Search Results

Search found 59643 results on 2386 pages for 'data migration'.

Page 791/2386 | < Previous Page | 787 788 789 790 791 792 793 794 795 796 797 798  | Next Page >

  • Fun tips with Analytics

    - by user12620172
    If you read this blog, I am assuming you are at least familiar with the Analytic functions in the ZFSSA. They are basically amazing, very powerful and deep. However, you may not be aware of some great, hidden functions inside the Analytic screen. Once you open a metric, the toolbar looks like this: Now, I’m not going over every tool, as we have done that before, and you can hover your mouse over them and they will tell you what they do. But…. Check this out. Open a metric (CPU Percent Utilization works fine), and click on the “Hour” button, which is the 2nd clock icon. That’s easy, you are now looking at the last hour of data. Now, hold down your ‘Shift’ key, and click it again. Now you are looking at 2 hours of data. Hold down Shift and click it again, and you are looking at 3 hours of data. Are you catching on yet? You can do this with not only the ‘Hour’ button, but also with the ‘Minute’, ‘Day’, ‘Week’, and the ‘Month’ buttons. Very cool. It also works with the ‘Show Minimum’ and ‘Show Maximum’ buttons, allowing you to go to the next iteration of either of those. One last button you can Shift-click is the handy ‘Drill’ button. This button usually drills down on one specific aspect of your metric. If you Shift-click it, it will display a “Rainbow Highlight” of the current metric. This works best if this metric has many ‘Range Average’ items in the left-hand window. Give it a shot. Also, one will sometimes click on a certain second of data in the graph, like this:  In this case, I clicked 4:57 and 21 seconds, and the 'Range Average' on the left went away, and was replaced by the time stamp. It seems at this point to some people that you are now stuck, and can not get back to an average for the whole chart. However, you can actually click on the actual time stamp of "4:57:21" right above the chart. Even though your mouse does not change into the typical browser finger that most links look like, you can click it, and it will change your range back to the full metric. Another trick you may like is to save a certain view or look of a group of graphs. Most of you know you can save a worksheet, but did you know you could Sync them, Pause them, and then Save it? This will save the paused state, allowing you to view it forever the way you see it now.  Heatmaps. Heatmaps are cool, and look like this:  Some metrics use them and some don't. If you have one, and wish to zoom it vertically, try this. Open a heatmap metric like my example above (I believe every metric that deals with latency will show as a heatmap). Select one or two of the ranges on the left. Click the "Change Outlier Elimination" button. Click it again and check out what it does.  Enjoy. Perhaps my next blog entry will be the best Analytic metrics to keep your eyes on, and how you can use the Alerts feature to watch them for you. Steve 

    Read the article

  • Admin Panel like Custom Framework

    - by bhuvin
    I want to Create a Framework , like Admin panel , which can rule almost all the aspects of what is shown on the frontend. For an (most basic) example: If suppose the links which are to be shown in a navigation area is passed from the server, with the order and the url , etc. The whole aim is to save the time on the tedious tasks. You can just start creating menus and start assigning pages to it. Give a url, actual files which are to be rendered (in case of static files.), in case of dynamic files, giving the file accordingly. And all this is fully server side manageable using different portlets, sort of things. So basic Roadmap is having : Areas like: Header Area - Which can contain logos, links etc. Navigation Area - Which can contains links and submenus. Content Area - Now this is where the tricky part is that that it has zones like: left, center & right. It contains Order in which it has to be displayed. So, when someday we want to change the way the articles appear on the page, we can do so easily, without any deployments. Now these zones can have n number of internal elements, like the word cloud, or the advertisement area. Footer Area: Again similar as Header Area. Currently there is a preexisting custom framework, which uses XSLT files for pulling out data from the server side. And it has the above capabilities. For example: If there's a grid it will be having a <table> tag embedded in the XSLT file. Now whatever might be the source of the data, we serialize this as XML and give it to the XSLT file and the html is derived from this and is appended to the layer in a page. The problem with this approach is: The XSLT conversion is occurring on the server side, so the server is responsible for getting the data, running XSLT transform, and append the html generated to the layer div. So, according to me, firstly this isn't the server's concern to do so. Secondly for larger applications this might be slower. Debugging isn't possible for XSLT transformation. So, whenever we face problems with data its always a bit of a trial & error method. Maintaining it is a bit of an eerie job i.e. styling changes, and other stuff. Adding dynamic values. Like JavaScript can't actually be very easily used in this. Secondly, we can't use JQuery or any other libraries with this since this is all occurring on the server. For now what I have thought about is using Templating - Javascript - JSON combination in place of XSLT, this will be offloaded to the client and the rendering will take place accordingly. This could solve the above problems and also could add mobile support for the same. Only problem which I could think of is that: It is much work and adding new portlets on the go needs to be looked into. What could be the alternatives for this? What kind of problems are there with the JavaScript approach? What are the different ways to implement the same? Are there any existing frameworks for similar usage?

    Read the article

  • ADO and Two Way Storage Tiering

    - by Andy-Oracle
    Normal 0 false false false EN-US X-NONE X-NONE MicrosoftInternetExplorer4 We get asked the following question about Automatic Data Optimization (ADO) storage tiering quite a bit. Can you tier back to the original location if the data gets hot again? The answer is yes but not with standard Automatic Data Optimization policies, at least not reliably. That's not how ADO is meant to operate. ADO is meant to mirror a traditional view of Information Lifecycle Management (ILM) where data will be very volatile when first created, will become less active or cool, and then will eventually cease to be accessed at all (i.e. cold). I think the reason this question gets asked is because customers realize that many of their business processes are cyclical and the thinking goes that those segments that only get used during month end or year-end cycles could sit on lower cost storage when not being used. Unfortunately this doesn't fit very well with the ADO storage tiering model. ADO storage tiering is based on the amount of free and used space in the source tablespace. There are two parameters that control this behavior, TBS_PERCENT_USED and TBS_PERCENT_FREE. When the space in the tablespace exceeds the TBS_PERCENT_USED value then segments specified in storage tiering clause(s) can be moved until the percent of free space reaches the TBS_PERCENT_FREE value. It is worth mentioning that no checks are made for available space in the target tablespace. Now, it is certainly possible to create custom functions to control storage tiering, but this can get complicated. The biggest problem is insuring that there is enough space to move the segment back to tier 1 storage, assuming that that's the goal. This isn't as much of a problem when moving from tier 1 to tier 2 storage because there is typically more tier 2 storage available. At least that's the premise since it is supposed to be less costly, lower performing and higher capacity storage. In either case though, if there isn't enough space then the operation fails. In the case of a customized function, the question becomes do you attempt to free the space so the move can be made or do you just stop and return false so that the move cannot take place? This is really the crux of the issue. Once you cross into this territory you're really going to have to implement two-way hierarchical storage and the whole point of ADO was to provide automatic storage tiering. You're probably better off using heat map and/or business access requirements and building your own hierarchical storage management infrastructure if you really want two way storage tiering. /* Style Definitions */ table.MsoNormalTable {mso-style-name:"Table Normal"; mso-tstyle-rowband-size:0; mso-tstyle-colband-size:0; mso-style-noshow:yes; mso-style-priority:99; mso-style-qformat:yes; mso-style-parent:""; mso-padding-alt:0in 5.4pt 0in 5.4pt; mso-para-margin:0in; mso-para-margin-bottom:.0001pt; mso-pagination:widow-orphan; font-size:11.0pt; font-family:"Calibri","sans-serif"; mso-ascii-font-family:Calibri; mso-ascii-theme-font:minor-latin; mso-fareast-font-family:"Times New Roman"; mso-fareast-theme-font:minor-fareast; mso-hansi-font-family:Calibri; mso-hansi-theme-font:minor-latin; mso-bidi-font-family:"Times New Roman"; mso-bidi-theme-font:minor-bidi;}

    Read the article

  • New PeopleSoft HCM 9.1 On Demand Standard Edition provides a complete set of IT services at a low, predictable monthly cost

    - by Robbin Velayedam
    At Oracle Open World last month, Oracle announced that we are extending our On Demand offerings with the general availability of PeopleSoft On Demand Standard Edition. Standard Edition represents Oracle’s commitment to providing customers a choice of solutions, technology, and deployment options commensurate with their business needs and future growth. The Standard Edition offering complements the traditional On Demand offerings (Enterprise and Professional Editions) by focusing on a low, predictable monthly cost model that scales with the size of your business.   As part of Oracle's open cloud strategy, customers can freely move PeopleSoft licensed applications between on premise and the various  on demand options as business needs arise.    In today’s business climate, aggressive and creative business objectives demand more of IT organizations. They are expected to provide technology-based solutions to streamline business processes, enable online collaboration and multi-tasking, facilitate data mining and storage, and enhance worker productivity. As IT budgets remain tight in a recovering economy, the challenge becomes how to meet these demands with limited time and resources. One way is to eliminate the variable costs of projects so that your team can focus on the high priority functions and better predict funding and resource needs two to three years out. Variable costs and changing priorities can derail the best laid project and capacity plans. The prime culprits of variable costs in any IT organization include disaster recovery, security breaches, technical support, and changes in business growth and priorities. Customers have an immediate need for solutions that are cheaper, predictable in cost, and flexible enough for long-term growth or capacity changes. The Standard Edition deployment option fulfills that need by allowing customers to take full advantage of the rich business functionality that is inherent to PeopleSoft HCM, while delegating all application management responsibility – such as future upgrades and product updates – to Oracle technology experts, at an affordable and expected price. Standard Edition provides the advantages of the secure Oracle On Demand hosted environment, the complete set of PeopleSoft HCM configurable business processes, and timely management of regular updates and enhancements to the application functionality and underlying technology. Standard Edition has a convenient monthly fee that is scalable by number of employees, which helps align the customer’s overall cost of ownership with its size and anticipated growth and business needs. In addition to providing PeopleSoft HCM applications' world class business functionality and Oracle On Demand's embassy-grade security, Oracle’s hosted solution distinguishes itself from competitors by offering customers the ability to transition between different deployment and service models at any point in the application ownership lifecycle. As our customers’ business and economic climates change, they are free to transition their applications back to on-premise at any time. HCM On Demand Standard Edition is based on configurability options rather than customizations, requiring no additional code to develop or maintain. This keeps the cost of ownership low and time to production less than a month on average. Oracle On Demand offers the highest standard of security and performance by leveraging a state-of-the-art data center with dedicated databases, servers, and secured URL all within a private cloud. Customers will not share databases, environments, platforms, or access portals with other customers because we value how mission critical your data are to your business. Oracle’s On Demand also provides a full breadth of disaster recovery services to provide customers the peace of mind that their data are secure and that backup operations are in place to keep their businesses up and running in the case of an emergency. Currently we have over 50 PeopleSoft customers delegating us with the management of their applications through Oracle On Demand. If you are a customer interested in learning more about the PeopleSoft HCM 9.1 Standard Edition and how it can help your organization minimize your variable IT costs and free up your resources to work on other business initiatives, contact Oracle or your Account Services Representative today.

    Read the article

  • Moving StarterSTS to the (Azure) Cloud

    - by Your DisplayName here!
    Quite some people asked me about an Azure version of StarterSTS. While I kinda knew what I had to do to make the move, I couldn’t find the time. Until recently. This blog post briefly documents the necessary changes and design decisions for the next version of StarterSTS which will work both on-premise and on Azure. Provider Fortunately StarterSTS is already based on the idea of “providers”. Authentication, roles and claims generation is based on the standard ASP.NET provider infrastructure. This makes the migration to different data stores less painful. In my case I simply moved the ASP.NET provider database to SQL Azure and still use the standard SQL Server based membership, roles and profile provider. In addition StarterSTS has its own providers to abstract resource access for certificates, relying party registration, client certificate registration and delegation. So I only had to provide new implementations. Signing and SSL keys now go in the Azure certificate store and user mappings (client certificates and delegation settings) have been moved to Azure table storage. The one thing I didn’t anticipate when I originally wrote StarterSTS was the need to also encapsulate configuration. Currently configuration is “locked” to the standard .NET configuration system. The new version will have a pluggable SettingsProvider with versions for .NET configuration as well as Azure service configuration. If you want to externalize these settings into e.g. a database, it is now just a matter of supplying a corresponding provider. Moving between the on-premise and Azure version will be just a matter of using different providers. URL Handling Another thing that’s substantially different on Azure (and load balanced scenarios in general) is the handling of URLs. In farm scenarios, the standard APIs like ASP.NET’s Request.Url return the current (internal) machine name, but you typically need the address of the external facing load balancer. There’s a hotfix for WCF 3.5 (included in v4) that fixes this for WCF metadata. This was accomplished by using the HTTP Host header to generate URLs instead of the local machine name. I now use the same approach for generating WS-Federation metadata as well as information card files. New Features I introduced a cache provider. Since we now have slightly more expensive lookups (e.g. relying party data from table storage), it makes sense to cache certain data in the front end. The default implementation uses the ASP.NET web cache and can be easily extended to use products like memcached or AppFabric Caching. Starting with the relying party provider, I now also provide a read/write interface. This allows building management interfaces on top of this provider. I also include a (very) simple web page that allows working with the relying party provider data. I guess I will use the same approach for other providers in the future as well. I am also doing some work on the tracing and health monitoring area. Especially important for the Azure version. Stay tuned.

    Read the article

  • Rethinking Oracle Optimizer Statistics for P6 Part 2

    - by Brian Diehl
    In the previous post (Part 1), I tried to draw some key insights about the relationship between P6 and Oracle Optimizer Statistics.  The first is that average cardinality has the greatest impact on query optimization and that the particular queries generated by P6 are more likely to use this average during calculations. The second is that these are statistics that are unlikely to change greatly over the life of the application. Ultimately, our goal is to get the best query optimization possible.  Or is it? Stability No application administrator wants to get the call at 9am that their application users cannot get there work done because everything is running slow. This is a possibility with a regularly scheduled nightly collection of statistics. It may not just be slow performance, but a complete loss of service because one or more queries are optimized poorly. Ideally, this should not be the case. The database optimizer should make better decisions with more up-to-date data. Better statistics may give incremental performance benefit. However, this benefit must be balanced against the potential cost of system down time.  It is stability that we ultimately desire and not absolute optimal performance. We do want the benefit from more accurate statistics and better query plans, but not at the risk of an unusable system. As a result, I've developed the following methodology around managing database statistics for the P6 database.  1. No Automatic Re-Gathering - The daily, weekly, or other interval of statistic gathering is unlikely to be beneficial. Quite the opposite. It is more likely to cause problems. 2. Smart Re-Gathering - The time to collect statistics is when things have changed significantly. For a new installation of P6, this is happening more often because the data is growing from a few rows to thousands and more. But for a mature system, the data is not changing significantly from week-to-week. There are times to collect statistics: New releases of the application Changes in the underlying hardware or software versions (ex. new Oracle RDBMS version) When additional user groups are added. The new groups may use the software in significantly different ways. After significant changes in the data. This may be monthly, quarterly or yearly.  3. Always Test - If you take away one thing from this post, it would be to always have a plan to test after changing statistics. In reality, statistics can be collected as often as you desire provided there are tests in place to verify that performance is the same or better. These might be automated tests or simply a manual script of application functions. 4. Have a Way Out - Never change the statistics without a way to return to the previous set. Think of the statistics as one part of the overall application code that also includes the source code--both application and RDBMS. It would be foolish to change to the new code without a way to get back to the previous version. In the final post, I will talk about the actual script I created for P6 PMDB and possible future direction for managing query performance. 

    Read the article

  • Challenges in Corporate Reporting - New Independent Research

    - by ndwyouell
    Earlier this year, Oracle and Accenture sponsored a global study on trends in financial close and reporting. We surveyed 1,123 finance professionals in large organizations in 12 countries around the world during February and March. Financial Consolidation and Reporting is the most mature aspect of Enterprise Performance Management with mainstream solutions having been around for over 30 years. But of course over this time there have been many changes and very significant increases in regulation. So just what is the current state is Financial Consolidation and Reporting in our major corporations across the world? We commissioned this independent research to find out. Highlights of the result are: •          Seeking change: Businesses recognize they need to invest in financial reporting to address the challenges they currently face. 47 percent of companies have made substantial investments over the last year to the financial close, filing, and reporting processes. •          Ineffective investments: Despite these investments, spreadsheets (72 percent) and e-mails (68 percent) are still being used daily to track and manage reporting, suggesting that new investments are falling short of expectations. •          Increased costs and uncertainty: The situation is so opaque that managers across the finance function are unable to fully understand the financial impact or cost implications of reporting, with 60 percent of respondents admitting they did not know the total cost of managing and publicizing their financial results. •          Persistent challenges: 68 percent of respondents admitted that they have inadequate visibility into reporting processes, while 84 percent of finance managers surveyed said they find it difficult to control the quality of financial data across the entire reporting process. •          Decreased effectiveness: 71 percent of finance managers feel their effectiveness is limited in some way by data-analysis–related issues, while 39 percent of C-level or VP-level respondents say their effectiveness is impaired by limited visibility. •          Missed deadlines: Due to late changes to the chart of accounts, 15 percent of global businesses have missed statutory filings, putting their companies at risk of financial penalties and potentially impacting share value. The report makes it clear that investments made to date by these large organizations around the world have been uneven across the close, reporting, and filing processes, which has led to the challenges these organizations currently face in the overall process. Regardless of whether companies are using a variety of solutions or a single solution, the report shows they continue to witness increased costs, ineffectual data management, and missed reporting, which—in extreme circumstances—can impact a company’s corporate image and share value. The good news is that businesses realize that these problems persist and 86 percent of companies are likely to make a significant investment during the next five years to address these issues. While they should invest, it is critical that they direct investments correctly to address the key issues this research identified: •          Improving data integrity •          Optimizing processes •          Integrating the extended financial close process By addressing these issues and with clear guidance on how to implement the correct business processes, infrastructure, and software solutions, finance teams will find that their reporting processes are much more effective, cost-efficient, and aligned with their performance expectations. To get a copy of the full report: http://www.oracle.com/webapps/dialogue/ns/dlgwelcome.jsp?p_ext=Y&p_dlg_id=11747758&src=7300117&Act=92 To replay a webcast discussing the findings: http://www.cfo.com/webcast.cfm?webcast=14639438&pcode=ORA061912_ORA

    Read the article

  • WPF: Update Listbox automatically C#

    - by Ashley
    Hi, I have two WPF windows developed using the surface SDK, one that is a data entry form, and the second dispays the data in a listbox. The listbox displays the data perfectly but when I add a new record using the data entry form, the listbox is not updated until I reopen the window. Is there a way to automatically update the listbox through binding or something? This is the listbox code: <s:SurfaceListBox Height="673" Margin="0,26,0,31" Name="surfaceListBox1" ItemsSource="{Binding Path={}}" Width="490"> <s:SurfaceListBox.ItemTemplate> <DataTemplate> <StackPanel Orientation="Horizontal"> <Label Width="80" FontSize="8" Content="{Binding Path=item1}"></Label> <Label Width="80" FontSize="8" Content="{Binding Path=item2}"></Label> <Label Width="210" FontSize="8" Content="{Binding Path=item3}"></Label> <Label Width="80" FontSize="8" Content="{Binding Path=item4}"></Label> <Label Width="60" FontSize="8" Content="{Binding Path=item5, Converter={StaticResource booleanconverter}}"></Label> </StackPanel> </DataTemplate> </s:SurfaceListBox.ItemTemplate> </s:SurfaceListBox> I am using Visual C# 2008 and the code to fill the listbox is: private SHIPS_LOGDataSet ShipData = new SHIPS_LOGDataSet(); private SHIPS_LOGDataSetTableAdapters.MAINTableAdapter taMain = new SHIPS_LOGDataSetTableAdapters.MAINTableAdapter(); private SHIPS_LOGDataSetTableAdapters.TableAdapterManager taManager = new ShipsLogSurface.SHIPS_LOGDataSetTableAdapters.TableAdapterManager(); private void SurfaceWindow_Loaded(object sender, RoutedEventArgs e) { this.taMain.Fill(this.ShipData.MAIN); this.DataContext = from MAIN in this.ShipData.MAIN orderby MAIN.MESSAGE_ID descending select MAIN; } The only table in my database is called MAIN. I'm guessing I might have to use a collection view or similar but don't know how to implement that. Any ideas would be much appreciated. Thanks

    Read the article

  • How to improve WinForms MSChart performance?

    - by Marcel
    Hi all, I have created some simple charts (of type FastLine) with MSChart and update them with live data, like below: . To do so, I bind an observable collection of a custom type to the chart like so: // set chart data source this._Chart.DataSource = value; //is of type ObservableCollection<SpectrumLevels> //define x and y value members for each series this._Chart.Series[0].XValueMember = "Index"; this._Chart.Series[1].XValueMember = "Index"; this._Chart.Series[0].YValueMembers = "Channel0Level"; this._Chart.Series[1].YValueMembers = "Channel1Level"; // bind data to chart this._Chart.DataBind(); //lasts 1.5 seconds for 8000 points per series At each refresh, the dataset completely changes, it is not a scrolling update! With a profiler I have found that the DataBind() call takes about 1.5 seconds. The other calls are negligible. How can I make this faster? Should I use another type than ObservableCollection? An array probably? Should I use another form of data binding? Is there some tweak for the MSChart that I may have missed? Should I use a sparsed set of date, having one value per pixel only? Have I simply reached the performance limit of MSCharts? From the type of the application to keep it "fluent", we should have multiple refreshes per second. Thanks for any hints!

    Read the article

  • How to reclaim storage for deleted LOBs

    - by Jim Hudson
    I have a LOB tablespace. Currently holding 9GB out of 12GB available. And, as far as I can tell, deleting records doesn't reclaim any storage in the tablespace. I'm getting worried about handling further processing. This is Oracle 11.1 and the data are in a CLOB and a BLOB column in the same table. The LOB Index segments (SYS_IL...) are small, all the storage is in the data segments (SYS_LOB...) We'e tried purge and coalesce and didn't get anywhere -- same number of bytes in user_extents. "Alter table xxx move" will work, but we'd need to have someplace to move it to that has enough space for the revised data. We'd also need to do that off hours and rebuild the indexes, of course, but that's easy enough. Copying out the good data and doing a truncate, then copying it back, will also work. But that's pretty much just what the "alter table" command does. Am I missing some easy ways to shrink things down and get the storage back? Or is "alter table xxx move" the best approach? Or is this a non-issue and Oracle will grab back the space from the deleted lob rows when it needs it?

    Read the article

  • PDF rendering crashes app Core Graphics

    - by Felixyz
    EDIT: The memory leaks turned out to be unrelated to the crashes. Leaks are fixed but crashes remain, still mysterious. My (iPhone) app does lots of PDF loading and rendering, some of it threaded. Sometime, it seems always after I flush a page cash after getting a memory warning, the app crashes with a bad access when trying to draw a pdf page stored in an NSData object. Here is one example trace: #0 0x3016d564 in CGPDFResourcesGetResource () #1 0x3016d58a in CGPDFResourcesGetResource () #2 0x3016d94e in CGPDFResourcesGetExtGState () #3 0x3015fac4 in CGPDFContentStreamGetExtGState () #4 0x301629a8 in op_gs () #5 0x3016df12 in handle_xname () #6 0x3016dd9e in read_objects () #7 0x3016de6c in CGPDFScannerScan () #8 0x30161e34 in CGPDFDrawingContextDraw () #9 0x3016a9dc in CGContextDrawPDFPage () But sometimes I get this instead: Program received signal: “EXC_BAD_ACCESS”. (gdb) bt #0 0x335625fa in objc_msgSend () #1 0x32c04eba in CFDictionaryGetValue () #2 0x3016d500 in get_value () #3 0x3016d5d6 in CGPDFResourcesGetFont () #4 0x3015fbb4 in CGPDFContentStreamGetFont () #5 0x30163480 in op_Tf () #6 0x3016df12 in handle_xname () #7 0x3016dd9e in read_objects () #8 0x3016de6c in CGPDFScannerScan () #9 0x30161e34 in CGPDFDrawingContextDraw () #10 0x3016a9dc in CGContextDrawPDFPage () Is this an indication that I've mistakenly deallocated an object? It's hard for me to decode what's happening here. This is how I create and retain the various objects involved: // Some data was just loaded from the network and is pointed to by "data" self.pdfData = data; _dataProviderRef = CGDataProviderCreateWithData( NULL, [_pdfData bytes], [_pdfData length], NULL ); _documentRef = CGPDFDocumentCreateWithProvider(_dataProviderRef); _pageRef = CGPDFDocumentGetPage(_documentRef, 1); CGPDFPageRetain(_pageRef); _pdfFrame = CGPDFPageGetBoxRect(_pageRef, kCGPDFArtBox); So the NSData object is retained, and I explicitly retain the page reference. The data provider and the document are already retained by the create-functions. And here is my dealloc method: -(void)dealloc { if (_pageRef) CGPDFPageRelease(_pageRef); if (_documentRef) CGPDFDocumentRelease(_documentRef); if (_dataProviderRef) CGDataProviderRelease(_dataProviderRef); self.pdfData = nil; [super dealloc]; } Am I doing anything wrong? Even an assurance that I'm not, with explanation, would be a help.

    Read the article

  • Using Microsoft.Reporting.WebForms.ReportViewer in a custom SharePoint WebPart

    - by iHeartDucks
    I have a requirement where I have to display some data (from a custom db) and let the user export it to an excel file. I decided to use the ReportViewer control present in Microsoft.Reporting.WebForms.ReportViewer. I added the required assembly to the project references and I add the following code to test it out protected override void CreateChildControls() { base.CreateChildControls(); objRV = new Microsoft.Reporting.WebForms.ReportViewer(); objRV.ID = "objRV"; this.Controls.Add(objRV); } The first error asked me to add this line in the web.config which I did and the next error says The type 'Microsoft.SharePoint.Portal.Analytics.UI.ReportViewerMessages, Microsoft.SharePoint.Portal, Version=12.0.0.0, Culture=neutral, PublicKeyToken=71e9bce111e9429c' does not implement IReportViewerMessages Is it possible to use ReportViewer in my custom Web Part? I rather not bind a repeater and write my own export to excel code. I want to use something which is already built by Microsoft? Any ideas on what I can reuse? Edit I commented the following line <add key="ReportViewerMessages"... and now my code looks like this after I added a data source to it protected override void CreateChildControls() { base.CreateChildControls(); objRV = new Microsoft.Reporting.WebForms.ReportViewer(); objRV.ID = "objRV"; objRV.Visible = true; Microsoft.Reporting.WebForms.ReportDataSource datasource = new Microsoft.Reporting.WebForms.ReportDataSource("test", GroupM.Common.DB.GetAllClientCodes()); objRV.LocalReport.DataSources.Clear(); objRV.LocalReport.DataSources.Add(datasource); objRV.LocalReport.Refresh(); this.Controls.Add(objRV); } but now I do not see any data on the page. I did check my db call and it does return a data table with 15 rows. Any ideas why I don't see anything on the page?

    Read the article

  • PyQt4 and QTableView with spinbox and checkbox

    - by ekapek
    Hi, I have a QTableView with QSqlTableModel and with 3 columns, now I need to have: - second column: spinbox after clicked to edit - third column: checkbox (displayed center) My code: class SpinBoxDelegate(QtGui.QItemDelegate): def createEditor(self, parent, option, index): editor = QtGui.QSpinBox(parent) editor.setMinimum(0) editor.setMaximum(100) print 'spinbox' return editor def setEditorData(self, spinBox, index): value = index.model().data(index, QtCore.Qt.EditRole).toInt()[0] spinBox.setValue(value) def setModelData(self, spinBox, model, index): spinBox.interpretText() value = spinBox.value() model.setData(index, value, QtCore.Qt.EditRole) def updateEditorGeometry(self, editor, option, index): editor.setGeometry(option.rect) class myQSqlTableModel(QtSql.QSqlTableModel): def flags(self,index): result = QtSql.QSqlTableModel.flags(self,index); if index.column() == 2: result |= QtCore.Qt.ItemIsUserCheckable return result def data(self,index,role): if not index.isValid: return QtCore.QVariant() value = QtSql.QSqlTableModel.data(self, index, role) if index.column() == 2: if role == QtCore.Qt.CheckStateRole: return QtCore.Qt.Unchecked if QtSql.QSqlTableModel.data(self, index).toInt()[0] else QtCore.Qt.Checked elif role == QtCore.Qt.DisplayRole: return QtCore.QVariant() return value and self.model = myQSqlTableModel(self) self.model.setTable("person") self.model.setEditStrategy(QtSql.QSqlTableModel.OnManualSubmit) self.model.select(): self.model.setHeaderData(0, QtCore.Qt.Horizontal, self.tr("ID")) self.model.setHeaderData(1, QtCore.Qt.Horizontal, self.tr("A")) self.model.setHeaderData(2, QtCore.Qt.Horizontal, self.tr("B")) self.view = QtGui.QTableView() self.view.setModel(self.model) self.view.setSortingEnabled(True) spinDelegate = SpinBoxDelegate() self.view.setItemDelegateForColumn(1,spinDelegate) but it does't work: spinbox don't show after click and checkbox can't be clicked and is aligned to left Any help?

    Read the article

  • Java: immutable Stack?

    - by HH
    I chose to use Stacks and Tables before knowing Collections has immutable empty things only for Set, Map and List. Because the size of table does not change after its init: Integer[] table = new Intger[0] I can use the zero-witdh table as an empty table. But I cannot use final or empty Stack to get immutable Stack: No immutability to Stack with Final import java.io.*; import java.util.*; public class TestStack{ public static void main(String[] args) { final Stack<Integer> test = new Stack<Integer>(); Stack<Integer> test2 = new Stack<Integer>(); test.push(37707); test2.push(80437707); //WHY is there not an error to remove an elment // from FINAL stack? System.out.println(test.pop()); System.out.println(test2.pop()); } } Java Api 5 for list interface shows that Stack is an implementing class for list and arraylist, here. The java.coccurrent pkg does not have any immutable Stack data structure. From Stack to some immutable data structure How to get immutable Stack data structure? Can I box it with list? Should I switch my current implementatios from stacks to Lists to get immutable? Which immutable data structure is Very fast with about similar exec time as Stack?

    Read the article

  • Managing a file-based public maven repository

    - by Roland Ewald
    I am looking for an easy way to manage a public file-based Maven repository. While we are using the open-source version of Artifactory internally, we now want to put a file-based repository of our published artifacts (and their dependencies) on a separate machine that is publicly available. There are several ways how to do this, but none of them seems ideal: Use Maven Dependency plugin: if it is configured correctly and executed with the goal dependency:copy-dependencies for the release-module of our project, it creates a local repository structure that is fine, but this structure does not contain the meta-data.xml files, nor the hash-sums. Use Artifactory to export repo: AFAIK Artifactory only allows to export a repository as a whole. This would include the non-published modules from our project (which would then need to be deleted manually). Also, all dependencies are sitting in another repository, so this needs to be done twice, and many dependencies are not even required by a published artifact (only by artifacts that are still for internal use only). Nevertheless, this method would also include the meta-data.xml files and the hash-sums for all files. To set up an initial version of the repository, I used a mixture of both methods: I first created the Maven repository for all required dependencies via dependency:copy-dependencies and then wrote a script to cherry-pick the meta-data.xml files (etc.) from Artifactory. This is terribly cumbersome, isn't there a better way to solve this? Maybe there is another Maven 3 - plugin that I am unaware of, or some other command-line tool that does the job? I basically just need a simple way to create a Maven repository that contains all artifacts a given artifact depends on (and no more), and also contains all meta-data expected in a remote repository. Any ideas?

    Read the article

  • WebSocket handshake with Ruby and EM::WebSocket::Server

    - by Chad Johnson
    I am trying to create a simple WebSocket connection in JavaScript against my Rails app. I get the following: WebSocket connection to 'ws://localhost:4000/' failed: Error during WebSocket handshake: 'Sec-WebSocket-Accept' header is missing What am I doing wrong? Here is my code: JavaScript: var socket = new WebSocket('ws://localhost:4000'); socket.onopen = function() { var handshake = "GET / HTTP/1.1\n" + "Host: localhost\n" + "Upgrade: websocket\n" + "Connection: Upgrade\n" + "Sec-WebSocket-Key: x3JJHMbDL1EzLkh9GBhXDw==\n" + "Sec-WebSocket-Protocol: quote\n" + "Sec-WebSocket-Version: 13\n" + "Origin: http://localhost\n"; socket.send(handshake); }; socket.onmessage = function(data) { console.log(data); }; Ruby: require 'rubygems' require 'em-websocket-server' module QuoteService class WebSocket < EventMachine::WebSocket::Server def on_connect handshake_response = "HTTP/1.1 101 Switching Protocols\n" handshake_response << "Upgrade: websocket\n" handshake_response << "Connection: Upgrade\n" handshake_response << "Sec-WebSocket-Accept: HSmrc0sMlYUkAGmm5OPpG2HaGWk=\n" handshake_response << "Sec-WebSocket-Protocol: quote\n" send_message(handshake_response) end def on_receive(data) puts 'RECEIVED: ' + data end end end EventMachine.run do print 'Starting WebSocket server...' EventMachine.start_server '0.0.0.0', 4000, QuoteService::WebSocket puts 'running' end The handshake headers are per Wikipedia.

    Read the article

  • ExtJS: remove a grid from a tabpanel when its underlying store is empty

    - by Antonio
    Hi, I have TabPanel which contains, among other things, a Grid connected to a Store. Several events may remove elements from the store. I would like the Grid to be removed from the TabPanel when the store is empty and, possibly, to have a single place in my code to check for this event. I thought about using store listeners, but unfortunately this causes exceptions in Ext code. My assumption is that this happens because rendering is performed on the grid after this is removed from the tabpanel. Any idea on how to accomplish such a task without messing up Ext is much appreciated. Thanks :) By the way, this is a code excerpt: var myStore = new Ext.data.Store({ reader: new Ext.data.JsonReader({fields: MyRecord}), listeners:{ 'clear': function(store, recs) { myTabPanel.remove(myGrid); }, 'remove': function(store, rec, idx) { if (store.getCount() == 0) { myTabPanel.remove(myGrid); } } } }); var myGrid = new Ext.grid.GridPanel({ id: "myGrid", title: "A Grid", store: myStore, frame:false, border:false, columns: [ { header: 'Remove', align:'center', width: 45, sortable: false, renderer: function(value, metaData, record, rowIndex, colIndex, store) { return '<img src="images/remove.png" width="34" height="18"/>'; } },{ header: 'Some Data', dataIndex: 'data', sortable: true } ], listeners:{ 'cellclick':function(grid, rowIndex, colIndex, e){ var rec = myStore.getAt(rowIndex); if(colIndex == 0){ myStore.remove(rec); } } } }); var myTabPanel= new Ext.TabPanel({ activeTab: 0, items: [ fooPanel, barPanel, myGrid] });

    Read the article

  • Working with XML...

    - by gsvirdi
    I'm planning to create a news item which uses xml as it's backend and the Display should be like: Date: 08/Mar/2010 Title | News News 4 | Some news News 3 | Some news News 2 | Some news News 1 | Some news Date: 07/Mar/2010 Title | News News 5 | Some news News 4 | Some news News 3 | Some news News 2 | Some news News 1 | Some news Display should be sorted on Date (descending) Then news items should be sorted on time (descending) Today's news item should be on top, then titles should be sorted-decending (timewise), later will come previous day's news items. I'm not able to come up with the logic of xml which should be used in this case. moreover I'm not able to figure out how should I check "Today's date" in xml's "if" statement. ---- Previous Question ------------------------------------------------------------------ How can I export a data from textBox1, textBox2 & textBox3 on my winform (visual studio C#) so that it can automatically create an xml file with proper placing of these data???? Let's say: textBox1 = Name: textBox2 = Age: textBox3 = Roll No It would be great if the exported xml can be appended (add the new data in the EOF) if we export the data again. Any idea plz.....

    Read the article

  • c# Named Pipe Asynchronous Peeking

    - by KJ Tsanaktsidis
    Hey all, I need to find a way to be notified when a System.IO.Pipe.NamedPipeServerStream opened in asynchronous mode has more data available for reading on it- a WaitHandle would be ideal. I cannot simply use BeginRead() to obtain such a handle because it's possible that i might be signaled by another thread which wants to write to the pipe- so I have to release the lock on the pipe and wait for the write to be complete, and NamedPipeServerStream doesnt have a CancelAsync method. I also tried calling BeginRead(), then calling the win32 function CancelIO on the pipe if the thread gets signaled, but I don't think this is an ideal solution because if CancelIO is called just as data is arriving and being processed, it will be dropped- I still wish to keep this data, but process it at a later time, after the write. I suspect the win32 function PeekNamedPipe might be useful but i'd like to avoid having to continuously poll for new data with it. In the likley event that the above text is a bit unclear, here's roughly what i'd like to be able to do... NamedPipeServerStream pipe; ManualResetEvent WriteFlag; //initialise pipe lock (pipe) { //I wish this method existed WaitHandle NewDataHandle = pipe.GetDataAvailableWaithandle(); Waithandle[] BreakConditions = new Waithandle[2]; BreakConditions[0] = NewDataHandle; BreakConditions[1] = WriteFlag; int breakcode = WaitHandle.WaitAny(BreakConditions); switch (breakcode) { case 0: //do a read on the pipe break; case 1: //break so that we release the lock on the pipe break; } }

    Read the article

  • Opening email attachments in Android

    - by zehrer
    I try to open a specific email attachment type with my activity, the attachment itself is a plain text windows style ini file with the extension *.os. In the email this file is attached as "application/octet-stream". I tried the following intent-filter to catch the attachment with my activity: <intent-filter> <action android:name="android.intent.action.VIEW"/> <category android:name="android.intent.category.DEFAULT"/> <category android:name="android.intent.category.BROWSABLE"/> <data android:scheme="http" android:host="*" android:pathPattern=".*\\.os"/> <data android:scheme="https" android:host="*" android:pathPattern=".*\\.os"/> <data android:scheme="content" android:host="*" android:pathPattern=".*\\.os"/> <data android:scheme="file" android:host="*" android:pathPattern=".*\\.os"/> </intent-filter> The Email app is fetching the attachment but is then telling me "The attachment cannot be displayed". What can I do? How can I debug this?

    Read the article

  • Loading cross domain XML with Javascript using a hybrid iframe-proxy/xsl/jsonp concept?

    - by Josef
    On our site www.foo.com we want to download and use http://feeds.foo.com/feed.xml with Javascript. We'll obviously use Access-Control but for browsers that don't support it we are considering the following as a fallback: On www.foo.com, we set document.domain, provide a callback function and load the feed into a (hidden) iframe: document.domain = 'foo.com'; function receive_data(data) { // process data }; var proxy = document.createElement('iframe'); proxy.src = 'http://feeds.foo.com/feed.xml'; document.body.appendChild(proxy); On feeds.foo.com, add an XSL to feed.xml and use it to transform the feed into an html document that also sets document.domain and calls the callback function in its parent with the feed data as json: <?xml version="1.0"?> <xsl:stylesheet xmlns:xsl="http://www.w3.org/1999/XSL/Transform" version="1.0"> <xsl:template match="ROOT"> <html><body> <script type="text/javascript"> document.domain = 'foo.com'; parent.receive_data([<xsl:apply-templates/>]); </script> </body></html> </xsl:template> <!-- templates that transform data into json objects go here --> </xsl:stylesheet> Is there a better way to load XML from feeds.foo.com and what are the ramifications of this iframe-proxy/xslt/jsonp trick? (..and in what cases will it fail?) Remarks This does not work in Safari & Chrome but since both support Access-Control it's fine. We want little or no change to feeds.foo.com We are aware of (but not interested in) server-side proxy solutions update: wrote about it

    Read the article

  • Vaadin table hide columns and container customization

    - by Alex
    Hello I am testing a project, using Vaadin and Hibernate. I am trying to use the HbnContainer class to show data into table. The problem is that I do not want to show all the properties of the two classes in the table. For example: @Entity @Table(name="users") class User { @Id @GeneratedValue(strategy=GenerationType.AUTO) private Long id; private String name; @ManyToOne(cascade=CascadeType.PERSIST) private UserRole role; //getters and setters } and a second class: @Entity @Table(name="user_roles") class UserRole { @Id @GeneratedValue(strategy=GenerationType.AUTO) private Long id; private String name; //getters and setters } Next, I retrieve my data using the HbnContainer, and connect it to the table: HbnContainer container = new HbnContainer(User.class, app); table.setContainerDataSource(container); The Table will only display the columns from User, and for the "role" it will put the role id instead. How can I hide that column, and replace it with the UserRole.name ? I managed to use a ColumnGenerator() to get the string value in the table, for the UserRole - but I couldn't remove the previous column, with the numerical value. What am I missing? Or, what is the best way to "customize" your data, before displaying a table (if i want to show data in a table from more than one object type.. what do I do?) If I can't find a simple solution soon, I think I will just build the tables "by hand".. So, any advice on this matter? Thank you, Alex

    Read the article

  • How to populate a generic list of objects in C# from SQL database

    - by developr
    I am just learning ASP.NET c# and trying to incorporate best practices into my applications. Everything that I read says to layer my applications into DAL, BLL, UI, etc based on separation of concerns. Instead of passing datatables around, I am thinking about using custom objects so that I am loosely coupled to my data layer and can take advantage of intellisense in VS. I assume these objects would be considered DTOs? First, where do these objects reside in my layers? BLL, DAL, other? Second, when populating from SQL, should I loop through a data reader to populate the list or first fill a data table, then loop through the table to populate the list? I know you should close the database connection as soon as possible, but it seems like even more overhead to populate the data table and then loop through that for the list. Third, everything I see these days says use Linq2SQL. I am planning to learn Linq2SQL, but at this time I am working with a legacy database that doesn't have foreign keys setup and I do not have the ability to fix it atm. Also, I want to learn more about c# before I start getting into ORM solutions like nHibernate. At the same time I don't want to type out all the connection and SQL plumbing for every query. Is it ok to use the Enterprise DAAB for now?

    Read the article

  • how does scrolling in android listview work?

    - by gartenkralleb
    hi, i have an android-app with a listview in an activity. the listview has, if i call it so, three data states. no data loaded from inet - only one dummy item is visible, saying that data is loading data is loaded and shown in list one listitem is clicked and now shows more information for this listitem (so it is increased in its height) on every state change (1 - 2, 2 - 3) i call notifyDataSetChanged() on this ListAdapater. this causes the listview to scroll down to the last item. this is ugly in the first transition and even more ugly in the second because the clicked list item is now out of focus. as i can see, this happens with a google g1 with android 1.6. a htc touch with the same sdk acts like desired (i try to figure it out with some more devices). to avoid this i tried to read out getScrollY() and set this value back. but this returns 0. the reason for this return value i already found on stackoverflow in other qutestions. does anyone else comes along with my problem so far? why does the listview scrolls to the last item? it was mentioned, that listview does keep track on the scroll position. but it seems that it does not in my case. or may i call the wrong refresh method? is notifyDataSetChanged the correct one?

    Read the article

  • Confused about C++'s std::wstring, UTF-16, UTF-8 and displaying strings in a windows GUI

    - by dfrey
    I'm working on a english only C++ program for Windows where we were told "always use std::wstring", but it seems like nobody on the team really has much of an understanding beyond that. I already read the question titled "std::wstring VS std::string. It was very helpful, but I still don't quite understand how to apply all of that information to my problem. The program I'm working on displays data in a Windows GUI. That data is persisted as XML. We often transform that XML using XSLT into HTML or XSL:FO for reporting purposes. My feeling based on what I have read is that the HTML should be encoded as UTF-8. I know very little about GUI development, but the little bit I have read indicates that the GUI stuff is all based on UTF-16 encoded strings. I'm trying to understand where this leaves me. Say we decide that all of our persisted data should be UTF-8 encoded XML. Does this mean that in order to display persisted data in a UI component, I should really be performing some sort of explicit UTF-8 to UTF-16 transcoding process? I suspect my explanation could use clarification, so I'll try to provide that if you have any questions.

    Read the article

< Previous Page | 787 788 789 790 791 792 793 794 795 796 797 798  | Next Page >