Search Results

Search found 67448 results on 2698 pages for 'data management'.

Page 84/2698 | < Previous Page | 80 81 82 83 84 85 86 87 88 89 90 91  | Next Page >

  • Designing status management for a file processing module

    - by bot
    The background One of the functionality of a product that I am currently working on is to process a set of compressed files ( containing XML files ) that will be made available at a fixed location periodically (local or remote location - doesn't really matter for now) and dump the contents of each XML file in a database. I have taken care of the design for a generic parsing module that should be able to accommodate the parsing of any file type as I have explained in my question linked below. There is no need to take a look at the following link to answer my question but it would definitely provide a better context to the problem Generic file parser design in Java using the Strategy pattern The Goal I want to be able to keep a track of the status of each XML file and the status of each compressed file containing the XML files. I can probably have different statuses defined for the XML files such as NEW, PROCESSING, LOADING, COMPLETE or FAILED. I can derive the status of a compressed file based on the status of the XML files within the compressed file. e.g status of the compressed file is COMPLETE if no XML file inside the compressed file is in a FAILED state or status of the compressed file is FAILED if the status of at-least one XML file inside the compressed file is FAILED. A possible solution The Model I need to maintain the status of each XML file and the compressed file. I will have to define some POJOs for holding the information about an XML file as shown below. Note that there is no need to store the status of a compressed file as the status of a compressed file can be derived from the status of its XML files. public class FileInformation { private String compressedFileName; private String xmlFileName; private long lastModifiedDate; private int status; public FileInformation(final String compressedFileName, final String xmlFileName, final long lastModified, final int status) { this.compressedFileName = compressedFileName; this.xmlFileName = xmlFileName; this.lastModifiedDate = lastModified; this.status = status; } } I can then have a class called StatusManager that aggregates a Map of FileInformation instances and provides me the status of a given file at any given time in the lifetime of the appliciation as shown below : public class StatusManager { private Map<String,FileInformation> processingMap = new HashMap<String,FileInformation>(); public void add(FileInformation fileInformation) { fileInformation.setStatus(0); // 0 will indicates that the file is in NEW state. 1 will indicate that the file is in process and so on.. processingMap.put(fileInformation.getXmlFileName(),fileInformation); } public void update(String filename,int status) { FileInformation fileInformation = processingMap.get(filename); fileInformation.setStatus(status); } } That takes care of the model for the sake of explanation. So whats my question? Edited after comments from Loki and answer from Eric : - I would like to know if there are any existing design patterns that I can refer to while coming up with a design. I would also like to know how I should go about designing the status management classes. I am more interested in understanding how I can model the status management classes. I am not interested in how other components are going to be updated about a change in status at the moment as suggested by Eric.

    Read the article

  • Heterogeneous Datacenter Management with Enterprise Manager 12c

    - by Joe Diemer
    The following is a Guest Blog, contributed by Bryce Kaiser, Product Manager at Blue MedoraWhen I envision a perfect datacenter, it would consist of technologies acquired from a single vendor across the entire server, middleware, application, network, and storage stack - Apps to Disk - that meets your organization’s every IT requirement with absolute best-of-breed solutions in every category.   To quote a familiar motto, your datacenter would consist of "Hardware and Software, Engineered to Work Together".  In almost all cases, practical realities dictate something far less than the IT Utopia mentioned above.   You may wish to leverage multiple vendors to keep licensing costs down, a single vendor may not have an offering in the IT category you need, or your preferred vendor may quite simply not have the solution that meets your needs.    In other words, your IT needs dictate a heterogeneous IT environment.  Heterogeneity, however, comes with additional complexity. The following are two pretty typical challenges:1) No End-to-End Visibility into the Enterprise Wide Application Deployment. Each vendor solution which is added to an infrastructure may bring its own tooling creating different consoles for different vendor applications and platforms.2) No Visibility into Performance Bottlenecks. When multiple management tools operate independently, you lose diagnostic capabilities including identifying cross-tier issues with database, hung-requests, slowness, memory leaks and hardware errors/failures causing DB/MW issues. As adoption of Oracle Enterprise Manager (EM) has increased, especially since the release of Enterprise Manager 12c, Oracle has seen an increase in the number of customers who want to leverage their investments in EM to manage non-Oracle workloads.  Enterprise Manager provides a single pane of glass view into their entire datacenter.  By creating a highly extensible framework via the Oracle EM Extensibility Development Kit (EDK), Oracle has provided the tooling for business partners such as my company Blue Medora as well as customers to easily fill gaps in the ecosystem and enhance existing solutions.  As mentioned in the previous post on the Enterprise Manager Extensibility Exchange, customers have access to an assortment of Oracle and Partner provided solutions through this Exchange, which is accessed at http://www.oracle.com/goto/emextensibility.  Currently, there are over 80 Oracle and partner provided plug-ins across the EM 11g and EM 12c versions.  Blue Medora is one of those contributing partners, for which you will find 3 of our solutions including our flagship plugin for VMware.  Let's look at Blue Medora’s VMware plug-in as an example to what I'm trying to convey.  Here is a common situation solved by true visibility into your entire stack:Symptoms•    My database is bogging down, however the database appears okay internally.  Maybe it’s starved for resources?•    My OS tooling is showing everything is “OK”.  Something doesn’t add up. Root cause•    Through the VMware plugin we can see the problem is actually on the virtualization layer Solution•    From within Enterprise Manager  -- the same tool you use for all of your database tuning -- we can overlay the data of the database target, host target, and virtual machine target for a true picture of the true root cause. Here is the console view: Perhaps your monitoring conditions are more specific to your environment.  No worries, Enterprise Manager still has you covered.  With Metric Extensions you have the “Next Generation” of User-Defined Metrics, which easily bring the power of your existing management scripts into a single console while leveraging the proven Enterprise Manager framework. Simply put, Oracle Enterprise manager boasts a growing ecosystem that provides the single pane of glass for your entire datacenter from the database and beyond.  Bryce can be contacted at [email protected]

    Read the article

  • Personal Financial Management – The need for resuscitation

    - by Salil Ravindran
    Until a year or so ago, PFM (Personal Financial Management) was the blue eyed boy of every channel banking head. In an age when bank account portability is still fiction, PFM was expected to incentivise customers to switch banks. It still is, in some emerging economies, but if the state of PFM in matured markets is anything to go by, it is in a state of coma and badly requires resuscitation. Studies conducted around the year show an alarming decline and stagnation in PFM usage in mature markets. A Sept 2012 report by Aite Group – Strategies for PFM Success shows that 72% of users hadn’t used PFM and worse, 58% of them were not kicked about using it. Of the rest who had used it, only half did on a bank site. While there are multiple reasons for this lack of adoption, some are glaringly obvious. While pretty graphs and pie charts are important to provide a visual representation of my income and expense, it is simply not enough to encourage me to return. Static representation of data without any insightful analysis does not help me. Budgeting and Cash Flow is important but when I have an operative account, a couple of savings accounts, a mortgage loan and a couple of credit cards help me with what my affordability is in specific contexts rather than telling me I just busted my budget. Help me with relative importance of each budget category so that I know it is fine to go over budget on books for my daughter as against going over budget on eating out. Budget over runs and spend analysis are post facto and I am informed of my sins only when I return to online banking. That too, only if I decide to come to the PFM area. Fundamentally, PFM should be a part of my banking engagement rather than an analysis tool. It should be contextual so that I can make insight based decisions. So what can be done to resuscitate PFM? Amalgamation with banking activities – In most cases, PFM tools are integrated into online banking pages and they are like chapter 37 of a long story. PFM needs to be a way of banking rather than a tool. Available balances should shift to Spendable Balances. Budget and goal related insights should be integrated with transaction sessions to drive pre-event financial decisions. Personal Financial Guidance - Banks need to think ground level and see if their PFM offering is really helping customers achieve self actualisation. Banks need to recognise that most customers out there are non-proficient about making the best value of their money. Customers return when they know that they are being guided rather than being just informed on their finance. Integrating contextual financial offers and financial planning into PFM is one way ahead. Yet another way is to help customers tag unwanted spending thereby encouraging sound savings habits. Mobile PFM – Most banks have left all those numbers on online banking. With access mostly having moved to devices and the success of apps, moving PFM on to devices will give it a much needed shot in the arm. This is not only about presenting the same wine in a new bottle but also about leveraging the power of the device in pushing real time notifications to make pre-purchase decisions. The pursuit should be to analyse spend, budgets and financial goals real time and push them pre-event on to the device. So next time, I should know that I have over run my eating out budget before walking into that burger joint and not after. Increase participation and collaboration – Peer group experiences and comments are valued above those offered by the bank. Integrating social media into PFM engagement will let customers share and solicit their financial management experiences with their peer group. Peer comparisons help benchmark one’s savings and spending habits with those of the peer group and increases stickiness. While mature markets have gone through this learning in some way over the last one year, banks in maturing digital banking economies increasingly seem to be falling into this trap. Best practices lie in profiling and segmenting customers, being where they are and contextually guiding them to identify and achieve their financial goals. Banks could look at the likes of Simple and Movenbank to draw inpiration from.

    Read the article

  • data validation on wpf passwordbox:type password, re-type password

    - by black sensei
    Hello Experts !! I've built a wpf windows application in with there is a registration form. Using IDataErrorInfo i could successfully bind the field to a class property and with the help of styles display meaningful information about the error to users.About the submit button i use the MultiDataTrigger with conditions (Based on a post here on stackoverflow).All went well. Now i need to do the same for the passwordbox and apparently it's not as straight forward.I found on wpftutorial an article and gave it a try but for some reason it wasn't working. i've tried another one from functionalfun. And in this Functionalfun case the properties(databind,databound) are not recognized as dependencyproperty even after i've changed their name as suggested somewhere in the comments plus i don't have an idea whether it will work for a windows application, since it's designed for web. to give you an idea here is some code on textboxes <Window.Resources> <data:General x:Key="recharge" /> <Style x:Key="validButton" TargetType="{x:Type Button}" BasedOn="{StaticResource {x:Type Button}}" > <Setter Property="IsEnabled" Value="False"/> <Style.Triggers> <MultiDataTrigger> <MultiDataTrigger.Conditions> <Condition Binding="{Binding ElementName=txtRecharge, Path=(Validation.HasError)}" Value="false" /> </MultiDataTrigger.Conditions> <Setter Property="IsEnabled" Value="True" /> </MultiDataTrigger> </Style.Triggers> </Style> <Style x:Key="txtboxerrors" TargetType="{x:Type TextBox}" BasedOn="{StaticResource {x:Type TextBox}}"> <Style.Triggers> <Trigger Property="Validation.HasError" Value="true"> <Setter Property="ToolTip" Value="{Binding RelativeSource={RelativeSource Self}, Path=(Validation.Errors)[0].ErrorContent}"/> <Setter Property="Validation.ErrorTemplate"> <Setter.Value> <ControlTemplate> <DockPanel LastChildFill="True"> <TextBlock DockPanel.Dock="Bottom" FontSize="8" FontWeight="ExtraBold" Foreground="red" Padding="5 0 0 0" Text="{Binding ElementName=showerror, Path=AdornedElement.(Validation.Errors)[0].ErrorContent}"></TextBlock> <Border BorderBrush="Red" BorderThickness="2"> <AdornedElementPlaceholder Name="showerror" /> </Border> </DockPanel> </ControlTemplate> </Setter.Value> </Setter> </Trigger> </Style.Triggers> </Style> </Window.Resources> <TextBox Margin="12,69,12,70" Name="txtRecharge" Style="{StaticResource txtboxerrors}"> <TextBox.Text> <Binding Path="Field" Source="{StaticResource recharge}" ValidatesOnDataErrors="True" UpdateSourceTrigger="PropertyChanged"> <Binding.ValidationRules> <ExceptionValidationRule /> </Binding.ValidationRules> </Binding> </TextBox.Text> </TextBox> <Button Height="23" Margin="98,0,0,12" Name="btnRecharge" VerticalAlignment="Bottom" Click="btnRecharge_Click" HorizontalAlignment="Left" Width="75" Style="{StaticResource validButton}">Recharge</Button> some C# : class General : IDataErrorInfo { private string _field; public string this[string columnName] { get { string result = null; if(columnName == "Field") { if(Util.NullOrEmtpyCheck(this._field)) { result = "Field cannot be Empty"; } } return result; } } public string Error { get { return null; } } public string Field { get { return _field; } set { _field = value; } } } So what are suggestion you guys have for me? I mean how would you go about this? how do you do this since the databinding first purpose here is not to load data onto the fields they are just (for now) for data validation. thanks for reading this.

    Read the article

  • How to populate a core data store programmatically?

    - by jdmuys
    I have ran out of hairs to pull with a crash in this routine that populates a core data store from a 9000+ line plist file. The crash happened at the very end of the routine inside the call to [managedObjectContext save:&error]. While if I save after every object insertion, the crash doesn't happen. Of course, saving after every object insertion totally kills the performance (from less than a second to many minutes). I modified my code so that it saves every K insertions, and the crash happens as soon as K = 2. The crash is an out-of-bound exception for an NSArray: Serious application error. Exception was caught during Core Data change processing: *** -[NSCFArray objectAtIndex:]: index (1) beyond bounds (1) with userInfo (null) Also maybe relevant, when the exception happen, my fetch result controller controllerDidChangeContent: delegate routine is in the call stack. It simply calls my table view endUpdate routine. I am now running out of ideas. How am I supposed to populate a core data store with a table view? Here is the call stack: #0 0x901ca4e6 in objc_exception_throw #1 0x01d86c3b in +[NSException raise:format:arguments:] #2 0x01d86b9a in +[NSException raise:format:] #3 0x00072cb9 in _NSArrayRaiseBoundException #4 0x00010217 in -[NSCFArray objectAtIndex:] #5 0x002eaaa7 in -[UITableView(_UITableViewPrivate) _endCellAnimationsWithContext:] #6 0x002def02 in -[UITableView endUpdates] #7 0x00004863 in -[AirportViewController controllerDidChangeContent:] at AirportViewController.m:463 #8 0x01c43be1 in -[NSFetchedResultsController(PrivateMethods) _managedObjectContextDidChange:] #9 0x0001462a in _nsnote_callback #10 0x01d31005 in _CFXNotificationPostNotification #11 0x00011ee0 in -[NSNotificationCenter postNotificationName:object:userInfo:] #12 0x01ba417d in -[NSManagedObjectContext(_NSInternalNotificationHandling) _postObjectsDidChangeNotificationWithUserInfo:] #13 0x01c03763 in -[NSManagedObjectContext(_NSInternalChangeProcessing) _createAndPostChangeNotification:withDeletions:withUpdates:withRefreshes:] #14 0x01b885ea in -[NSManagedObjectContext(_NSInternalChangeProcessing) _processRecentChanges:] #15 0x01bbe728 in -[NSManagedObjectContext save:] #16 0x000039ea in -[AirportViewController populateAirports] at AirportViewController.m:112 Here is the code to the routine. I apologize because a number of lines are probably irrelevant, but I'd rather err on that side. The crash happens the very first time it calls [managedObjectContext save:&error]: - (void) populateAirports { NSBundle *meBundle = [NSBundle mainBundle]; NSString *dbPath = [meBundle pathForResource:@"DuckAirportsBin" ofType:@"plist"]; NSArray *initialAirports = [[NSArray alloc] initWithContentsOfFile:dbPath]; //********************************************************************************* // get existing countries NSMutableDictionary *countries = [[NSMutableDictionary alloc] initWithCapacity:200]; NSFetchRequest *fetchRequest = [[NSFetchRequest alloc] init]; NSEntityDescription *entity = [NSEntityDescription entityForName:@"Country" inManagedObjectContext:managedObjectContext]; [fetchRequest setEntity:entity]; NSError *error = nil; NSArray *values = [managedObjectContext executeFetchRequest:fetchRequest error:&error]; if (!values) { NSLog(@"Unresolved error %@, %@", error, [error userInfo]); abort(); } int numCountries = [values count]; NSLog(@"We have %d countries in store", numCountries); for (Country *aCountry in values) { [countries setObject:aCountry forKey:aCountry.code]; } [fetchRequest release]; //********************************************************************************* // read airports int numAirports = 0; int numUnsavedAirports = 0; #define MAX_UNSAVED_AIRPORTS_BEFORE_SAVE 2 numCountries = 0; for (NSDictionary *anAirport in initialAirports) { NSAutoreleasePool * pool = [[NSAutoreleasePool alloc] init]; NSString *countryCode = [anAirport objectForKey:@"country"]; Country *thatCountry = [countries objectForKey:countryCode]; if (!thatCountry) { thatCountry = [NSEntityDescription insertNewObjectForEntityForName:@"Country" inManagedObjectContext:managedObjectContext]; thatCountry.code = countryCode; thatCountry.name = [anAirport objectForKey:@"country_name"]; thatCountry.population = 0; [countries setObject:thatCountry forKey:countryCode]; numCountries++; NSLog(@"Found %dth country %@=%@", numCountries, countryCode, thatCountry.name); } // now that we have the country, we create the airport Airport *newAirport = [NSEntityDescription insertNewObjectForEntityForName:@"Airport" inManagedObjectContext:managedObjectContext]; newAirport.city = [anAirport objectForKey:@"city"]; newAirport.code = [anAirport objectForKey:@"code"]; newAirport.name = [anAirport objectForKey:@"name"]; newAirport.country_name = [anAirport objectForKey:@"country_name"]; newAirport.latitude = [NSNumber numberWithDouble:[[anAirport objectForKey:@"latitude"] doubleValue]]; newAirport.longitude = [NSNumber numberWithDouble:[[anAirport objectForKey:@"longitude"] doubleValue]]; newAirport.altitude = [NSNumber numberWithDouble:[[anAirport objectForKey:@"altitude"] doubleValue]]; newAirport.country = thatCountry; // [thatCountry addAirportsObject:newAirport]; numAirports++; numUnsavedAirports++; if (numUnsavedAirports >= MAX_UNSAVED_AIRPORTS_BEFORE_SAVE) { if (![managedObjectContext save:&error]) { NSLog(@"Unresolved error %@, %@", error, [error userInfo]); abort(); } numUnsavedAirports = 0; } [pool release]; }

    Read the article

  • SubSonic Stored Procedure Issue - Data Generated at Stored Procedure is different from Data Received

    - by ShaShaIn
    Hi All, I am facing a unknown problem while using stored procedure with SubSonic. I have written a stored procedure & application code that takes first name & last name as input parameter and return last login id as ouput parameter. It creates login id as first character of first name & complete last name for no-existing login id otherwise it adds 1 in the last login id e.g. First Name - Mark, Last Name - Waugh, First Login Id - MWaugh, Second Login Id - MWaugh1, Third Login Id - MWaugh2 etc. Stored Procedure SET ANSI_NULLS OFF GO SET QUOTED_IDENTIFIER ON GO CREATE PROCEDURE [dbo].[Users_FetchLoginId] ( @FirstName nvarchar(64), @LastName nvarchar(64), @LoginId nvarchar(256) OUTPUT ) AS DECLARE @UserId nvarchar(256); SET @UserId = NULL; SET @LoginId = NULL; SELECT @UserId = LoweredUserName FROM aspnet_Users WHERE LoweredUserName LIKE (LOWER(SUBSTRING(@FirstName,1,1) + @LastName)) IF @@rowcount = 0 OR @UserId IS NULL BEGIN SET @LoginId = (SUBSTRING(@FirstName, 1, 1) + @LastName); print @LoginId RETURN 1; END ELSE BEGIN SELECT TOP 1 LoweredUserName FROM aspnet_Users WHERE LoweredUserName LIKE (LOWER(SUBSTRING(@FirstName,1,1) + @LastName + '%')) ORDER BY LoweredUserName DESC RETURN 2; END Application Code public string FetchLoginId(string firstName, string lastName) { SubSonic.StoredProcedure sp = SPs.UsersFetchLoginId( firstName, lastName, null ); sp.Command.AddReturnParameter(); sp.Execute(); if (sp.Command.Parameters.Find(delegate(QueryParameter queryParameter) { return queryParameter.Mode == ParameterDirection.ReturnValue; }).ParameterValue != System.DBNull.Value) { int returnCode = Convert.ToInt32(sp.Command.Parameters.Find(delegate(QueryParameter queryParameter) { return queryParameter.Mode == ParameterDirection.ReturnValue; }).ParameterValue, CultureInfo.InvariantCulture); if (returnCode == 1) { // UserName as First Character of First Name & Full Last Name return sp.Command.Parameters[2].ParameterValue.ToString(); } if (returnCode == 2) { DataSet ds = sp.GetDataSet(); if (null == ds || null == ds.Tables[0] || 0 == ds.Tables[0].Rows.Count) return ""; string maxLoginId = ds.Tables[0].Rows[0]["LoweredUserName"].ToString(); string initialLoginId = firstName.Substring(0, 1) + lastName; int maxLoginIdIndex = 0; int initialLoginIdLength = initialLoginId.Length; if (maxLoginId.Substring(initialLoginIdLength).Length == 0) { maxLoginIdIndex++; // UserName as Max Lowered User Name Found & Incrementer as Suffix (Here, First Incrementer i.e. 1) return (initialLoginId + maxLoginIdIndex); } if (int.TryParse(maxLoginId.Substring(initialLoginIdLength), out maxLoginIdIndex)) { if (maxLoginIdIndex > 0) { maxLoginIdIndex++; // UserName as Max Lowered User Name Found & Incrementer as Suffix return (initialLoginId + maxLoginIdIndex); } } } } Now the problem is for some input (see test data below), the login id created at sql server end correctly but at application subsonic dal side, it truncates some characters. First Name - Jenelia and Last Name - Kanupatikenalaalayampentyalavelugoplansubhramanayam [dbo].[Users_FetchLoginId] - Execute Stored Procedure Separately - Login Id Is Correct JKanupatikenalaalayampentyalavelugoplansubhramanayam public string FetchLoginId(string firstName, string lastName) - Application Code DAL Side - LginId Is Wrongly Received From Stored Procedure JKanupatikenalaalayampentyalavelugoplansubhramanay You can easily see that 2 charactes are removed. If the data is correctly generated by stored procedure then why the characters are removed when data is received in output parameter of stored procedure? Is it due to any internal known or unknown bug of SubSonic? Your help is significant. Thanks in advance...

    Read the article

  • Adding Core Data to existing iPhone project

    - by swalkner
    I'd like to add core data to an existing iPhone project, but I still get a lot of compile errors: NSManagedObjectContext undeclared Expected specifier-qualifier-list before 'NSManagedObjectModel' ... I already added the Core Data Framework to the target (right click on my project under "Targets", "Add" - "Existing Frameworks", "CoreData.framework"). My header-file: NSManagedObjectModel *managedObjectModel; NSManagedObjectContext *managedObjectContext; NSPersistentStoreCoordinator *persistentStoreCoordinator; [...] @property (nonatomic, retain, readonly) NSManagedObjectModel *managedObjectModel; @property (nonatomic, retain, readonly) NSManagedObjectContext *managedObjectContext; @property (nonatomic, retain, readonly) NSPersistentStoreCoordinator *persistentStoreCoordinator; What am I missing? Starting a new project is not an option... Thanks a lot! edit sorry, I do have those implementations... but it seems like the Library is missing... the implementation methods are full with compile error like "managedObjectContext undeclared", "NSPersistentStoreCoordinator undeclared", but also with "Expected ')' before NSManagedObjectContext" (although it seems like the parenthesis are correct)... #pragma mark - #pragma mark Core Data stack /** Returns the managed object context for the application. If the context doesn't already exist, it is created and bound to the persistent store coordinator for the application. */ - (NSManagedObjectContext *) managedObjectContext { if (managedObjectContext != nil) { return managedObjectContext; } NSPersistentStoreCoordinator *coordinator = [self persistentStoreCoordinator]; if (coordinator != nil) { managedObjectContext = [[NSManagedObjectContext alloc] init]; [managedObjectContext setPersistentStoreCoordinator: coordinator]; } return managedObjectContext; } /** Returns the managed object model for the application. If the model doesn't already exist, it is created by merging all of the models found in application bundle. */ - (NSManagedObjectModel *)managedObjectModel { if (managedObjectModel != nil) { return managedObjectModel; } managedObjectModel = [[NSManagedObjectModel mergedModelFromBundles:nil] retain]; return managedObjectModel; } /** Returns the persistent store coordinator for the application. If the coordinator doesn't already exist, it is created and the application's store added to it. */ - (NSPersistentStoreCoordinator *)persistentStoreCoordinator { if (persistentStoreCoordinator != nil) { return persistentStoreCoordinator; } NSURL *storeUrl = [NSURL fileURLWithPath: [[self applicationDocumentsDirectory] stringByAppendingPathComponent: @"Core_Data.sqlite"]]; NSError *error = nil; persistentStoreCoordinator = [[NSPersistentStoreCoordinator alloc] initWithManagedObjectModel:[self managedObjectModel]]; if (![persistentStoreCoordinator addPersistentStoreWithType:NSSQLiteStoreType configuration:nil URL:storeUrl options:nil error:&error]) { /* Replace this implementation with code to handle the error appropriately. abort() causes the application to generate a crash log and terminate. You should not use this function in a shipping application, although it may be useful during development. If it is not possible to recover from the error, display an alert panel that instructs the user to quit the application by pressing the Home button. Typical reasons for an error here include: * The persistent store is not accessible * The schema for the persistent store is incompatible with current managed object model Check the error message to determine what the actual problem was. */ NSLog(@"Unresolved error %@, %@", error, [error userInfo]); abort(); } return persistentStoreCoordinator; }

    Read the article

  • algorithm q: Fuzzy matching of structured data

    - by user86432
    I have a fairly small corpus of structured records sitting in a database. Given a tiny fraction of the information contained in a single record, submitted via a web form (so structured in the same way as the table schema), (let us call it the test record) I need to quickly draw up a list of the records that are the most likely matches for the test record, as well as provide a confidence estimate of how closely the search terms match a record. The primary purpose of this search is to discover whether someone is attempting to input a record that is duplicate to one in the corpus. There is a reasonable chance that the test record will be a dupe, and a reasonable chance the test record will not be a dupe. The records are about 12000 bytes wide and the total count of records is about 150,000. There are 110 columns in the table schema and 95% of searches will be on the top 5% most commonly searched columns. The data is stuff like names, addresses, telephone numbers, and other industry specific numbers. In both the corpus and the test record it is entered by hand and is semistructured within an individual field. You might at first blush say "weight the columns by hand and match word tokens within them", but it's not so easy. I thought so too: if I get a telephone number I thought that would indicate a perfect match. The problem is that there isn't a single field in the form whose token frequency does not vary by orders of magnitude. A telephone number might appear 100 times in the corpus or 1 time in the corpus. The same goes for any other field. This makes weighting at the field level impractical. I need a more fine-grained approach to get decent matching. My initial plan was to create a hash of hashes, top level being the fieldname. Then I would select all of the information from the corpus for a given field, attempt to clean up the data contained in it, and tokenize the sanitized data, hashing the tokens at the second level, with the tokens as keys and frequency as value. I would use the frequency count as a weight: the higher the frequency of a token in the reference corpus, the less weight I attach to that token if it is found in the test record. My first question is for the statisticians in the room: how would I use the frequency as a weight? Is there a precise mathematical relationship between n, the number of records, f(t), the frequency with which a token t appeared in the corpus, the probability o that a record is an original and not a duplicate, and the probability p that the test record is really a record x given the test and x contain the same t in the same field? How about the relationship for multiple token matches across multiple fields? Since I sincerely doubt that there is, is there anything that gets me close but is better than a completely arbitrary hack full of magic factors? Barring that, has anyone got a way to do this? I'm especially keen on other suggestions that do not involve maintaining another table in the database, such as a token frequency lookup table :). This is my first post on StackOverflow, thanks in advance for any replies you may see fit to give.

    Read the article

  • Core Data managed object context thread synchronisation

    - by Ben Reeves
    I'm have an issue where i'm updating a many-to-many relationship in a background thread, which works fine in that threa, but when I send the object back to the main thread the changes do not show. If I close the app and reopen the data is saved fine and the changes show on the main thread. Also using [context lock] instead of a different managed object context works fine. I have tried NSManagedObjectContext: - (BOOL)save:(NSError **)error; - (void)refreshObject:(NSManagedObject *)object mergeChanges:(BOOL)flag; at different stages throughout the process but it doesn't seem to help. My core data code uses the following getter to ensure any operations are thread safe: - (NSManagedObjectContext *) managedObjectContext { NSThread * thisThread = [NSThread currentThread]; if (thisThread == [NSThread mainThread]) { //Main thread just return default context return managedObjectContext; } else { //Thread safe trickery NSManagedObjectContext * threadManagedObjectContext = [[thisThread threadDictionary] objectForKey:CONTEXT_KEY]; if (threadManagedObjectContext == nil) { threadManagedObjectContext = [[[NSManagedObjectContext alloc] init] autorelease]; [threadManagedObjectContext setPersistentStoreCoordinator: [self persistentStoreCoordinator]]; [[thisThread threadDictionary] setObject:threadManagedObjectContext forKey:CONTEXT_KEY]; } return threadManagedObjectContext; } } and when I pass object between threads i'm using -(NSManagedObject*)makeSafe:(NSManagedObject*)object { if ([object managedObjectContext] != [self managedObjectContext]) { NSError * error = nil; object = [[self managedObjectContext] existingObjectWithID:[object objectID] error:&error]; if (error) { NSLog(@"Error makeSafe: %@", error); } } return object; } Any help appreciated

    Read the article

  • .Net Windows Service Throws EventType clr20r3 system.data.sqlclient.sql error

    - by William Edmondson
    I have a .Net/c# 2.0 windows service. The entry point is wrapped in a try catch block yet when I look at the server's application event log I seem a number of "EventType clr20r3" errors that are causing the service to die unexpectedly. The catch block has a "catch (Exception ex)". Each sql commands is of the type "CommandType.StoredProcedure" and are executed with SqlDataReader's. These sproc calls function correctly 99% of time and have all been thoroughly unit tested, profiled, and QA'd. I additionally wrapped these calls in try catch blocks just to be sure and am still experiencing these unhandled exceptions. This only in our production environment and cannot be duplicated in our dev or staging environments (even under heavy load). Why would my error handling not catch this particular error? Is there anyway to capture more detail as to the root cause of the problem? Here is an example of the event log: EventType clr20r3, P1 RDC.OrderProcessorService, P2 1.0.0.0, P3 4ae6a0d0, P4 system.data, P5 2.0.0.0, P6 4889deaf, P7 2490, P8 2c, P9 system.data.sqlclient.sql, P10 NIL. Additionally The Order Processor service terminated unexpectedly. It has done this 1 time(s). The following corrective action will be taken in 60000 milliseconds: Restart the service.

    Read the article

  • Handling multiple column data with Java

    - by Ender
    I am writing an application that reads in a large number of basic user details in the following format; once read in it then allows the user to search for a user's details using their email: NAME ROLE EMAIL --------------------------------------------------- Joe Bloggs Manager [email protected] John Smith Consultant [email protected] Alan Wright Tester [email protected] ... The problem I am suffering is that I need to store a large number of details of all people that have worked at the company. The file containing these details will be written on a yearly basis simply for reporting purposes, but the program will need to be able to access these details quickly. The way I aim to access these files is to have a program that asks the user for the name of the unique email of the member of staff and for the program to then return the name and the role from that line of the file. I've played around with text files, but am struggling with how I would handle multiple columns of data when it comes to searching this large file. What is the best format to store such data in? A text file? XML? The size doesn't bother me, but I'd like to be able to search it as quickly as possible. The file will need to contain a lot of entries, probably over the 10K mark over time.

    Read the article

  • IIS error hosting WCF Data Service on shared web host

    - by jkohlhepp
    My client has a website hosted on a shared web server. I don't have access to IIS. I am trying to deploy a WCF Data Service onto his site. I am getting this error: IIS specified authentication schemes 'IntegratedWindowsAuthentication, Anonymous', but the binding only supports specification of exactly one authentication scheme. Valid authentication schemes are Digest, Negotiate, NTLM, Basic, or Anonymous. Change the IIS settings so that only a single authentication scheme is used. I have searched SO and other sites quite a bit but can't seem to find someone with my exact situation. I cannot change the IIS settings because this is a third party's server and it is a shared web server. So my only option is to change things in code or in the service config. My service config looks like this: <system.serviceModel xdt:Transform="Insert"> <serviceHostingEnvironment> <baseAddressPrefixFilters> <add prefix="http://www.somewebsite.com"/> </baseAddressPrefixFilters> </serviceHostingEnvironment> <bindings> <webHttpBinding> <binding name="{Binding Name}" > <security mode="None" /> </binding> </webHttpBinding> </bindings> <services> <service name="{Namespace to Service}"> <endpoint address="" binding="webHttpBinding" bindingConfiguration="{Binding Name}" contract="System.Data.Services.IRequestHandler"> </endpoint> </service> </services> </system.serviceModel> As you can see I tried to set the security mode to "None" but that didn't seem to help. What should I change to resolve this error?

    Read the article

  • Compression algorithm for IEEE-754 data

    - by David Taylor
    Anyone have a recommendation on a good compression algorithm that works well with double precision floating point values? We have found that the binary representation of floating point values results in very poor compression rates with common compression programs (e.g. Zip, RAR, 7-Zip etc). The data we need to compress is a one dimensional array of 8-byte values sorted in monotonically increasing order. The values represent temperatures in Kelvin with a span typically under of 100 degrees. The number of values ranges from a few hundred to at most 64K. Clarifications All values in the array are distinct, though repetition does exist at the byte level due to the way floating point values are represented. A lossless algorithm is desired since this is scientific data. Conversion to a fixed point representation with sufficient precision (~5 decimals) might be acceptable provided there is a significant improvement in storage efficiency. Update Found an interesting article on this subject. Not sure how applicable the approach is to my requirements. http://users.ices.utexas.edu/~burtscher/papers/dcc06.pdf

    Read the article

  • Flex / Flash builder : no returning data using database

    - by Tristan
    Hello, i'm following some flex tutorials everything's working as wanted expected for one thing : When i use my function getServerByBrand($brand) there is no returned data into my datagrid and i don't know why because it uses the same schema as getAllserver() which is working . I don't know whether it's cause by the function itselft or the configuration in flash builder : protected function RechercheGSP_clickHandler(event:MouseEvent):void { getServerByBrandResult.token = dbClass.getServerByBrand(SearchInput.text); } Here's what i've got in Data/Services : getServerByBrand(brand : string) : Object And finally the function : public function getServerByBrand($brand) { $stmt = mysqli_prepare($this->connection, "SELECT DISTINCT * FROM $this->tablename where GSP_nom=? "); $this->throwExceptionOnError(); mysqli_stmt_execute($stmt); $this->throwExceptionOnError(); $rows = array(); mysqli_stmt_bind_result($stmt, $row->idServ, $row->GSP_nom, $row->IPserv, $row->port, $row->tickrate, $row->membre, $row->nomPays, $row->finContrat, $row->actif, $row->timestamp, $row->type, $row->jeux, $row->slot, $row->ipClient, $row->essai, $row->reussite, $row->echec, $row->valide, $row->email); while (mysqli_stmt_fetch($stmt)) { $row->timestamp = new DateTime($row->timestamp); $rows[] = $row; $row = new stdClass(); mysqli_stmt_bind_result($stmt, $row->idServ, $row->GSP_nom, $row->IPserv, $row->port, $row->tickrate, $row->membre, $row->nomPays, $row->finContrat, $row->actif, $row->timestamp, $row->type, $row->jeux, $row->slot, $row->ipClient, $row->essai, $row->reussite, $row->echec, $row->valide, $row->email); } mysqli_stmt_free_result($stmt); mysqli_close($this->connection); return $rows; } I tested the settings with configure return type and it tells me : "the operation returned a primitive "object". test settings : Parameters (brand) / Input type (String) / Value (woop) To conclude, there is no returned object at all. Do you see the problem ? Thanks

    Read the article

  • Single value data to multiple values of data in database relation

    - by Sofiane Merah
    I have such a hard time picturing this. I just don't have the brain to do it. I have a table called reports. --------------------------------------------- | report_id | set_of_bads | field1 | field2 | --------------------------------------------- | 123 | set1 | qwe | qwe | --------------------------------------------- | 321 | 123112 | ewq | ewq | --------------------------------------------- I have another table called bads. This table contains a list of bad data. ------------------------------------- | bad_id | set_it_belongs_to | field2 | field3 | ------------------------------------- | 1 | set1 | qwe | qwe | ------------------------------------- | 2 | set1 | qee | tte | ------------------------------------- | 3 | set1 | q44w | 3qwe | ------------------------------------- | 4 | 234 | qoow | 3qwe | ------------------------------------- Now I have set the first field of every table as the primary key. My question is, how do I connect the field set_of_bads to set_it_belongs_to in the bads table. This way if I want to get the entire set of data that is set1 by calling on the reports table I can do it. Example: hey reports table.. bring up the row that has the report_id 123. Okay thank you.. Now get all the rows from bads that has the set_of_bads value from the row with the report_id 123. Thanks.

    Read the article

  • How To: Group Column Headings In WPF.

    - by VoidDweller
    -------------------------------------------------------------------------- |[ Common Category ]|[ Dynamic Category 0 ]|[ Dynamic Category N ]| -------------------------------------------------------------------------- |[Header 1]|[Header 2]|[ Type 0 ]|[ Type N ]|[ Type 0 ]|[ Type N ]| -------------------------------------------------------------------------- |[Data 2 Group] | -------------------------------------------------------------------------- | Data A | Data 2 || Null | Data 1 || Data 0 | Data 1 || | Data B | Data 2 || Data 0 | Null || Data 0 | Data 1 || -------------------------------------------------------------------------- |[Data 1 Group] | -------------------------------------------------------------------------- | Data C | Data 1 || Null | Data 1 || Data 0 | Data 1 || | Data D | Data 1 || Null | Null || Data 0 | Null || -------------------------------------------------------------------------- Dynamic Category: Columns can be 0 or more. Must contain 1 or more Type Columns. Will only be displayed if any row contains Type Column data associated with it. Data Rows: Will be added Asynchronously. Will be grouped by a Common Category column. Will add a Dynamic Category if it does not yet exist. Will add a Type Column if it does not yet exist within its appropriate Dynamic Category. Platform Info: WPF .Net 3.5 sp1 C# I have a few partially functional prototypes, but each has it's own major set of problems. Can any of you give me some guidance on this? A working prototype would be even better! Envision this nicely styled. :-)

    Read the article

  • Core Data + Core Animation/CALayer together??

    - by ivanTheTerrible
    I am making an Cocoa app with custom interfaces. So far I have implemented one version of the app using CALayer doing the rendering, which has been great given the hierarchical structure of CALayers, and its [hitTest:] function for handling mouse events. In this early version, the model of the app are my custom classes. However, as the program grows I feel the urge of using Core Data for the model, not just for the ease of binding/undo management, but also want to try out the new technology. My method so far: In Core Data: creating a Block entity, with attributes xPos, yPos, width, height...etc. Then, creating a BlockView : CALayer class for drawing, which uses methods such as self.position.x = [self valueForKey:@"xPos"] to fetch the values from the model. In this case, every BlockView object has to also keep a local copy of xPos, which is NOT good. Do any of you guys have better suggestions? Edit: This app is a information visualization tool. So the positions, dimensions of the blocks are important, and should be persisted for later analysis.

    Read the article

  • Finding Common Phrases in SQL Server TEXT Column

    - by regex
    Short Desc: I'm curious to see if I can use SQL Analysis services or some other SQL Server service to mine some data for me that will show commonalities between SQL TEXT fields in a dataset. Long Desc I am looking at a subset of data that consists of about 10,000 rows of TEXT blobs which are used as a notes column in a issue tracking (ticketing) software. I would like to use something out of the box (without having to build something) that might be able to parse through all of the rows and find commonly used byte sequences in the "Notes" column. In other words, I want to find commonly used phrases (two to three word phrases, so 9 - 20 character sections of the TEXT blob). This will help me better determine if associate's notes contain similar phrases (troubleshooting techniques) that we could standardize in our troubleshooting process flow. Closing Note I'd really rather not build an application to do this as my method will probably not be the most efficient way to do it. Hopefully all this makes sense. Please let me know in the comments if anything needs clarification.

    Read the article

  • What are the reasons to store documents into DBMS when using Alfresco CMS

    - by Julia
    Hello guys! I have interview for an internship with company that wants to implement document management system and they are considering on the first place open source solutions, their top choice being Alfresco, but decision is still not final, part of my work there would be to investigate is Alfresco the best solution. What I have seen from project description, is that they would implement Alfresco with MySQL database, and not to use DBMS just for document metadata and indexing, but they actually want to store documents inside. By company profile, type of documents would be mostly PDF and .doc, not images. I have researched a bit, and I have read all the topics here related to storing files into the database, not to duplicate a question. So from what I understand, storing BLOBS is generally not recomendable, and by the profile of the company and their legal obligations with archiving, I see they will have to store larger amount of docs. I would like to be ready as much as I can for the interview and that is why I would like your opinion on these questions: What will be your reasons for deciding to store documents into the DBMS, (especially having in mind that you are installing Alfresco, which stores files in the FS)??? Do you have any experiences with storing documents into the MySQL database specifically??? All the help is very much appreciated, I am really excited about interview and really want this internship, so this is one of things i really want to understand before!! Thank you!!!!

    Read the article

  • Where to put data management rules for complex data validation in ASP.NET MVC?

    - by TheRHCP
    Hello, I am currently working on an ASP.NET MVC2 project. This is the first time I am working on a real MVC web application. The ASP.NET MVC website really helped me to get started really fast, but I still have some obscure knowledge concerning datamodel validation. My problem is that I do not really know where to manage my filled datamodel when it comes to complex validation rules. For example, validating a string field with a Regex is quite easy and I know that I just have to decorate my field with a specific attribute, so data management rules are implemented in the model. But if I have multiple fields that I need to validate which each other, for example multiple datetime that need to be correctly set following a specific time rule, where do I need to validate them? I know that I could create my own validation attributes, but sometimes validation ask a specific validation path which is to complex to be validated using attributes. This first question also leads me to a related question which is, is it right to validate a model in the controller? Because for the moment that is the only way I found for complex validation. But I find this a bit dirty and I feel it does not really fit a the controller role and much harder to test (multiple code path). Thanks.

    Read the article

  • Appending data to NSFetchedResultsController during find or create loop

    - by Justin Williams
    I have a table view that is managed by an NSFetchedResultsController. I am having an issue with a find-or-create operation, however. When the user hits the bottom of my table view, I am querying my server for another batch of content. If it doesn't exist in the local cache, we create it and store it. If it does exist, however, I want to append that data to the fetched results controller and display it. I can't quite figure that part out. Here's what I'm doing thus far: Passing the returned array of values from my server to an NSOperation to process. In the operation, create a new managed object context to work with. In the operation, I iterate through the array and execute a fetch request to see if the object exists (based on its server id). If the object doesn't exist, we create it and insert it into the operations' managed object context. After the iteration completes, we save the managed object context, which triggers a merge notification on my main thread. At this point, any objects that weren't locally cached in my Core Data store before will appear, but the ones that previously existed do not come along for the ride. I feel like it's something simple I'm missing, and could use a nudge in the right direction.

    Read the article

  • Need some advice on Core Data modeling strategy

    - by Andy
    I'm working on an iPhone app and need a little advice on modeling the Core Data schema. My idea is a utility that allows the user to speed-dial their contacts using user-created rules based on the time of day. In other words, I would tell the app that my wife is commuting from 6am to 7am, at work from 7am to 4pm, commuting from 4pm to 5pm, and home from 5pm to 6am, Monday through Friday. Then, when I tap her name in my app, it would select the number to dial based on the current day and time. I have the user interface nearly complete (thanks in no small part to help I've received here), but now I've got some questions regarding the persistent store. The user can select start- and stop-times in 5-minute increments. This means there are 2,016 possible "time slots" in week (7 days * 24 hours * 12 5-minute intervals per hour). I see a few options for setting this up. Option #1: One array of time slots, with 2,016 entries. Each entry would be a dictionary containing a contact identifier and an associated phone number to dial. I think this means I'd need a "Contact" entity to store the contact information, and a "TimeSlot" entity for each of the 2,016 possible time slots. Option #2: Each Contact has its own array of time slots, each with 2,016 entries. Each array entry would simply be a string indicating which phone number to dial. Option #3: Each Contact has a dictionary of time slots. An entry would only be added to the dictionary for time slots with an active rule. If a search for, say, time slot 1,299 (Friday 12:15pm) didn't find a key @"1299" in the dictionary, then a default number would be dialed instead. I'm not sure any of these is the "right" way or the "best" way. I'm not even sure I need to use Core Data to manage it; maybe just saving arrays would be simpler. Any input you can offer would be appreciated.

    Read the article

  • What are the reasons to store documents into DBMS when using Alfresco DMS

    - by Julia
    Hello guys! I have interview for an internship with company that wants to implement document management system and they are considering on the first place open source solutions, their top choice being Alfresco, but decision is still not final, part of my work there would be to investigate is Alfresco the best solution. What I have seen from project description, is that they would implement Alfresco with MySQL database, and not to use DBMS just for document metadata and indexing, but they actually want to store documents inside. By company profile, type of documents would be mostly PDF and .doc, not images. I have researched a bit, and I have read all the topics here related to storing files into the database, not to duplicate a question. So from what I understand, storing BLOBS is generally not recomendable, and by the profile of the company and their legal obligations with archiving, I see they will have to store larger amount of docs. I would like to be ready as much as I can for the interview and that is why I would like your opinion on these questions: 1) What will be your reasons for deciding to store documents into the DBMS, (especially having in mind that you are installing Alfresco, which stores files in the FS)??? 2) Do you have any experiences with storing documents into the MySQL database specifically??? All the help is very much appreciated, I am really excited about interview and really want this internship, so this is one of things i really want to understand before!! Thank you!!!!

    Read the article

  • Data Mappers, Models and Images

    - by James
    Hi, I've seen and read plenty of blog posts and forum topics talking about and giving examples of Data Mapper / Model implementations in PHP, but I've not seen any that also deal with saving files/images. I'm currently working on a Zend Framework based project and I'm doing some image manipulation in the model (which is being passed a file path), and then I'm leaving it to the mapper to save that file to the appropriate location - is this common practise? But then, how do you deal with creating say 3 different size images from the one passed in? At the moment I have a "setImage($path_to_tmp_name)" which checks the image type, resizes and then saves back to the original filename. A call to "getImagePath()" then returns the current file path which the data mapper can use and then change with a call to "setImagePath($path)" once it's saved it to the appropriate location, say "/content/my_images". Does this sound practical to you? Also, how would you deal with getting the URL to that image? Do you see that as being something that the model should be providing? It seems to me like that model should worry about where the images are being stored or ultimately how they're accessed through a browser and so I'm inclined to put that in the ini file and just pass the URL prefix to the view through the controller. Does that sound reasonable? I'm using GD for image manipulation - not that that's of any relevance. UPDATE: I've been wondering if the image resizing should be done in the model at all. The model could require that it's provided a "main" image and a "thumb" image, both of certain dimensions. I've thought about creating a "getImageSpecs()" function in the model that would return something that defines the required sizes, then a separate image manipulation class could carry out the resizing and (perhaps in the controller?) and just pass the final paths in to the model using something like "setImagePaths($images)". Any thoughts much appreciated :) James.

    Read the article

  • Let multiple highcharts charts appear automatically from mysql data

    - by martini1993
    I have the following problem. I want to make multiple Highcharts webcharts appear automatically based on the data from the database. Let's say we have the following database: ___________________________________________________________________ | | | | | | | | Year | Month | ID | Name User | Wins | Losses | |_______|___________|______|_______________|____________|__________| | 2013 1 21 Tony Stark 3 12 | | 2013 1 52 Bruce Wayne 5 4 | | 2013 1 76 Clark Kent 9 5 | |__________________________________________________________________| (This database is an example, there are a lot more rows in the real database.) And i have the following query: SELECT a.year AS year1, a.month AS month1, a.id AS id, a.name AS nameuser, a.wins AS wins, a.losses AS losses FROM Sales a WHERE a.month = 1 AND a.year = YEAR(NOW()) With this, it is very easy to hardcode a chart with Highcharts. But what I want is that there has to be a webchart per user. So instead of a single webchart with all the users in it, I want multiple charts next to each other based on the data from the database. So instead of this: http://jsfiddle.net/CWSb6/ I want this (But then next to each other): http://jsfiddle.net/DReMD/ It has to be generated automatically with php and mysql. So if there is a new user starting this month, and the new user is saved in the database, the page automatically displays the new user with the related web chart. I find this very hard to accomplish and I need some help to get to the right direction for the solution. Many thanks in advance! (Sorry for my bad english.)

    Read the article

< Previous Page | 80 81 82 83 84 85 86 87 88 89 90 91  | Next Page >