,@comma_pos+1,@equal_pos-@comma_pos-1) -- get new ampersand position set @amp_pos = charindex('&',@info,@amp_pos+1) if @amp_pos=0 or @amp_pos<@equal_pos set @amp_pos = len(@info)+1 -- set last variable for insert into table set @var_value = substring(@info,@equal_pos+1,@amp_pos-@equal_pos-1) -- put stuff into the temp table insert into #temp (var_name, var_type, var_value) values (@var_name, @var_type, @var_value) -- is this a new field? if ((select count(*) from #temp where var_name = (@var_name)) = 1) begin set @query = @query + ' create table #' + @var_name + '_temp (' + @var_name + ' ' + @var_type + '); ' set @select = @select + ', #' + @var_name + '_temp ' end set @query = @query + ' insert into #' + @var_name + '_temp values (''' + @var_value + '''); ' end if OBJECT_ID('tempdb..##global_temp') is not null drop table ##global_temp exec (@query + @select) --select @query --select @select select * from ##global_temp Okay. So, the result I want and need is now in ##global_temp. How do I put all of that into something that can be returned from a function (or something)? Or can I get something more useful returned from the exec statement? In the end, the results of the parsed string need to be in a table that can be joined on and used... Ideally this would have been a view but I guess it can't with all the processing that needs to be done on that information string. Ideas? Thanks!

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  • Is it possible to embed Cockburn style textual UML Use Case content in the code base to improve code

    - by fooledbyprimes
    experimenting with Cockburn use cases in code I was writing some complicated UI code. I decided to employ Cockburn use cases with fish,kite,and sea levels (discussed by Martin Fowler in his book 'UML Distilled'). I wrapped Cockburn use cases in static C# objects so that I could test logical conditions against static constants which represented steps in a UI workflow. The idea was that you could read the code and know what it was doing because the wrapped objects and their public contants gave you ENGLISH use cases via namespaces. Also, I was going to use reflection to pump out error messages that included the described use cases. The idea is that the stack trace could include some UI use case steps IN ENGLISH.... It turned out to be a fun way to achieve a mini,psuedo light-weight Domain Language but without having to write a DSL compiler. So my question is whether or not this is a good way to do this? Has anyone out there ever done something similar? c# example snippets follow Assume we have some aspx page which has 3 user controls (with lots of clickable stuff). User must click on stuff in one particular user control (possibly making some kind of selection) and then the UI must visually cue the user that the selection was successful. Now, while that item is selected, the user must browse through a gridview to find an item within one of the other user controls and then select something. This sounds like an easy thing to manage but the code can get ugly. In my case, the user controls all sent event messages which were captured by the main page. This way, the page acted like a central processor of UI events and could keep track of what happens when the user is clicking around. So, in the main aspx page, we capture the first user control's event. using MyCompany.MyApp.Web.UseCases; protected void MyFirstUserControl_SomeUIWorkflowRequestCommingIn(object sender, EventArgs e) { // some code here to respond and make "state" changes or whatever // // blah blah blah // finally we have this (how did we know to call fish level method?? because we knew when we wrote the code to send the event in the user control) UpdateUserInterfaceOnFishLevelUseCaseGoalSuccess(FishLevel.SomeNamedUIWorkflow.SelectedItemForPurchase) } protected void UpdateUserInterfaceOnFishLevelGoalSuccess(FishLevel.SomeNamedUIWorkflow goal) { switch (goal) { case FishLevel.SomeNamedUIWorkflow.NewMasterItemSelected: //call some UI related methods here including methods for the other user controls if necessary.... break; case FishLevel.SomeNamedUIWorkFlow.DrillDownOnDetails: //call some UI related methods here including methods for the other user controls if necessary.... break; case FishLevel.SomeNamedUIWorkFlow.CancelMultiSelect: //call some UI related methods here including methods for the other user controls if necessary.... break; // more cases... } } } //also we have protected void UpdateUserInterfaceOnSeaLevelGoalSuccess(SeaLevel.SomeNamedUIWorkflow goal) { switch (goal) { case SeaLevel.CheckOutWorkflow.ChangedCreditCard: // do stuff // more cases... } } } So, in the MyCompany.MyApp.Web.UseCases namespace we might have code like this: class SeaLevel... class FishLevel... class KiteLevel... The workflow use cases embedded in the classes could be inner classes or static methods or enumerations or whatever gives you the cleanest namespace. I can't remember what I did originally but you get the picture.

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  • urllib2 misbehaving with dynamically loaded content

    - by Sheena
    Some Code headers = {} headers['user-agent'] = 'User-Agent: Mozilla/5.0 (X11; Ubuntu; Linux x86_64; rv:16.0) Gecko/20100101 Firefox/16.0' headers['Accept'] = 'text/html,application/xhtml+xml,application/xml;q=0.9,*/*;q=0.8' headers['Accept-Language'] = 'en-gb,en;q=0.5' #headers['Accept-Encoding'] = 'gzip, deflate' request = urllib.request.Request(sURL, headers = headers) try: response = urllib.request.urlopen(request) except error.HTTPError as e: print('The server couldn\'t fulfill the request.') print('Error code: {0}'.format(e.code)) except error.URLError as e: print('We failed to reach a server.') print('Reason: {0}'.format(e.reason)) else: f = open('output/{0}.html'.format(sFileName),'w') f.write(response.read().decode('utf-8')) A url http://groupon.cl/descuentos/santiago-centro The situation Here's what I did: enable javascript in browser open url above and keep an eye on the console disable javascript repeat step 2 use urllib2 to grab the webpage and save it to a file enable javascript open the file with browser and observe console repeat 7 with javascript off results In step 2 I saw that a whole lot of the page content was loaded dynamically using ajax. So the HTML that arrived was a sort of skeleton and ajax was used to fill in the gaps. This is fine and not at all surprising Since the page should be seo friendly it should work fine without js. in step 4 nothing happens in the console and the skeleton page loads pre-populated rendering the ajax unnecessary. This is also completely not confusing in step 7 the ajax calls are made but fail. this is also ok since the urls they are using are not local, the calls are thus broken. The page looks like the skeleton. This is also great and expected. in step 8: no ajax calls are made and the skeleton is just a skeleton. I would have thought that this should behave very much like in step 4 question What I want to do is use urllib2 to grab the html from step 4 but I cant figure out how. What am I missing and how could I pull this off? To paraphrase If I was writing a spider I would want to be able to grab plain ol' HTML (as in that which resulted in step 4). I dont want to execute ajax stuff or any javascript at all. I don't want to populate anything dynamically. I just want HTML. The seo friendly site wants me to get what I want because that's what seo is all about. How would one go about getting plain HTML content given the situation I outlined? To do it manually I would turn off js, navigate to the page and copy the html. I want to automate this. stuff I've tried I used wireshark to look at packet headers and the GETs sent off from my pc in steps 2 and 4 have the same headers. Reading about SEO stuff makes me think that this is pretty normal otherwise techniques such as hijax wouldn't be used. Here are the headers my browser sends: Host: groupon.cl User-Agent: Mozilla/5.0 (X11; Ubuntu; Linux x86_64; rv:16.0) Gecko/20100101 Firefox/16.0 Accept: text/html,application/xhtml+xml,application/xml;q=0.9,*/*;q=0.8 Accept-Language: en-gb,en;q=0.5 Accept-Encoding: gzip, deflate Connection: keep-alive Here are the headers my script sends: Accept-Encoding: identity Host: groupon.cl Accept-Language: en-gb,en;q=0.5 Connection: close Accept: text/html,application/xhtml+xml,application/xml;q=0.9,*/*;q=0.8 User-Agent: User-Agent: Mozilla/5.0 (X11; Ubuntu; Linux x86_64; rv:16.0) Gecko/20100101 Firefox/16.0 The differences are: my script has Connection = close instead of keep-alive. I can't see how this would cause a problem my script has Accept-encoding = identity. This might be the cause of the problem. I can't really see why the host would use this field to determine the user-agent though. If I change encoding to match the browser request headers then I have trouble decoding it. I'm working on this now... watch this space, I'll update the question as new info comes up

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  • Facelet components layouts and javascript

    - by Java Drinker
    Hi all, I have a question regarding the placement of javascript within facelet components. This is more regarding best practice/style than a programming issue, but I feel like all the solutions I have thought of have been hacks at best. Ok here is my scenario: I have a facelet template like so (my faces, and apache Trinidad)... <ui:composition> <f:view locale="#{myLocale}"> <ui:insert name="messageBundles" /><!--Here we add load bundle tags--> <tr:document mode="strict" styleClass="coolStyleDoc"> <f:facet name="metaContainer"> <!--This trinidad defined facet is added to HTML head--> <tr:group> <!-- blah bal my own styles and js common to all --> <ui:insert name="metaData" /> </tr:group> </f:facet> <tr:form usesUpload="#{empty usesUpload ? 'false' : usesUpload}"> <div id="formTemplateHeader"> <ui:insert name="contentHeader" /> </div> <div id="formTemplateContentContainer"> <div id="formTemplateContent"> <ui:insert name="contentBody" /> </div> </div> <div id="formTemplateFooter"> <ui:insert name="contentFooter"> </ui:insert> </div> </tr:form> <!-- etc...---> Now, a facelet that wants to use this template would look like the following: <ui:composition template="/path/to/my/template.jspx"> <ui:define name="bundles"> <custom:loadBundle basename="messagesStuff" var="bundle" /> </ui:define> <ui:define name="metaData"> <script> <!-- cool javascript stuff goes here--> </script> </ui:define> <ui:define name="contentHeader"> <!-- MY HEADING!--> </ui:define> <ui:define name="contentBody"> <!-- MY Body!--> </ui:define> <ui:define name="contentFooter"> <!-- Copyright/footer stuff!--> </ui:define> </ui:composition> All this works quite well, but the problem I have is when I want to use a facelet component inside this page. If the facelet component has its own javascript code (jQuery stuff etc), how can I make it so that that javascript code is included in the header section of the generated html? Any help would be appreciated. Please let me know if this is not clear or something... thanks in advance

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  • Cart coding help

    - by user228390
    I've made a simple Javascript code for a shopping basket but now I have realised that I have made a error with making it and don't know how to fix it. What I have is Javascript file but I have also included the images source and the addtocart button as well, but What I am trying to do now is make 2 files one a .HTML file and another .JS file, but I can't get it to because when I make a button in the HTML file to call the function from the .JS file it won't work at all. <!DOCTYPE HTML PUBLIC "-//W3C//DTD HTML 4.01//EN" "http://www.w3.org/TR/html4/strict.dtd"> <HTML> <HEAD><TITLE>shopping</TITLE> <META http-equiv=Content-Type content="text/html; charset=UTF-8"> <STYLE type=text/CSS> fieldset{width:300px} legend{font-size:24px;font-family:comic sans ms;color:#004455} </STYLE> <META content="MSHTML 6.00.2900.2963" name=GENERATOR></HEAD> <BODY scroll="auto"> <div id="products"></div><hr> <div id="inCart"></div> <SCRIPT type="text/javascript"> var items=['Xbox~149.99','StuffedGizmo~19.98','GadgetyGoop~9.97']; var M='?'; var product=[]; var price=[]; var stuff=''; function wpf(product,price){var pf='<form><FIELDSET><LEGEND>'+product+'</LEGEND>'; pf+='<img src="../images/'+product+'.jpg" alt="'+product+'" ><p>price '+M+''+price+'</p> <b>Qty</b><SELECT>'; for(i=0;i<6;i++){pf+='<option value="'+i+'">'+i+'</option>'} pf+='</SELECT>'; pf+='<input type="button" value="Add to cart" onclick="cart()" /></FIELDSET></form>'; return pf } for(j=0;j<items.length;j++){ product[j]=items[j].substring(0,items[j].indexOf('~')); price[j]=items[j].substring(items[j].indexOf('~')+1,items[j].length); stuff+=''+wpf(product[j],price[j])+''; } document.getElementById('products').innerHTML=stuff; function cart(){ var order=[]; var tot=0 for(o=0,k=0;o<document.forms.length;o++){ if(document.forms[o].elements[1].value!=0){ qnty=document.forms[o].elements[1].value; order[k]=''+product[o]+'_'+qnty+'*'+price[o]+''; tot+=qnty*price[o];k++ } } document.getElementById('inCart').innerHTML=order.join('<br>')+'<h3>Total '+tot+'</h3>'; } </SCRIPT> <input type="button" value="Add to cart" onclick="cart()" /></FIELDSET></form> </BODY></HTML>

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  • How can I hit my database with an AJAX call using javascript?

    - by tmedge
    I am pretty new at this stuff, so bear with me. I am using ASP.NET MVC. I have created an overlay to cover the page when someone clicks a button corresponding to a certain database entry. Because of this, ALL of my code for this functionality is in a .js file contained within my project. What I need to do is pull the info corresponding to my entry from the database itself using an AJAX call, and place that into my textboxes. Then, after the end-user has made the desired changes, I need to update that entry's values to match the input. I've been surfing the web for a while, and have failed to find an example that fits my needs effectively. Here is my code in my javascript file thus far: function editOverlay(picId) { //pull up an overlay $('body').append('<div class="overlay" />'); var $overlayClass = $('.overlay'); $overlayClass.append('<div class="dataModal" />'); var $data = $('.dataModal'); overlaySetup($overlayClass, $data); //set up form $data.append('<h1>Edit Picture</h1><br /><br />'); $data.append('Picture name: &nbsp;'); $data.append('<input class="picName" /> <br /><br /><br />'); $data.append('Relative url: &nbsp;'); $data.append('<input class="picRelURL" /> <br /><br /><br />'); $data.append('Description: &nbsp;'); $data.append('<textarea class="picDescription" /> <br /><br /><br />'); var $nameBox = $('.picName'); var $urlBox = $('.picRelURL'); var $descBox = $('.picDescription'); var pic = null; //this is where I need to pull the actual object from the db //var imgList = for (var temp in imgList) { if (temp.Id == picId) { pic= temp; } } /* $nameBox.attr('value', pic.Name); $urlBox.attr('value', pic.RelativeURL); $descBox.attr('value', pic.Description); */ //close buttons $data.append('<input type="button" value="Save Changes" class="saveButton" />'); $data.append('<input type="button" value="Cancel" class="cancelButton" />'); $('.saveButton').click(function() { /* pic.Name = $nameBox.attr('value'); pic.RelativeURL = $urlBox.attr('value'); pic.Description = $descBox.attr('value'); */ //make a call to my Save() method in my repository CloseOverlay(); }); $('.cancelButton').click(function() { CloseOverlay(); }); } The stuff I have commented out is what I need to accomplish and/or is not available until prior issues are resolved. Any and all advice is appreciated! Remember, I am VERY new to this stuff (two weeks, to be exact) and will probably need highly explicit instructions. BTW: overlaySetup() and CloseOverlay() are functions I have living someplace else. Thanks!

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  • Nested loop traversing arrays

    - by alecco
    There are 2 very big series of elements, the second 100 times bigger than the first. For each element of the first series, there are 0 or more elements on the second series. This can be traversed and processed with 2 nested loops. But the unpredictability of the amount of matching elements for each member of the first array makes things very, very slow. The actual processing of the 2nd series of elements involves logical and (&) and a population count. I couldn't find good optimizations using C but I am considering doing inline asm, doing rep* mov* or similar for each element of the first series and then doing the batch processing of the matching bytes of the second series, perhaps in buffers of 1MB or something. But the code would be get quite messy. Does anybody know of a better way? C preferred but x86 ASM OK too. Many thanks! Sample/demo code with simplified problem, first series are "people" and second series are "events", for clarity's sake. (the original problem is actually 100m and 10,000m entries!) #include <stdio.h> #include <stdint.h> #define PEOPLE 1000000 // 1m struct Person { uint8_t age; // Filtering condition uint8_t cnt; // Number of events for this person in E } P[PEOPLE]; // Each has 0 or more bytes with bit flags #define EVENTS 100000000 // 100m uint8_t P1[EVENTS]; // Property 1 flags uint8_t P2[EVENTS]; // Property 2 flags void init_arrays() { for (int i = 0; i < PEOPLE; i++) { // just some stuff P[i].age = i & 0x07; P[i].cnt = i % 220; // assert( sum < EVENTS ); } for (int i = 0; i < EVENTS; i++) { P1[i] = i % 7; // just some stuff P2[i] = i % 9; // just some other stuff } } int main(int argc, char *argv[]) { uint64_t sum = 0, fcur = 0; int age_filter = 7; // just some init_arrays(); // Init P, P1, P2 for (int64_t p = 0; p < PEOPLE ; p++) if (P[p].age < age_filter) for (int64_t e = 0; e < P[p].cnt ; e++, fcur++) sum += __builtin_popcount( P1[fcur] & P2[fcur] ); else fcur += P[p].cnt; // skip this person's events printf("(dummy %ld %ld)\n", sum, fcur ); return 0; } gcc -O5 -march=native -std=c99 test.c -o test

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  • Real Excel Templates I

    - by Tim Dexter
    As promised, I'm starting to document the new Excel templates that I teased you all with a few weeks back. Leslie is buried in 11g documentation and will not get to officially documenting the templates for a while. I'll do my best to be professional and not ramble on about this and that, although the weather here has finally turned and its 'scorchio' here in Colorado today. Maybe our stand of Aspen will finally come into leaf ... but I digress. Preamble These templates are not actually that new, I helped in a small way to develop them a few years back with Excel 'meistress' Shirley for a company that was trying to use the Report Manager(RR) Excel FSG outputs under EBS 12. The functionality they needed was just not there in the RR FSG templates, the templates are actually XSL that is created from the the RR Excel template builder and fed to BIP for processing. Think of Excel from our RTF templates and you'll be there ie not really Excel but HTML masquerading as Excel. Although still under controlled release in EBS they have now made their way to the standlone release and are willing to share their Excel goodness. You get everything you have with hte Excel Analyzer Excel templates plus so much more. Therein lies a question, what will happen to the Analyzer templates? My understanding is that both will come together into a single Excel template format some time in the post-11g release world. The new XLSX format for Exce 2007/10 is also in the mix too so watch this space. What more do these templates offer? Well, you can structure data in the Excel output. Similar to RTF templates you can create sheets of data that have master-detail n relationships. Although the analyzer templates can do this, you have to get into macros whereas BIP will do this all for you. You can also use native XSL functions in your data to manipulate it prior to rendering. BP functions are not currently supported. The most impressive, for me at least, is the sheet 'bursting'. You can split your hierarchical data across multiple sheets and dynamically name those sheets. Finally, you of course, still get all the native Excel functionality. Pre-reqs You must be on 10.1.3.4.1 plus the latest rollup patch, 9546699. You can patch upa BIP instance running with OBIEE, no problem You need Excel 2000 or above to build the templates Some patience - there is no Excel template builder for these new templates. So its all going to have to be done by hand. Its not that tough but can get a little 'fiddly'. You can not test the template from Excel , it has to be deployed and then run. Limitations The new templates are definitely superior to the Analyzer templates but there are a few limitations. Re-grouping is not supported. You can only follow a data hierarchy not bend it to your will unless you want to get into macros. No support for BIP functions. The templates support native XSL functions only. No template builder Getting Started The templates make the use of named cells and groups of cells to allow BIP to find the insertion point for data points. It also uses a hidden sheet to store calculation mappings from named cells to XML data elements. To start with, in the great BIP tradition, we need some sample XML data. Becasue I wanted to show the master-detail output we need some hierarchical data. If you have not yet gotten into the data templates, now is a good time, I wrote a post a while back starting from the simple to more complex. They generate ideal data sets for these templates. Im working with the following data set: <EMPLOYEES> <LIST_G_DEPT> <G_DEPT> <DEPARTMENT_ID>10</DEPARTMENT_ID> <DEPARTMENT_NAME>Administration</DEPARTMENT_NAME> <LIST_G_EMP> <G_EMP> <EMPLOYEE_ID>200</EMPLOYEE_ID> <EMP_NAME>Jennifer Whalen</EMP_NAME> <EMAIL>JWHALEN</EMAIL> <PHONE_NUMBER>515.123.4444</PHONE_NUMBER> <HIRE_DATE>1987-09-17T00:00:00.000-06:00</HIRE_DATE> <SALARY>4400</SALARY> </G_EMP> </LIST_G_EMP> <TOTAL_EMPS>1</TOTAL_EMPS> <TOTAL_SALARY>4400</TOTAL_SALARY> <AVG_SALARY>4400</AVG_SALARY> <MAX_SALARY>4400</MAX_SALARY> <MIN_SALARY>4400</MIN_SALARY> </G_DEPT> ... <LIST_G_DEPT> <EMPLOYEES> Simple enough to follow and bread and butter stuff for an RTF template. Building the Template For an Excel template we need to start by thinking about how we want to render the data. Come up with a sample output in Excel. Its all dummy data, nothing marked up yet with one row of data for each level. I have the department name and then a repeating row for the employees. You can apply Excel formatting to the layout. The total is going to be derived from a data element. We'll get to Excel functions later. Marking Up Cells Next we need to start marking up the cells with custom names to map them to data elements. The cell names need to follow a specific format: For data grouping, XDO_GROUP_?group_name? For data elements, XDO_?element_name? Notice the question mark delimter, the group_name and element_name are case sensitive. The next step is to find how to name cells; the easiest method is to highlight the cell and then type in the name. You can also find the Name Manager dialog. I use 2007 and its available on the ribbon under the Formulas section Go thorugh the process of naming all the cells for the element values you have. Using my data set from above.You should end up with something like this in your 'Name Manager' dialog. You can update any mistakes you might have made through this dialog. Creating Groups In the image above you can see there are a couple of named group cells. To create these its a simple case of highlighting the cells that make up the group and then naming them. For the EMP group, highlight the employee row and then type in the name, XDO_GROUP?G_EMP? Notice the 10,000 total is outside of the G_EMP group. Its actually named, XDO_?TOTAL_SALARY?, a query calculated value. For the department group, we need to include the department name cell and the sub EMP grouping and name it, XDO_GROUP?G_DEPT? Notice, the 10,000 total is included in the G_DEPT group. This will ensure it repeats at the department level. Lastly, we do need to include a special sheet in the workbook. We will not have anything meaningful in there for now, but it needs to be present. Create a new sheet and name it XDO_METADATA. The name is important as the BIP rendering engine will looking for it. For our current example we do not need anything other than the required stuff in our XDO_METADATA sheet but, it must be present. Easy enough to hide it. Here's what I have: The only cell that is important is the 'Data Constraints:' cell. The rest is optional. To save curious users getting distracted, hide the metadata sheet. Deploying & Running Templates We should now have a usable Excel template. Loading it into a report is easy enough using the browser UI, just like an RTF template. Set the template type to Excel. You will now be able to run the report and hopefully get something like this. You will not get the red highlighting, thats just some conditional formatting I added to the template using Excel functionality. Your dates are probably going to look raw too. I got around this for now using an Excel function on the cell: =--REPLACE(SUBSTITUTE(E8,"T"," "),LEN(E8)-6,6,"") Google to the rescue on that one. Try some other stuff out. To avoid constantly loading the template through the UI. If you have BIP running locally or you can access the reports repository, once you have loaded the template the first time. Just save the template directly into the report folder. I have put together a sample report using a sample data set, available here. Just drop the xml data file, EmpbyDeptExcelData.xml into 'demo files' folder and you should be good to go. Thats the basics, next we'll start using some XSL functions in the template and move onto the 'bursting' across sheets.

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  • Solaris 11 Launch Blog Carnival Roundup

    - by constant
    Solaris 11 is here! And together with the official launch activities, a lot of Oracle and non-Oracle bloggers contributed helpful and informative blog articles to help your datacenter go to eleven. Here are some notable blog postings, sorted by category for your Solaris 11 blog-reading pleasure: Getting Started/Overview A lot of people speculated that the official launch of Solaris 11 would be on 11/11 (whatever way you want to turn it), but it actually happened two days earlier. Larry Wake himself offers 11 Reasons Why Oracle Solaris 11 11/11 Isn't Being Released on 11/11/11. Then, Larry goes on with a summary: Oracle Solaris 11: The First Cloud OS gives you a short and sweet rundown of what the major new features of Solaris 11 are. Jeff Victor has his own list of What's New in Oracle Solaris 11. A popular Solaris 11 meme is to write a blog post about 11 favourite features: Jim Laurent's 11 Reasons to Love Solaris 11, Darren Moffat's 11 Favourite Solaris 11 Features, Mike Gerdt's 11 of My Favourite Things! are just three examples of "11 Favourite Things..." type blog posts, I'm sure many more will follow... More official overview content for Solaris 11 is available from the Oracle Tech Network Solaris 11 Portal. Also, check out Rick Ramsey's blog post Solaris 11 Resources for System Administrators on the OTN Blog and his secret 5 Commands That Make Solaris Administration Easier post from the OTN Garage. (Automatic) Installation and the Image Packaging System (IPS) The brand new Image Packaging System (IPS) and the Automatic Installer (IPS), together with numerous other install/packaging/boot/patching features are among the most significant improvements in Solaris 11. But before installing, you may wonder whether Solaris 11 will support your particular set of hardware devices. Again, the OTN Garage comes to the rescue with Rick Ramsey's post How to Find Out Which Devices Are Supported By Solaris 11. Included is a useful guide to all the first steps to get your Solaris 11 system up and running. Tim Foster had a whole handful of blog posts lined up for the launch, teaching you everything you need to know about IPS but didn't dare to ask: The IPS System Repository, IPS Self-assembly - Part 1: Overlays and Part 2: Multiple Packages Delivering Configuration. Watch out for more IPS posts from Tim! If installing packages or upgrading your system from the net makes you uneasy, then you're not alone: Jim Laurent will tech you how Building a Solaris 11 Repository Without Network Connection will make your life easier. Many of you have already peeked into the future by installing Solaris 11 Express. If you're now wondering whether you can upgrade or whether a fresh install is necessary, then check out Alan Hargreaves's post Upgrading Solaris 11 Express b151a with support to Solaris 11. The trick is in upgrading your pkg(1M) first. Networking One of the first things to do after installing Solaris 11 (or any operating system for that matter), is to set it up for networking. Solaris 11 comes with the brand new "Network Auto-Magic" feature which can figure out everything by itself. For those cases where you want to exercise a little more control, Solaris 11 left a few people scratching their heads. Fortunately, Tschokko wrote up this cool blog post: Solaris 11 manual IPv4 & IPv6 configuration right after the launch ceremony. Thanks, Tschokko! And Milek points out a long awaited networking feature in Solaris 11 called Solaris 11 - hostmodel, which I know for a fact that many customers have looked forward to: How to "bind" a Solaris 11 system to a specific gateway for specific IP address it is using. Steffen Weiberle teaches us how to tune the Solaris 11 networking stack the proper way: ipadm(1M). No more fiddling with ndd(1M)! Check out his tutorial on Solaris 11 Network Tunables. And if you want to get even deeper into the networking stack, there's nothing better than DTrace. Alan Maguire teaches you in: DTracing TCP Congestion Control how to probe deeply into the Solaris 11 TCP/IP stack, the TCP congestion control part in particular. Don't miss his other DTrace and TCP related blog posts! DTrace And there we are: DTrace, the king of all observability tools. Long time DTrace veteran and co-author of The DTrace book*, Brendan Gregg blogged about Solaris 11 DTrace syscall provider changes. BTW, after you install Solaris 11, check out the DTrace toolkit which is installed by default in /usr/dtrace/DTT. It is chock full of handy DTrace scripts, many of which contributed by Brendan himself! Security Another big theme in Solaris 11, and one that is crucial for the success of any operating system in the Cloud is Security. Here are some notable posts in this category: Darren Moffat starts by showing us how to completely get rid of root: Completely Disabling Root Logins on Solaris 11. With no root user, there's one major entry point less to worry about. But that's only the start. In Immutable Zones on Encrypted ZFS, Darren shows us how to double the security of your services: First by locking them into the new Immutable Zones feature, then by encrypting their data using the new ZFS encryption feature. And if you're still missing sudo from your Linux days, Darren again has a solution: Password (PAM) caching for Solaris su - "a la sudo". If you're wondering how much compute power all this encryption will cost you, you're in luck: The Solaris X86 AESNI OpenSSL Engine will make sure you'll use your Intel's embedded crypto support to its fullest. And if you own a brand new SPARC T4 machine you're even luckier: It comes with its own SPARC T4 OpenSSL Engine. Dan Anderson's posts show how there really is now excuse not to encrypt any more... Developers Solaris 11 has a lot to offer to developers as well. Ali Bahrami has a series of blog posts that cover diverse developer topics: elffile: ELF Specific File Identification Utility, Using Stub Objects and The Stub Proto: Not Just For Stub Objects Anymore to name a few. BTW, if you're a developer and want to shape the future of Solaris 11, then Vijay Tatkar has a hint for you: Oracle (Sun Systems Group) is hiring! Desktop and Graphics Yes, Solaris 11 is a 100% server OS, but it can also offer a decent desktop environment, especially if you are a developer. Alan Coopersmith starts by discussing S11 X11: ye olde window system in today's new operating system, then Calum Benson shows us around What's new on the Solaris 11 Desktop. Even accessibility is a first-class citizen in the Solaris 11 user interface. Peter Korn celebrates: Accessible Oracle Solaris 11 - released! Performance Gone are the days of "Slowaris", when Solaris was among the few OSes that "did the right thing" while others cut corners just to win benchmarks. Today, Solaris continues doing the right thing, and it delivers the right performance at the same time. Need proof? Check out Brian's BestPerf blog with continuous updates from the benchmarking lab, including Recent Benchmarks Using Oracle Solaris 11! Send Me More Solaris 11 Launch Articles! These are just a few of the more interesting blog articles that came out around the Solaris 11 launch, I'm sure there are many more! Feel free to post a comment below if you find a particularly interesting blog post that hasn't been listed so far and share your enthusiasm for Solaris 11! *Affiliate link: Buy cool stuff and support this blog at no extra cost. We both win! var flattr_uid = '26528'; var flattr_tle = 'Solaris 11 Launch Blog Carnival Roundup'; var flattr_dsc = '<strong>Solaris 11 is here!</strong>And together with the official launch activities, a lot of Oracle and non-Oracle bloggers contributed helpful and informative blog articles to help your datacenter <a href="http://en.wikipedia.org/wiki/Up_to_eleven">go to eleven</a>.Here are some notable blog postings, sorted by category for your Solaris 11 blog-reading pleasure:'; var flattr_tag = 'blogging,digest,Oracle,Solaris,solaris,solaris 11'; var flattr_cat = 'text'; var flattr_url = 'http://constantin.glez.de/blog/2011/11/solaris-11-launch-blog-carnival-roundup'; var flattr_lng = 'en_GB'

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  • Who IS Brian Solis?

    - by Michael Snow
    Q: Brian, Welcome to the WebCenter Blog. Can you tell our readers your current role and what career path brought you here? A: I’m proudly serving as a principal analyst at Altimeter Group, a research based advisory firm in Silicon Valley. My career path, well, let’s just say it’s a long and winding road. As a kid, I was fascinated with technology. I learned programming at an early age and found myself naturally drawn to all things tech. I started my career as a database programmer at a technology marketing agency in Southern California. When I saw the chance to work with tech companies and help them better market their capabilities to businesses and consumers, I switched focus from programming to marketing and advertising. As technologist, my approach to marketing was different. I didn’t believe in hype, fluff or buzz words. I believed in translating features into benefits and specifications and capabilities into solutions for real world problems and opportunities. In the mid 90’s I experimented with direct to consumer/customer engagement in dedicated technology forums and boards. I quickly realized that the entire approach to do so would need to change. Therefore, I learned and developed new methods for a more social and informed way of engaging people in ways that helped them, marketed the company, and also tied to tangible benefits for the company. This work would lead me to start an agency in 1999 dedicated to interactive marketing. As I continued to experiment with interactive platforms, I developed interesting methods for converting one-to-many forms of media into one-to-one-to-many programs. I ran that company until joining Altimeter Group. Along the way, in the early 2000s, I realized that everything was changing and that there were others like me finding success in what would become a more social form of media. I dedicated a significant amount of my time to sharing everything that I learned in the form of articles, blogs, and eventually books. My mission became to share my experience with anyone who’d listen. It would later become much bigger than marketing, this would lead to a decade of work, that still continues, in business transformation. Then and now, I find myself always assuming the role of a student. Q: As an industry analyst & technology change evangelist, what are you primarily focused on these days? A: As a digital analyst, I study how disruptive technology impacts business. As an aspiring social scientist, I study how technology affects human behavior. I explore both horizons professionally and personally to better understand the future of popular culture and also the opportunities that exist for organizations to improve relationships and experiences with customers and the people that are important to them. Q: People cite that the line between work and life is getting more and more blurred. Do you see your personal life influencing your professional work? A: The line between work and life isn’t blurred it’s been overtly crossed and erased. We live in an always on society. The digital lifestyle keeps us connected to one another it keeps us connected all the time. Whether your sending or checking email, trying to catch up, or simply trying to get ahead, people are spending the equivalent of an extra day at work in the time they spend out of work…working. That’s absurd. It’s a matter of survival. It’s also a matter of unintended, subconscious self-causation. We brought this on ourselves and continue to do so. Think about your day. You’re in meetings for the better part of each day. You probably spend evenings and weekends catching up on email and actually doing the work you couldn’t get to during the day. And, your co-workers and executives are doing the same thing. So if you try to slow down, you find yourself at a disadvantage as you’re willfully pulling yourself out of an unfortunate culture of whenever wherever business dynamics. If you’re unresponsive or unreachable, someone within your organization or on your team is accessible. Over time, this could contribute to unfavorable impressions. I choose to steer my life balance in ways that complement one another. But, I don’t pretend to have this figured out by any means. In fact, I find myself swimming upstream like those around me. It’s essentially a competition for relevance and at some point I’ll learn how to earn attention and relevance while redrawing the line between work and life. Q: How can people keep up with what you’re working on? A: The easy answer is that people can keep up with me at briansolis.com. But, I also try to reach people where their attention is focused. Whether it’s Facebook (facebook.com/briansolis), Twitter (@briansolis), Google+ (+briansolis), Youtube (briansolis.tv) or through books and conferences, people can usually find me in a place of their choosing. Q: Recently, you’ve been working with us here at Oracle on something exciting coming up later this week. What’s on the horizon? A: I spent some time with the Oracle team reviewing the idea of Digital Darwinism and how technology and society are evolving faster than many organizations can adapt. Digital Darwinism: How Brands Can Survive the Rapid Evolution of Society and Technology Thursday, December 13, 2012, 10 a.m. PT / 1 p.m. ET Q: You’ve been very actively pursued for media interviews and conference and company speaking engagements – anything you’d like to share to give us a sneak peak of what to expect on Thursday’s webcast? A: We’re inviting guests to join us online as we dive into the future of business and how the convergence of technology and connected consumerism would ultimately impact how business is done. It’ll be an exciting and revealing conversation that explores just how much everything is changing. We’ll also review the importance of adapting to emergent trends and how to compete for the future. It’s important to recognize that change is not happening to us, it’s happening because of us. We are part of the revolution and therefore we need to help organizations adapt from the inside out. Watch the Entire Oracle Social Business Thought Leaders Webcast Series On-Demand and Stay Tuned for More to Come in 2013!

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  • SQL SERVER – Guest Post – Architecting Data Warehouse – Niraj Bhatt

    - by pinaldave
    Niraj Bhatt works as an Enterprise Architect for a Fortune 500 company and has an innate passion for building / studying software systems. He is a top rated speaker at various technical forums including Tech·Ed, MCT Summit, Developer Summit, and Virtual Tech Days, among others. Having run a successful startup for four years Niraj enjoys working on – IT innovations that can impact an enterprise bottom line, streamlining IT budgets through IT consolidation, architecture and integration of systems, performance tuning, and review of enterprise applications. He has received Microsoft MVP award for ASP.NET, Connected Systems and most recently on Windows Azure. When he is away from his laptop, you will find him taking deep dives in automobiles, pottery, rafting, photography, cooking and financial statements though not necessarily in that order. He is also a manager/speaker at BDOTNET, Asia’s largest .NET user group. Here is the guest post by Niraj Bhatt. As data in your applications grows it’s the database that usually becomes a bottleneck. It’s hard to scale a relational DB and the preferred approach for large scale applications is to create separate databases for writes and reads. These databases are referred as transactional database and reporting database. Though there are tools / techniques which can allow you to create snapshot of your transactional database for reporting purpose, sometimes they don’t quite fit the reporting requirements of an enterprise. These requirements typically are data analytics, effective schema (for an Information worker to self-service herself), historical data, better performance (flat data, no joins) etc. This is where a need for data warehouse or an OLAP system arises. A Key point to remember is a data warehouse is mostly a relational database. It’s built on top of same concepts like Tables, Rows, Columns, Primary keys, Foreign Keys, etc. Before we talk about how data warehouses are typically structured let’s understand key components that can create a data flow between OLTP systems and OLAP systems. There are 3 major areas to it: a) OLTP system should be capable of tracking its changes as all these changes should go back to data warehouse for historical recording. For e.g. if an OLTP transaction moves a customer from silver to gold category, OLTP system needs to ensure that this change is tracked and send to data warehouse for reporting purpose. A report in context could be how many customers divided by geographies moved from sliver to gold category. In data warehouse terminology this process is called Change Data Capture. There are quite a few systems that leverage database triggers to move these changes to corresponding tracking tables. There are also out of box features provided by some databases e.g. SQL Server 2008 offers Change Data Capture and Change Tracking for addressing such requirements. b) After we make the OLTP system capable of tracking its changes we need to provision a batch process that can run periodically and takes these changes from OLTP system and dump them into data warehouse. There are many tools out there that can help you fill this gap – SQL Server Integration Services happens to be one of them. c) So we have an OLTP system that knows how to track its changes, we have jobs that run periodically to move these changes to warehouse. The question though remains is how warehouse will record these changes? This structural change in data warehouse arena is often covered under something called Slowly Changing Dimension (SCD). While we will talk about dimensions in a while, SCD can be applied to pure relational tables too. SCD enables a database structure to capture historical data. This would create multiple records for a given entity in relational database and data warehouses prefer having their own primary key, often known as surrogate key. As I mentioned a data warehouse is just a relational database but industry often attributes a specific schema style to data warehouses. These styles are Star Schema or Snowflake Schema. The motivation behind these styles is to create a flat database structure (as opposed to normalized one), which is easy to understand / use, easy to query and easy to slice / dice. Star schema is a database structure made up of dimensions and facts. Facts are generally the numbers (sales, quantity, etc.) that you want to slice and dice. Fact tables have these numbers and have references (foreign keys) to set of tables that provide context around those facts. E.g. if you have recorded 10,000 USD as sales that number would go in a sales fact table and could have foreign keys attached to it that refers to the sales agent responsible for sale and to time table which contains the dates between which that sale was made. These agent and time tables are called dimensions which provide context to the numbers stored in fact tables. This schema structure of fact being at center surrounded by dimensions is called Star schema. A similar structure with difference of dimension tables being normalized is called a Snowflake schema. This relational structure of facts and dimensions serves as an input for another analysis structure called Cube. Though physically Cube is a special structure supported by commercial databases like SQL Server Analysis Services, logically it’s a multidimensional structure where dimensions define the sides of cube and facts define the content. Facts are often called as Measures inside a cube. Dimensions often tend to form a hierarchy. E.g. Product may be broken into categories and categories in turn to individual items. Category and Items are often referred as Levels and their constituents as Members with their overall structure called as Hierarchy. Measures are rolled up as per dimensional hierarchy. These rolled up measures are called Aggregates. Now this may seem like an overwhelming vocabulary to deal with but don’t worry it will sink in as you start working with Cubes and others. Let’s see few other terms that we would run into while talking about data warehouses. ODS or an Operational Data Store is a frequently misused term. There would be few users in your organization that want to report on most current data and can’t afford to miss a single transaction for their report. Then there is another set of users that typically don’t care how current the data is. Mostly senior level executives who are interesting in trending, mining, forecasting, strategizing, etc. don’t care for that one specific transaction. This is where an ODS can come in handy. ODS can use the same star schema and the OLAP cubes we saw earlier. The only difference is that the data inside an ODS would be short lived, i.e. for few months and ODS would sync with OLTP system every few minutes. Data warehouse can periodically sync with ODS either daily or weekly depending on business drivers. Data marts are another frequently talked about topic in data warehousing. They are subject-specific data warehouse. Data warehouses that try to span over an enterprise are normally too big to scope, build, manage, track, etc. Hence they are often scaled down to something called Data mart that supports a specific segment of business like sales, marketing, or support. Data marts too, are often designed using star schema model discussed earlier. Industry is divided when it comes to use of data marts. Some experts prefer having data marts along with a central data warehouse. Data warehouse here acts as information staging and distribution hub with spokes being data marts connected via data feeds serving summarized data. Others eliminate the need for a centralized data warehouse citing that most users want to report on detailed data. Reference: Pinal Dave (http://blog.SQLAuthority.com) Filed under: Best Practices, Business Intelligence, Data Warehousing, Database, Pinal Dave, PostADay, Readers Contribution, SQL, SQL Authority, SQL Query, SQL Server, SQL Tips and Tricks, T SQL, Technology

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  • How did I get here? My route to Android, iPhone, Windows Phone 7, and interest in Mobile Devices

    - by Wallym
    I get asked all the time how/why I got interested in mobile and jumped on this fairly early.  I tend to give half answers because it wasn't just one thing that took me to mobile, but a whole host of separate ivents culminating in a specific event where I wasdoing market research in May/June 2008.  Let me throw out the events and the facts about me: I tend to like new, different, cool stuff.  I jumped on .NET early on.  I jumped on Ajax early on.  I don't jump on every new technology that comes down the road, I'm probably the only person on the planet that doesn't "get" MVC, though I acknowledge that a lot of people do and it solves a number of problems in the default settings of ASP.NET WebForms. I remember buying an early Windows CE device. It was interesting, but dang, this stylus thing sucks. After I lost my third stylus, i just gave up.  I got my first mobile phone in early 1999.  Reception was crappy, but I could see the value in being mobile. In 1999, I worked on a manufacturing systems project.  One piece of the projects was a set of handheld devices on the shop floor.  While the UI was a crappy DOS based, yes I said DOS as in Disk Operating System Version 6.22, I could see that the wireless world was a direction I wanted to be in. In 2000, Microsoft released the first public alpha of .NET.  Very cool stuff indeed.  One piece of the puzzle was a set of mobile controls for ASP.NET.  I build numerous test apps as well as mobile version using these mobile controls.  Now, the mobile UIs of the time were based on WML, which was crap. I could real all the analysis of mobile and read all about growth rates.  Now, you have to realize that growth rates can be impressive when dealing with small numbers, but I knew it was a comer. In our first book, I got talked out of mobile because of the line from the publisher "Wally, mobile doesn't sell." Blackberry was the dominant device of the mid 2000s.  Its users were referred to as "Crackberry addicts."  Unfortunately, the mobile development experience for native apps was crap and the web experience was fairly rough as well, but if they could get the ecosystem started, other phones and better blackberryies would come out.  I finally jumped into using a blackberry. Sometime around 2006, I heard "Wally, mobile doesn't sell" again.  Now, anyone that knows me knows that someone saying something like this to me means I'll keep trying it. The phones of the mid 2000s were moving to be more graphical, but there were too many that had this idea that they had to use a stylus.  Stylus suck.  They get lost too easily. I worked on a project in 2007 and 2008 for a startup trying to answer the question of "What is there to do where I am at?"  For some reason, they wanted to be tied to PCs.  As it became obvious that they were having problems, their investor asked us to do some market research and to figure out what the marketplace did want.  One of the important things that I figured out was the we lived in a mobile world and if you had a mobile app, it need to be on a mobile device, not tied to a desktop/laptop/netbook device.  If there was any single event, this was it - I was doing some market research and sat and talked to people in a bar/restaurant in Atlanta called "The Grove" on Lavista.  The consensus of the people that I talked to was that they wanted their data where ever they were at, laptop, pc, mobile, whereever. In 2007, Apple released the iPhone.  Wow, what an impressive device, even with all the problems of a 1st generation device.  I bought an iPod Touch 1st generation to understand touch better, one of the best decisions I ever made. I decided in late 2008, to make a move into cloud, for a number of reasons.  I was working on an example app.  In April, 2009, one of my friends at Microsoft said "don't mention my name with this, but you need an iPhone front end for this app."  How do you get on the iPhone.  Well, there are a number of ways including: ObjectiveC.  Its hard to teach an old dog new tricks, and this dog knows .NET, not ObjectiveC. HTML, web, javascript optimized interface.  yeah, this is possible. PhoneGap.  Now, this is interesting, take an html interface and get it to run on the iPhone, Android, Blackberry, and other platforms.  I thought that this way made the most sense for me until......... MonoTouch.  In May/June 2009, Novell announced a way for .NET/c# developers to write apps for the iPhone.  This is the way that made the most sense to me. Titanium by Appcelerator.  This is similar in concept to PhoneGap.  I haven't played with this much but do want to learn more about it. In July, 2009, I emailed one of my contacts at Wrox to see if they would be interested in a short MonoTouch ebook in their Wrox Blox format.  I fully expected another  response along the lines of "Wally, mobile doesn't sell."  The response I got was "Wally, iPhone is H O T, get started immediately, can you have this to me before Labor Day."  Not quite the response I expected.  Thankfully, we didn't make the Labor Day, first draft date. I kept pushing back because I had a feeling that things were not going to be quite as polished and feature rich as necessary.  After all, Novell doesn't have the resouces of Microsoft's developer division. The ebook shipped on November 30, 2009. On about December, 15, 2009, my editor emailed and said "Your ebook is selling really well, lets do a full book and it by March 1 so get started."  Thankfully, guys like Craig Dunn and Chris Hardy were interested along with Martin and Ror joinged us later on. I bought my wife an iPhone 3Gs in early 2010 to go along with all my iPod Touch devices. I tried to pretend in 2010 that I wasn't that interested in mobile and still had interest in the desktop technologies.  I love the technologies and continue to use them today, but that isn't where my interest is right now.  I'm just about all mobile all the time with my energies.  Our book shipped in the beginning of July, 2010 right in the middle of the Apple FUD.I've been looking at Mobile Web as a way around the AppStores and Apple FUD problems of 2010. With all the Apple self FUD, we became interested in Android.I went up to Dino Esposito at DevConnections in Las Vegas at introduced myself. I've always tried to keep up with what Dino has been doing. I was shocked, he wanted to meet me.  We must have talked for 1.5 hours. It was way more time than I deserved. If you get a chance, go and introduce yourself to Dino. He's a great guy. Microsoft released Windows Phone 7 in the Fall of 2010.  I'm not doing development on that platform at this time.  I think they have a very interesting user interface.  The devices are being positively reviewed.  For my purposes, the devices are limited at this point in time.  We'll see what 2011 brings as far as updates to the operating system.  I need multitasking/background processing and html5 in the browser. Add that as well as acceptance in the marketplace and I'll be more interested in the device. Obviosuly, I'm now working on a MonoDroid book . I own Android and iPhone/iOS devices.  I am currently working on some startup ideas and am exploring as much in that area as I can. For 2011, I'm planning on speaking at Android Developer's Conference (AnDevCon) and Mobile Connections.  I'm really excited about this. I have a couple of magazine articles coming out in 2011 on Android and iPhone development with the Mono technologies.is Mono "The Answer"? What's "The Question?" I think it will work for me.  It might work for you, it might not.  it depends on your situation.  Its the current horse that I am riding. I might find a better horse tomorrow. So, that's how I got here.  I'm in love with mobile.  Mobile native apps on the device as well as mobile web.  I'm into all this cool stuff.  Where are you at?

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  • C#/.NET Little Wonders: Fun With Enum Methods

    - by James Michael Hare
    Once again lets dive into the Little Wonders of .NET, those small things in the .NET languages and BCL classes that make development easier by increasing readability, maintainability, and/or performance. So probably every one of us has used an enumerated type at one time or another in a C# program.  The enumerated types we create are a great way to represent that a value can be one of a set of discrete values (or a combination of those values in the case of bit flags). But the power of enum types go far beyond simple assignment and comparison, there are many methods in the Enum class (that all enum types “inherit” from) that can give you even more power when dealing with them. IsDefined() – check if a given value exists in the enum Are you reading a value for an enum from a data source, but are unsure if it is actually a valid value or not?  Casting won’t tell you this, and Parse() isn’t guaranteed to balk either if you give it an int or a combination of flags.  So what can we do? Let’s assume we have a small enum like this for result codes we want to return back from our business logic layer: 1: public enum ResultCode 2: { 3: Success, 4: Warning, 5: Error 6: } In this enum, Success will be zero (unless given another value explicitly), Warning will be one, and Error will be two. So what happens if we have code like this where perhaps we’re getting the result code from another data source (could be database, could be web service, etc)? 1: public ResultCode PerformAction() 2: { 3: // set up and call some method that returns an int. 4: int result = ResultCodeFromDataSource(); 5:  6: // this will suceed even if result is < 0 or > 2. 7: return (ResultCode) result; 8: } So what happens if result is –1 or 4?  Well, the cast does not fail, so what we end up with would be an instance of a ResultCode that would have a value that’s outside of the bounds of the enum constants we defined. This means if you had a block of code like: 1: switch (result) 2: { 3: case ResultType.Success: 4: // do success stuff 5: break; 6:  7: case ResultType.Warning: 8: // do warning stuff 9: break; 10:  11: case ResultType.Error: 12: // do error stuff 13: break; 14: } That you would hit none of these blocks (which is a good argument for always having a default in a switch by the way). So what can you do?  Well, there is a handy static method called IsDefined() on the Enum class which will tell you if an enum value is defined.  1: public ResultCode PerformAction() 2: { 3: int result = ResultCodeFromDataSource(); 4:  5: if (!Enum.IsDefined(typeof(ResultCode), result)) 6: { 7: throw new InvalidOperationException("Enum out of range."); 8: } 9:  10: return (ResultCode) result; 11: } In fact, this is often recommended after you Parse() or cast a value to an enum as there are ways for values to get past these methods that may not be defined. If you don’t like the syntax of passing in the type of the enum, you could clean it up a bit by creating an extension method instead that would allow you to call IsDefined() off any isntance of the enum: 1: public static class EnumExtensions 2: { 3: // helper method that tells you if an enum value is defined for it's enumeration 4: public static bool IsDefined(this Enum value) 5: { 6: return Enum.IsDefined(value.GetType(), value); 7: } 8: }   HasFlag() – an easier way to see if a bit (or bits) are set Most of us who came from the land of C programming have had to deal extensively with bit flags many times in our lives.  As such, using bit flags may be almost second nature (for a quick refresher on bit flags in enum types see one of my old posts here). However, in higher-level languages like C#, the need to manipulate individual bit flags is somewhat diminished, and the code to check for bit flag enum values may be obvious to an advanced developer but cryptic to a novice developer. For example, let’s say you have an enum for a messaging platform that contains bit flags: 1: // usually, we pluralize flags enum type names 2: [Flags] 3: public enum MessagingOptions 4: { 5: None = 0, 6: Buffered = 0x01, 7: Persistent = 0x02, 8: Durable = 0x04, 9: Broadcast = 0x08 10: } We can combine these bit flags using the bitwise OR operator (the ‘|’ pipe character): 1: // combine bit flags using 2: var myMessenger = new Messenger(MessagingOptions.Buffered | MessagingOptions.Broadcast); Now, if we wanted to check the flags, we’d have to test then using the bit-wise AND operator (the ‘&’ character): 1: if ((options & MessagingOptions.Buffered) == MessagingOptions.Buffered) 2: { 3: // do code to set up buffering... 4: // ... 5: } While the ‘|’ for combining flags is easy enough to read for advanced developers, the ‘&’ test tends to be easy for novice developers to get wrong.  First of all you have to AND the flag combination with the value, and then typically you should test against the flag combination itself (and not just for a non-zero)!  This is because the flag combination you are testing with may combine multiple bits, in which case if only one bit is set, the result will be non-zero but not necessarily all desired bits! Thanks goodness in .NET 4.0 they gave us the HasFlag() method.  This method can be called from an enum instance to test to see if a flag is set, and best of all you can avoid writing the bit wise logic yourself.  Not to mention it will be more readable to a novice developer as well: 1: if (options.HasFlag(MessagingOptions.Buffered)) 2: { 3: // do code to set up buffering... 4: // ... 5: } It is much more concise and unambiguous, thus increasing your maintainability and readability. It would be nice to have a corresponding SetFlag() method, but unfortunately generic types don’t allow you to specialize on Enum, which makes it a bit more difficult.  It can be done but you have to do some conversions to numeric and then back to the enum which makes it less of a payoff than having the HasFlag() method.  But if you want to create it for symmetry, it would look something like this: 1: public static T SetFlag<T>(this Enum value, T flags) 2: { 3: if (!value.GetType().IsEquivalentTo(typeof(T))) 4: { 5: throw new ArgumentException("Enum value and flags types don't match."); 6: } 7:  8: // yes this is ugly, but unfortunately we need to use an intermediate boxing cast 9: return (T)Enum.ToObject(typeof (T), Convert.ToUInt64(value) | Convert.ToUInt64(flags)); 10: } Note that since the enum types are value types, we need to assign the result to something (much like string.Trim()).  Also, you could chain several SetFlag() operations together or create one that takes a variable arg list if desired. Parse() and ToString() – transitioning from string to enum and back Sometimes, you may want to be able to parse an enum from a string or convert it to a string - Enum has methods built in to let you do this.  Now, many may already know this, but may not appreciate how much power are in these two methods. For example, if you want to parse a string as an enum, it’s easy and works just like you’d expect from the numeric types: 1: string optionsString = "Persistent"; 2:  3: // can use Enum.Parse, which throws if finds something it doesn't like... 4: var result = (MessagingOptions)Enum.Parse(typeof (MessagingOptions), optionsString); 5:  6: if (result == MessagingOptions.Persistent) 7: { 8: Console.WriteLine("It worked!"); 9: } Note that Enum.Parse() will throw if it finds a value it doesn’t like.  But the values it likes are fairly flexible!  You can pass in a single value, or a comma separated list of values for flags and it will parse them all and set all bits: 1: // for string values, can have one, or comma separated. 2: string optionsString = "Persistent, Buffered"; 3:  4: var result = (MessagingOptions)Enum.Parse(typeof (MessagingOptions), optionsString); 5:  6: if (result.HasFlag(MessagingOptions.Persistent) && result.HasFlag(MessagingOptions.Buffered)) 7: { 8: Console.WriteLine("It worked!"); 9: } Or you can parse in a string containing a number that represents a single value or combination of values to set: 1: // 3 is the combination of Buffered (0x01) and Persistent (0x02) 2: var optionsString = "3"; 3:  4: var result = (MessagingOptions) Enum.Parse(typeof (MessagingOptions), optionsString); 5:  6: if (result.HasFlag(MessagingOptions.Persistent) && result.HasFlag(MessagingOptions.Buffered)) 7: { 8: Console.WriteLine("It worked again!"); 9: } And, if you really aren’t sure if the parse will work, and don’t want to handle an exception, you can use TryParse() instead: 1: string optionsString = "Persistent, Buffered"; 2: MessagingOptions result; 3:  4: // try parse returns true if successful, and takes an out parm for the result 5: if (Enum.TryParse(optionsString, out result)) 6: { 7: if (result.HasFlag(MessagingOptions.Persistent) && result.HasFlag(MessagingOptions.Buffered)) 8: { 9: Console.WriteLine("It worked!"); 10: } 11: } So we covered parsing a string to an enum, what about reversing that and converting an enum to a string?  The ToString() method is the obvious and most basic choice for most of us, but did you know you can pass a format string for enum types that dictate how they are written as a string?: 1: MessagingOptions value = MessagingOptions.Buffered | MessagingOptions.Persistent; 2:  3: // general format, which is the default, 4: Console.WriteLine("Default : " + value); 5: Console.WriteLine("G (default): " + value.ToString("G")); 6:  7: // Flags format, even if type does not have Flags attribute. 8: Console.WriteLine("F (flags) : " + value.ToString("F")); 9:  10: // integer format, value as number. 11: Console.WriteLine("D (num) : " + value.ToString("D")); 12:  13: // hex format, value as hex 14: Console.WriteLine("X (hex) : " + value.ToString("X")); Which displays: 1: Default : Buffered, Persistent 2: G (default): Buffered, Persistent 3: F (flags) : Buffered, Persistent 4: D (num) : 3 5: X (hex) : 00000003 Now, you may not really see a difference here between G and F because I used a [Flags] enum, the difference is that the “F” option treats the enum as if it were flags even if the [Flags] attribute is not present.  Let’s take a non-flags enum like the ResultCode used earlier: 1: // yes, we can do this even if it is not [Flags] enum. 2: ResultCode value = ResultCode.Warning | ResultCode.Error; And if we run that through the same formats again we get: 1: Default : 3 2: G (default): 3 3: F (flags) : Warning, Error 4: D (num) : 3 5: X (hex) : 00000003 Notice that since we had multiple values combined, but it was not a [Flags] marked enum, the G and default format gave us a number instead of a value name.  This is because the value was not a valid single-value constant of the enum.  However, using the F flags format string, it broke out the value into its component flags even though it wasn’t marked [Flags]. So, if you want to get an enum to display appropriately for whether or not it has the [Flags] attribute, use G which is the default.  If you always want it to attempt to break down the flags, use F.  For numeric output, obviously D or  X are the best choice depending on whether you want decimal or hex. Summary Hopefully, you learned a couple of new tricks with using the Enum class today!  I’ll add more little wonders as I think of them and thanks for all the invaluable input!   Technorati Tags: C#,.NET,Little Wonders,Enum,BlackRabbitCoder

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  • How to Achieve OC4J RMI Load Balancing

    - by fip
    This is an old, Oracle SOA and OC4J 10G topic. In fact this is not even a SOA topic per se. Questions of RMI load balancing arise when you developed custom web applications accessing human tasks running off a remote SOA 10G cluster. Having returned from a customer who faced challenges with OC4J RMI load balancing, I felt there is still some confusions in the field how OC4J RMI load balancing work. Hence I decide to dust off an old tech note that I wrote a few years back and share it with the general public. Here is the tech note: Overview A typical use case in Oracle SOA is that you are building web based, custom human tasks UI that will interact with the task services housed in a remote BPEL 10G cluster. Or, in a more generic way, you are just building a web based application in Java that needs to interact with the EJBs in a remote OC4J cluster. In either case, you are talking to an OC4J cluster as RMI client. Then immediately you must ask yourself the following questions: 1. How do I make sure that the web application, as an RMI client, even distribute its load against all the nodes in the remote OC4J cluster? 2. How do I make sure that the web application, as an RMI client, is resilient to the node failures in the remote OC4J cluster, so that in the unlikely case when one of the remote OC4J nodes fail, my web application will continue to function? That is the topic of how to achieve load balancing with OC4J RMI client. Solutions You need to configure and code RMI load balancing in two places: 1. Provider URL can be specified with a comma separated list of URLs, so that the initial lookup will land to one of the available URLs. 2. Choose a proper value for the oracle.j2ee.rmi.loadBalance property, which, along side with the PROVIDER_URL property, is one of the JNDI properties passed to the JNDI lookup.(http://docs.oracle.com/cd/B31017_01/web.1013/b28958/rmi.htm#BABDGFBI) More details below: About the PROVIDER_URL The JNDI property java.name.provider.url's job is, when the client looks up for a new context at the very first time in the client session, to provide a list of RMI context The value of the JNDI property java.name.provider.url goes by the format of a single URL, or a comma separate list of URLs. A single URL. For example: opmn:ormi://host1:6003:oc4j_instance1/appName1 A comma separated list of multiple URLs. For examples:  opmn:ormi://host1:6003:oc4j_instanc1/appName, opmn:ormi://host2:6003:oc4j_instance1/appName, opmn:ormi://host3:6003:oc4j_instance1/appName When the client looks up for a new Context the very first time in the client session, it sends a query against the OPMN referenced by the provider URL. The OPMN host and port specifies the destination of such query, and the OC4J instance name and appName are actually the “where clause” of the query. When the PROVIDER URL reference a single OPMN server Let's consider the case when the provider url only reference a single OPMN server of the destination cluster. In this case, that single OPMN server receives the query and returns a list of the qualified Contexts from all OC4Js within the cluster, even though there is a single OPMN server in the provider URL. A context represent a particular starting point at a particular server for subsequent object lookup. For example, if the URL is opmn:ormi://host1:6003:oc4j_instance1/appName, then, OPMN will return the following contexts: appName on oc4j_instance1 on host1 appName on oc4j_instance1 on host2, appName on oc4j_instance1 on host3,  (provided that host1, host2, host3 are all in the same cluster) Please note that One OPMN will be sufficient to find the list of all contexts from the entire cluster that satisfy the JNDI lookup query. You can do an experiment by shutting down appName on host1, and observe that OPMN on host1 will still be able to return you appname on host2 and appName on host3. When the PROVIDER URL reference a comma separated list of multiple OPMN servers When the JNDI propery java.naming.provider.url references a comma separated list of multiple URLs, the lookup will return the exact same things as with the single OPMN server: a list of qualified Contexts from the cluster. The purpose of having multiple OPMN servers is to provide high availability in the initial context creation, such that if OPMN at host1 is unavailable, client will try the lookup via OPMN on host2, and so on. After the initial lookup returns and cache a list of contexts, the JNDI URL(s) are no longer used in the same client session. That explains why removing the 3rd URL from the list of JNDI URLs will not stop the client from getting the EJB on the 3rd server. About the oracle.j2ee.rmi.loadBalance Property After the client acquires the list of contexts, it will cache it at the client side as “list of available RMI contexts”.  This list includes all the servers in the destination cluster. This list will stay in the cache until the client session (JVM) ends. The RMI load balancing against the destination cluster is happening at the client side, as the client is switching between the members of the list. Whether and how often the client will fresh the Context from the list of Context is based on the value of the  oracle.j2ee.rmi.loadBalance. The documentation at http://docs.oracle.com/cd/B31017_01/web.1013/b28958/rmi.htm#BABDGFBI list all the available values for the oracle.j2ee.rmi.loadBalance. Value Description client If specified, the client interacts with the OC4J process that was initially chosen at the first lookup for the entire conversation. context Used for a Web client (servlet or JSP) that will access EJBs in a clustered OC4J environment. If specified, a new Context object for a randomly-selected OC4J instance will be returned each time InitialContext() is invoked. lookup Used for a standalone client that will access EJBs in a clustered OC4J environment. If specified, a new Context object for a randomly-selected OC4J instance will be created each time the client calls Context.lookup(). Please note the regardless of the setting of oracle.j2ee.rmi.loadBalance property, the “refresh” only occurs at the client. The client can only choose from the "list of available context" that was returned and cached from the very first lookup. That is, the client will merely get a new Context object from the “list of available RMI contexts” from the cache at the client side. The client will NOT go to the OPMN server again to get the list. That also implies that if you are adding a node to the server cluster AFTER the client’s initial lookup, the client would not know it because neither the server nor the client will initiate a refresh of the “list of available servers” to reflect the new node. About High Availability (i.e. Resilience Against Node Failure of Remote OC4J Cluster) What we have discussed above is about load balancing. Let's also discuss high availability. This is how the High Availability works in RMI: when the client use the context but get an exception such as socket is closed, it knows that the server referenced by that Context is problematic and will try to get another unused Context from the “list of available contexts”. Again, this list is the list that was returned and cached at the very first lookup in the entire client session.

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  • Ubuntu 12.04 does not see windows already install on my computer (dual installation)

    - by jacinta
    I was trying to install the ubuntu 12.4 along side windows 7 on my new HP Pavilion 64k desktop with windows 7 computer but Ubuntu said that ( This computer has no detected operating system) and some one said (I suggest you chkdsk your Windows partition. I also suggest you resize the NTFS in WIndows then install Ubuntu to the free space.) Therefore I did (To shrink a simple or spanned volume using the Windows interface In Disk Management, right-click the simple or spanned volume you want to shrink. Click Shrink Volume…. Follow the instructions on your screen.) Then When I try to install ubuntu 12.4 after doing this, I received the same error. I was going to undo what I did but I see that I lose 1g when I do that so now what do I do? it says I can do a new simple volume and maybe then the space will no longer be unallocated. Please help me. I think I have a bad cd (ubuntu 12.4) cause from my research I see that I am not suppose to get a screen saying that (The computer has no detected operating system) I think this is a bad cd and I hope I did not mess up my computer. Please help. .................................................................................... O k I think I am following what you said about how to edit my question irrational john. I did chkdsk as you and actionparsnip (andrew-woodhead666) told me to AND ALSO did a lot of other things before I found out how to chkdsk. No problems. Thank you. Then I put back the space (extended) I took from system. I still was only able to put back 15 and not 16 so it is up to 99mb not back to 100mb. Then I shrank HP (C) as you told me, to 10 13,240 mb which is (12.93gb Unallocated). I did not change it into NTSF by doing the (New Simple Volume Action) I just left it. Then I tried to install UBUNTU 12.04 live CD amd64 and it gave me the results it was sometimes giving me before which is result (THAT Ubuntu) does not tell me weather I have or have not an already installed windows7. It just goes to a window that would have showed me information on what I have and on the bottom (DEVICE FOR BOOT LOADER INSTALLATION /dev/sda ) and the option to go BACK, QUIT, or INSTALL. (I think it is the INSTALLATION TYPE window). Therefore I do what I have been doing and I QUIT. What do I do now? Sorry that it seems like I cannot do anything on my own. On the Youtube video how to install ubuntu dual-boot alongside windows UBUNTU is installed so easy. The installation option page gives 3 options including dual instillation and the disk even lets you use a slider to slide to the size of the partition size you want. Yet my UBUNTU live cd is a mess and I checked it as one of you guys told me and got back information that it is good. Oh well this guy says you should press a control key to tell which device you are using to install ubuntu before the screen comes up. I guess cause it is old. This page also shows you easy stuff that do not show up on my cd. how to dual-boot UBUNTU and windows 7 P.S.. I saw this on the windows 7 website windows.microsoft.com/en-US/windows7/Formatting-disks-and-drives-frequently-asked-questions CREATE A BOOT PARTITION I HAD TO LEAVE OUT THE HTTP STUFF CAUSE I AM ONLY ALLOWED 2 ON A PAGE IT SAID To create a boot partition Warning Warning If you are installing different versions of Windows, you must install the earliest version first. If you don't do this, your computer may become inoperable. Open Computer Management by clicking the Start button Picture of the Start button, clicking Control Panel, clicking System and Security, clicking Administrative Tools, and then double-clicking Computer Management.? Administrator permission required If you're prompted for an administrator password or confirmation, type the password or provide confirmation. In the left pane, under Storage, click Disk Management. Right-click an unallocated region on your hard disk, and then click New Simple Volume. In the New Simple Volume Wizard, click Next. Type the size of the volume you want to create in megabytes (MB) or accept the maximum default size, and then click Next. Accept the default drive letter or choose a different drive letter to identify the volume, and then click Next. In the Format Partition dialog box, do one of the following: If you don't want to format the volume right now, click Do not format this volume, and then click Next. To format the volume with the default settings, click Next. For more information about formatting, see Formatting disks and drives: frequently asked questions. Review your choices, and then click Finish. AND THIS ON ANOTHER PAGE. Formatting disks and drives: frequently asked questions Hard disks, the primary storage devices on your computer, need to be formatted before you can use them. When you format a disk, you configure it with a file system so that Windows can store information on the disk. Hard disks in new computers running Windows are already formatted. If you buy an additional hard disk to expand the storage of your computer, you might need to format it. Storage devices such as USB flash drives and flash memory cards usually come preformatted by the manufacturer, so you probably won't need to format them. CDs and DVDs, on the other hand, use different formats from hard disks and removable storage devices. For information about formatting CDs and DVDs, see Which CD or DVD format should I use? Warning Warning Formatting erases any existing files on a hard disk. If you format a hard disk that has files on it, the files will be deleted. WHAT I DID WAS I GOT TO COMPUTER MANAGEMENT SECTION THEN I CLICKED ON DRIVE HP(C) (it put stripes on to show it is selected) Then I click on ACTION selected ALL TASKS AND THEN selected SHRINK VOLUME and then chose how much space from what it was giving me that I wanted. (12.93gb) AND THAT WAS ALL I DID. THEN I TRIED TO INSTALL UBUNTU i NEVER GOT THE 3RD SCREEN THAT IS IN THE VIDEO I INCLUDED (THE YOUTUBE WITH THE ENGLISH GUY) INSTALLATION TYPE I ALSO DID NOT GET THE 4TH SCREEN THAT ALLOWS YOU TO SELECT PARTITION SIZE what i got next was the 2nd INSTILLATION TYPE window shown on the (LINUX BS DOS.COM) PAGE THAT I INCLUDED and it showed no information about any drives (no drives /partition or stuff was shown) only the Boot Loader statement and the dev/sda bar and that's why i did not press install but chose to QUIT. SORRY I JUST NOW SAW YOUR ANSWER IRRATIONAL JOHN. I SHRANK HP(C) BY 12.93GB MY UNALLOCATED SPACE IS NOW 12.93GB HP(C) = 907.17gb NTSF...YOU ARE CORRECT WITH EVERYTHING YOU SAID This is what i read on (http://)windows.microsoft.com/en-US/windows7/Create-a-boot-partition I am only allowed 2 links Create a boot partition You must be logged on as an administrator to perform these steps. A boot partition is a partition that contains the files for the Windows operating system. If you want to install a second operating system on your computer (called a dual-boot or multiboot configuration), you need to create another partition on the hard disk, and then install the additional operating system on the new partition. Your hard disk would then have one system partition and two boot partitions. (A system partition is the partition that contains the hardware-related files. These tell the computer where to look to start Windows.) To create a partition on a basic disk, there must be unallocated disk space on your hard disk. With Disk Management, you can create a maximum of three primary partitions on a hard disk. You can create extended partitions, which include logical drives within them, if you need more partitions on the disk. Picture of disk space in Computer ManagementUnallocated disk space If there is no unallocated space, you will either need to create space by shrinking or deleting an existing partition or by using a third-party partitioning tool to repartition your hard disk. For more information, see Can I repartition my hard disk? To create a boot partition Warning Warning If you are installing different versions of Windows, you must install the earliest version first. If you don't do this, your computer may become inoperable. Open Computer Management by clicking the Start button Picture of the Start button, clicking Control Panel, clicking System and Security, clicking Administrative Tools, and then double-clicking Computer Management.? Administrator permission required If you're prompted for an administrator password or confirmation, type the password or provide confirmation. In the left pane, under Storage, click Disk Management. Right-click an unallocated region on your hard disk, and then click New Simple Volume. In the New Simple Volume Wizard, click Next. Type the size of the volume you want to create in megabytes (MB) or accept the maximum default size, and then click Next. Accept the default drive letter or choose a different drive letter to identify the volume, and then click Next. In the Format Partition dialog box, do one of the following: If you don't want to format the volume right now, click Do not format this volume, and then click Next. To format the volume with the default settings, click Next. For more information about formatting, see Formatting disks and drives: frequently asked questions. Review your choices, and then click Finish. I did what you told me @irrational john and this is the screen shot. I ENTERED ubuntu@ubuntu:~$ sudo os-prober computer did not respond so I entered ubuntu@ubuntu:~$ sudo apt-get -y remove dmraid computer responded with Reading package lists... Done Building dependency tree Reading state information... Done The following packages will be REMOVED: dmraid 0 upgraded, 0 newly installed, 1 to remove and 0 not upgraded. After this operation, 141 kB disk space will be freed. (Reading database ... 147515 files and directories currently installed.) Removing dmraid ... update-initramfs is disabled since running on read-only media Processing triggers for man-db ... I entered ubuntu@ubuntu:~$ sudo os-prober Computer Responded with /dev/sda1:Windows 7 (loader):Windows:chain /dev/sda3:Windows Recovery Environment (loader):Windows1:chain ubuntu@ubuntu:~$ ............... @obsessiveFOSS I don't know what is a Grub menu and I do not know what is the Ubuntu boot option The answer you gave to me was correct. This one {This apparently removes the dmraid metadata. After doing that, you can use the desktop icon Install Ubuntu 12.04 LTS to start the Ubuntu installer. This time the Installation Type window should contain the option to Install Ubuntu alongside Windows 7.} This is what I decided to do. I did not see the rest of your help 'till now. Never the less. I think the best thing for me to do now is to get a cheap used laptop and either do a dual installation or just install Ubuntu on to it. This way if I have any issues that I cannot solve like the one I had here, at least I will still have a usable computer to work on and to use to get answers with because I am not an expert like the people on this forum. Thanks a lot I will try to keep learning and do research enough to some day help someone else.

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  • Our winners- and some BBQ for everyone

    - by Steve Tunstall
    Congrats to our two winners for the first two comments on my last entry. Steve from Australia and John Lemon. Steve won since he was the first person over the International Date Line to see the post I made so late after a workday on Friday. So not only does he get to live in a country with the 2nd most beautiful women in the world, but now he gets some cool Oracle Swag, too. (Yes, I live on the beach in southern California, so you can guess where 1st place is for that other contest…Now if Steve happens to live in Manly, we may actually have a tie going…) OK, ok, for everyone else, you can be winners, too. How you ask? I will make you the envy of every guy and gal in your neighborhood or campsite. What follows is the way to smoke the best ribs you or anyone you know have ever tasted. Follow my instructions and give it a try. People at your party/cookout/campsite will tell you that they’re the best ribs they’ve ever had, and I will let you take all the credit. Yes, I fully realize this post is going to be longer than any post I’ve done yet. But let’s get serious here. Smoking meat is much more important, agreed? J In all honesty, this is a repeat of another blog I did, so I’m just copying and pasting. Step 1. Get some ribs. I actually really like Costco’s pack. They have both St. Louis and Baby Back. (They are the same ribs, but cut in half down the sides. St. Louis style is the ‘front’ of the ribs closest to the stomach, and ‘Baby back’ is the part of the ribs where is connects to the backbone). I like them both, so here you see I got one pack of each. About 4 racks to a pack. So these two packs for $25 each will feed about 16-20 of my guests. So around 3 bucks a person is a pretty good deal for the best ribs you’ll ever have. Step 2. Prep the ribs the night before you’re going to smoke. You need to trim them to fit your smoker racks, and also take off the membrane and add your rub. Then cover and set in fridge overnight. Here’s how to take off the membrane, which will not break down with heat and smoke like the rest of the meat, so must be removed. Use a butter knife to work in a ways between the membrane and the white bone. Just enough to make room for your finger. Try really hard not to poke through the membrane, you want to keep it whole. See how my gloved fingers can now start to lift up and pull off the membrane? This is what you are trying to do. It’s awesome when the whole thing can come off at once. This one is going great, maybe the best one I’ve ever done. Sometime, it falls apart and doesn't come off in one nice piece. I hate when that happens. Now, add your rub and pat it down once into the meat with your other hand. My rub is not secret. I got it from my mentor, a BBQ competitive chef who is currently ranked #1 in California and #3 in the nation on the BBQ circuit. He does full-day classes in southern California if anyone is interested in taking his class. Go to www.slapyodaddybbq.com to check him out. I tweaked his run recipe a tad and made my own. It’s one part Lawry’s, one part sugar, one part Montreal Steak Seasoning, one part garlic powder, one-half part red chili powder, one-half part paprika, and then 1/20th part cayenne. You can adjust that last ingredient, or leave it out. Real cheap stuff you can get at Costco. This lets you make enough rub to last about a year or two. Don’t make it all at once, make a shaker’s worth and use it up before you make more. Place it all in a bowl, mix well, and then add to a shaker like you see here. You can get a shaker with medium sized holes on it at any restaurant supply store or Smart & Final. The kind you see at pizza places for their red pepper flakes works best. Now cover and place in fridge overnight. Step 3. The next day. Ok, I’m ready to go. Get your stuff together. You will need your smoker, some good foil, a can of peach nectar, a bottle of Agave syrup, and a package of brown sugar. You will need this stuff later. I also use a clean spray bottle, and apple juice. Step 4. Make your fire, or turn on your electric smoker. In this example I’m using my portable charcoal smoker. I got this for only $40. I then modified it to be useful. Once modified, these guys actually work very well. Trust me, your food DOES NOT KNOW how expensive your smoker is. Someone who tells you that you need to spend a bunch of money on a smoker is an idiot. I also have an electric smoker that stays in my backyard. It’s cleaner and larger so I can smoke more food. But this little $40 one works great for going camping. Here is what my fire-bowl looks like. I leave a space in the middle open, and place cold charcoal and wood chucks in a circle going outwards. This makes it so when I dump the hot coals down the middle, they will slowly burn outwards, hitting different wood chucks at different times, allowing me to go 4-5 hours without having to even touch my fire. For ribs, I use apple and pecan wood. Pecan works for anything. Apple or any fruit wood is excellent for pork. So now I make my hot charcoal with a chimney only about half-full. I found a great use for that side-burner on my grill that I never use. It makes a fantastic chimney starter. You never use fluids of any kind, nor ever use that stupid charcoal that has lighter fluid built into it. Never, ever, ever. Step 5. Smoke. Add your ribs in the racks and stack them up in your smoker. I have a digital thermometer on a probe that I use to keep track of the temp in the smoker. I just lay the probe on the top rack and shut the lid. This cheap guy is a little harder to maintain the right temperature of around 225 F, so I do have to keep my eye on it more than my electric one or a more expensive charcoal one with the cool gadgets that regulate your temp for you. Every hour, spray apple juice all over your ribs using that spray bottle. After about 3 hours, you should have a very good crust (called the Bark) on your ribs. Once you have the Bark where you want it, carefully remove your ribs and place them in a tray. We are now ready for a very important part to make the flavor. Get a large piece of foil and place one rib section on it. Splash some of the peach nectar on it, and then a drizzle of the Agave syrup. Then, use your gloved hand to pack on some brown sugar. Do this on BOTH sides, and then completely wrap it up TIGHT in the foil. Do this for each rib section, and then place all the wrapped sections back into the smoker for another 4 to 6 hours. This is where the meat will get tender and flavorful. The first three hours is only to make the smoke bark. You don’t need smoke anymore, since the ribs are wrapped, you only need to keep the heat around 225 for the next 4-6 hours. Obviously you don’t spray anymore. Just time and slow heat. Be patient. It’s actually really hard to overdo it. You can let them go longer, and all that will happen is they will get even MORE tender!!! If you take them out too soon, they will be tough. How do you know? Take out one package (use long tongs) and open it up. If you grab a bone with your tongs and it just falls apart and breaks away from the rest of the meat, you are done!!! Enjoy!!! Step 6. Eat. It pulls apart like this when it’s done. By the way, smoking tri-tip is way easier. Just rub it with the same rub, and put in your smoker for about 2.5 hours at 250 F. That’s it. Low-maintenance. It comes out like this, with a fantastic smoke ring and amazing flavor. Thanks, and I will put up another good tip, about the ZFSSA, around the end of November. Steve 

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