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  • Pointer and malloc issue

    - by Andy
    I am fairly new to C and am getting stuck with arrays and pointers when they refer to strings. I can ask for input of 2 numbers (ints) and then return the one I want (first number or second number) without any issues. But when I request names and try to return them, the program crashes after I enter the first name and not sure why. In theory I am looking to reserve memory for the first name, and then expand it to include a second name. Can anyone explain why this breaks? Thanks! #include <stdio.h> #include <stdlib.h> void main () { int NumItems = 0; NumItems += 1; char* NameList = malloc(sizeof(char[10])*NumItems); printf("Please enter name #1: \n"); scanf("%9s", NameList[0]); fpurge(stdin); NumItems += 1; NameList = realloc(NameList,sizeof(char[10])*NumItems); printf("Please enter name #2: \n"); scanf("%9s", NameList[1]); fpurge(stdin); printf("The first name is: %s",NameList[0]); printf("The second name is: %s",NameList[1]); return 0; }

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  • Learning Python else syntax error

    - by user1441016
    Hi I am learning python by doing the practice problems for Open course at MIT 6.00 Intro to Computer Science. I am Trying to do practice problem 1 part 2 create a recursive function to count the instance of key in target. My code so far... from string import * def countSubStringMatchRecursive (target, key,x,s): if (find(target,key)==find(target,key,s)) and (find(target,key)==find(target,key,(find(target,key)))):#if first and last return (1) elif (find(target,key)==find(target,key,s))and (find(target,key)!=find(target,key,(find(target,key)))):#if first but not last x=1 s= find(target,key) return (countSubStringMatchRecursive(target,key,s,x) elif (find(target,key,s))==-1 and (find(target,key)!=find(target,key,s)):#if last but not first return (x+1) elif:(find(target,key,s))!=-1 and (find(target,key)!=find(target,key,s)):#if not last and not first x=x+1 s= find(target,key,s) return (countSubStringMatchRecursive(target,key,s,x) I getting a syntax error at line 8. I would just like to know what I did wrong there. Dont worry about the other mistakes I should be able to get those sorted out. I just Stuck on this. Thanks.

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  • Open new UserControl in the mainWindows

    - by user287964
    Hi I have this snippet public partial class Window1 : Window { public Window1() { InitializeComponent(); } private void ToggleButton_Checked(object sender, RoutedEventArgs e) { switch ((sender as Button).Content.ToString()) { case "UserControl 1": AddItemToContainer(new UserControl1()); break; case "UserControl 2": AddItemToContainer(new UserControl2()); break; case "UserControl 3": AddItemToContainer(new UserControl3()); break; default: break; } } void AddItemToContainer(UIElement _myElement) { Grid.SetColumn(_myElement, 1); HostContainer.Children.Add(_myElement); } } } } With this I can open a new userControl in myMainwindow Let’s say something like adding child to myMainWinodw,Now I’m trying to click on a button from my userControl so I open another userControl that take the place of the first one I explain: I have the mainWindows it has 3 button first one to open the first UserControl the second one to open the second userControl and the third to open the last UserControl,imagine that I opened the first UserControl let’s call it UC1, In the UC1 I have a button to open the second userControl (let’s call it UC2) I like that when I clik the button from the UC1 the UC2 is opened and take the place of the UC1 (of course the UC2 is still a child of myMainWinodw) I have alredy try to call the AddItemToContainer methode from other methode but nothing is happened Any suggestion please

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  • Entity framework 4.0 compiled query with Where() clause issue

    - by Andrey Salnikov
    Hello, I encountered with some strange behavior of System.Data.Objects.CompiledQuery.Compile function - here is my code for compile simple query: private static readonly Func<DataContext, long, Product> productQuery = CompiledQuery.Compile((DataContext ctx, long id) => ctx.Entities.OfType<Data.Product>().Where(p => p.Id == id) .Select(p=>new Product{Id = p.Id}).SingleOrDefault()); where DataContext inherited from ObjectContext and Product is a projection of POCO Data.Product class. My data context in first run contains Data.Product {Id == 1L} and in second Data.Product {Id == 2L}. First using of compilled query productQuery(dataContext, 1L) works perfect - in result I have Product {Id == 1L} but second run productQuery(dataContext, 2L) always returns null, instead of context in second run contains single product with id == 2L. If I remove Where clause I will get correct product (with id == 2L). It seems that first id value caching while first run of productQuery, and therefore all further calls valid only when dataContext contains Data.Product {id==1L}. This issue can't be reproduced if I've used direct query instead of its precompiled version. Also, all tests I've performed on test mdf base using SQL Server 2008 express and Visual studio 2010 final from my ASP.net application.

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  • Problem with mathamatical calculation in JQUERY

    - by Param-Ganak
    Hello friends! I have two text boxes. I enter number in one textbox. I write following JQUERY for that textbox which get executed when the focus out from first text box. The JQUERY code takes the entered value from first text box and multiply it by a decimal number 34.95 and display the answer in second text box. The code is doing the calculation little bit ok because when I enter the value 1000 in first text box it gives answer 34950 in second textbox and when I enter the value 100 in first text box it gives answer 3495.0000000000005 in second text box. **Please any one tell me what is the problem. is problem is in my JQUERY code. I also want to show the answer always in decimal point. Answer should always dislply only two digits after decimal point. so How to achieve this too.** This is my JQUERY code. $("#id_pvalue").focusout(function() { q=$("#id_pvalue").val(); var ans=q*34.95; $("#id_tvalue").val(ans); }); Please guide me friends! Thank You!

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  • "pseudo-atomic" operations in C++

    - by dan
    So I'm aware that nothing is atomic in C++. But I'm trying to figure out if there are any "pseudo-atomic" assumptions I can make. The reason is that I want to avoid using mutexes in some simple situations where I only need very weak guarantees. 1) Suppose I have globally defined volatile bool b, which initially I set true. Then I launch a thread which executes a loop while(b) doSomething(); Meanwhile, in another thread, I execute b=true. Can I assume that the first thread will continue to execute? In other words, if b starts out as true, and the first thread checks the value of b at the same time as the second thread assigns b=true, can I assume that the first thread will read the value of b as true? Or is it possible that at some intermediate point of the assignment b=true, the value of b might be read as false? 2) Now suppose that b is initially false. Then the first thread executes bool b1=b; bool b2=b; if(b1 && !b2) bad(); while the second thread executes b=true. Can I assume that bad() never gets called? 3) What about an int or other builtin types: suppose I have volatile int i, which is initially (say) 7, and then I assign i=7. Can I assume that, at any time during this operation, from any thread, the value of i will be equal to 7? 4) I have volatile int i=7, and then I execute i++ from some thread, and all other threads only read the value of i. Can I assume that i never has any value, in any thread, except for either 7 or 8? 5) I have volatile int i, from one thread I execute i=7, and from another I execute i=8. Afterwards, is i guaranteed to be either 7 or 8 (or whatever two values I have chosen to assign)?

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  • Why isn't the pathspec magic :(exclude) excluding the files I specify from git log's output?

    - by Jubobs
    This is a follow-up to Ignore files in git log -p and is also related to Making 'git log' ignore changes for certain paths. I'm using Git 1.9.2. I'm trying to use the pathspec magic :(exclude) to specify that some patches should not be shown in the output of git log -p. However, patches that I want to exclude still show up in the output. Here is minimal working example that reproduces the situation: cd ~/Desktop mkdir test_exclude cd test_exclude git init mkdir testdir echo "my first cpp file" >testdir/test1.cpp echo "my first xml file" >testdir/test2.xml git add testdir/ git commit -m "added two test files" Now I want to show all patches in my history expect those corresponding to XML files in the testdir folder. Therefore, following VonC's answer, I run git log --patch -- . ":(exclude)testdir/*.xml" but the patch for my testdir/test2.xml file still shows up in the output: commit 37767da1ad4ad5a5c902dfa0c9b95351e8a3b0d9 Author: xxxxxxxxxxxxxxxxxxxxxxxxx Date: Mon Aug 18 12:23:56 2014 +0100 added two test files diff --git a/testdir/test1.cpp b/testdir/test1.cpp new file mode 100644 index 0000000..3a721aa --- /dev/null +++ b/testdir/test1.cpp @@ -0,0 +1 @@ +my first cpp file diff --git a/testdir/test2.xml b/testdir/test2.xml new file mode 100644 index 0000000..8b7ce86 --- /dev/null +++ b/testdir/test2.xml @@ -0,0 +1 @@ +my first xml file What am I doing wrong? What should I do to tell git log -p not to show the patch associated with all XML files in my testdir folder?

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  • Pair equal operator overloading for inserting into set

    - by Petwoip
    I am trying to add a pair<int,int> to a set. If a pair shares the same two values as another in the set, it should not be inserted. Here's my non-working code: typedef std::pair<int, int> PairInt; template<> bool std::operator==(const PairInt& l, const PairInt& r) { return (l.first == r.first && l.second == r.second) || (l.first == r.second && l.second == r.first); } int main() { std::set<PairInt> intSet; intSet.insert(PairInt(1,3)); intSet.insert(PairInt(1,4)); intSet.insert(PairInt(1,4)); intSet.insert(PairInt(4,1)); } At the moment, the (4,1) pair gets added even though there is already a (1,4) pair. The final contents of the set are: (1 3) (1 4) (4 1) and I want it to be (1 3) (1 4) I've tried putting breakpoints in the overloaded method, but they never get reached. What have I done wrong?

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  • How do I display core data on second view controller?

    - by jon
    I am working on my first core data iPhone application. I am using a navigation controller, and the root view controller displays 4 rows. Clicking the first row takes me to a second table view controller. However, when I click the back button, repeat the row tap, click the back button again, and tap the row a third time, I get an error. I have been researching this for a week with no success. I can reproduce the error easily: Create a new Navigation-based Application, use Core Data for storage, call it MyTest which creates MyTestAppDelegate and RootViewController. Add new UIViewController subclass, with UITableViewController and xib, call it ListViewController. Copy code from RootViewController.h and .m to ListViewController.h and .m., changing the file names appropriately. To simplify the code, I removed the trailing “_” from all variables. In RootViewController, I added #import ListViewController.h, set up an array to display 4 rows and navigate to ListViewController when clicking the first row. In ListViewController.m, I added #import MyTestAppDelegate.h” and the following code: - (void)viewDidLoad { [super viewDidLoad]; if (managedObjectContext == nil) { managedObjectContext = [(MyTestAppDelegate *)[[UIApplication sharedApplication] delegate] managedObjectContext]; } .. } The sequence that causes the error is tap row, return, tap row, return, tap row - error. managedObjectContext is synthesized for the third time. I appreciate your patience and your help, as this makes no sense to me. ADDENDUM: I may have a partial solution. http://www.iphonedevsdk.com/forum/iphone-sdk-development/41688-accessing-app-delegates-managed-object-context.html If I do not release the managedObjectContext in the .m file, the error goes away. Is that ok or will that cause me issues? - (void)dealloc { [fetchedResultsController release]; // [managedObjectContext release]; [super dealloc]; } ADDENDUM 2: See solution below. Sorry for the formatting issues - this was my first post.

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  • Display TableViews corresponding to segmentedControl in a single tableview without pushing a new view

    - by user1727927
    I have a tableViewController where I have used the Interface Builder to insert a Segmented Controller having two segments. Since by default, first segment is always selected, I am not facing any problem in displaying the tableview corresponding to first segment. However, when I click on the second segment, I want to display another tableView. Here goes the problem. I am calling newTableViewController class on clicking the second segment. Hence, this view is getting pushed instead. Please suggest me a method to have these two tableViews in the main tableView upon clicking the segments. I have used switch case for switching between the segments. Here's the relevant part of the code: This method is in the FirstTableViewController since first segment is by default selected. -(IBAction) segmentedControlChanged { switch(segmentedControl.selectedSegmnentIndex) { case 0: //default first index selected. [tableView setHidden:NO]; break; case 1: NewViewController *controller=[[NewViewController alloc] initWithNibName:@"NewViewController" bundle:nil]; self.navigationController pushViewController:controller animated:YES]; [controller release]; break; default: break; } }

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  • problem with jquery each and swich between 2 things

    - by moustafa
    first see this post i got this code $('.yesno').click(function(){ $('.yesno').each(function(i, v){ $(v).removeClass('selected'); }); $(this).addClass('selected'); return false; }); and html this <a href="#"> <span class="Yes yesno">Yes</span> </a> <a href="#"> <span class="No yesno">No</span> no the problem when i make more than one vote iam get very big problem see this <a href="#"> <span class="Yes yesno">Yes</span> </a> <a href="#"> <span class="No yesno">No</span> </a> <a href="#"> <span class="Yes yesno">Yes</span> </a> <a href="#"> <span class="No yesno">No</span> </a> </a> when click first yes its choose the first yes and hwen iam going to the next yes when click its because selected but the first yes because unselected i want make some thin make each yes and know is differant of others

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  • How to disable the RAID in x3400 M2

    - by BanKtsu
    Hi I just wanna disable the default RAID in my server IBM System X3400 M2 Server(7837-24X),i have 3 disk drives SAS. I want to make them a JBOD "Just a Bunch Of Disks", because I want to install in the drive 0 CentOS, and the other two make them cache files for a squid server. I disable the RAID in the BIOS: System Settings/Adapters and UEFI drivers/LSI Logic Fusion MPT SAS Driver -PciRoot(0x0)/Pci(0x3,0X0)/Pci(0x0,0x0) LSI Logic MPT Setup Utility RAID Properties/Delete Array Later I boot the CentOS live CD and install the OS in the drive 0, and the others 2 mounted like this: *LVM Volume Groups vg_proxyserver 139508 lv_root 51200 / ext4 lv_home 84276 /home ext4 lv_swap 4032 Hard Drive sdb(/dev/sdb) free 140011 sdc(/dev/sdc) free 140011 sdd(/dev/sdd) sdd1 500 /boot ext4 sdd2 139512 vg_proxyserver physical volume(LVM) But when I restart the server give me the error: Boot failed Hard Disk 0 UEFI PXE PciRoot(0x0)/Pci(0x1,0X0)/Pci(0x0,0x0)/MAC(001A64B15130,0X0)) ........PXE-E18:Server response timeout. UEFI PXE PciRoot(0x0)/Pci(0x1,0X0)/Pci(0x0,0x0)/MAC(001A64B15132,0X0)) ........PXE-E18:Server response timeout. and the OS not start. The IBM force me to do a RAID?,why?

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  • Linux machine can't find its tape drive

    - by Kyle Hodgson
    I have an older HP NetServer LPr with what is apparently a Symbios SCSI card connecting to a Quantum SuperLoader 3 that is DLT based. From time to time, we seem to lose the connection to the autoloader. It's usually due to flaky power, but not totally sure why; sometimes when this happens the Autoloader's LED's are orange and it needs to be power cycled. The annoying workaround currently is to reboot the machine. As it is our production VPN and DNS server in addition to being our backup server, this is less than optimal. In Debian (Sarge) is there not some command one can type to get the card to notice that it has the autoloader connected again? dcr1:/proc# grep -i symbios /proc/pci SCSI storage controller: LSI Logic / Symbios Logic 53c895 (rev 1). dcr1:/proc# uname -a Linux dcr1 2.4.27-3-686 #1 Tue Dec 5 21:03:54 UTC 2006 i686 GNU/Linux dcr1:/proc# mt status mt: /dev/tape: No such device dcr1:/proc# ls -l /dev/tape lrwxrwxrwx 1 root root 8 2007-02-07 16:01 /dev/tape -> /dev/st0 dcr1:/proc# That mt status command will show the actual st0 status when things are working correctly. The No such device message is usually the second clue that we need to reboot - the first clue is usually that the backups didn't run.

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  • Passenger throwing undefined method `-@' for "master":String after Puppet 3.0.0 upgrade

    - by Andy Shinn
    My Puppet master is using Passenger to serve. After upgrading to Puppet 3.0.0 I am getting the following error: [ pid=17576 thr=70231398486460 file=utils.rb:176 time=2012-10-01 17:37:12.892 ]: *** Exception NoMethodError in PhusionPassenger::Rack::ApplicationSpawner (undefined method `-@' for "master":String) (process 17576, thread #): from config.ru:7 from /usr/lib/ruby/gems/1.8/gems/rack-1.4.1/lib/rack/builder.rb:51:in `instance_eval' from /usr/lib/ruby/gems/1.8/gems/rack-1.4.1/lib/rack/builder.rb:51:in `initialize' from config.ru:1:in `new' from config.ru:1 My config.ru is as follows: # a config.ru, for use with every rack-compatible webserver. # SSL needs to be handled outside this, though. # if puppet is not in your RUBYLIB: # $LOAD_PATH.unshift('/opt/puppet/lib') $0 = "master" # if you want debugging: # ARGV << "--debug" ARGV << "--rack" # Rack applications typically don't start as root. Set --confdir to prevent # reading configuration from ~/.puppet/puppet.conf ARGV << "--confdir" << "/etc/puppet" # NOTE: it's unfortunate that we have to use the "CommandLine" class # here to launch the app, but it contains some initialization logic # (such as triggering the parsing of the config file) that is very # important. We should do something less nasty here when we've # gotten our API and settings initialization logic cleaned up. # # Also note that the "$0 = master" line up near the top here is # the magic that allows the CommandLine class to know that it's # supposed to be running master. # # --cprice 2012-05-22 require 'puppet/util/command_line' # we're usually running inside a Rack::Builder.new {} block, # therefore we need to call run *here*. run Puppet::Util::CommandLine.new.execute Any idea what may be happening?

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  • MYSQL - Multiple set values in one update statement [migrated]

    - by Maurzank
    MYSQL - MULTIPLE SET VALUES IN ONE UPDATE STATEMENT USING 2 TABLES AS REFERENCE AND STORING VALUES IN ONE OF THOSE TABLES WITH A SPECIFIC LOGIC. Hello people, A problem came up by making an UPDATE. The example issue is as follows: CURRENUSRTABLE +------------+-------+ | ID | STATE | +------------+-------+ | 123 | 3 | | 456 | 3 | | 789 | 3 | +------------+-------+ HISTORYTABLE +------------+------------+-----+ | ID | TRDATE | ACT | +------------+------------+-----+ | 123 | 2013-11-01 | 5 | | 456 | 2013-11-01 | 5 | | 789 | 2013-11-01 | 5 | | 123 | 2013-11-02 | 4 | | 456 | 2013-11-02 | 4 | | 789 | 2013-11-02 | 4 | | 123 | 2013-11-03 | 3 | | 456 | 2013-11-03 | 3 | | 789 | 2013-11-03 | 3 | +------------+------------+-----+ I'm using these variables: @BA=3, @DE=5, @BL=4, What I'm trying to do is an update on CURRENUSRTABLE.STATE using HISTORYTABLE.ACT with the following logic: STATE value will be updated as ACT value, except when STATE value is 4 and ACT is 3, then STATE will be 5 I made this statement: UPDATE CURRENUSRTABLE RIGHT OUTER JOIN HISTORYTABLE ON HISTORYTABLE.ID=CURRENUSRTABLE.ID SET CURRENUSRTABLE.STATE= ( SELECT CASE HISTORYTABLE.ACT WHEN @DE THEN @DE WHEN @BL THEN @BL WHEN @BA THEN CASE CURRENUSRTABLE.STATE WHEN @BL THEN @DE ELSE @BA END END ORDER BY HISTORYTABLE.TRDATE,FIELD(HISTORYTABLE.ACT,@DE,@BL,@BA) ) WHERE HISTORYTABLE.TRDATE BETWEEN '2013-11-01' AND '2013-11-01' I'm intentionally using "RIGHT OUTER JOIN" and "HISTORYTABLE.TRDATE BETWEEN" because I'd like to change the values in CURRENUSRTABLE using a timeframe of more than one day. If I execute this statement many times using only one day (i.e. "BETWEEN '2013-11-01' AND '2013-11-01'" and then "BETWEEN '2013-11-02' AND '2013-11-02'"... etc ) it works perfectly, but if it is executed using the dates "BETWEEN '2013-11-01' AND '2013-11-03'" the results on CURRENUSRTABLE.STATE are 3, which is wrong, it should be 5. I think the problem relies on "CASE CURRENUSRTABLE.STATE" when uses "HISTORYTABLE.TRDATE BETWEEN '2013-11-01' AND '2013-11-03'", because it reads the STATE 9 times which has not been commited yet until the statement ends. Query OK, 9 rows affected (0.00 sec) Rows matched: 9 Changed: 9 Warnings: 0 Maybe the solution is very simple, but unfortunately I've not much practice on MySQL since I've worked with it less than 2 months :) Is there any suggestions to solve this issue? PD: MySQL version is 4.1.22, I know is very old an EOL, unfortunately I have to make these statements on this version. Thanks!

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  • NFS high CPU usage

    - by user269836
    Hello, I have a very strange issue. I have next server: Intel(R) Xeon(TM) MP CPU 3.16GHz cat /proc/cpuinfo | grep proce | wc -l 8 free -m total used free shared buffers cached Mem: 28203 27606 596 0 10789 9714 -/+ buffers/cache: 7103 21100 Swap: 24695 0 24695 RAID card *-storage description: RAID bus controller product: MegaRAID vendor: LSI Logic / Symbios Logic physical id: 7 bus info: pci@0000:13:07.0 logical name: scsi2 version: 01 width: 32 bits clock: 66MHz capabilities: storage pm bus_master cap_list rom configuration: driver=megaraid latency=32 resources: irq:134 memory:d8ff0000-d8ffffff(prefetchable) memory:df600000-df60ffff(prefetchable) HDD: 10x148Gb SCSI U320 15k - RAID5 /dev/sdb1 807G 674G 93G 88% /storage /dev/sdb1 /storage ext4 defaults,usrjquota=aquota.user,grpjquota=aquota.group,jqfmt=vfsv0,noatime,nodiratime,noacl,errors=remount-ro 0 1 network cards ethtool -i eth0 driver: tg3 version: 3.116 firmware-version: 5704-v3.36, ASFIPMIc v2.36 bus-info: 0000:10:02.0 ethtool -i eth1 driver: tg3 version: 3.116 firmware-version: 5704-v3.36, ASFIPMIc v2.36 bus-info: 0000:10:02.0 ifconfig bond0 Link encap:Ethernet HWaddr 00:0f:1f:ff:d6:4d inet addr:192.168.15.71 Bcast:192.168.15.255 Mask:255.255.255.0 inet6 addr: fe80::20f:1fff:feff:d64d/64 Scope:Link UP BROADCAST RUNNING MASTER MULTICAST MTU:1500 Metric:1 RX packets:1062818202 errors:0 dropped:3918 overruns:0 frame:0 TX packets:1041317321 errors:0 dropped:0 overruns:0 carrier:0 collisions:0 txqueuelen:10000 RX bytes:258867684559 (241.0 GiB) TX bytes:396569192650 (369.3 GiB) this server running only nfs-kernel-server uname -a Linux nas2-backup 2.6.32-5-amd64 #1 SMP Sun Sep 23 10:07:46 UTC 2012 x86_64 GNU/Linux Debian 6. What do I have, once per day or two, LA goes up, it can be reached around LA: 40 but if I do: nfs-kernel-server restart. Every thing is OK. But on the next day or a little bit later, LA goes up again. Servers are connected to d-link dgs 1016d with 24 GBits ports. I have tried everything to find out what the problem is. Why it's happening, but still I can not resolve this issue. Any ideas on what is happening here?

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  • Connecting XRAID to Sunfire via LSI FC card - Drives not showing up

    - by Matthew Watson
    Hi, I've got a Sunfire T1000 machine ( Solaris 10 10/09 s10s_u8wos_08a SPARC ) with a LSI7404EP-LC fibre channel card in it. This is plugged into an XRAID. The system seems to have picked up the card > /usr/platform/`uname -i `/sbin/prtdiag IO Location Type Slot Path Name Model ----------- ----- ---- --------------------------------------------- ------------------------- --------- MB/PCIE0 PCIE 0 /pci@780/fibre-channel fibre-channel MB/PCIE0 PCIE 0 /pci@780/fibre-channel fibre-channel MB/NET0 PCIE MB /pci@7c0/pci@0/network@4 network-pci14e4,1668 MB/NET1 PCIE MB /pci@7c0/pci@0/network@4,1 network-pci14e4,1668 MB/NET2 PCIX MB /pci@7c0/pci@0/pci@8/network@1 network-pci108e,1648 MB/NET3 PCIX MB /pci@7c0/pci@0/pci@8/network@1,1 network-pci108e,1648 MB/PCIX PCIX MB /pci@7c0/pci@0/pci@8/scsi@2 scsi-pci1000,50 LSI,1064 However it doesn't seem to be able to see the xraid attached to it, lsiutil only reports the onboard SAS controller. > /usr/local/bin/lsiutil ~ LSI Logic MPT Configuration Utility, Version 1.62, January 14, 2009 1 MPT Port found Port Name Chip Vendor/Type/Rev MPT Rev Firmware Rev IOC 1. mpt0 LSI Logic SAS1064 A3 105 010a0000 0 Select a device: [1-1 or 0 to quit] I've tried adding the configuration to /kernal/drv/sd.conf and /kernal/drv/ssd.conf as per this thread, however format still cannot see any drives on the xraid. I'm not sure where to go next. Any suggestions? From what I've read..this should pretty much just eb plug it in and they show up in format..

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  • Disable RAID to JBOD in server IBM x3400 M2

    - by BanKtsu
    Hi I just wanna disable the default RAID in my server IBM System X3400 M2 Server(7837-24X),i have 3 disk drives SAS. I want to make them a JBOD "Just a Bunch Of Disks", because I want to install in the drive 0 CentOS, and the other two make them cache files for a squid server. I disable the RAID in the BIOS: System Settings/Adapters and UEFI drivers/LSI Logic Fusion MPT SAS Driver -PciRoot(0x0)/Pci(0x3,0X0)/Pci(0x0,0x0) LSI Logic MPT Setup Utility RAID Properties/Delete Array Later I boot the CentOS live CD and install the OS in the drive 0, and the others 2 mounted like this: *LVM Volume Groups vg_proxyserver 139508 lv_root 51200 / ext4 lv_home 84276 /home ext4 lv_swap 4032 Hard Drive sdb(/dev/sdb) free 140011 sdc(/dev/sdc) free 140011 sdd(/dev/sdd) sdd1 500 /boot ext4 sdd2 139512 vg_proxyserver physical volume(LVM) But when I restart the server give me the error: Boot failed Hard Disk 0 UEFI PXE PciRoot(0x0)/Pci(0x1,0X0)/Pci(0x0,0x0)/MAC(001A64B15130,0X0)) ........PXE-E18:Server response timeout. UEFI PXE PciRoot(0x0)/Pci(0x1,0X0)/Pci(0x0,0x0)/MAC(001A64B15132,0X0)) ........PXE-E18:Server response timeout. and the OS not start. The IBM force me to do a RAID?,why?

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  • Java: very slow tomcat and too big war file

    - by NaN
    I created some sort of RESTful API backend for a mobile app. It's written completely in Java using Jersey as Framework. At the moment no database is used, it's all in the memory, but this is no problem so far (it's only for prototyping purposes). I ordered the smallest package from digital ocean and installed tomcat7. All in all tomcat works, but I have three major problems: 1) It takes a long time until tomcat deploys the app: I deploy it per tomcat manager and it takes about 2 minutes unit the site works (excl. war upload time). 2) The war files are quite big (16MB): I don't know why they are so big. There are no database dependencies and most logic is written in plain java. Okay, we are using jersey, but 16MB are a lot for the logic of a small webservice. 3) I have to restart tomcat all 3 days or so. It looks like a memory leak or something similar. If the app runs for a few days the response time is quite high and the server seems to be frozen. It works again, if I restart tomcat per ssh. You can find my mvn pom file right here. Do you have some tips? Are there good tomcat alternatives?

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  • Large scale file replication with an option to "unsubscribe" from a replicated file on a given machine

    - by Alexander Gladysh
    I have a 100+ GB files per day incoming on one machine. (File size is arbitrary and can be adjusted as needed.) I have several other machines that do some work on these files. I need to reliably deliver each incoming file to the worker machines. A worker machine should be able to free its HDD from a file once it is done working with it. It is preferable that a file would be uploaded to the worker only once and then processed in place, and then deleted, without copying somewhere else — to minimize already high HDD load. (Worker itself requires quite a bit of bandwidth.) Please advise a solution that is not based on Java. None of existing replication solutions that I've seen can do the "free HDD from the file once processed" stuff — but maybe I'm missing something... A preferable solution should work with files (from the POV of our business logic code), not require the business logic to connect to some queue or other. (Internally the solution may use whatever technology it needs to — except Java.)

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  • HPET missing from available clocksources on CentOS

    - by squareone
    I am having trouble using HPET on my physical machine. It is not available, even though I have enabled it in my bios, forced it in grub, and triple checked my kernel to include HPET in its compilation. Motherboard: Supermicro X9DRW Processor: 2x Intel(R) Xeon(R) CPU E5-2640 SAS Controller: LSI Logic / Symbios Logic SAS2004 PCI-Express Fusion-MPT SAS-2 [Spitfire] (rev 03) Distro: CentOS 6.3 Kernel: 3.4.21-rt32 #2 SMP PREEMPT RT x86_64 GNU/Linux Grub: hpet=force clocksource=hpet .config file: CONFIG_HPET_TIMER=y CONFIG_HPET_EMULATE_RTC=y CONFIG_HPET=y dmesg | grep hpet: Command line: ro root=/dev/mapper/vg_xxxx-lv_root rd_NO_LUKS rd_LVM_LV=vg_xxxx/lv_root KEYBOARDTYPE=pc KEYTABLE=us rd_NO_MD SYSFONT=latarcyrheb-sun16 crashkernel=auto rd_LVM_LV=vg_xxxx/lv_swap rd_NO_DM LANG=en_US.UTF-8 rhgb quiet panic=5 hpet=force clocksource=hpet Kernel command line: ro root=/dev/mapper/vg_xxxx-lv_root rd_NO_LUKS rd_LVM_LV=vg_xxxx/lv_root KEYBOARDTYPE=pc KEYTABLE=us rd_NO_MD SYSFONT=latarcyrheb-sun16 crashkernel=auto rd_LVM_LV=vg_xxxx/lv_swap rd_NO_DM LANG=en_US.UTF-8 rhgb quiet panic=5 hpet=force clocksource=hpet cat /sys/devices/system/clocksource/clocksource0/current_clocksource: tsc cat /sys/devices/system/clocksource/clocksource0/available_clocksource: tsc jiffies What is even more confusing, is that I have about a dozen other machines that utilize the same kernel .config, and can use HPET fine. I fear it is a hardware issue, but would appreciate any advice or help with getting HPET available. Thanks in advance!

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  • From Binary to Data Structures

    - by Cédric Menzi
    Table of Contents Introduction PE file format and COFF header COFF file header BaseCoffReader Byte4ByteCoffReader UnsafeCoffReader ManagedCoffReader Conclusion History This article is also available on CodeProject Introduction Sometimes, you want to parse well-formed binary data and bring it into your objects to do some dirty stuff with it. In the Windows world most data structures are stored in special binary format. Either we call a WinApi function or we want to read from special files like images, spool files, executables or may be the previously announced Outlook Personal Folders File. Most specifications for these files can be found on the MSDN Libarary: Open Specification In my example, we are going to get the COFF (Common Object File Format) file header from a PE (Portable Executable). The exact specification can be found here: PECOFF PE file format and COFF header Before we start we need to know how this file is formatted. The following figure shows an overview of the Microsoft PE executable format. Source: Microsoft Our goal is to get the PE header. As we can see, the image starts with a MS-DOS 2.0 header with is not important for us. From the documentation we can read "...After the MS DOS stub, at the file offset specified at offset 0x3c, is a 4-byte...". With this information we know our reader has to jump to location 0x3c and read the offset to the signature. The signature is always 4 bytes that ensures that the image is a PE file. The signature is: PE\0\0. To prove this we first seek to the offset 0x3c, read if the file consist the signature. So we need to declare some constants, because we do not want magic numbers.   private const int PeSignatureOffsetLocation = 0x3c; private const int PeSignatureSize = 4; private const string PeSignatureContent = "PE";   Then a method for moving the reader to the correct location to read the offset of signature. With this method we always move the underlining Stream of the BinaryReader to the start location of the PE signature.   private void SeekToPeSignature(BinaryReader br) { // seek to the offset for the PE signagure br.BaseStream.Seek(PeSignatureOffsetLocation, SeekOrigin.Begin); // read the offset int offsetToPeSig = br.ReadInt32(); // seek to the start of the PE signature br.BaseStream.Seek(offsetToPeSig, SeekOrigin.Begin); }   Now, we can check if it is a valid PE image by reading of the next 4 byte contains the content PE.   private bool IsValidPeSignature(BinaryReader br) { // read 4 bytes to get the PE signature byte[] peSigBytes = br.ReadBytes(PeSignatureSize); // convert it to a string and trim \0 at the end of the content string peContent = Encoding.Default.GetString(peSigBytes).TrimEnd('\0'); // check if PE is in the content return peContent.Equals(PeSignatureContent); }   With this basic functionality we have a good base reader class to try the different methods of parsing the COFF file header. COFF file header The COFF header has the following structure: Offset Size Field 0 2 Machine 2 2 NumberOfSections 4 4 TimeDateStamp 8 4 PointerToSymbolTable 12 4 NumberOfSymbols 16 2 SizeOfOptionalHeader 18 2 Characteristics If we translate this table to code, we get something like this:   [StructLayout(LayoutKind.Sequential, CharSet = CharSet.Unicode)] public struct CoffHeader { public MachineType Machine; public ushort NumberOfSections; public uint TimeDateStamp; public uint PointerToSymbolTable; public uint NumberOfSymbols; public ushort SizeOfOptionalHeader; public Characteristic Characteristics; } BaseCoffReader All readers do the same thing, so we go to the patterns library in our head and see that Strategy pattern or Template method pattern is sticked out in the bookshelf. I have decided to take the template method pattern in this case, because the Parse() should handle the IO for all implementations and the concrete parsing should done in its derived classes.   public CoffHeader Parse() { using (var br = new BinaryReader(File.Open(_fileName, FileMode.Open, FileAccess.Read, FileShare.Read))) { SeekToPeSignature(br); if (!IsValidPeSignature(br)) { throw new BadImageFormatException(); } return ParseInternal(br); } } protected abstract CoffHeader ParseInternal(BinaryReader br);   First we open the BinaryReader, seek to the PE signature then we check if it contains a valid PE signature and rest is done by the derived implementations. Byte4ByteCoffReader The first solution is using the BinaryReader. It is the general way to get the data. We only need to know which order, which data-type and its size. If we read byte for byte we could comment out the first line in the CoffHeader structure, because we have control about the order of the member assignment.   protected override CoffHeader ParseInternal(BinaryReader br) { CoffHeader coff = new CoffHeader(); coff.Machine = (MachineType)br.ReadInt16(); coff.NumberOfSections = (ushort)br.ReadInt16(); coff.TimeDateStamp = br.ReadUInt32(); coff.PointerToSymbolTable = br.ReadUInt32(); coff.NumberOfSymbols = br.ReadUInt32(); coff.SizeOfOptionalHeader = (ushort)br.ReadInt16(); coff.Characteristics = (Characteristic)br.ReadInt16(); return coff; }   If the structure is as short as the COFF header here and the specification will never changed, there is probably no reason to change the strategy. But if a data-type will be changed, a new member will be added or ordering of member will be changed the maintenance costs of this method are very high. UnsafeCoffReader Another way to bring the data into this structure is using a "magically" unsafe trick. As above, we know the layout and order of the data structure. Now, we need the StructLayout attribute, because we have to ensure that the .NET Runtime allocates the structure in the same order as it is specified in the source code. We also need to enable "Allow unsafe code (/unsafe)" in the project's build properties. Then we need to add the following constructor to the CoffHeader structure.   [StructLayout(LayoutKind.Sequential, CharSet = CharSet.Unicode)] public struct CoffHeader { public CoffHeader(byte[] data) { unsafe { fixed (byte* packet = &data[0]) { this = *(CoffHeader*)packet; } } } }   The "magic" trick is in the statement: this = *(CoffHeader*)packet;. What happens here? We have a fixed size of data somewhere in the memory and because a struct in C# is a value-type, the assignment operator = copies the whole data of the structure and not only the reference. To fill the structure with data, we need to pass the data as bytes into the CoffHeader structure. This can be achieved by reading the exact size of the structure from the PE file.   protected override CoffHeader ParseInternal(BinaryReader br) { return new CoffHeader(br.ReadBytes(Marshal.SizeOf(typeof(CoffHeader)))); }   This solution is the fastest way to parse the data and bring it into the structure, but it is unsafe and it could introduce some security and stability risks. ManagedCoffReader In this solution we are using the same approach of the structure assignment as above. But we need to replace the unsafe part in the constructor with the following managed part:   [StructLayout(LayoutKind.Sequential, CharSet = CharSet.Unicode)] public struct CoffHeader { public CoffHeader(byte[] data) { IntPtr coffPtr = IntPtr.Zero; try { int size = Marshal.SizeOf(typeof(CoffHeader)); coffPtr = Marshal.AllocHGlobal(size); Marshal.Copy(data, 0, coffPtr, size); this = (CoffHeader)Marshal.PtrToStructure(coffPtr, typeof(CoffHeader)); } finally { Marshal.FreeHGlobal(coffPtr); } } }     Conclusion We saw that we can parse well-formed binary data to our data structures using different approaches. The first is probably the clearest way, because we know each member and its size and ordering and we have control about the reading the data for each member. But if add member or the structure is going change by some reason, we need to change the reader. The two other solutions use the approach of the structure assignment. In the unsafe implementation we need to compile the project with the /unsafe option. We increase the performance, but we get some security risks.

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  • Ajax Control Toolkit and Superexpert

    - by Stephen Walther
    Microsoft has asked my company, Superexpert Consulting, to take ownership of the development and maintenance of the Ajax Control Toolkit moving forward. In this blog entry, I discuss our strategy for improving the Ajax Control Toolkit. Why the Ajax Control Toolkit? The Ajax Control Toolkit is one of the most popular projects on CodePlex. In fact, some have argued that it is among the most successful open-source projects of all time. It consistently receives over 3,500 downloads a day (not weekends -- workdays). A mind-boggling number of developers use the Ajax Control Toolkit in their ASP.NET Web Forms applications. Why does the Ajax Control Toolkit continue to be such a popular project? The Ajax Control Toolkit fills a strong need in the ASP.NET Web Forms world. The Toolkit enables Web Forms developers to build richly interactive JavaScript applications without writing any JavaScript. For example, by taking advantage of the Ajax Control Toolkit, a Web Forms developer can add modal dialogs, popup calendars, and client tabs to a web application simply by dragging web controls onto a page. The Ajax Control Toolkit is not for everyone. If you are comfortable writing JavaScript then I recommend that you investigate using jQuery plugins instead of the Ajax Control Toolkit. However, if you are a Web Forms developer and you don’t want to get your hands dirty writing JavaScript, then the Ajax Control Toolkit is a great solution. The Ajax Control Toolkit is Vast The Ajax Control Toolkit consists of 40 controls. That’s a lot of controls (For the sake of comparison, jQuery UI consists of only 8 controls – those slackers J). Furthermore, developers expect the Ajax Control Toolkit to work on browsers both old and new. For example, people expect the Ajax Control Toolkit to work with Internet Explorer 6 and Internet Explorer 9 and every version of Internet Explorer in between. People also expect the Ajax Control Toolkit to work on the latest versions of Mozilla Firefox, Apple Safari, and Google Chrome. And, people expect the Ajax Control Toolkit to work with different operating systems. Yikes, that is a lot of combinations. The biggest challenge which my company faces in supporting the Ajax Control Toolkit is ensuring that the Ajax Control Toolkit works across all of these different browsers and operating systems. Testing, Testing, Testing Because we wanted to ensure that we could easily test the Ajax Control Toolkit with different browsers, the very first thing that we did was to set up a dedicated testing server. The dedicated server -- named Schizo -- hosts 4 virtual machines so that we can run Internet Explorer 6, Internet Explorer 7, Internet Explorer 8, and Internet Explorer 9 at the same time (We also use the virtual machines to host the latest versions of Firefox, Chrome, Opera, and Safari). The five developers on our team (plus me) can each publish to a separate FTP website on the testing server. That way, we can quickly test how changes to the Ajax Control Toolkit affect different browsers. QUnit Tests for the Ajax Control Toolkit Introducing regressions – introducing new bugs when trying to fix existing bugs – is the concern which prevents me from sleeping well at night. There are so many people using the Ajax Control Toolkit in so many unique scenarios, that it is difficult to make improvements to the Ajax Control Toolkit without introducing regressions. In order to avoid regressions, we decided early on that it was extremely important to build good test coverage for the 40 controls in the Ajax Control Toolkit. We’ve been focusing a lot of energy on building automated JavaScript unit tests which we can use to help us discover regressions. We decided to write the unit tests with the QUnit test framework. We picked QUnit because it is quickly becoming the standard unit testing framework in the JavaScript world. For example, it is the unit testing framework used by the jQuery team, the jQuery UI team, and many jQuery UI plugin developers. We had to make several enhancements to the QUnit framework in order to test the Ajax Control Toolkit. For example, QUnit does not support tests which include postbacks. We modified the QUnit framework so that it works with IFrames so we could perform postbacks in our automated tests. At this point, we have written hundreds of QUnit tests. For example, we have written 135 QUnit tests for the Accordion control. The QUnit tests are included with the Ajax Control Toolkit source code in a project named AjaxControlToolkit.Tests. You can run all of the QUnit tests contained in the project by opening the Default.aspx page. Automating the QUnit Tests across Multiple Browsers Automated tests are useless if no one ever runs them. In order for the QUnit tests to be useful, we needed an easy way to run the tests automatically against a matrix of browsers. We wanted to run the unit tests against Internet Explorer 6, Internet Explorer 7, Internet Explorer 8, Internet Explorer 9, Firefox, Chrome, and Safari automatically. Expecting a developer to run QUnit tests against every browser after every check-in is just too much to expect. It takes 20 seconds to run the Accordion QUnit tests. We are testing against 8 browsers. That would require the developer to open 8 browsers and wait for the results after each change in code. Too much work. Therefore, we built a JavaScript Test Server. Our JavaScript Test Server project was inspired by John Resig’s TestSwarm project. The JavaScript Test Server runs our QUnit tests in a swarm of browsers (running on different operating systems) automatically. Here’s how the JavaScript Test Server works: 1. We created an ASP.NET page named RunTest.aspx that constantly polls the JavaScript Test Server for a new set of QUnit tests to run. After the RunTest.aspx page runs the QUnit tests, the RunTest.aspx records the test results back to the JavaScript Test Server. 2. We opened the RunTest.aspx page on instances of Internet Explorer 6, Internet Explorer 7, Internet Explorer 8, Internet Explorer 9, FireFox, Chrome, Opera, Google, and Safari. Now that we have the JavaScript Test Server setup, we can run all of our QUnit tests against all of the browsers which we need to support with a single click of a button. A New Release of the Ajax Control Toolkit Each Month The Ajax Control Toolkit Issue Tracker contains over one thousand five hundred open issues and feature requests. So we have plenty of work on our plates J At CodePlex, anyone can vote for an issue to be fixed. Originally, we planned to fix issues in order of their votes. However, we quickly discovered that this approach was inefficient. Constantly switching back and forth between different controls was too time-consuming. It takes time to re-familiarize yourself with a control. Instead, we decided to focus on two or three controls each month and really focus on fixing the issues with those controls. This way, we can fix sets of related issues and avoid the randomization caused by context switching. Our team works in monthly sprints. We plan to do another release of the Ajax Control Toolkit each and every month. So far, we have competed one release of the Ajax Control Toolkit which was released on April 1, 2011. We plan to release a new version in early May. Conclusion Fortunately, I work with a team of smart developers. We currently have 5 developers working on the Ajax Control Toolkit (not full-time, they are also building two very cool ASP.NET MVC applications). All the developers who work on our team are required to have strong JavaScript, jQuery, and ASP.NET MVC skills. In the interest of being as transparent as possible about our work on the Ajax Control Toolkit, I plan to blog frequently about our team’s ongoing work. In my next blog entry, I plan to write about the two Ajax Control Toolkit controls which are the focus of our work for next release.

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  • LINQ to SQL and missing Many to Many EntityRefs

    - by Rick Strahl
    Ran into an odd behavior today with a many to many mapping of one of my tables in LINQ to SQL. Many to many mappings aren’t transparent in LINQ to SQL and it maps the link table the same way the SQL schema has it when creating one. In other words LINQ to SQL isn’t smart about many to many mappings and just treats it like the 3 underlying tables that make up the many to many relationship. Iain Galloway has a nice blog entry about Many to Many relationships in LINQ to SQL. I can live with that – it’s not really difficult to deal with this arrangement once mapped, especially when reading data back. Writing is a little more difficult as you do have to insert into two entities for new records, but nothing that can’t be handled in a small business object method with a few lines of code. When I created a database I’ve been using to experiment around with various different OR/Ms recently I found that for some reason LINQ to SQL was completely failing to map even to the linking table. As it turns out there’s a good reason why it fails, can you spot it below? (read on :-}) Here is the original database layout: There’s an items table, a category table and a link table that holds only the foreign keys to the Items and Category tables for a typical M->M relationship. When these three tables are imported into the model the *look* correct – I do get the relationships added (after modifying the entity names to strip the prefix): The relationship looks perfectly fine, both in the designer as well as in the XML document: <Table Name="dbo.wws_Item_Categories" Member="ItemCategories"> <Type Name="ItemCategory"> <Column Name="ItemId" Type="System.Guid" DbType="uniqueidentifier NOT NULL" CanBeNull="false" /> <Column Name="CategoryId" Type="System.Guid" DbType="uniqueidentifier NOT NULL" CanBeNull="false" /> <Association Name="ItemCategory_Category" Member="Categories" ThisKey="CategoryId" OtherKey="Id" Type="Category" /> <Association Name="Item_ItemCategory" Member="Item" ThisKey="ItemId" OtherKey="Id" Type="Item" IsForeignKey="true" /> </Type> </Table> <Table Name="dbo.wws_Categories" Member="Categories"> <Type Name="Category"> <Column Name="Id" Type="System.Guid" DbType="UniqueIdentifier NOT NULL" IsPrimaryKey="true" IsDbGenerated="true" CanBeNull="false" /> <Column Name="ParentId" Type="System.Guid" DbType="UniqueIdentifier" CanBeNull="true" /> <Column Name="CategoryName" Type="System.String" DbType="NVarChar(150)" CanBeNull="true" /> <Column Name="CategoryDescription" Type="System.String" DbType="NVarChar(MAX)" CanBeNull="true" /> <Column Name="tstamp" AccessModifier="Internal" Type="System.Data.Linq.Binary" DbType="rowversion" CanBeNull="true" IsVersion="true" /> <Association Name="ItemCategory_Category" Member="ItemCategory" ThisKey="Id" OtherKey="CategoryId" Type="ItemCategory" IsForeignKey="true" /> </Type> </Table> However when looking at the code generated these navigation properties (also on Item) are completely missing: [global::System.Data.Linq.Mapping.TableAttribute(Name="dbo.wws_Item_Categories")] [global::System.Runtime.Serialization.DataContractAttribute()] public partial class ItemCategory : Westwind.BusinessFramework.EntityBase { private System.Guid _ItemId; private System.Guid _CategoryId; public ItemCategory() { } [global::System.Data.Linq.Mapping.ColumnAttribute(Storage="_ItemId", DbType="uniqueidentifier NOT NULL")] [global::System.Runtime.Serialization.DataMemberAttribute(Order=1)] public System.Guid ItemId { get { return this._ItemId; } set { if ((this._ItemId != value)) { this._ItemId = value; } } } [global::System.Data.Linq.Mapping.ColumnAttribute(Storage="_CategoryId", DbType="uniqueidentifier NOT NULL")] [global::System.Runtime.Serialization.DataMemberAttribute(Order=2)] public System.Guid CategoryId { get { return this._CategoryId; } set { if ((this._CategoryId != value)) { this._CategoryId = value; } } } } Notice that the Item and Category association properties which should be EntityRef properties are completely missing. They’re there in the model, but the generated code – not so much. So what’s the problem here? The problem – it appears – is that LINQ to SQL requires primary keys on all entities it tracks. In order to support tracking – even of the link table entity – the link table requires a primary key. Real obvious ain’t it, especially since the designer happily lets you import the table and even shows the relationship and implicitly the related properties. Adding an Id field as a Pk to the database and then importing results in this model layout: which properly generates the Item and Category properties into the link entity. It’s ironic that LINQ to SQL *requires* the PK in the middle – the Entity Framework requires that a link table have *only* the two foreign key fields in a table in order to recognize a many to many relation. EF actually handles the M->M relation directly without the intermediate link entity unlike LINQ to SQL. [updated from comments – 12/24/2009] Another approach is to set up both ItemId and CategoryId in the database which shows up in LINQ to SQL like this: This also work in creating the Category and Item fields in the ItemCategory entity. Ultimately this is probably the best approach as it also guarantees uniqueness of the keys and so helps in database integrity. It took me a while to figure out WTF was going on here – lulled by the designer to think that the properties should be when they were not. It’s actually a well documented feature of L2S that each entity in the model requires a Pk but of course that’s easy to miss when the model viewer shows it to you and even the underlying XML model shows the Associations properly. This is one of the issue with L2S of course – you have to play by its rules and once you hit one of those rules there’s no way around them – you’re stuck with what it requires which in this case meant changing the database.© Rick Strahl, West Wind Technologies, 2005-2010Posted in ADO.NET  LINQ  

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  • Parallelism in .NET – Part 5, Partitioning of Work

    - by Reed
    When parallelizing any routine, we start by decomposing the problem.  Once the problem is understood, we need to break our work into separate tasks, so each task can be run on a different processing element.  This process is called partitioning. Partitioning our tasks is a challenging feat.  There are opposing forces at work here: too many partitions adds overhead, too few partitions leaves processors idle.  Trying to work the perfect balance between the two extremes is the goal for which we should aim.  Luckily, the Task Parallel Library automatically handles much of this process.  However, there are situations where the default partitioning may not be appropriate, and knowledge of our routines may allow us to guide the framework to making better decisions. First off, I’d like to say that this is a more advanced topic.  It is perfectly acceptable to use the parallel constructs in the framework without considering the partitioning taking place.  The default behavior in the Task Parallel Library is very well-behaved, even for unusual work loads, and should rarely be adjusted.  I have found few situations where the default partitioning behavior in the TPL is not as good or better than my own hand-written partitioning routines, and recommend using the defaults unless there is a strong, measured, and profiled reason to avoid using them.  However, understanding partitioning, and how the TPL partitions your data, helps in understanding the proper usage of the TPL. I indirectly mentioned partitioning while discussing aggregation.  Typically, our systems will have a limited number of Processing Elements (PE), which is the terminology used for hardware capable of processing a stream of instructions.  For example, in a standard Intel i7 system, there are four processor cores, each of which has two potential hardware threads due to Hyperthreading.  This gives us a total of 8 PEs – theoretically, we can have up to eight operations occurring concurrently within our system. In order to fully exploit this power, we need to partition our work into Tasks.  A task is a simple set of instructions that can be run on a PE.  Ideally, we want to have at least one task per PE in the system, since fewer tasks means that some of our processing power will be sitting idle.  A naive implementation would be to just take our data, and partition it with one element in our collection being treated as one task.  When we loop through our collection in parallel, using this approach, we’d just process one item at a time, then reuse that thread to process the next, etc.  There’s a flaw in this approach, however.  It will tend to be slower than necessary, often slower than processing the data serially. The problem is that there is overhead associated with each task.  When we take a simple foreach loop body and implement it using the TPL, we add overhead.  First, we change the body from a simple statement to a delegate, which must be invoked.  In order to invoke the delegate on a separate thread, the delegate gets added to the ThreadPool’s current work queue, and the ThreadPool must pull this off the queue, assign it to a free thread, then execute it.  If our collection had one million elements, the overhead of trying to spawn one million tasks would destroy our performance. The answer, here, is to partition our collection into groups, and have each group of elements treated as a single task.  By adding a partitioning step, we can break our total work into small enough tasks to keep our processors busy, but large enough tasks to avoid overburdening the ThreadPool.  There are two clear, opposing goals here: Always try to keep each processor working, but also try to keep the individual partitions as large as possible. When using Parallel.For, the partitioning is always handled automatically.  At first, partitioning here seems simple.  A naive implementation would merely split the total element count up by the number of PEs in the system, and assign a chunk of data to each processor.  Many hand-written partitioning schemes work in this exactly manner.  This perfectly balanced, static partitioning scheme works very well if the amount of work is constant for each element.  However, this is rarely the case.  Often, the length of time required to process an element grows as we progress through the collection, especially if we’re doing numerical computations.  In this case, the first PEs will finish early, and sit idle waiting on the last chunks to finish.  Sometimes, work can decrease as we progress, since previous computations may be used to speed up later computations.  In this situation, the first chunks will be working far longer than the last chunks.  In order to balance the workload, many implementations create many small chunks, and reuse threads.  This adds overhead, but does provide better load balancing, which in turn improves performance. The Task Parallel Library handles this more elaborately.  Chunks are determined at runtime, and start small.  They grow slowly over time, getting larger and larger.  This tends to lead to a near optimum load balancing, even in odd cases such as increasing or decreasing workloads.  Parallel.ForEach is a bit more complicated, however. When working with a generic IEnumerable<T>, the number of items required for processing is not known in advance, and must be discovered at runtime.  In addition, since we don’t have direct access to each element, the scheduler must enumerate the collection to process it.  Since IEnumerable<T> is not thread safe, it must lock on elements as it enumerates, create temporary collections for each chunk to process, and schedule this out.  By default, it uses a partitioning method similar to the one described above.  We can see this directly by looking at the Visual Partitioning sample shipped by the Task Parallel Library team, and available as part of the Samples for Parallel Programming.  When we run the sample, with four cores and the default, Load Balancing partitioning scheme, we see this: The colored bands represent each processing core.  You can see that, when we started (at the top), we begin with very small bands of color.  As the routine progresses through the Parallel.ForEach, the chunks get larger and larger (seen by larger and larger stripes). Most of the time, this is fantastic behavior, and most likely will out perform any custom written partitioning.  However, if your routine is not scaling well, it may be due to a failure in the default partitioning to handle your specific case.  With prior knowledge about your work, it may be possible to partition data more meaningfully than the default Partitioner. There is the option to use an overload of Parallel.ForEach which takes a Partitioner<T> instance.  The Partitioner<T> class is an abstract class which allows for both static and dynamic partitioning.  By overriding Partitioner<T>.SupportsDynamicPartitions, you can specify whether a dynamic approach is available.  If not, your custom Partitioner<T> subclass would override GetPartitions(int), which returns a list of IEnumerator<T> instances.  These are then used by the Parallel class to split work up amongst processors.  When dynamic partitioning is available, GetDynamicPartitions() is used, which returns an IEnumerable<T> for each partition.  If you do decide to implement your own Partitioner<T>, keep in mind the goals and tradeoffs of different partitioning strategies, and design appropriately. The Samples for Parallel Programming project includes a ChunkPartitioner class in the ParallelExtensionsExtras project.  This provides example code for implementing your own, custom allocation strategies, including a static allocator of a given chunk size.  Although implementing your own Partitioner<T> is possible, as I mentioned above, this is rarely required or useful in practice.  The default behavior of the TPL is very good, often better than any hand written partitioning strategy.

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