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  • virtual web folder served by PHP script

    - by Martin
    I am trying to configure my apache to be able to display (virtual) pages like: mywebpage.com/something1 mywebpage.com/something2 mywebpage.com/folder/something3 I would like these "somethingX" and "folder" folders to be only virtual, not physical directories. For a start it would be great to send all requests to mywebpage to one PHP script which will somehow receive the original path information (there is some SERVER array as far as I know) and call necessary PHP functions (so far I use addresses like mywebpage.com/index.php?page=blabla&otherparameters=values...). Is that possible? I am struggling with different combination, currently I am with following file in /etc/apache2/conf.d/something.conf (not working of course). What is the correct way to proceed? Thanks. <Location /myweb> SetHandler my-handler Action my-handler /srv/www/htdocs/myweb/product.php virtual </Location> My pages are in /srv/www/htdocs/myweb. I tried with Location, with Directory, with Action and SetHandler, with AddHandler... ;-) Some configurations were ignored, some caused "object not found" with nothing relevant in error log.

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  • Strange File-Server I/O Spikes - What Is Causing This?

    - by CruftRemover
    I am currently having a problem with a small Linux server that is providing file-sharing services to four Windows 7 32-bit clients. The server is an AMD PhenomX3 with two Western Digital 10EADS (1TB) drives, attached to a Gigabyte GA-MA770T-UD3 mainboard and running Ubuntu Server 10.04.1 LTS. The client machines are taking an extremely long time to access/transfer data on the file server. Applications often become non-responsive while trying to open files located remotely, or one program attempting to open a file but having to wait will prevent other software from accessing network resources at all. Other examples include one image taking 20 seconds or more to open, and in one instance a user waited 110 seconds for Microsoft Word 2007 to save a document. I had initially thought the problem was network-related, but this appears not to be the case. All cables and switches have been tested (one cable was replaced) for verification. This was additionally confirmed when closing down all client machines and rebooting the server resulted in the hard-drive light staying on solid during the startup process. For the first 15 minutes during boot, logon and after logging on (with no client machines attached), the system displayed a load average of 4 or higher. Symptoms included waiting several minutes for the logon prompt to appear, and then several minutes for the password prompt to appear after typing in a user name. After logon, it also took upwards of 45 seconds for the 'smartctl' man page to appear after the command 'man smartctl' was issued. After 15 minutes of this behaviour, the load average dropped to around 0.02 and the machine behaved normally. I have also considered that the problem is hard-drive-related, however diagnostic programs reveal no drive problems. Western Digital DLG, Spinrite and SMARTUDM show no abnormal characteristics - the drives are in perfect health as far as the hardware is concerned. I have thus far been completely unable to track down the cause of this problem, so any help is greatly appreciated. Requested Information: Output of 'free' hxxp://pastebin.com/mfsJS8HS (stupid spam filter) The command 'hdparm -d /dev/sda1' reports: HDIO_GET_DMA failed: Inappropriate ioctl for device (the BIOS is set to AHCI - I probably should have mentioned that).

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  • Windows 7 scheduled task returns 0x2

    - by demmith
    I have identical scheduled tasks running in Windows XP Pro and Windows 7. The XP Pro one runs fine, the Windows 7 one always returns 0x2 (which means, "The system cannot find the file specified"; however, executing from the command line is no problem) in the Last Run Result column of the Task Scheduler UI. The scheduled task executes a .bat file daily. The .bat file contains a call to execute a Perl script. As I stated in the previous paragraph, it executes under XP without any trouble but under Windows 7, no dice. The task under Windows 7 is set to "run whether the user is logged on or not." In this case it is me, I am the only user of the system. It is also set to "Run with highest privileges." And it is not hidden. The .bat file executes perfectly well from the command line - it calls the Perl script as expected and the Perl script does its thing. I have searched far and wide looking for an appropriate answer to this issue. So far I have found nothing. What the devil is going on with this Win7 scheduled task? I am ready to pull my hair out.

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  • Is there a way to do a sector level copy/clone from one hard drive to another?

    - by irrational John
    Without going into distracting details, I'm attempting to duplicate the contents of the 500GB drive in my MacBook to another 500GB drive. But this is turning out to be an unexpected hassle because the drive contains both the OS X partition and an NTFS partition with Win 7 via Apple's Boot Camp. With the exception of Clonezilla, the tools I have looked at so far all have some limitation. The Mac tools don't want to deal with the NTFS partition. The Windows tools are totally clueless about either the HFS+ partition and/or the hybrid MBR/GPT Boot Camp partitioning. Clonezilla looked like it would do what I want but apparently I can't figure out how to use it. After doing what I thought was a sector to sector copy I found that only the NTFS partition had been migrated. The others were apparently empty. (And frankly, I'm not positive Clonezilla migrated the partition table correctly either). Note: It takes over 2 hours using SATA to read/write all sectors with these drives. So I'm not up for using trial & error to narrow in on the right combination of Clonezilla options to use. I'm beginning to think that maybe the answer is to boot Linux (probably Ubuntu) and then use some ancient BSD command. Trouble is I don't know what command (or parameters to use) in order to do a sector level copy from one drive to another. As far as I know the drives have the same number of sectors so this should be trivial. Sigh.

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  • Library conflict in Mac OS X

    - by Juan Medín
    I was trying to install the ImageMagick library on Mac OS X Snow Leopard, and first I tried port and, after it failed, homebrew. It updated some dependencies and installed ImageMagick without problems. So far so good. The problem came when I ran Apache. I got the following error in the system log: 07/04/11 12:55:15 org.apache.httpd[41841] httpd: Syntax error on line 115 of /private/etc/apache2/httpd.conf: Cannot load /opt/local/apache2/modules/libphp5.so into server: dlopen(/opt/local/apache2/modules/libphp5.so, 10): Library not loaded: /opt/local/lib/libpng12.0.dylib\n Referenced from: /opt/local/apache2/modules/libphp5.so\n Reason: image not found I checked the /opt/local/lib and surprise! I don't have the libpng12.0 but the libpng14.0. So, as far as I can tell, something went wrong installing the ImageMagick library. Now, I can't find a way to rollback to the previous libraries, other than copying them from the backup. Do you know if is there a way to recover the previous state or reinstall Apache? Or is this just a corrupt state and I must reinstall OS X?

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  • Coloring of collapsed threads in mutt

    - by Rich
    I'm trying to figure out the syntax of colouring collapsed threads in the mutt index. The documentation for mutt patterns doesn't seem to include a description of how this works, and so far I've been completely unable to figure it out by trial and error. What I'd like is for collapsed threads that contain any unread (new) messages to be always coloured green. If collapsed threads with no unread messages contain any flagged messages, then I'd like them to be red. So far, every set of patterns I've tried results in threads that contain both flagged and unread messages being coloured red (I want them green). These work: color index green default "~N" # unread messages color index green default "~N~F" # unread flagged messages color index red default "~F" # flagged messages color index green default "~v~(~N)" # collapsed thread with unread But these don't: color index green default "~v~(~N~F)" # attempt to keep threads with unread green color index red default "~v~(~F)" # colours collapsed threads with flagged and unread red color index red default "~v~(!~N~F)" # ditto color index red default "~v~(^!~N~F)" # ditto color index red default "~v~(~F)~(!~N)" # ditto color index red default "~v~(~F)~v~(!~N)" # ditto I've also tried switching the order of the "~v~(~F)" and "~v~(~N)" commands in the file, but the "flagged" rule always seems to take precedence over the "new" rule. Ideally I'd like to understand how the syntax for colouring collapsed threads works, but at this point I'd happily settle for a set of rules that achieves the colourscheme described above.

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  • How to export and import an user profile from one Quassel core to another?

    - by Zertrin
    I have been using Quassel as my bouncer for IRC for quite a long time now. We (a group of administrators of a small network) have set up a shared Quassel core with many users on the same core. But now I would like to export everything related to my user account from the Quassel database on this core, in order to re-import it later in another Quassel core on my own server. Unfortunately, while a feature for adding users has been implemented into Quassel, nothing is so far provided for either exporting or deleting an user. (if deleting-a-user feature was available, I could have made a copy of the current database, delete all the other users leaving only mine, and use this resulting database on my own server, while leaving the first one untouched on the shared server) Despite extensive research on the Internet on this subject, I've found so far no solution. I have to precise that the backend database for the core has been migrated from the default SQLite backend to a PosgreSQL backend as the database grew sensibly (over 1,5 GB for now). However I'd be glad to hear from any working solution (SQLite or PostgreSQL backend) describing a way to export the data related to a specific user profile and then re-import-it in a new Quasselcore database.

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  • Can anyone help me make my reverse proxy actually cache?

    - by Lenary
    Hi folks, I'm trying to configure a Reverse Caching Proxy but so far have had no luck. I would preferrably like to use apache (that will be all it will be used for), but am open to solutions using other software that can also run on Mac OS X 10.6 (I have also tried using Varnish and Squid, but with no more luck). We're running a system with about 80 mac mini clients that will be requesting lots of video from a server. To reduce load, we thought we could use Apache (which comes on the macs by default) to cache this video forever (or at least as long as possible) onto the macs' disks. I have managed to get a reverse proxy set up with apache using ProxyPass etc, but when i tried to add CacheEnable disk / to the configuration, nothing happened (i do have mod_disk_cache included). Can anyone help with my issue? The apache config file is here Thanks in advance Edit: So far I have been testing it with smaller text files, and it hasn't been caching properly. This suggests it is nothing to do with us actually downloading video, but actually to do with the cache configuration.

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  • Server 2008 R2 boot is at 2 hours and counting. What now?

    - by Jesse
    This morning, we rebooted our Server 2008 R2 box. No problem, came right back up. Then we shut it down and let it install windows updates. While it was off, we added some RAM. Then we turned it back on. The system came right back up to the "press ctrl-alt-delete" screen, so far, so good. I logged in. The system got as far as "Applying Group Policy" -- then spent almost an hour applying drive mappings. Finally finished that, and has now spent 30 minutes on waiting for the Event Notification Service. I still haven't been able to log in. Remote desktop service doesn't appear to be running yet. I tried viewing the event log from another machine. I see that the box is writing to the Security log, but there are no events in System or Application in the last 45 minutes. Digging through the System log of events from 45 minutes ago, I see a bunch of timeouts: A timeout (30000 milliseconds) was reached while waiting for a transaction response from the ShellHWDetection service. [lots of these] A timeout (30000 milliseconds) was reached while waiting for a transaction response from the wuauserv service. A timeout (30000 milliseconds) was reached while waiting for a transaction response from the SessionEnv service. A timeout (30000 milliseconds) was reached while waiting for a transaction response from the Schedule service. A timeout (30000 milliseconds) was reached while waiting for a transaction response from the CertPropSvc service. What can I do? Should I try shutting it down remotely, or will that do more damage?

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  • Setting up logging for a remote backup script

    - by Brian Dainis
    So I wrote up a short script that I am planning to run via a cron job daily to package up my site files and send them to a remote location. I also plan to incorporate DB dumps, but I have not gotten that far yet. My issue today however is that Im am uncertain how to log the output of each command for errors, warnings, or other pertinent information the command may output. I would also like to install sometype of fail safe so if something goes horribly wrong the script will stop dead in its tracks and notify me via email or something. Ok the email thing is not as critical, but would be nice. Does anybody have any ideas for that? Here is what I have so far. By the way, both servers are CentOS 6.2 running standard LAMP. #!/bin/sh ################################# ### Set Vars ################################# THEDATE=`date +%m%d%y%H%M` ################################# ### Create Archives ################################# tar -cf /root/backups/files/server_BAK_${THEDATE}.tar -C / var/www/vhosts gzip /root/backups/files/server_BAK_${THEDATE}.tar ################################# ### Send Data to Remote Server ################################# scp /root/backups/files/server_BAK_${THEDATE}.tar.gz user@host:/home/bak1/ftp/backups/ ################################# ### Remove Data from this Server ################################# rm -rf /root/backups/files/server_BAK_${THEDATE}.tar.gz

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  • Window too big to fit the screen!

    - by syockit
    I'm using Windows 7 on a 8.9' monitor with 1280x768 screen resolution. Using the might of arithmetics, I'm able to determine that my dpi (actually ppi) should be 167. Win7 is really helpful in that it doesn't have to restart to apply new dpi settings, unlike its predecessors (though I'd rather it applies straight away). The problem with small monitors in Windows is that when you come across windows too big to fit the screen, you can't move the title bar far above it. In X window managers I used in the past, you could alt-drag the window to anywhere you want, but in Windows, even if you alt-space and select move, it will automatically push the window back until the title bar is visible. I'm looking for a solution that either: allows me to move window freely without regard to titlebar visibility, or attach a scrollbar to existing window, or EDIT: create virtual desktops that allow me to span windows over 2 desktops, or EDIT 2: allow me to set larger virtual resolution, then pan & scan. EDIT 3: I found some progs that might do some of the above: 1) AltDrag allows me to drag, resize using alt and left/right mouse button. Neat! Best solution so far. 2) GiMeSpace Desktop Extender is supposed to allow me to scroll desktop. Didn't work. The other new version, GiMeSpace Ultimate Taskbar worked, but it destroys my Superbar, replacing it with its map.

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  • maximum size filesystem on my test .... approach?

    - by jocco
    Hello all I'm new at the site, and I have a question. I got this question at a test and really like to know the correct approach to solving this problem? Here is the question. In an indexed filesystem the first indexblock (inode) has 12 direct pointers and 1 pointer to an indirect indexblock. The filesystem is implemented on a disk with a diskblock-size of 1024 bytes. All pointers are 32 bit. Question: what is the maximum filesize (Kilobytes) of this filesystem? If it's possible not an just an answer but an explanation. edit: It was a multiple choice btw with 4 answers a. 13 K b. 268 K c. 524 K d. 1036 K As for my approach I only got as far as to know that 1 pointer is 32 bit Also I found something else here on the site which seems very usefull. http://stackoverflow.com/questions/2755006/understanding-the-concept-of-inodes Ok i got this far There are 12 blocks and each block is 1024 bytes. 1024 * 12 = 12288 bytes or 12 KB directly accessible. Please correct me if I'm wrong. Each pointer is 32 Bit = 4Byte And to be honest at this point I'm starting to get confused especially since my answer is way over any of my multiple choice answers.

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  • locale: What is the LANGUAGE variable used for? (and when?)

    - by seya
    I am trying to understand the locales used in Linux. On my Ubuntu 11.10 system locale puts out the following: LANG=en_DK.UTF-8 LANGUAGE=en_GB:en LC_CTYPE=en_GB.UTF-8 LC_NUMERIC="en_DK.UTF-8" LC_TIME="en_DK.UTF-8" LC_COLLATE=en_GB.UTF-8 LC_MONETARY="en_DK.UTF-8" LC_MESSAGES=en_GB.UTF-8 LC_PAPER="en_DK.UTF-8" LC_NAME="en_DK.UTF-8" LC_ADDRESS="en_DK.UTF-8" LC_TELEPHONE="en_DK.UTF-8" LC_MEASUREMENT="en_DK.UTF-8" LC_IDENTIFICATION="en_DK.UTF-8" LC_ALL= (en_dk is for using international day format, continental European number formatting (1.234,56) etc.) I think I understand what the LC_* family does, that LANG is the fallback if one of them is not set and that LC_ALL sets all of the LC_* variables to its value. What I don't know yet, is what LANGUAGE is used for. The notation en_GB:en reminds me of the Accept-Language HTTP header. With the settings above it would mean, British English is used, if a translation for it exists. Otherwise any existing English translation (en_US, en_AU, ..., whatever) would be used. Am I right so far? Also what programs actually obey the LANGUAGE setting? In how far is it different from LC_MESSAGES? Unfortunately, man locale only documents the LC_* family. And searching the web for 'linux locale LANGUAGE' or similar is a mute point. (Of course language is a word often used when talking about locales, and it may also be shown just in the output of locale without being discussed). Does anybody of you can help me out there?

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  • Allied Telesis router: IP filtering for the LOCAL interface

    - by syneticon-dj
    Given an Allied Telesis router with an AlliedWare OS (2.9.1) I would like to disable access to all management services of the router except for a number of subnets (or alternatively have what is a "management VLAN" with other manufacturers' switch and router models). What I have tried so far: creating a new VLAN and an appropriate IP interface, setting the LOCAL IP into this subnet, creating an IP filter for the IP interface and specifying my exclusion subnets: it simply does not work as intended as I can access the LOCAL IP set from any of the other VLAN interfaces - the traffic is apparently not going through my defined filter set at all creating a new IP filter set and binding it to the LOCAL IP interface: this seems not to affect any kind of traffic at all, the counters for the filter set remain at zero packets setting the Remote Security Officer Level IP address range: this only restricts the ability for a user with the Security Officer privilege level to log in from any but the specified address ranges / subnets. Unfortunately, it does not prevent service availability (and thus DoS capacity) or the ability to log in as a less privileged user (e.g. a "manager") calling technical support: unfortunately no solution so far What I have not tried: creating a filter set for each and every IP interface defined on the router and excluding access to the router's management IP: I would like to reduce the overhead induced by IP filters as the router already is CPU-constrained at times. Setting up filters for every IP interface would mean that each and every traffic packet would have to pass the filters, thus consuming CPU cycles. If by any means possible, I would like to find a different solution.

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  • How To Completely Move Users/Program Files/Program Files (x86)/ProgramData (Folders) To Another Partition(s) On Windows 8?

    - by Enigma83
    I am attempting to move folders Users Program Files Program Files (x86), ProgramData (at the root of the C drive) to at least 2 other partitions, preferably on a fresh install. I have read that there are methods for doing this post-install, but it seems like it would be a bit more tedious to do things that way. I want to move the 2 Program Files folders to another partition on the same HDD, and Users/ProgramData will go to yet another partition on same HDD. I have done a bit of research on this, read up on some things that involved booting into Audit Mode, using the RoboCopy command to copy folders via booting into my Windows 8 USB drive, creating NTFS junctions/symbolic links, Registry edits, as well as accomplishing this automatically by creating an auto-attend file which Windows Setup processes automatically before the user is ever booted in for the 1st time. I tried this morning and now have a basic installation in which programs like Internet Explorer fail to open, certain files can't be found/opened (even if I click on them directly), an example is Regedit. Also, I can't run the Command/DOS (CMD) prompt as Administrator (or otherwise, as any other user), can't activate the real Administrator account or open any of the Administrative Tools (despite having added them to my Start Screen). So far I have only tried RoboCopy-ing Program Files and Program Files (x86) so far, creating junction points for them, and editing the Registry in the relevant locations. This is what I'm left with now. I also found the following blog article which describes how to do this for Windows 7 So, where should I go from here and where can I find more information? And how can this be done without disabling the Metro apps, which I've read will stop working if you move ProgramData. Once I have everything moved, where do I install programs to? Do I tell them to install to C:\Program Files\Program Files (x86) or to the junctioned/symbolic-linked partition/drive? I plan to test in VMware virtual machines from here on until things are working correctly, while using a baseline default install for daily tasks.

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  • Windows XP VM on VMWare ESXi 4.1 "pausing" / blocked occasionally

    - by FelixD
    We have an issue with Windows XP SP3 VMs on VMWare ESXi 4.1.0 (the free version): They sometimes seem to "pause" for several minutes. This happens rarely (maybe once a month per VM, at least noticed only that often), but still is an issue for us. It happens for three different but similar VMs on three pretty different hosts (different hardware). I have the feeling that the "pausing" is not actually the CPU blocking, but probably the harddisks, but not 100% sure. The servers have one IDE disk (C:) and one SCSI (D:) and it might be either of the two. I have seen scheduled tasks simply not starting for up to 9 minutes and then running normally again with normal speed. They were totally blocked. This is not a load issue, the VMWare hosts have average load and the VMs in question already have reserved CPU resources plus high priorities for CPU and disk. The Windows boxes run mainly MySQL, Tomcat, FileZilla server, Cygwin stuff, Java + R applications, VMWare client, Elusiva Terminal Server pro, Nagios client. Not sure if this might be related with any of that software (e.g. Elusiva). Trying to debug this, there was nothing visible in Windows Event log, other logs in C:\Windows, VMWare events etc. Unfortunately the vmware.log file ends with "Log throttled". We found that we ran into 2 VMWare bugs there: The VMWare client writes lots on bogus messages in the vmware.log, which we now disabled (log level error setting) plus the bug that VMWare does not unthrottle the log (at least so far despite VM reboots). I know there is not much guidance and that may also be the reason why I so far didn't find anything related on the web or on ServerFault, but maybe some of this rings a bell with someone? Or please direct me to what more info to post. I hope that the vmware.logs get unthrottled eventually (can't easily restart the hosts at the moment). Thanks for any input!

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  • Locate devices within a building

    - by ams0
    The situation: Our company is spread between two floors in a building. Every employee has a laptop (macbook Air or MacbookPro) and an iPhone. We have static DHCP mappings and DNS resolution so every mobile gets a name like employeeiphone.example.com, every macbook air gets a employeelaptop.example.com and every macbook pro gets a employeelaptop.example.com on the Ethernet interface (the wifi gets a dynamic IP from a small range dedicated for the purpose). We know each and every MAC address of phones and laptops, since we do DHCP static mapping (ISC DHCP server runs on linux). At each floor we have a Netgear stack of two switches, connected via 10GB fiber to each other. No VLANs so far. At every floor there are 4 Airport Extreme making a single SSID network with WPA2 authentication. The request: Our CTO wants to know who is present at which floor. My solution (so far): Every switch contains an table listing MAC address and originating port. On each switch stack, all the MAC addresses coming from the other floor are listed as coming on port 48 (the fiber link). So I came up with: 1) Get the table from each switch via SNMP 2) Filter out the ones associated with port 48 3) Grep dhcpd.conf, removing all entries not *laptop and not *iphone 4) Match the two lists for each switch, output in JSON or XML 5) present the results on a dashboard for all to see I wrote it in bash with a lot of awk and sed, it kinda works but I always have for some reason stale entries in the switch lookup tables, making it unreliable; some people may have put their laptop to sleep, their iphones drop connections after a while, if not woken up and so on..I searched left and right, we are prepared to spend a little on the project too (RFIDs?), does anybody do something similar? I can provide with the script if needed (although it's really specific to our switches and naming scheme). Thanks! p.s. perhaps is this a question for stackoverflow? please move if it so.

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  • Connect from Mac OS X to Windows 7 Desktop

    - by jrn
    I am trying to connect from my MacBook to my Windows 7 machine within my own network - if it will work from outside my network that's a plus but no need to have. My Windows 7 machine is freshly installed with Windows 7 Home Premium. It runs the built-in firewall with no settings changed so far as well as Microsoft Security Essentials. So far I tried CoRD and Microsofts Remote Desktop Connections to connect from my Mac to my Windows machine without any success. I did try and disabled the firewall on my Windows machine but could not connect either. The reason I did this was to check wether there is a Windows firewall setting preventing me from connecting. On top of that I manually started the Remote Desktop Services and Remote Desktop Configuration within services.msc. Is there anything else I have to enable for a remote desktop connection? Could there be any router setting I have to tweak? Since I do not want to connect from outside my own network I thought I don't have to do any port forwarding. The error messages I retrieve are all connection timeouts. I can however ping the hostname and/or IP address. Any help would be greatly appreciated. Thanks a lot, jrn

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  • How do you get linux to honor setuid directories?

    - by Takigama
    Some time ago while in a conversation in IRC, one user in a channel I was in suggested someone setuid a directory in order for it to inherit the userid on files to solve a problem someone else was having. At the time I spoke up and said "linux doesn't support setuid directories". After that, the person giving the advice showed me a pastebin (http://codepad.org/4In62f13) of his system honouring the setuid permission set on a directory. Just to explain, when i say "linux doesnt support setuid directories" what I mean is that you can go "chmod u+s directory" and it will set the bit on the directory. However, linux (as i understood it) ignores this bit (on directories). Try as I might, I just cant quite replicate that pastebin. Someone suggested to me once that it might be possible to emulate the behaviour with selinux - and playing around with rules, its possible to force a uid on a file, but not from a setuid directory permission (that I can see). Reading around on the internet has been fairly uninformative - most places claim "no, setuid on directories does not work with linux" with the occasional "it can be done under specific circumstances" (such as this: http://arstechnica.com/etc/linux/2003/linux.ars-12032003.html) I dont remember who the original person was, but the original system was a debian 6 system, and the filesystem it was running was xfs mounted with "default,acl". I've tried replicating that, but no luck so far (tried so far with various versions of debian, ubuntu, fedora and centos) Can anyone clue me in on what or how you get a system to honor setuid on a directory?

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  • Am I just not understanding TDD unit testing (Asp.Net MVC project)?

    - by KallDrexx
    I am trying to figure out how to correctly and efficiently unit test my Asp.net MVC project. When I started on this project I bought the Pro ASP.Net MVC, and with that book I learned about TDD and unit testing. After seeing the examples, and the fact that I work as a software engineer in QA in my current company, I was amazed at how awesome TDD seemed to be. So I started working on my project and went gun-ho writing unit tests for my database layer, business layer, and controllers. Everything got a unit test prior to implementation. At first I thought it was awesome, but then things started to go downhill. Here are the issues I started encountering: I ended up writing application code in order to make it possible for unit tests to be performed. I don't mean this in a good way as in my code was broken and I had to fix it so the unit test pass. I mean that abstracting out the database to a mock database is impossible due to the use of linq for data retrieval (using the generic repository pattern). The reason is that with linq-sql or linq-entities you can do joins just by doing: var objs = select p from _container.Projects select p.Objects; However, if you mock the database layer out, in order to have that linq pass the unit test you must change the linq to be var objs = select p from _container.Projects join o in _container.Objects on o.ProjectId equals p.Id select o; Not only does this mean you are changing your application logic just so you can unit test it, but you are making your code less efficient for the sole purpose of testability, and getting rid of a lot of advantages using an ORM has in the first place. Furthermore, since a lot of the IDs for my models are database generated, I proved to have to write additional code to handle the non-database tests since IDs were never generated and I had to still handle those cases for the unit tests to pass, yet they would never occur in real scenarios. Thus I ended up throwing out my database unit testing. Writing unit tests for controllers was easy as long as I was returning views. However, the major part of my application (and the one that would benefit most from unit testing) is a complicated ajax web application. For various reasons I decided to change the app from returning views to returning JSON with the data I needed. After this occurred my unit tests became extremely painful to write, as I have not found any good way to write unit tests for non-trivial json. After pounding my head and wasting a ton of time trying to find a good way to unit test the JSON, I gave up and deleted all of my controller unit tests (all controller actions are focused on this part of the app so far). So finally I was left with testing the Service layer (BLL). Right now I am using EF4, however I had this issue with linq-sql as well. I chose to do the EF4 model-first approach because to me, it makes sense to do it that way (define my business objects and let the framework figure out how to translate it into the sql backend). This was fine at the beginning but now it is becoming cumbersome due to relationships. For example say I have Project, User, and Object entities. One Object must be associated to a project, and a project must be associated to a user. This is not only a database specific rule, these are my business rules as well. However, say I want to do a unit test that I am able to save an object (for a simple example). I now have to do the following code just to make sure the save worked: User usr = new User { Name = "Me" }; _userService.SaveUser(usr); Project prj = new Project { Name = "Test Project", Owner = usr }; _projectService.SaveProject(prj); Object obj = new Object { Name = "Test Object" }; _objectService.SaveObject(obj); // Perform verifications There are many issues with having to do all this just to perform one unit test. There are several issues with this. For starters, if I add a new dependency, such as all projects must belong to a category, I must go into EVERY single unit test that references a project, add code to save the category then add code to add the category to the project. This can be a HUGE effort down the road for a very simple business logic change, and yet almost none of the unit tests I will be modifying for this requirement are actually meant to test that feature/requirement. If I then add verifications to my SaveProject method, so that projects cannot be saved unless they have a name with at least 5 characters, I then have to go through every Object and Project unit test to make sure that the new requirement doesn't make any unrelated unit tests fail. If there is an issue in the UserService.SaveUser() method it will cause all project, and object unit tests to fail and it the cause won't be immediately noticeable without having to dig through the exceptions. Thus I have removed all service layer unit tests from my project. I could go on and on, but so far I have not seen any way for unit testing to actually help me and not get in my way. I can see specific cases where I can, and probably will, implement unit tests, such as making sure my data verification methods work correctly, but those cases are few and far between. Some of my issues can probably be mitigated but not without adding extra layers to my application, and thus making more points of failure just so I can unit test. Thus I have no unit tests left in my code. Luckily I heavily use source control so I can get them back if I need but I just don't see the point. Everywhere on the internet I see people talking about how great TDD unit tests are, and I'm not just talking about the fanatical people. The few people who dismiss TDD/Unit tests give bad arguments claiming they are more efficient debugging by hand through the IDE, or that their coding skills are amazing that they don't need it. I recognize that both of those arguments are utter bullocks, especially for a project that needs to be maintainable by multiple developers, but any valid rebuttals to TDD seem to be few and far between. So the point of this post is to ask, am I just not understanding how to use TDD and automatic unit tests?

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  • A way of doing real-world test-driven development (and some thoughts about it)

    - by Thomas Weller
    Lately, I exchanged some arguments with Derick Bailey about some details of the red-green-refactor cycle of the Test-driven development process. In short, the issue revolved around the fact that it’s not enough to have a test red or green, but it’s also important to have it red or green for the right reasons. While for me, it’s sufficient to initially have a NotImplementedException in place, Derick argues that this is not totally correct (see these two posts: Red/Green/Refactor, For The Right Reasons and Red For The Right Reason: Fail By Assertion, Not By Anything Else). And he’s right. But on the other hand, I had no idea how his insights could have any practical consequence for my own individual interpretation of the red-green-refactor cycle (which is not really red-green-refactor, at least not in its pure sense, see the rest of this article). This made me think deeply for some days now. In the end I found out that the ‘right reason’ changes in my understanding depending on what development phase I’m in. To make this clear (at least I hope it becomes clear…) I started to describe my way of working in some detail, and then something strange happened: The scope of the article slightly shifted from focusing ‘only’ on the ‘right reason’ issue to something more general, which you might describe as something like  'Doing real-world TDD in .NET , with massive use of third-party add-ins’. This is because I feel that there is a more general statement about Test-driven development to make:  It’s high time to speak about the ‘How’ of TDD, not always only the ‘Why’. Much has been said about this, and me myself also contributed to that (see here: TDD is not about testing, it's about how we develop software). But always justifying what you do is very unsatisfying in the long run, it is inherently defensive, and it costs time and effort that could be used for better and more important things. And frankly: I’m somewhat sick and tired of repeating time and again that the test-driven way of software development is highly preferable for many reasons - I don’t want to spent my time exclusively on stating the obvious… So, again, let’s say it clearly: TDD is programming, and programming is TDD. Other ways of programming (code-first, sometimes called cowboy-coding) are exceptional and need justification. – I know that there are many people out there who will disagree with this radical statement, and I also know that it’s not a description of the real world but more of a mission statement or something. But nevertheless I’m absolutely sure that in some years this statement will be nothing but a platitude. Side note: Some parts of this post read as if I were paid by Jetbrains (the manufacturer of the ReSharper add-in – R#), but I swear I’m not. Rather I think that Visual Studio is just not production-complete without it, and I wouldn’t even consider to do professional work without having this add-in installed... The three parts of a software component Before I go into some details, I first should describe my understanding of what belongs to a software component (assembly, type, or method) during the production process (i.e. the coding phase). Roughly, I come up with the three parts shown below:   First, we need to have some initial sort of requirement. This can be a multi-page formal document, a vague idea in some programmer’s brain of what might be needed, or anything in between. In either way, there has to be some sort of requirement, be it explicit or not. – At the C# micro-level, the best way that I found to formulate that is to define interfaces for just about everything, even for internal classes, and to provide them with exhaustive xml comments. The next step then is to re-formulate these requirements in an executable form. This is specific to the respective programming language. - For C#/.NET, the Gallio framework (which includes MbUnit) in conjunction with the ReSharper add-in for Visual Studio is my toolset of choice. The third part then finally is the production code itself. It’s development is entirely driven by the requirements and their executable formulation. This is the delivery, the two other parts are ‘only’ there to make its production possible, to give it a decent quality and reliability, and to significantly reduce related costs down the maintenance timeline. So while the first two parts are not really relevant for the customer, they are very important for the developer. The customer (or in Scrum terms: the Product Owner) is not interested at all in how  the product is developed, he is only interested in the fact that it is developed as cost-effective as possible, and that it meets his functional and non-functional requirements. The rest is solely a matter of the developer’s craftsmanship, and this is what I want to talk about during the remainder of this article… An example To demonstrate my way of doing real-world TDD, I decided to show the development of a (very) simple Calculator component. The example is deliberately trivial and silly, as examples always are. I am totally aware of the fact that real life is never that simple, but I only want to show some development principles here… The requirement As already said above, I start with writing down some words on the initial requirement, and I normally use interfaces for that, even for internal classes - the typical question “intf or not” doesn’t even come to mind. I need them for my usual workflow and using them automatically produces high componentized and testable code anyway. To think about their usage in every single situation would slow down the production process unnecessarily. So this is what I begin with: namespace Calculator {     /// <summary>     /// Defines a very simple calculator component for demo purposes.     /// </summary>     public interface ICalculator     {         /// <summary>         /// Gets the result of the last successful operation.         /// </summary>         /// <value>The last result.</value>         /// <remarks>         /// Will be <see langword="null" /> before the first successful operation.         /// </remarks>         double? LastResult { get; }       } // interface ICalculator   } // namespace Calculator So, I’m not beginning with a test, but with a sort of code declaration - and still I insist on being 100% test-driven. There are three important things here: Starting this way gives me a method signature, which allows to use IntelliSense and AutoCompletion and thus eliminates the danger of typos - one of the most regular, annoying, time-consuming, and therefore expensive sources of error in the development process. In my understanding, the interface definition as a whole is more of a readable requirement document and technical documentation than anything else. So this is at least as much about documentation than about coding. The documentation must completely describe the behavior of the documented element. I normally use an IoC container or some sort of self-written provider-like model in my architecture. In either case, I need my components defined via service interfaces anyway. - I will use the LinFu IoC framework here, for no other reason as that is is very simple to use. The ‘Red’ (pt. 1)   First I create a folder for the project’s third-party libraries and put the LinFu.Core dll there. Then I set up a test project (via a Gallio project template), and add references to the Calculator project and the LinFu dll. Finally I’m ready to write the first test, which will look like the following: namespace Calculator.Test {     [TestFixture]     public class CalculatorTest     {         private readonly ServiceContainer container = new ServiceContainer();           [Test]         public void CalculatorLastResultIsInitiallyNull()         {             ICalculator calculator = container.GetService<ICalculator>();               Assert.IsNull(calculator.LastResult);         }       } // class CalculatorTest   } // namespace Calculator.Test       This is basically the executable formulation of what the interface definition states (part of). Side note: There’s one principle of TDD that is just plain wrong in my eyes: I’m talking about the Red is 'does not compile' thing. How could a compiler error ever be interpreted as a valid test outcome? I never understood that, it just makes no sense to me. (Or, in Derick’s terms: this reason is as wrong as a reason ever could be…) A compiler error tells me: Your code is incorrect, but nothing more.  Instead, the ‘Red’ part of the red-green-refactor cycle has a clearly defined meaning to me: It means that the test works as intended and fails only if its assumptions are not met for some reason. Back to our Calculator. When I execute the above test with R#, the Gallio plugin will give me this output: So this tells me that the test is red for the wrong reason: There’s no implementation that the IoC-container could load, of course. So let’s fix that. With R#, this is very easy: First, create an ICalculator - derived type:        Next, implement the interface members: And finally, move the new class to its own file: So far my ‘work’ was six mouse clicks long, the only thing that’s left to do manually here, is to add the Ioc-specific wiring-declaration and also to make the respective class non-public, which I regularly do to force my components to communicate exclusively via interfaces: This is what my Calculator class looks like as of now: using System; using LinFu.IoC.Configuration;   namespace Calculator {     [Implements(typeof(ICalculator))]     internal class Calculator : ICalculator     {         public double? LastResult         {             get             {                 throw new NotImplementedException();             }         }     } } Back to the test fixture, we have to put our IoC container to work: [TestFixture] public class CalculatorTest {     #region Fields       private readonly ServiceContainer container = new ServiceContainer();       #endregion // Fields       #region Setup/TearDown       [FixtureSetUp]     public void FixtureSetUp()     {        container.LoadFrom(AppDomain.CurrentDomain.BaseDirectory, "Calculator.dll");     }       ... Because I have a R# live template defined for the setup/teardown method skeleton as well, the only manual coding here again is the IoC-specific stuff: two lines, not more… The ‘Red’ (pt. 2) Now, the execution of the above test gives the following result: This time, the test outcome tells me that the method under test is called. And this is the point, where Derick and I seem to have somewhat different views on the subject: Of course, the test still is worthless regarding the red/green outcome (or: it’s still red for the wrong reasons, in that it gives a false negative). But as far as I am concerned, I’m not really interested in the test outcome at this point of the red-green-refactor cycle. Rather, I only want to assert that my test actually calls the right method. If that’s the case, I will happily go on to the ‘Green’ part… The ‘Green’ Making the test green is quite trivial. Just make LastResult an automatic property:     [Implements(typeof(ICalculator))]     internal class Calculator : ICalculator     {         public double? LastResult { get; private set; }     }         One more round… Now on to something slightly more demanding (cough…). Let’s state that our Calculator exposes an Add() method:         ...   /// <summary>         /// Adds the specified operands.         /// </summary>         /// <param name="operand1">The operand1.</param>         /// <param name="operand2">The operand2.</param>         /// <returns>The result of the additon.</returns>         /// <exception cref="ArgumentException">         /// Argument <paramref name="operand1"/> is &lt; 0.<br/>         /// -- or --<br/>         /// Argument <paramref name="operand2"/> is &lt; 0.         /// </exception>         double Add(double operand1, double operand2);       } // interface ICalculator A remark: I sometimes hear the complaint that xml comment stuff like the above is hard to read. That’s certainly true, but irrelevant to me, because I read xml code comments with the CR_Documentor tool window. And using that, it looks like this:   Apart from that, I’m heavily using xml code comments (see e.g. here for a detailed guide) because there is the possibility of automating help generation with nightly CI builds (using MS Sandcastle and the Sandcastle Help File Builder), and then publishing the results to some intranet location.  This way, a team always has first class, up-to-date technical documentation at hand about the current codebase. (And, also very important for speeding up things and avoiding typos: You have IntelliSense/AutoCompletion and R# support, and the comments are subject to compiler checking…).     Back to our Calculator again: Two more R# – clicks implement the Add() skeleton:         ...           public double Add(double operand1, double operand2)         {             throw new NotImplementedException();         }       } // class Calculator As we have stated in the interface definition (which actually serves as our requirement document!), the operands are not allowed to be negative. So let’s start implementing that. Here’s the test: [Test] [Row(-0.5, 2)] public void AddThrowsOnNegativeOperands(double operand1, double operand2) {     ICalculator calculator = container.GetService<ICalculator>();       Assert.Throws<ArgumentException>(() => calculator.Add(operand1, operand2)); } As you can see, I’m using a data-driven unit test method here, mainly for these two reasons: Because I know that I will have to do the same test for the second operand in a few seconds, I save myself from implementing another test method for this purpose. Rather, I only will have to add another Row attribute to the existing one. From the test report below, you can see that the argument values are explicitly printed out. This can be a valuable documentation feature even when everything is green: One can quickly review what values were tested exactly - the complete Gallio HTML-report (as it will be produced by the Continuous Integration runs) shows these values in a quite clear format (see below for an example). Back to our Calculator development again, this is what the test result tells us at the moment: So we’re red again, because there is not yet an implementation… Next we go on and implement the necessary parameter verification to become green again, and then we do the same thing for the second operand. To make a long story short, here’s the test and the method implementation at the end of the second cycle: // in CalculatorTest:   [Test] [Row(-0.5, 2)] [Row(295, -123)] public void AddThrowsOnNegativeOperands(double operand1, double operand2) {     ICalculator calculator = container.GetService<ICalculator>();       Assert.Throws<ArgumentException>(() => calculator.Add(operand1, operand2)); }   // in Calculator: public double Add(double operand1, double operand2) {     if (operand1 < 0.0)     {         throw new ArgumentException("Value must not be negative.", "operand1");     }     if (operand2 < 0.0)     {         throw new ArgumentException("Value must not be negative.", "operand2");     }     throw new NotImplementedException(); } So far, we have sheltered our method from unwanted input, and now we can safely operate on the parameters without further caring about their validity (this is my interpretation of the Fail Fast principle, which is regarded here in more detail). Now we can think about the method’s successful outcomes. First let’s write another test for that: [Test] [Row(1, 1, 2)] public void TestAdd(double operand1, double operand2, double expectedResult) {     ICalculator calculator = container.GetService<ICalculator>();       double result = calculator.Add(operand1, operand2);       Assert.AreEqual(expectedResult, result); } Again, I’m regularly using row based test methods for these kinds of unit tests. The above shown pattern proved to be extremely helpful for my development work, I call it the Defined-Input/Expected-Output test idiom: You define your input arguments together with the expected method result. There are two major benefits from that way of testing: In the course of refining a method, it’s very likely to come up with additional test cases. In our case, we might add tests for some edge cases like ‘one of the operands is zero’ or ‘the sum of the two operands causes an overflow’, or maybe there’s an external test protocol that has to be fulfilled (e.g. an ISO norm for medical software), and this results in the need of testing against additional values. In all these scenarios we only have to add another Row attribute to the test. Remember that the argument values are written to the test report, so as a side-effect this produces valuable documentation. (This can become especially important if the fulfillment of some sort of external requirements has to be proven). So your test method might look something like that in the end: [Test, Description("Arguments: operand1, operand2, expectedResult")] [Row(1, 1, 2)] [Row(0, 999999999, 999999999)] [Row(0, 0, 0)] [Row(0, double.MaxValue, double.MaxValue)] [Row(4, double.MaxValue - 2.5, double.MaxValue)] public void TestAdd(double operand1, double operand2, double expectedResult) {     ICalculator calculator = container.GetService<ICalculator>();       double result = calculator.Add(operand1, operand2);       Assert.AreEqual(expectedResult, result); } And this will produce the following HTML report (with Gallio):   Not bad for the amount of work we invested in it, huh? - There might be scenarios where reports like that can be useful for demonstration purposes during a Scrum sprint review… The last requirement to fulfill is that the LastResult property is expected to store the result of the last operation. I don’t show this here, it’s trivial enough and brings nothing new… And finally: Refactor (for the right reasons) To demonstrate my way of going through the refactoring portion of the red-green-refactor cycle, I added another method to our Calculator component, namely Subtract(). Here’s the code (tests and production): // CalculatorTest.cs:   [Test, Description("Arguments: operand1, operand2, expectedResult")] [Row(1, 1, 0)] [Row(0, 999999999, -999999999)] [Row(0, 0, 0)] [Row(0, double.MaxValue, -double.MaxValue)] [Row(4, double.MaxValue - 2.5, -double.MaxValue)] public void TestSubtract(double operand1, double operand2, double expectedResult) {     ICalculator calculator = container.GetService<ICalculator>();       double result = calculator.Subtract(operand1, operand2);       Assert.AreEqual(expectedResult, result); }   [Test, Description("Arguments: operand1, operand2, expectedResult")] [Row(1, 1, 0)] [Row(0, 999999999, -999999999)] [Row(0, 0, 0)] [Row(0, double.MaxValue, -double.MaxValue)] [Row(4, double.MaxValue - 2.5, -double.MaxValue)] public void TestSubtractGivesExpectedLastResult(double operand1, double operand2, double expectedResult) {     ICalculator calculator = container.GetService<ICalculator>();       calculator.Subtract(operand1, operand2);       Assert.AreEqual(expectedResult, calculator.LastResult); }   ...   // ICalculator.cs: /// <summary> /// Subtracts the specified operands. /// </summary> /// <param name="operand1">The operand1.</param> /// <param name="operand2">The operand2.</param> /// <returns>The result of the subtraction.</returns> /// <exception cref="ArgumentException"> /// Argument <paramref name="operand1"/> is &lt; 0.<br/> /// -- or --<br/> /// Argument <paramref name="operand2"/> is &lt; 0. /// </exception> double Subtract(double operand1, double operand2);   ...   // Calculator.cs:   public double Subtract(double operand1, double operand2) {     if (operand1 < 0.0)     {         throw new ArgumentException("Value must not be negative.", "operand1");     }       if (operand2 < 0.0)     {         throw new ArgumentException("Value must not be negative.", "operand2");     }       return (this.LastResult = operand1 - operand2).Value; }   Obviously, the argument validation stuff that was produced during the red-green part of our cycle duplicates the code from the previous Add() method. So, to avoid code duplication and minimize the number of code lines of the production code, we do an Extract Method refactoring. One more time, this is only a matter of a few mouse clicks (and giving the new method a name) with R#: Having done that, our production code finally looks like that: using System; using LinFu.IoC.Configuration;   namespace Calculator {     [Implements(typeof(ICalculator))]     internal class Calculator : ICalculator     {         #region ICalculator           public double? LastResult { get; private set; }           public double Add(double operand1, double operand2)         {             ThrowIfOneOperandIsInvalid(operand1, operand2);               return (this.LastResult = operand1 + operand2).Value;         }           public double Subtract(double operand1, double operand2)         {             ThrowIfOneOperandIsInvalid(operand1, operand2);               return (this.LastResult = operand1 - operand2).Value;         }           #endregion // ICalculator           #region Implementation (Helper)           private static void ThrowIfOneOperandIsInvalid(double operand1, double operand2)         {             if (operand1 < 0.0)             {                 throw new ArgumentException("Value must not be negative.", "operand1");             }               if (operand2 < 0.0)             {                 throw new ArgumentException("Value must not be negative.", "operand2");             }         }           #endregion // Implementation (Helper)       } // class Calculator   } // namespace Calculator But is the above worth the effort at all? It’s obviously trivial and not very impressive. All our tests were green (for the right reasons), and refactoring the code did not change anything. It’s not immediately clear how this refactoring work adds value to the project. Derick puts it like this: STOP! Hold on a second… before you go any further and before you even think about refactoring what you just wrote to make your test pass, you need to understand something: if your done with your requirements after making the test green, you are not required to refactor the code. I know… I’m speaking heresy, here. Toss me to the wolves, I’ve gone over to the dark side! Seriously, though… if your test is passing for the right reasons, and you do not need to write any test or any more code for you class at this point, what value does refactoring add? Derick immediately answers his own question: So why should you follow the refactor portion of red/green/refactor? When you have added code that makes the system less readable, less understandable, less expressive of the domain or concern’s intentions, less architecturally sound, less DRY, etc, then you should refactor it. I couldn’t state it more precise. From my personal perspective, I’d add the following: You have to keep in mind that real-world software systems are usually quite large and there are dozens or even hundreds of occasions where micro-refactorings like the above can be applied. It’s the sum of them all that counts. And to have a good overall quality of the system (e.g. in terms of the Code Duplication Percentage metric) you have to be pedantic on the individual, seemingly trivial cases. My job regularly requires the reading and understanding of ‘foreign’ code. So code quality/readability really makes a HUGE difference for me – sometimes it can be even the difference between project success and failure… Conclusions The above described development process emerged over the years, and there were mainly two things that guided its evolution (you might call it eternal principles, personal beliefs, or anything in between): Test-driven development is the normal, natural way of writing software, code-first is exceptional. So ‘doing TDD or not’ is not a question. And good, stable code can only reliably be produced by doing TDD (yes, I know: many will strongly disagree here again, but I’ve never seen high-quality code – and high-quality code is code that stood the test of time and causes low maintenance costs – that was produced code-first…) It’s the production code that pays our bills in the end. (Though I have seen customers these days who demand an acceptance test battery as part of the final delivery. Things seem to go into the right direction…). The test code serves ‘only’ to make the production code work. But it’s the number of delivered features which solely counts at the end of the day - no matter how much test code you wrote or how good it is. With these two things in mind, I tried to optimize my coding process for coding speed – or, in business terms: productivity - without sacrificing the principles of TDD (more than I’d do either way…).  As a result, I consider a ratio of about 3-5/1 for test code vs. production code as normal and desirable. In other words: roughly 60-80% of my code is test code (This might sound heavy, but that is mainly due to the fact that software development standards only begin to evolve. The entire software development profession is very young, historically seen; only at the very beginning, and there are no viable standards yet. If you think about software development as a kind of casting process, where the test code is the mold and the resulting production code is the final product, then the above ratio sounds no longer extraordinary…) Although the above might look like very much unnecessary work at first sight, it’s not. With the aid of the mentioned add-ins, doing all the above is a matter of minutes, sometimes seconds (while writing this post took hours and days…). The most important thing is to have the right tools at hand. Slow developer machines or the lack of a tool or something like that - for ‘saving’ a few 100 bucks -  is just not acceptable and a very bad decision in business terms (though I quite some times have seen and heard that…). Production of high-quality products needs the usage of high-quality tools. This is a platitude that every craftsman knows… The here described round-trip will take me about five to ten minutes in my real-world development practice. I guess it’s about 30% more time compared to developing the ‘traditional’ (code-first) way. But the so manufactured ‘product’ is of much higher quality and massively reduces maintenance costs, which is by far the single biggest cost factor, as I showed in this previous post: It's the maintenance, stupid! (or: Something is rotten in developerland.). In the end, this is a highly cost-effective way of software development… But on the other hand, there clearly is a trade-off here: coding speed vs. code quality/later maintenance costs. The here described development method might be a perfect fit for the overwhelming majority of software projects, but there certainly are some scenarios where it’s not - e.g. if time-to-market is crucial for a software project. So this is a business decision in the end. It’s just that you have to know what you’re doing and what consequences this might have… Some last words First, I’d like to thank Derick Bailey again. His two aforementioned posts (which I strongly recommend for reading) inspired me to think deeply about my own personal way of doing TDD and to clarify my thoughts about it. I wouldn’t have done that without this inspiration. I really enjoy that kind of discussions… I agree with him in all respects. But I don’t know (yet?) how to bring his insights into the described production process without slowing things down. The above described method proved to be very “good enough” in my practical experience. But of course, I’m open to suggestions here… My rationale for now is: If the test is initially red during the red-green-refactor cycle, the ‘right reason’ is: it actually calls the right method, but this method is not yet operational. Later on, when the cycle is finished and the tests become part of the regular, automated Continuous Integration process, ‘red’ certainly must occur for the ‘right reason’: in this phase, ‘red’ MUST mean nothing but an unfulfilled assertion - Fail By Assertion, Not By Anything Else!

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  • SQL SERVER – Guest Posts – Feodor Georgiev – The Context of Our Database Environment – Going Beyond the Internal SQL Server Waits – Wait Type – Day 21 of 28

    - by pinaldave
    This guest post is submitted by Feodor. Feodor Georgiev is a SQL Server database specialist with extensive experience of thinking both within and outside the box. He has wide experience of different systems and solutions in the fields of architecture, scalability, performance, etc. Feodor has experience with SQL Server 2000 and later versions, and is certified in SQL Server 2008. In this article Feodor explains the server-client-server process, and concentrated on the mutual waits between client and SQL Server. This is essential in grasping the concept of waits in a ‘global’ application plan. Recently I was asked to write a blog post about the wait statistics in SQL Server and since I had been thinking about writing it for quite some time now, here it is. It is a wide-spread idea that the wait statistics in SQL Server will tell you everything about your performance. Well, almost. Or should I say – barely. The reason for this is that SQL Server is always a part of a bigger system – there are always other players in the game: whether it is a client application, web service, any other kind of data import/export process and so on. In short, the SQL Server surroundings look like this: This means that SQL Server, aside from its internal waits, also depends on external waits and settings. As we can see in the picture above, SQL Server needs to have an interface in order to communicate with the surrounding clients over the network. For this communication, SQL Server uses protocol interfaces. I will not go into detail about which protocols are best, but you can read this article. Also, review the information about the TDS (Tabular data stream). As we all know, our system is only as fast as its slowest component. This means that when we look at our environment as a whole, the SQL Server might be a victim of external pressure, no matter how well we have tuned our database server performance. Let’s dive into an example: let’s say that we have a web server, hosting a web application which is using data from our SQL Server, hosted on another server. The network card of the web server for some reason is malfunctioning (think of a hardware failure, driver failure, or just improper setup) and does not send/receive data faster than 10Mbs. On the other end, our SQL Server will not be able to send/receive data at a faster rate either. This means that the application users will notify the support team and will say: “My data is coming very slow.” Now, let’s move on to a bit more exciting example: imagine that there is a similar setup as the example above – one web server and one database server, and the application is not using any stored procedure calls, but instead for every user request the application is sending 80kb query over the network to the SQL Server. (I really thought this does not happen in real life until I saw it one day.) So, what happens in this case? To make things worse, let’s say that the 80kb query text is submitted from the application to the SQL Server at least 100 times per minute, and as often as 300 times per minute in peak times. Here is what happens: in order for this query to reach the SQL Server, it will have to be broken into a of number network packets (according to the packet size settings) – and will travel over the network. On the other side, our SQL Server network card will receive the packets, will pass them to our network layer, the packets will get assembled, and eventually SQL Server will start processing the query – parsing, allegorizing, generating the query execution plan and so on. So far, we have already had a serious network overhead by waiting for the packets to reach our Database Engine. There will certainly be some processing overhead – until the database engine deals with the 80kb query and its 20 subqueries. The waits you see in the DMVs are actually collected from the point the query reaches the SQL Server and the packets are assembled. Let’s say that our query is processed and it finally returns 15000 rows. These rows have a certain size as well, depending on the data types returned. This means that the data will have converted to packages (depending on the network size package settings) and will have to reach the application server. There will also be waits, however, this time you will be able to see a wait type in the DMVs called ASYNC_NETWORK_IO. What this wait type indicates is that the client is not consuming the data fast enough and the network buffers are filling up. Recently Pinal Dave posted a blog on Client Statistics. What Client Statistics does is captures the physical flow characteristics of the query between the client(Management Studio, in this case) and the server and back to the client. As you see in the image, there are three categories: Query Profile Statistics, Network Statistics and Time Statistics. Number of server roundtrips–a roundtrip consists of a request sent to the server and a reply from the server to the client. For example, if your query has three select statements, and they are separated by ‘GO’ command, then there will be three different roundtrips. TDS Packets sent from the client – TDS (tabular data stream) is the language which SQL Server speaks, and in order for applications to communicate with SQL Server, they need to pack the requests in TDS packets. TDS Packets sent from the client is the number of packets sent from the client; in case the request is large, then it may need more buffers, and eventually might even need more server roundtrips. TDS packets received from server –is the TDS packets sent by the server to the client during the query execution. Bytes sent from client – is the volume of the data set to our SQL Server, measured in bytes; i.e. how big of a query we have sent to the SQL Server. This is why it is best to use stored procedures, since the reusable code (which already exists as an object in the SQL Server) will only be called as a name of procedure + parameters, and this will minimize the network pressure. Bytes received from server – is the amount of data the SQL Server has sent to the client, measured in bytes. Depending on the number of rows and the datatypes involved, this number will vary. But still, think about the network load when you request data from SQL Server. Client processing time – is the amount of time spent in milliseconds between the first received response packet and the last received response packet by the client. Wait time on server replies – is the time in milliseconds between the last request packet which left the client and the first response packet which came back from the server to the client. Total execution time – is the sum of client processing time and wait time on server replies (the SQL Server internal processing time) Here is an illustration of the Client-server communication model which should help you understand the mutual waits in a client-server environment. Keep in mind that a query with a large ‘wait time on server replies’ means the server took a long time to produce the very first row. This is usual on queries that have operators that need the entire sub-query to evaluate before they proceed (for example, sort and top operators). However, a query with a very short ‘wait time on server replies’ means that the query was able to return the first row fast. However a long ‘client processing time’ does not necessarily imply the client spent a lot of time processing and the server was blocked waiting on the client. It can simply mean that the server continued to return rows from the result and this is how long it took until the very last row was returned. The bottom line is that developers and DBAs should work together and think carefully of the resource utilization in the client-server environment. From experience I can say that so far I have seen only cases when the application developers and the Database developers are on their own and do not ask questions about the other party’s world. I would recommend using the Client Statistics tool during new development to track the performance of the queries, and also to find a synchronous way of utilizing resources between the client – server – client. Here is another example: think about similar setup as above, but add another server to the game. Let’s say that we keep our media on a separate server, and together with the data from our SQL Server we need to display some images on the webpage requested by our user. No matter how simple or complicated the logic to get the images is, if the images are 500kb each our users will get the page slowly and they will still think that there is something wrong with our data. Anyway, I don’t mean to get carried away too far from SQL Server. Instead, what I would like to say is that DBAs should also be aware of ‘the big picture’. I wrote a blog post a while back on this topic, and if you are interested, you can read it here about the big picture. And finally, here are some guidelines for monitoring the network performance and improving it: Run a trace and outline all queries that return more than 1000 rows (in Profiler you can actually filter and sort the captured trace by number of returned rows). This is not a set number; it is more of a guideline. The general thought is that no application user can consume that many rows at once. Ask yourself and your fellow-developers: ‘why?’. Monitor your network counters in Perfmon: Network Interface:Output queue length, Redirector:Network errors/sec, TCPv4: Segments retransmitted/sec and so on. Make sure to establish a good friendship with your network administrator (buy them coffee, for example J ) and get into a conversation about the network settings. Have them explain to you how the network cards are setup – are they standalone, are they ‘teamed’, what are the settings – full duplex and so on. Find some time to read a bit about networking. In this short blog post I hope I have turned your attention to ‘the big picture’ and the fact that there are other factors affecting our SQL Server, aside from its internal workings. As a further reading I would still highly recommend the Wait Stats series on this blog, also I would recommend you have the coffee break conversation with your network admin as soon as possible. This guest post is written by Feodor Georgiev. Read all the post in the Wait Types and Queue series. Reference: Pinal Dave (http://blog.SQLAuthority.com) Filed under: Pinal Dave, PostADay, Readers Contribution, SQL, SQL Authority, SQL Query, SQL Server, SQL Tips and Tricks, SQL Wait Stats, SQL Wait Types, T SQL

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  • Issuing Current Time Increments in StreamInsight (A Practical Example)

    The issuing of a Current Time Increment, Cti, in StreamInsight is very definitely one of the most important concepts to learn if you want your Streams to be responsive. A full discussion of how to issue Ctis is beyond the scope of this article but a very good explanation in addition to Books Online can be found in these three articles by a member of the StreamInsight team at Microsoft, Ciprian Gerea. Time in StreamInsight Series http://blogs.msdn.com/b/streaminsight/archive/2010/07/23/time-in-streaminsight-i.aspx http://blogs.msdn.com/b/streaminsight/archive/2010/07/30/time-in-streaminsight-ii.aspx http://blogs.msdn.com/b/streaminsight/archive/2010/08/03/time-in-streaminsight-iii.aspx A lot of the problems I see with unresponsive or stuck streams on the MSDN Forums are to do with how Ctis are enqueued or in a lot of cases not enqueued. If you enqueue events and never enqueue a Cti then StreamInsight will be perfectly happy. You, on the other hand, will never see data on the output as you have not told StreamInsight to flush the stream. This article deals with a specific implementation problem I had recently whilst working on a StreamInsight project. I look at some possible options and discuss why they would not work before showing the way I solved the problem. The stream of data I was dealing with on this project was very bursty that is to say when events were flowing they came through very quickly and in large numbers (1000 events/sec), but when the stream calmed down it could be a few seconds between each event. When enqueuing events into the StreamInsight engne it is best practice to do so with a StartTime that is given to you by the system producing the event . StreamInsight processes events and it doesn't matter whether those events are being pushed into the engine by a source system or the events are being read from something like a flat file in a directory somewhere. You can apply the same logic and temporal algebra to both situations. Reading from a file is an excellent example of where the time of the event on the source itself is very important. We could be reading that file a long time after it was written. Being able to read the StartTime from the events allows us to define windows that will hold the correct sets of events. I was able to do this with my stream but this is where my problems started. Below is a very simple script to create a SQL Server table and populate it with sample data that will show exactly the problem I had. CREATE TABLE [dbo].[t] ( [c1] [int] PRIMARY KEY, [c2] [datetime] NULL ) INSERT t VALUES (1,'20100810'),(2,'20100810'),(3,'20100810') Column c2 defines the StartTime of the event on the source and as you can see the values in all 3 rows of data is the same. If we read Ciprian’s articles we know that we can define how Ctis get injected into the stream in 3 different places The Stream Definition The Input Factory The Input Adapter I personally have always been a fan of enqueing Ctis through the factory. Below is code typical of what I would use to do this On the class itself I do some inheriting public class SimpleInputFactory : ITypedInputAdapterFactory<SimpleInputConfig>, ITypedDeclareAdvanceTimeProperties<SimpleInputConfig> And then I implement the following function public AdapterAdvanceTimeSettings DeclareAdvanceTimeProperties<TPayload>(SimpleInputConfig configInfo, EventShape eventShape) { return new AdapterAdvanceTimeSettings( new AdvanceTimeGenerationSettings(configInfo.CtiFrequency, TimeSpan.FromTicks(-1)), AdvanceTimePolicy.Adjust); } The configInfo .CtiFrequency property is a value I pass through to define after how many events I want a Cti to be injected and this in turn will flush through the stream of data. I usually pass a value of 1 for this setting. The second parameter determines the CTI timestamp in terms of a delay relative to the events. -1 ticks in the past results in 1 tick in the future, i.e., ahead of the event. The problem with this method though is that if consecutive events have the same StartTime then only one of those events will be enqueued. In this example I use the following to define how I assign the StartTime of my events currEvent.StartTime = (DateTimeOffset)dt.c2; If I go ahead and run my StreamInsight process with this configuration i can see on the output adapter that two events have been removed To see this in a little more depth I can use the StreamInsight Debugger and see what happens internally. What is happening here is that the first event arrives and a Cti is injected with a time of 1 tick after the StartTime of that event (Also the EndTime of the event). The second event arrives and it has a StartTime of before the Cti and even though we specified AdvanceTimePolicy.Adjust on the factory we know that a point event can never be adjusted like this and the event is dropped. The same happens for the third event as well (The second and third events get trumped by the Cti). For a more detailed discussion of why this happens look here http://www.sqlis.com/sqlis/post/AdvanceTimePolicy-and-Point-Event-Streams-In-StreamInsight.aspx We end up with a single event being pushed into the output adapter and our result now makes sense. The next way I tried to solve this problem by changing the value of the second parameter to TimeSpan.Zero Here is how my factory code now looks public AdapterAdvanceTimeSettings DeclareAdvanceTimeProperties<TPayload>(SimpleInputConfig configInfo, EventShape eventShape) { return new AdapterAdvanceTimeSettings( new AdvanceTimeGenerationSettings(configInfo.CtiFrequency, TimeSpan.Zero), AdvanceTimePolicy.Adjust); } What I am doing here is declaring a policy that says inject a Cti together with every event and stamp it with a StartTime that is equal to the start time of the event itself (TimeSpan.Zero). This method has plus points as well as a downside. The upside is that no events will be lost by having the same StartTime as previous events. The Downside is that because the Cti is declared with the StartTime of the event itself then it does not actually flush that particular event because in the StreamInsight algebra, a Cti commits only those events that occurred strictly before them. To flush the events we need a Cti to be enqueued with a greater StartTime than the events themselves. Here is what happened when I ran this configuration As you can see all we got through was the Cti and none of the events. The debugger output shows the stamps on the Cti and the events themselves. Because the Cti issued has the same timestamp (StartTime) as the events then none of the events get flushed. I was nearly there but not quite. Because my stream was bursty it was possible that the next event would not come along for a few seconds and this was far too long for an event to be enqueued and not be flushed to the output adapter. I needed another solution. Two possible solutions crossed my mind although only one of them made sense when I explored it some more. Where multiple events have the same StartTime I could add 1 tick to the first event, two to the second, three to third etc thereby giving them unique StartTime values. Add a timer to manually inject Ctis The problem with the first implementation is that I would be giving the events a new StartTime. This would cause me the following problems If I want to define windows over the stream then some events may not be captured in the right windows and therefore any calculations on those windows I did would be wrong What would happen if we had 10,000 events with the same StartTime? I would enqueue them with StartTime + n ticks. Along comes a genuine event with a StartTime of the very first event + 1 tick. It is now too far in the past as far as my stream is concerned and it would be dropped. Not what I would want to do at all. I decided then to look at the Timer based solution I created a timer on my input adapter that elapsed every 200ms. private Timer tmr; public SimpleInputAdapter(SimpleInputConfig configInfo) { ctx = new SimpleTimeExtractDataContext(configInfo.ConnectionString); this.configInfo = configInfo; tmr = new Timer(200); tmr.Elapsed += new ElapsedEventHandler(t_Elapsed); tmr.Enabled = true; } void t_Elapsed(object sender, ElapsedEventArgs e) { ts = DateTime.Now - dtCtiIssued; if (ts.TotalMilliseconds >= 200 && TimerIssuedCti == false) { EnqueueCtiEvent(System.DateTime.Now.AddTicks(-100)); TimerIssuedCti = true; } }   In the t_Elapsed event handler I find out the difference in time between now and when the last event was processed (dtCtiIssued). I then check to see if that is greater than or equal to 200ms and if the last issuing of a Cti was done by the timer or by a genuine event (TimerIssuedCti). If I didn’t do this check then I would enqueue a Cti every time the timer elapsed which is not something I wanted. If the difference between the two times is greater than or equal to 500ms and the last event enqueued was by a real event then I issue a Cti through the timer to flush the event Queue, otherwise I do nothing. When I enqueue the Ctis into my stream in my ProduceEvents method I also set the values of dtCtiIssued and TimerIssuedCti   currEvent = CreateInsertEvent(); currEvent.StartTime = (DateTimeOffset)dt.c2; TimerIssuedCti = false; dtCtiIssued = currEvent.StartTime; If I go ahead and run this configuration I see the following in my output. As we can see the first Cti gets enqueued as before but then another is enqueued by the timer and because this has a later timestamp it flushes the enqueued events through the engine. Conclusion Hopefully this has shown how the enqueuing of Ctis can have a dramatic effect on the responsiveness of your output in StreamInsight. Understanding the temporal nature of the product is for me one of the most important things you can learn. I have attached my solution for the demos. It is all in one project and testing each variation is a simple matter of commenting and un-commenting the parts in the code we have been dealing with here.

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  • Going Paperless

    - by Jesse
    One year ago I came to work for a company where the entire development team is 100% “remote”; we’re spread over 3 time zones and each of us works from home. This seems to be an increasingly popular way for people to work and there are many articles and blog posts out there enumerating the advantages and disadvantages of working this way. I had read a lot about telecommuting before accepting this job and felt as if I had a pretty decent idea of what I was getting into, but I’ve encountered a few things over the past year that I did not expect. Among the most surprising by-products of working from home for me has been a dramatic reduction in the amount of paper that I use on a weekly basis. Hoarding In The Workplace Prior to my current telecommute job I worked in what most would consider pretty traditional office environments. I sat in cubicles furnished with an enormous plastic(ish) modular desks, had a mediocre (at best) PC workstation, and had ready access to a seemingly endless supply of legal pads, pens, staplers and paper clips. The ready access to paper, countless conference room meetings, and abundance of available surface area on my desk and in drawers created a perfect storm for wasting paper. I brought a pad of paper with me to every meeting I ever attended, scrawled some brief notes, and then tore that sheet off to keep next to my keyboard to follow up on any needed action items. Once my immediate need for the notes was fulfilled, that sheet would get shuffled off into a corner of my desk or filed away in a drawer “just in case”. I would guess that for all of the notes that I ever filed away, I might have actually had to dig up and refer to 2% of them (and that’s probably being very generous). That said, on those rare occasions that I did have to dig something up from old notes, it was usually pretty important and I ended up being very glad that I saved them. It was only when I would leave a job or move desks that I would finally gather all those notes together and take them to shredding bin to be disposed of. When I left my last job the amount of paper I had accumulated over my three years there was absurd, and I knew coworkers who had substance-abuse caliber paper wasting addictions that made my bad habit look like nail-biting in comparison. A Product Of My Environment I always hated using all of this paper, but simply couldn’t bring myself to stop. It would look bad if I showed up to an important conference room meeting without a pad of paper. What if someone said something profound! Plus, everyone else always brought paper with them. If you saw someone walking down the hallway with a pad of paper in hand you knew they must be on their way to a conference room meeting. Some people even had fancy looking portfolio notebook sheaths that gave their legal pads all the prestige of a briefcase. No one ever worried about running out of fresh paper because there was an endless supply, and there certainly was no shortage of places to store and file used paper. In short, the traditional office was setup for using tons and tons of paper; it’s baked into the culture there. For that reason, it didn’t take long for me to kick the paper habit once I started working from home. In my home office, desk and drawer space are at a premium. I don’t have the budget (or the tolerance) for huge modular office furniture in my spare bedroom. I also no longer have access to a bottomless pit of office supplies stock piled in cabinets and closets. If I want to use some paper, I have to go out and buy it. Finally (and most importantly), all of the meetings that I have to attend these days are “virtual”. We use instant messaging, VOIP, video conferencing, and e-mail to communicate with each other. All I need to take notes during a meeting is my computer, which I happen to be sitting right in front of all day. I don’t have any hard numbers for this, but my gut feeling is that I actually take a lot more notes now than I ever did when I worked in an office. The big difference is I don’t have to use any paper to do so. This makes it far easier to keep important information safe and organized. The Right Tool For The Job When I first started working from home I tried to find a single application that would fill the gap left by the pen and paper that I always had at my desk when I worked in an office. Well, there are no silver bullets and I’ve evolved my approach over time to try and find the best tool for the job at hand. Here’s a quick summary of how I take notes and keep everything organized. Notepad++ – This is the first application I turn to when I feel like there’s some bit of information that I need to write down and save. I use Launchy, so opening Notepad++ and creating a new file only takes a few keystrokes. If I find that the information I’m trying to get down requires a more sophisticated application I escalate as needed. The Desktop – By default, I save every file or other bit of information to the desktop. Anyone who has ever had to fix their parents computer before knows that this is a dangerous game (any file my mother has ever worked on is saved directly to the desktop and rarely moves anywhere else). I agree that storing things on the desktop isn’t a great long term approach to keeping organized, which is why I treat my desktop a bit like my e-mail inbox. I strive to keep both empty (or as close to empty as I possibly can). If something is on my desktop, it means that it’s something relevant to a task or project that I’m currently working on. About once a week I take things that I’m not longer working on and put them into my ‘Notes’ folder. The ‘Notes’ Folder – As I work on a task, I tend to accumulate multiple files associated with that task. For example, I might have a bit of SQL that I’m working on to gather data for a new report, a quick C# method that I came up with but am not yet ready to commit to source control, a bulleted list of to-do items in a .txt file, etc. If the desktop starts to get too cluttered, I create a new sub-folder in my ‘Notes’ folder. Each sub-folder’s name is the current date followed by a brief description of the task or project. Then all files related to that task or project go into that sub folder. By using the date as the first part of the folder name, these folders are automatically sorted in reverse chronological order. This means that things I worked on recently will generally be near the top of the list. Using the built-in Windows search functionality I now have a pretty quick and easy way to try and find something that I worked on a week ago or six months ago. Dropbox – Dropbox is a free service that lets you store up to 2GB of files “in the cloud” and have those files synced to all of the different computers that you use. My ‘Notes’ folder lives in Dropbox, meaning that it’s contents are constantly backed up and are always available to me regardless of which computer I’m using. They also have a pretty decent iPhone application that lets you browse and view all of the files that you have stored there. The free 2GB edition is probably enough for just storing notes, but I also pay $99/year for the 50GB storage upgrade and keep all of my music, e-books, pictures, and documents in Dropbox. It’s a fantastic service and I highly recommend it. Evernote – I use Evernote mostly to organize information that I access on a fairly regular basis. For example, my Evernote account has a running grocery shopping list, recipes that my wife and I use a lot, and contact information for people I contact infrequently enough that I don’t want to keep them in my phone. I know some people that keep nearly everything in Evernote, but there’s something about it that I find a bit clunky, so I tend to use it sparingly. Google Tasks – One of my biggest paper wasting habits was keeping a running task-list next to my computer at work. Every morning I would sit down, look at my task list, cross off what was done and add new tasks that I thought of during my morning commute. This usually resulted in having to re-copy the task list onto a fresh sheet of paper when I was done. I still keep a running task list at my desk, but I’ve started using Google Tasks instead. This is a dead-simple web-based application for quickly adding, deleting, and organizing tasks in a simple checklist style. You can quickly move tasks up and down on the list (which I use for prioritizing), and even create sub-tasks for breaking down larger tasks into smaller pieces. Balsamiq Mockups – This is a simple and lightweight tool for creating drawings of user interfaces. It’s great for sketching out a new feature, brainstorm the layout of a interface, or even draw up a quick sequence diagram. I’m terrible at drawing, so Balsamiq Mockups not only lets me create sketches that other people can actually understand, but it’s also handy because you can upload a sketch to a common location for other team members to access. I can honestly say that using these tools (and having limited resources at home) have lead me to cut my paper usage down to virtually none. If I ever were to return to a traditional office workplace (hopefully never!) I’d try to employ as many of these applications and techniques as I could to keep paper usage low. I feel far less cluttered and far better organized now.

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  • How to implement an offline reader writer lock

    - by Peter Morris
    Some context for the question All objects in this question are persistent. All requests will be from a Silverlight client talking to an app server via a binary protocol (Hessian) and not WCF. Each user will have a session key (not an ASP.NET session) which will be a string, integer, or GUID (undecided so far). Some objects might take a long time to edit (30 or more minutes) so we have decided to use pessimistic offline locking. Pessimistic because having to reconcile conflicts would be far too annoying for users, offline because the client is not permanently connected to the server. Rather than storing session/object locking information in the object itself I have decided that any aggregate root that may have its instances locked should implement an interface ILockable public interface ILockable { Guid LockID { get; } } This LockID will be the identity of a "Lock" object which holds the information of which session is locking it. Now, if this were simple pessimistic locking I'd be able to achieve this very simply (using an incrementing version number on Lock to identify update conflicts), but what I actually need is ReaderWriter pessimistic offline locking. The reason is that some parts of the application will perform actions that read these complex structures. These include things like Reading a single structure to clone it. Reading multiple structures in order to create a binary file to "publish" the data to an external source. Read locks will be held for a very short period of time, typically less than a second, although in some circumstances they could be held for about 5 seconds at a guess. Write locks will mostly be held for a long time as they are mostly held by humans. There is a high probability of two users trying to edit the same aggregate at the same time, and a high probability of many users needing to temporarily read-lock at the same time too. I'm looking for suggestions as to how I might implement this. One additional point to make is that if I want to place a write lock and there are some read locks, I would like to "queue" the write lock so that no new read locks are placed. If the read locks are removed withing X seconds then the write lock is obtained, if not then the write lock backs off; no new read-locks would be placed while a write lock is queued. So far I have this idea The Lock object will have a version number (int) so I can detect multi-update conflicts, reload, try again. It will have a string[] for read locks A string to hold the session ID that has a write lock A string to hold the queued write lock Possibly a recursion counter to allow the same session to lock multiple times (for both read and write locks), but not sure about this yet. Rules: Can't place a read lock if there is a write lock or queued write lock. Can't place a write lock if there is a write lock or queued write lock. If there are no locks at all then a write lock may be placed. If there are read locks then a write lock will be queued instead of a full write lock placed. (If after X time the read locks are not gone the lock backs off, otherwise it is upgraded). Can't queue a write lock for a session that has a read lock. Can anyone see any problems? Suggest alternatives? Anything? I'd appreciate feedback before deciding on what approach to take.

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