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  • PostgreSQL RAID configuration

    - by Yoldar-Zi
    I'm stuck how best to configure disk array. We have Hp P2000 G3 disk array with 24 SAS physical disks 300Gb each. We need to configure this array got 2 copies of PostgreSQL 9.2 because two different system. As we know it's recommended to store database and transaction logs(pg_xlog) files on separate disks. So we must setup 4 logical disk: 2 for transaction logs with RAID 1 2 for database with RAID 10 Is this right scheme of distribution? Or may be it is best to just make one big RAID 10 with 4 logical disks?

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  • to measure throughput of testing device connect to server via AP

    - by samantha
    Description of project- I have a test tool to which DUT connects. The test tool has an access point in it and once DUT get connected to it via mac address we check RSSI and some other features of WiFi of DUT. Now I am wondering is there is any way I can measure throughput of Device under test via mac address of DUT from server side. Test-tool has LINUX fedora 11 in it and major coding is done in c/C++ and json command. Previously, I have tried to install ftp server on test-tool and DUT can connect to it and we can measure the throughput or data transfer rate, but this is not feasible solution as it requires lot of intervention from DUT. What I am interested in is 1) To run some script on server side /test tool and it gives me throughput of bandwidth of connected device may be via mac address of DUT OR 2) Server script transfer some files/packets to DUT and we can measure the throughput. Coding is not a major challenge at this stage , I just need some tool which requires minimum intervention from DUT.

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  • Central renderer for a given scene

    - by Loggie
    When creating a central rendering system for all game objects in a given scene I am trying to work out the best way to go about passing the scene to the render system to be rendered. If I have a scene managed by an arbitrary structure, i.e., an octree, bsp trees, quad-tree, kd tree, etc. What is the best way to pass this to the render system? The obvious problem is that if simply given the root node of the structure, the render system would require an intrinsic knowledge of the structure in order to traverse the structure. My solution to this is to clip all objects outside the frustum in the scene manager and then create a list of the objects which are left and pass this simple list to the render system, be it an array, a vector, a linked list, etc. (This would be a structure required by the render system as a means to know which objects should be rendered). The list would of course attempt to minimise OpenGL state changes by grouping objects that require the same rendering operations to be performed on them. I have been thinking a lot about this and started searching various terms on here and followed any additional information/links but I have not really found a definitive answer. The case may be that there is no definitive answer but I would appreciate some advice and tips. My question is, is this a reasonable solution to the problem? Are there any improvements that I could make? Are there any caveats I should know about? Side question: Am I right in assuming that octrees, bsp trees, etc are all forms of BVH?

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  • Add colors to gif palete gimp

    - by Tomáš Zato
    When I open a GIF file in gimp, I find it very hard to add more colours then those that are already contained in GIF palette. When I draw with different colours, GIMP is trying to use the colour from palette most approximate to the colour I'm drawing. (may result in red instead of black) This problem persist even if I save the imported GIF as XCF file (even if I create new layers in it). How do I make gimp ignore the palette? The only solution was saving (exporting) the file as some non-palete image as BMP and then importing it again. Example : After flood fill (black)

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  • How to make an Actor follow my finger

    - by user48352
    I'm back with another question that may be really simple. I've a texture drawn on my spritebatch and I'm making it move up or down (y-axis only) with Libgdx's Input Handler: touchDown and touchUp. @Override public boolean touchDown(int screenX, int screenY, int pointer, int button) { myWhale.touchDownY = screenY; myWhale.isTouched = true; return true; } @Override public boolean touchUp(int screenX, int screenY, int pointer, int button) { myWhale.isTouched = false; return false; } myWhale is an object from Whale Class where I move my texture position: public void update(float delta) { this.delta = delta; if(isTouched){ dragWhale(); } } public void dragWhale() { if(Gdx.input.getY(0) - touchDownY < 0){ if(Gdx.input.getY(0)<position.y+height/2){ position.y = position.y - velocidad*delta; } } else{ if(Gdx.input.getY(0)>position.y+height/2){ position.y = position.y + velocidad*delta; } } } So the object moves to the center of the position where the person is pressing his/her finger and most of the time it works fine but the object seems to take about half a second to move up or down and sometimes when I press my finger it wont move. Maybe there's another simplier way to do this. I'd highly appreciate if someone points me on the right direction.

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  • Cleaning Up Online Games with Positive Enforcement

    - by Jason Fitzpatrick
    Anyone who has played online multiplayer games, especially those focused on combat, can attest to how caustic other players can be. League of Legends creators are fighting that, rather successfully, with a positive-reinforcement honor system. The Mary Sue reports: Here’s the background: Six months ago, Riot established Team Player Behavior — affectionately called Team PB&J — a group of experts in psychology, neuroscience, and statistics (already, I am impressed). At the helm is Jeffrey Lin, better known as Dr. Lyte, Riot’s lead designer of social systems. As quoted in a recent article at Polygon: We want to show other companies and other games that it is possible to tackle player behavior, and with certain systems and game design tools, we can shape players to be more positive. Which brings us to the Honor system. Honor is a way for players to reward each other for good behavior. This is divvied up into four categories: Friendly, Helpful, Teamwork, and Honorable Opponent. At the end of a match, players can hand out points to those they deem worthy. These points are reflected on players’ profiles, but do not result in any in-game bonuses or rewards (though this may change in the future). All Honor does is show that you played nicely. 6 Ways Windows 8 Is More Secure Than Windows 7 HTG Explains: Why It’s Good That Your Computer’s RAM Is Full 10 Awesome Improvements For Desktop Users in Windows 8

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  • Are web application usability issues equal to website usability issues?

    - by Kor
    I've been reading two books about web usability issues and tests (Rocket Surgery Made Easy¹ and Prioritizing Web Usability²) and they claim some strategies and typical problems about website usability and how to lead them. However, I want to do a web application, and I think I lost track of what I am trying to solve. These two books claim to work with raw websites (e-commerce, business sites, even intranet), but I'm not sure if everything about web usability is applicable to web application usability. They sure talk about always having available (and usable) the Back button, to focus on short information rather than big amounts of text, etc., but they could be inaccurate in deeper problems that may be easier (or just skippable) in regular websites. Has anybody some experience in this field and could tell me if both web applications and websites share their usability issues? Thanks in advance Edit: Quoting Wikipedia, a website is a collection of related web pages containing images, videos or other digital assets, and a web application is an application that is accessed over a network such as the Internet or an intranet. To sum up, both shows/lets you search/produce information but websites are "simple" in interaction and keep the classics of websites (one-click actions) and the other one is closer to desktop applications in the meaning of their uses and ways of interaction (double click, modal windows, asynchronous calls [to keep you in the same "environment" instead of reloading it] etc.). I don't know if this clarifies the difference. Edit 2: Quoting @Victor and myself, a website is anything running in your browser, but a web application is somewhat running in your browser that could be running in your desktop, with similar behaviors and features. Gmail is a web application that could replace Outlook. GDocs could replace Office. Grooveshark could replace your music player, etc.

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  • How to capture a Header or Trailer Count Value in a Flat File and Assign to a Variable

    - by Compudicted
    Recently I had several questions concerning how to process files that carry a header and trailer in them. Typically those files are a product of data extract from non Microsoft products e.g. Oracle database encompassing various tables data where every row starts with an identifier. For example such a file data record could look like: HDR,INTF_01,OUT,TEST,3/9/2011 11:23 B1,121156789,DATA TEST DATA,2011-03-09 10:00:00,Y,TEST 18 10:00:44,2011-07-18 10:00:44,Y B2,TEST DATA,2011-03-18 10:00:44,Y B3,LEG 1 TEST DATA,TRAN TEST,N B4,LEG 2 TEST DATA,TRAN TEST,Y FTR,4,TEST END,3/9/2011 11:27 A developer is normally able to break the records using a Conditional Split Transformation component by employing an expression similar to Output1 -- SUBSTRING(Output1,1,2) == "B1" and so on, but often a verification is required after this step to check if the number of data records read corresponds to the number specified in the trailer record of the file. This portion sometimes stumbles some people so I decided to share what I came up with. As an aside, I want to mention that the approach I use is slightly more portable than some others I saw because I use a separate DFT that can be copied and pasted into a new SSIS package designer surface or re-used within the same package again and it can survive several trailer/footer records (!). See how a ready DFT can look: The first step is to create a Flat File Connection Manager and make sure you get the row split into columns like this: After you are done with the Flat File connection, move onto adding an aggregate which is in use to simply assign a value to a variable (here the aggregate is used to handle the possibility of multiple footers/headers): The next step is adding a Script Transformation as destination that requires very little coding. First, some variable setup: and finally the code: As you can see it is important to place your code into the appropriate routine in the script, otherwise the end result may not be as expected. As the last step you would use the regular Script Component to compare the variable value obtained from the DFT above to a package variable value obtained say via a Row Count component to determine if the file being processed has the right number of rows.

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  • How to run multiple distros using lvm

    - by Mark
    I've seen quite a few posts around about running multiple distros but not sure they apply to using LVM (and without Windows). I'm using a machine that's about 3 years old. Setup: Intel Core i7 2.8GHz 8GB Ram 1TB SATA HDD At this point, I'd like to install 12.10 and Mint 14, leaving the option open to install additional distros down the road. I could be way off, but I'm thinking about creating at least 2 primary /boot partitions (1 for 12.10 and 1 for Mint) and another partition for LVM leaving room for additional /boot partitions. Then creating a VG and separate LVs for Ubuntu 12.10 and Linux Mint 14. I understand I can share partitions between the 2 installs, but I'm only using this for testing and I have tons of space to play with. LVM seemed logical considering I may want to install and test additional distros. I guess I could share the /swap partition across the board without problems, right? I'm unclear about GRUB2. How do I handle the bootloader situation? Install 12.10 and get it running then make changes to grub.cfg after installing Mint? And do I not install GRUB for Mint or do I install it in a different location? Any guidance would be appreciated.

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  • What is the "default" software license?

    - by Tesserex
    If I release some code and binaries, but I don't include any license at all with it, what are the legal terms that apply by default (in the US, where I am). I know that I automatically have copyright without doing anything, but what restrictions are there on it? If I upload my code to github and announce it as a free download / contribute at will, then are people allowed to modify and close source my work? I haven't said that they cannot, as a GPL would, but I don't feel that it would by default be acceptable to steal my work either. So what can and cannot people do with code that is freely available, but has absolutely no licensing terms attached? By the way, I know that it would be a good idea for me to pick a license and apply it to my code soon, but I'm still curious about this. Edit Thanks! So it looks like the consensus is that it starts out very restricted, and then my actions imply any further rights. If I just put software on my website with no security, it would be an infringement to download it. If I post a link to that download on a forum, then that would implicitly give permission to use it for free, but not distribute it or its derivatives (but you can modify it for your own use). If I put it on GitHub, then it is conveyed as FOSS. Again, this is probably not codified exactly in law but may be enough to be defensible in court. It's still a good idea to post a complete license to be safe.

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  • GNOME session not starting after filesystem corruption

    - by user3215
    I'm running Ubuntu 9.10 desktop edition. Suddenly today /home became corrupted and I was prompted to run fsck manually. I ran fsck -y /home and rebooted the system. The system booted but I got no GUI interface (GNOME session) but a black screen with a user prompt instead. Any tricks here to start my system normally? Any help is greatly appreciated. EDIT:1 The error were similar to the the following(may be with some mistakes as I had to type it manually): machine1 login: root password: at login Sun Jan 16 15:30:46 IST 2011 on tty1 EXT3-fs error (devie sda1): ext3_lookup :deleted inode referenced aborting journal on device sda1 Remounting filesystem read-only root@machine1:~# startx ktemp: failed to create file via template `/tmp/serverauth.xxxxxxxxxxx: Read-only file /usr/bin/startx: line 157: cannot create temp file for here-document: Read-only file xauth: error in locking authority file /root/.Xauthority /usr/bin/startx: line 173: cannnot create temp file for here-document: Read-only file xauth: error in locking authority file /root/.Xauthority /usr/bin/startx: line 173: cannnot create temp file for here-document: Read-only file X: cannot stat /tmp/.x11-unix (No such file or directory), aborting giving up. xinit: No such file or directory (errno 2): unable to connect to xserver xinit: No such process (errno 3): Server error xauth: error in locking authority file /root/.Xauthority

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  • Tuning OpenVZ Containers to work better with Java?

    - by Daniel
    I have a 8 GB RAM Server (Dedicated) and currently have KVM Virtual Machines running on there (successfully) however i'm considering moving to OpenVZ as KVM seems a bit overkill with a lot of overhead for what i use it for. In the past i have used OpenVZ Containers, hosted by myself and from other providers and Java doesn't seem to work well with them.. One example is that if i give a container 2 GB RAM ( No burst) (with or without vswap doesn't matter) a java instance can only be tuned to use at very most 1500 MB of that RAM (-Xmx, -Xms). Ideally, i wish to be able to create "Mini" containers with about 256MB, 512MB, 768 RAM and run some java instances in them. My question is: I'm trying to find an ideal way to tune a OpenVZ container configuration to work better with Java memory. Please, don't suggest anything related to Java settings, i'm looking for OpenVZ specific answers.. Though i welcome any suggestion if you feel it may help me. Much Appreciated, Daniel

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  • BizTalk 2009 - Scoped Record Counting in Maps

    - by StuartBrierley
    Within BizTalk there is a functoid called Record Count that will return the number of instances of a repeated record or repeated element that occur in a message instance. The input to this functoid is the record or element to be counted. As an example take the following Source schema, where the Source message has a repeated record called Box and each Box has a repeated element called Item: An instance of this Source schema may look as follows; 2 box records - one with 2 items and one with only 1 item. Our destination schema has a number of elements and a repeated box record.  The top level elements contain totals for the number of boxes and the overall number of items.  Each box record contains a single element representing the number of items in that box. Using the Record Count functoid it is easy to map the top level elements, producing the expected totals of 2 boxes and 3 items: We now need to map the total number of items per box, but how will we do this?  We have already seen that the record count functoid returns the total number of instances for the entire message, and unfortunately it does not allow you to specify a scoping parameter.  In order to acheive Scoped Record Counting we will need to make use of a combination of functoids. As you can see above, by linking to a Logical Existence functoid from the record/element to be counted we can then feed the output into a Value Mapping functoid.  Set the other Value Mapping parameter to "1" and link the output to a Cumulative Sum functoid. Set the other Cumulative Sum functoid parameter to "1" to limit the scope of the Cumulative Sum. This gives us the expected results of Items per Box of 2 and 1 respectively. I ran into this issue with a larger schema on a more complex map, but the eventual solution is still the same.  Hopefully this simplified example will act as a good reminder to me and save someone out there a few minutes of brain scratching.

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  • Triangulating a partially triangulated mesh (2D)

    - by teodron
    Referring to the above exhibits, this is the scenario I am working with: starting with a planar graph (in my case, a 2D mesh) with a given triangulation, based on a certain criterion, the graph nodes are labeled as RED and BLACK. (A) a subgraph containing all the RED nodes (with edges between only the directly connected neighbours) is formed (note: although this figure shows a tree forming, it may well happen that the subgraph contain loops) (B) Problem: I need to quickly build a triangulation around the subgraph (e.g. as shown in figure C), but under the constraint that I have to keep the already present edges in the final result. Question: Is there a fast way of achieving this given a partially triangulated mesh? Ideally, the complexity should be in the O(n) class. Some side-remarks: it would be nice for the triangulation algorithm to take into account a certain vertex priority when adding edges (e.g. it should always try to build a "1-ring" structure around the most important nodes first - I can implement iteratively such a routine, but it's O(n^2) ). it would also be nice to reflect somehow the "hop distance" when adding edges: add edges first between the nodes that were "closer" to each other given the start topology. Nevertheless, disregarding the remarks, is there an already known scenario similar to this one where a triangulation is built upon a partially given set of triangles/edges?

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  • replace set of integers with respective string values

    - by Tripz
    I have a query which return the output like -- 5,4,6 Where 1 = apple, 2 = mango, 3 = banana, 4 = plum, 5 = cherry, 6 = kiwi etc. I would like to update my output as cherry,plum,kiwi instead of 5,4,6 How can I achieve that in the same select statment. I am okay to hard code the values. Please confirm May be I did explain clearly Here is the sample SELECT fruits FROM t_fruitid where id = 7 is returning me '5,6,4' as a single row Now I want to update this single row output as 'cherry,plum,kiwi' How do I do this Thanku

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  • tmux: unbind C-[ as a prefix

    - by StanAngeloff
    I have a fairly straight forward .tmux.conf file which does nothing more but to define a couple of options, such as history-limit. I have not added any custom key bindings yet. I find it extremely annoying that I cannot unbind C-[ as a prefix in tmux. Here is what I mean: $ uname -a Linux stan-inspiron 3.2.0-24-generic #39-Ubuntu SMP Mon May 21 16:52:17 UTC 2012 x86_64 x86_64 x86_64 GNU/Linux $ tmux [0] 0:~* "stan-inspiron" 10:05 12-Jun-12 % vim Whilst inside vim, when I go to insert mode and then use C-[0 to escape insert mode and move to the first character on the line, tmux grabs the key first and complains: Window not found: :0 ** I tried all sorts of things in my .tmux.conf, but nothing works. I thought it might be a terminal or shell issue, but confirmed same behaviour on a configless machine using Bash and [Gnome] Terminal. So the question really is, how do I unbind the C-[ key from tmux? ** I have base-index 1 set.

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  • Force startx to run X in a specific resolution and refresh Rate

    - by Z9iT
    From my past experience (using Win-Xp), this particular monitor works only on 60Hz , Best resolution being 1024x768. I have "installed and configured" Ubuntu 12.04 Minimal (on USB stick) so that most of the time terminal is used, however, whenever there is a need to enter GUI, I may issue startx command to go into gnome. However the problem is that on this particular system, issuing this command poses problem because its default refresh rate won't synchronize with the monitor. The display keep on flickering and utterly unreadable. It is visible that gnome has been loaded and default wallpaper and desktop items are visible. But the problem is due to refresh rate different than 60Hz. I am looking for a command attribute to startx command which will force the refresh rate to 60Hz and resolution preferably to 1204x768 I can open terminals with Ctrl+Alt+T and enter commands. Key combinations like Ctrl+Alt+NumPlus works flawlessly in distributions like solaris, but it's not working for me. Also the commands like xrandr -r 60 60 being refresh rate wont work. The same problem is faced even when I boot from a live CD

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  • added shell script to sudoers still getting permission denied

    - by Bill S
    I don't understand this? Other uses of sudo work fine. [oracle@o plugins]$ su Password: [root@ plugins]# su nrpe bash-3.2$ /home/oracle/obiee/instances/instance1/bifoundation/OracleBIApplication/coreapplication/setup/bi-init.sh bash: /home/oracle/obiee/instances/instance1/bifoundation/OracleBIApplication/coreapplication/setup/bi-init.sh: Permission denied bash-3.2$ sudo -l Matching Defaults entries for nrpe on this host: env_reset, env_keep="COLORS DISPLAY HOSTNAME HISTSIZE INPUTRC KDEDIR LS_COLORS MAIL PS1 PS2 QTDIR USERNAME LANG LC_ADDRESS LC_CTYPE LC_COLLATE LC_IDENTIFICATION LC_MEASUREMENT LC_MESSAGES LC_MONETARY LC_NAME LC_NUMERIC LC_PAPER LC_TELEPHONE LC_TIME LC_ALL LANGUAGE LINGUAS _XKB_CHARSET XAUTHORITY" Runas and Command-specific defaults for nrpe: User nrpe may run the following commands on this host: (ALL) NOPASSWD: /home/oracle/obiee/instances/instance1/bifoundation/OracleBIApplication/coreapplication/setup/bi-init.sh bash-3.2$

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  • Multiple test Active Directory envirovments hand in hand with production domain controllers

    - by MadBoy
    What's the best approach of having multiple test environments next to production one? We have multiple programming teams that build solutions that use Active Directory very often. We have tried different approaches, starting with their own domain controllers (in same subnet), or additional OU's in our production AD that the team gets control over and can create/delete accounts within that one OU. We thought of possible 4 solutions: Setting up separate OU's in ou production env. Creating subdomains for our contoso.com domain like test.contoso.com, something.contoso.com and delegating control to the teams (would we need additional DC's or the two that we have already would be enough to hold this? Setting up additional test domain controler that has a trust to our main domain and all teams can use the test domain controler as they please. Setting up single domain controller for every team/project. We're taking in consideration amount of resources needed, security (for example having multiple domain controlers with multiple passwords may lead users to use simpler passwords) and overall best practices for this scenario.

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  • install red5 demos via installer or within war file manually

    - by dursunturan
    I'm using Ubuntu 10.10 and installed the red5-server package. I've also downloaded oflaDemo.war file from that address. First I tried to install the oflaDemo via installer, but I couldnt reach the goal. I see the .war file under the /tmp directory, I got stuck with this message: "This may take a couple minutes, please wait". After that, I put the downloaded war file into the /webapps directory and wait 10 minutes as mentioned in red5-common.xml. Unfortunately, nothing changed ... So I decided to extract war file manually. I did this: jar -xvf oflaDemo.war Ok, I see all of the unzipped content under the webapps directory, but how can I preview the demo via a web browser? I really need to make live stream via Red5. Please help me.

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  • Seeking for a better solution to restrict access in GRUB2 menu

    - by LiveWireBT
    I just read that in certain situations you should also protect access to your GRUB2 menu by setting a password and may be refining acces by adding --unrestricted or --users as arguments to menuentries und submenus. I read the corresponding pages in the Ubuntu Community Documentation and the Arch Wiki. So, I created /etc/grub.d/01_security, stored usernames and passwords in there, made the file executable and ran update-grub. This is working as intended, every action in the menu prompts for username and password, but I also want to modify the automatically generated entries to either restrict them to certain users (via --users) or make them available for everyone, but not editable by everyone (via --unrestricted). I was able to find the proper lines in 10_linux and edit them accordingly, however I'd love to see an easier solution. Perhaps an option like GRUB_DISABLE_RECOVERY="true" or GRUB_DISABLE_OS_PROBER=true in /etc/default/grub for easy (re)configuration (for linux and os-prober generated entries). Here's a diff from my 13.10 installation: $ diff /etc/grub.d/10_linux /etc/grub.d/10_linux_bak 123c123 < echo "menuentry '$(echo "$title" | grub_quote)' ${CLASS} --unrestriced \$menuentry_id_option 'gnulinux-$version-$type-$boot_device_id' {" | sed "s/^$ --- > echo "menuentry '$(echo "$title" | grub_quote)' ${CLASS} \$menuentry_id_option 'gnulinux-$version-$type-$boot_device_id' {" | sed "s/^/$submenu_inde$ 125c125 < echo "menuentry '$(echo "$os" | grub_quote)' ${CLASS} --unrestricted \$menuentry_id_option 'gnulinux-simple-$boot_device_id' {" | sed "s/^/$submenu_$ --- > echo "menuentry '$(echo "$os" | grub_quote)' ${CLASS} \$menuentry_id_option 'gnulinux-simple-$boot_device_id' {" | sed "s/^/$submenu_indentation/" 323c323 < echo "submenu --unrestricted '$(gettext_printf "Advanced options for %s" "${OS}" | grub_quote)' \$menuentry_id_option 'gnulinux-advanced-$boot_device_$ --- > echo "submenu '$(gettext_printf "Advanced options for %s" "${OS}" | grub_quote)' \$menuentry_id_option 'gnulinux-advanced-$boot_device_id' {" tl;dr: I'd love the see a simple solution for GRUB2 entries that cannot be modified without a password or are limited to certain users. (Yes, GRUB_DISABLE_RECOVERY="true" is active.)

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  • ORM and component-based architecture

    - by EagleBeek
    I have joined an ongoing project, where the team calls their architecture "component-based". The lowest level is one big database. The data access (via ORM) and business layers are combined into various components, which are separated according to business logic. E.g., there's a component for handling bank accounts, one for generating invoices, etc. The higher levels of service contracts and presentation are irrelevant for the question, so I'll omit them here. From my point of view the separation of the data access layer into various components seems counterproductive, because it denies us the relational mapping capabilities of the ORM. E.g., when I want to query all invoices for one customer I have to identify the customer with the "customers" component and then make another call to the "invoices" component to get the invoices for this customer. My impression is that it would be better to leave the data access in one component and separate it from business logic, which may well be cut into various components. Does anybody have some advice? Have I overlooked something?

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  • Freebsd 7.2: View firmware version for disks?

    - by Stefan Lasiewski
    I'm running FreeBSD 7.2, with Seagate Cheetah (Model ST####) drives. We are having some problems with the SCSI drives on these machines. Our vendor says that updating the firmware on the drives may fix the problems, and a firmware update did seem to fix some SCSI problems on another FreeBSD host. How can I view the firmware version of these drives? I tried some tips from nixCraft, but nothing has worked so far. In dmesg, I see the Make and Model, but In Linux, this information is often in /var/log/dmesg (Although /var/log/dmesg is sometimes out of date), or I often find this information with something like sudo lshw -class disk, lshal or dmidecode.

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  • Large enterprise application - clients wish to use duplicate e-mails addresses?

    - by Alex Key
    I'd like to know people's opinions, reactions to clients and technical work arounds (if applicable), to the issue of an enterprise application where a client wishes to use duplicate e-mail addresses? To clarify, when I say duplicate e-mail addresses I mean within the same client system, having multiple users that have the same e-mail address. So not just using generic e-mail addresses but using the e-mail address of another user. e.g. Bob Jenkins: [email protected] James Jeffery: [email protected] Context To give this some further context, in the e-learning sector it is common that although all staff in an organisation must complete e-learning - they may not have their own e-mail address so they choose to use their managers e-mail address. Albeit against good practice in public sites... it's a requirement we've over and over again where an organisation is split between office based staff and perhaps e.g. staff in a warehouse. Where problem lies Mr Steak, good point, the problem lies in password resets and perhaps in situations where semi-personal information could be sent (not confidential enough to worry about the insecurities of email). Perhaps reminders for specific system actions, which would be confusing for the unintended party to see (if perhaps misreading the e-mail's intended recipient) Possible solutions System knowing the difference between a "for the attention of" and direct to the person e-mails, including this in the body text. Using alternative communication such as SMS Simply not having e-mails sent to people who are not the intended recipient. Providing an e-mail service ourselfs (not really viable for a corporate IT dept) Thoughts?

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  • What would cause previously sent emails to be sent again from Exchange the first time someone logs i

    - by Ken Pespisa
    A few users testing our Citrix XenApp service found that several (seemingly random) previously sent emails were sent out immediately after they logged into Outlook via Citrix for the first time. The problem hasn't occurred for them since. After one user had this happen, and we scratched our heads about it thinking it was a fluke, our IT director had this same issue. I guess I'd rule out any PEBKAC issues. I really don't know where to begin troubleshooting this problem. If you have any ideas what could have caused this, I'd appreciate you sharing them, as strange or far-fetched as they may seem :)

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