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  • Mounting NAS share: Bad Address

    - by Korben
    I've faced to the problem that can't solve. Hope you can help me with it. I have a storage QNAP TS-459U, with it's own Linux, and 'massive1' folder shared, which I need to mount to my Debian server. They are connected by regular patch cord. Debian server has two network interfaces - eth0 and eth1. eth0 is for Internet, eth1 is for QNAP. So, I'm saying this: mount -t cifs //169.254.100.100/massive1/ /mnt/storage -o user=admin , where 169.254.100.100 is an IP of QNAP's interface. The result I get (after entering password): mount error(14): Bad address Refer to the mount.cifs(8) manual page (e.g. man mount.cifs) Tried: mount.cifs, smbmount, with '/' at the end of the network share and without it, and many other variations of that command. And always its: mount error(14): Bad address Funny thing is when I was in Data Center, I had connected my netbook to QNAP by the same scheme (with Fedora 16 on it), and it connected without any problems, I could read/write files on the QNAP's NAS share! So I'm really stuck with the Debian. I can't undrestand where's the difference with Fedora, making this error. Yeah, I've used Google. Couldn't find any useful info. Ping to the QNAP's IP is working, I can log into QNAP's Linux by ssh, telnet on 139's port is working. This is network interface configuration I use in Debian: IP: 169.254.100.1 Netmask: 255.255.0.0 The only diffence in connecting to Fedora and Debian is that in Fedora I've added gateway - 169.254.100.129, but ping to this IP is not working, so I think it's not necessary at all. P.S. ~# cat /etc/debian_version wheezy/sid ~# uname -a Linux host 2.6.32-5-openvz-amd64 #1 SMP Mon Mar 7 22:25:57 UTC 2011 x86_64 GNU/Linux ~# smbtree WORKGROUP \\HOST host server \\HOST\IPC$ IPC Service (host server) \\HOST\print$ Printer Drivers NAS \\MASSIVE1 NAS Server \\MASSIVE1\IPC$ IPC Service (NAS Server) \\MASSIVE1\massive1 \\MASSIVE1\Network Recycle Bin 1 [RAID5 Disk Volume: Drive 1 2 3 4] \\MASSIVE1\Public System default share \\MASSIVE1\Usb System default share \\MASSIVE1\Web System default share \\MASSIVE1\Recordings System default share \\MASSIVE1\Download System default share \\MASSIVE1\Multimedia System default share Please, help me with solving this strange issue. Thanks before.

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  • Lighttpd 403 Errors on HTML and PHP pages

    - by Brian
    I installed lighttpd on CentOS 5.5 64-bit. Everything seems fine and running except I cannot get past 403 errors on both HTML and PHP pages. I have used CHMOD and CHOWN, changed ownership in the config file, done everything possible and have been stuck for 2 days. Appreciate any help, and here's hoping to a stupid error on my part. Here is the log file with debug options on: 2011-02-21 11:23:13: (request.c.304) fd: 7 request-len: 408 GET /index.html HTTP/1.1 Host: 10.0.1.8 User-Agent: Mozilla/5.0 (Macintosh; U; Intel Mac OS X 10.6; en-US; rv:1.9.2.13) Gecko/20101203 Firefox/3.6.13 Accept: text/html,application/xhtml+xml,application/xml;q=0.9,*/*;q=0.8 Accept-Language: en-us,en;q=0.5 Accept-Encoding: gzip,deflate Accept-Charset: ISO-8859-1,utf-8;q=0.7,*;q=0.7 Keep-Alive: 115 Connection: keep-alive Cache-Control: max-age=0 2011-02-21 11:23:13: (response.c.241) run condition 2011-02-21 11:23:13: (response.c.300) -- splitting Request-URI 2011-02-21 11:23:13: (response.c.301) Request-URI : /index.html 2011-02-21 11:23:13: (response.c.302) URI-scheme : http 2011-02-21 11:23:13: (response.c.303) URI-authority: 10.0.1.8 2011-02-21 11:23:13: (response.c.304) URI-path : /index.html 2011-02-21 11:23:13: (response.c.305) URI-query : 2011-02-21 11:23:13: (response.c.349) -- sanatising URI 2011-02-21 11:23:13: (response.c.350) URI-path : /index.html 2011-02-21 11:23:13: (response.c.470) -- before doc_root 2011-02-21 11:23:13: (response.c.471) Doc-Root : /srv/www/lighttpd 2011-02-21 11:23:13: (response.c.472) Rel-Path : /index.html 2011-02-21 11:23:13: (response.c.473) Path : 2011-02-21 11:23:13: (response.c.521) -- after doc_root 2011-02-21 11:23:13: (response.c.522) Doc-Root : /srv/www/lighttpd 2011-02-21 11:23:13: (response.c.523) Rel-Path : /index.html 2011-02-21 11:23:13: (response.c.524) Path : /srv/www/lighttpd/index.html 2011-02-21 11:23:13: (response.c.541) -- logical -> physical 2011-02-21 11:23:13: (response.c.542) Doc-Root : /srv/www/lighttpd 2011-02-21 11:23:13: (response.c.543) Rel-Path : /index.html 2011-02-21 11:23:13: (response.c.544) Path : /srv/www/lighttpd/index.html 2011-02-21 11:23:13: (response.c.561) -- handling physical path 2011-02-21 11:23:13: (response.c.562) Path : /srv/www/lighttpd/index.html 2011-02-21 11:23:13: (response.c.608) -- access denied 2011-02-21 11:23:13: (response.c.609) Path : /srv/www/lighttpd/index.html 2011-02-21 11:23:13: (response.c.128) Response-Header: HTTP/1.1 403 Forbidden Content-Type: text/html Content-Length: 345 Date: Mon, 21 Feb 2011 16:23:13 GMT Server: lighttpd/1.4.28 Here is the directory listing. I used CHOWN to set to lighttpd:lighttpd [root@localhost lighttpd]# ls -al total 40 drwxrwxrwx 2 lighttpd lighttpd 4096 Feb 21 10:48 . drwxrwxrwx 3 lighttpd lighttpd 4096 Feb 21 10:57 .. -rwxrwxrwx 1 lighttpd lighttpd 10 Feb 20 08:32 index.html -rwxrwxrwx 1 lighttpd lighttpd 20 Feb 21 10:48 index.php -rwxrwxrwx 1 lighttpd lighttpd 20 Feb 21 10:39 info.php [root@localhost lighttpd]# Requested Commands: [root@localhost lighttpd]# ls -ld / /srv /srv/www drwxr-xr-x 22 root root 4096 Feb 21 04:39 / drwxrwxrwx 3 lighttpd lighttpd 4096 Feb 20 07:38 /srv drwxrwxrwx 3 lighttpd lighttpd 4096 Feb 21 10:57 /srv/www [root@localhost lighttpd]# ps auxZ | grep lighttpd root:system_r:httpd_t lighttpd 3842 0.0 0.2 48368 896 ? S 12:24 0:00 /usr/sbin/lighttpd -f /etc/lighttpd/lighttpd.conf root:system_r:unconfined_t:SystemLow-SystemHigh root 3845 0.0 0.2 61152 764 pts/0 R+ 12:24 0:00 grep lighttpd

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  • Automating the choice between JPEG and PNG with a script

    - by MHC
    Choosing the right format to save your images in is crucial for preserving image quality and reducing artifacts. Different formats follow different compression methods and come with their own set of advantages and disadvantages. JPG, for instance is suited for real life photographs that are rich in color gradients. The lossless PNG, on the other hand, is far superior when it comes to schematic figures: Picking the right format can be a chore when working with a large number of files. That's why I would love to find a way to automate it. A little bit of background on my particular use case: I am working on a number of handouts for a series of lectures at my unversity. The handouts are rich in figures, which I have to extract from PDF-formatted slides. Extracting these images gives me lossless PNGs, which are needlessly large at times. Converting these particular files to JPEG can reduce their size to up to less than 20% of their original file size, while maintaining the same quality. This is important as working with hundreds of large images in word processors is pretty crash-prone. Batch converting all extracted PNGs to JPEGs is not an option I am willing to follow, as many if not most images are better suited to be formatted as PNGs. Converting these would result in insignificant size reductions and sometimes even increases in filesize - that's at least what my test runs showed. What we can take from this is that file size after compression can serve as an indicator on what format is suited best for a particular image. It's not a particularly accurate predictor, but works well enough. So why not use it in form of a script: I included inotifywait because I would prefer for the script be executed automatically as soon as I drag an extracted image into a folder. This is a simpler version of the script that I've been using for the last couple of weeks: #!/bin/bash inotifywait -m --format "%w%f" --exclude '.jpg' -r -e create -e moved_to --fromfile '/home/MHC/.scripts/Workflow/Conversion/include_inotifywait' | while read file; do mogrify -format jpg -quality 92 "$file" done The advanced version of the script would have to be able to handle spaces in file names and directory names preserve the original file names flatten PNG images if an alpha value is set compare the file size between the temporary converted image and its original determine if the difference is greater than a given precentage act accordingly The actual conversion could be done with imagemagick tools: convert -quality 92 -flatten -background white file.png file.jpg Unfortunately, my bash skills aren't even close to advanced enough to convert the scheme above into an actual script, but I am sure many of you can. My reputation points on here are pretty low, but I will gladly award the most helpful answer with the highest bounty I can set. References: http://www.formortals.com/introducing-cnb-imageguide/, http://www.turnkeylinux.org/blog/png-vs-jpg Edit: Also see my comments below for some more information on why I think this script would be the best solution to the problem I am facing.

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  • How to change mouse pointer icon in Xfce Debian 7 Wheezy?

    - by kadaj
    I copied the cursor theme (oxy-neon or Oxygen Neon) to /usr/share/icons and from Applications Menu - Settings - Mouse, I am able to see the new theme. I clicked on it and the pointer doesn't change. However the text typing icon ('I'), busy icon, hand icon, and resize window icons got changed. The pointer icon remains the same, the black Adwaita. I removed the Adwaita folder from the icons folder, and still the mouse pointer doesn't change. Is the pointer theme specified elsewhere? I have no setting under home directory. I tried logging out, restart, restarting xfwm4, but nothing works. I just found that the icon pointer changes when the pointer is inside Firefox, but it's not consistent. It keeps changing when I click menu items. Very weird. Any idea how to fix this? This is the output of running: gsettings list-recursively org.gnome.desktop.interface : ~$ gsettings list-recursively org.gnome.desktop.interface org.gnome.desktop.interface automatic-mnemonics true org.gnome.desktop.interface buttons-have-icons false org.gnome.desktop.interface can-change-accels false org.gnome.desktop.interface clock-format '24h' org.gnome.desktop.interface clock-show-date false org.gnome.desktop.interface clock-show-seconds false org.gnome.desktop.interface cursor-blink true org.gnome.desktop.interface cursor-blink-time 1200 org.gnome.desktop.interface cursor-blink-timeout 10 org.gnome.desktop.interface cursor-size 24 org.gnome.desktop.interface cursor-theme 'Adwaita' org.gnome.desktop.interface document-font-name 'Sans 11' org.gnome.desktop.interface enable-animations true org.gnome.desktop.interface font-name 'Cantarell 11' org.gnome.desktop.interface gtk-color-palette 'black:white:gray50:red:purple:blue:light blue:green:yellow:orange:lavender:brown:goldenrod4:dodger blue:pink:light green:gray10:gray30:gray75:gray90' org.gnome.desktop.interface gtk-color-scheme '' org.gnome.desktop.interface gtk-im-module '' org.gnome.desktop.interface gtk-im-preedit-style 'callback' org.gnome.desktop.interface gtk-im-status-style 'callback' org.gnome.desktop.interface gtk-key-theme 'Default' org.gnome.desktop.interface gtk-theme 'Adwaita' org.gnome.desktop.interface gtk-timeout-initial 200 org.gnome.desktop.interface gtk-timeout-repeat 20 org.gnome.desktop.interface icon-theme 'gnome' org.gnome.desktop.interface menubar-accel 'F10' org.gnome.desktop.interface menubar-detachable false org.gnome.desktop.interface menus-have-icons false org.gnome.desktop.interface menus-have-tearoff false org.gnome.desktop.interface monospace-font-name 'Monospace 11' org.gnome.desktop.interface show-input-method-menu true org.gnome.desktop.interface show-unicode-menu true org.gnome.desktop.interface text-scaling-factor 1.0 org.gnome.desktop.interface toolbar-detachable false org.gnome.desktop.interface toolbar-icons-size 'large' org.gnome.desktop.interface toolbar-style 'both-horiz' org.gnome.desktop.interface toolkit-accessibility false ~$

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  • Need to increase nginx throughput to an upstream unix socket -- linux kernel tuning?

    - by Ben Lee
    I am running an nginx server that acts as a proxy to an upstream unix socket, like this: upstream app_server { server unix:/tmp/app.sock fail_timeout=0; } server { listen ###.###.###.###; server_name whatever.server; root /web/root; try_files $uri @app; location @app { proxy_set_header X-Forwarded-For $proxy_add_x_forwarded_for; proxy_set_header X-Forwarded-Proto $scheme; proxy_set_header Host $http_host; proxy_redirect off; proxy_pass http://app_server; } } Some app server processes, in turn, pull requests off /tmp/app.sock as they become available. The particular app server in use here is Unicorn, but I don't think that's relevant to this question. The issue is, it just seems that past a certain amount of load, nginx can't get requests through the socket at a fast enough rate. It doesn't matter how many app server processes I set up, it doesn't even matter what the app is (tried it with a dummy app with just a single endpoint that returned an empty page with status 404). The bottleneck seems to be the socket, not the app. I'm getting a flood of these messages in the nginx error log: connect() to unix:/tmp/app.sock failed (11: Resource temporarily unavailable) while connecting to upstream Many requests result in status code 502, and those that don't take a long time to complete. The nginx write queue stat hovers around 1000. Anyway, I feel like I'm missing something obvious here, because this particular configuration of nginx and app server is pretty common, especially with Unicorn (it's the recommended method in fact). Are there any linux kernel options that needs to be set, or something in nginx? Any ideas about how to increase the throughput to the upstream socket? Something that I'm clearly doing wrong? Additional information on the environment: $ uname -a Linux app1 3.2.0-24-generic #39-Ubuntu SMP Mon May 21 16:52:17 UTC 2012 x86_64 x86_64 x86_64 GNU/Linux $ ruby -v ruby 1.9.3p194 (2012-04-20 revision 35410) [x86_64-linux] $ unicorn -v unicorn v4.3.1 $ nginx -V nginx version: nginx/1.2.1 built by gcc 4.6.3 (Ubuntu/Linaro 4.6.3-1ubuntu5) TLS SNI support enabled Current kernel tweaks: net.core.rmem_default = 65536 net.core.wmem_default = 65536 net.core.rmem_max = 16777216 net.core.wmem_max = 16777216 net.ipv4.tcp_rmem = 4096 87380 16777216 net.ipv4.tcp_wmem = 4096 65536 16777216 net.ipv4.tcp_mem = 16777216 16777216 16777216 net.ipv4.tcp_window_scaling = 1 net.ipv4.route.flush = 1 net.ipv4.tcp_no_metrics_save = 1 net.ipv4.tcp_moderate_rcvbuf = 1 net.core.somaxconn = 8192 net.netfilter.nf_conntrack_max = 131072

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  • problems mounting an external IDE drive via USB in ubuntu

    - by Roy Rico
    I am having a problem connecting a specific IDE drive to my linux box. It's an old drive which I just want to get about 3 GB of files off of. INFO I am trying to connect a 200GB IDE Maxtor Drive, internally and externally... externally: I am using an self powered USB IDE external drive enclosure which I have used to connect various drives, under ubuntu and windows, in the past. The other posts stated it coudl be a problem I think i may have formatted the /dev/sdc partition instead of /dev/sdc1 partition when i originally formatted the drive. internally: I only have one machine left that has an internal IDE interface, and it's got XP on it. I plugged this drive internally into this machine with windows XP and used the ext2/ext3 drivers to mount this drive, but some files have question marks (?) in the file names which is messing up my copy process in windows. I can't delete the files under windows. Ubuntu Linux will not install on my only remaining machine that has IDE controller. I have tried the suggestions in the questions below http://superuser.com/questions/88182/mount-an-external-drive-in-ubuntu http://superuser.com/questions/23210/ubuntu-fails-to-mount-usb-drive it looks like i can see the drive in /proc/partitions $ cat /proc/partitions major minor #blocks name 8 0 78125000 sda 8 1 74894998 sda1 8 2 1 sda2 8 5 3229033 sda5 8 16 199148544 sdb <-- could be my drive? but it's not listed under fdisk -l $ fdisk -l Disk /dev/sda: 80.0 GB, 80000000000 bytes 255 heads, 63 sectors/track, 9726 cylinders Units = cylinders of 16065 * 512 = 8225280 bytes Disk identifier: 0xd0f4738c Device Boot Start End Blocks Id System /dev/sda1 * 1 9324 74894998+ 83 Linux /dev/sda2 9325 9726 3229065 5 Extended /dev/sda5 9325 9726 3229033+ 82 Linux swap / Solaris and here is my log of /var/log/messages. with a bunch of weird output, can someone let me know what that weird output is? Mar 3 19:49:40 mala kernel: [687455.112029] usb 1-7: new high speed USB device using ehci_hcd and address 3 Mar 3 19:49:41 mala kernel: [687455.248576] usb 1-7: configuration #1 chosen from 1 choice Mar 3 19:49:41 mala kernel: [687455.267450] Initializing USB Mass Storage driver... Mar 3 19:49:41 mala kernel: [687455.269180] scsi4 : SCSI emulation for USB Mass Storage devices Mar 3 19:49:41 mala kernel: [687455.269410] usbcore: registered new interface driver usb-storage Mar 3 19:49:41 mala kernel: [687455.269416] USB Mass Storage support registered. Mar 3 19:49:46 mala kernel: [687460.270917] scsi 4:0:0:0: Direct-Access Maxtor 6 Y200P0 YAR4 PQ: 0 ANSI: 2 Mar 3 19:49:46 mala kernel: [687460.271485] sd 4:0:0:0: Attached scsi generic sg2 type 0 Mar 3 19:49:46 mala kernel: [687460.278858] sd 4:0:0:0: [sdb] 398297088 512-byte logical blocks: (203 GB/189 GiB) Mar 3 19:49:46 mala kernel: [687460.280866] sd 4:0:0:0: [sdb] Write Protect is off Mar 3 19:50:16 mala kernel: [687460.283784] sdb: Mar 3 19:50:16 mala kernel: [687491.112020] usb 1-7: reset high speed USB device using ehci_hcd and address 3 Mar 3 19:50:47 mala kernel: [687522.120030] usb 1-7: reset high speed USB device using ehci_hcd and address 3 Mar 3 19:51:18 mala kernel: [687553.112034] usb 1-7: reset high speed USB device using ehci_hcd and address 3 Mar 3 19:51:49 mala kernel: [687584.116025] usb 1-7: reset high speed USB device using ehci_hcd and address 3 Mar 3 19:52:02 mala kernel: [687596.170632] type=1505 audit(1267671122.035:31): operation="profile_replace" pid=8426 name=/usr/lib/cups/backend/cups-pdf Mar 3 19:52:02 mala kernel: [687596.171551] type=1505 audit(1267671122.035:32): operation="profile_replace" pid=8426 name=/usr/sbin/cupsd Mar 3 19:52:06 mala kernel: [687600.908056] async/0 D c08145c0 0 7655 2 0x00000000 Mar 3 19:52:06 mala kernel: [687600.908062] e5601d38 00000046 e5774000 c08145c0 e4c2a848 c08145c0 d203973a 0002713d Mar 3 19:52:06 mala kernel: [687600.908072] c08145c0 c08145c0 e4c2a848 c08145c0 00000000 0002713d c08145c0 f0a98c00 Mar 3 19:52:06 mala kernel: [687600.908079] e4c2a5b0 c20125c0 00000002 e5601d80 e5601d44 c056f3be e5601d78 e5601d4c Mar 3 19:52:06 mala kernel: [687600.908087] Call Trace: Mar 3 19:52:06 mala kernel: [687600.908099] [<c056f3be>] io_schedule+0x1e/0x30 Mar 3 19:52:06 mala kernel: [687600.908107] [<c01b2cf5>] sync_page+0x35/0x40 Mar 3 19:52:06 mala kernel: [687600.908111] [<c056f8f7>] __wait_on_bit_lock+0x47/0x90 Mar 3 19:52:06 mala kernel: [687600.908115] [<c01b2cc0>] ? sync_page+0x0/0x40 Mar 3 19:52:06 mala kernel: [687600.908121] [<c020f390>] ? blkdev_readpage+0x0/0x20 Mar 3 19:52:06 mala kernel: [687600.908125] [<c01b2ca9>] __lock_page+0x79/0x80 Mar 3 19:52:06 mala kernel: [687600.908130] [<c015c130>] ? wake_bit_function+0x0/0x50 Mar 3 19:52:06 mala kernel: [687600.908135] [<c01b459f>] read_cache_page_async+0xbf/0xd0 Mar 3 19:52:06 mala kernel: [687600.908139] [<c01b45c2>] read_cache_page+0x12/0x60 Mar 3 19:52:06 mala kernel: [687600.908144] [<c0232dca>] read_dev_sector+0x3a/0x80 Mar 3 19:52:06 mala kernel: [687600.908148] [<c0233d3e>] adfspart_check_ICS+0x1e/0x160 Mar 3 19:52:06 mala kernel: [687600.908152] [<c023339f>] ? disk_name+0xaf/0xc0 Mar 3 19:52:06 mala kernel: [687600.908157] [<c0233d20>] ? adfspart_check_ICS+0x0/0x160 Mar 3 19:52:06 mala kernel: [687600.908161] [<c02334de>] check_partition+0x10e/0x180 Mar 3 19:52:06 mala kernel: [687600.908165] [<c02335f6>] rescan_partitions+0xa6/0x330 Mar 3 19:52:06 mala kernel: [687600.908171] [<c0312472>] ? kobject_get+0x12/0x20 Mar 3 19:52:06 mala kernel: [687600.908175] [<c0312472>] ? kobject_get+0x12/0x20 Mar 3 19:52:06 mala kernel: [687600.908180] [<c039fc43>] ? get_device+0x13/0x20 Mar 3 19:52:06 mala kernel: [687600.908185] [<c03c263f>] ? sd_open+0x5f/0x1b0 Mar 3 19:52:06 mala kernel: [687600.908189] [<c020fda0>] __blkdev_get+0x140/0x310 Mar 3 19:52:06 mala kernel: [687600.908194] [<c020f0ac>] ? bdget+0xec/0x100 Mar 3 19:52:06 mala kernel: [687600.908198] [<c020ff7a>] blkdev_get+0xa/0x10 Mar 3 19:52:06 mala kernel: [687600.908202] [<c0232f30>] register_disk+0x120/0x140 Mar 3 19:52:06 mala kernel: [687600.908207] [<c0308b4d>] ? blk_register_region+0x2d/0x40 Mar 3 19:52:06 mala kernel: [687600.908211] [<c03084f0>] ? exact_match+0x0/0x10 Mar 3 19:52:06 mala kernel: [687600.908216] [<c0308cf0>] add_disk+0x80/0x140 Mar 3 19:52:06 mala kernel: [687600.908221] [<c03084f0>] ? exact_match+0x0/0x10 Mar 3 19:52:06 mala kernel: [687600.908225] [<c0308860>] ? exact_lock+0x0/0x20 Mar 3 19:52:06 mala kernel: [687600.908230] [<c03c53df>] sd_probe_async+0xff/0x1c0

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  • How to setup nginx and a subdomain

    - by Evolutio
    i have gitlab installed on my server and it works on all domains eg: git.lars-dev.de, lars-dev.de and *.lars-dev.de how I can run gitlab only on git.lars-dev.de and another subdomain on files.lars-dev.de? my lars-dev conf: server { listen *:80; ## listen for ipv4; this line is default and implied #listen [::]:80 default_server ipv6only=on; ## listen for ipv6 root /var/www/webdata/lars-dev.de/htdocs; index index.html index.htm; server_name lars-dev.de; location / { try_files $uri $uri/ /index.html; } #error_page 500 502 503 504 /50x.html; #location = /50x.html { # root /usr/share/nginx/www; #} # deny access to .htaccess files, if Apache's document root # concurs with nginx's one # #location ~ /\.ht { # deny all; #} } and the gitlab configuration: upstream gitlab { server unix:/home/git/gitlab/tmp/sockets/gitlab.socket; } server { listen *:80; # e.g., listen 192.168.1.1:80; In most cases *:80 is a good idea server_name git.lars-dev.de; # e.g., server_name source.example.com; server_tokens off; # don't show the version number, a security best practice root /home/git/gitlab/public; # individual nginx logs for this gitlab vhost access_log /var/log/nginx/gitlab_access.log; error_log /var/log/nginx/gitlab_error.log; location / { # serve static files from defined root folder;. # @gitlab is a named location for the upstream fallback, see below try_files $uri $uri/index.html $uri.html @gitlab; } # if a file, which is not found in the root folder is requested, # then the proxy pass the request to the upsteam (gitlab unicorn) location @gitlab { proxy_read_timeout 300; # https://github.com/gitlabhq/gitlabhq/issues/694 proxy_connect_timeout 300; # https://github.com/gitlabhq/gitlabhq/issues/694 proxy_redirect off; proxy_set_header X-Forwarded-Proto $scheme; proxy_set_header Host $http_host; proxy_set_header X-Real-IP $remote_addr; proxy_pass http://gitlab; } }

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  • networking tunnel adapter connections?

    - by Karthik Balaguru
    I understand that Tunnel Adapter LAN is for encapsulating IPv6 packets with an IPv4 header so that they can be sent across an IPv4 network. Few queries popped up in my mind based on this :- If i do 'ipconfig', Apart from ethernet adapter LAN details, I get a series of statments as below - Tunnel adapter Local Area Connection* 6 Tunnel adapter Local Area Connection* 7 Tunnel adapter Local Area Connection* 12 Tunnel adapter Local Area Connection* 13 Tunnel adapter Local Area Connection* 14 Tunnel adapter Local Area Connection* 15 Tunnel adapter Local Area Connection* 16 Except for the *16, all the other Tunnel Adapter Local Area Connections show Media Disconnected. Why is the numbering for the Tunnel adapter LAN not sequential? It is like 6, 7, 12, 13, 14, 15, 16. A strange numbering scheme! I tried to figure it out by thinking of some arithmetic series. But, it does not seem to fit in. There is a huge gap between 7 and 12. Any ideas? What is the need for so many Tunnel Adapter LAN connections? Can you tell me a scenario that requires all of those ? I did ipconfig /all to get more information. From the listing, I understand that: 16, 15, 14, 12 are Microsoft 6to4 Adapters 13, 6 are isatap Adapters 7 is Teredo Tunneling Pseudo-interface I understand that the above are for automatic tunneling so that the tunnel endpoints are determined automatically by the routing infrastructure. 6to4 is recommended by RFC3056 for automatic tunneling that uses protocol 41 for encapsulation. It is typically used when an end-user wants to connect to the IPv6 Internet using their existing IPv4 connection. Teredo is an automatic tunneling technique that uses UDP encapsulation across multiple NATs. That is, It is to grant IPv6 connectivity to nodes that are located behind IPv6-unaware NAT devices ISATAP treats the IPv4 network as a virtual IPv6 local link, with mappings from each IPv4 address to a link-local IPv6 address. That is to transmit IPv6 packets between dual-stack nodes on top of an IPv4 network. That is, to put in simple words, ISATAP is an intra-site mechanism, while the 6to4 and Teredo are for inter-site tunnelling mechanisms. It seems that Teredo should alone enabled by default in Vista, But my system does not show it to be enabled by default. Interestingly, it shows a 6to4 tunnel adapter (Tunnel adapter LAN connection 16) to be enabled by default? Any specific reasons for it? If i do ipconfig /all, why is only one Teredo present while four 6to4 are present ? I searched the internet for answers to the above queries, but I am unable to find clear answers.

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  • nginx, php-cgi and "No input file specified."

    - by Stephen Belanger
    I'm trying to get nginx to play nice with php-cgi, but it's not quite working how I'd like. I'm using some set variables to allow for dynamic host names--basically anything.local. I know that stuff is working because I can access static files properly, however php files don't work. I get the standard "No input file specified." error which normally occurs when the file doesn't exist, but it definitely does exist and the path is correct because I can access the static files in the same path. It could possibly be a permissions thing, but I'm not sure how that could be an issue. I'm running this on Windows under my own user account, so I think it should have permission unless php-cgi is running under a different user without me telling it to. . Here's my config; worker_processes 1; events { worker_connections 1024; } http { include mime.types; default_type application/octet-stream; sendfile on; keepalive_timeout 65; gzip on; server { # Listen for HTTP listen 80; # Match to local host names. server_name *.local; # We need to store a "cleaned" host. set $no_www $host; set $no_local $host; # Strip out www. if ($host ~* www\.(.*)) { set $no_www $1; rewrite ^(.*)$ $scheme://$no_www$1 permanent; } # Strip local for directory names. if ($no_www ~* (.*)\.local) { set $no_local $1; } # Define default path handler. location / { root ../Users/Stephen/Documents/Work/$no_local.com/hosts/main/docs; index index.php index.html index.htm; # Route non-existent paths through Kohana system router. try_files $uri $uri/ /index.php?kohana_uri=$request_uri; } # pass PHP scripts to FastCGI server listening on 127.0.0.1:9000 location ~ \.php$ { root ../Users/Stephen/Documents/Work/$no_local.com/hosts/main/docs; fastcgi_pass 127.0.0.1:9000; fastcgi_index index.php; include fastcgi.conf; } # Prevent access to system files. location ~ /\. { return 404; } location ~* ^/(modules|application|system) { return 404; } } }

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  • problems mounting an external IDE drive via USB in ubuntu

    - by Roy Rico
    I am having a problem connecting a specific IDE drive to my linux box. It's an old drive which I just want to get about 3 GB of files off of. INFO I am trying to connect a 200GB IDE Maxtor Drive, internally and externally... externally: I am using an self powered USB IDE external drive enclosure which I have used to connect various drives, under ubuntu and windows, in the past. The other posts stated it coudl be a problem I think i may have formatted the /dev/sdc partition instead of /dev/sdc1 partition when i originally formatted the drive. internally: I only have one machine left that has an internal IDE interface, and it's got XP on it. I plugged this drive internally into this machine with windows XP and used the ext2/ext3 drivers to mount this drive, but some files have question marks (?) in the file names which is messing up my copy process in windows. I can't delete the files under windows. Ubuntu Linux will not install on my only remaining machine that has IDE controller. I have tried the suggestions in the questions below http://superuser.com/questions/88182/mount-an-external-drive-in-ubuntu http://superuser.com/questions/23210/ubuntu-fails-to-mount-usb-drive it looks like i can see the drive in /proc/partitions $ cat /proc/partitions major minor #blocks name 8 0 78125000 sda 8 1 74894998 sda1 8 2 1 sda2 8 5 3229033 sda5 8 16 199148544 sdb <-- could be my drive? but it's not listed under fdisk -l $ fdisk -l Disk /dev/sda: 80.0 GB, 80000000000 bytes 255 heads, 63 sectors/track, 9726 cylinders Units = cylinders of 16065 * 512 = 8225280 bytes Disk identifier: 0xd0f4738c Device Boot Start End Blocks Id System /dev/sda1 * 1 9324 74894998+ 83 Linux /dev/sda2 9325 9726 3229065 5 Extended /dev/sda5 9325 9726 3229033+ 82 Linux swap / Solaris and here is my log of /var/log/messages. with a bunch of weird output, can someone let me know what that weird output is? Mar 3 19:49:40 mala kernel: [687455.112029] usb 1-7: new high speed USB device using ehci_hcd and address 3 Mar 3 19:49:41 mala kernel: [687455.248576] usb 1-7: configuration #1 chosen from 1 choice Mar 3 19:49:41 mala kernel: [687455.267450] Initializing USB Mass Storage driver... Mar 3 19:49:41 mala kernel: [687455.269180] scsi4 : SCSI emulation for USB Mass Storage devices Mar 3 19:49:41 mala kernel: [687455.269410] usbcore: registered new interface driver usb-storage Mar 3 19:49:41 mala kernel: [687455.269416] USB Mass Storage support registered. Mar 3 19:49:46 mala kernel: [687460.270917] scsi 4:0:0:0: Direct-Access Maxtor 6 Y200P0 YAR4 PQ: 0 ANSI: 2 Mar 3 19:49:46 mala kernel: [687460.271485] sd 4:0:0:0: Attached scsi generic sg2 type 0 Mar 3 19:49:46 mala kernel: [687460.278858] sd 4:0:0:0: [sdb] 398297088 512-byte logical blocks: (203 GB/189 GiB) Mar 3 19:49:46 mala kernel: [687460.280866] sd 4:0:0:0: [sdb] Write Protect is off Mar 3 19:50:16 mala kernel: [687460.283784] sdb: Mar 3 19:50:16 mala kernel: [687491.112020] usb 1-7: reset high speed USB device using ehci_hcd and address 3 Mar 3 19:50:47 mala kernel: [687522.120030] usb 1-7: reset high speed USB device using ehci_hcd and address 3 Mar 3 19:51:18 mala kernel: [687553.112034] usb 1-7: reset high speed USB device using ehci_hcd and address 3 Mar 3 19:51:49 mala kernel: [687584.116025] usb 1-7: reset high speed USB device using ehci_hcd and address 3 Mar 3 19:52:02 mala kernel: [687596.170632] type=1505 audit(1267671122.035:31): operation="profile_replace" pid=8426 name=/usr/lib/cups/backend/cups-pdf Mar 3 19:52:02 mala kernel: [687596.171551] type=1505 audit(1267671122.035:32): operation="profile_replace" pid=8426 name=/usr/sbin/cupsd Mar 3 19:52:06 mala kernel: [687600.908056] async/0 D c08145c0 0 7655 2 0x00000000 Mar 3 19:52:06 mala kernel: [687600.908062] e5601d38 00000046 e5774000 c08145c0 e4c2a848 c08145c0 d203973a 0002713d Mar 3 19:52:06 mala kernel: [687600.908072] c08145c0 c08145c0 e4c2a848 c08145c0 00000000 0002713d c08145c0 f0a98c00 Mar 3 19:52:06 mala kernel: [687600.908079] e4c2a5b0 c20125c0 00000002 e5601d80 e5601d44 c056f3be e5601d78 e5601d4c Mar 3 19:52:06 mala kernel: [687600.908087] Call Trace: Mar 3 19:52:06 mala kernel: [687600.908099] [<c056f3be>] io_schedule+0x1e/0x30 Mar 3 19:52:06 mala kernel: [687600.908107] [<c01b2cf5>] sync_page+0x35/0x40 Mar 3 19:52:06 mala kernel: [687600.908111] [<c056f8f7>] __wait_on_bit_lock+0x47/0x90 Mar 3 19:52:06 mala kernel: [687600.908115] [<c01b2cc0>] ? sync_page+0x0/0x40 Mar 3 19:52:06 mala kernel: [687600.908121] [<c020f390>] ? blkdev_readpage+0x0/0x20 Mar 3 19:52:06 mala kernel: [687600.908125] [<c01b2ca9>] __lock_page+0x79/0x80 Mar 3 19:52:06 mala kernel: [687600.908130] [<c015c130>] ? wake_bit_function+0x0/0x50 Mar 3 19:52:06 mala kernel: [687600.908135] [<c01b459f>] read_cache_page_async+0xbf/0xd0 Mar 3 19:52:06 mala kernel: [687600.908139] [<c01b45c2>] read_cache_page+0x12/0x60 Mar 3 19:52:06 mala kernel: [687600.908144] [<c0232dca>] read_dev_sector+0x3a/0x80 Mar 3 19:52:06 mala kernel: [687600.908148] [<c0233d3e>] adfspart_check_ICS+0x1e/0x160 Mar 3 19:52:06 mala kernel: [687600.908152] [<c023339f>] ? disk_name+0xaf/0xc0 Mar 3 19:52:06 mala kernel: [687600.908157] [<c0233d20>] ? adfspart_check_ICS+0x0/0x160 Mar 3 19:52:06 mala kernel: [687600.908161] [<c02334de>] check_partition+0x10e/0x180 Mar 3 19:52:06 mala kernel: [687600.908165] [<c02335f6>] rescan_partitions+0xa6/0x330 Mar 3 19:52:06 mala kernel: [687600.908171] [<c0312472>] ? kobject_get+0x12/0x20 Mar 3 19:52:06 mala kernel: [687600.908175] [<c0312472>] ? kobject_get+0x12/0x20 Mar 3 19:52:06 mala kernel: [687600.908180] [<c039fc43>] ? get_device+0x13/0x20 Mar 3 19:52:06 mala kernel: [687600.908185] [<c03c263f>] ? sd_open+0x5f/0x1b0 Mar 3 19:52:06 mala kernel: [687600.908189] [<c020fda0>] __blkdev_get+0x140/0x310 Mar 3 19:52:06 mala kernel: [687600.908194] [<c020f0ac>] ? bdget+0xec/0x100 Mar 3 19:52:06 mala kernel: [687600.908198] [<c020ff7a>] blkdev_get+0xa/0x10 Mar 3 19:52:06 mala kernel: [687600.908202] [<c0232f30>] register_disk+0x120/0x140 Mar 3 19:52:06 mala kernel: [687600.908207] [<c0308b4d>] ? blk_register_region+0x2d/0x40 Mar 3 19:52:06 mala kernel: [687600.908211] [<c03084f0>] ? exact_match+0x0/0x10 Mar 3 19:52:06 mala kernel: [687600.908216] [<c0308cf0>] add_disk+0x80/0x140 Mar 3 19:52:06 mala kernel: [687600.908221] [<c03084f0>] ? exact_match+0x0/0x10 Mar 3 19:52:06 mala kernel: [687600.908225] [<c0308860>] ? exact_lock+0x0/0x20 Mar 3 19:52:06 mala kernel: [687600.908230] [<c03c53df>] sd_probe_async+0xff/0x1c0

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  • HP MSR 30-10a Router - Route Traffic over Default Route

    - by SteadH
    We have a brand new HP MSR 30-10a Router. We have a fairly simple routing situation - we have two IP blocks, one which has a route out. We need things on the first block to go through the router, and out. I have an old Cisco 2801 router doing the job right now. For our example - IP Block 1: 50.203.110.232/29, Router interface on this block is 50.203.110.237, route out is 50.203.110.233. IP Block 2: 50.202.219.1/27, Router interface on this block at 50.202.219.20. I have a static route created for: 0.0.0.0 0.0.0.0 50.203.110.233 The router seems to understand this. When on the CLI via serial cable, I can ping 8.8.8.8 and hear responses from Google DNS. Woo hoo! The issue arrives when any client sits on the IP Block 2 side. I configured my client with a static IP of 50.202.219.15/27, default gateway 50.202.219.20. I can ping myself. I can ping the near side of the router (50.202.219.20), and I can ping the far side of the router (50.203.110.237. I cannot ping anything else in IP block 1, nor can I ping 8.8.8.8. Here is my configuration file: <HP>display current-configuration # version 5.20.106, Release 2507, Standard # sysname HP # domain default enable system # dar p2p signature-file flash:/p2p_default.mtd # port-security enable # undo ip http enable # password-recovery enable # vlan 1 # domain system access-limit disable state active idle-cut disable self-service-url disable # user-group system group-attribute allow-guest # local-user admin password cipher $c$3$40gC1cxf/wIJNa1ufFPJsjKAof+QP5aV authorization-attribute level 3 service-type telnet # cwmp undo cwmp enable # interface Aux0 async mode flow link-protocol ppp # interface Cellular0/0 async mode protocol link-protocol ppp # interface Ethernet0/0 port link-mode route ip address 50.203.110.237 255.255.255.248 # interface Ethernet0/1 port link-mode route ip address 50.202.219.20 255.255.255.224 # interface NULL0 # ip route-static 0.0.0.0 0.0.0.0 50.203.110.233 permanent # load xml-configuration # load tr069-configuration # user-interface tty 12 user-interface aux 0 user-interface vty 0 4 authentication-mode scheme # My guess right now is there is some sort of "permission" needed to use the default route. The manuals haven't turned up a lot in this area that don't make the situation much more complicated (but maybe it needs to be more complicated?) Background: we use HP switches, and I love the CLI. I bought HP thinking the command line interface would be similar, or at least speak the same language. Whoops! I'd be happy to provide more information or perform any additional tests. Thanks in advance! Update 1: The manual mentions routing rules. I hadn't previously added these (since our Cisco 2801 seems to route anything by default). I added: ip ip-prefix 1 permit 0.0.0.0 0 less-equal 32 alas, still no dice.

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  • networking tunnel adapter connections?

    - by Karthik Balaguru
    I understand that Tunnel Adapter LAN is for encapsulating IPv6 packets with an IPv4 header so that they can be sent across an IPv4 network. Few queries popped up in my mind based on this :- If i do 'ipconfig', Apart from ethernet adapter LAN details, I get a series of statments as below - Tunnel adapter Local Area Connection* 6 Tunnel adapter Local Area Connection* 7 Tunnel adapter Local Area Connection* 12 Tunnel adapter Local Area Connection* 13 Tunnel adapter Local Area Connection* 14 Tunnel adapter Local Area Connection* 15 Tunnel adapter Local Area Connection* 16 Except for the *16, all the other Tunnel Adapter Local Area Connections show Media Disconnected. Why is the numbering for the Tunnel adapter LAN not sequential? It is like 6, 7, 12, 13, 14, 15, 16. A strange numbering scheme! I tried to figure it out by thinking of some arithmetic series. But, it does not seem to fit in. There is a huge gap between 7 and 12. Any ideas? What is the need for so many Tunnel Adapter LAN connections? Can you tell me a scenario that requires all of those ? I did ipconfig /all to get more information. From the listing, I understand that: 16, 15, 14, 12 are Microsoft 6to4 Adapters 13, 6 are isatap Adapters 7 is Teredo Tunneling Pseudo-interface I understand that the above are for automatic tunneling so that the tunnel endpoints are determined automatically by the routing infrastructure. 6to4 is recommended by RFC3056 for automatic tunneling that uses protocol 41 for encapsulation. It is typically used when an end-user wants to connect to the IPv6 Internet using their existing IPv4 connection. Teredo is an automatic tunneling technique that uses UDP encapsulation across multiple NATs. That is, It is to grant IPv6 connectivity to nodes that are located behind IPv6-unaware NAT devices ISATAP treats the IPv4 network as a virtual IPv6 local link, with mappings from each IPv4 address to a link-local IPv6 address. That is to transmit IPv6 packets between dual-stack nodes on top of an IPv4 network. That is, to put in simple words, ISATAP is an intra-site mechanism, while the 6to4 and Teredo are for inter-site tunnelling mechanisms. It seems that Teredo should alone enabled by default in Vista, But my system does not show it to be enabled by default. Interestingly, it shows a 6to4 tunnel adapter (Tunnel adapter LAN connection 16) to be enabled by default? Any specific reasons for it? If i do ipconfig /all, why is only one Teredo present while four 6to4 are present ? I searched the internet for answers to the above queries, but I am unable to find clear answers.

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  • "No route to host" with ssl but not with telnet

    - by Clemens Bergmann
    I have a strange problem with connecting to a https site from one of my servers. When I type: telnet puppet 8140 I am presented with a standard telnet console and can talk to the Server as always: Connected to athena.hidden.tld. Escape character is '^]'. GET / HTTP/1.1 <!DOCTYPE HTML PUBLIC "-//IETF//DTD HTML 2.0//EN"> <html><head> <title>400 Bad Request</title> </head><body> <h1>Bad Request</h1> <p>Your browser sent a request that this server could not understand.<br /> Reason: You're speaking plain HTTP to an SSL-enabled server port.<br /> Instead use the HTTPS scheme to access this URL, please.<br /> <blockquote>Hint: <a href="https://athena.hidden.tld:8140/"><b>https://athena.hidden.tld:8140/</b></a></blockquote></p> <hr> <address>Apache/2.2.16 (Debian) Server at athena.hidden.tld Port 8140</address> </body></html> Connection closed by foreign host. But when I try to connect to the same host and port with ssl: openssl s_client -connect puppet:8140 It is not working connect: No route to host connect:errno=113 I am confused. At first it sounded like a firewall problem but this could not be, could it? Because this would also prevent the telnet connection. As Firewall I am using ferm on both servers. The systems are debian squeeze vm-boxes. [edit 1] Even when I try to connect directly with the IP address: openssl s_client -connect 198.51.100.1:8140 #address exchanged connect: No route to host connect:errno=113 Bringing down the firewalls on both hosts with service ferm stop is also not helping. But when I do openssl s_client -connect localhost:8140 on the server machine it is connecting fine. [edit 2] if I connect to the IP with telnet it also is not working. telnet 198.51.100.1 8140 Trying 198.51.100.1... telnet: Unable to connect to remote host: No route to host The confusion might come from IPv6. I have IPv6 on all my hosts. It seems that telnet uses IPv6 by default and this works. For example: telnet -6 puppet 8140 works but telnet -4 puppet 8140 does not work. So there seems to be a problem with the IPv4 route. openssl seems to only (or by default) use IPv4 and therefore fails but telnet uses IPv6 and succeeds.

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  • WordPress 3.5 Multisite and nginx siteurl issues

    - by Florin Gogianu
    I'm setting up multisite on localhost in subdirectories. The problem is that when I'm trying to access the dashboard of a site I just created ( localhost/wptest/site/wp-admin ) I get "This webpage has a redirect loop" and when I try to access the actual website ( localhost/wptest/site ) the page loads but without assets, such as css. When I access the network dashboard, or the primary site dashboard on localhost/wptest everything is just fine. Also when I edit the permalink of the second site in the network dashboard, to be like this: localhost/site it also runs fine. How to make it work with the default permalink structure localhost/wptest/site? The wordpress files are in /usr/share/html/wptest The wp-config.php is as follows: define('WP_ALLOW_MULTISITE', true); define('MULTISITE', true); define('SUBDOMAIN_INSTALL', false); define('DOMAIN_CURRENT_SITE', 'localhost'); define('PATH_CURRENT_SITE', '/wptest/'); define('SITE_ID_CURRENT_SITE', 1); define('BLOG_ID_CURRENT_SITE', 1); And the server block / virtual host is like this: server { ##DM - uncomment following line for domain mapping listen 80 default_server; #server_name example.com *.example.com ; ##DM - uncomment following line for domain mapping #server_name_in_redirect off; access_log /var/log/nginx/example.com.access.log; error_log /var/log/nginx/example.com.error.log; root /usr/share/nginx/html/wptest; index index.html index.htm index.php; if (!-e $request_filename) { rewrite /wp-admin$ $scheme://$host$uri/ permanent; rewrite ^(/[^/]+)?(/wp-.*) $2 last; rewrite ^(/[^/]+)?(/.*\.php) $2 last; } location / { try_files $uri $uri/ /index.php?$args ; } location ~ \.php$ { try_files $uri /index.php; include fastcgi_params; fastcgi_pass unix:/var/run/php5-fpm.sock; } location ~* ^.+\.(ogg|ogv|svg|svgz|eot|otf|woff|mp4|ttf|rss|atom|jpg|jpeg|gif|png|ico|zip|tgz|gz|rar|bz2|doc|xls|exe|ppt|tar|mid|midi|wav|bmp|rtf)$ { access_log off; log_not_found off; expires max; } location = /robots.txt { access_log off; log_not_found off; } location ~ /\. { deny all; access_log off; log_not_found off; } } And finally here's an error log: 2013/06/29 08:05:37 [error] 4056#0: *52 rewrite or internal redirection cycle while internally redirecting to "/index.php", client: 127.0.0.1, server: example.com, request: "GET /nginx HTTP/1.1", host: "localhost"

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  • What are incentives (if any) to use WinRT instead of .Net?

    - by Ark-kun
    Let's compare WinRT with .Net .Net .Net is the 13+ years evolution of COM. Three main parts of .Net are execution environment, standard libraries and supported languages. CLR is the native-code execution environment based on COM .Net Framework has a big set of standard libraries (implemented using managed and native code) that can be used from all .Net languages. There are .Net classes that allow using OS APIs. WPF or Silverlight provide a XAML-based UI framework .Net can be used with C++, C#, Javascript, Python, Ruby, VB, LISP, Scheme and many other languages. C++/.Net is a variation of the C++ language that allows interaction with .Net objects. .Net supports inheritance, generics, operator and method overloading and many other features. .Net allows creating apps that run on Windows (XP, 7, 8 Pro (Desktop and Metro), RT, CE, etc), Mac OS, Linux (+ other *nix); iOS, Android, Windows Phone (7, 8); Internet Explorer, Chrome, Firefox; XBox 360, Playstation Suite; raw microprocessors. There is support for creating games (2D/3D) using any managed language or C++. Created by Developer Division WinRT WinRT is based on COM. Three main parts of WinRT are execution environment, standard libraries and supported languages. WinRT has a native-code execution environment based on COM WinRT has a set of standard libraries that more or less can be used from WinRT languages. There are WinRT classes that allow using OS APIs. Unnamed Silverlight clone provides a XAML-based UI framework WinRT can be used with C++, C#, Javascript, VB. C++/CX is a variation of the C++ language that allows interaction with WinRT objects. Custom WinRT components don't support inheritance (classes must be sealed), generics, operator overloading and many other features. WinRT allows creating apps that run on Windows 8 Pro and RT (Metro only); Windows Phone 8 (limited). There is support for creating games (2D/3D) using C++ only. Ordered by Windows Team I think that all the aspects except the last ones are very important for developers. On the other hand it seems that the most important aspect for Microsoft is the last one. So, given the above comparison of conceptually identical technologies, what are incentives (if any) to use WinRT instead of .Net?

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  • Running an rsync sweep before initializing lsyncd for synchronizing instances on EC2

    - by chrisallenlane
    My company uses several EC2 servers that will scale up and down according to the load we're receiving on our sites at any given moment. For the sake of our discussion here, we're running four instances: master.ourdomain.com - the file syncing "hub" of the webservers www1/www2/www3.ourdomain.com - three webservers which turn on or off as dictated by load I'm using lsyncd to keep all of the webservers in sync, and for the most part, it's working quite well. We're using a two-way syncing scheme, such that each webserver syncs against master, and master syncs against each webserver. Thus, the webservers are kept in sync, even though they aren't syncing against each other directly. I'm having one problem that I'm having a hard time solving,though. It occurs under these circumstances: When changes are made on master (perhaps after we've pushed new code), while some of the redundant webservers are sleeping And then a sleeping webserver wakes-up to absorb load Under that circumstance, I would like the following to happen: First, the newly-awoken webserver should sync its file structure - one way - against master, to bring its web application code up-to-date. Then, and only then, should it begin pushing changes in its file structure back to master. Unfortunately, currently, when a sleeping server is started, when lsyncd starts up, it pushes changes back to master before updating its own codebase, thus overwriting new code with old. Thus, before lsyncd starts, I'd like to be able to synchronize the webservers code against master's, perhaps by running a simple one-way rsync against the two machines. We're running lsyncd v.2, and I've tried to make this happen by using the "bash" configuration options documented in the lsyncd manual. My configuration file looks like this: settings = { logfile = "/home/user/log/lsyncd/log.txt", statusFile = "/home/user/log/lsyncd/status.txt", maxProcesses = 2, nodaemon = false, } bash = { onStartup = "rsync [email protected]:/home/user/www /home/user/www" } sync{ default.rsyncssh, source="/home/user/www/", host="[email protected]", targetdir="/home/user/www/", rsyncOpts="-ltus", excludeFrom="/home/user/conf/lsyncd/exclude" } (I've obviously redacted that file somewhat to protect the identities of the guilty.) Simply put, though, this just isn't working. How else might I approach this problem? I was looking at the --delete-after option in man rsync, but I don't think that does what I'm looking for. Are there any suggestions about how I should approach this problem? Thanks for lending your time and expertise. Chris

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  • If Nvidia Shield can stream a game via wifi, why can I not do the same via ethernet to any other PC?

    - by Enigma
    I think it absurd that a wireless game streaming solution is the *first to hit the market when a 1000mbps+ Ethernet connection would accomplish the same feat with roughly 6x the available bandwidth. I can only assume that there must be some reason behind this or a limitation preventing this, but what? 150mbps wifi is in no way superior to a 1000mbps LAN connection aside from well wireless mobility. Not only that but I have a secondary laptop and desktop which should by hardware comparison completely outperform anything the Tegra in the Nvidia Shield can do. Is this all just a marketing scheme to force people to buy the shield for the streaming benefit? Chief among these is that NVIDIA’s Shield handheld game console will be getting a microconsole-like mode, dubbed “Shield Console Mode”, that will allow the handheld to be converted into a more traditional TV-connected console. In console mode Shield can be controlled with a Bluetooth controller, and in accordance with the higher resolution of TVs will accept 1080p game streaming from a suitably equipped PC, versus 720p in handheld mode. With that said 1080p streaming will require additional bandwidth, and while 720p can be done over WiFi NVIDIA will be requiring a hardline GigE connection for 1080p streaming (note that Shield doesn’t have Ethernet, so this is presumably being done over USB). Streaming aside, in console mode Shield will also support its traditional local gaming/application functionality. - http://www.anandtech.com/show/7435/nvidia-consolidates-game-streaming-tech-under-gamestream-brand-announces-shield-console-mode ^ This is not acceptable for me for a number of reasons not to mention the ridiculousness of having a little screen+controller unit sitting there while using a secondary controller and screen instead. That kind of redundant absurdity exemplifies how wrong of a solution that is. They need a second product for this solution without the screen or controller for it to make sense... at which point your just buying a little computer that does what most other larger computers do better. All that is required, by my understanding, is the ability to decode H.264 video compression and transmit control/feedback so by any logical comparison, one (Nvidia especially) should have no difficulty in creating an application for PC's (win32/64 environment) that does the exact same thing their android app does. I have 2 video cards capable of streaming (encoding) H.264 so by right they must be capable of decoding it I would think. I haven't found anything stating plans to allow non-shield owners to do this. Can a third party create this software or does it hinge on some limitation that only Nvidia can overcome? (*) - perhaps this isn't the first but afaik it is the first complete package.

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  • Incremental RPM package version "numbers" for x.y.z > x.y.z-beta (or alpha, rc, etc)

    - by Jonathan Clarke
    In order to publish RPM packages of several different versions of some software, I'm looking for a way to specify version "numbers" that are considered "upgrades", and include the differentiation of several pre-release versions, such as (in order): "2.4.0 alpha 1", "2.4.0 alpha 2", "2.4.0 alpha 3", "2.4.0 beta 1", "2.4.0 beta 2", "2.4.0 release candidate", "2.4.0 final", "2.4.1", "2.4.2", etc. The main issue I have with this is that RPM considers that "2.4.0" comes earlier than "2.4.0.alpha1", so I can't just add the suffix on the end of the final version number. I could try "2.4.0.alpha1", "2.4.0.beta1", "2.4.0.final", which would work, except for the "release candidate" that would be considered later than "2.4.0.final". An alternative I considered is using the "epoch:" section of the RPM version number (the epoch: prefix is considered before the main version number so that "1:2.4.0" is actually earlier than "2:1.0.0"). By putting a timestamp in the epoch: field, all the versions get ordered as expected by RPM, because their versions appear to increment in time. However, this fails when new releases are made on several major versions at the same time (for example, 2.3.2 is released after 2.4.0, but their version for RPM are "20121003:2.3.2" and "20120928:2.4.0" and systems on 2.3.2 can't get "upgraded" to 2.4.0, because rpm sees it as an older version). In this case, yum/zypper/etc refuse to upgrade to 2.4.0, thus my problem. What version numbers can I use to achieve this, and make sure that RPM always considers the version numbers to be in order. Or if not version numbers, other mechanism in RPM packaging? Note 1: I would like to keep the "Release:" field of the spec file for it's original purpose (several releases of packages, including packaging changes, for the same version of the packaged software). Note 2: This should work on current production versions of major distributions, such as RHEL/CentOS 6 and SLES 11. But I'm interested in solutions that don't, too, so long as they don't involve recompiling rpm! Note 3: On Debian-like systems, dpkg uses a special component in the version number which is the "~" (tilde) character. This causes dpkg to count the suffix as "negative" ordering, so that "2.4.0~anything" will come before "2.4.0". Then, normal ordering applies after the "~", so "2.4.0~alpha1" comes before "2.4.0~beta1" because "alpha" comes before "beta" alphabetically. I'm not necessarily looking to use the same scheme for RPM packages (I'm pretty sure no such equivalent exists), so this is just FYI.

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  • Sensible Way to Pass Web Data in XML to a SQL Server Database

    - by Emtucifor
    After exploring several different ways to pass web data to a database for update purposes, I'm wondering if XML might be a good strategy. The database is currently SQL 2000. In a few months it will move to SQL 2005 and I will be able to change things if needed, but I need a SQL 2000 solution now. First of all, the database in question uses the EAV model. I know that this kind of database is generally highly frowned on, so for the purposes of this question, please just accept that this is not going to change. The current update method has the web server inserting values (that have all been converted first to their correct underlying types, then to sql_variant) to a temp table. A stored procedure is then run which expects the temp table to exist and it takes care of updating, inserting, or deleting things as needed. So far, only a single element has needed to be updated at a time. But now, there is a requirement to be able to edit multiple elements at once, and also to support hierarchical elements, each of which can have its own list of attributes. Here's some example XML I hand-typed to demonstrate what I'm thinking of. Note that in this database the Entity is Element and an ID of 0 signifies "create" aka an insert of a new item. <Elements> <Element ID="1234"> <Attr ID="221">Value</Attr> <Attr ID="225">287</Attr> <Attr ID="234"> <Element ID="99825"> <Attr ID="7">Value1</Attr> <Attr ID="8">Value2</Attr> <Attr ID="9" Action="delete" /> </Element> <Element ID="99826" Action="delete" /> <Element ID="0" Type="24"> <Attr ID="7">Value4</Attr> <Attr ID="8">Value5</Attr> <Attr ID="9">Value6</Attr> </Element> <Element ID="0" Type="24"> <Attr ID="7">Value7</Attr> <Attr ID="8">Value8</Attr> <Attr ID="9">Value9</Attr> </Element> </Attr> <Rel ID="3827" Action="delete" /> <Rel ID="2284" Role="parent"> <Element ID="3827" /> <Element ID="3829" /> <Attr ID="665">1</Attr> </Rel> <Rel ID="0" Type="23" Role="child"> <Element ID="3830" /> <Attr ID="67" </Rel> </Element> <Element ID="0" Type="87"> <Attr ID="221">Value</Attr> <Attr ID="225">569</Attr> <Attr ID="234"> <Element ID="0" Type="24"> <Attr ID="7">Value10</Attr> <Attr ID="8">Value11</Attr> <Attr ID="9">Value12</Attr> </Element> </Attr> </Element> <Element ID="1235" Action="delete" /> </Elements> Some Attributes are straight value types, such as AttrID 221. But AttrID 234 is a special "multi-value" type that can have a list of elements underneath it, and each one can have one or more values. Types only need to be presented when a new item is created, since the ElementID fully implies the type if it already exists. I'll probably support only passing in changed items (as detected by javascript). And there may be an Action="Delete" on Attr elements as well, since NULLs are treated as "unselected"--sometimes it's very important to know if a Yes/No question has intentionally been answered No or if no one's bothered to say Yes yet. There is also a different kind of data, a Relationship. At this time, those are updated through individual AJAX calls as things are edited in the UI, but I'd like to include those so that changes to relationships can be canceled (right now, once you change it, it's done). So those are really elements, too, but they are called Rel instead of Element. Relationships are implemented as ElementID1 and ElementID2, so the RelID 2284 in the XML above is in the database as: ElementID 2284 ElementID1 1234 ElementID2 3827 Having multiple children in one relationship isn't currently supported, but it would be nice later. Does this strategy and the example XML make sense? Is there a more sensible way? I'm just looking for some broad critique to help save me from going down a bad path. Any aspect that you'd like to comment on would be helpful. The web language happens to be Classic ASP, but that could change to ASP.Net at some point. A persistence engine like Linq or nHibernate is probably not acceptable right now--I just want to get this already working application enhanced without a huge amount of development time. I'll choose the answer that shows experience and has a balance of good warnings about what not to do, confirmations of what I'm planning to do, and recommendations about something else to do. I'll make it as objective as possible. P.S. I'd like to handle unicode characters as well as very long strings (10k +). UPDATE I have had this working for some time and I used the ADO Recordset Save-To-Stream trick to make creating the XML really easy. The result seems to be fairly fast, though if speed ever becomes a problem I may revisit this. In the meantime, my code works to handle any number of elements and attributes on the page at once, including updating, deleting, and creating new items all in one go. I settled on a scheme like so for all my elements: Existing data elements Example: input name e12345_a678 (element 12345, attribute 678), the input value is the value of the attribute. New elements Javascript copies a hidden template of the set of HTML elements needed for the type into the correct location on the page, increments a counter to get a new ID for this item, and prepends the number to the names of the form items. var newid = 0; function metadataAdd(reference, nameid, value) { var t = document.createElement('input'); t.setAttribute('name', nameid); t.setAttribute('id', nameid); t.setAttribute('type', 'hidden'); t.setAttribute('value', value); reference.appendChild(t); } function multiAdd(target, parentelementid, attrid, elementtypeid) { var proto = document.getElementById('a' + attrid + '_proto'); var instance = document.createElement('p'); target.parentNode.parentNode.insertBefore(instance, target.parentNode); var thisid = ++newid; instance.innerHTML = proto.innerHTML.replace(/{prefix}/g, 'n' + thisid + '_'); instance.id = 'n' + thisid; instance.className += ' new'; metadataAdd(instance, 'n' + thisid + '_p', parentelementid); metadataAdd(instance, 'n' + thisid + '_c', attrid); metadataAdd(instance, 'n' + thisid + '_t', elementtypeid); return false; } Example: Template input name _a678 becomes n1_a678 (a new element, the first one on the page, attribute 678). all attributes of this new element are tagged with the same prefix of n1. The next new item will be n2, and so on. Some hidden form inputs are created: n1_t, value is the elementtype of the element to be created n1_p, value is the parent id of the element (if it is a relationship) n1_c, value is the child id of the element (if it is a relationship) Deleting elements A hidden input is created in the form e12345_t with value set to 0. The existing controls displaying that attribute's values are disabled so they are not included in the form post. So "set type to 0" is treated as delete. With this scheme, every item on the page has a unique name and can be distinguished properly, and every action can be represented properly. When the form is posted, here's a sample of building one of the two recordsets used (classic ASP code): Set Data = Server.CreateObject("ADODB.Recordset") Data.Fields.Append "ElementID", adInteger, 4, adFldKeyColumn Data.Fields.Append "AttrID", adInteger, 4, adFldKeyColumn Data.Fields.Append "Value", adLongVarWChar, 2147483647, adFldIsNullable Or adFldMayBeNull Data.CursorLocation = adUseClient Data.CursorType = adOpenDynamic Data.Open This is the recordset for values, the other is for the elements themselves. I step through the posted form and for the element recordset use a Scripting.Dictionary populated with instances of a custom Class that has the properties I need, so that I can add the values piecemeal, since they don't always come in order. New elements are added as negative to distinguish them from regular elements (rather than requiring a separate column to indicate if it is new or addresses an existing element). I use regular expression to tear apart the form keys: "^(e|n)([0-9]{1,10})_(a|p|t|c)([0-9]{0,10})$" Then, adding an attribute looks like this. Data.AddNew ElementID.Value = DataID AttrID.Value = Integerize(Matches(0).SubMatches(3)) AttrValue.Value = Request.Form(Key) Data.Update ElementID, AttrID, and AttrValue are references to the fields of the recordset. This method is hugely faster than using Data.Fields("ElementID").Value each time. I loop through the Dictionary of element updates and ignore any that don't have all the proper information, adding the good ones to the recordset. Then I call my data-updating stored procedure like so: Set Cmd = Server.CreateObject("ADODB.Command") With Cmd Set .ActiveConnection = MyDBConn .CommandType = adCmdStoredProc .CommandText = "DataPost" .Prepared = False .Parameters.Append .CreateParameter("@ElementMetadata", adLongVarWChar, adParamInput, 2147483647, XMLFromRecordset(Element)) .Parameters.Append .CreateParameter("@ElementData", adLongVarWChar, adParamInput, 2147483647, XMLFromRecordset(Data)) End With Result.Open Cmd ' previously created recordset object with options set Here's the function that does the xml conversion: Private Function XMLFromRecordset(Recordset) Dim Stream Set Stream = Server.CreateObject("ADODB.Stream") Stream.Open Recordset.Save Stream, adPersistXML Stream.Position = 0 XMLFromRecordset = Stream.ReadText End Function Just in case the web page needs to know, the SP returns a recordset of any new elements, showing their page value and their created value (so I can see that n1 is now e12346 for example). Here are some key snippets from the stored procedure. Note this is SQL 2000 for now, though I'll be able to switch to 2005 soon: CREATE PROCEDURE [dbo].[DataPost] @ElementMetaData ntext, @ElementData ntext AS DECLARE @hdoc int --- snip --- EXEC sp_xml_preparedocument @hdoc OUTPUT, @ElementMetaData, '<xml xmlns:s="uuid:BDC6E3F0-6DA3-11d1-A2A3-00AA00C14882" xmlns:dt="uuid:C2F41010-65B3-11d1-A29F-00AA00C14882" xmlns:rs="urn:schemas-microsoft-com:rowset" xmlns:z="#RowsetSchema" />' INSERT #ElementMetadata (ElementID, ElementTypeID, ElementID1, ElementID2) SELECT * FROM OPENXML(@hdoc, '/xml/rs:data/rs:insert/z:row', 0) WITH ( ElementID int, ElementTypeID int, ElementID1 int, ElementID2 int ) ORDER BY ElementID -- orders negative items (new elements) first so they begin counting at 1 for later ID calculation EXEC sp_xml_removedocument @hdoc --- snip --- UPDATE E SET E.ElementTypeID = M.ElementTypeID FROM Element E INNER JOIN #ElementMetadata M ON E.ElementID = M.ElementID WHERE E.ElementID >= 1 AND M.ElementTypeID >= 1 The following query does the correlation of the negative new element ids to the newly inserted ones: UPDATE #ElementMetadata -- Correlate the new ElementIDs with the input rows SET NewElementID = Scope_Identity() - @@RowCount + DataID WHERE ElementID < 0 Other set-based queries do all the other work of validating that the attributes are allowed, are the correct data type, and inserting, updating, and deleting elements and attributes. I hope this brief run-down is useful to others some day! Converting ADO Recordsets to an XML stream was a huge winner for me as it saved all sorts of time and had a namespace and schema already defined that made the results come out correctly. Using a flatter XML format with 2 inputs was also much easier than sticking to some ideal about having everything in a single XML stream.

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  • Sensible Way to Pass Web Data to Sql Server Database

    - by Emtucifor
    After exploring several different ways to pass web data to a database for update purposes, I'm wondering if XML might be a good strategy. The database is currently SQL 2000. In a few months it will move to SQL 2005 and I will be able to change things if needed, but I need a SQL 2000 solution now. First of all, the database in question uses the EAV model. I know that this kind of database is generally highly frowned on, so for the purposes of this question, please just accept that this is not going to change. The current update method has the web server inserting values (that have all been converted first to their correct underlying types, then to sql_variant) to a temp table. A stored procedure is then run which expects the temp table to exist and it takes care of updating, inserting, or deleting things as needed. So far, only a single element has needed to be updated at a time. But now, there is a requirement to be able to edit multiple elements at once, and also to support hierarchical elements, each of which can have its own list of attributes. Here's some example XML I hand-typed to demonstrate what I'm thinking of. Note that in this database the Entity is Element and an ID of 0 signifies "create" aka an insert of a new item. <Elements> <Element ID="1234"> <Attr ID="221">Value</Attr> <Attr ID="225">287</Attr> <Attr ID="234"> <Element ID="99825"> <Attr ID="7">Value1</Attr> <Attr ID="8">Value2</Attr> <Attr ID="9" Action="delete" /> </Element> <Element ID="99826" Action="delete" /> <Element ID="0" Type="24"> <Attr ID="7">Value4</Attr> <Attr ID="8">Value5</Attr> <Attr ID="9">Value6</Attr> </Element> <Element ID="0" Type="24"> <Attr ID="7">Value7</Attr> <Attr ID="8">Value8</Attr> <Attr ID="9">Value9</Attr> </Element> </Attr> <Rel ID="3827" Action="delete" /> <Rel ID="2284" Role="parent"> <Element ID="3827" /> <Element ID="3829" /> <Attr ID="665">1</Attr> </Rel> <Rel ID="0" Type="23" Role="child"> <Element ID="3830" /> <Attr ID="67" </Rel> </Element> <Element ID="0" Type="87"> <Attr ID="221">Value</Attr> <Attr ID="225">569</Attr> <Attr ID="234"> <Element ID="0" Type="24"> <Attr ID="7">Value10</Attr> <Attr ID="8">Value11</Attr> <Attr ID="9">Value12</Attr> </Element> </Attr> </Element> <Element ID="1235" Action="delete" /> </Elements> Some Attributes are straight value types, such as AttrID 221. But AttrID 234 is a special "multi-value" type that can have a list of elements underneath it, and each one can have one or more values. Types only need to be presented when a new item is created, since the ElementID fully implies the type if it already exists. I'll probably support only passing in changed items (as detected by javascript). And there may be an Action="Delete" on Attr elements as well, since NULLs are treated as "unselected"--sometimes it's very important to know if a Yes/No question has intentionally been answered No or if no one's bothered to say Yes yet. There is also a different kind of data, a Relationship. At this time, those are updated through individual AJAX calls as things are edited in the UI, but I'd like to include those so that changes to relationships can be canceled (right now, once you change it, it's done). So those are really elements, too, but they are called Rel instead of Element. Relationships are implemented as ElementID1 and ElementID2, so the RelID 2284 in the XML above is in the database as: ElementID 2284 ElementID1 1234 ElementID2 3827 Having multiple children in one relationship isn't currently supported, but it would be nice later. Does this strategy and the example XML make sense? Is there a more sensible way? I'm just looking for some broad critique to help save me from going down a bad path. Any aspect that you'd like to comment on would be helpful. The web language happens to be Classic ASP, but that could change to ASP.Net at some point. A persistence engine like Linq or nHibernate is probably not acceptable right now--I just want to get this already working application enhanced without a huge amount of development time. I'll choose the answer that shows experience and has a balance of good warnings about what not to do, confirmations of what I'm planning to do, and recommendations about something else to do. I'll make it as objective as possible. P.S. I'd like to handle unicode characters as well as very long strings (10k +). UPDATE I have had this working for some time and I used the ADO Recordset Save-To-Stream trick to make creating the XML really easy. The result seems to be fairly fast, though if speed ever becomes a problem I may revisit this. In the meantime, my code works to handle any number of elements and attributes on the page at once, including updating, deleting, and creating new items all in one go. I settled on a scheme like so for all my elements: Existing data elements Example: input name e12345_a678 (element 12345, attribute 678), the input value is the value of the attribute. New elements Javascript copies a hidden template of the set of HTML elements needed for the type into the correct location on the page, increments a counter to get a new ID for this item, and prepends the number to the names of the form items. var newid = 0; function metadataAdd(reference, nameid, value) { var t = document.createElement('input'); t.setAttribute('name', nameid); t.setAttribute('id', nameid); t.setAttribute('type', 'hidden'); t.setAttribute('value', value); reference.appendChild(t); } function multiAdd(target, parentelementid, attrid, elementtypeid) { var proto = document.getElementById('a' + attrid + '_proto'); var instance = document.createElement('p'); target.parentNode.parentNode.insertBefore(instance, target.parentNode); var thisid = ++newid; instance.innerHTML = proto.innerHTML.replace(/{prefix}/g, 'n' + thisid + '_'); instance.id = 'n' + thisid; instance.className += ' new'; metadataAdd(instance, 'n' + thisid + '_p', parentelementid); metadataAdd(instance, 'n' + thisid + '_c', attrid); metadataAdd(instance, 'n' + thisid + '_t', elementtypeid); return false; } Example: Template input name _a678 becomes n1_a678 (a new element, the first one on the page, attribute 678). all attributes of this new element are tagged with the same prefix of n1. The next new item will be n2, and so on. Some hidden form inputs are created: n1_t, value is the elementtype of the element to be created n1_p, value is the parent id of the element (if it is a relationship) n1_c, value is the child id of the element (if it is a relationship) Deleting elements A hidden input is created in the form e12345_t with value set to 0. The existing controls displaying that attribute's values are disabled so they are not included in the form post. So "set type to 0" is treated as delete. With this scheme, every item on the page has a unique name and can be distinguished properly, and every action can be represented properly. When the form is posted, here's a sample of building one of the two recordsets used (classic ASP code): Set Data = Server.CreateObject("ADODB.Recordset") Data.Fields.Append "ElementID", adInteger, 4, adFldKeyColumn Data.Fields.Append "AttrID", adInteger, 4, adFldKeyColumn Data.Fields.Append "Value", adLongVarWChar, 2147483647, adFldIsNullable Or adFldMayBeNull Data.CursorLocation = adUseClient Data.CursorType = adOpenDynamic Data.Open This is the recordset for values, the other is for the elements themselves. I step through the posted form and for the element recordset use a Scripting.Dictionary populated with instances of a custom Class that has the properties I need, so that I can add the values piecemeal, since they don't always come in order. New elements are added as negative to distinguish them from regular elements (rather than requiring a separate column to indicate if it is new or addresses an existing element). I use regular expression to tear apart the form keys: "^(e|n)([0-9]{1,10})_(a|p|t|c)([0-9]{0,10})$" Then, adding an attribute looks like this. Data.AddNew ElementID.Value = DataID AttrID.Value = Integerize(Matches(0).SubMatches(3)) AttrValue.Value = Request.Form(Key) Data.Update ElementID, AttrID, and AttrValue are references to the fields of the recordset. This method is hugely faster than using Data.Fields("ElementID").Value each time. I loop through the Dictionary of element updates and ignore any that don't have all the proper information, adding the good ones to the recordset. Then I call my data-updating stored procedure like so: Set Cmd = Server.CreateObject("ADODB.Command") With Cmd Set .ActiveConnection = MyDBConn .CommandType = adCmdStoredProc .CommandText = "DataPost" .Prepared = False .Parameters.Append .CreateParameter("@ElementMetadata", adLongVarWChar, adParamInput, 2147483647, XMLFromRecordset(Element)) .Parameters.Append .CreateParameter("@ElementData", adLongVarWChar, adParamInput, 2147483647, XMLFromRecordset(Data)) End With Result.Open Cmd ' previously created recordset object with options set Here's the function that does the xml conversion: Private Function XMLFromRecordset(Recordset) Dim Stream Set Stream = Server.CreateObject("ADODB.Stream") Stream.Open Recordset.Save Stream, adPersistXML Stream.Position = 0 XMLFromRecordset = Stream.ReadText End Function Just in case the web page needs to know, the SP returns a recordset of any new elements, showing their page value and their created value (so I can see that n1 is now e12346 for example). Here are some key snippets from the stored procedure. Note this is SQL 2000 for now, though I'll be able to switch to 2005 soon: CREATE PROCEDURE [dbo].[DataPost] @ElementMetaData ntext, @ElementData ntext AS DECLARE @hdoc int --- snip --- EXEC sp_xml_preparedocument @hdoc OUTPUT, @ElementMetaData, '<xml xmlns:s="uuid:BDC6E3F0-6DA3-11d1-A2A3-00AA00C14882" xmlns:dt="uuid:C2F41010-65B3-11d1-A29F-00AA00C14882" xmlns:rs="urn:schemas-microsoft-com:rowset" xmlns:z="#RowsetSchema" />' INSERT #ElementMetadata (ElementID, ElementTypeID, ElementID1, ElementID2) SELECT * FROM OPENXML(@hdoc, '/xml/rs:data/rs:insert/z:row', 0) WITH ( ElementID int, ElementTypeID int, ElementID1 int, ElementID2 int ) ORDER BY ElementID -- orders negative items (new elements) first so they begin counting at 1 for later ID calculation EXEC sp_xml_removedocument @hdoc --- snip --- UPDATE E SET E.ElementTypeID = M.ElementTypeID FROM Element E INNER JOIN #ElementMetadata M ON E.ElementID = M.ElementID WHERE E.ElementID >= 1 AND M.ElementTypeID >= 1 The following query does the correlation of the negative new element ids to the newly inserted ones: UPDATE #ElementMetadata -- Correlate the new ElementIDs with the input rows SET NewElementID = Scope_Identity() - @@RowCount + DataID WHERE ElementID < 0 Other set-based queries do all the other work of validating that the attributes are allowed, are the correct data type, and inserting, updating, and deleting elements and attributes. I hope this brief run-down is useful to others some day! Converting ADO Recordsets to an XML stream was a huge winner for me as it saved all sorts of time and had a namespace and schema already defined that made the results come out correctly. Using a flatter XML format with 2 inputs was also much easier than sticking to some ideal about having everything in a single XML stream.

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  • SQL Server Editions and Integration Services

    The SQL Server 2005 and SQL Server 2008 product family has quite a few editions now, so what does this mean for SQL Server Integration Services? Starting from the bottom we have the free edition known as Express, and the entry level Workgroup edition, as well as the new Web edition. None of these three include the full SSIS product, but they do all include the SQL Server Import and Export Wizard, with access to basic data sources but nothing more, so for simple loading and extraction of data this should suffice. You will not be able to build packages though, this is just a one shot deal aimed at using the wizard on an ad-hoc basis. To get the full power of Integration Services you need to start with Standard edition. This includes the BI Development Studio, for building your own packages, and fully functional IDE integrated into Visual Studio. (You get the full VS 2005/2008 IDE with the product). All core functions will be available but with a restricted set of transformations and tasks. The SQL Server 2005 Features Comparison or Features Supported by the Editions of SQL Server 2008 describes standard edition as having basic transforms, compared to Enterprise which includes the advanced transforms. I think basic is a little harsh considering the power you get with Standard, but the advanced covers the truly ground-breaking capabilities of data mining, text mining and cleansing or fuzzy transforms. The power of performing these operations within your ETL pipeline should not be underestimated, but not all processes will require these capabilities, so it seems like a reasonable delineation. Thankfully there are no feature limitations or artificial governors within Standard compared to Enterprise. The same control flow and data flow engines underpin both editions, with the same configuration and deployment options allowing you to work seamlessly between environments and editions if using the common components. In fact there are no govenors at all in SSIS, so whilst the SQL Database engine is limited to 4 CPUs in Standard edition, SSIS is only limited by the base operating system. The advanced transforms only available with Enterprise edition: Data Mining Training Destination Data Mining Query Component Fuzzy Grouping Fuzzy Lookup Term Extraction Term Lookup Dimension Processing Destination Partition Processing Destination The advanced tasks only available with Enterprise edition: Data Mining Query Task So in summary, if you want SQL Server Integration Services, you need SQL Server Standard edition, and for the more advanced tasks and transforms you need SQL Server Enterprise edition. To recap, the answer to the often asked question is no, SQL Server Integration Services is not available in SQL Server Express or Workgroup editions.

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  • Database model for keeping track of likes/shares/comments on blog posts over time

    - by gage
    My goal is to keep track of the popular posts on different blog sites based on social network activity at any given time. The goal is not to simply get the most popular now, but instead find posts that are popular compared to other posts on the same blog. For example, I follow a tech blog, a sports blog, and a gossip blog. The tech blog gets waaay more readership than the other two blogs, so in raw numbers every post on the tech blog will always out number views on the other two. So lets say the average tech blog post gets 500 facebook likes and the other two get an average of 50 likes per post. Then when there is a sports blog post that has 200 fb likes and a gossip blog post with 300 while the tech blog posts today have 500 likes I want to highlight the sports and gossip blog posts (more likes than average vs tech blog with more # of likes but just average for the blog) The approach I am thinking of taking is to make an entry in a database for each blog post. Every x minutes (say every 15 minutes) I will check how many likes/shares/comments an entry has received on all the social networks (facebook, twitter, google+, linkeIn). So over time there will be a history of likes for each blog post, i.e post 1234 after 15 min: 10 fb likes, 4 tweets, 6 g+ after 30 min: 15 fb likes, 15 tweets, 10 g+ ... ... after 48 hours: 200 fb likes, 25 tweets, 15 g+ By keeping a history like this for each blog post I can know the average number of likes/shares/tweets at any give time interval. So for example the average number of fb likes for all blog posts 48hrs after posting is 50, and a particular post has 200 I can mark that as a popular post and feature/highlight it. A consideration in the design is to be able to easily query the values (likes/shares) for a specific time-frame, i.e. fb likes after 30min or tweets after 24 hrs in-order to compute averages with which to compare against (or should averages be stored in it's own table?) If this approach is flawed or could use improvement please let me know, but it is not my main question. My main question is what should a database scheme for storing this info look like? Assuming that the above approach is taken I am trying to figure out what a database schema for storing the likes over time would look like. I am brand new to databases, in doing some basic reading I see that it is advisable to make a 3NF database. I have come up with the following possible schema. Schema 1 DB Popular Posts Table: Post post_id ( primary key(pk) ) url title Table: Social Activity activity_id (pk) url (fk) type (i.e. facebook,twitter,g+) value timestamp This was my initial instinct (base on my very limited db knowledge). As far as I under stand this schema would be 3NF? I searched for designs of similar database model, and found this question on stackoverflow, http://stackoverflow.com/questions/11216080/data-structure-for-storing-height-and-weight-etc-over-time-for-multiple-users . The scenario in that question is similar (recording weight/height of users overtime). Taking the accepted answer for that question and applying it to my model results in something like: Schema 2 (same as above, but break down the social activity into 2 tables) DB Popular Posts Table: Post post_id (pk) url title Table: Social Measurement measurement_id (pk) post_id (fk) timestamp Table: Social stat stat_id (pk) measurement_id (fk) type (i.e. facebook,twitter,g+) value The advantage I see in schema 2 is that I will likely want to access all the values for a given time, i.e. when making a measurement at 30min after a post is published I will simultaneous check number of fb likes, fb shares, fb comments, tweets, g+, linkedIn. So with this schema it may be easier get get all stats for a measurement_id corresponding to a certain time, i.e. all social stats for post 1234 at time x. Another thought I had is since it doesn't make sense to compare number of fb likes with number of tweets or g+ shares, maybe it makes sense to separate each social measurement into it's own table? Schema 3 DB Popular Posts Table: Post post_id (pk) url title Table: fb_likes fb_like_id (pk) post_id (fk) timestamp value Table: fb_shares fb_shares_id (pk) post_id (fk) timestamp value Table: tweets tweets__id (pk) post_id (fk) timestamp value Table: google_plus google_plus_id (pk) post_id (fk) timestamp value As you can see I am generally lost/unsure of what approach to take. I'm sure this typical type of database problem (storing measurements overtime, i.e temperature statistic) that must have a common solution. Is there a design pattern/model for this, does it have a name? I tried searching for "database periodic data collection" or "database measurements over time" but didn't find anything specific. What would be an appropriate model to solve the needs of this problem?

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  • Oracle Open World 2012: SQL Developer Recap

    - by thatjeffsmith
    Last week was the ‘big show’ in San Francisco. I was very happy to meet many of you in person. And many of you had questions – lots of questions! We had full or overflowing rooms for our sessions and hands-on-labs. The SQL Developer ‘booths’ were also slammed several times. So exciting to see so many of YOU excited about SQL Developer. It’s very cool to hear the stories of our tools saving you and your organizations so much time (and money!) Instead of doing a Day 0 – Day 9 recap, I thought I’d share with you the questions that I heard more than once. And just for giggles, I’ll throw in some answers as well So in no particular order… What’s the difference between Oracle SQL Developer & Oracle SQL Developer Data Modeler? Mathematically speaking – two words. But as far as the actual modeling features go, there’s no difference between the two applications. The same ‘code’ or features as it pertains to data modeling and design are in both tools. However, in SQL Developer you have all of the OTHER features fighting for real estate in the UI. So I have a general rule of thumb – if you spend MOST of your time in the database, use SQL Developer. And if you spend most of your time in the data model, run the separate and dedicated program, Oracle SQL Developer Data Modeler. Here’s a couple of screenshots to drive home the UI point: Oracle SQL Developer Oracle SQL Developer Data Modeler running INSIDE of SQL Developer. Notice how the Modeler menu items fold under the file menu? Oracle SQL Developer Data Modeler Easier to navigate and manipulate your models with the stand alone modeler. Just no worksheet to run your ad-hoc queries, etc. Don’t forget you can disable the Data Modeler inside of SQL Developer via the Extensions preference page. How can I model my table partitions? Partitioning is defined via the Physical model. So after you have finished your relational model, you need to generate a physical model. Oracle SQL Developer Data Modeler Physical Model and Partitioning Open the properties for your physical model table. Enable the ‘partitioned’ property. Once you do so, the ‘Partitioning’ page will activate. Lots and lots of partitioning support and options here But what about Interval Partitioning? An extension of range partitioning in 11gR2, we don’t currently support this partitioning scheme in SQL Developer. But we’re working on it! Can SQL Developer ignore column order when comparing models? Yes! After you start a model compare, one of your options is to disregard the order of an attribute or column definition. Tell SQL Developer you don’t care when your column shows up, just as long as it DOES show up. Wow, you got a lot of questions around modeling! Is that normal? Yes! While we appreciate that many folks inherit their applications and associated designs, new applications are being ‘born’ every day. Since both of our tools are free for anyone to design their new Oracle applications with, we attract a fair amount of attention I want to do a Hands On Lab. How do I get your software and instructional guides? Go here. Download VirtualBox. Then download the VB image. Import the appliance. Start it. Connect oracle/oracle on the OEL VM. Click on ‘Start Here’ in the desktop. Follow the instructions. If you need help, ask away! You went too fast in your Tips & Tricks session. Do you have cliff notes? Yes! And you’re SO close to finding them! Just go to my SQL Developer resources page. All of my tips are documented on this blog somewhere. I’ve indexed the most popular ones on the resource page. You can use the Search dialog on the right to find the rest. Or just send me a comment or question, and I’ll do my best to answer them as they come in.

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  • Ghost Records, Backups, and Database Compression…With a Pinch of Security Considerations

    - by Argenis
      Today Jeffrey Langdon (@jlangdon) posed on #SQLHelp the following questions: So I set to answer his question, and I said to myself: “Hey, I haven’t blogged in a while, how about I blog about this particular topic?”. Thus, this post was born. (If you have never heard of Ghost Records and/or the Ghost Cleanup Task, go see this blog post by Paul Randal) 1) Do ghost records get copied over in a backup? If you guessed yes, you guessed right. The backup process in SQL Server takes all data as it is on disk – it doesn’t crack the pages open to selectively pick which slots have actual data and which ones do not. The whole page is backed up, regardless of its contents. Even if ghost cleanup has run and processed the ghost records, the slots are not overwritten immediately, but rather until another DML operation comes along and uses them. As a matter of fact, all of the allocated space for a database will be included in a full backup. So, this poses a bit of a security/compliance problem for some of you DBA folk: if you want to take a full backup of a database after you’ve purged sensitive data, you should rebuild all of your indexes (with FILLFACTOR set to 100%). But the empty space on your data file(s) might still contain sensitive data! A SHRINKFILE might help get rid of that (not so) empty space, but that might not be the end of your troubles. You might _STILL_ have (not so) empty space on your files! One approach that you can follow is to export all of the data on your database to another SQL Server instance that does NOT have Instant File Initialization enabled. This can be a tedious and time-consuming process, though. So you have to weigh in your options and see what makes sense for you. Snapshot Replication is another idea that comes to mind. 2) Does Compression get rid of ghost records (2008)? The answer to this is no. The Ghost Records/Ghost Cleanup Task mechanism is alive and well on compressed tables and indexes. You can prove this running a simple script: CREATE DATABASE GhostRecordsTest GO USE GhostRecordsTest GO CREATE TABLE myTable (myPrimaryKey int IDENTITY(1,1) PRIMARY KEY CLUSTERED,                       myWideColumn varchar(1000) NOT NULL DEFAULT 'Default string value')                         ALTER TABLE myTable REBUILD PARTITION = ALL WITH (DATA_COMPRESSION = PAGE) GO INSERT INTO myTable DEFAULT VALUES GO 10 DELETE myTable WHERE myPrimaryKey % 2 = 0 DBCC TRACEON(2514) DBCC CHECKTABLE(myTable) TraceFlag 2514 will make DBCC CHECKTABLE give you an extra tidbit of information on its output. For the above script: “Ghost Record count = 5” Until next time,   -Argenis

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  • Developer Training – Employee Morals and Ethics – Part 2

    - by pinaldave
    Developer Training - Importance and Significance - Part 1 Developer Training – Employee Morals and Ethics – Part 2 Developer Training – Difficult Questions and Alternative Perspective - Part 3 Developer Training – Various Options for Developer Training – Part 4 Developer Training – A Conclusive Summary- Part 5 If you have been reading this series of posts about Developer Training, you can probably determine where my mind lies in the matter – firmly “pro.”  There are many reasons to think that training is an excellent idea for the company.  In the end, it may seem like the company gets all the benefits and the employee has just wasted a few hours in a dark, stuffy room.  However, don’t let yourself be fooled, this is not the case! Training, Company and YOU! Do not forget, that as an employee, you are your company’s best asset.  Training is meant to benefit the company, of course, but in the end, YOU, the employee, is the one who walks away with a lot of useful knowledge in your head.  This post will discuss what to do with that knowledge, how to acquire it, and who should pay for it. Eternal Question – Who Pays for Training? When the subject of training comes up, money is often the sticky issue.  Some companies will argue that because the employee is the one who benefits the most, he or she should pay for it.  Of course, whenever money is discuss, emotions tend to follow along, and being told you have to pay money for mandatory training often results in very unhappy employees – the opposite result of what the training was supposed to accomplish.  Therefore, many companies will pay for the training.  However, if your company is reluctant to pay for necessary training, or is hesitant to pay for a specific course that is extremely expensive, there is always the art of compromise.  The employee and the company can split the cost of the training – after all, both the company and the employee will be benefiting. [Click on following image to answer important question] Click to Enlarge  This kind of “hybrid” pay scheme can be split any way that is mutually beneficial.  There is the obvious 50/50 split, but for extremely expensive classes or conferences, this still might be prohibitively expensive for the employee.  If you are facing this situation, here are some example solutions you could suggest to your employer:  travel reimbursement, paid leave, payment for only the tuition.  There are even more complex solutions – the company could pay back the employee after the training and project has been completed. Training is not Vacation Once the classes have been settled on, and the question of payment has been answered, it is time to attend your class or travel to your conference!  The first rule is one that your mothers probably instilled in you as well – have a good attitude.  While you might be looking forward to your time off work, going to an interesting class, hopefully with some friends and coworkers, but do not mistake this time as a vacation.  It can be tempting to only have fun, but don’t forget to learn as well.  I call this “attending sincerely.”  Pay attention, have an open mind and good attitude, and don’t forget to take notes!  You might be surprised how many people will want to see what you learned when you go back. Report Back the Learning When you get back to work, those notes will come in handy.  Your supervisor and coworkers might want you to give a short presentation about what you learned.  Attending these classes can make you almost a celebrity.  Don’t be too nervous about these presentations, and don’t feel like they are meant to be a test of your dedication.  Many people will be genuinely curious – and maybe a little jealous that you go to go learn something new.  Be generous with your notes and be willing to pass your learning on to others through mini-training sessions of your own. [Click on following image to answer important question] Click to Enlarge Practice New Learning On top of helping to train others, don’t forget to put your new knowledge to use!  Your notes will come in handy for this, and you can even include your plans for the future in your presentation when you return.  This is a good way to demonstrate to your bosses that the money they paid (hopefully they paid!) is going to be put to good use. Feedback to Manager When you return, be sure to set aside a few minutes to talk about your training with your manager.  Be perfectly honest – your manager wants to know the good and the bad.  If you had a truly miserable time, do not lie and say it was the best experience – you and others may be forced to attend the same training over and over again!  Of course, you do not want to sound like a complainer, so make sure that your summary includes the good news as well.  Your manager may be able to help you understand more of what they wanted you to learn, too. Win-Win Situation In the end, remember that training is supposed to be a benefit to the employer as well as the employee.  Make sure that you share your information and that you give feedback about how you felt the sessions went as well as how you think this training can be implemented at the company immediately. Reference: Pinal Dave (http://blog.sqlauthority.com) Filed under: Developer Training, PostADay, SQL, SQL Authority, SQL Query, SQL Server, SQL Tips and Tricks, T SQL, Technology

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