Search Results

Search found 522 results on 21 pages for 'asset'.

Page 5/21 | < Previous Page | 1 2 3 4 5 6 7 8 9 10 11 12  | Next Page >

  • DoubleClick studio thinks I've imported the Enabler component in both my parent and my child asset f

    - by Marijn Huizendveld
    I've just started to work with DoubleClick Studio. I've successfully created a Flash expanding ad with CS4 that is mostly scripted and uses the Document class option. Now for some reason the back end of DoubleClick Studio thinks I've imported the Enabler component twice. I've checked my files numerous of times but can't find the root cause. Any help is much appreciated :)

    Read the article

  • How do I return a message if $_GET is null or does not match any database entries?

    - by CT
    I am working on designing an IT Asset database. Here I am working on a page used to view details on a specific asset determined by an asset id. Here I grab $id from $_GET["id"]; When $id is null, the page does not load. When $id does not match any entry within the database, the page loads but no asset table is printed. In both these cases, I would like to display a message like "There is no database entry for that Asset ID" How would this be handled? Thank you. <?php /* * View Asset * */ # include functions script include "functions.php"; $id = $_GET["id"]; ConnectDB(); $type = GetAssetType($id); ?> <!DOCTYPE html PUBLIC "-//W3C//DTD XHTML 1.1//EN" "http://www.w3.org/TR/xhtml11/DTD/xhtml11.dtd"> <html xmlns="http://www.w3.org/1999/xhtml"> <head> <meta http-equiv="Content-Type" content="text/html; charset=utf-8" /> <link rel="stylesheet" type="text/css" href="style.css" /> <title>Wagman IT Asset</title> </head> <body> <div id="page"> <div id="header"> <img src="images/logo.png" /> </div> </div> <div id="content"> <div id="container"> <div id="main"> <div id="menu"> <ul> <table width="100%" border="0"> <tr> <td width="15%"></td> <td width="30%%"><li><a href="index.php">Search Assets</a></li></td> <td width="30%"><li><a href="addAsset.php">Add Asset</a></li></td> <td width="25%"></td> </tr> </table> </ul> </div> <div id="text"> <ul> <li> <h1>View Asset</h1> </li> </ul> <br /> <?php switch ($type){ case "Server": $result = QueryServer($id); $ServerArray = GetServerData($result); PrintServerTable($ServerArray); break; case "Desktop"; break; case "Laptop"; break; } ?> </div> </div> </div> <div class="clear"></div> <div id="footer" align="center"> <p>&nbsp;</p> </div> </div> <div id="tagline"> Wagman Construction - Bridging Generations since 1902 </div> </body> </html>

    Read the article

  • Show list items specific to user sharepoint

    - by Sachin
    Hi all, In my project i have a asset list which contains "request to download" link. In the same list there is "download link" column which is default empty. Now when any user clicks on request to download link a workflow is activated and it will send request to approver to approve or reject the download request. If approver accept the request then the "download link" column in the asset list will be updated by some URL which redirect user to download page. Now what happen is, if user A send request to download asset to approver and approver approves it this will update respective item in asset list and put a download URL in "Download Link" column but if user B get look for the same record in asset list the download link will be visible to this user too which is wrong. I want to display download link columns value to only those user whos request has been approve. FYI: I am using WSS 3.0 Can anyone help me what should be the best approch to do this...? Thanks in Advance Sachin

    Read the article

  • jqGrid concatinating/building html tag incorrectly

    - by Energetic Pixels
    Please excuse to length of post. But I needed to explain what I am seeing. I have a onSelectRow option that is supposed to build stacked html <li> tags (such as <li>...</li> <li>...</li> <li>...</li> ) up to the number of static xml elements that I am looking at. But my script is concatinating all the image src links together instead of building the whole listobject tag. Everything else in my jqGrid script works with exception of repeated elements inside my xml. onSelectRow: function() { var gsr = $('#searchResults').jqGrid('getGridParam', 'selrow'); if (gsr) { var data = $('#searchResults').jqGrid('getRowData', gsr); $('#thumbs ul').html('<li><a class='thumb' href='' + data.piclocation + '' title='' + data.pictitle + ''><img src='" + data.picthumb + "' alt='" + data.pictitle + "' /></a><div class='caption'><div class='image-title'>" + data.pictitle + "</div></div></li>"); };" my xml file is something like this: <photo> <pic> <asset>weaponLib/stillMedia/slides/A106.jpg</asset> <thumb>weaponLib/stillMedia/thumbs/A106.jpg</thumb> <caption>Side view of DODIC A106</caption> <title>Side view of 22 caliber long rifle ball cartridge</title> </pic> <pic> <asset>weaponLib/stillMedia/slides/A106_A.jpg</asset> <thumb>weaponLib/stillMedia/thumbs/A106_A.jpg</thumb> <caption>Side view of DODIC A106</caption> <title>Side view of 22 caliber long rifle ball cartridge</title> </pic> <pic> <asset>weaponLib/stillMedia/slides/A106_B.jpg</asset> <thumb>weaponLib/stillMedia/thumbs/A106_B.jpg</thumb> <caption>Side view of DODIC A106</caption> <title>Side view of 22 caliber long rifle ball cartridge</title> </pic> <pic> <asset>weaponLib/stillMedia/slides/A106_C.jpg</asset> <thumb>weaponLib/stillMedia/thumbs/A106_C.jpg</thumb> <caption>Side view of DODIC A106</caption> <title>Side view of 22 caliber long rifle ball cartridge</title> </pic> <pic> <asset>weaponLib/stillMedia/slides/A106_D.jpg</asset> <thumb>weaponLib/stillMedia/thumbs/A106_D.jpg</thumb> <caption>Side view of DODIC A106</caption> <title>Side view of 22 caliber long rifle ball cartridge</title> </pic> My script works fine when it only sees one sequence, but when it sees more than one it puts all html inside the tags together then for the caption and title does the same for them. It generates only one <li></li> tag set instead of 5 in the example above like I want. The <li> tags are being used by a slideshow (with thumbnails) utility. Inside firebug, I can see the object that it is built for me: <a title="Side view of 22 caliber long rifle ball cartridgeSide view of 22 caliber long rifle ball cartridgeSide view of 22 caliber long rifle ball cartridgeSide view of 22 caliber long rifle ball cartridgeSide view of 22 caliber long rifle ball cartridge" href="weaponLib/stillMedia/slides/A106.jpgweaponLib/stillMedia/slides/A106_A.jpgweaponLib/stillMedia/slides/A106_B.jpgweaponLib/stillMedia/slides/A106_C.jpgweaponLib/stillMedia/slides/A106_D.jpg" class="thumb"><img alt="Side view of 22 caliber long rifle ball cartridgeSide view of 22 caliber long rifle ball cartridgeSide view of 22 caliber long rifle ball cartridgeSide view of 22 caliber long rifle ball cartridgeSide view of 22 caliber long rifle ball cartridge" src="weaponLib/stillMedia/thumbs/A106.jpgweaponLib/stillMedia/thumbs/A106_A.jpgweaponLib/stillMedia/thumbs/A106_B.jpgweaponLib/stillMedia/thumbs/A106_C.jpgweaponLib/stillMedia/thumbs/A106_D.jpg"></a> Within jqGrid, the cell is holding: <td title="weaponLib/stillMedia/slides/A106.jpgweaponLib/stillMedia/slides/A106_A.jpgweaponLib/stillMedia/slides/A106_B.jpgweaponLib/stillMedia/slides/A106_C.jpgweaponLib/stillMedia/slides/A106_D.jpg" style="text-align: center; display: none;" role="gridcell">weaponLib/stillMedia/slides/A106.jpgweaponLib/stillMedia/slides/A106_A.jpgweaponLib/stillMedia/slides/A106_B.jpgweaponLib/stillMedia/slides/A106_C.jpgweaponLib/stillMedia/slides/A106_D.jpg</td> I know that jqGrid is building it wrong. I am double-stumped as to direction to fix it. Any suggestions would be greatly greatly appreciated. tony

    Read the article

  • How can one cache bust files referenced in a LESS file when using Symfony2, Twig, and Assetic?

    - by user3719083
    I have a web site built on Symfony2 which uses twig templates, LESS, and assetic. In order to cache bust assets, I'm simply using this in my config.yml: framework: templating: engines: ['twig'] assets_version: 'asset-version-here' And then I use the asset() function to load the asset and the cache busting is handled for me. However, the concern I have is when I load my LESS (css) file, there are references to other files, and I would like to know how these files can be cache busted as well. Example: .someSelector { background:url('../images/filename.png'); } How can I make sure that the referenced file, filename.png is cache busted upon deployment? The asset files referenced in Twig using asset() are cache busted automatically upon deployment (I use a deployment script hook that updates the assets_version in the framework's config), but those referenced in a stylesheet are not. How can I do this?

    Read the article

  • Hibernate HQL and Grails- How do I compare collections?

    - by BurtP
    Hi everyone (my first post!), I have an HQL question (in Groovy/Grails) I was hoping someone could help me with. I have a simple Asset object with a one-to-many Tags collection. class Asset { Set tags static hasMany = [tags:Tag] } class Tag { String name } What I'm trying to do in HQL: A user passes in some tags in params.tags (ex: groovy grails rocks) and wants to return Asset(s) that have those tags, and only those exact tags. Here's my HQL that returns Assets if one or more of the tags are present in an Assets tags: SELECT DISTINCT a FROM Asset a LEFT JOIN a.tags t WHERE t IN (:tags) assetList = Asset.executeQuery( hql, [tags:tokenizedTagListFromParams] The above code works perfect, but its really like an OR. If any of the tag(s) are found, it will return that Asset. I only want to return Assets that have those exact same tags (in number as well). Every time a new tag is created, I new Tag(name:xxx).save() so I can get the Tag instances and unique ID's for each tag that was asked for. I also tried converting the passed in tags to a list of Tag instances with Tag.findByName(t1) for each tag, and also a list of (unique) Tag Id's into the HQL above with no luck. I would appreciate any help/advice. Thank you for your time, Burt

    Read the article

  • Integrating with Oracle Fusion Applications: Discovering Integration Artifacts

    - by Lionel Dubreuil
    Oracle Enterprise Repository serves as the core element to the Oracle SOA Governance solution. An industry-leading metadata repository, Oracle Enterprise Repository provides a solid foundation for delivering governance throughout the service-oriented architecture (SOA) lifecycle by acting as the single source of truth for information surrounding SOA assets and their dependencies. For Fusion Applications, the use of OER has been extended to include other integration asset types such as interface tables and other technical information such as data models, tables, views, lookups, profile options, et cetera. E-Business Suite users familiar with iRepository or eTRM will recognize the functionality in Fusion Applications OER. Oracle Enterprise Repository for Fusion Applications provides a common catalog of technical information, searchable using many different mechanisms. Customers can locate technical information by the name, description or keyword of the information they are looking for. They can also search by the type of asset they are trying to locate and/or where the asset sits in the product taxonomy. They can also see the how the asset dances in the choreography of some illustrative co-existence scenarios. These scenarios are laid out as both functional flow diagrams as well as technical interaction diagrams. Rajesh Raheja, software architect at Oracle, has recently posted an article on this topic: visibility and control are the key tenets to SOA governance, and the first step in integrating with Oracle Fusion Applications is to find out what are the integration options available. Oracle Enterprise Repository, an industry-leading metadata repository, provides this visibility. You can find his full blog post here.

    Read the article

  • How are large companies handling the storing and cataloging of software installation disks?

    - by CT
    I just started working in the IT department of a small-medium sized construction company with about 200 users. One of my responsibilities is to setup and configure all new machines that come in. I would like suggestions on how to best manage the installation disks and licenses of the software that comes with them. Plus any additional licensed software such as Autocad, Photoshop, etc as well as peripheral driver disks such as printers and scanners. Right now every machine is associated and labeled with an asset id. All asset ids are kept in a spreadsheet with applicable serial numbers, current user, warranty info, and software licenses. The physical disks are then kept within a folder in a cabinet. Each folder is marked with the asset id number as well as the current user. My problems with this is that the system was not maintained very completely before I came to the company. There are plenty of software folders with no asset ids labeled on them. Plenty of missing software folders (most likely are a lot of the unlabeled folders). Folders with names but not asset ids. Machines get switched to different users without the folders and spreadsheet being updated. I am not saying this method would necessarily be bad if it was better implemented and managed, but if I am going to have to take a lot of time to fix this system currently in place. I thought I would ask the community first on how others manage this process in case there are easier, more efficient ways of doing so. Thank you.

    Read the article

  • Computer Networks UNISA - Chap 15 &ndash; Network Management

    - by MarkPearl
    After reading this section you should be able to Understand network management and the importance of documentation, baseline measurements, policies, and regulations to assess and maintain a network’s health. Manage a network’s performance using SNMP-based network management software, system and event logs, and traffic-shaping techniques Identify the reasons for and elements of an asset managements system Plan and follow regular hardware and software maintenance routines Fundamentals of Network Management Network management refers to the assessment, monitoring, and maintenance of all aspects of a network including checking for hardware faults, ensuring high QoS, maintaining records of network assets, etc. Scope of network management differs depending on the size and requirements of the network. All sub topics of network management share the goals of enhancing the efficiency and performance while preventing costly downtime or loss. Documentation The way documentation is stored may vary, but to adequately manage a network one should at least record the following… Physical topology (types of LAN and WAN topologies – ring, star, hybrid) Access method (does it use Ethernet 802.3, token ring, etc.) Protocols Devices (Switches, routers, etc) Operating Systems Applications Configurations (What version of operating system and config files for serve / client software) Baseline Measurements A baseline is a report of the network’s current state of operation. Baseline measurements might include the utilization rate for your network backbone, number of users logged on per day, etc. Baseline measurements allow you to compare future performance increases or decreases caused by network changes or events with past network performance. Obtaining baseline measurements is the only way to know for certain whether a pattern of usage has changed, or whether a network upgrade has made a difference. There are various tools available for measuring baseline performance on a network. Policies, Procedures, and Regulations Following rules helps limit chaos, confusion, and possibly downtime. The following policies and procedures and regulations make for sound network management. Media installations and management (includes designing physical layout of cable, etc.) Network addressing policies (includes choosing and applying a an addressing scheme) Resource sharing and naming conventions (includes rules for logon ID’s) Security related policies Troubleshooting procedures Backup and disaster recovery procedures In addition to internal policies, a network manager must consider external regulatory rules. Fault and Performance Management After documenting every aspect of your network and following policies and best practices, you are ready to asses you networks status on an on going basis. This process includes both performance management and fault management. Network Management Software To accomplish both fault and performance management, organizations often use enterprise-wide network management software. There various software packages that do this, each collect data from multiple networked devices at regular intervals, in a process called polling. Each managed device runs a network management agent. So as not to affect the performance of a device while collecting information, agents do not demand significant processing resources. The definition of a managed devices and their data are collected in a MIB (Management Information Base). Agents communicate information about managed devices via any of several application layer protocols. On modern networks most agents use SNMP which is part of the TCP/IP suite and typically runs over UDP on port 161. Because of the flexibility and sophisticated network management applications are a challenge to configure and fine-tune. One needs to be careful to only collect relevant information and not cause performance issues (i.e. pinging a device every 5 seconds can be a problem with thousands of devices). MRTG (Multi Router Traffic Grapher) is a simple command line utility that uses SNMP to poll devices and collects data in a log file. MRTG can be used with Windows, UNIX and Linux. System and Event Logs Virtually every condition recognized by an operating system can be recorded. This is typically done using event logs. In Windows there is a GUI event log viewer. Similar information is recorded in UNIX and Linux in a system log. Much of the information collected in event logs and syslog files does not point to a problem, even if it is marked with a warning so it is important to filter your logs appropriately to reduce the noise. Traffic Shaping When a network must handle high volumes of network traffic, users benefit from performance management technique called traffic shaping. Traffic shaping involves manipulating certain characteristics of packets, data streams, or connections to manage the type and amount of traffic traversing a network or interface at any moment. Its goals are to assure timely delivery of the most important traffic while offering the best possible performance for all users. Several types of traffic prioritization exist including prioritizing traffic according to any of the following characteristics… Protocol IP address User group DiffServr VLAN tag in a Data Link layer frame Service or application Caching In addition to traffic shaping, a network or host might use caching to improve performance. Caching is the local storage of frequently needed files that would otherwise be obtained from an external source. By keeping files close to the requester, caching allows the user to access those files quickly. The most common type of caching is Web caching, in which Web pages are stored locally. To an ISP, caching is much more than just convenience. It prevents a significant volume of WAN traffic, thus improving performance and saving money. Asset Management Another key component in managing networks is identifying and tracking its hardware. This is called asset management. The first step to asset management is to take an inventory of each node on the network. You will also want to keep records of every piece of software purchased by your organization. Asset management simplifies maintaining and upgrading the network chiefly because you know what the system includes. In addition, asset management provides network administrators with information about the costs and benefits of certain types of hardware or software. Change Management Networks are always in a stage of flux with various aspects including… Software changes and patches Client Upgrades Shared Application Upgrades NOS Upgrades Hardware and Physical Plant Changes Cabling Upgrades Backbone Upgrades For a detailed explanation on each of these read the textbook (Page 750 – 761)

    Read the article

  • Loading content (meshes, textures, sounds) in the background

    - by Boreal
    In my game, I am aiming for a continuous world, that is, a world where you can go anywhere without breaking the immersion through load times and "virtual seams". My world is broken up into regions, which are nodes in a graph. A region is considered adjacent to another if it can be travelled to or seen from that region. In order to keep this continuous, I want to preload the assets needed in the adjacent regions (such as world meshes, textures, and music) before they are actually used. As for actually loading the content, I use a manager that keeps at most one copy of each asset in memory at a time, accessible by its filename. When I try to access an asset, it loads it (if necessary) and then returns it. I can then unload any asset that is currently loaded to save memory. Clearly, I want to do this in the background so there are no hiccups. I assume I have to use threads in some way, but I'm not sure how.

    Read the article

  • June 14th Webcast: Using Personalization in Oracle eAM

    - by Oracle_EBS
    ADVISOR WEBCAST: Using Personalization in Oracle eAMPRODUCT FAMILY: Enterprise Asset Management June 14, 2012 at 11 am ET, 9 am MT, 8 am PT Personalization is the ability within an E-Business Suite instance to make changes to the look and behavior of OA Framework-based pages without programming (and, therefore, upgradeable!).TOPICS WILL INCLUDE: Oracle eAM customers have leveraged Personalization to address many of the following use cases: making a non-mandatory field mandatory on a Work Order adding a new field to the header region entering the specifications for a new field disabling a field to prevent user entry adding Asset Description to Create Work Request Page viewing Asset Hierarchy in Create Work Request Page setting Auto Request Material Flag to yes by default A short, live demonstration (only if applicable) and question and answer period will be included. Oracle Advisor Webcasts are dedicated to building your awareness around our products and services. This session does not replace offerings from Oracle Global Support Services. Current Schedule can be found on Note 740966.1 Post Presentation Recordings can be found on Note 740964.1

    Read the article

  • how convert DataTable to List<String> in C#

    - by Jitendra Jadav
    Hello Everyone .. I am using C# Linq now I am converting DataTable to List and I am getting stuck... give me right direction thanks.. private void treeview1_Expanded(object sender, RoutedEventArgs e) { coa = new List<string>(); //coa = (List<string>)Application.Current.Properties["CoAFull"]; HMDAC.Hmclientdb db = new HMDAC.Hmclientdb(HMBL.Helper.GetDBPath()); var data = (from a in db.CoA where a.ParentId == 0 && a.Asset == true select new { a.Asset, a.Category, a.CoAName, a.Hide, a.Recurring, a.TaxApplicable }); DataTable dtTable = new DataTable(); dtTable.Columns.Add("Asset", typeof(bool)); dtTable.Columns.Add("Category", typeof(string)); dtTable.Columns.Add("CoAName", typeof(string)); dtTable.Columns.Add("Hide", typeof(bool)); dtTable.Columns.Add("Recurring", typeof(bool)); dtTable.Columns.Add("TaxApplicable", typeof(bool)); if (data.Count() > 0) { foreach (var item in data) { DataRow dr = dtTable.NewRow(); dr["Asset"] = item.Asset; dr["Category"] = item.Category; dr["CoAName"] = item.CoAName; dr["Hide"] = item.Hide; dr["Recurring"] = item.Recurring; dr["TaxApplicable"] = item.TaxApplicable; dtTable.Rows.Add(dr); } } coa = dtTable; }

    Read the article

  • grouping data from two dataset

    - by Garcia Julien
    hi, i've got a problem with dataset: I've got two dataset from two different server but they have the same columns. so it's like that: First DataSet : asset description make jobtype jan feb ... dec 0001 mine ik Acc 0 0 10 0002 yours ic Over 0 0 10 Second dataset : asset description make jobtype jan feb ... dec 0001 mine ik Acc 10 0 10 0002 yours ic Gen 0 0 0 But i would like to merge the 2 dataset into one like that: asset description make jobtype lhjan imjan lhfeb lhfeb ... lhdec imdec 0001 mine ik Acc 0 10 0 0 10 10 0002 yours ic Over 0 0 0 0 10 0 so all the data from one is combine with the second with the same asset and the same jobtype. I try linq but i can't arrive to make it like i want. I'm working on vb.net framework 3.5. could you help me? Julien

    Read the article

  • emberjs on symfony2 dev enviroment dont work propertly

    - by rkmax
    I've builded a app with symfony2 the app expose an REST Api. now i build a simple client for consuming app.coffee - app.js App = Em.Application.create ready: -> @.entradas.load() Entrada: Em.Object.extend() entradas: Em.ArrayController.create content: [] load: -> url = 'http://localhost/api/1/entrada' me = @ $.ajax( url: url, method: 'GET', success: (data) -> me.set('content', []) for entrada in data.data.objects me.pushObject DBPlus.Entrada.create(entrada) ) MyBundle:Home:index.html.twig <script type="text/x-handlebars" src="{{ asset('js/templates/entradas.hbs') }}"></script> <script src="{{ asset('js/libs/jquery-1.7.2.min.js') }}"></script> <script src="{{ asset('js/libs/handlebars-1.0.0.beta.6.js') }}"></script> <script src="{{ asset('js/libs/ember-1.0.pre.min.js') }}"></script> <script src="{{ asset('js/app.js') }}"></script> the problem here is when i run on dev enviroment and link the template like <script type="text/x-handlebars" src="{{...}}"> the app dont work, nothing show but works fine over prod enviroment. he only way that works on dev enviroment is inline template MyBundle:Home:index.html.twig <script type="text/x-handlebars"> {% raw %} <ul class="entradas"> {{#each App.entradas}} <li class="entrada">{{nombre}}</li> {{/each}} </ul> {% endraw %} </script> can explain why this behavoir? Note: I disabled the debug profiler toolbar, and nothing

    Read the article

  • Different Flavors of Leases Back On

    - by Theresa Hickman
    Given the continued interest regarding the proposed changes to Lease Accounting, I decided to write another entry on this controversial topic with colorful commentary from our resident accounting expert, Seamus Moran. Background (A History Lesson) Back in 1976, the FASB issued FAS 13, “Accounting for Leases” that permitted leases to be either an operating lease or capital (finance) lease. In substance, operating leases are a form of off-balance sheet financing. According to Seamus, operating leases date back to the launch of the Boeing 707 in the 1950s.  Because the aircraft was so much more expensive than previous aircrafts, the industry came up with the operating lease concept to accommodate these jet liners that dominated air transport.  How it worked was the bank would buy the plane and lease it to the airline.  Because the bank never controlled or flew the plane, they never placed the asset on their balance sheet, and because the airline never owned the plane, they didn’t place it on their balance sheet either. They simply treated the monthly lease payments as rental expenses on the P&L.   August 2010 Original Lease Accounting Changes In August 2010, FASB and IASB decided to overhaul lease accounting as part of their joint commitment “to insure that investors and other users of financial statements are provided useful, transparent, and complete information about leasing transactions in the financial statements.”  Some say that the current lease accounting standards are broken because it keeps assets off the balance sheet, hidden from investors’ view. The original proposal abolished operating leases and only permitted capital leases where all leases would be recorded on the balance sheet as assets and liabilities. The asset side would reflect the right to use the asset for the leased term, and the liability side would reflect the obligation to make lease payments.   Why Companies Were Freaking Out According to the SEC, the financial impact of the aforementioned lease changes was estimated to add more than $1.3 trillion of operating lease obligations to corporate balance sheets. Many companies in various industries, especially retail, are concerned because the changes are significant and will impact existing leases with no grandfather clause for existing operating leases. Of course, the banks and airlines I mentioned earlier really hate this because neither wants to report the airplane (now costing around $60 M) as an asset. Regular companies were concerned that they would have to report routine short term leases of real estate or equipment as fixed assets, even though they were really just longer term rentals.  One company we spoke to leased roadside billboards, and really did not consider them to be fixed assets in any way. Obviously, these changes would have had a profound and lasting effect on a company’s financial and real estate strategies and significantly impact its financial statements.  Financial statements would show higher depreciation and interest expense with significantly higher total assets and debt. In terms of financial metrics, they’re negatively impacted. It would raise a company’s debt-to-capital ratio to reflect the higher debt compared to equity, it would negatively impact their return-on-assets because now companies will appear more asset intensive, and it will decrease EPS, lowering shareholder ROI. Feb. 2011 Recent Update The comment period on leases closed in December 2010. The FASB and the IASB have met several times since then and published their initial responses to the input they received from the various interested parties.  They are “redeliberating” the principles involved in Lease Accounting.  Some of the issues they are looking at include: The core definition of a lease.  This will articulate principles on what is a lease and what is “not-a-lease.” One theory or supposition is that they might define a lease as the transfer of certain but not all major ownership attributes for a certain period of time.  So a year’s lease of an aircraft might be a “lease,” but a year’s lease of half a floor in an office building would be “not-a-lease.”  The ownership attributes transferred from the core owner to the user are different; the airline must maintain, paint, and do whatever it needs to do on the aircraft. However, the office renter will have strictly limited rights in respect to the rented space. The differences between a lease contract and service contract.  Even if they call them “leases” for the purpose of commercial law, a service contract might not be accounted for as a lease. The accounting to be done by the lessee.  They would define when the bank or landlord would retain the asset on their balance sheet, and perhaps by implication, when the lessor would not need to include the asset on theirs.  So if the finance house keeps the airplane or office on their balance sheet, the tenant doesn’t need to.  I’m not sure that I can draw the opposite conclusion where the finance house doesn’t report but the tenant must. The difference, if any, between a financing lease and other leases, and the implications to the accounting. The present value calculation when renewable terms exist. They have reduced the circumstances in which one must look at the renewable terms of a lease in calculating the present value.  In most circumstances, you will use the lease term rather than the potential renewable term. Their latest discussion this past week with the contents of the discussion was not available at the time of me writing this entry.  For more details, the results of the discussions are posted on both the FASB and the IASB websites. Implied Software Changes Whatever the final rules turn out to be, all ERP systems, such as Oracle E-Business Suite, PeopleSoft Enterprise, JD Edwards, and Oracle Hyperion will need to change their software to accommodate the new rules. The following lists some changes that might have to be made to accounting software depending on what the final standards will be in June 2011: Lease tracking may require modifications with tracking of additional lease details that might require a centralized repository to maintain Accounting may need to be modified as there are many changes to how capital leases and the new “other than finance” leases are accounted for both on the lessee and lessor side.  For example, valuation, amortization, and disclosure will be considerably different requiring different types of data to be captured. Companies may need to modify their chart of accounts depending on how they want to track leases, which could then impact financial reporting and consolidation Business processes may require changes which could then impact internal controls Software applications may need to perform more advanced computations on leases Reports and KPIs may need to reflect new operating metrics Hold Onto Your Seats           Before you redo all your lease agreements and call your software vendors asking when the changes to the software will be made, remember that the rules are not finalized yet, and from appearances, will not reflect the proposals in the exposure draft.  Not only are there objections to putting the operating lease assets on anyone’s balance sheet, there are lots of objections to subjectivity and the data required for the valuation.  According to Seamus, there is huge opposition from New York bankers, the airlines, the EU, the Communist Party of China (since it impacts their exporting business), and Republicans (hearing complaints from small and large businesses). Even if everyone can agree on the proposed changes, 2013 might be the earliest that companies would need to change how they report leases. The Boards will finish their deliberations in April, May or June 2011.  As we’ve seen with other Exposure Drafts, if the changes are minor and the principles met the General Acceptance consensus criteria, the Standard could be finalized at that time.  However, if substantial changes are made, a fresh exposure draft, comment period, and review period might be involved, too. Seamus added an interesting perspective. Even if the proposed changes do pass, don’t you think our customers, such as Boeing, GE Capital, United Airlines, etc. will be clever enough to come up with a new kind of financing arrangement that complies with the new accounting? How about the large retail customers, such as Best Buy and Macerich? Don’t you think they might simply cut deals around retail locations with new contracts that prevent their leases from being capital leases? Instead of blindly adapting the software to meet the principles outlined in the final standard, our software needs to accommodate how businesses will respond to the new rules. We cannot know our customers’ responses until the rules are finalized. Oracle is aware of the potential changes and is staying abreast of the developments through our domain expertise staff, our relationship with customers, our market awareness, and, of course, our relationships with the Big 4. This is part of our normal process with respect to worldwide regulatory compliance. Oracle products have been IFRS and GAAP compliant for years and we will continue to maintain those standards going forward.

    Read the article

  • MooTools events not firing in IE8

    - by gregory
    I have a Mootools asset created like so: // Create a new asset var asset = new Asset.image(path, { title: this.language.download, events: {click: this.download.bind(this, link)}, }); I have a method of a MooTools object defined as such: download: function(e) { // The path to download console.log('download: ' + e); }, In Firefox the console.log print shows up. In IE8, however, I have no luck. Am I missing something? Any tips or advice would be greatly appreciated. TIA!

    Read the article

  • turning open source software into a consulting business ?

    - by sofreakinghigh
    just some general and specific questions about running a business which uses open source software and sells training, services, and other value added solutions utilizing the open source asset(s). 1) how much modification do you need to make to an existing open source software/framework to give a new brand ? open source (GPLv3) branding issues here.... for ex) Mambo and Joomla, i think they are pretty much same ? but they have different labels. 2) Is there a disadvantage of promoting open source software/framework/suite in hopes of selling value added services and solutions on top of the Open source asset ? 3) can Open source assets be marketing point for lowered Total Ownership Cost and transparency ? meaning, clients will not be using some mysterious, opaque proprietary asset ? 4) is competition fierce? cost of developing software is non existing because you are using an open source asset. barrier to entry is minimal ??

    Read the article

  • What is wrong with my SQL syntax here?

    - by CT
    I'm trying to create a IT asset database with a web front end. I've gathered some data from forms using POST as well as one variable that had already written to a cookie. This is the first time I have tried to enter the data into the database. Here is the code: <?php //get data $id = $_POST['id']; $company = $_POST['company']; $location = $_POST['location']; $purchase_date = $_POST['purchase_date']; $purchase_order = $_POST['purchase_order']; $value = $_POST['value']; $type = $_COOKIE["type"]; $notes = $_POST['notes']; $manufacturer = $_POST['manufacturer']; $model = $_POST['model']; $warranty = $_POST['warranty']; //set cookies setcookie('id', $id); setcookie('company', $company); setcookie('location', $location); setcookie('purchase_date', $purchase_date); setcookie('purchase_order', $purchase_order); setcookie('value', $value); setcookie('type', $type); setcookie('notes', $notes); setcookie('manufacturer', $manufacturer); setcookie('model', $model); setcookie('warranty', $warranty); //checkdata //start database interactions // connect to mysql server and database "asset_db" mysql_connect("localhost", "asset_db", "asset_db") or die(mysql_error()); mysql_select_db("asset_db") or die(mysql_error()); // Insert a row of information into the table "asset" mysql_query("INSERT INTO asset (id, company, location, purchase_date, purchase_order, value, type, notes) VALUES('$id', '$company', '$location', '$purchase_date', $purchase_order', '$value', '$type', '$notes') ") or die(mysql_error()); echo "Asset Added"; // Insert a row of information into the table "server" mysql_query("INSERT INTO server (id, manufacturer, model, warranty) VALUES('$id', '$manufacturer', '$model', '$warranty') ") or die(mysql_error()); echo "Server Added"; //destination url //header("Location: verify_submit_server.php"); ?> The error I get is: You have an error in your SQL syntax; check the manual that corresponds to your MySQL server version for the right syntax to use near '', '678 ', 'Server', '789')' at line 2 That data is just test data I was trying to throw in there, but it looks to be the at the $value, $type, $notes. Here are the table create statements if they help: <?php // connect to mysql server and database "asset_db" mysql_connect("localhost", "asset_db", "asset_db") or die(mysql_error()); mysql_select_db("asset_db") or die(mysql_error()); // create asset table mysql_query("CREATE TABLE asset( id VARCHAR(50) PRIMARY KEY, company VARCHAR(50), location VARCHAR(50), purchase_date VARCHAR(50), purchase_order VARCHAR(50), value VARCHAR(50), type VARCHAR(50), notes VARCHAR(200))") or die(mysql_error()); echo "Asset Table Created.</br />"; // create software table mysql_query("CREATE TABLE software( id VARCHAR(50) PRIMARY KEY, software VARCHAR(50), license VARCHAR(50))") or die(mysql_error()); echo "Software Table Created.</br />"; // create laptop table mysql_query("CREATE TABLE laptop( id VARCHAR(50) PRIMARY KEY, manufacturer VARCHAR(50), model VARCHAR(50), serial_number VARCHAR(50), esc VARCHAR(50), user VARCHAR(50), prev_user VARCHAR(50), warranty VARCHAR(50))") or die(mysql_error()); echo "Laptop Table Created.</br />"; // create desktop table mysql_query("CREATE TABLE desktop( id VARCHAR(50) PRIMARY KEY, manufacturer VARCHAR(50), model VARCHAR(50), serial_number VARCHAR(50), esc VARCHAR(50), user VARCHAR(50), prev_user VARCHAR(50), warranty VARCHAR(50))") or die(mysql_error()); echo "Desktop Table Created.</br />"; // create server table mysql_query("CREATE TABLE server( id VARCHAR(50) PRIMARY KEY, manufacturer VARCHAR(50), model VARCHAR(50), warranty VARCHAR(50))") or die(mysql_error()); echo "Server Table Created.</br />"; ?> Running a standard LAMP stack on Ubuntu 10.04. Thank you.

    Read the article

  • Thank you for joining us @ Collaborate!

    - by mark.kromer
    Many thanks to those of you that were able to join us @ the Oracle User Conference Collaborate 2010 this year in Vegas! We all had a great time and as promised, I am including a copy of the slides that I presented with Mark Rosenberg on PeopleSoft with Primavera to provide EPPM for the capital program & asset lifecycles: Collaborate presentation Asset Lifecycle with Primavera and PSFT Best, Mark

    Read the article

  • How to disabled the input,textarea,select using this code..

    - by kumar
    Hello friends I am using this code in my view.. <%@ Control Language="C#" Inherits="System.Web.Mvc.ViewUserControl<NorthernTrust.ATP.iTool.Core.Business.Entities.Exceptions.PricingMassEditBE>" %> <script type="text/javascript"> $("#PricingEditExceptions").find("input, select,textarea").attr('disabled', 'disabled'); </script> <%var a = Model; %> <fieldset id="PricingEditExceptions"> <div class="fiveper"> <label>FM#: <span><%=(null != a) ? Model.Asset.FundmasterSec : null%></span></label> <label>TNT#:<span><%=(null != a) ? Model.Asset.TNTSecurity: null%></span></label> <label>CUSIP#: <span><%=(null != a) ? Model.Asset.CUSIP :null%></span></label> <label>Asset:<span><%=(null != a) ? Model.Asset.AssetClassCode: null%></span></label> <label>Issue:<span><%=(null != a) ? Model.Asset.IssueType: null%></span></label> <label>COQ:<span><%=(null != a) ? Model.Asset.CodeCountryofQuotationName: null%></span></label> <label>CCY:<span><%=(null != a) ? Model.Asset.CurrencyCode: null%></span></label> <label>&nbsp;</label> </div> <div class="fiveper"> <input id="check1" type="checkbox" name="PMchk" value="<%=Model.ExceptionID%>" /> <label>ID#: <span><%=(null != a) ? Model.ExceptionID : 0%></span></label> <label for="ExceptionStatus"> Status: <span id="gui-stat-<%=Model.ExceptionID %>"> <%=Model.LookupCodes["C_EXCPT_STAT"].FirstOrDefault(model => model.Key.Trim().Equals(Model.ExceptionStatus.Trim())).Value%></span> </label> <label for="ResolutionCode"> Resolution: <span> <%=Html.DropDownListFor(model => model.ResolutionCode, new SelectList(Model.LookupCodes["C_EXCPT_RESL"], "Key", "Value", (null != Model.ResolutionCode) ? Model.ResolutionCode.Trim() : Model.ResolutionCode))%> </span> </label> <label for="ReasonCode"> Reason: <span><%=Html.DropDownListFor(model => model.ReasonCode, new SelectList(Model.LookupCodes["C_EXCPT_RSN"], "Key", "Value", (null != Model.ReasonCode) ? Model.ReasonCode.Trim() : Model.ReasonCode))%></span> </label> <label>Action Taken:<span><%=Html.DropDownListFor(model => model.ActionCode, new SelectList(Model.LookupCodes["C_EXCPT_ACT"], "Key", "Value", (null != Model.ActionCode) ? Model.ActionCode.Trim() : Model.ActionCode))%></span></label> <label>&nbsp;</label> </div> <div class="fiveper"> <label>Follow-Up:<span class="datepicker-container"><input type="text" id="exc-flwup-<%=Model.ExceptionID %>" name="exc-flwup-<%=Model.ExceptionID %>" value="<%=Model.FollowupDate %>" /></span></label> <label>Inqurity #: <span><%=Html.EditorFor(model => model.IOL)%></span> </label> <label>&nbsp;</label> <label>Comment: <span> <%=Html.TextAreaFor(model => model.Comment, new { })%> <%=Html.ValidationMessageFor(model => model.Comment)%> </span> </label> </div> <div id="hide" style="display:none"> <label><span><%=Model.Sequence %></span></label> <label><span><%=Model.AssignedId %></span></label> <span id="gui-stat-<%=Model.ExceptionID%>"> <%=Model.LookupCodes["C_EXCPT_STAT"].FirstOrDefault(model => model.Key.Trim().Equals(Model.ExceptionStatus.Trim())).Value%></span> <span>Last Updated:</span> <%=Model.LastUpdateUser.StartsWith("ATPB") ? "SYSTEM" : Model.LastUpdateUser%><br /> <%=Model.LastUpdated%> <% if (DateTime.Now.Date == Model.LastUpdated.Value .Date ) {%> <%=Math.Round((DateTime.Now - (DateTime)Model.LastUpdated).TotalHours, 0)%> hr<%} %> <p> <%=Html.EditorFor(model => model.SequenceDateTimeAsString)%> <%=Html.EditorFor(model => model.AssignedId)%> <span><%=Html.EditorFor(model => model.Origination)%></span> </p> </div> </fieldset> <script type="text/javascript"> $(document).ready(function() { function validate_excpt(formData, jqForm, options) { var form = jqForm[0]; } // post-submit callback function showResponse(responseText, statusText, xhr, $form) { if (responseText.substring(0, 16) != "System.Exception") { $('#error-msg-<%=Model.ExceptionID %> span:last').html('<strong>Update successful.</strong>'); } else { $('#error-msg-<%=Model.ExceptionID %> span:last').html('<strong>Update failed.</strong> ' + responseText.substring(0, 48)); } $('#error-msg-<%=Model.ExceptionID %>').removeClass('hide'); $('#gui-stat-<%=Model.ExceptionID %>').html(responseText[1]); } $('#exc-<%=Model.ExceptionID %>').ajaxForm({ target: '#error-msg-<%=Model.ExceptionID %>', beforeSubmit: validate_excpt, success: showResponse, dataType: 'json' }).enable(<%=Model.EnableEdit.ToString().ToLower() %>); $("input[id^='exc-flwup-']").datepicker({ duration: 0, buttonImage: '/Content/images/calender.gif', buttonImageOnly: true, showOn:'button', constrainInput: true, showTime: true, stepMinutes: 30, stepHours: 1, altTimeField: '', time24h: true, minDate: 0 }); $("input[id^='exc-flwup-<%=Model.ExceptionID%>']").click(function() { $(this).val(''); }); $('#ui-timepicker-div').bgiframe(); }); </script> Using this code I am disabling the fields when the view loads.. like this my view displyas for number of users which I am going to selct using this below code I am able to disable only first Fiedset not for other fieldsets? $("#Fieldset1").find("input, select,textarea").attr('disabled', 'disabled'); why its happening? I need to disable for how many users I select.... thanks..

    Read the article

  • How to make disabled or enabled on check box selection using jquery

    - by kumar
    Hello Friends, I am using this code to make enabling or disabling based on checkbox selection $('#Pchk').change(function() { var che =$('input[name=PMchk]').is(':checked'); if(!che) { $('fieldset').find("input,select,textarea").removeAttr('disabled'); } else { $('fieldset').find("input:not(:checkbox),select,textarea").attr('disabled', 'disabled'); $('#genericfieldset').find("input,select,textarea").removeAttr('disabled'); } }); Here is my Fieldset <fieldset calss="pricingM" id="PricingEditExceptions"> <div class="fiveper"> <label>FM#: <span><%=(null != a) ? Model.Asset.FundmasterSec : null%></span></label> <label>TNT#:<span><%=(null != a) ? Model.Asset.TNTSecurity: null%></span></label> <label>CUSIP#: <span><%=(null != a) ? Model.Asset.CUSIP :null%></span></label> <label>Asset:<span><%=(null != a) ? Model.Asset.AssetClassCode: null%></span></label> <label>Issue:<span><%=(null != a) ? Model.Asset.IssueType: null%></span></label> <label>COQ:<span><%=(null != a) ? Model.Asset.CodeCountryofQuotationName: null%></span></label> <label>CCY:<span><%=(null != a) ? Model.Asset.CurrencyCode: null%></span></label> <label>&nbsp;</label> </div> <div class="fiveper" id="display"> <input id="Pchk" type="checkbox" name="PMchk" value="<%=Model.ExceptionID%>" /> <label>ID#: <span><%=(null != a) ? Model.ExceptionID : 0%></span></label> <label for="ExceptionStatus"> Status: <span id="gui-stat-<%=Model.ExceptionID %>"> <%=Model.LookupCodes["C_EXCPT_STAT"].FirstOrDefault(model => model.Key.Trim().Equals(Model.ExceptionStatus.Trim())).Value%></span> </label> <label for="ResolutionCode"> Resolution: <span> <%=Html.DropDownListFor(model => model.ResolutionCode, new SelectList(Model.LookupCodes["C_EXCPT_RESL"], "Key", "Value", (null != Model.ResolutionCode) ? Model.ResolutionCode.Trim() : Model.ResolutionCode))%> </span> </label> <label for="ReasonCode"> Reason: <span><%=Html.DropDownListFor(model => model.ReasonCode, new SelectList(Model.LookupCodes["C_EXCPT_RSN"], "Key", "Value", (null != Model.ReasonCode) ? Model.ReasonCode.Trim() : Model.ReasonCode))%></span> </label> <label>Action Taken:<span><%=Html.DropDownListFor(model => model.ActionCode, new SelectList(Model.LookupCodes["C_EXCPT_ACT"], "Key", "Value", (null != Model.ActionCode) ? Model.ActionCode.Trim() : Model.ActionCode))%></span></label> <label>&nbsp;</label> </div> <div class="fiveper"> <label>Follow-Up:<span class="datepicker-container"><input type="text" id="exc-flwup-<%=Model.ExceptionID %>" name="exc-flwup-<%=Model.ExceptionID %>" value="<%=Model.FollowupDate %>" /></span></label> <label>Inqurity #: <span><%=Html.EditorFor(model => model.IOL)%></span> </label> <label>&nbsp;</label> <label>Comment: <span> <%=Html.TextAreaFor(model => model.Comment, new { })%> <%=Html.ValidationMessageFor(model => model.Comment)%> </span> </label> </div> <div id="hide" style="display:none"> <label><span><%=Model.Sequence %></span></label> <label><span><%=Model.AssignedId %></span></label> <span id="gui-stat-<%=Model.ExceptionID%>"> <%=Model.LookupCodes["C_EXCPT_STAT"].FirstOrDefault(model => model.Key.Trim().Equals(Model.ExceptionStatus.Trim())).Value%></span> <span>Last Updated:</span> <%=Model.LastUpdateUser.StartsWith("ATPB") ? "SYSTEM" : Model.LastUpdateUser%><br /> <%=Model.LastUpdated%> <% if (DateTime.Now.Date == Model.LastUpdated.Value .Date ) {%> <%=Math.Round((DateTime.Now - (DateTime)Model.LastUpdated).TotalHours, 0)%> hr<%} %> <p> <%=Html.EditorFor(model => model.SequenceDateTimeAsString)%> <%=Html.EditorFor(model => model.AssignedId)%> <span><%=Html.EditorFor(model => model.Origination)%></span> </p> </div> </fieldset> If I selct Four Users this Fieldset result will come in Four boxes....each box having Checkbox..Initially when the page loads I am disabling $('fieldset').find("input:not(:checkbox),select,textarea").attr('disabled','disabled'); ok with my Checkbox Change Funtion I am trying to make Enable or disable my Fieldset.. H here I need to handle Individual Fieldset based on Chekcbox.. right now If I select one check box all Fieldset inpu,select,texarea are making Disabled or Enable.. can anyone tell me how to handle Individual Fieldset on the same page/ thanks

    Read the article

  • Hotspotting - tying Visualization into Other applications

    - by warren.baird
    AutoVue 20 included our first step towards providing a rich hotspotting capability that will allow visualization capabilities to be very tightly integrated into a wide range of applications. The idea is to have a close link between the visual representation of an object or place, and the business objects associated with that object or place. We've been working with our partner Enigma to enable this capability in their parts catalogue - the screenshot above shows what it looks like - the image on the right is a trimmed down version of AutoVue displaying a drawing of the various parts in an interactive way - when you click on item '6' in the AutoVue drawing, the appropriate item is highlighted in the parts catalogue - making it easy to select the parts you need, and to ensure that the correct parts are selected. The integration works in both directions - when you select a part in the part catalogue, the appropriate part is highlighted in the drawing as well. To get slightly technical for a moment, this is a simple javascript integration - the external application provides a javascript callback that AutoVue calls whenever an item is clicked on, and AutoVue provides a javascript function to call when an item is selected in the external application. There are also direct java APIs available. This makes it easy to tie AutoVue into many types of applications - you can imagine in an asset lifecycle management application being able to click on the appropriate asset in a drawing to create a work-order, instead of finding the right asset ID to enter. Or being able to click on a part or sub-assembly to trigger a change order in a product lifecycle management application. We're pretty excited about the possibilities that this capability opens up, and plan on expanding on it a lot in the future. Would this be useful in your enterprise applications? What kinds of integrations like this would be useful for you? Let us know in the comments below!

    Read the article

  • How to Load Dependent Files on Demand + Check if They're Loaded or Not?

    - by br4inwash3r
    I'm trying to implement an assets/dependency loader that i've found from an old article at 24Ways.org. most of you might be familiar with it. it's from this article by Christian Heilmann: http://24ways.org/2007/keeping-javascript-dependencies-at-bay i've modified the script to load CSS files as well. and it's now quite close to what i want. but i still need to do some checking to see wether an asset have been completely loaded or not. just wondering if you guys have any ideas :) here's what my script currently looked like: var assetLoader = { assets: { products: { js: 'products.js', css: 'products.css', loaded: false }, articles: { js: 'articles.js', css: 'articles.css', loaded: false }, [...] cycle: { js: 'jquery.cycle.min.js', loaded: false }, swfobject: { js: 'jquery.swfobject.min.js', loaded: false } }, add: function(asset) { var comp = assetLoader.assets[asset]; var path = '/path/to/assets/'; if (comp && comp.loaded == false) { if (comp.js) { // load js var js = document.createElement('script'); js.src = path + 'js/' + comp.js; js.type = 'text/javascript'; js.charset = 'utf-8'; // append to document document.getElementsByTagName('body')[0].appendChild(js); } if (comp.css) { // load css var css = document.createElement('link'); css.rel = 'stylesheet'; css.href = path + 'css/' + comp.css; css.type = 'text/css'; css.media = 'screen, projection'; css.charset = 'utf-8'; // append to document document.getElementsByTagName('head')[0].appendChild(css); } } }, check: function(asset) { assetLoader.assets[asset].loaded = true; } } Christian explains this method in his article in great detail. I don't want to confuse you guys anymore with my bad english :P and here's an example of how i run the script: ... // load jquery cycle plugin if (page=='tvc' || page=='products') { if (!assetLoader.assets.cycle.loaded) { assetLoader.add('cycle'); } } // load products page assets if (!assetLoader.assets.products.loaded) { assetLoader.add('products'); } ... this kind of approach is very problematic though. coz assets loads asynchronously, which means some of the code inside products.js that depends on jquery.cycle.js might continue running before jquery.cycle.js is even loaded resulting in errors. while i'm quite aware that scripts can be attached with an onload event, i'm just not really sure how to implement it to my script. anyone care to help me? please... :P

    Read the article

  • Integrating CKFinder with InnovaStudio WYSIWYG Editor

    - by Sonny
    I use InnovaStudio WYSIWYG Editor, and I am trying to replace InnovaStudio's Asset Manager with CKFinder. There's a line in the editor configuration for what URL to use for the asset manager. I have pointed it at CKFinder. The part I can't get to work is getting the field to populate with the double-clicked file's path from CKFinder. It appears to use the 'func' parameter to specify the callback function. The URL I'm calling is: /common/ckfinder/ckfinder.html?action=js&func=setAssetValue The InnovaStudio WYSIWYG Editor provides the setAssetValue(v) callback function for setting the field value. The v parameter should hold the URL. CKFinder pops up as expected when it's invoked, but neither double-clicking the thumbnails nor using the "select" option in the context menu works. The normal/expected behavior is that CKFinder closes and the target field is populated with the URL for the selected asset. Additional Info: The InnovaStudio WYSIWYG Editor has a "popup" for adding an image or flash file to the content. This pop-up is in an iframe. When it calls CKFinder (or it's own asset manager), that is also in an iframe. It appears that CKFinder is looking in the scope of the main window rather than the image/flash iframe that actually contains the field that needs to be populated.

    Read the article

< Previous Page | 1 2 3 4 5 6 7 8 9 10 11 12  | Next Page >