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  • Amazon Kindle Fire User Agent String

    - by Gopinath
    Today I was searching for Amazon Kindle Fire user agent string so that I can trick websites as if I’m browsing using Kindle Fire. To my surprise I found the following two variants of user agents listed on blogs but not sure which one is right or if Kindle Fire generating two types of User Agent strings. The first one is given by the prominent blogger and WSJ tech columnist Amit Agarwal and I vote for him as he is a highly reputed person. Mozilla/5.0 (Linux; U; Android 2.3.4; en-us; Kindle Fire Build/GINGERBREAD) AppleWebKit/533.1 (KHTML, like Gecko) Version/4.0 Mobile Safari/533.1 The second variant is found on this website and I’m not sure about the authority of the blogger. Mozilla/5.0 (Macintosh; U; Intel Mac OS X 10_6_3; en-us; Silk/1.1.0-80) AppleWebKit/533.16 (KHTML, like Gecko) Version/5.0 Safari/533.16 Silk-Accelerated=true This article titled,Amazon Kindle Fire User Agent String, was originally published at Tech Dreams. Grab our rss feed or fan us on Facebook to get updates from us.

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  • Tuning B2B Server Engine Threads in SOA Suite 11g

    - by Shub Lahiri, A-Team
    Background B2B 11g has a number of parameters that can be tweaked to tune the engine for handling high volumes of messages. These parameters are also known as B2B server properties and managed via the EM console.  This note highlights one aspect of the tuning exercise and describes the different threads, that can be configured to tune the performance of a B2B server. Symptoms The most common indicator of a B2B engine in need of a tuning is reflected in the constant build-up of messages in an internal JMS queue within the B2B server. It is called B2B_EVENT_QUEUE and can be monitored via the Weblogic server console. Whenever such a behaviour is seen, it usually results in general degradation of performance. Remedy There could be many contributing factors behind a B2B server's degradation of performance. However, one of the first places to tune the server from the out-of-the-box, default configuration is to change the number of internal engine threads allocated within the B2B server. Usually the default configuration for the B2B server engine threads is not suitable for high-volume of messaging loads. So, it is necessary to increase the counts for 3 types of such threads, by specifying the appropriate B2B server properties via the EM console, namely, Inbound - b2b.inboundThreadCount Outbound - b2b.outboundThreadCount Default - b2b.defaultThreadCount The function of these threads are fairly self-explanatory. In other words, the inbound threads process the inbound messages that are coming into the B2B server from an external endpoint. Similarly, the outbound threads processes the messages that are sent out from the B2B server. The default threads are responsible for certain B2B server-specific special tasks. In case the inbound and outbound thread counts are not specified, the default thread count also dictates the total number of inbound and outbound threads. As found in any tuning exercise, the optimisation of these threads is usually reached via an iterative process. The best working combination of the thread counts are directly related to the system infrastructure, traffic load and several other environmental factors.

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  • Two different domains as one user session

    - by Mathew Foscarini
    I have two websites that are run as the same service. Each domain offers articles from a different market. At the top of each page the two domains are shown as menu options. If a user clicks one they can switch to the other domain. See here: http://www.cgtag.com Each domain has a different Google Analytics account, and when a user switches domains Google is counting this as a new session. It's listing the other domain as the "referral" for that new session. When the user switches back to the first domain Google is counting this as a returning visitor. This is messing up my reports. Showing returning visitors values that are higher than reality. It's also increasing hits on landing pages when the user switches, and listing the other domain as a referral site. I've found tips on how to list two domains as one website, but that results in merging the data. I want to keep the two domains separate so that I can track each ones performance, but I don't want to count domain changes as new sessions. Maybe something like treating the two domains as subdomains.

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  • Track user through Google Universal Analytics

    - by raygo
    I want to track a user from my site, give an id to Google Analytics and later be able to see which pages that id visited and for how long did that id view the pages. I've tried custom variables with the classic analytics. I tried enabling the User-ID feature in the Universal Analytics. Neither of these have given me what I want yet. Is there any way to accomplish this with Universal Analytics? UPDATE This is a sample code with a user whose id is 2. I try to set the userid in different ways to see if at least in one way it shows. <script> (function(i,s,o,g,r,a,m){i['GoogleAnalyticsObject']=r;i[r]=i[r]||function(){ (i[r].q=i[r].q||[]).push(arguments)},i[r].l=1*new Date();a=s.createElement(o), m=s.getElementsByTagName(o)[0];a.async=1;a.src=g;m.parentNode.insertBefore(a,m) })(window,document,'script','//www.google-analytics.com/analytics.js','ga'); ga('create', 'UA-XXXXXXX-1', 'domain.com', { 'userId': '2' }); ga('set', '&uid', '2'); // Set the user ID using signed-in user_id. var dimensionValue = '2'; ga('set', 'dimension1', dimensionValue); ga('send', 'pageview'); </script>

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  • Two different domains as one user session in Google Analytics

    - by Mathew Foscarini
    I have two websites that are run as the same service. Each domain offers articles from a different market. At the top of each page the two domains are shown as menu options. If a user clicks one they can switch to the other domain. See here: http://www.cgtag.com Each domain has a different Google Analytics account, and when a user switches domains Google is counting this as a new session. It's listing the other domain as the "referral" for that new session. When the user switches back to the first domain Google is counting this as a returning visitor. This is messing up my reports. Showing returning visitors values that are higher than reality. It's also increasing hits on landing pages when the user switches, and listing the other domain as a referral site. I've found tips on how to list two domains as one website, but that results in merging the data. I want to keep the two domains separate so that I can track each ones performance, but I don't want to count domain changes as new sessions. Maybe something like treating the two domains as subdomains.

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  • How to Enable User-Specific Wireless Networks in Windows 7

    - by The Geek
    Wireless network settings in Windows 7 are global across all users, but there’s a little-known option that lets you switch them to per-user, so each user has access to only the networks they are allowed to connect to. Here’s how it all works. How is this useful? Maybe you want to prevent a particular user from accessing the internet—if you don’t give them the wireless password, they won’t be able to get online. This could be very useful if you’ve got mini-people playing games on the family PC, but you don’t want them getting online Latest Features How-To Geek ETC How to Enable User-Specific Wireless Networks in Windows 7 How to Use Google Chrome as Your Default PDF Reader (the Easy Way) How To Remove People and Objects From Photographs In Photoshop Ask How-To Geek: How Can I Monitor My Bandwidth Usage? Internet Explorer 9 RC Now Available: Here’s the Most Interesting New Stuff Here’s a Super Simple Trick to Defeating Fake Anti-Virus Malware The Citroen GT – An Awesome Video Game Car Brought to Life [Video] Final Man vs. Machine Round of Jeopardy Unfolds; Watson Dominates Give Chromium-Based Browser Desktop Notifications a Native System Look in Ubuntu Chrome Time Track Is a Simple Task Time Tracker Google Sky Map Turns Your Android Phone into a Digital Telescope Walking Through a Seaside Village Wallpaper

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  • Webcast: DB Enterprise User Security Integration with Oracle Directory Services

    - by B Shashikumar
    The typical enterprise has a large number of DBA (Database administrator) accounts that are locally managed, which is often very costly, problematic and error-prone. Databases are a crucial component of your enterprise IT infrastructure, housing sensitive corporate data and database user accounts and privileges. To ensure the integrity of your enterprise's data, it's imperative to have a well-managed identity management system. This begins with centralized management of user accounts and access rights. Enterprise User Security (EUS), an Oracle Database Enterprise Edition feature, combined with Oracle Identity Management, gives you the ability to centrally manage database users and their authorizations in one central place. The cost of user provisioning and password resets is dramatically reduced. This technology is a must for new application development and should be considered for existing applications as well. Join Oracle Advisors for a live webcast on Jul 11 at 8am Pacific Time where Oracle experts will briefly introduce EUS, followed by a detailed discussion about the various directory options that are supported, including integration with Microsoft Active Directory. We'll conclude how to avoid common pitfalls deploying EUS with directory services. To register for this event, click here  

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  • Using James Server in Eclipse With JavaMail

    - by Jack Sparrow
    Would anyone be able to tell me how I can go about using James server as my server with Java in Eclipse? I'm trying to test the two classes posted below but i get the following error: Exception in thread "main" javax.mail.AuthenticationFailedException: Authentication failed. public class JamesConfigTest { public static void main(String[] args) throws Exception { // CREATE CLIENT INSTANCES MailClient redClient = new MailClient("red", "localhost"); MailClient greenClient = new MailClient("green", "localhost"); MailClient blueClient = new MailClient("blue", "localhost"); // CLEAR EVERYBODY'S INBOX redClient.checkInbox(MailClient.CLEAR_MESSAGES); greenClient.checkInbox(MailClient.CLEAR_MESSAGES); blueClient.checkInbox(MailClient.CLEAR_MESSAGES); Thread.sleep(500); // Let the server catch up // SEND A COUPLE OF MESSAGES TO BLUE (FROM RED AND GREEN) redClient.sendMessage( "blue@localhost", "Testing blue from red", "This is a test message"); greenClient.sendMessage( "blue@localhost", "Testing blue from green", "This is a test message"); Thread.sleep(500); // Let the server catch up // LIST MESSAGES FOR BLUE (EXPECT MESSAGES FROM RED AND GREEN) blueClient.checkInbox(MailClient.SHOW_AND_CLEAR); } } import java.io.*; import java.util.*; import javax.mail.*; import javax.mail.internet.*; public class MailClient extends Authenticator { public static final int SHOW_MESSAGES = 1; public static final int CLEAR_MESSAGES = 2; public static final int SHOW_AND_CLEAR = SHOW_MESSAGES + CLEAR_MESSAGES; protected String from; protected Session session; protected PasswordAuthentication authentication; public MailClient(String user, String host) { this(user, host, false); } public MailClient(String user, String host, boolean debug) { from = user + '@' + host; authentication = new PasswordAuthentication(user, user); Properties props = new Properties(); props.put("mail.user", user); props.put("mail.host", host); props.put("mail.debug", debug ? "true" : "false"); props.put("mail.store.protocol", "pop3"); props.put("mail.transport.protocol", "smtp"); session = Session.getInstance(props, this); } public PasswordAuthentication getPasswordAuthentication() { return authentication; } public void sendMessage( String to, String subject, String content) throws MessagingException { System.out.println("SENDING message from " + from + " to " + to); System.out.println(); MimeMessage msg = new MimeMessage(session); msg.addRecipients(Message.RecipientType.TO, to); msg.setSubject(subject); msg.setText(content); Transport.send(msg); } public void checkInbox(int mode) throws MessagingException, IOException { if (mode == 0) return; boolean show = (mode & SHOW_MESSAGES) > 0; boolean clear = (mode & CLEAR_MESSAGES) > 0; String action = (show ? "Show" : "") + (show && clear ? " and " : "") + (clear ? "Clear" : ""); System.out.println(action + " INBOX for " + from); Store store = session.getStore(); store.connect(); Folder root = store.getDefaultFolder(); Folder inbox = root.getFolder("inbox"); inbox.open(Folder.READ_WRITE); Message[] msgs = inbox.getMessages(); if (msgs.length == 0 && show) { System.out.println("No messages in inbox"); } for (int i = 0; i < msgs.length; i++) { MimeMessage msg = (MimeMessage)msgs[i]; if (show) { System.out.println(" From: " + msg.getFrom()[0]); System.out.println(" Subject: " + msg.getSubject()); System.out.println(" Content: " + msg.getContent()); } if (clear) { msg.setFlag(Flags.Flag.DELETED, true); } } inbox.close(true); store.close(); System.out.println(); } }

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  • Not your usual "The multi-part identifier could not be bound" error

    - by Eugene Niemand
    I have the following query, now the strange thing is if I run this query on my development and pre-prod server it runs fine. If I run it on production it fails. I have figured out that if I run just the Select statement its happy but as soon as I try insert into the table variable it complains. DECLARE @RESULTS TABLE ( [Parent] VARCHAR(255) ,[client] VARCHAR(255) ,[ComponentName] VARCHAR(255) ,[DealName] VARCHAR(255) ,[Purchase Date] DATETIME ,[Start Date] DATETIME ,[End Date] DATETIME ,[Value] INT ,[Currency] VARCHAR(255) ,[Brand] VARCHAR(255) ,[Business Unit] VARCHAR(255) ,[Region] VARCHAR(255) ,[DealID] INT ) INSERT INTO @RESULTS SELECT DISTINCT ClientName 'Parent' ,F.ClientID 'client' ,ComponentName ,A.DealName ,CONVERT(SMALLDATETIME , ISNULL(PurchaseDate , '1900-01-01')) 'Purchase Date' ,CONVERT(SMALLDATETIME , ISNULL(StartDate , '1900-01-01')) 'Start Date' ,CONVERT(SMALLDATETIME , ISNULL(EndDate , '1900-01-01')) 'End Date' ,DealValue 'Value' ,D.Currency 'Currency' ,ShortBrand 'Brand' ,G.BU 'Business Unit' ,C.DMRegion 'Region' ,DealID FROM LTCDB_admin_tbl_Deals A INNER JOIN dbo_DM_Brand B ON A.BrandID = B.ID INNER JOIN LTCDB_admin_tbl_DM_Region C ON A.Region = C.ID INNER JOIN LTCDB_admin_tbl_Currency D ON A.Currency = D.ID INNER JOIN LTCDB_admin_tbl_Deal_Clients E ON A.DealID = E.Deal_ID INNER JOIN LTCDB_admin_tbl_Clients F ON E.Client_ID = F.ClientID INNER JOIN LTCDB_admin_tbl_DM_BU G ON G.ID = A.BU INNER JOIN LTCDB_admin_tbl_Deal_Components H ON A.DealID = H.Deal_ID INNER JOIN LTCDB_admin_tbl_Components I ON I.ComponentID = H.Component_ID WHERE EndDate != '1899-12-30T00:00:00.000' AND StartDate < EndDate AND B.ID IN ( 1 , 2 , 5 , 6 , 7 , 8 , 10 , 12 ) AND C.SalesRegionID IN ( 1 , 3 , 4 , 11 , 16 ) AND A.BU IN ( 1 , 2 , 3 , 4 , 5 , 6 , 8 , 9 , 11 , 12 , 15 , 16 , 19 , 20 , 22 , 23 , 24 , 26 , 28 , 30 ) AND ClientID = 16128 SELECT ... FROM @Results I get the following error Msg 8180, Level 16, State 1, Line 1 Statement(s) could not be prepared. Msg 4104, Level 16, State 1, Line 1 The multi-part identifier "Tbl1021.ComponentName" could not be bound. Msg 4104, Level 16, State 1, Line 1 The multi-part identifier "Tbl1011.Currency" could not be bound. Msg 207, Level 16, State 1, Line 1 Invalid column name 'Col2454'. Msg 207, Level 16, State 1, Line 1 Invalid column name 'Col2461'. Msg 207, Level 16, State 1, Line 1 Invalid column name 'Col2491'. Msg 207, Level 16, State 1, Line 1 Invalid column name 'Col2490'. Msg 207, Level 16, State 1, Line 1 Invalid column name 'Col2482'. Msg 207, Level 16, State 1, Line 1 Invalid column name 'Col2478'. Msg 207, Level 16, State 1, Line 1 Invalid column name 'Col2477'. Msg 207, Level 16, State 1, Line 1 Invalid column name 'Col2475'. EDIT - EDIT - EDIT - EDIT - EDIT - EDIT through a process of elimination I have found that following and wondered if anyone can shed some light on this. If I remove only the DISTINCT the query runs fine, add the DISTINCT and I get strange errors. Also I have found that if I comment the following lines then the query runs with the DISTINCT what is strange is that none of the columns in the table LTCDB_admin_tbl_Deal_Components is referenced so I don't see how the distinct will affect that. INNER JOIN LTCDB_admin_tbl_Deal_Components H ON A.DealID = H.Deal_ID

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  • Trouble with a query

    - by Mark Allison
    Hi there, I'm having trouble with a query in SQL Server 2008 on some forex trading data. I have a trades table and an orders table. A trade needs to comprise of 2 or more orders. DDL schema and sample data below. What I want to do is write a query that shows the profit/loss in pips for each trade. A pip is 1/1000th of a currency. So the difference between USD 1.3441 and 1.3442 is 1 pip in forex-speak. A trade usually has one entry order and multiple exit orders. So for example if I buy 3 lots of the currency pair GBP/USD at the exchange rate of 1.6100 and then sell 1 lot at 1.6150, 1 lot at 1.6200 and 1 lot at 1.6250 then the profit is (1.6150 - 1.6100) + (1.6200 - 1.6100) + (1.6250 - 1.6100), or 50 + 100 + 150 = 300 pips profit. The trade could also go the other way (Shorting). For example the currency pair can be sold first before it's bought back later at a cheaper price. I would like a query that returns the following: tradeId, currencyPair, profitInPips It seems like a pretty straightforward query, but it's eluding me right now. Here's my DDL and sample data: CREATE TABLE [dbo].[trades]( [tradeId] [int] IDENTITY(1,1) NOT NULL, [currencyPair] [char](6) NOT NULL, CONSTRAINT [PK_trades] PRIMARY KEY CLUSTERED ( [tradeId] ASC )WITH (PAD_INDEX = OFF, STATISTICS_NORECOMPUTE = OFF, IGNORE_DUP_KEY = OFF, ALLOW_ROW_LOCKS = ON, ALLOW_PAGE_LOCKS = ON) ON [PRIMARY] ) ON [PRIMARY] GO SET ANSI_PADDING OFF GO SET IDENTITY_INSERT [dbo].[trades] ON INSERT [dbo].[trades] ([tradeId], [currencyPair]) VALUES (1, N'GBPUSD') INSERT [dbo].[trades] ([tradeId], [currencyPair]) VALUES (2, N'GBPUSD') INSERT [dbo].[trades] ([tradeId], [currencyPair]) VALUES (3, N'GBPUSD') INSERT [dbo].[trades] ([tradeId], [currencyPair]) VALUES (4, N'GBPUSD') INSERT [dbo].[trades] ([tradeId], [currencyPair]) VALUES (5, N'GBPUSD') INSERT [dbo].[trades] ([tradeId], [currencyPair]) VALUES (6, N'GBPUSD') INSERT [dbo].[trades] ([tradeId], [currencyPair]) VALUES (7, N'GBPUSD') INSERT [dbo].[trades] ([tradeId], [currencyPair]) VALUES (8, N'GBPUSD') INSERT [dbo].[trades] ([tradeId], [currencyPair]) VALUES (9, N'GBPUSD') INSERT [dbo].[trades] ([tradeId], [currencyPair]) VALUES (10, N'GBPUSD') SET IDENTITY_INSERT [dbo].[trades] OFF GO CREATE TABLE [dbo].[orders]( [orderId] [int] IDENTITY(1,1) NOT NULL, [tradeId] [int] NOT NULL, [amount] [decimal](18, 1) NOT NULL, [buySell] [char](1) NOT NULL, [rate] [decimal](18, 6) NOT NULL, [orderDateTime] [datetime] NOT NULL, CONSTRAINT [PK_orders] PRIMARY KEY CLUSTERED ( [orderId] ASC )WITH (PAD_INDEX = OFF, STATISTICS_NORECOMPUTE = OFF, IGNORE_DUP_KEY = OFF, ALLOW_ROW_LOCKS = ON, ALLOW_PAGE_LOCKS = ON) ON [PRIMARY] ) ON [PRIMARY] GO SET ANSI_PADDING OFF GO SET IDENTITY_INSERT [dbo].[orders] ON INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (1, 1, CAST(3.0 AS Decimal(18, 1)), N'S', CAST(1.606500 AS Decimal(18, 6)), CAST(0x00009CF40083D600 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (2, 1, CAST(3.0 AS Decimal(18, 1)), N'B', CAST(1.615500 AS Decimal(18, 6)), CAST(0x00009CF400A4CB80 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (3, 2, CAST(3.0 AS Decimal(18, 1)), N'S', CAST(1.608000 AS Decimal(18, 6)), CAST(0x00009CF500000000 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (4, 2, CAST(1.0 AS Decimal(18, 1)), N'B', CAST(1.603000 AS Decimal(18, 6)), CAST(0x00009CF50083D600 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (5, 2, CAST(2.0 AS Decimal(18, 1)), N'B', CAST(1.605500 AS Decimal(18, 6)), CAST(0x00009CF50107AC00 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (6, 3, CAST(3.0 AS Decimal(18, 1)), N'S', CAST(1.595500 AS Decimal(18, 6)), CAST(0x00009CF70083D600 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (7, 3, CAST(1.0 AS Decimal(18, 1)), N'B', CAST(1.590500 AS Decimal(18, 6)), CAST(0x00009CF700C5C100 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (8, 3, CAST(2.0 AS Decimal(18, 1)), N'B', CAST(1.594500 AS Decimal(18, 6)), CAST(0x00009CF701499700 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (9, 4, CAST(3.0 AS Decimal(18, 1)), N'B', CAST(1.611000 AS Decimal(18, 6)), CAST(0x00009CFB0083D600 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (10, 4, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.616000 AS Decimal(18, 6)), CAST(0x00009CFB00A4CB80 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (11, 4, CAST(2.0 AS Decimal(18, 1)), N'S', CAST(1.611500 AS Decimal(18, 6)), CAST(0x00009CFB0107AC00 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (12, 5, CAST(3.0 AS Decimal(18, 1)), N'B', CAST(1.613000 AS Decimal(18, 6)), CAST(0x00009CFC0083D600 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (13, 5, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.618000 AS Decimal(18, 6)), CAST(0x00009CFC0107AC00 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (14, 5, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.623000 AS Decimal(18, 6)), CAST(0x00009CFC0083D600 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (15, 5, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.628000 AS Decimal(18, 6)), CAST(0x00009CFD00C5C100 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (16, 6, CAST(3.0 AS Decimal(18, 1)), N'B', CAST(1.632000 AS Decimal(18, 6)), CAST(0x00009D020083D600 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (17, 6, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.637000 AS Decimal(18, 6)), CAST(0x00009D0200A4CB80 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (18, 6, CAST(2.0 AS Decimal(18, 1)), N'S', CAST(1.630000 AS Decimal(18, 6)), CAST(0x00009D0200C5C100 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (19, 7, CAST(3.0 AS Decimal(18, 1)), N'B', CAST(1.634500 AS Decimal(18, 6)), CAST(0x00009D0201499700 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (20, 7, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.639500 AS Decimal(18, 6)), CAST(0x00009D0300000000 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (21, 7, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.644500 AS Decimal(18, 6)), CAST(0x00009D030083D600 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (22, 7, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.637500 AS Decimal(18, 6)), CAST(0x00009D0300C5C100 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (23, 8, CAST(3.0 AS Decimal(18, 1)), N'S', CAST(1.625000 AS Decimal(18, 6)), CAST(0x00009D0400C5C100 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (24, 8, CAST(1.0 AS Decimal(18, 1)), N'B', CAST(1.620000 AS Decimal(18, 6)), CAST(0x00009D050083D600 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (25, 8, CAST(1.0 AS Decimal(18, 1)), N'B', CAST(1.615000 AS Decimal(18, 6)), CAST(0x00009D0500A4CB80 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (26, 8, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.623000 AS Decimal(18, 6)), CAST(0x00009D050107AC00 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (27, 9, CAST(3.0 AS Decimal(18, 1)), N'S', CAST(1.618000 AS Decimal(18, 6)), CAST(0x00009D0600C5C100 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (28, 9, CAST(1.0 AS Decimal(18, 1)), N'B', CAST(1.613000 AS Decimal(18, 6)), CAST(0x00009D0600D63BC0 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (29, 9, CAST(1.0 AS Decimal(18, 1)), N'B', CAST(1.608000 AS Decimal(18, 6)), CAST(0x00009D0600E6B680 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (30, 9, CAST(1.0 AS Decimal(18, 1)), N'B', CAST(1.613300 AS Decimal(18, 6)), CAST(0x00009D0601391C40 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (31, 10, CAST(3.0 AS Decimal(18, 1)), N'B', CAST(1.614500 AS Decimal(18, 6)), CAST(0x00009D090083D600 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (32, 10, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.619500 AS Decimal(18, 6)), CAST(0x00009D090107AC00 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (33, 10, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.624500 AS Decimal(18, 6)), CAST(0x00009D0901499700 AS DateTime)) INSERT [dbo].[orders] ([orderId], [tradeId], [amount], [buySell], [rate], [orderDateTime]) VALUES (34, 10, CAST(1.0 AS Decimal(18, 1)), N'S', CAST(1.619000 AS Decimal(18, 6)), CAST(0x00009D0A0083D600 AS DateTime)) SET IDENTITY_INSERT [dbo].[orders] OFF /****** Object: ForeignKey [FK_orders_trades] Script Date: 04/02/2010 15:05:31 ******/ ALTER TABLE [dbo].[orders] WITH CHECK ADD CONSTRAINT [FK_orders_trades] FOREIGN KEY([tradeId]) REFERENCES [dbo].[trades] ([tradeId]) GO ALTER TABLE [dbo].[orders] CHECK CONSTRAINT [FK_orders_trades] GO Thanks in advance for any help!

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  • When to use a user defined Exception and some good examples/best Practices?

    - by Atomiton
    I would assume that most User-defined Exceptions are for Business Logic level exceptions, but what are some good reasons to use a User-Defined Exception and what are some good examples? Is a user-defined exception's only advantage that you can define a consistent Error Message? What logic can be written inside exceptions to make them truly more useful? After all, can't you just do this: throw new Exception("Some Error Message");

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  • Rails on server syntax error?

    - by Danny McClelland
    Hi Everyone, I am trying to get my rails application running on my web server, but when I run the rake db:migrate I get the following error: r oot@oak [/home/macandco/rails_apps/survey_manager]# rake db:migrate (in /home/macandco/rails_apps/survey_manager) == Baseapp: migrating ======================================================== -- create_table(:settings, {:force=>true}) -> 0.0072s -- create_table(:users) -> 0.0072s -- add_index(:users, :login, {:unique=>true}) -> 0.0097s -- create_table(:profiles) -> 0.0084s -- create_table(:open_id_authentication_associations, {:force=>true}) -> 0.0067s -- create_table(:open_id_authentication_nonces, {:force=>true}) -> 0.0064s -- create_table(:roles) -> 0.0052s -- create_table(:roles_users, {:id=>false}) -> 0.0060s rake aborted! An error has occurred, all later migrations canceled: 555 5.5.2 Syntax error. g9sm2526951gvc.8 Has anyone come across this before? Thanks, Danny Main Migration file c lass Baseapp < ActiveRecord::Migration def self.up # Create Settings Table create_table :settings, :force => true do |t| t.string :label t.string :identifier t.text :description t.string :field_type, :default => 'string' t.text :value t.timestamps end # Create Users Table create_table :users do |t| t.string :login, :limit => 40 t.string :identity_url t.string :name, :limit => 100, :default => '', :null => true t.string :email, :limit => 100 t.string :mobile t.string :signaturenotes t.string :crypted_password, :limit => 40 t.string :salt, :limit => 40 t.string :remember_token, :limit => 40 t.string :activation_code, :limit => 40 t.string :state, :null => :false, :default => 'passive' t.datetime :remember_token_expires_at t.string :password_reset_code, :default => nil t.datetime :activated_at t.datetime :deleted_at t.timestamps end add_index :users, :login, :unique => true # Create Profile Table create_table :profiles do |t| t.references :user t.string :real_name t.string :location t.string :website t.string :mobile t.timestamps end # Create OpenID Tables create_table :open_id_authentication_associations, :force => true do |t| t.integer :issued, :lifetime t.string :handle, :assoc_type t.binary :server_url, :secret end create_table :open_id_authentication_nonces, :force => true do |t| t.integer :timestamp, :null => false t.string :server_url, :null => true t.string :salt, :null => false end create_table :roles do |t| t.column :name, :string end # generate the join table create_table :roles_users, :id => false do |t| t.column :role_id, :integer t.column :user_id, :integer end # Create admin role and user admin_role = Role.create(:name => 'admin') user = User.create do |u| u.login = 'admin' u.password = u.password_confirmation = 'advices' u.email = '[email protected]' end user.register! user.activate! user.roles << admin_role end def self.down # Drop all BaseApp drop_table :settings drop_table :users drop_table :profiles drop_table :open_id_authentication_associations drop_table :open_id_authentication_nonces drop_table :roles drop_table :roles_users end end

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  • Data validation best practices: how can I better construct user feedback?

    - by Cory Larson
    Data validation, whether it be domain object, form, or any other type of input validation, could theoretically be part of any development effort, no matter its size or complexity. I sometimes find myself writing informational or error messages that might seem harsh or demanding to unsuspecting users, and frankly I feel like there must be a better way to describe the validation problem to the user. I know that this topic is subjective and argumentative. StackOverflow might not be the proper channel for diving into this subject, but like I've mentioned, we all run into this at some point or another. There are so many StackExchange sites now; if there is a better one, feel free to share! Basically, I'm looking for good resources on data validation and user feedback that results from it at a theoretical level. Topics and questions I'm interested in are: Content Should I be describing what the user did correctly or incorrectly, or simply what was expected? How much detail can the user read before they get annoyed? (e.g. Is "Username cannot exceed 20 characters." enough, or should it be described more fully, such as "The username cannot be empty, and must be at least 6 characters but cannot exceed 30 characters."?) Grammar How do I decide between phrases like "must not," "may not," or "cannot"? Delivery This can depend on the project, but how should the information be delivered to the user? Should it be obtrusive (e.g. JavaScript alerts) or friendly? Should they be displayed prominently? Immediately (i.e. without confirmation steps, etc.)? Logging Do you bother logging validation errors? Internationalization Some cultures prefer or better understand directness over subtlety and vice-versa (e.g. "Don't do that!" vs. "Please check what you've done."). How do I cater to the majority of users? I may edit this list as I think more about the topic, but I'm genuinely interest in proper user feedback techniques. I'm looking for things like research results, poll results, etc. I've developed and refined my own techniques over the years that users seem to be okay with, but I work in an environment where the users prefer to adapt to what you give them over speaking up about things they don't like. I'm interested in hearing your experiences in addition to any resources to which you may be able to point me.

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  • Function inserted not all records

    - by user1799459
    I wrote the following code by data transfer from Access to Firebird def FirebirdDatetime(dt): return '\'%s.%s.%s\'' % (str(dt.day).rjust(2,'0'), str(dt.month).rjust(2,'0'), str(dt.year).rjust(4,'0')) def SelectFromAccessTable(tablename): return 'select * from [' + tablename+']' def InsertToFirebirdTable(tablename, row): values='' i=0 for elem in row: i+=1 #print type(elem) if type(elem) == int: temp = str(elem) elif (type(elem) == str) or (type(elem)==unicode): temp = '\'%s\'' % (elem,) elif type(elem) == datetime.datetime: temp =FirebirdDatetime(elem) elif type(elem) == decimal.Decimal: temp = str(elem) elif elem==None: temp='null' if (i<len(row)): values+=temp+', ' else: values+=temp return 'insert into '+tablename+' values ('+values+')' def AccessToFirebird(accesstablename, firebirdtablename, accesscursor, firebirdcursor): SelectSql=SelectFromAccessTable(accesstablename) for row in accesscursor.execute(SelectSql): InsertSql=InsertToFirebirdTable(firebirdtablename, row) InsertSql=InsertSql print InsertSql firebirdcursor.execute(InsertSql) In the main module there is an AccessToFirebird function call conAcc = pyodbc.connect('DRIVER={Microsoft Access Driver (*.mdb, *.accdb)};DBQ=D:\ThirdTask\Northwind.accdb') SqlAccess=conAcc.cursor(); conn.begin() cur=conn.cursor() sql.AccessToFirebird('Customers', 'CLIENTS', SqlAccess, cur) conn.commit() conn.begin() cur=conn.cursor() sql.AccessToFirebird('??????????', 'EMPLOYEES', SqlAccess, cur) sql.AccessToFirebird('????', 'ROLES', SqlAccess, cur) sql.AccessToFirebird('???? ???????????', 'EMPLOYEES_ROLES', SqlAccess, cur) sql.AccessToFirebird('????????', 'DELIVERY', SqlAccess, cur) sql.AccessToFirebird('??????????', 'SUPPLIERS', SqlAccess, cur) sql.AccessToFirebird('????????? ?????? ???????', 'TAX_STATUS_OF_ORDERS', SqlAccess, cur) sql.AccessToFirebird('????????? ???????? ? ??????', 'STATE_ORDER_DETAILS', SqlAccess, cur) sql.AccessToFirebird('????????? ???????', 'CONDITION_OF_ORDERS', SqlAccess, cur) sql.AccessToFirebird('??????', 'ORDERS', SqlAccess, cur) sql.AccessToFirebird('?????', 'BILLS', SqlAccess, cur) sql.AccessToFirebird('????????? ?????? ?? ????????????', 'STATUS_PURCHASE_ORDER', SqlAccess, cur) sql.AccessToFirebird('?????? ?? ????????????', 'ORDERS_FOR_ACQUISITION', SqlAccess, cur) sql.AccessToFirebird('???????? ? ?????? ?? ????????????', 'INFORMPURCHASEORDER', SqlAccess, cur) sql.AccessToFirebird('??????', 'PRODUCTS', SqlAccess, cur) conn.commit() conAcc.commit() conn.close() conAcc.close() But as a result, not all records have been inserted into the table Products (Table Goods - Northwind database), for example, does not work request insert into PRODUCTS values ('4', 1, 'NWTB-1', '?????????? ???', null, 13.5000, 18.0000, 10, 40, '10 ??????? ?? 20 ?????????', '10 ??????? ?? 20 ?????????', 10, '???????', '') In ibexpert to this request message issued can't format message 13:587 -- message file C:\Windows\firebird.msg not found. conversion error from string "10 ?????????±???? ???? 20 ???°???µ?‚????????". Worked only requests insert into PRODUCTS values ('1', 82, 'NWTC-82', '???????', null, 2.0000, 4.0000, 20, 100, null, null, null, '????', '') insert into PRODUCTS values ('9', 83, 'NWTCS-83', '???????????? ?????', null, 0.5000, 1.8000, 30, 200, null, null, null, '????? ? ???????', '') insert into PRODUCTS values ('1', 97, 'NWTC-82', '???????', null, 3.0000, 5.0000, 50, 200, null, null, null, '????', '') insert into PRODUCTS values ('6', 98, 'NWTSO-98', '??????? ???', null, 1.0000, 1.8900, 100, 200, null, null, null, '????', '') insert into PRODUCTS values ('6', 99, 'NWTSO-99', '??????? ??????', null, 1.0000, 1.9500, 100, 200, null, null, null, '????', '') other records were not inserted.

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  • Zend Server with xampp MySQL

    - by Vincent
    I am running Zend Server,Zend Studio (Trial versions) on Ubuntu 9.10. I am also using xampp to do most of my development. I plan to use Zend Server only to do URL profiling to know function level performance of my code. Is it possible to configure Zend Server to use XAMPP's MySQL database instead of installing a new mysql instance for Zend Server? Thanks

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  • NHibernate mapping error SQL Server 2008 Express

    - by developer
    Hi All, I tried an example from NHibernate in Action book and when I try to run the app, it throws an exception saying "Could not compile the mapping document: HelloNHibernate.Employee.hbm.xml" Below is my code, Employee.hbm.xml <?xml version="1.0" encoding="utf-8" ?> <hibernate-mapping xmlns="urn:nhibernate-mapping-2.2" auto-import="true"> <class name="HelloNHibernate.Employee, HelloNHibernate" lazy="false" table="Employee"> <id name="id" access="field"> <generator class="native"/> </id> <property name="name" access="field" column="name"/> <many-to-one access="field" name="manager" column="manager" cascade="all"/> </class> Program.cs using System; using System.Collections.Generic; using System.Linq; using System.Text; using NHibernate; using System.Reflection; using NHibernate.Cfg; namespace HelloNHibernate { class Program { static void Main(string[] args) { CreateEmployeeAndSaveToDatabase(); UpdateTobinAndAssignPierreHenriAsManager(); LoadEmployeesFromDatabase(); Console.WriteLine("Press any key to exit..."); Console.ReadKey(); } static void CreateEmployeeAndSaveToDatabase() { Employee tobin = new Employee(); tobin.name = "Tobin Harris"; using (ISession session = OpenSession()) { using (ITransaction transaction = session.BeginTransaction()) { session.Save(tobin); transaction.Commit(); } Console.WriteLine("Saved Tobin to the database"); } } static ISession OpenSession() { if (factory == null) { Configuration c = new Configuration(); c.AddAssembly(Assembly.GetCallingAssembly()); factory = c.BuildSessionFactory(); } return factory.OpenSession(); } static void LoadEmployeesFromDatabase() { using (ISession session = OpenSession()) { IQuery query = session.CreateQuery("from Employee as emp order by emp.name asc"); IList<Employee> foundEmployees = query.List<Employee>(); Console.WriteLine("\n{0} employees found:", foundEmployees.Count); foreach (Employee employee in foundEmployees) Console.WriteLine(employee.SayHello()); } } static void UpdateTobinAndAssignPierreHenriAsManager() { using (ISession session = OpenSession()) { using (ITransaction transaction = session.BeginTransaction()) { IQuery q = session.CreateQuery("from Employee where name='Tobin Harris'"); Employee tobin = q.List<Employee>()[0]; tobin.name = "Tobin David Harris"; Employee pierreHenri = new Employee(); pierreHenri.name = "Pierre Henri Kuate"; tobin.manager = pierreHenri; transaction.Commit(); Console.WriteLine("Updated Tobin and added Pierre Henri"); } } } static ISessionFactory factory; } } Employee.cs using System; using System.Collections.Generic; using System.Linq; using System.Text; namespace HelloNHibernate { class Employee { public int id; public string name; public Employee manager; public string SayHello() { return string.Format("'Hello World!', said {0}.", name); } } } App.config <?xml version="1.0" encoding="utf-8" ?> <configuration> <configSections> <section name="hibernate-configuration" type="NHibernate.Cfg.ConfigurationSectionHandler,NHibernate"/> </configSections> <hibernate-configuration xmlns="urn:nhibernate-configuration-2.2"> <session-factory> <property name="connection.provider">NHibernate.Connection.DriverConnectionProvider</property> <property name="connection.driver_class">NHibernate.Driver.SqlClientDriver</property> <property name="connection.connection_string"> Data Source=SQLEXPRESS2008;Integrated Security=True; User ID=SQL2008;Password=;initial catalog=HelloNHibernate </property> <property name="dialect">NHibernate.Dialect.MsSql2008Dialect</property> <property name="show_sql">false</property> </session-factory> </hibernate-configuration> </configuration>

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  • MS Access 2003 - Unbound Form uses INSERT statement to save to table; what about subforms?

    - by Justin
    So I have an unbound form that I use to save data to a table on button click. Is there a way I can have subforms for entry that will allow me to save data to the table within that same button click? Basically I want to add more entry options for the user, and while I know other ways to do it, I am particularly curious about doing it this way (if it can be done). So lets say the 'parent form' is frmMain. And there are two child forms "sub1" and "sub2". Just for example sake lets say on frmMain there are two text boxes: txtTitle & txtAuthor. sub1 and sub2 both have a text Box on them that represent something like prices. The idea is Title & author of a book, and then a price at each store (simplified). So I tried this (because I thought it was worth a shot): Dim db as DAO.database Dim sql as String sql = "INSERT INTO (Title, Author, PriceA, PriceB) VALUES (" if not isnull(me.txtTitle) then sql = sql & """" & me.txtTitle & """," Else sql = sql & " NULL," End If if not IsNull(me.txtAuthor) then sql = sql & " """ & me.txtAuthor & """," else sql = sql & " NULL," end if if not IsNull (forms!sub1.txtPrice) then sql = sql & " """ & forms!sub1.txtPrice & """," else sql = sql & " NULL," end if without finishing the code, i think you may see the GOTCHA i am headed for. I tried this and got an "Access cannot find the form "" ". I think I can pretty much see why on this approach too, because when I click the button that calls the new sub form into the parent form, the values that were just entered are not held/saved as sub1 closes and sub2 opens. I should mention that the idea above is not intended to be a one or the other approach, rather both sub forms used everytime. so this is an example. i want to use this method (if possible) to have about 7 different sub form choices in one form, and be able to save to a table via a SQL statement. I realize that there may be better ways, but I am just wondering if I can get there with this approach out of curiousity. Thanks as always!

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  • one high-end server with one Application Server or multiple Application Servers?

    - by elgcom
    If I have a high-end server, for example with 1T memory and 8x4core CPU... will it bring more performance if I run multiple App Server (on different JVM) rather than just one App Server? On App Server I will run some services (EAR whith message driven beans) which exchange message with each other. btw, has java 64bit now no memory limitation any more? http://java.sun.com/products/hotspot/whitepaper.html#64

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  • Optimize inserts

    - by ikerib
    Hi! I did an importer in VB .Net witch get data from an SQLServer an inserts this data throught ADSL connection in a remote MySQL server. in the first time, it was like 200 records, but now there are more than 500.000 records and it expends like 11hours exporting all the data and that is bad, veryyy bad. I need to optimize my importer, witch now gets the data into a datatable an them i have a function witch with a loop (row to row) inserts the data with a "insert into" query... like this: For Each dr As DataRow In dt.Rows Console.Write(".") Dim sql As String = "INSERT INTO clientes(id,nombrefis,nombrecom,direccion,codpos,municipio_id,telefono,fax,cif)" & _ "VALUES (@id,@nombrefis,@nombrecom,@direccion,@codpos,@municipio_id,@telefono,@fax,@cif)" cmd = New MySqlCommand(sql, cnn) cmd.Parameters.AddWithValue("id", Int32.Parse(dr("ID EMPRESA").ToString)) cmd.Parameters.AddWithValue("nombrefis", dr("NOMEMP")) cmd.Parameters.AddWithValue("nombrecom", dr("EMPRESA")) cmd.Parameters.AddWithValue("direccion", dr("DIRECC")) cmd.Parameters.AddWithValue("codpos", dr("CODPOS")) cmd.Parameters.AddWithValue("municipio_id", Int32.Parse(dr("CODIGO MUNICIPIO")).ToString) cmd.Parameters.AddWithValue("telefono", dr("TELEF")) cmd.Parameters.AddWithValue("fax", dr("FAX")) cmd.Parameters.AddWithValue("cif", dr("CIF")) cmd.ExecuteNonQuery() Next any ideas or advices? thanks so much

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  • ASP.Net: User controls added to placeholder dynamically cannot retrieve values.

    - by Steve Horn
    I am adding some user controls dynamically to a PlaceHolder server control. My user control consists of some labels and some textbox controls. When I submit the form and try to view the contents of the textboxes (within each user control) on the server, they are empty. When the postback completes, the textboxes have the data that I entered prior to postback. This tells me that the text in the boxes are being retained through ViewState. I just don't know why I can't find them when I'm debugging. Can someone please tell me why I would not be seeing the data the user entered on the server? Thanks for any help.

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  • Post microphone input from Flash to server

    - by Seb
    We're trying to get microphone input in a Flash movie and the post it to the server so it can be saved in a file. Currently, we're using PHP in the server, but I guess the key thing here is: How to post the audio to the server? After a post is made, then I guess it'd be a matter of handling the encoding and saving to a file, which can be done with pretty much any server-side language. Any idea if this is at all possible?

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  • Weblogic server 10.0 - Managed Server shutting down

    - by Eqbal
    We have a weblogic server 10.0 instance which has a cluster with one managed server. Every Monday at 5am (or few seconds after), it shuts down on its own. The logs do not show any errors except the following message: JVM called WLS shutdown hook. The server will force shutdown now. JVM has a -Xnohup option and using JRockit. There is no cron job on the server. I am not sure how to debug this one. Admin Server keeps running with no issues and I am able to start the managed server back up with no problems. Any help is greatly appreciated. Thanks.

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  • Using LINQ to query database through a proxy server of some kind?

    - by Mustafakidd
    Hey All Sorry for using (perhaps) the wrong lingo, but my question may be clearer if you view this diagram as you read it. http://dl.dropbox.com/u/13256/DIAGRAM.PNG Our client is requiring us to adhere to the server configuration (poorly) diagrammed in the above image. The web server is accessible over port 80 and is where our web application is hosted - a second firewall permits this web server to access a second server which in turn is the only server permitted to access the database server. My question is: How do I deploy a web application that uses LINQ-to-SQL in this environment? Is there a way to proxy my LINQ queries through the app server so that the database connection goes through that server? This is uncharted territory for me, as we always have had access to the DB server directly from our web server in the past. Any help is appreciated. Thanks Mustafa

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  • server health monitor

    - by arash
    hello i need to a server monitoring solution. the solution must be able to alert when a server goes down also i want, the solution be flexible to work with various servers for example it must be able to monitor servers like, webserver,application server, DB server and ... i want to know is any open source solution is available for me? thanks in advance

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  • What's a reliable and practical way to protect software with a user license ?

    - by Frank
    I know software companies use licenses to protect their softwares, but I also know there are keygen programs to bypass them. I'm a Java developer, if I put my program online for sale, what's a reliable and practical way to protect it ? How about something like this, would it work ? <1> I use ProGuard to protect the source code. <2> Sign the executable Jar file. <3> Since my Java program only need to work on PC [I need to use JDIC in it], I wrap the final executable Jar into an .exe file which makes it harder to decompile. <4> When a user first downloads and runs my app, it checks for a Pass file on his PC. <5> If the Pass file doesn't exist, run the app in demo mode, exits in 5 minutes. <6> When demo exits a panel opens with a "Buy Now" button. This demo mode repeats forever unless step <7> happens. <7> If user clicks the "Buy Now" button, he fills out a detailed form [name, phone, email ...], presses a "Verify Info" button to save the form to a Pass file, leaving license Key # field empty in this newly generated Pass file. <8> Pressing "Verify Info" button will take him to a html form pre-filled with his info to verify what he is buying, also hidden in the form's input filed is a license Key number. He can now press a "Pay Now" button to goto Paypal to finish the process. <9> The hidden license Key # will be passed to Paypal as product Id info and emailed to me. <10> After I got the payment and Paypal email, I'll add the license Key # to a valid license Key list, and put it on my site, only I know the url. The list is updated hourly. <11> Few hours later when the user runs the app again, it can find the Pass file on his PC, but the license Key # value is empty, so it goes to the valid list url to see if its license Key # is on the list, if so, write the license Key # into the Pass file, and the next time it starts again, it will find the valid license Key # and start in purchased mode without exiting in 5 minutes. <12> If it can't find its license Key # on the list from my url, run in demo mode. <13> In order to prevent a user from copying and using another paid user's valid Pass file, the license Key # is unique to each PC [I'm trying to find how], so a valid Pass file only works on one PC. Only after a user has paid will Paypal email me the valid license Key # with his payment. <14> The Id checking goes like this : Use the CPU ID : "CPU_01-02-ABC" for example, encrypt it to the result ID : "XeR5TY67rgf", and compare it to the list on my url, if "XeR5TY67rgf" is not on my valid user list, run in demo mode. If it exists write "XeR5TY67rgf" into the Pass File license field. In order to get a unique license Key, can I use his PC's CPU Id ? Or something unique and useful [ relatively less likely to change ]. If so let's say this CPU ID is "CPU_01-02-ABC", I can encrypt it to something like "XeR5TY67rgf", and pass it to Paypal as product Id in the hidden html form field, then I'll get it from Paypal's email notification, and add it to the valid license Key # list on the url. So, even if a hacker knows it uses CPU Id, he can't write it into the Pass file field, because only encrypted Ids are valid Ids. And only my program knows how to generate the encrypted Ids. And even if another hacker knows the encrypted Id is hidden in the html form input field, as long as it's not on my url list, it's still invalid. Can anyone find any flaw in the above system ? Is it practical ? And most importantly how do I get hold of this unique ID that can represent a user's PC ? Frank

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