Search Results

Search found 28985 results on 1160 pages for 'sql training'.

Page 1143/1160 | < Previous Page | 1139 1140 1141 1142 1143 1144 1145 1146 1147 1148 1149 1150  | Next Page >

  • Type Mismatch using VBScript to create Pivot Table/Chart

    - by Rodricks
    I get Run time error:Type mismatch for the following code: Dim Field Field="Gen8" '''' ============================================================================== EXCEL Sheet '==============Errors -Stacked Chart by Year and Week --ALL WEEKS ''''=================================================== objExcel.ActiveWorkbook.Worksheets.Add SheetNumber = SheetNumber ' add adds in front so sheetnumber stays 1 objExcel.Sheets(SheetNumber).Select objExcel.Sheets(SheetNumber).Activate objExcel.Sheets(SheetNumber).Name = "YRWk" SheetName = "SYS_Product_YRWeeks" '============== strSQLCustomers = "select isnull(AB.Week,D.Week_Num) AS YRWk,ISNULL(AB.UnCorrectable,0) as UE," & _ "isnull(AB.Correctable,0) as CE, isnull(AB.SYS_Product,'" & Field & "'" & _ ") as SYS_Product from AHS_Dates D Left Join (select * from P_tot where " & _ "SYS_Product = '" & Field & "'" & _ " ) AB on AB.Year_=D.Year_ and AB.Week=D.Week_Num order by YRWk" FetchData2.Open strSQLCustomers, openConnection, adOpenStatic, adLockReadOnly If FetchData2.RecordCount > 0 Then **objExcel.ActiveWorkbook.Connections.Add SheetName, "", _ Array(Array( _ "ODBC;DRIVER=SQL Server Native Client 10.0;SERVER=" & sServerIP & ";TimeOut=5000000; Trusted_Connection=Yes;Integrated Security=SSPI;" _ ), Array("DATABASE=" & sDataBaseName & ";")), Array(strSQLCustomers), 2** objExcel.ActiveWorkbook.PivotCaches.Create(SourceType:=xlExternal, SourceData:= _ objExcel.ActiveWorkbook.Connections(SheetName), Version:= _ xlPivotTableVersion14).CreatePivotTable TableDestination:=objExcel.Sheets(SheetNumber).Name & "!R3C7", _ TableName:="PivotTable" & SheetNumber, DefaultVersion:=xlPivotTableVersion14 Set ws = objExcel.ActiveWorkbook.Worksheets(objExcel.Sheets(SheetNumber).Name) objExcel.Cells(3, 7).Select ws.Shapes.AddChart.Select objExcel.ActiveWorkbook.ActiveChart.ChartType = xlAreaStacked objExcel.ActiveWorkbook.ActiveChart.SetSourceData Source:=ws.Range(objExcel.Sheets(SheetNumber).Name & "!$G$3:$I$20") With ws.PivotTables("PivotTable1").PivotFields("SYS_PRoduct") .Orientation = xlColumnField .Position = 1 End With With ws.PivotTables("PivotTable1").PivotFields("YRWk") .Orientation = xlRowField .Position = 1 End With ' With ws.PivotTables("PivotTable1").PivotFields("Year_") ' .Orientation = xlRowField ' .Position = 2 ' End With objExcel.ActiveWorkbook.ActiveChart.ChartTitle.Text = " Errors by Week and Year -ALLWEEKS" ws.PivotTables("PivotTable1").AddDataField ws.PivotTables( _ "PivotTable1").PivotFields("UE"), "Sum of UnCorrectable", xlSum ws.PivotTables("PivotTable1").AddDataField ws.PivotTables( _ "PivotTable1").PivotFields("CE"), "Sum of Correctable", xlSum End If ''MsgBox (FetchData2.RecordCount) FetchData2.Close I have used the same pivot chart + table in other slides. The problem I think is the query length My question: 1.Is there a better way for me to access the query results. Would appreciate the steps if any. 2.If I can make it a procedure how do I modify the pivot chart/table creation. Thanks. The query results with all 52 weeks: Week UE CE SYS_Product(or Field) 1 0 0 Gen8 2 0 0 Gen8 3 0 0 Gen8 4 0 0 Gen8 5 0 0 Gen8 6 0 0 Gen8

    Read the article

  • Model self referential collections in Rails

    - by Najitaka
    I have written an application for an online clothing store in Rails 2.3.5. I want to show related Products when a customer views the Product Detail page. For example, if the customer views the detail page for a suit, I'd like to display the accessory products that match the dress such as a vest, shoes, and belt. I have named the related products an Ensemble. However, the vest, shoes, and belts are also Products which is what has me struggling. I have it working as follows but I know it's not the Rails way. I have a Products table for all of the products. Not important here but I also have a ProductDetails table. I have an Ensembles table that has the following columns: product_id - the main or origination product, the one displayed on the detail page outfit_id - the related or accessory product In setting up the data, on the Products list, for each Product I have an Ensemble link. This link takes you to the index action in the Ensembles controller. Using the id from the "main" Product, I find all of the associated Ensemble rows by product_id or I create a new ensemble and assign the id from the main product as the product_id. I'd like to just be able to do @product.related_products to get an Ensemble collection. Also on the index page I list the columns of the main product so the user can be sure their main product was the one they selected from the list. I also have a select list of the other products, with an Add to Ensemble action. Finally on the same index page, I have a table that displays the products that are already in the ensemble and in that list each row has a destroy link to remove a particular product from the ensemble. It would be nice if given a single Ensemble row @ensemble I could do @ensemble.product to get the Product related to the outfit_id of the ensemble row. I've got it working without associations but I have to run queries in the controller to build my own @product, @ensemble, and @ensembles collections. Also the only way I found to destroy an ensemble row is by Ensemble.connection.delete(sql to delete), simple @ensemble.destroy doesn't work. Anyone know how I would set up the associations or have a link to a site explaining a similar setup. None of the examples I found use the same table. They have A related to B through C. I want A related to other A through B.

    Read the article

  • Is there anything wrong with having a few private methods exposing IQueryable<T> and all public meth

    - by Nate Bross
    I'm wondering if there is a better way to approach this problem. The objective is to reuse code. Let’s say that I have a Linq-To-SQL datacontext and I've written a "repository style" class that wraps up a lot of the methods I need and exposes IQueryables. (so far, no problem). Now, I'm building a service layer to sit on top of this repository, many of the service methods will be 1<-1 with repository methods, but some will not. I think a code sample will illustrate this better than words. public class ServiceLayer { MyClassDataContext context; IMyRepository rpo; public ServiceLayer(MyClassDataContext ctx) { context = ctx; rpo = new MyRepository(context); } private IQueryable<MyClass> ReadAllMyClass() { // pretend there is some complex business logic here // and maybe some filtering of the current users access to "all" // that I don't want to repeat in all of the public methods that access // MyClass objects. return rpo.ReadAllMyClass(); } public IEnumerable<MyClass> GetAllMyClass() { // call private IQueryable so we can do attional "in-database" processing return this.ReadAllMyClass(); } public IEnumerable<MyClass> GetActiveMyClass() { // call private IQueryable so we can do attional "in-database" processing // in this case a .Where() clause return this.ReadAllMyClass().Where(mc => mc.IsActive.Equals(true)); } #region "Something my class MAY need to do in the future" private IQueryable<MyOtherTable> ReadAllMyOtherTable() { // there could be additional constrains which define // "all" for the current user return context.MyOtherTable; } public IEnumerable<MyOtherTable> GetAllMyOtherTable() { return this.ReadAllMyOtherTable(); } public IEnumerable<MyOtherTable> GetInactiveOtherTable() { return this.ReadAllMyOtherTable.Where(ot => ot.IsActive.Equals(false)); } #endregion } This particular case is not the best illustration, since I could just call the repository directly in the GetActiveMyClass method, but let’s presume that my private IQueryable does some extra processing and business logic that I don't want to replicate in both of my public methods. Is that a bad way to attack an issue like this? I don't see it being so complex that it really warrants building a third class to sit between the repository and the service class, but I'd like to get your thoughts. For the sake of argument, lets presume two additional things. This service is going to be exposed through WCF and that each of these public IEnumerable methods will be calling a .Select(m => m.ToViewModel()) on each returned collection which will convert it to a POCO for serialization. The service will eventually need to expose some context.SomeOtherTable which wont be wrapped into the repository.

    Read the article

  • Fastest way to copy a set (100+) of related SQLAlchemy objects and change attribute on each one

    - by rebus
    I am developing an app that keeps track of items going in and out of factory. For example, lets say you have 3 kinds of plastic coming in, they are mixed in various ratios and then sent out as a new product. So to keep track of this I've created following database structure: This is very simplified overview of my SQLAlchemy models: IN <- RATIO <- OUT <- REPORT ITEMS -> REPORT IN are products coming in, RATIO is various information on measurements, and OUT is a final product. REPORT is basically a header model which has a lot of REPORT ITEMS attached to it, which in turn relate it to OUT products. This would all work perfectly, but IN and RATION values can change. These changes ultimately change the OUT product which would mean the REPORT values would change. So in order to change an attribute on IN object for example I should copy that object with that attribute changed. I would think this is basically a question about database normalization, because i didn't want to duplicate all the IN, RATIO and OUT information by writing it in REPORT ITEMS table for example, but I've came across this problem (well not really a problem but rather a feature I'd like for a user to have). When the attribute on IN object is changed I want related objects (RATIO and OUT) automatically copied and related to a new IN object. So I was thinking something like: Take an existing instance of model IN that needs to change (call it old_in) Create a new one out of it with some attributes changed (call it new_in) Collect all the RATIO objects that are related to old_in Copy each RATIO and relate them to a new_in Collect all the OUT objects that are related to old RATIO Copy each OUT and relate them to a new RATIO Few questions pop to mind when i look at this problem: Should i just duplicate the data, does all this copying even make sense? If it does, should i rather do it in plain SQL? If no what would be the best approach to do it with Python and SQLAlchemy? Any general answer would suffice really, at least a pointer in right direction. I really want to free then end user for hassle of having create new ratios and out products.

    Read the article

  • Using a large list of terms, search through page text and replace words with links

    - by dunc
    A while ago I posted this question asking if it's possible to convert text to HTML links if they match a list of terms from my database. I have a fairly huge list of terms - around 6000. The accepted answer on that question was superb, but having never used XPath, I was at a loss when problems started occurring. At one point, after fiddling with code, I somehow managed to add over 40,000 random characters to our database - the majority of which required manual removal. Since then I've lost faith in that idea and the more simple PHP solutions simply weren't efficient enough to deal with the amount of data and the quantity of terms. My next attempt at a solution is to write a JS script which, once the page has loaded, retrieves the terms and matches them against the text on a page. This answer has an idea which I'd like to attempt. I would use AJAX to retrieve the terms from the database, to build an object such as this: var words = [ { word: 'Something', link: 'http://www.something.com' }, { word: 'Something Else', link: 'http://www.something.com/else' } ]; When the object has been built, I'd use this kind of code: //for each array element $.each(words, function() { //store it ("this" is gonna become the dom element in the next function) var search = this; $('.message').each( function() { //if it's exactly the same if ($(this).text() === search.word) { //do your magic tricks $(this).html('<a href="' + search.link + '">' + search.link + '</a>'); } } ); } ); Now, at first sight, there is a major issue here: with 6,000 terms, will this code be in any way efficient enough to do what I'm trying to do?. One option would possibly be to perform some of the overhead within the PHP script that the AJAX communicates with. For instance, I could send the ID of the post and then the PHP script could use SQL statements to retrieve all of the information from the post and match it against all 6,000 terms.. then the return call to the JavaScript could simply be the matching terms, which would significantly reduce the number of matches the above jQuery would make (around 50 at most). I have no problem with the script taking a few seconds to "load" on the user's browser, as long as it isn't impacting their CPU usage or anything like that. So, two questions in one: Can I make this work? What steps can I take to make it as efficient as possible? Thanks in advance,

    Read the article

  • Export CSV from Mysql

    - by ss888
    Hi, I'm having a bit of trouble exporting a csv file that is created from one of my mysql tables using php. The code I'm using prints the correct data, but I can't see how to download this data in a csv file, providing a download link to the created file. I thought the browser was supposed to automatically provide the file for download, but it doesn't. (Could it be because the below code is called using ajax?) Any help greatly appreciated - code below, S. include('../config/config.php'); //db connection settings $query = "SELECT * FROM isregistered"; $export = mysql_query ($query ) or die ( "Sql error : " . mysql_error( ) ); $fields = mysql_num_fields ( $export ); for ( $i = 0; $i < $fields; $i++ ) { $header .= mysql_field_name( $export , $i ) . "\t"; } while( $row = mysql_fetch_row( $export ) ) { $line = ''; foreach( $row as $value ) { if ( ( !isset( $value ) ) || ( $value == "" ) ) { $value = "\t"; } else { $value = str_replace( '"' , '""' , $value ); $value = '"' . $value . '"' . "\t"; } $line .= $value; } $data .= trim( $line ) . "\n"; } $data = str_replace( "\r" , "" , $data ); if ( $data == "" ) { $data = "\n(0) Records Found!\n"; } //header("Content-type: application/octet-stream"); //have tried all of these at sometime //header("Content-type: text/x-csv"); header("Content-type: text/csv"); //header("Content-type: application/csv"); header("Content-Disposition: attachment; filename=export.csv"); //header("Content-Disposition: attachment; filename=export.xls"); header("Pragma: no-cache"); header("Expires: 0"); echo '<a href="">Download Exported Data</a>'; //want my link to go in here... print "$header\n$data";

    Read the article

  • Delete duplicate rows, do not preserve one row

    - by Radley
    I need a query that goes through each entry in a database, checks if a single value is duplicated elsewhere in the database, and if it is - deletes both entries (or all, if more than two). Problem is the entries are URLs, up to 255 characters, with no way of identifying the row. Some existing answers on Stackoverflow do not work for me due to performance limitations, or they use uniqueid which obviously won't work when dealing with a string. Long Version: I have two databases containing URLs (and only URLs). One database has around 3,000 urls and the other around 1,000. However, a large majority of the 1,000 urls were taken from the 3,000 url database. I need to merge the 1,000 into the 3,000 as new entries only. For this, I made a third database with combined URLs from both tables, about 4,000 entries. I need to find all duplicate entries in this database and delete them (Both of them, without leaving either). I have followed the query of a few examples on this site, but whenever I try to delete both entries it ends up deleting all the entries, or giving sql errors. Alternatively: I have two databases, each containing the separate database. I need to check each row from one database against the other to find any that aren't duplicates, and then add those to a third database. Edit: I've got my own PHP solution which is pretty hacky, but works. I cannot answer my own question for 8 hours because I'm new, so here it is for now: I went with a PHP script to accomplish this, as I'm more familiar with PHP than MySQL. This generates a simple list of urls that only exist in the target database, but not both. If you have more than 7,000 entries to parse this may take awhile, and you will need to copy/paste the results into a text file or expand the script to store them back into a database. I'm just doing it manually to save time. Note: Uses MeekroDB <pre> <?php require('meekrodb.2.1.class.php'); DB::$user = 'root'; DB::$password = ''; DB::$dbName = 'testdb'; $all = DB::query('SELECT * FROM old_urls LIMIT 7000'); foreach($all as $row) { $test = DB::query('SELECT url FROM new_urls WHERE url=%s', $row['url']); if (!is_array($test)) { echo $row['url'] . "\n"; }else{ if (count($test) == 0) { echo $row['url'] . "\n"; } } } ?> </pre>

    Read the article

  • 4 table query / join. getting duplicate rows

    - by Horse
    So I have written a query that will grab an order (this is for an ecommerce type site), and from that order id it will get all order items (ecom_order_items), print options (c_print_options) and images (images). The eoi_p_id is currently a foreign key from the images table. This works fine and the query is: SELECT eoi_parentid, eoi_p_id, eoi_po_id, eoi_quantity, i_id, i_parentid, po_name, po_price FROM ecom_order_items, images, c_print_options WHERE eoi_parentid = '1' AND i_id = eoi_p_id AND po_id = eoi_po_id; The above would grab all the stuff I need for order #1 Now to complicate things I added an extra table (ecom_products), which needs to act in a similar way to the images table. The eoi_p_id can also point at a foreign key in this table too. I have added an extra field 'eoi_type' which will either have the value 'image', or 'product'. Now items in the order could be made up of a mix of items from images or ecom_products. Whatever I try it either ends up with too many records, wont actually output any with eoi_type = 'product', and just generally wont work. Any ideas on how to achieve what I am after? Can provide SQL samples if needed? SELECT eoi_id, eoi_parentid, eoi_p_id, eoi_po_id, eoi_po_id_2, eoi_quantity, eoi_type, i_id, i_parentid, po_name, po_price, po_id, ep_id FROM ecom_order_items, images, c_print_options, ecom_products WHERE eoi_parentid = '9' AND i_id = eoi_p_id AND po_id = eoi_po_id The above outputs duplicate rows and doesnt work as expected. Am I going about this the wrong way? Should I have seperate foreign key fields for the eoi_p_id depending it its an image or a product? Should I be using JOINs? Here is a mysql explain of the tables in question ecom_products +-------------+--------------+------+-----+---------+----------------+ | Field | Type | Null | Key | Default | Extra | +-------------+--------------+------+-----+---------+----------------+ | ep_id | int(8) | NO | PRI | NULL | auto_increment | | ep_title | varchar(255) | NO | | NULL | | | ep_link | text | NO | | NULL | | | ep_desc | text | NO | | NULL | | | ep_imgdrop | text | NO | | NULL | | | ep_price | decimal(6,2) | NO | | NULL | | | ep_category | varchar(255) | NO | | NULL | | | ep_hide | tinyint(1) | NO | | 0 | | | ep_featured | tinyint(1) | NO | | 0 | | +-------------+--------------+------+-----+---------+----------------+ ecom_order_items +--------------+-------------+------+-----+---------+----------------+ | Field | Type | Null | Key | Default | Extra | +--------------+-------------+------+-----+---------+----------------+ | eoi_id | int(8) | NO | PRI | NULL | auto_increment | | eoi_parentid | int(8) | NO | | NULL | | | eoi_type | varchar(32) | NO | | NULL | | | eoi_p_id | int(8) | NO | | NULL | | | eoi_po_id | int(8) | NO | | NULL | | | eoi_quantity | int(4) | NO | | NULL | | +--------------+-------------+------+-----+---------+----------------+ c_print_options +------------+--------------+------+-----+---------+----------------+ | Field | Type | Null | Key | Default | Extra | +------------+--------------+------+-----+---------+----------------+ | po_id | int(8) | NO | PRI | NULL | auto_increment | | po_name | varchar(255) | NO | | NULL | | | po_price | decimal(6,2) | NO | | NULL | | +------------+--------------+------+-----+---------+----------------+ images +--------------+--------------+------+-----+---------+----------------+ | Field | Type | Null | Key | Default | Extra | +--------------+--------------+------+-----+---------+----------------+ | i_id | int(8) | NO | PRI | NULL | auto_increment | | i_filename | varchar(255) | NO | | NULL | | | i_data | longtext | NO | | NULL | | | i_parentid | int(8) | NO | | NULL | | +--------------+--------------+------+-----+---------+----------------+

    Read the article

  • PHP - trying to automate/loop a save function

    - by Homer_J
    EDIT: the difference between the pages are the simply $q1, $q2, $q3 becomes, for example, $q13, $q14, $q15 - they are questions in the form. Hi all, I have the following code: $rguid = $_POST["r"]; $ip=substr($_SERVER['REMOTE_ADDR'], 0, 50); $browser=substr($_SERVER['HTTP_USER_AGENT'], 0, 255); $q1 = $_POST["q1"]; $q2 = $_POST["q2"]; $q3 = $_POST["q3"]; $q4 = $_POST["q4"]; $q5 = $_POST["q5"]; $q6 = $_POST["q6"]; $q7 = $_POST["q7"]; $q8 = $_POST["q8"]; $respondent_id = decode_respondent_guid($rguid); $rcount=respondent_status($respondent_id); if ($rcount==0) { $proc = mysqli_prepare($link, "INSERT INTO tresults (respondent_id, ip, browser, q1, q2, q3, q4, q5, q6, q7, q8) VALUES (?, ?, ?, ?, ?, ?, ?, ?, ?, ?, ?);"); mysqli_stmt_bind_param($proc, "issiiiiiiii", $respondent_id, $ip, $browser, $q1, $q2, $q3, $q4, $q5, $q6, $q7, $q8); mysqli_stmt_execute($proc); $mysql_error = mysqli_error($link); if ($mysql_error!="") { printf("Unexpected database error: %s\n", $mysql_error); mysqli_stmt_close($proc); mysqli_clean_connection($link); exit(); } else { mysqli_stmt_close($proc); mysqli_clean_connection($link); update_completion_status($respondent_id, 'Started'); header("Location: page2.php?r=".$rguid); } } This code works a treat - no problem. At the moment, that code appears on a 'save' page that relates to a 'form' page (i.e. if I have 5 .php pages with a form on each, I need 5 save.php pages to save each pages data to the database) to save data to my SQL database. What I would like is to have a single save.php page that will work with as many 'form' pages as I have. So instead of manually having to setup and change each save page, it automates it. I've no idea of the coding to do this, though I suspect something like a foreacg or loop etc. Any suggestions? Thanks, Homer.

    Read the article

  • Users and roles in context

    - by Eric W.
    I'm trying to get a sense of how to implement the user/role relationships for an application I'm writing. The persistence layer is Google App Engine's datastore, which places some interesting (but generally beneficial) constraints on what can be done. Any thoughts are appreciated. It might be helpful to keep things very concrete. I would like there to be organizations, users, test content and test administrations (records of tests that have been taken). A user can have the role of participant (test-taker), contributor of test material or both. A user can also be a member of zero or more organizations. In the role of participant, the user can see the previous administrations of tests he or she has taken. The user can also see a test administration of another participant if that participant has given the user authorization. The user can see test material that has been made public, and he or she can see restricted content as a participant during a specific administration of a test for which that user has been authorized by an organization. As a member of an organization, the user can see restricted content in the role of contributor, and he or she might or might not also be able to edit the content. Each organization should have one or more administrators that can determine whether a member can see and edit content and determine who has admin privileges. There should also be one or more application-wide superusers that can troubleshoot and solve problems. Members of organizations can see the administrations of tests that the participants concerned have authorized them to see, and they can see anonymous data if no authorization has been given. A user cannot see the test results of another user in any other circumstances. Since there are no joins in the App Engine datastore, it might be necessary to have things less normalized than usual for the typical SQL database in order to ensure that queries that check permissions are fast (e.g., ones that determine whether a link is to be displayed). My questions are: How do I move forward on this? Should I spend a lot of time up front in order to get the model right, or can I iterate several times and gradually roll in additional complexity? Does anyone have some general ideas about how to break things up in this instance? Are there any GAE libraries that handle roles in a way that is compatible with this arrangement?

    Read the article

  • VB.Net 2008 IDE hanging - MSVB7.dll eating 100% CPU when editing code

    - by Andrew Backer
    I am having a problem with msvb7.dll eating 50%+ cpu on my dual core system. This usually lasts 10-30 seconds or so, during which time the IDE is non-responsive. This occurs when I do pretty much anything in the text editor, and can be replicated by simply adding blank lines to a function, and then deleting them. Or pasting some code. Or... lotsa stuff. SP1 installed I had DevExpress' refactor/coderush, components, and codeit.right installed, but have removed all 3 of them. (I had installed the latest version of Refactor Pro! (9.3.4), perhaps the day before) I have tried a VS.NET Repair. There is a kb that referenced some cpu destroying with vb, but it was included in SP1 Also: The solution consists of ~30 VB projects and 2 C# projects 8 other developers aren't having any issues with this (or at least not the SAME issues, we all have em) Clean get from TFS was done Project builds properly, can can even debug. This doesn't seem to happen on really small solutions, but perhaps it does and it just goes away super quick. Any clues at all as to what might be causing this, or how to fix it? I REALLY don't want to lose another day uninstalling and reinstalling and patching and so on =) If that even fixes it. Here is the stack trace (process explorer) that I get from the threads window when the msvb7.dll is churning. --- title in process explorer [threads] tab for process -------- cpu:49.28% cswitch delta: 300 to 3500 startaddress: [msvb7.dll+0x4218c] msvb7.dll version: 9.0.30729.1 --- actual stack trace ------- ntkrnlpa.exe!KiUnexpectedInterrupt+0x121 ntkrnlpa.exe!ZwYieldExecution+0x1c56 ntkrnlpa.exe!KiDispatchInterrupt+0x72e NDIS.sys!NdisFreeToBlockPool+0x15e1 // shortened stack trace. all of these are from msvb7, msvb7.dll+0x46ce7 <- 0x2676a <- 0x2698e <- 0x38031 <- 0x2659f <- 0x26644 msvb7.dll+0x25f29 <- 0x2ac7a <- 0x27522 <- 0x274a0 <- 0x2b5ce <- 0x2b6e4 msvb7.dll+0x67d0a <- 0x68551 <- 0x6817b <- 0x681f0 <- 0x67c38 <- 0x65fa8 msvb7.dll+0x666c6 <- 0x6672c <- 0x6673d <- 0x6677c <- 0x667b4 <- 0x63c77 msvb7.dll+0x63e97 <- 0x42c3a <- 0x42bc1 <- 0x41bd7 kernel32.dll!GetModuleFileNameA+0x1b4 This is the list of stuff from "copy info" in help-about, shortened to a resonable length. Microsoft Visual Studio 2008 | Version 9.0.30729.1 SP Microsoft Visual Studio 2008 Professional Edition - ENU Service Pack 1 (KB945140) KB945140 Microsoft .NET Framework | Version 3.5 SP1 Microsoft Visual Basic 2008 Microsoft Visual C# 2008 Microsoft Visual F# for Visual Studio 2008 Microsoft Visual Studio 2008 Team Explorer | Version 9.0.30729.1 Microsoft Visual Studio 2008 Tools for Office Microsoft Visual Web Developer 2008 Hotfix for Microsoft Visual Studio 2008 Professional Edition - ENU KB944899, KB945282, KB946040, KB946308, KB946344, KB946581, KB947171 KB947173, KB947180, KB947540, KB947789, KB948127, KB946260, KB946458, KB948816 Microsoft Recipe Framework Package 8.0 Process Editor WIT Designer 1.4.0.0 Process Editor for Microsoft Visual Studio Team Foundation Server, Version 1.4.0.0 tangible T4 Editor 9.0 tangible T4 Text Template Editor - T4 Editor tangibleprojectsystem 1.0 Team Foundation Server Power Tools October 2008 SQL Prompt 4.0 (disabled)

    Read the article

  • value types in the vm

    - by john.rose
    value types in the vm p.p1 {margin: 0.0px 0.0px 0.0px 0.0px; font: 14.0px Times} p.p2 {margin: 0.0px 0.0px 14.0px 0.0px; font: 14.0px Times} p.p3 {margin: 0.0px 0.0px 12.0px 0.0px; font: 14.0px Times} p.p4 {margin: 0.0px 0.0px 15.0px 0.0px; font: 14.0px Times} p.p5 {margin: 0.0px 0.0px 0.0px 0.0px; font: 14.0px Courier} p.p6 {margin: 0.0px 0.0px 0.0px 0.0px; font: 14.0px Courier; min-height: 17.0px} p.p7 {margin: 0.0px 0.0px 0.0px 0.0px; font: 14.0px Times; min-height: 18.0px} p.p8 {margin: 0.0px 0.0px 0.0px 36.0px; text-indent: -36.0px; font: 14.0px Times; min-height: 18.0px} p.p9 {margin: 0.0px 0.0px 12.0px 0.0px; font: 14.0px Times; min-height: 18.0px} p.p10 {margin: 0.0px 0.0px 12.0px 0.0px; font: 14.0px Times; color: #000000} li.li1 {margin: 0.0px 0.0px 0.0px 0.0px; font: 14.0px Times} li.li7 {margin: 0.0px 0.0px 0.0px 0.0px; font: 14.0px Times; min-height: 18.0px} span.s1 {font: 14.0px Courier} span.s2 {color: #000000} span.s3 {font: 14.0px Courier; color: #000000} ol.ol1 {list-style-type: decimal} Or, enduring values for a changing world. Introduction A value type is a data type which, generally speaking, is designed for being passed by value in and out of methods, and stored by value in data structures. The only value types which the Java language directly supports are the eight primitive types. Java indirectly and approximately supports value types, if they are implemented in terms of classes. For example, both Integer and String may be viewed as value types, especially if their usage is restricted to avoid operations appropriate to Object. In this note, we propose a definition of value types in terms of a design pattern for Java classes, accompanied by a set of usage restrictions. We also sketch the relation of such value types to tuple types (which are a JVM-level notion), and point out JVM optimizations that can apply to value types. This note is a thought experiment to extend the JVM’s performance model in support of value types. The demonstration has two phases.  Initially the extension can simply use design patterns, within the current bytecode architecture, and in today’s Java language. But if the performance model is to be realized in practice, it will probably require new JVM bytecode features, changes to the Java language, or both.  We will look at a few possibilities for these new features. An Axiom of Value In the context of the JVM, a value type is a data type equipped with construction, assignment, and equality operations, and a set of typed components, such that, whenever two variables of the value type produce equal corresponding values for their components, the values of the two variables cannot be distinguished by any JVM operation. Here are some corollaries: A value type is immutable, since otherwise a copy could be constructed and the original could be modified in one of its components, allowing the copies to be distinguished. Changing the component of a value type requires construction of a new value. The equals and hashCode operations are strictly component-wise. If a value type is represented by a JVM reference, that reference cannot be successfully synchronized on, and cannot be usefully compared for reference equality. A value type can be viewed in terms of what it doesn’t do. We can say that a value type omits all value-unsafe operations, which could violate the constraints on value types.  These operations, which are ordinarily allowed for Java object types, are pointer equality comparison (the acmp instruction), synchronization (the monitor instructions), all the wait and notify methods of class Object, and non-trivial finalize methods. The clone method is also value-unsafe, although for value types it could be treated as the identity function. Finally, and most importantly, any side effect on an object (however visible) also counts as an value-unsafe operation. A value type may have methods, but such methods must not change the components of the value. It is reasonable and useful to define methods like toString, equals, and hashCode on value types, and also methods which are specifically valuable to users of the value type. Representations of Value Value types have two natural representations in the JVM, unboxed and boxed. An unboxed value consists of the components, as simple variables. For example, the complex number x=(1+2i), in rectangular coordinate form, may be represented in unboxed form by the following pair of variables: /*Complex x = Complex.valueOf(1.0, 2.0):*/ double x_re = 1.0, x_im = 2.0; These variables might be locals, parameters, or fields. Their association as components of a single value is not defined to the JVM. Here is a sample computation which computes the norm of the difference between two complex numbers: double distance(/*Complex x:*/ double x_re, double x_im,         /*Complex y:*/ double y_re, double y_im) {     /*Complex z = x.minus(y):*/     double z_re = x_re - y_re, z_im = x_im - y_im;     /*return z.abs():*/     return Math.sqrt(z_re*z_re + z_im*z_im); } A boxed representation groups component values under a single object reference. The reference is to a ‘wrapper class’ that carries the component values in its fields. (A primitive type can naturally be equated with a trivial value type with just one component of that type. In that view, the wrapper class Integer can serve as a boxed representation of value type int.) The unboxed representation of complex numbers is practical for many uses, but it fails to cover several major use cases: return values, array elements, and generic APIs. The two components of a complex number cannot be directly returned from a Java function, since Java does not support multiple return values. The same story applies to array elements: Java has no ’array of structs’ feature. (Double-length arrays are a possible workaround for complex numbers, but not for value types with heterogeneous components.) By generic APIs I mean both those which use generic types, like Arrays.asList and those which have special case support for primitive types, like String.valueOf and PrintStream.println. Those APIs do not support unboxed values, and offer some problems to boxed values. Any ’real’ JVM type should have a story for returns, arrays, and API interoperability. The basic problem here is that value types fall between primitive types and object types. Value types are clearly more complex than primitive types, and object types are slightly too complicated. Objects are a little bit dangerous to use as value carriers, since object references can be compared for pointer equality, and can be synchronized on. Also, as many Java programmers have observed, there is often a performance cost to using wrapper objects, even on modern JVMs. Even so, wrapper classes are a good starting point for talking about value types. If there were a set of structural rules and restrictions which would prevent value-unsafe operations on value types, wrapper classes would provide a good notation for defining value types. This note attempts to define such rules and restrictions. Let’s Start Coding Now it is time to look at some real code. Here is a definition, written in Java, of a complex number value type. @ValueSafe public final class Complex implements java.io.Serializable {     // immutable component structure:     public final double re, im;     private Complex(double re, double im) {         this.re = re; this.im = im;     }     // interoperability methods:     public String toString() { return "Complex("+re+","+im+")"; }     public List<Double> asList() { return Arrays.asList(re, im); }     public boolean equals(Complex c) {         return re == c.re && im == c.im;     }     public boolean equals(@ValueSafe Object x) {         return x instanceof Complex && equals((Complex) x);     }     public int hashCode() {         return 31*Double.valueOf(re).hashCode()                 + Double.valueOf(im).hashCode();     }     // factory methods:     public static Complex valueOf(double re, double im) {         return new Complex(re, im);     }     public Complex changeRe(double re2) { return valueOf(re2, im); }     public Complex changeIm(double im2) { return valueOf(re, im2); }     public static Complex cast(@ValueSafe Object x) {         return x == null ? ZERO : (Complex) x;     }     // utility methods and constants:     public Complex plus(Complex c)  { return new Complex(re+c.re, im+c.im); }     public Complex minus(Complex c) { return new Complex(re-c.re, im-c.im); }     public double abs() { return Math.sqrt(re*re + im*im); }     public static final Complex PI = valueOf(Math.PI, 0.0);     public static final Complex ZERO = valueOf(0.0, 0.0); } This is not a minimal definition, because it includes some utility methods and other optional parts.  The essential elements are as follows: The class is marked as a value type with an annotation. The class is final, because it does not make sense to create subclasses of value types. The fields of the class are all non-private and final.  (I.e., the type is immutable and structurally transparent.) From the supertype Object, all public non-final methods are overridden. The constructor is private. Beyond these bare essentials, we can observe the following features in this example, which are likely to be typical of all value types: One or more factory methods are responsible for value creation, including a component-wise valueOf method. There are utility methods for complex arithmetic and instance creation, such as plus and changeIm. There are static utility constants, such as PI. The type is serializable, using the default mechanisms. There are methods for converting to and from dynamically typed references, such as asList and cast. The Rules In order to use value types properly, the programmer must avoid value-unsafe operations.  A helpful Java compiler should issue errors (or at least warnings) for code which provably applies value-unsafe operations, and should issue warnings for code which might be correct but does not provably avoid value-unsafe operations.  No such compilers exist today, but to simplify our account here, we will pretend that they do exist. A value-safe type is any class, interface, or type parameter marked with the @ValueSafe annotation, or any subtype of a value-safe type.  If a value-safe class is marked final, it is in fact a value type.  All other value-safe classes must be abstract.  The non-static fields of a value class must be non-public and final, and all its constructors must be private. Under the above rules, a standard interface could be helpful to define value types like Complex.  Here is an example: @ValueSafe public interface ValueType extends java.io.Serializable {     // All methods listed here must get redefined.     // Definitions must be value-safe, which means     // they may depend on component values only.     List<? extends Object> asList();     int hashCode();     boolean equals(@ValueSafe Object c);     String toString(); } //@ValueSafe inherited from supertype: public final class Complex implements ValueType { … The main advantage of such a conventional interface is that (unlike an annotation) it is reified in the runtime type system.  It could appear as an element type or parameter bound, for facilities which are designed to work on value types only.  More broadly, it might assist the JVM to perform dynamic enforcement of the rules for value types. Besides types, the annotation @ValueSafe can mark fields, parameters, local variables, and methods.  (This is redundant when the type is also value-safe, but may be useful when the type is Object or another supertype of a value type.)  Working forward from these annotations, an expression E is defined as value-safe if it satisfies one or more of the following: The type of E is a value-safe type. E names a field, parameter, or local variable whose declaration is marked @ValueSafe. E is a call to a method whose declaration is marked @ValueSafe. E is an assignment to a value-safe variable, field reference, or array reference. E is a cast to a value-safe type from a value-safe expression. E is a conditional expression E0 ? E1 : E2, and both E1 and E2 are value-safe. Assignments to value-safe expressions and initializations of value-safe names must take their values from value-safe expressions. A value-safe expression may not be the subject of a value-unsafe operation.  In particular, it cannot be synchronized on, nor can it be compared with the “==” operator, not even with a null or with another value-safe type. In a program where all of these rules are followed, no value-type value will be subject to a value-unsafe operation.  Thus, the prime axiom of value types will be satisfied, that no two value type will be distinguishable as long as their component values are equal. More Code To illustrate these rules, here are some usage examples for Complex: Complex pi = Complex.valueOf(Math.PI, 0); Complex zero = pi.changeRe(0);  //zero = pi; zero.re = 0; ValueType vtype = pi; @SuppressWarnings("value-unsafe")   Object obj = pi; @ValueSafe Object obj2 = pi; obj2 = new Object();  // ok List<Complex> clist = new ArrayList<Complex>(); clist.add(pi);  // (ok assuming List.add param is @ValueSafe) List<ValueType> vlist = new ArrayList<ValueType>(); vlist.add(pi);  // (ok) List<Object> olist = new ArrayList<Object>(); olist.add(pi);  // warning: "value-unsafe" boolean z = pi.equals(zero); boolean z1 = (pi == zero);  // error: reference comparison on value type boolean z2 = (pi == null);  // error: reference comparison on value type boolean z3 = (pi == obj2);  // error: reference comparison on value type synchronized (pi) { }  // error: synch of value, unpredictable result synchronized (obj2) { }  // unpredictable result Complex qq = pi; qq = null;  // possible NPE; warning: “null-unsafe" qq = (Complex) obj;  // warning: “null-unsafe" qq = Complex.cast(obj);  // OK @SuppressWarnings("null-unsafe")   Complex empty = null;  // possible NPE qq = empty;  // possible NPE (null pollution) The Payoffs It follows from this that either the JVM or the java compiler can replace boxed value-type values with unboxed ones, without affecting normal computations.  Fields and variables of value types can be split into their unboxed components.  Non-static methods on value types can be transformed into static methods which take the components as value parameters. Some common questions arise around this point in any discussion of value types. Why burden the programmer with all these extra rules?  Why not detect programs automagically and perform unboxing transparently?  The answer is that it is easy to break the rules accidently unless they are agreed to by the programmer and enforced.  Automatic unboxing optimizations are tantalizing but (so far) unreachable ideal.  In the current state of the art, it is possible exhibit benchmarks in which automatic unboxing provides the desired effects, but it is not possible to provide a JVM with a performance model that assures the programmer when unboxing will occur.  This is why I’m writing this note, to enlist help from, and provide assurances to, the programmer.  Basically, I’m shooting for a good set of user-supplied “pragmas” to frame the desired optimization. Again, the important thing is that the unboxing must be done reliably, or else programmers will have no reason to work with the extra complexity of the value-safety rules.  There must be a reasonably stable performance model, wherein using a value type has approximately the same performance characteristics as writing the unboxed components as separate Java variables. There are some rough corners to the present scheme.  Since Java fields and array elements are initialized to null, value-type computations which incorporate uninitialized variables can produce null pointer exceptions.  One workaround for this is to require such variables to be null-tested, and the result replaced with a suitable all-zero value of the value type.  That is what the “cast” method does above. Generically typed APIs like List<T> will continue to manipulate boxed values always, at least until we figure out how to do reification of generic type instances.  Use of such APIs will elicit warnings until their type parameters (and/or relevant members) are annotated or typed as value-safe.  Retrofitting List<T> is likely to expose flaws in the present scheme, which we will need to engineer around.  Here are a couple of first approaches: public interface java.util.List<@ValueSafe T> extends Collection<T> { … public interface java.util.List<T extends Object|ValueType> extends Collection<T> { … (The second approach would require disjunctive types, in which value-safety is “contagious” from the constituent types.) With more transformations, the return value types of methods can also be unboxed.  This may require significant bytecode-level transformations, and would work best in the presence of a bytecode representation for multiple value groups, which I have proposed elsewhere under the title “Tuples in the VM”. But for starters, the JVM can apply this transformation under the covers, to internally compiled methods.  This would give a way to express multiple return values and structured return values, which is a significant pain-point for Java programmers, especially those who work with low-level structure types favored by modern vector and graphics processors.  The lack of multiple return values has a strong distorting effect on many Java APIs. Even if the JVM fails to unbox a value, there is still potential benefit to the value type.  Clustered computing systems something have copy operations (serialization or something similar) which apply implicitly to command operands.  When copying JVM objects, it is extremely helpful to know when an object’s identity is important or not.  If an object reference is a copied operand, the system may have to create a proxy handle which points back to the original object, so that side effects are visible.  Proxies must be managed carefully, and this can be expensive.  On the other hand, value types are exactly those types which a JVM can “copy and forget” with no downside. Array types are crucial to bulk data interfaces.  (As data sizes and rates increase, bulk data becomes more important than scalar data, so arrays are definitely accompanying us into the future of computing.)  Value types are very helpful for adding structure to bulk data, so a successful value type mechanism will make it easier for us to express richer forms of bulk data. Unboxing arrays (i.e., arrays containing unboxed values) will provide better cache and memory density, and more direct data movement within clustered or heterogeneous computing systems.  They require the deepest transformations, relative to today’s JVM.  There is an impedance mismatch between value-type arrays and Java’s covariant array typing, so compromises will need to be struck with existing Java semantics.  It is probably worth the effort, since arrays of unboxed value types are inherently more memory-efficient than standard Java arrays, which rely on dependent pointer chains. It may be sufficient to extend the “value-safe” concept to array declarations, and allow low-level transformations to change value-safe array declarations from the standard boxed form into an unboxed tuple-based form.  Such value-safe arrays would not be convertible to Object[] arrays.  Certain connection points, such as Arrays.copyOf and System.arraycopy might need additional input/output combinations, to allow smooth conversion between arrays with boxed and unboxed elements. Alternatively, the correct solution may have to wait until we have enough reification of generic types, and enough operator overloading, to enable an overhaul of Java arrays. Implicit Method Definitions The example of class Complex above may be unattractively complex.  I believe most or all of the elements of the example class are required by the logic of value types. If this is true, a programmer who writes a value type will have to write lots of error-prone boilerplate code.  On the other hand, I think nearly all of the code (except for the domain-specific parts like plus and minus) can be implicitly generated. Java has a rule for implicitly defining a class’s constructor, if no it defines no constructors explicitly.  Likewise, there are rules for providing default access modifiers for interface members.  Because of the highly regular structure of value types, it might be reasonable to perform similar implicit transformations on value types.  Here’s an example of a “highly implicit” definition of a complex number type: public class Complex implements ValueType {  // implicitly final     public double re, im;  // implicitly public final     //implicit methods are defined elementwise from te fields:     //  toString, asList, equals(2), hashCode, valueOf, cast     //optionally, explicit methods (plus, abs, etc.) would go here } In other words, with the right defaults, a simple value type definition can be a one-liner.  The observant reader will have noticed the similarities (and suitable differences) between the explicit methods above and the corresponding methods for List<T>. Another way to abbreviate such a class would be to make an annotation the primary trigger of the functionality, and to add the interface(s) implicitly: public @ValueType class Complex { … // implicitly final, implements ValueType (But to me it seems better to communicate the “magic” via an interface, even if it is rooted in an annotation.) Implicitly Defined Value Types So far we have been working with nominal value types, which is to say that the sequence of typed components is associated with a name and additional methods that convey the intention of the programmer.  A simple ordered pair of floating point numbers can be variously interpreted as (to name a few possibilities) a rectangular or polar complex number or Cartesian point.  The name and the methods convey the intended meaning. But what if we need a truly simple ordered pair of floating point numbers, without any further conceptual baggage?  Perhaps we are writing a method (like “divideAndRemainder”) which naturally returns a pair of numbers instead of a single number.  Wrapping the pair of numbers in a nominal type (like “QuotientAndRemainder”) makes as little sense as wrapping a single return value in a nominal type (like “Quotient”).  What we need here are structural value types commonly known as tuples. For the present discussion, let us assign a conventional, JVM-friendly name to tuples, roughly as follows: public class java.lang.tuple.$DD extends java.lang.tuple.Tuple {      double $1, $2; } Here the component names are fixed and all the required methods are defined implicitly.  The supertype is an abstract class which has suitable shared declarations.  The name itself mentions a JVM-style method parameter descriptor, which may be “cracked” to determine the number and types of the component fields. The odd thing about such a tuple type (and structural types in general) is it must be instantiated lazily, in response to linkage requests from one or more classes that need it.  The JVM and/or its class loaders must be prepared to spin a tuple type on demand, given a simple name reference, $xyz, where the xyz is cracked into a series of component types.  (Specifics of naming and name mangling need some tasteful engineering.) Tuples also seem to demand, even more than nominal types, some support from the language.  (This is probably because notations for non-nominal types work best as combinations of punctuation and type names, rather than named constructors like Function3 or Tuple2.)  At a minimum, languages with tuples usually (I think) have some sort of simple bracket notation for creating tuples, and a corresponding pattern-matching syntax (or “destructuring bind”) for taking tuples apart, at least when they are parameter lists.  Designing such a syntax is no simple thing, because it ought to play well with nominal value types, and also with pre-existing Java features, such as method parameter lists, implicit conversions, generic types, and reflection.  That is a task for another day. Other Use Cases Besides complex numbers and simple tuples there are many use cases for value types.  Many tuple-like types have natural value-type representations. These include rational numbers, point locations and pixel colors, and various kinds of dates and addresses. Other types have a variable-length ‘tail’ of internal values. The most common example of this is String, which is (mathematically) a sequence of UTF-16 character values. Similarly, bit vectors, multiple-precision numbers, and polynomials are composed of sequences of values. Such types include, in their representation, a reference to a variable-sized data structure (often an array) which (somehow) represents the sequence of values. The value type may also include ’header’ information. Variable-sized values often have a length distribution which favors short lengths. In that case, the design of the value type can make the first few values in the sequence be direct ’header’ fields of the value type. In the common case where the header is enough to represent the whole value, the tail can be a shared null value, or even just a null reference. Note that the tail need not be an immutable object, as long as the header type encapsulates it well enough. This is the case with String, where the tail is a mutable (but never mutated) character array. Field types and their order must be a globally visible part of the API.  The structure of the value type must be transparent enough to have a globally consistent unboxed representation, so that all callers and callees agree about the type and order of components  that appear as parameters, return types, and array elements.  This is a trade-off between efficiency and encapsulation, which is forced on us when we remove an indirection enjoyed by boxed representations.  A JVM-only transformation would not care about such visibility, but a bytecode transformation would need to take care that (say) the components of complex numbers would not get swapped after a redefinition of Complex and a partial recompile.  Perhaps constant pool references to value types need to declare the field order as assumed by each API user. This brings up the delicate status of private fields in a value type.  It must always be possible to load, store, and copy value types as coordinated groups, and the JVM performs those movements by moving individual scalar values between locals and stack.  If a component field is not public, what is to prevent hostile code from plucking it out of the tuple using a rogue aload or astore instruction?  Nothing but the verifier, so we may need to give it more smarts, so that it treats value types as inseparable groups of stack slots or locals (something like long or double). My initial thought was to make the fields always public, which would make the security problem moot.  But public is not always the right answer; consider the case of String, where the underlying mutable character array must be encapsulated to prevent security holes.  I believe we can win back both sides of the tradeoff, by training the verifier never to split up the components in an unboxed value.  Just as the verifier encapsulates the two halves of a 64-bit primitive, it can encapsulate the the header and body of an unboxed String, so that no code other than that of class String itself can take apart the values. Similar to String, we could build an efficient multi-precision decimal type along these lines: public final class DecimalValue extends ValueType {     protected final long header;     protected private final BigInteger digits;     public DecimalValue valueOf(int value, int scale) {         assert(scale >= 0);         return new DecimalValue(((long)value << 32) + scale, null);     }     public DecimalValue valueOf(long value, int scale) {         if (value == (int) value)             return valueOf((int)value, scale);         return new DecimalValue(-scale, new BigInteger(value));     } } Values of this type would be passed between methods as two machine words. Small values (those with a significand which fits into 32 bits) would be represented without any heap data at all, unless the DecimalValue itself were boxed. (Note the tension between encapsulation and unboxing in this case.  It would be better if the header and digits fields were private, but depending on where the unboxing information must “leak”, it is probably safer to make a public revelation of the internal structure.) Note that, although an array of Complex can be faked with a double-length array of double, there is no easy way to fake an array of unboxed DecimalValues.  (Either an array of boxed values or a transposed pair of homogeneous arrays would be reasonable fallbacks, in a current JVM.)  Getting the full benefit of unboxing and arrays will require some new JVM magic. Although the JVM emphasizes portability, system dependent code will benefit from using machine-level types larger than 64 bits.  For example, the back end of a linear algebra package might benefit from value types like Float4 which map to stock vector types.  This is probably only worthwhile if the unboxing arrays can be packed with such values. More Daydreams A more finely-divided design for dynamic enforcement of value safety could feature separate marker interfaces for each invariant.  An empty marker interface Unsynchronizable could cause suitable exceptions for monitor instructions on objects in marked classes.  More radically, a Interchangeable marker interface could cause JVM primitives that are sensitive to object identity to raise exceptions; the strangest result would be that the acmp instruction would have to be specified as raising an exception. @ValueSafe public interface ValueType extends java.io.Serializable,         Unsynchronizable, Interchangeable { … public class Complex implements ValueType {     // inherits Serializable, Unsynchronizable, Interchangeable, @ValueSafe     … It seems possible that Integer and the other wrapper types could be retro-fitted as value-safe types.  This is a major change, since wrapper objects would be unsynchronizable and their references interchangeable.  It is likely that code which violates value-safety for wrapper types exists but is uncommon.  It is less plausible to retro-fit String, since the prominent operation String.intern is often used with value-unsafe code. We should also reconsider the distinction between boxed and unboxed values in code.  The design presented above obscures that distinction.  As another thought experiment, we could imagine making a first class distinction in the type system between boxed and unboxed representations.  Since only primitive types are named with a lower-case initial letter, we could define that the capitalized version of a value type name always refers to the boxed representation, while the initial lower-case variant always refers to boxed.  For example: complex pi = complex.valueOf(Math.PI, 0); Complex boxPi = pi;  // convert to boxed myList.add(boxPi); complex z = myList.get(0);  // unbox Such a convention could perhaps absorb the current difference between int and Integer, double and Double. It might also allow the programmer to express a helpful distinction among array types. As said above, array types are crucial to bulk data interfaces, but are limited in the JVM.  Extending arrays beyond the present limitations is worth thinking about; for example, the Maxine JVM implementation has a hybrid object/array type.  Something like this which can also accommodate value type components seems worthwhile.  On the other hand, does it make sense for value types to contain short arrays?  And why should random-access arrays be the end of our design process, when bulk data is often sequentially accessed, and it might make sense to have heterogeneous streams of data as the natural “jumbo” data structure.  These considerations must wait for another day and another note. More Work It seems to me that a good sequence for introducing such value types would be as follows: Add the value-safety restrictions to an experimental version of javac. Code some sample applications with value types, including Complex and DecimalValue. Create an experimental JVM which internally unboxes value types but does not require new bytecodes to do so.  Ensure the feasibility of the performance model for the sample applications. Add tuple-like bytecodes (with or without generic type reification) to a major revision of the JVM, and teach the Java compiler to switch in the new bytecodes without code changes. A staggered roll-out like this would decouple language changes from bytecode changes, which is always a convenient thing. A similar investigation should be applied (concurrently) to array types.  In this case, it seems to me that the starting point is in the JVM: Add an experimental unboxing array data structure to a production JVM, perhaps along the lines of Maxine hybrids.  No bytecode or language support is required at first; everything can be done with encapsulated unsafe operations and/or method handles. Create an experimental JVM which internally unboxes value types but does not require new bytecodes to do so.  Ensure the feasibility of the performance model for the sample applications. Add tuple-like bytecodes (with or without generic type reification) to a major revision of the JVM, and teach the Java compiler to switch in the new bytecodes without code changes. That’s enough musing me for now.  Back to work!

    Read the article

  • How John Got 15x Improvement Without Really Trying

    - by rchrd
    The following article was published on a Sun Microsystems website a number of years ago by John Feo. It is still useful and worth preserving. So I'm republishing it here.  How I Got 15x Improvement Without Really Trying John Feo, Sun Microsystems Taking ten "personal" program codes used in scientific and engineering research, the author was able to get from 2 to 15 times performance improvement easily by applying some simple general optimization techniques. Introduction Scientific research based on computer simulation depends on the simulation for advancement. The research can advance only as fast as the computational codes can execute. The codes' efficiency determines both the rate and quality of results. In the same amount of time, a faster program can generate more results and can carry out a more detailed simulation of physical phenomena than a slower program. Highly optimized programs help science advance quickly and insure that monies supporting scientific research are used as effectively as possible. Scientific computer codes divide into three broad categories: ISV, community, and personal. ISV codes are large, mature production codes developed and sold commercially. The codes improve slowly over time both in methods and capabilities, and they are well tuned for most vendor platforms. Since the codes are mature and complex, there are few opportunities to improve their performance solely through code optimization. Improvements of 10% to 15% are typical. Examples of ISV codes are DYNA3D, Gaussian, and Nastran. Community codes are non-commercial production codes used by a particular research field. Generally, they are developed and distributed by a single academic or research institution with assistance from the community. Most users just run the codes, but some develop new methods and extensions that feed back into the general release. The codes are available on most vendor platforms. Since these codes are younger than ISV codes, there are more opportunities to optimize the source code. Improvements of 50% are not unusual. Examples of community codes are AMBER, CHARM, BLAST, and FASTA. Personal codes are those written by single users or small research groups for their own use. These codes are not distributed, but may be passed from professor-to-student or student-to-student over several years. They form the primordial ocean of applications from which community and ISV codes emerge. Government research grants pay for the development of most personal codes. This paper reports on the nature and performance of this class of codes. Over the last year, I have looked at over two dozen personal codes from more than a dozen research institutions. The codes cover a variety of scientific fields, including astronomy, atmospheric sciences, bioinformatics, biology, chemistry, geology, and physics. The sources range from a few hundred lines to more than ten thousand lines, and are written in Fortran, Fortran 90, C, and C++. For the most part, the codes are modular, documented, and written in a clear, straightforward manner. They do not use complex language features, advanced data structures, programming tricks, or libraries. I had little trouble understanding what the codes did or how data structures were used. Most came with a makefile. Surprisingly, only one of the applications is parallel. All developers have access to parallel machines, so availability is not an issue. Several tried to parallelize their applications, but stopped after encountering difficulties. Lack of education and a perception that parallelism is difficult prevented most from trying. I parallelized several of the codes using OpenMP, and did not judge any of the codes as difficult to parallelize. Even more surprising than the lack of parallelism is the inefficiency of the codes. I was able to get large improvements in performance in a matter of a few days applying simple optimization techniques. Table 1 lists ten representative codes [names and affiliation are omitted to preserve anonymity]. Improvements on one processor range from 2x to 15.5x with a simple average of 4.75x. I did not use sophisticated performance tools or drill deep into the program's execution character as one would do when tuning ISV or community codes. Using only a profiler and source line timers, I identified inefficient sections of code and improved their performance by inspection. The changes were at a high level. I am sure there is another factor of 2 or 3 in each code, and more if the codes are parallelized. The study’s results show that personal scientific codes are running many times slower than they should and that the problem is pervasive. Computational scientists are not sloppy programmers; however, few are trained in the art of computer programming or code optimization. I found that most have a working knowledge of some programming language and standard software engineering practices; but they do not know, or think about, how to make their programs run faster. They simply do not know the standard techniques used to make codes run faster. In fact, they do not even perceive that such techniques exist. The case studies described in this paper show that applying simple, well known techniques can significantly increase the performance of personal codes. It is important that the scientific community and the Government agencies that support scientific research find ways to better educate academic scientific programmers. The inefficiency of their codes is so bad that it is retarding both the quality and progress of scientific research. # cacheperformance redundantoperations loopstructures performanceimprovement 1 x x 15.5 2 x 2.8 3 x x 2.5 4 x 2.1 5 x x 2.0 6 x 5.0 7 x 5.8 8 x 6.3 9 2.2 10 x x 3.3 Table 1 — Area of improvement and performance gains of 10 codes The remainder of the paper is organized as follows: sections 2, 3, and 4 discuss the three most common sources of inefficiencies in the codes studied. These are cache performance, redundant operations, and loop structures. Each section includes several examples. The last section summaries the work and suggests a possible solution to the issues raised. Optimizing cache performance Commodity microprocessor systems use caches to increase memory bandwidth and reduce memory latencies. Typical latencies from processor to L1, L2, local, and remote memory are 3, 10, 50, and 200 cycles, respectively. Moreover, bandwidth falls off dramatically as memory distances increase. Programs that do not use cache effectively run many times slower than programs that do. When optimizing for cache, the biggest performance gains are achieved by accessing data in cache order and reusing data to amortize the overhead of cache misses. Secondary considerations are prefetching, associativity, and replacement; however, the understanding and analysis required to optimize for the latter are probably beyond the capabilities of the non-expert. Much can be gained simply by accessing data in the correct order and maximizing data reuse. 6 out of the 10 codes studied here benefited from such high level optimizations. Array Accesses The most important cache optimization is the most basic: accessing Fortran array elements in column order and C array elements in row order. Four of the ten codes—1, 2, 4, and 10—got it wrong. Compilers will restructure nested loops to optimize cache performance, but may not do so if the loop structure is too complex, or the loop body includes conditionals, complex addressing, or function calls. In code 1, the compiler failed to invert a key loop because of complex addressing do I = 0, 1010, delta_x IM = I - delta_x IP = I + delta_x do J = 5, 995, delta_x JM = J - delta_x JP = J + delta_x T1 = CA1(IP, J) + CA1(I, JP) T2 = CA1(IM, J) + CA1(I, JM) S1 = T1 + T2 - 4 * CA1(I, J) CA(I, J) = CA1(I, J) + D * S1 end do end do In code 2, the culprit is conditionals do I = 1, N do J = 1, N If (IFLAG(I,J) .EQ. 0) then T1 = Value(I, J-1) T2 = Value(I-1, J) T3 = Value(I, J) T4 = Value(I+1, J) T5 = Value(I, J+1) Value(I,J) = 0.25 * (T1 + T2 + T5 + T4) Delta = ABS(T3 - Value(I,J)) If (Delta .GT. MaxDelta) MaxDelta = Delta endif enddo enddo I fixed both programs by inverting the loops by hand. Code 10 has three-dimensional arrays and triply nested loops. The structure of the most computationally intensive loops is too complex to invert automatically or by hand. The only practical solution is to transpose the arrays so that the dimension accessed by the innermost loop is in cache order. The arrays can be transposed at construction or prior to entering a computationally intensive section of code. The former requires all array references to be modified, while the latter is cost effective only if the cost of the transpose is amortized over many accesses. I used the second approach to optimize code 10. Code 5 has four-dimensional arrays and loops are nested four deep. For all of the reasons cited above the compiler is not able to restructure three key loops. Assume C arrays and let the four dimensions of the arrays be i, j, k, and l. In the original code, the index structure of the three loops is L1: for i L2: for i L3: for i for l for l for j for k for j for k for j for k for l So only L3 accesses array elements in cache order. L1 is a very complex loop—much too complex to invert. I brought the loop into cache alignment by transposing the second and fourth dimensions of the arrays. Since the code uses a macro to compute all array indexes, I effected the transpose at construction and changed the macro appropriately. The dimensions of the new arrays are now: i, l, k, and j. L3 is a simple loop and easily inverted. L2 has a loop-carried scalar dependence in k. By promoting the scalar name that carries the dependence to an array, I was able to invert the third and fourth subloops aligning the loop with cache. Code 5 is by far the most difficult of the four codes to optimize for array accesses; but the knowledge required to fix the problems is no more than that required for the other codes. I would judge this code at the limits of, but not beyond, the capabilities of appropriately trained computational scientists. Array Strides When a cache miss occurs, a line (64 bytes) rather than just one word is loaded into the cache. If data is accessed stride 1, than the cost of the miss is amortized over 8 words. Any stride other than one reduces the cost savings. Two of the ten codes studied suffered from non-unit strides. The codes represent two important classes of "strided" codes. Code 1 employs a multi-grid algorithm to reduce time to convergence. The grids are every tenth, fifth, second, and unit element. Since time to convergence is inversely proportional to the distance between elements, coarse grids converge quickly providing good starting values for finer grids. The better starting values further reduce the time to convergence. The downside is that grids of every nth element, n > 1, introduce non-unit strides into the computation. In the original code, much of the savings of the multi-grid algorithm were lost due to this problem. I eliminated the problem by compressing (copying) coarse grids into continuous memory, and rewriting the computation as a function of the compressed grid. On convergence, I copied the final values of the compressed grid back to the original grid. The savings gained from unit stride access of the compressed grid more than paid for the cost of copying. Using compressed grids, the loop from code 1 included in the previous section becomes do j = 1, GZ do i = 1, GZ T1 = CA(i+0, j-1) + CA(i-1, j+0) T4 = CA1(i+1, j+0) + CA1(i+0, j+1) S1 = T1 + T4 - 4 * CA1(i+0, j+0) CA(i+0, j+0) = CA1(i+0, j+0) + DD * S1 enddo enddo where CA and CA1 are compressed arrays of size GZ. Code 7 traverses a list of objects selecting objects for later processing. The labels of the selected objects are stored in an array. The selection step has unit stride, but the processing steps have irregular stride. A fix is to save the parameters of the selected objects in temporary arrays as they are selected, and pass the temporary arrays to the processing functions. The fix is practical if the same parameters are used in selection as in processing, or if processing comprises a series of distinct steps which use overlapping subsets of the parameters. Both conditions are true for code 7, so I achieved significant improvement by copying parameters to temporary arrays during selection. Data reuse In the previous sections, we optimized for spatial locality. It is also important to optimize for temporal locality. Once read, a datum should be used as much as possible before it is forced from cache. Loop fusion and loop unrolling are two techniques that increase temporal locality. Unfortunately, both techniques increase register pressure—as loop bodies become larger, the number of registers required to hold temporary values grows. Once register spilling occurs, any gains evaporate quickly. For multiprocessors with small register sets or small caches, the sweet spot can be very small. In the ten codes presented here, I found no opportunities for loop fusion and only two opportunities for loop unrolling (codes 1 and 3). In code 1, unrolling the outer and inner loop one iteration increases the number of result values computed by the loop body from 1 to 4, do J = 1, GZ-2, 2 do I = 1, GZ-2, 2 T1 = CA1(i+0, j-1) + CA1(i-1, j+0) T2 = CA1(i+1, j-1) + CA1(i+0, j+0) T3 = CA1(i+0, j+0) + CA1(i-1, j+1) T4 = CA1(i+1, j+0) + CA1(i+0, j+1) T5 = CA1(i+2, j+0) + CA1(i+1, j+1) T6 = CA1(i+1, j+1) + CA1(i+0, j+2) T7 = CA1(i+2, j+1) + CA1(i+1, j+2) S1 = T1 + T4 - 4 * CA1(i+0, j+0) S2 = T2 + T5 - 4 * CA1(i+1, j+0) S3 = T3 + T6 - 4 * CA1(i+0, j+1) S4 = T4 + T7 - 4 * CA1(i+1, j+1) CA(i+0, j+0) = CA1(i+0, j+0) + DD * S1 CA(i+1, j+0) = CA1(i+1, j+0) + DD * S2 CA(i+0, j+1) = CA1(i+0, j+1) + DD * S3 CA(i+1, j+1) = CA1(i+1, j+1) + DD * S4 enddo enddo The loop body executes 12 reads, whereas as the rolled loop shown in the previous section executes 20 reads to compute the same four values. In code 3, two loops are unrolled 8 times and one loop is unrolled 4 times. Here is the before for (k = 0; k < NK[u]; k++) { sum = 0.0; for (y = 0; y < NY; y++) { sum += W[y][u][k] * delta[y]; } backprop[i++]=sum; } and after code for (k = 0; k < KK - 8; k+=8) { sum0 = 0.0; sum1 = 0.0; sum2 = 0.0; sum3 = 0.0; sum4 = 0.0; sum5 = 0.0; sum6 = 0.0; sum7 = 0.0; for (y = 0; y < NY; y++) { sum0 += W[y][0][k+0] * delta[y]; sum1 += W[y][0][k+1] * delta[y]; sum2 += W[y][0][k+2] * delta[y]; sum3 += W[y][0][k+3] * delta[y]; sum4 += W[y][0][k+4] * delta[y]; sum5 += W[y][0][k+5] * delta[y]; sum6 += W[y][0][k+6] * delta[y]; sum7 += W[y][0][k+7] * delta[y]; } backprop[k+0] = sum0; backprop[k+1] = sum1; backprop[k+2] = sum2; backprop[k+3] = sum3; backprop[k+4] = sum4; backprop[k+5] = sum5; backprop[k+6] = sum6; backprop[k+7] = sum7; } for one of the loops unrolled 8 times. Optimizing for temporal locality is the most difficult optimization considered in this paper. The concepts are not difficult, but the sweet spot is small. Identifying where the program can benefit from loop unrolling or loop fusion is not trivial. Moreover, it takes some effort to get it right. Still, educating scientific programmers about temporal locality and teaching them how to optimize for it will pay dividends. Reducing instruction count Execution time is a function of instruction count. Reduce the count and you usually reduce the time. The best solution is to use a more efficient algorithm; that is, an algorithm whose order of complexity is smaller, that converges quicker, or is more accurate. Optimizing source code without changing the algorithm yields smaller, but still significant, gains. This paper considers only the latter because the intent is to study how much better codes can run if written by programmers schooled in basic code optimization techniques. The ten codes studied benefited from three types of "instruction reducing" optimizations. The two most prevalent were hoisting invariant memory and data operations out of inner loops. The third was eliminating unnecessary data copying. The nature of these inefficiencies is language dependent. Memory operations The semantics of C make it difficult for the compiler to determine all the invariant memory operations in a loop. The problem is particularly acute for loops in functions since the compiler may not know the values of the function's parameters at every call site when compiling the function. Most compilers support pragmas to help resolve ambiguities; however, these pragmas are not comprehensive and there is no standard syntax. To guarantee that invariant memory operations are not executed repetitively, the user has little choice but to hoist the operations by hand. The problem is not as severe in Fortran programs because in the absence of equivalence statements, it is a violation of the language's semantics for two names to share memory. Codes 3 and 5 are C programs. In both cases, the compiler did not hoist all invariant memory operations from inner loops. Consider the following loop from code 3 for (y = 0; y < NY; y++) { i = 0; for (u = 0; u < NU; u++) { for (k = 0; k < NK[u]; k++) { dW[y][u][k] += delta[y] * I1[i++]; } } } Since dW[y][u] can point to the same memory space as delta for one or more values of y and u, assignment to dW[y][u][k] may change the value of delta[y]. In reality, dW and delta do not overlap in memory, so I rewrote the loop as for (y = 0; y < NY; y++) { i = 0; Dy = delta[y]; for (u = 0; u < NU; u++) { for (k = 0; k < NK[u]; k++) { dW[y][u][k] += Dy * I1[i++]; } } } Failure to hoist invariant memory operations may be due to complex address calculations. If the compiler can not determine that the address calculation is invariant, then it can hoist neither the calculation nor the associated memory operations. As noted above, code 5 uses a macro to address four-dimensional arrays #define MAT4D(a,q,i,j,k) (double *)((a)->data + (q)*(a)->strides[0] + (i)*(a)->strides[3] + (j)*(a)->strides[2] + (k)*(a)->strides[1]) The macro is too complex for the compiler to understand and so, it does not identify any subexpressions as loop invariant. The simplest way to eliminate the address calculation from the innermost loop (over i) is to define a0 = MAT4D(a,q,0,j,k) before the loop and then replace all instances of *MAT4D(a,q,i,j,k) in the loop with a0[i] A similar problem appears in code 6, a Fortran program. The key loop in this program is do n1 = 1, nh nx1 = (n1 - 1) / nz + 1 nz1 = n1 - nz * (nx1 - 1) do n2 = 1, nh nx2 = (n2 - 1) / nz + 1 nz2 = n2 - nz * (nx2 - 1) ndx = nx2 - nx1 ndy = nz2 - nz1 gxx = grn(1,ndx,ndy) gyy = grn(2,ndx,ndy) gxy = grn(3,ndx,ndy) balance(n1,1) = balance(n1,1) + (force(n2,1) * gxx + force(n2,2) * gxy) * h1 balance(n1,2) = balance(n1,2) + (force(n2,1) * gxy + force(n2,2) * gyy)*h1 end do end do The programmer has written this loop well—there are no loop invariant operations with respect to n1 and n2. However, the loop resides within an iterative loop over time and the index calculations are independent with respect to time. Trading space for time, I precomputed the index values prior to the entering the time loop and stored the values in two arrays. I then replaced the index calculations with reads of the arrays. Data operations Ways to reduce data operations can appear in many forms. Implementing a more efficient algorithm produces the biggest gains. The closest I came to an algorithm change was in code 4. This code computes the inner product of K-vectors A(i) and B(j), 0 = i < N, 0 = j < M, for most values of i and j. Since the program computes most of the NM possible inner products, it is more efficient to compute all the inner products in one triply-nested loop rather than one at a time when needed. The savings accrue from reading A(i) once for all B(j) vectors and from loop unrolling. for (i = 0; i < N; i+=8) { for (j = 0; j < M; j++) { sum0 = 0.0; sum1 = 0.0; sum2 = 0.0; sum3 = 0.0; sum4 = 0.0; sum5 = 0.0; sum6 = 0.0; sum7 = 0.0; for (k = 0; k < K; k++) { sum0 += A[i+0][k] * B[j][k]; sum1 += A[i+1][k] * B[j][k]; sum2 += A[i+2][k] * B[j][k]; sum3 += A[i+3][k] * B[j][k]; sum4 += A[i+4][k] * B[j][k]; sum5 += A[i+5][k] * B[j][k]; sum6 += A[i+6][k] * B[j][k]; sum7 += A[i+7][k] * B[j][k]; } C[i+0][j] = sum0; C[i+1][j] = sum1; C[i+2][j] = sum2; C[i+3][j] = sum3; C[i+4][j] = sum4; C[i+5][j] = sum5; C[i+6][j] = sum6; C[i+7][j] = sum7; }} This change requires knowledge of a typical run; i.e., that most inner products are computed. The reasons for the change, however, derive from basic optimization concepts. It is the type of change easily made at development time by a knowledgeable programmer. In code 5, we have the data version of the index optimization in code 6. Here a very expensive computation is a function of the loop indices and so cannot be hoisted out of the loop; however, the computation is invariant with respect to an outer iterative loop over time. We can compute its value for each iteration of the computation loop prior to entering the time loop and save the values in an array. The increase in memory required to store the values is small in comparison to the large savings in time. The main loop in Code 8 is doubly nested. The inner loop includes a series of guarded computations; some are a function of the inner loop index but not the outer loop index while others are a function of the outer loop index but not the inner loop index for (j = 0; j < N; j++) { for (i = 0; i < M; i++) { r = i * hrmax; R = A[j]; temp = (PRM[3] == 0.0) ? 1.0 : pow(r, PRM[3]); high = temp * kcoeff * B[j] * PRM[2] * PRM[4]; low = high * PRM[6] * PRM[6] / (1.0 + pow(PRM[4] * PRM[6], 2.0)); kap = (R > PRM[6]) ? high * R * R / (1.0 + pow(PRM[4]*r, 2.0) : low * pow(R/PRM[6], PRM[5]); < rest of loop omitted > }} Note that the value of temp is invariant to j. Thus, we can hoist the computation for temp out of the loop and save its values in an array. for (i = 0; i < M; i++) { r = i * hrmax; TEMP[i] = pow(r, PRM[3]); } [N.B. – the case for PRM[3] = 0 is omitted and will be reintroduced later.] We now hoist out of the inner loop the computations invariant to i. Since the conditional guarding the value of kap is invariant to i, it behooves us to hoist the computation out of the inner loop, thereby executing the guard once rather than M times. The final version of the code is for (j = 0; j < N; j++) { R = rig[j] / 1000.; tmp1 = kcoeff * par[2] * beta[j] * par[4]; tmp2 = 1.0 + (par[4] * par[4] * par[6] * par[6]); tmp3 = 1.0 + (par[4] * par[4] * R * R); tmp4 = par[6] * par[6] / tmp2; tmp5 = R * R / tmp3; tmp6 = pow(R / par[6], par[5]); if ((par[3] == 0.0) && (R > par[6])) { for (i = 1; i <= imax1; i++) KAP[i] = tmp1 * tmp5; } else if ((par[3] == 0.0) && (R <= par[6])) { for (i = 1; i <= imax1; i++) KAP[i] = tmp1 * tmp4 * tmp6; } else if ((par[3] != 0.0) && (R > par[6])) { for (i = 1; i <= imax1; i++) KAP[i] = tmp1 * TEMP[i] * tmp5; } else if ((par[3] != 0.0) && (R <= par[6])) { for (i = 1; i <= imax1; i++) KAP[i] = tmp1 * TEMP[i] * tmp4 * tmp6; } for (i = 0; i < M; i++) { kap = KAP[i]; r = i * hrmax; < rest of loop omitted > } } Maybe not the prettiest piece of code, but certainly much more efficient than the original loop, Copy operations Several programs unnecessarily copy data from one data structure to another. This problem occurs in both Fortran and C programs, although it manifests itself differently in the two languages. Code 1 declares two arrays—one for old values and one for new values. At the end of each iteration, the array of new values is copied to the array of old values to reset the data structures for the next iteration. This problem occurs in Fortran programs not included in this study and in both Fortran 77 and Fortran 90 code. Introducing pointers to the arrays and swapping pointer values is an obvious way to eliminate the copying; but pointers is not a feature that many Fortran programmers know well or are comfortable using. An easy solution not involving pointers is to extend the dimension of the value array by 1 and use the last dimension to differentiate between arrays at different times. For example, if the data space is N x N, declare the array (N, N, 2). Then store the problem’s initial values in (_, _, 2) and define the scalar names new = 2 and old = 1. At the start of each iteration, swap old and new to reset the arrays. The old–new copy problem did not appear in any C program. In programs that had new and old values, the code swapped pointers to reset data structures. Where unnecessary coping did occur is in structure assignment and parameter passing. Structures in C are handled much like scalars. Assignment causes the data space of the right-hand name to be copied to the data space of the left-hand name. Similarly, when a structure is passed to a function, the data space of the actual parameter is copied to the data space of the formal parameter. If the structure is large and the assignment or function call is in an inner loop, then copying costs can grow quite large. While none of the ten programs considered here manifested this problem, it did occur in programs not included in the study. A simple fix is always to refer to structures via pointers. Optimizing loop structures Since scientific programs spend almost all their time in loops, efficient loops are the key to good performance. Conditionals, function calls, little instruction level parallelism, and large numbers of temporary values make it difficult for the compiler to generate tightly packed, highly efficient code. Conditionals and function calls introduce jumps that disrupt code flow. Users should eliminate or isolate conditionls to their own loops as much as possible. Often logical expressions can be substituted for if-then-else statements. For example, code 2 includes the following snippet MaxDelta = 0.0 do J = 1, N do I = 1, M < code omitted > Delta = abs(OldValue ? NewValue) if (Delta > MaxDelta) MaxDelta = Delta enddo enddo if (MaxDelta .gt. 0.001) goto 200 Since the only use of MaxDelta is to control the jump to 200 and all that matters is whether or not it is greater than 0.001, I made MaxDelta a boolean and rewrote the snippet as MaxDelta = .false. do J = 1, N do I = 1, M < code omitted > Delta = abs(OldValue ? NewValue) MaxDelta = MaxDelta .or. (Delta .gt. 0.001) enddo enddo if (MaxDelta) goto 200 thereby, eliminating the conditional expression from the inner loop. A microprocessor can execute many instructions per instruction cycle. Typically, it can execute one or more memory, floating point, integer, and jump operations. To be executed simultaneously, the operations must be independent. Thick loops tend to have more instruction level parallelism than thin loops. Moreover, they reduce memory traffice by maximizing data reuse. Loop unrolling and loop fusion are two techniques to increase the size of loop bodies. Several of the codes studied benefitted from loop unrolling, but none benefitted from loop fusion. This observation is not too surpising since it is the general tendency of programmers to write thick loops. As loops become thicker, the number of temporary values grows, increasing register pressure. If registers spill, then memory traffic increases and code flow is disrupted. A thick loop with many temporary values may execute slower than an equivalent series of thin loops. The biggest gain will be achieved if the thick loop can be split into a series of independent loops eliminating the need to write and read temporary arrays. I found such an occasion in code 10 where I split the loop do i = 1, n do j = 1, m A24(j,i)= S24(j,i) * T24(j,i) + S25(j,i) * U25(j,i) B24(j,i)= S24(j,i) * T25(j,i) + S25(j,i) * U24(j,i) A25(j,i)= S24(j,i) * C24(j,i) + S25(j,i) * V24(j,i) B25(j,i)= S24(j,i) * U25(j,i) + S25(j,i) * V25(j,i) C24(j,i)= S26(j,i) * T26(j,i) + S27(j,i) * U26(j,i) D24(j,i)= S26(j,i) * T27(j,i) + S27(j,i) * V26(j,i) C25(j,i)= S27(j,i) * S28(j,i) + S26(j,i) * U28(j,i) D25(j,i)= S27(j,i) * T28(j,i) + S26(j,i) * V28(j,i) end do end do into two disjoint loops do i = 1, n do j = 1, m A24(j,i)= S24(j,i) * T24(j,i) + S25(j,i) * U25(j,i) B24(j,i)= S24(j,i) * T25(j,i) + S25(j,i) * U24(j,i) A25(j,i)= S24(j,i) * C24(j,i) + S25(j,i) * V24(j,i) B25(j,i)= S24(j,i) * U25(j,i) + S25(j,i) * V25(j,i) end do end do do i = 1, n do j = 1, m C24(j,i)= S26(j,i) * T26(j,i) + S27(j,i) * U26(j,i) D24(j,i)= S26(j,i) * T27(j,i) + S27(j,i) * V26(j,i) C25(j,i)= S27(j,i) * S28(j,i) + S26(j,i) * U28(j,i) D25(j,i)= S27(j,i) * T28(j,i) + S26(j,i) * V28(j,i) end do end do Conclusions Over the course of the last year, I have had the opportunity to work with over two dozen academic scientific programmers at leading research universities. Their research interests span a broad range of scientific fields. Except for two programs that relied almost exclusively on library routines (matrix multiply and fast Fourier transform), I was able to improve significantly the single processor performance of all codes. Improvements range from 2x to 15.5x with a simple average of 4.75x. Changes to the source code were at a very high level. I did not use sophisticated techniques or programming tools to discover inefficiencies or effect the changes. Only one code was parallel despite the availability of parallel systems to all developers. Clearly, we have a problem—personal scientific research codes are highly inefficient and not running parallel. The developers are unaware of simple optimization techniques to make programs run faster. They lack education in the art of code optimization and parallel programming. I do not believe we can fix the problem by publishing additional books or training manuals. To date, the developers in questions have not studied the books or manual available, and are unlikely to do so in the future. Short courses are a possible solution, but I believe they are too concentrated to be much use. The general concepts can be taught in a three or four day course, but that is not enough time for students to practice what they learn and acquire the experience to apply and extend the concepts to their codes. Practice is the key to becoming proficient at optimization. I recommend that graduate students be required to take a semester length course in optimization and parallel programming. We would never give someone access to state-of-the-art scientific equipment costing hundreds of thousands of dollars without first requiring them to demonstrate that they know how to use the equipment. Yet the criterion for time on state-of-the-art supercomputers is at most an interesting project. Requestors are never asked to demonstrate that they know how to use the system, or can use the system effectively. A semester course would teach them the required skills. Government agencies that fund academic scientific research pay for most of the computer systems supporting scientific research as well as the development of most personal scientific codes. These agencies should require graduate schools to offer a course in optimization and parallel programming as a requirement for funding. About the Author John Feo received his Ph.D. in Computer Science from The University of Texas at Austin in 1986. After graduate school, Dr. Feo worked at Lawrence Livermore National Laboratory where he was the Group Leader of the Computer Research Group and principal investigator of the Sisal Language Project. In 1997, Dr. Feo joined Tera Computer Company where he was project manager for the MTA, and oversaw the programming and evaluation of the MTA at the San Diego Supercomputer Center. In 2000, Dr. Feo joined Sun Microsystems as an HPC application specialist. He works with university research groups to optimize and parallelize scientific codes. Dr. Feo has published over two dozen research articles in the areas of parallel parallel programming, parallel programming languages, and application performance.

    Read the article

  • Postfix - am I sending spam?

    - by olrehm
    today I received like 30 messages within 5 minutes telling me that some mail I send could not be delivered, mostly to *.ru email addresses which I did not send any mail to. I have my own webserver (postfix/dovecot) set up using this guide (http://workaround.org/ispmail/lenny) but adjusted a little bit for Ubuntu. I tested whether I am an Open Relay which I am apparently not. Now there are two possible reasons for the above mentioned emails: Either I am sending out spam, or somebody wants me to think that, correct? How can I check this? I selected one particular address that I supposedly send spam to. Then I searched my mail.log for this entry. I found two blocks that record that somebody from the server connected to my server and delivered some message to two different users. I cannot find an entry reporting that anyone from my server send an email to that server. Does this mean its just some mail to scare me or could it still have been send by me in the first place? Here is one such block from the log (I replaced some confidential stuff): Jun 26 23:23:28 mycustomernumber postfix/smtpd[29970]: connect from mx.webstyle.ru[195.144.251.97] Jun 26 23:23:29 mycustomernumber postfix/smtpd[29970]: 044991528995: client=mx.webstyle.ru[195.144.251.97] Jun 26 23:23:29 mycustomernumber postfix/cleanup[29974]: 044991528995: message-id=<[email protected]> Jun 26 23:23:29 mycustomernumber postfix/qmgr[3369]: 044991528995: from=<>, size=2198, nrcpt=1 (queue active) Jun 26 23:23:29 mycustomernumber amavis[28598]: (28598-11) ESMTP::10024 /var/lib/amavis/tmp/amavis-20110626T223137-28598: <> -> <[email protected]> SIZE=2198 Received: from mycustomernumber.stratoserver.net ([127.0.0.1]) by localhost (rehmsen.de [127.0.0.1]) (amavisd-new, port 10024) with ESMTP for <[email protected]>; Sun, 26 Jun 2011 23:23:29 +0200 (CEST) Jun 26 23:23:29 mycustomernumber amavis[28598]: (28598-11) Checking: YakjkrdFq6A8 [195.144.251.97] <> -> <[email protected]> Jun 26 23:23:29 mycustomernumber postfix/smtpd[29970]: disconnect from mx.webstyle.ru[195.144.251.97] Jun 26 23:23:29 mycustomernumber amavis[28598]: (28598-11) lookup_sql_field(id) (WARN: no such field in the SQL table), "[email protected]" result=undef Jun 26 23:23:32 mycustomernumber postfix/smtpd[29979]: connect from localhost.localdomain[127.0.0.1] Jun 26 23:23:32 mycustomernumber postfix/smtpd[29979]: 0A1FA1528A21: client=localhost.localdomain[127.0.0.1] Jun 26 23:23:32 mycustomernumber postfix/cleanup[29974]: 0A1FA1528A21: message-id=<[email protected]> Jun 26 23:23:32 mycustomernumber postfix/qmgr[3369]: 0A1FA1528A21: from=<>, size=2841, nrcpt=1 (queue active) Jun 26 23:23:32 mycustomernumber postfix/smtpd[29979]: disconnect from localhost.localdomain[127.0.0.1] Jun 26 23:23:32 mycustomernumber amavis[28598]: (28598-11) FWD via SMTP: <> -> <[email protected]>,BODY=7BIT 250 2.0.0 Ok, id=28598-11, from MTA([127.0.0.1]:10025): 250 2.0.0 Ok: queued as 0A1FA1528A21 Jun 26 23:23:32 mycustomernumber amavis[28598]: (28598-11) Passed CLEAN, [195.144.251.97] [195.144.251.97] <> -> <[email protected]>, Message-ID: <[email protected]>, mail_id: YakjkrdFq6A8, Hits: 2.249, size: 2197, queued_as: 0A1FA1528A21, 2882 ms Jun 26 23:23:32 mycustomernumber postfix/smtp[29975]: 044991528995: to=<[email protected]>, relay=127.0.0.1[127.0.0.1]:10024, delay=3.3, delays=0.39/0.01/0.01/2.9, dsn=2.0.0, status=sent (250 2.0.0 Ok, id=28598-11, from MTA([127.0.0.1]:10025): 250 2.0.0 Ok: queued as 0A1FA1528A21) Jun 26 23:23:32 mycustomernumber postfix/qmgr[3369]: 044991528995: removed Jun 26 23:23:33 mycustomernumber postfix/smtp[29980]: 0A1FA1528A21: to=<[email protected]>, orig_to=<[email protected]>, relay=mx3.hotmail.com[65.54.188.110]:25, delay=1.2, delays=0.15/0.02/0.51/0.55, dsn=2.0.0, status=sent (250 <[email protected]> Queued mail for delivery) Jun 26 23:23:33 mycustomernumber postfix/qmgr[3369]: 0A1FA1528A21: removed Jun 26 23:26:49 mycustomernumber postfix/anvil[29972]: statistics: max connection rate 1/60s for (smtp:195.144.251.97) at Jun 26 23:23:28 Jun 26 23:26:49 mycustomernumber postfix/anvil[29972]: statistics: max connection count 1 for (smtp:195.144.251.97) at Jun 26 23:23:28 Jun 26 23:26:49 mycustomernumber postfix/anvil[29972]: statistics: max cache size 1 at Jun 26 23:23:28 I can provide more info if you tell me what you need to know. Thank you for you help!

    Read the article

  • PHP crashing (seg-fault) under mod_fcgi, apache

    - by Andras Gyomrey
    I've been programming a site using: Zend Framework 1.11.5 (complete MVC) PHP 5.3.6 Apache 2.2.19 CentOS 5.6 i686 virtuozzo on vps cPanel WHM 11.30.1 (build 4) Mysql 5.1.56-log Mysqli API 5.1.56 The issue started here http://stackoverflow.com/questions/6769515/php-programming-seg-fault. In brief, php is giving me random segmentation-faults. [Wed Jul 20 17:45:34 2011] [error] mod_fcgid: process /usr/local/cpanel/cgi-sys/php5(11562) exit(communication error), get unexpected signal 11 [Wed Jul 20 17:45:34 2011] [warn] [client 190.78.208.30] (104)Connection reset by peer: mod_fcgid: error reading data from FastCGI server [Wed Jul 20 17:45:34 2011] [error] [client 190.78.208.30] Premature end of script headers: index.php About extensions. When i compile php with "--enable-debug" flag, i have to disable this line: zend_extension="/usr/local/IonCube/ioncube_loader_lin_5.3.so" Otherwise, the server doesn't accept requests and i get a "The connection with the server was reset". It is possible that i have to disable eaccelerator too because of the same reason. I still don't get why apache gets running it some times and some others not: extension="eaccelerator.so" Anyway, after i get httpd running, seg-faults can occurr randomly. If i don't compile php with "--enable-debug" flag, i can get DETERMINISTICALLY a php crash: <?php class Admin_DbController extends Controller_BaseController { public function updateSqlDefinitionsAction() { $db = Zend_Registry::get('db'); $row = $db->fetchRow("SHOW CREATE TABLE 222AFI"); } } ?> BUT if i compile php with "--enable-debug" flag, it's really hard to get this error. I must add some complexity to make it crash. I have to be doing many paralell requests for a few seconds to get a crash: <?php class Admin_DbController extends Controller_BaseController { public function updateSqlDefinitionsAction() { $db = Zend_Registry::get('db'); $tableList = $db->listTables(); foreach ($tableList as $tableName){ $row = $db->fetchRow("SHOW CREATE TABLE " . $db->quoteIdentifier($tableName)); file_put_contents( DB_DEFINITIONS_PATH . '/' . $tableName . '.sql', $row['Create Table'] . ';' ); } } } ?> Please notice this is the same script, but creating DDL for all tables in database rather than for one. It seems that if php is heavy loaded (with extensions and me doing many paralell requests) it's when i get php to crash. About starting httpd with "-X": i've tried. The thing is, it is already hard to make php crash with --enable-debug. With "-X" option (which only enables one child process) i can't do parallel requests. So i haven't been able to create to proper debug backtrace: https://bugs.php.net/bugs-generating-backtrace.php My concrete question is, what do i do to get a coredump? root@GWT4 [~]# httpd -V Server version: Apache/2.2.19 (Unix) Server built: Jul 20 2011 19:18:58 Cpanel::Easy::Apache v3.4.2 rev9999 Server's Module Magic Number: 20051115:28 Server loaded: APR 1.4.5, APR-Util 1.3.12 Compiled using: APR 1.4.5, APR-Util 1.3.12 Architecture: 32-bit Server MPM: Prefork threaded: no forked: yes (variable process count) Server compiled with.... -D APACHE_MPM_DIR="server/mpm/prefork" -D APR_HAS_SENDFILE -D APR_HAS_MMAP -D APR_HAVE_IPV6 (IPv4-mapped addresses enabled) -D APR_USE_SYSVSEM_SERIALIZE -D APR_USE_PTHREAD_SERIALIZE -D SINGLE_LISTEN_UNSERIALIZED_ACCEPT -D APR_HAS_OTHER_CHILD -D AP_HAVE_RELIABLE_PIPED_LOGS -D DYNAMIC_MODULE_LIMIT=128 -D HTTPD_ROOT="/usr/local/apache" -D SUEXEC_BIN="/usr/local/apache/bin/suexec" -D DEFAULT_PIDLOG="logs/httpd.pid" -D DEFAULT_SCOREBOARD="logs/apache_runtime_status" -D DEFAULT_LOCKFILE="logs/accept.lock" -D DEFAULT_ERRORLOG="logs/error_log" -D AP_TYPES_CONFIG_FILE="conf/mime.types" -D SERVER_CONFIG_FILE="conf/httpd.conf"

    Read the article

  • Need help with yum,python and php in CentOS. (I made a complete mess!)

    - by pek
    a while back I wanted to install some plugins for Trac but it required python 2.5 I tried installing it (I don't remember how) and the only thing I managed was to have two versions of python (2.4 and 2.5). Trac still uses the old version but the console uses 2.5 (python -V = Python 2.5.2). Anyway, the problem is not python, the problem is yum (which uses python). I am trying to upgrade my PHP version from 5.1.x to 5.2.x. I tried following this tutorial but when I reach the step with yum I get this error: >[root@XXX]# yum update Loading "installonlyn" plugin Setting up Update Process Setting up repositories Reading repository metadata in from local files Traceback (most recent call last): File "/usr/bin/yum", line 29, in ? yummain.main(sys.argv[1:]) File "/usr/share/yum-cli/yummain.py", line 94, in main result, resultmsgs = base.doCommands() File "/usr/share/yum-cli/cli.py", line 381, in doCommands return self.yum_cli_commands[self.basecmd].doCommand(self, self.basecmd, self.extcmds) File "/usr/share/yum-cli/yumcommands.py", line 150, in doCommand return base.updatePkgs(extcmds) File "/usr/share/yum-cli/cli.py", line 672, in updatePkgs self.doRepoSetup() File "/usr/share/yum-cli/cli.py", line 109, in doRepoSetup self.doSackSetup(thisrepo=thisrepo) File "/usr/lib/python2.4/site-packages/yum/__init__.py", line 338, in doSackSetup self.repos.populateSack(which=repos) File "/usr/lib/python2.4/site-packages/yum/repos.py", line 200, in populateSack sack.populate(repo, with, callback, cacheonly) File "/usr/lib/python2.4/site-packages/yum/yumRepo.py", line 91, in populate dobj = repo.cacheHandler.getPrimary(xml, csum) File "/usr/lib/python2.4/site-packages/yum/sqlitecache.py", line 100, in getPrimary return self._getbase(location, checksum, 'primary') File "/usr/lib/python2.4/site-packages/yum/sqlitecache.py", line 86, in _getbase (db, dbchecksum) = self.getDatabase(location, metadatatype) File "/usr/lib/python2.4/site-packages/yum/sqlitecache.py", line 82, in getDatabase db = self.makeSqliteCacheFile(filename,cachetype) File "/usr/lib/python2.4/site-packages/yum/sqlitecache.py", line 245, in makeSqliteCacheFile self.createTablesPrimary(db) File "/usr/lib/python2.4/site-packages/yum/sqlitecache.py", line 165, in createTablesPrimary cur.execute(q) File "/usr/lib/python2.4/site-packages/sqlite/main.py", line 244, in execute self.rs = self.con.db.execute(SQL) _sqlite.DatabaseError: near "release": syntax error Any help? Thank you. Update OK, so I've managed to update yum hoping it would solve my problems but now I get a slightly different version of the same error: [root@XXX]# yum -y update Loaded plugins: fastestmirror Loading mirror speeds from cached hostfile * addons: mirror.skiplink.com * base: www.gtlib.gatech.edu * epel: mirrors.tummy.com * extras: yum.singlehop.com * updates: centos-distro.cavecreek.net (process:30840): GLib-CRITICAL **: g_timer_stop: assertion `timer != NULL' failed (process:30840): GLib-CRITICAL **: g_timer_destroy: assertion `timer != NULL' failed Traceback (most recent call last): File "/usr/bin/yum", line 29, in ? yummain.user_main(sys.argv[1:], exit_code=True) File "/usr/share/yum-cli/yummain.py", line 309, in user_main errcode = main(args) File "/usr/share/yum-cli/yummain.py", line 178, in main result, resultmsgs = base.doCommands() File "/usr/share/yum-cli/cli.py", line 345, in doCommands self._getTs(needTsRemove) File "/usr/lib/python2.4/site-packages/yum/depsolve.py", line 101, in _getTs self._getTsInfo(remove_only) File "/usr/lib/python2.4/site-packages/yum/depsolve.py", line 112, in _getTsInfo pkgSack = self.pkgSack File "/usr/lib/python2.4/site-packages/yum/__init__.py", line 661, in <lambda> pkgSack = property(fget=lambda self: self._getSacks(), File "/usr/lib/python2.4/site-packages/yum/__init__.py", line 501, in _getSacks self.repos.populateSack(which=repos) File "/usr/lib/python2.4/site-packages/yum/repos.py", line 260, in populateSack sack.populate(repo, mdtype, callback, cacheonly) File "/usr/lib/python2.4/site-packages/yum/yumRepo.py", line 190, in populate dobj = repo_cache_function(xml, csum) File "/usr/lib/python2.4/site-packages/sqlitecachec.py", line 42, in getPrimary self.repoid)) TypeError: Can not create packages table: near "release": syntax error I'm guessing that this "release" thing has something to do with a repository, but I didn't find anything... I went to the sqlitecachec.py at line 42 which writes (line numbers added for convenience): 39: return self.open_database(_sqlitecache.update_primary(location, 40: checksum, 41: self.callback, 42: self.repoid)) Update 2 I think I found the problem. This post suggests that the problem is sqlite and not yum. The version of sqlite I have installed is 3.6.10 but I have no idea which version does python 2.4 uses. ld.so.config contains the following: include ld.so.conf.d/*.conf /usr/local/lib In folder /usr/local/lib I find a symbolic link named libsqlite3.so that points to libsqlite3.so.0.8.6 WHAT IS HAPPENING??????? :S

    Read the article

  • IIS7 web farm - local or shared content?

    - by rbeier
    We're setting up an IIS7 web farm with two servers. Should each server have its own local copy of the content, or should they pull content directly from a UNC share? What are the pros and cons of each approach? We currently have a single live server WEB1, with content stored locally on a separate partition. A job periodically syncs WEB1 to a standby server WEB2, using robocopy for content and msdeploy for config. If WEB1 goes down, Nagios notifies us, and we manually run a script to move the IP addresses to WEB2's network interface. Both servers are actually VMs running on separate VMWare ESX 4 hosts. The servers are domain-joined. We have around 50-60 live sites on WEB1 - mostly ASP.NET, with a few that are just static HTML. Most are low-traffic "microsites". A few have moderate traffic, but none are massive. We'd like to change this so both WEB1 and WEB2 are actively serving content. This is mainly for reliability - if WEB1 goes down, we don't want to have to manually intervene to fail things over. Spreading the load is also nice, but the load is not high enough right now for us to need this. We're planning to configure our firewall to balance traffic across the two servers. It will detect when a server goes down and will send all the traffic to the remaining live server. We're planning to use sticky sessions for now... eventually we may move to SQL Server session state and stateless load balancing. But we need a way for the servers to share content. We were originally planning to move all the content to a UNC share. Our storage provider says they can set up a highly available SMB share for us. So if we go the UNC route, the storage shouldn't be a single point of failure. But we're wondering about the downsides to this approach: We'll need to change the physical paths for each site and virtual directory. There are also some projects that have absolute paths in their web.config files - we'll have to update those as well. We'll need to create a domain user for the web servers to access the share, and grant that user appropriate permissions. I haven't looked into this yet - I'm not sure if the application pool identity needs to be changed to this user, or if there's another way to tell IIS to use this account when connecting to the share. Sites will no longer be able to access their content if there's ever an Active Directory problem. In general, it just seems a lot more complicated, with more moving parts that could break. Our storage provider would create a volume for us on their redundant SAN. If I understand correctly, this SAN volume would be mounted on a VM running in their redundant VMWare environment; this VM would then expose the SMB share to our web servers. On the other hand, a benefit of the shared content approach is that we'd only need to deploy code to one place, and there would never be a temporary inconsistency between multiple copies of the content. This thread is pretty interesting, though some of these people are working at a much larger scale. I've just been discussing content so far, but we also need to think about configuration. I don't know if we can just use DFS replication for the applicationHost.config and other files, or if it's best to use the shared configuration feature with the config on a UNC share. What do you think? Thanks for your help, Richard

    Read the article

  • Server 2003 R2 doesn't allow logon after a few days of uptime

    - by Bryan
    We have a server 2003 R2 standard (which I'll refer to as SRV01) that's knocking on a bit now, but it still acts as a file, print and SQL server on our company's network. SRV01 hosts user profiles, home directories and pretty much all our business data. Note our AD is currently at 2008 R2 level. This server is due to be upgraded in the next 12 months, but I've no budget to spend on it just yet. A bit of history of this server follows: When SRV01 was first commissioned, it acted as a domain controller (with the same 2003 R2 install it has today), paired with another server that ran Server 2003 R2 SBS. A few years ago, we purchased a pair of dedicated DCs (2008 R2) and at this point we decommissioned the 2003 SBS server, and SRV01 was DCPROMOed out of the AD. Up until very recently, SRV01 used to run Exchange 2003, however we've recently purchased a dedicated server for Exchange 2010 and upgraded (following Microsoft recommended upgrade path). Exchange 2003 was recently uninstalled. - Cleanly to the best of my knowledge. Ever since Exchange was removed from SRV01, I'm finding that after a few days of uptime, when I attempt to logon, pressing CTRL-ALT-DEL just hides the Welcome to Windows Server 2003 banner, and never presents the logon dialog. All I see is a moveable mouse pointer and a blank background. It's a similar story with an admin TS session, the RDP client connects and gives me a blank background, but no logon dialog is presented. The RDP session indefinitely hangs until I give up and close it. The only way I've been able to gain access to the server is to pull the plug on it. Whilst the server does have a battery backed up RAID 5 controller, I'm unhappy about having to do this, so as a temporary measure, I've created a scheduled job to reboot SRV01 each night. Not only do I not like the idea of scheduling a reboot of a server like this, but it is also causing problems for users that leave desktop PCs left logged on overnight. Users complain of 'Delayed Write Failures', and there has also been a number of users that have started to complain about account lockout problems, as well as users not able to connect to shares on SRV01 until they reboot their desktop PCs. I've examined event logs on SRV01 and on the DCs looking for clues as to what the problem is, but there really is nothing untoward being logged. How could I being to investigate this problem when nothing of any relevance is being logged? Is there some additional logging that can be enabled that might give some clues as to what could be causing this problem? Could performance monitor help me out here, and if so, what counters would you consider monitoring? It's worth mentioning that whilst the server is unresponsive via the console and TS, it does still respond to clients connecting to shares without problems for several days, but after about a week I then start to hear users reporting problems accessing shares, but this seems quite sporadic. I've also tried leaving the console logged on (and locked), when I notice I can no longer logon via TS, I can unlock the server console without problem, but it refuses to reboot/shutdown, and subsequent attempts to reboot report that a system shutdown is already in progress and the system then completely hangs. I've tried playing the waiting game for several hours thinking that a timeout might allow the shutdown to continue, but to no avail.

    Read the article

  • Ubuntu server random hangups.

    - by Ebbe
    Hello all. this is my first post to this forum which I found through the superb podcast "It Conversations" from StackOverFlow. I am quite in my role as server administrator for an exhibition center in London. Basically we have a central file and sql server to which roughly 40 stations connects to to upload/download data used/captured by a set of applications. Over the last weeks we have experienced a few random hangups to our applications, and as it always happen to multiple applications simultaneously I do not believe that the applications are the source of the problem. We also monitor the network using Dartware Intermapper which indicates that all switches and stations on the network has been reachable during the downtime. Thus, its all pointing to the server. I have been looking through all log files I can think of and the only thing so far that I have found suspicious is the following lines in the syslog which are from the time of one of the hangups: Feb 6 17:14:27 es named[5582]: client 127.0.0.1#33721: RFC 1918 response from Internet for 150.0.168.192.in-addr.arpa Feb 6 17:14:40 es named[5582]: client 127.0.0.1#32899: RFC 1918 response from Internet for 152.0.168.192.in-addr.arpa Feb 6 17:15:01 es /USR/SBIN/CRON[1956]: (es) CMD (/home/es/apps/es/bin/es_checksum.sh) Feb 6 17:16:06 es /USR/SBIN/CRON[2031]: (es) CMD (/home/es/apps/es/bin/es_checksum.sh) Feb 6 17:21:00 es named[5582]: *** POKED TIMER *** Feb 6 17:21:00 es last message repeated 2 times Feb 6 17:21:07 es named[5582]: client 127.0.0.1#44194: RFC 1918 response from Internet for 143.0.168.192.in-addr.arpa Feb 6 17:21:12 es named[5582]: client 127.0.0.1#59004: RFC 1918 response from Internet for 164.0.168.192.in-addr.arpa I find a few lines of interesting lines here: 1) "RFC 1918 response from Internet for 150.1.168.192.in-addr.arpa". I see this a lot in the syslog. And basically everytime I do a nslookup for any of the computers in the cluster I get a new similar line in the syslog. I understand from google that this has to do with reverse lookup problems. But I do not know how that could effect the systems. Lets say that one of these lines appear every time one of the userstations connects to the server, which may happen several times a second. Could this possible cause a hangup of the entire server? 2) POKED TIMER, I have googled this quite a lot, but not found an explaination that I can relate to. What does this mean? 3) The timestamps, it seems like the entire server has stopped responding for several minutes. Normally there are many printouts to the syslog per minute on this server. Furthermore the CRON job is set to run once every minute. Which according to the log, hasent happened here. OS: Ubuntu 8.04 Kernel: Linux 2.6.24-24-server x86_64 GNU/Linux. Hardware: Dell R710, RAID1, CPU: 2x XEON E5530. 16GB Memory. Average load is very low, and memory should not be a problem. Please let me know if you need any additional information. Best wishes, Ebbe

    Read the article

  • Random Slow Response

    - by ARehman
    We have an ASP.NET MVC 1.0 application running on Windows Server 2008 – Standard (32 –bit), Dual Core Xeon (3.0 GHz), 2 G.B R.A.M. Most of the times application renders response in 3-4 seconds, but sometimes users get very late response and delay is up to 40 seconds or more than a minute. It happens in following way: User browsed a page, idle for 5, 10 or 15 minutes, tried to browse same page or some other. Now, there is a chance that he will see late response whereas the app pool is still up and running. This can happen with any arbitrary page. We have tried followings/observations. Moved the application to stand alone web server App Pool idle shutdown time is 60 minutes. There are no abrupt shut downs/restarts. CPU or memory doesn’t spike. No delays in SQL queries. Modified App Pool setting to run in classic-mode. It didn’t help. Plugged-in custom module to log all those requests which took more than 5 seconds to complete. It didn’t pick any request of interest. Enabled ‘Failed Request Tracing’ to log all those requests which take 20 or more seconds to complete. It didn’t log anything. Event Viewer, HTTPER log, W3SVC logs or WAS logs don’t indicate anything. HTTPERR only has ‘_ _ Timer_ConnectionIdle _ _’ entries. There is not much traffic to server. This can happen also if only two users are active. Next we captured TCP/IP terrific on both a user and server end with Wireshark and below are details in brief of this slowness: Browser sends a request for ~/User/Home/ (GET Request) by setting up a receiving end point using port 'wlbs(port-2504)'. I'm not sure if this could be a problem in some way that browser didn't hand-shake with the server first and assumed that last connection is still open, whereas, I browsed the same page 4 minutes ago and didn't perform any activity with site after that. If I see the HTTPERR log, it indicates that it has ‘_ _ Timer_ConnectionIdle _ _ _’ entry for my last activity with server. Browser (I was using Chrome) waits for any response from the server, doesn’t find any then starts retransmitting the same request using same end point after incrementing wait intervals, e.g. after 8, 18, 29, 40, 62, and 92 seconds. All these GET requests were received by server as well. But, server didn’t send any packet to client. Browser didn't see any response on the end point it set up in point 1, it opened a new end point 'optiwave-lm (port-2524)', did a hand shake with the server and transmitted the same request again. Server received, processed it, and returned successful response. What happened to earlier 6-7 requests? Whether they were passed on to HTTP.SYS or not? Why Failed Request Tracing not logged anything, we didn't find any clue yet. Server served the same page successfully just 4 minutes ago. Looking forward for more suggestions/solutions. -- Thanks

    Read the article

  • Postfix sasl login failing no mechanism found

    - by Nat45928
    following the link here: http://flurdy.com/docs/postfix/ with posfix, courier, MySql, and sasl gave me a web server that has imap functionality working fine but when i go to log into the server to send a message using the same user id and password for connecting the the imap server it rejects my login to the smtp server. If i do not specify a login for the outgoing mail server then it will send the message just fine. the error in postfix's log is: Jul 6 17:26:10 Sj-Linux postfix/smtpd[19139]: connect from unknown[10.0.0.50] Jul 6 17:26:10 Sj-Linux postfix/smtpd[19139]: warning: SASL authentication failure: unable to canonify user and get auxprops Jul 6 17:26:10 Sj-Linux postfix/smtpd[19139]: warning: unknown[10.0.0.50]: SASL DIGEST-MD5 authentication failed: no mechanism available Jul 6 17:26:10 Sj-Linux postfix/smtpd[19139]: warning: unknown[10.0.0.50]: SASL LOGIN authentication failed: no mechanism available Ive checked all usernames and passwords for mysql. what could be going wrong? edit: here is some other information: installed libraires for postfix, courier and sasl: aptitude install postfix postfix-mysql aptitude install libsasl2-modules libsasl2-modules-sql libgsasl7 libauthen-sasl-cyrus-perl sasl2-bin libpam-mysql aptitude install courier-base courier-authdaemon courier-authlib-mysql courier-imap courier-imap-ssl courier-ssl and here is my /etc/postfix/main.cf myorigin = domain.com smtpd_banner = $myhostname ESMTP $mail_name biff = no # appending .domain is the MUA's job. append_dot_mydomain = no # Uncomment the next line to generate "delayed mail" warnings #delay_warning_time = 4h readme_directory = no # TLS parameters smtpd_tls_cert_file=/etc/ssl/certs/ssl-cert-snakeoil.pem smtpd_tls_key_file=/etc/ssl/private/ssl-cert-snakeoil.key smtpd_use_tls=yes smtpd_tls_session_cache_database = btree:${data_directory}/smtpd_scache smtp_tls_session_cache_database = btree:${data_directory}/smtp_scache # See /usr/share/doc/postfix/TLS_README.gz in the postfix-doc package for # information on enabling SSL in the smtp client. #myhostname = my hostname alias_maps = hash:/etc/aliases alias_database = hash:/etc/aliases myorigin = /etc/mailname local_recipient_maps = mydestination = relayhost = mynetworks = 127.0.0.0/8 [::ffff:127.0.0.0]/104 [::1]/128 mailbox_size_limit = 0 recipient_delimiter = + inet_interfaces = all mynetworks_style = host # how long if undelivered before sending warning update to sender delay_warning_time = 4h # will it be a permanent error or temporary unknown_local_recipient_reject_code = 450 # how long to keep message on queue before return as failed. # some have 3 days, I have 16 days as I am backup server for some people # whom go on holiday with their server switched off. maximal_queue_lifetime = 7d # max and min time in seconds between retries if connection failed minimal_backoff_time = 1000s maximal_backoff_time = 8000s # how long to wait when servers connect before receiving rest of data smtp_helo_timeout = 60s # how many address can be used in one message. # effective stopper to mass spammers, accidental copy in whole address list # but may restrict intentional mail shots. # but may restrict intentional mail shots. smtpd_recipient_limit = 16 # how many error before back off. smtpd_soft_error_limit = 3 # how many max errors before blocking it. smtpd_hard_error_limit = 12 # Requirements for the HELO statement smtpd_helo_restrictions = permit_mynetworks, permit # Requirements for the sender details smtpd_sender_restrictions = permit_sasl_authenticated, permit_mynetworks, warn_if_reject reject_non_fqdn_sender, reject_unknown_sender_domain, reject_unauth_pipelining, permit # Requirements for the connecting server smtpd_client_restrictions = reject_rbl_client sbl.spamhaus.org, reject_rbl_client blackholes.easynet.nl, reject_rbl_client dnsbl.njabl.org # Requirement for the recipient address smtpd_recipient_restrictions = reject_unauth_pipelining, permit_mynetworks, permit_sasl_authenticated, reject_non_fqdn_recipient, reject_unknown_recipient_domain, reject_unauth_destination, permit smtpd_data_restrictions = reject_unauth_pipelining # require proper helo at connections smtpd_helo_required = yes # waste spammers time before rejecting them smtpd_delay_reject = yes disable_vrfy_command = yes # not sure of the difference of the next two # but they are needed for local aliasing alias_maps = hash:/etc/postfix/aliases alias_database = hash:/etc/postfix/aliases # this specifies where the virtual mailbox folders will be located virtual_mailbox_base = /var/spool/mail/virtual # this is for the mailbox location for each user virtual_mailbox_maps = mysql:/etc/postfix/mysql_mailbox.cf # and this is for aliases virtual_alias_maps = mysql:/etc/postfix/mysql_alias.cf # and this is for domain lookups virtual_mailbox_domains = mysql:/etc/postfix/mysql_domains.cf # this is how to connect to the domains (all virtual, but the option is there) # not used yet # transport_maps = mysql:/etc/postfix/mysql_transport.cf virtual_uid_maps = static:5000 virtual_gid_maps = static:5000 # SASL smtpd_sasl_auth_enable = yes # If your potential clients use Outlook Express or other older clients # this needs to be set to yes broken_sasl_auth_clients = yes smtpd_sasl_security_options = noanonymous smtpd_sasl_local_domain =

    Read the article

  • Disable error_log. Error_log flooding

    - by user36646
    Hello, i got an webserver running and old version of gambio (xt:commerce fork). The error_log in the dir over the public_html is flooding with errors. About 30mb in 15min. How can I disable this log? I can't fix all the errors. Here are a few examples of the errors: [warn] mod_fcgid: stderr: PHP Notice: Undefined variable: key in /usr/www/users/foo//includes/classes/class.inputfilter.php on line 98 [warn] mod_fcgid: stderr: PHP Notice: Undefined index: in /usr/www/users/foo/templ [warn] mod_fcgid: stderr: in /usr/www/users/foo/templates/gambio/source/inc/xtc_show_category_sectionc.inc.php on line 47 They are all errors of: "mod_fcgid: stderr". I tried to grep "error_log" and "error_report" in the public html dir, but i did not find anything. Here is a part from the phpinfo(): PHP Version 4.4.9 System Linux foobar.com 2.6.26-2-686-bigmem #1 SMP Sat Dec 26 09:26:36 UTC 2009 i686 Build Date Feb 11 2010 13:00:33 Configure Command './configure' '--prefix=/usr/local/php4' '--with-config-file-path=/etc/php4/cgi' '--with-gd' '--with-jpeg-dir' '--with-png-dir' '--with-tiff-dir' '--with-ttf' '--enable-force-cgi-redirect' '--enable-safe-mode' '--with-zlib' '--enable-ftp' '--enable-url-includes' '--enable-gd-native-ttf' '--enable-trans-sid' '--enable-dbase' '--with-db4' '--with-ldap' '--enable-bcmath' '--enable-calendar' '--enable-memory-limit' '--with-mcal=/usr' '--with-bz2' '--with-mod-dav' '--enable-sockets' '--with-kerberos' '--with-imap-ssl' '--enable-gd-imgstrttf' '--with-freetype-dir' '--with-curl' '--with-mysql' '--with-mhash' '--with-gdbm' '--with-pgsql' '--with-gettext' '--with-xml' '--with-mcrypt' '--with-openssl' '--with-dom' '--without-pear' '--enable-exif' '--with-zip' '--enable-wddx' '--disable-cli' '--enable-fastcgi' '--with-imap' '--enable-xslt' '--with-xslt-sablot=/usr/local/lib' '--enable-mbstring' '--with-dom-xslt' '--with-dom-exslt' Server API CGI/FastCGI Virtual Directory Support disabled Configuration File (php.ini) Path /home/httpd/php-ini/foo/php.ini PHP API 20020918 PHP Extension 20020429 Zend Extension 20050606 Debug Build no Zend Memory Manager enabled Thread Safety disabled Registered PHP Streams php, http, ftp, https, ftps, compress.bzip2, compress.zlib **Configuration PHP Core** Directive Local Value Master Value allow_call_time_pass_reference On On allow_url_fopen Off Off always_populate_raw_post_data Off Off arg_separator.input & & arg_separator.output & & asp_tags Off Off auto_append_file no value no value auto_prepend_file no value no value browscap no value no value default_charset no value no value default_mimetype text/html text/html define_syslog_variables Off Off disable_classes no value no value disable_functions no value no value display_errors On On display_startup_errors Off Off doc_root no value no value docref_ext no value no value docref_root no value no value enable_dl On On error_append_string no value no value error_log no value no value error_prepend_string no value no value error_reporting 2039 2039 expose_php On On extension_dir /usr/local/php4/lib/php/extensions/no-debug-non-zts-20020429 /usr/local/php4/lib/php/extensions/no-debug-non-zts-20020429 file_uploads On On gpc_order GPC GPC highlight.bg #FFFFFF #FFFFFF highlight.comment #FF8000 #FF8000 highlight.default #0000BB #0000BB highlight.html #000000 #000000 highlight.keyword #007700 #007700 highlight.string #DD0000 #DD0000 html_errors On On ignore_repeated_errors Off Off ignore_repeated_source Off Off ignore_user_abort Off Off implicit_flush Off Off include_path .:/usr/local/lib/php/ .:/usr/local/lib/php/ log_errors Off Off log_errors_max_len 1024 1024 magic_quotes_gpc On On magic_quotes_runtime Off Off magic_quotes_sybase Off Off max_execution_time 120 120 max_input_nesting_level 500 500 max_input_time -1 -1 memory_limit 128000000 128000000 open_basedir /usr/www/users/foo:/usr/home/foo:/tmp:/usr/local/lib/php:/usr/local/rmagic:/usr/www/users/he/_system_ /usr/www/users/foo:/usr/home/foo:/tmp:/usr/local/lib/php:/usr/local/rmagic:/usr/www/users/he/_system_ output_buffering no value no value output_handler no value no value post_max_size 128000000 128000000 precision 14 14 register_argc_argv On On register_globals Off Off report_memleaks On On safe_mode Off Off safe_mode_exec_dir no value no value safe_mode_gid Off Off safe_mode_include_dir no value no value sendmail_from no value no value sendmail_path /usr/sbin/sendmail -t /usr/sbin/sendmail -t serialize_precision 100 100 short_open_tag On On SMTP localhost localhost smtp_port 25 25 sql.safe_mode Off Off track_errors Off Off unserialize_callback_func no value no value upload_max_filesize 128000000 128000000 upload_tmp_dir /usr/foo/foo/.tmp /usr/foo/.tmp user_dir no value no value variables_order EGPCS EGPCS xmlrpc_error_number 0 0 xmlrpc_errors Off Off y2k_compliance Off Off

    Read the article

  • How to recover data files from xampp-windows to xampp-linux after crash?

    - by David Buehler
    My Windows box died after I developed a database in xampp on it; fortunately I have a backup of the entire F:/TestWeb/Xampp partition. Unfortunately, I did not do an Export (nor dump) of the "Lws2" database before the crash. I have replaced the defunct machine with one running Mint7 (based on Ubuntu 9.04 "Jaunty Jackalope") and installed xampp-linux into the /opt partition, so the new xampp now runs fine in /opt/lampp, and says all the elements are secured by passwords (which I just assigned during this installation.) I assumed that Xamp-Windows installed in November would migrate easily to xampp-linux installed iin February -- a bad assumption. It apparently would have been simple if I had known enough to do an Export or a Dump before the crash, but.... The backup was done to a Network Attached Storage drive, which is formatted as "vfat" so the backup does not carry with it any valid ownership permissions from MySql on NTFS. I now see from my backup that the old data resided in \TestWeb\Xampp\Mysql\Data\Lws2\ and consists of 7 ".frm" files which define my tables. The actual data -- I suppose a ".sql" file or files -- has disappeared, and I am resigning myself to two days of retyping it. But I do not wish to do the table layouts all over again. So I copied Data tree to /opt/lampp/Data -- PhpMyAdmin does not see it. So I copied Lws2 tree to /opt/lampp/Lws2 -- PhpMyAdmin does not see it. So I copied Data tree to /opt/lampp/var/mysql/Data -- PhpMyAdmin does not see it. So I copied Lws2 tree to /opt/lampp/var/mysql/Lws2 -- PhpMyAdmin does not see it. So I adjusted all the permissions to stop saying owner "nobody" to owner "root" and gave full permissions to all groups and to all others, with permissions percolating down, in all 4 trees. You guessed it -- PhpMyAdmin does not see any database named Lws2, only its 4 default ones. I double-checked the permissions and rebooted Linux and repeated the tests. At some point in that process I did see PhpMyAdmin showing "lws2(7)" but when I clicked on it I saw a "no table found" message. I have not been able to recreate that experience. Apparently there are some setup files for MySql and for PhpMyAdmin which need to be set up by running a wizard or two or by editing the files directly. I grepped the TestWeb tree and found an old "ldir = "C:TestWeb\Xampp\MySql\" and a "DataDir = C:TestWeb\Xampp\MySql\" in a .php file and in a .bat file, but I cannot find the corresponding config file names on the /opt partition/ -- so it looks as if these wizards have not been run to create them. What config files files does Linux use to setup MySql config files for PhpMyAdmin? What wizards do I need to run to point the MySql engine and the PhpMyAdmin at the folder /opt/lampp/data/ with its lws2 folder inside it? Or which files do I need to edit, with a sample of what it normally says under Linux? Incidentally, I remember I converted from MyISAM with its .MYD and .MYI files to InnoDB after entering only a small amount of the data -- and I do not know what file types to look for -- perhaps my data is still there but under another guise or in another place? Is it something as simple as linux needing to see "/data/" instead of /Data? I will check that out while waiting for a response. If anyone can point me to documentation that discusses this level of detail -- I will read it avidly! In any case, thanks for any clarification you can give on this thorny problem. wizdum

    Read the article

  • what's wrong with my Ubuntu 11.10 bind9 configuration?

    - by John Bowlinger
    I've followed several tutorials on installing your own nameservers and I'm pretty much at my wit's end, because I cannot get them to resolve. Note, the actual domain and ip address has been changed for privacy to example.com and 192.168.0.1. My named.conf.local file: zone "example.com" { type master; file "/var/cache/bind/example.com.db"; }; zone "0.168.192.in_addr.arpa" { type master; file "/var/cache/bind/192.168.0.db"; }; My named.conf.options file: options { forwarders { 192.168.0.1; }; auth-nxdomain no; # conform to RFC1035 listen-on-v6 { any; }; }; My resolv.conf file: search example.com. nameserver 192.168.0.1 My Forward DNS file: ORIGIN example.com. $TTL 86400 @ IN SOA ns1.example.com. root.example.com. ( 2012083101 ; Serial 604800 ; Refresh 86400 ; Retry 2419200 ; Expire 3600 ) ; Negative Cache TTL example.com. NS ns1.example.com. example.com. NS ns2.example.com. example.com. MX 10 mail.example.com. @ IN A 192.168.0.1 ns1.example.com IN A 192.168.0.1 ns2.example.com IN A 192.168.0.2 mail IN A 192.168.0.1 server1 IN A 192.168.0.1 gateway IN CNAME ns1.example.com. headoffice IN CNAME server1.example.com. smtp IN CNAME mail.example.com. pop IN CNAME mail.example.com. imap IN CNAME mail.example.com. www IN CNAME server1.example.com. sql IN CNAME server1.example.com. And my reverse DNS: $ORIGIN 0.168.192.in-addr.arpa. $TTL 86400 @ IN SOA ns1.example.com. root.example.com. ( 2009013101 ; Serial 604800 ; Refresh 86400 ; Retry 2419200 ; Expire 3600 ) ; Negative Cache TTL 1 PTR mail.example.com. 1 PTR server1.example.com. 2 PTR ns1.example.com. Yet, when I restart bind9 and do: host ns1.example.com localhost I get: Using domain server: Name: localhost Address: 127.0.0.1#53 Aliases: Host ns1.example.com.example.com not found: 2(SERVFAIL) Similarly, for: host 192.168.0.1 localhost I get: ;; connection timed out; no servers could be reached Anybody know what's going on? Btw, my domain name "www.example.com" that I've used in this question is being forwarded to my ISP's nameservers. Would that affect my bind9 configuration? I want to learn how to do set up nameservers on my own for learning, so that is why I'm going through all this trouble.

    Read the article

  • Issues configuring Exchange 2010 as well as SSL problems.

    - by Eric Smith
    Possibly-Relevant Background Info: I've recently moved up from icky shared hosting to a glorious, Remote Desktop-administrated VPS server running Windows Server 2008 R2. Even though I'm only 21 now and a computer science major, I've tried to play with every Windows Server release since '03, just to learn new things. What usually happens is inevitably I'll do something wrong and pretty much ruin the install. You're dealing with an amateur here :) Through the past few months of working with my new server, I've mastered DNS, IIS, got Team Foundation Server running (yay!), and can install all of the other basics like SQL Server and Active Directory. The Problem: Now, these last few weeks I've been trying to install Exchange Server 2010 (SP1). To make a long story short, it took me several attempts, and I even had to get my server wiped just so I could start fresh since Exchange decided uninstalling properly was for sissies (cost me $20, bah). Today, at long last, I got Exchange mostly working. There were two main problems left, however, that left me unsatisfied: Exchange installed itself and all of its child sites into Default Web Site. I wanted to access Exchange via mail.domain.com, but instead everything was configured to domain.com. My limited server admin knowledge was not enough to configure IIS or Exchange to move itself over to the website I had set up for it, appropriately titled 'mail.domain.com', which I had bound to a dedicated IP address (I was told this was necessary, but he may have been wrong). I have two SSL certificates: one for my main domain and one for my mail subdomain. For whatever reason, I had issues geting Exchange to use my mail certificate, even though I had assigned the proper roles in the MMC. I did, at one point, get it to work (or mostly work, anyways. Frankly, my memory of today is clouded by intense frustration). Additionally, I was confused which type of SSL certificate I should be using for Exchange. My SSL provider, GoDaddy, allows me to request a new certificate whenever, so I can use either the certificate request provided by IIS or the more complicated and specific request you can create with Exchange. Which type should I be using, the IIS or Exchange certificate? If I must use the Exchange certificate, will that 1) cause issues when I bind that certificate to my mail.domain.com subdomain or 2) is that an unnecessary step? The SSL Certificate Strikes Back When I thought I had the proper SSL certificate assigned for those brief, sweet moments, Google Chrome reported the correct mail.domain.com certificate when browsing https://mail.domain.com. However, Outlook 2010 threw up an error when trying to configure my email account claiming that the certificate didn't match the domain of "mail.domain.com". Is this an issue that will be resolved by problem #2 or is it a separate one entirely? Apologies for the massive wall of text, but I wanted to provide as much info as I possibly could. Exchange is the last thing I'd like installed on my server, and naturally it's turning out to be the hardest. Thanks for any info at all. Even a point in a vague direction would be a huge help at this point. Thanks! -Eric P.S.: The reason I keep ruining my install is that when I attempt to uninstall Exchange, something invariably goes wrong. The last time the uninstaller complained that there was still a mailbox active and it couldn't proceed until I deleted it. ... The only mailbox left was the Administrator account, the built-in one I couldn't delete. So I attempted to manually uninstall it following several guides online only to now be stuck unable to launch the installer and have to get my system wiped AGAIN for the second time today ($40 down the drain, bah!). I do not understand at all why "uninstall" just can't mean "hey, you, delete everything and go away". There's not even a force uninstall option, only a "recover system" option that just fails to fix anything and makes it so I can't even use the GUI uninstaller. </rant>

    Read the article

< Previous Page | 1139 1140 1141 1142 1143 1144 1145 1146 1147 1148 1149 1150  | Next Page >