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  • What are the best practices for phasing out obsolete code?

    - by P.Brian.Mackey
    I have the need to phase out an obsolete method. I am aware of the [Obsolete] attribute. Does Microsoft have a recommended best practice guide for doing this? Here's my current plan: A. I do not want to create a new assembly because developers would have to add a new reference to their projects and I expect to get a lot of grief from my boss and co-workers if they must do this. We also do not maintain multiple assembly versions. We only use the latest version. Changing this practice would require changing our deployment process which is a big issue (have to teach people how to do things with TFS instead of FinalBuilder and get them to give up FinalBuilder) B. Mark the old method obsolete. C. Because the implementation is changing (not the method signature), I need to rename the method rather than create an overload. So, to make users aware of the proper method I plan to add a message to the [Obsolete] attribute. This part bothers me, because the only change I'm making is decoupling the method from the connection string. But, because I'm not adding a new assembly, I see no way around this. Result: [Obsolete("Please don't use this anymore because it does not implement IMyDbProvider. Use XXX instead.")]; /// <summary> /// /// </summary> /// <param name="settingName"></param> /// <returns></returns> public static Dictionary<string, Setting> ReadSettings(string settingName) { return ReadSettings(settingName, SomeGeneralClass.ConnectionString); } public Dictionary<string, Setting> ReadSettings2(string settingName) { return ReadSettings(settingName);// IMyDbProvider.ConnectionString private member added to class. Probably have to make this an instance method. }

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  • Examples of permission-based authorization systems in .Net?

    - by Rachel
    I'm trying to figure out how to do roles/permissions in our application, and I am wondering if anyone knows of a good place to get a list of different permission-based authorization systems (preferably with code samples) and perhaps a list of pros/cons for each method. I've seen examples using simple dictionaries, custom attributes, claims-based authorization, and custom frameworks, but I can't find a simple explanation of when to use one over another and what the pros/cons are to using each method. (I'm sure there's other ways than the ones I've listed....) I have never done anything complex with permissions/authorization before, so all of this seems a little overwhelming to me and I'm having trouble figuring out what what is useful information that I can use and what isn't. What I DO know is that this is for a Windows environment using C#/WPF and WCF services. Some permission checks are done on the WCF service and some on the client. Some are business rules, some are authorization checks, and others are UI-related (such as what forms a user can see). They can be very generic like boolean or numeric values, or they can be more complex such as a range of values or a list of database items to be checked/unchecked. Permissions can be set on the group-level, user-level, branch-level, or a custom level, so I do not want to use role-based authorization. Users can be in multiple groups, and users with the appropriate authorization are in charge of creating/maintaining these groups. It is not uncommon for new groups to be created, so they can't be hard-coded.

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  • Microsoft Sync Framework

    - by kaleidoscope
    Introduction It is a platform that enables collaboration and offline access for applications, services and devices. Sync framework features technologies and tools that enable roaming, data sharing and taking data offline. Moreover, developers can build synchronization ecosystems that integrate any application with data from any store, by using any protocol over any network. Highlights * Add sync support to new and existing applications, services and devices * Enable collaboration and offline capabilities for any application * Roam and share information form any data store, over any protocol and over any network configuration * Leverage sync capabilities exposed in Microsoft technologies to create sync ecosystems * Extend the architecture to support custom data types including files Benefits of using Sync Framework * An extensible model that lets you integrate multiple data sources into a synchronization ecosystems. * A managed API for all components and a native API for select components. * Conflict handling for automatic and custom resolution schemes. * Filters that let you synchronize a subset of data, such as only those files that contain images. * A compact and efficient metadata model that enables synchronization for virtually any participant, without significant changes to the data store: - Any data store     Add synchronization to a wide range of applications, services and devices. - Any data type     Introduce new data types to synchronize. - Any protocol     Use existing architectures and protocols to synchronize data. The transport – agnostic architecture allows integration of synchronization into a variety of protocols, including over-the-air and embedded devices. - Any network configuration     Enable synchronization for your applications, devices and services in true peer-to-peer or hub-and-spoke configurations. Easily recover from network interruptions. Reduce network traffic by efficiently selecting changes to synchronize. Technorati Tags: Anish Sharma,Microsoft Sync Framework

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  • Entity Framework with large systems - how to divide models?

    - by jkohlhepp
    I'm working with a SQL Server database with 1000+ tables, another few hundred views, and several thousand stored procedures. We are looking to start using Entity Framework for our newer projects, and we are working on our strategy for doing so. The thing I'm hung up on is how best to split the tables into different models (EDMX or DbContext if we go code first). I can think of a few strategies right off the bat: Split by schema We have our tables split across probably a dozen schemas. We could do one model per schema. This isn't perfect, though, because dbo still ends up being very large, with 500+ tables / views. Another problem is that certain units of work will end up having to do transactions that span multiple models, which adds to complexity, although I assume EF makes this fairly straightforward. Split by intent Instead of worrying about schemas, split the models by intent. So we'll have different models for each application, or project, or module, or screen, depending on how granular we want to get. The problem I see with this is that there are certain tables that inevitably have to be used in every case, such as User or AuditHistory. Do we add those to every model (violates DRY I think), or are those in a separate model that is used by every project? Don't split at all - one giant model This is obviously simple from a development perspective but from my research and my intuition this seems like it could perform terribly, both at design time, compile time, and possibly run time. What is the best practice for using EF against such a large database? Specifically what strategies do people use in designing models against this volume of DB objects? Are there options that I'm not thinking of that work better than what I have above? Also, is this a problem in other ORMs such as NHibernate? If so have they come up with any better solutions than EF?

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  • Should programmers itemize testing for projects? [on hold]

    - by Patton77
    I recently hired a programming team to do a port of my iPad app to the iPhone and Android platforms. Now, in a separate contract, I am asking them to implement a bunch of tips on how to play the app, similar like you would find in Candy Crush or Cut the Rope. They want to charge 12 hours @ $35/hr for the "Testing all of the Tips", telling me that normally it would take them more than 25 hours but that they will 'bear the difference'. I am not familiar with this level of itemization, but maybe it's a new practice? I am used to devs doing their own quality control, and then having a testing/acceptance period. They are using Cocos 2D-X, and they say that the tips going to multiple platforms makes all of the hours jack up. I feel like they might be overcharging, and it's difficult for me to know because it's kind of like with a mechanic. "It took us 5 hours to replace the radiator". How can you dispute that? It seems to me that most of you would charge for the work but NOT for hours that you are 'testing'. Am I missing something? Thanks for any help and advice you can give!

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  • SQL Saturday #220 - Atlanta - Pre-Conference Scholarships!

    - by Most Valuable Yak (Rob Volk)
    We Want YOU…To Learn! AtlantaMDF and Idera are teaming up to find a few good people. If you are: A student looking to work in the database or business intelligence fields A database professional who is between jobs or wants a better one A developer looking to step up to something new On a limited budget and can’t afford professional SQL Server training Able to attend training from 9 to 5 on May 17, 2013 AtlantaMDF is presenting 5 Pre-Conference Sessions (pre-cons) for SQL Saturday #220! And thanks to Idera’s sponsorship, we can offer one free ticket to each of these sessions to eligible candidates! That means one scholarship per Pre-Con! One Recipient Each will Attend: Denny Cherry: SQL Server Security http://sqlsecurity.eventbrite.com/ Adam Machanic: Surfing the Multicore Wave: Processors, Parallelism, and Performance http://surfmulticore.eventbrite.com/ Stacia Misner: Languages of BI http://languagesofbi.eventbrite.com/ Bill Pearson: Practical Self-Service BI with PowerPivot for Excel http://selfservicebi.eventbrite.com/ Eddie Wuerch: The DBA Skills Upgrade Toolkit http://dbatoolkit.eventbrite.com/ If you are interested in attending these pre-cons send an email by April 30, 2013 to [email protected] and tell us: Why you are a good candidate to receive this scholarship Which sessions you’d like to attend, and why (list multiple sessions in order of preference) What the session will teach you and how it will help you achieve your goals The emails will be evaluated by the good folks at Midlands PASS in Columbia, SC. The recipients will be notified by email and announcements made on May 6, 2013. GOOD LUCK! P.S. - Don't forget that SQLSaturday #220 offers free* training in addition to the pre-cons! You can find more information about SQL Saturday #220 at http://www.sqlsaturday.com/220/eventhome.aspx. View the scheduled sessions at http://www.sqlsaturday.com/220/schedule.aspx and register for them at http://www.sqlsaturday.com/220/register.aspx. * Registration charges a $10 fee to cover lunch expenses.

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  • Evolution of an Application: how to manage and improve core engine?

    - by Phil Carter
    The web application I work on has been live for a year now, but it's time for it to evolve and one of the ways in which it is evolving is into a multi-brand application - in this case several different companies using the application, different templates/content and some slight business logic changes between them. The problem I'm facing is implementing a best practice across the site where there are differences in business logic for each brand. These will mostly be very superficial, using a an alternative mailing list provider or capturing some extra data in a form. I don't want to have if(brand === x) { ... } else { ... } all over the site especially as most of what needs to be changed can be handled with extending the existing class. I've thought of several methods that could be used to instantiate the correct class, but I'm just not sure which is going to be best especially as some seem to lead to duplication of more code than should be necessary. Here's what I've considered: 1) Use a Static Loader similar to Zend_Loader which can take the class being requested, and has knowledge of the Brand and can then return the correct object. $class = App_Loader::getObject('User', $brand); 2) Factory classes. We use these in the application already for Products but we could utilise them here also to provide a transparent interface to the class. 3) Routing the page request to a specific brand controller. This however seems like it would duplicate a lot of code/logic. Is there a pattern or something else I should be considering to solve this problem? 4) How to manage a growing project that has multiple custom instances in production? Update This is a PHP application so the decisions on which class to load are made per request. There could be upwards of 100+ different 'brands' running.

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  • Fix a tomcat6 error message "/bin/bash already running" when starting tomcat?

    - by Andrew Austin
    I have a Ubuntu 10.04 machine that has tomcat6 on it. When I start tomcat6 with /etc/init.d/tomcat6 start I get * Starting Tomcat servlet engine tomcat6 /bin/bash already running. and the server fails to start. Unfortunately, there is nothing in /var/log/tomcat/catalina.out to help debug the issue. With some cleverly placed echo statements it seems to be the line from /etc/init.d/tomcat6: start-stop-daemon --start -u "$TOMCAT6_USER" -g "$TOMCAT6_GROUP" \ -c "$TOMCAT6_USER" -d "$CATALINA_TMPDIR" \ -x /bin/bash -- -c "$AUTHBIND_COMMAND $TOMCAT_SH" The only thing I've changed in this script is TOMCAT6_USER=root. In servers.xml, the only thing I've changed is <Connector port="80" protocol="HTTP/1.1" from port 8080. I have tried reinstalling the package by first removing everything sudo apt-get --purge remove tomacat6 and then sudo apt-get install tomcat6 but this has not solved the issue. I have also restarted the server multiple times in hopes of some magic. Everything was working until I restarted my server. Any ideas?

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  • Per-vertex animation with VBOs: VBO per character or VBO per animation?

    - by charstar
    Goal To leverage the richness of well vetted animation tools such as Blender to do the heavy lifting for a small but rich set of animations. I am aware of additive pose blending like that from Naughty Dog and similar techniques but I would prefer to expend a little RAM/VRAM to avoid implementing a thesis-ready pose solver. I would also like to avoid implementing a key-frame + interpolation curve solver (reinventing Blender vertex groups and IPOs), if possible. Scenario Meshes are animated using either skeletons (skinned animation) or some form of morph targets (i.e. per-vertex key frames). However, in either case, the animations are known in full at load-time, that is, there is no physics, IK solving, or any other form of in-game pose solving. The number of character actions (animations) will be limited but rich (hand-animated). There may be multiple characters using a each mesh and its animations simultaneously in-game (they will likely be at different frames of the same animation at the same time). Assume color and texture coordinate buffers are static. Current Considerations Much like a non-shader-powered pose solver, create a VBO for each character and copy vertex and normal data to each VBO on each frame (VBO in STREAMING). Create one VBO for each animation where each frame (interleaved vertex and normal data) is concatenated onto the VBO. Then each character simply has a buffer pointer offset based on its current animation frame (e.g. pointer offset = (numVertices+numNormals)*frameNumber). (VBO in STATIC) Known Trade-Offs In 1 above: Each VBO would be small but there would be many VBOs and therefore lots of buffer binding and vertex copying each frame. Both client and pipeline intensive. In 2 above: There would be few VBOs therefore insignificant buffer binding and no vertex data getting jammed down the pipe each frame, but each VBO would be quite large. Are there any pitfalls to number 2 (aside from finite memory)? I've found a lot of information on what you can do, but no real best practices. Are there other considerations or methods that I am missing?

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  • Two network interfaces and two IP addresses on the same subnet in Linux

    - by Scott Duckworth
    I recently ran into a situation where I needed two IP addresses on the same subnet assigned to one Linux host so that we could run two SSL/TLS sites. My first approach was to use IP aliasing, e.g. using eth0:0, eth0:1, etc, but our network admins have some fairly strict settings in place for security that squashed this idea: They use DHCP snooping and normally don't allow static IP addresses. Static addressing is accomplished by using static DHCP entries, so the same MAC address always gets the same IP assignment. This feature can be disabled per switchport if you ask and you have a reason for it (thankfully I have a good relationship with the network guys and this isn't hard to do). With the DHCP snooping disabled on the switchport, they had to put in a rule on the switch that said MAC address X is allowed to have IP address Y. Unfortunately this had the side effect of also saying that MAC address X is ONLY allowed to have IP address Y. IP aliasing required that MAC address X was assigned two IP addresses, so this didn't work. There may have been a way around these issues on the switch configuration, but in an attempt to preserve good relations with the network admins I tried to find another way. Having two network interfaces seemed like the next logical step. Thankfully this Linux system is a virtual machine, so I was able to easily add a second network interface (without rebooting, I might add - pretty cool). A few keystrokes later I had two network interfaces up and running and both pulled IP addresses from DHCP. But then the problem came in: the network admins could see (on the switch) the ARP entry for both interfaces, but only the first network interface that I brought up would respond to pings or any sort of TCP or UDP traffic. After lots of digging and poking, here's what I came up with. It seems to work, but it also seems to be a lot of work for something that seems like it should be simple. Any alternate ideas out there? Step 1: Enable ARP filtering on all interfaces: # sysctl -w net.ipv4.conf.all.arp_filter=1 # echo "net.ipv4.conf.all.arp_filter = 1" >> /etc/sysctl.conf From the file networking/ip-sysctl.txt in the Linux kernel docs: arp_filter - BOOLEAN 1 - Allows you to have multiple network interfaces on the same subnet, and have the ARPs for each interface be answered based on whether or not the kernel would route a packet from the ARP'd IP out that interface (therefore you must use source based routing for this to work). In other words it allows control of which cards (usually 1) will respond to an arp request. 0 - (default) The kernel can respond to arp requests with addresses from other interfaces. This may seem wrong but it usually makes sense, because it increases the chance of successful communication. IP addresses are owned by the complete host on Linux, not by particular interfaces. Only for more complex setups like load- balancing, does this behaviour cause problems. arp_filter for the interface will be enabled if at least one of conf/{all,interface}/arp_filter is set to TRUE, it will be disabled otherwise Step 2: Implement source-based routing I basically just followed directions from http://lartc.org/howto/lartc.rpdb.multiple-links.html, although that page was written with a different goal in mind (dealing with two ISPs). Assume that the subnet is 10.0.0.0/24, the gateway is 10.0.0.1, the IP address for eth0 is 10.0.0.100, and the IP address for eth1 is 10.0.0.101. Define two new routing tables named eth0 and eth1 in /etc/iproute2/rt_tables: ... top of file omitted ... 1 eth0 2 eth1 Define the routes for these two tables: # ip route add default via 10.0.0.1 table eth0 # ip route add default via 10.0.0.1 table eth1 # ip route add 10.0.0.0/24 dev eth0 src 10.0.0.100 table eth0 # ip route add 10.0.0.0/24 dev eth1 src 10.0.0.101 table eth1 Define the rules for when to use the new routing tables: # ip rule add from 10.0.0.100 table eth0 # ip rule add from 10.0.0.101 table eth1 The main routing table was already taken care of by DHCP (and it's not even clear that its strictly necessary in this case), but it basically equates to this: # ip route add default via 10.0.0.1 dev eth0 # ip route add 130.127.48.0/23 dev eth0 src 10.0.0.100 # ip route add 130.127.48.0/23 dev eth1 src 10.0.0.101 And voila! Everything seems to work just fine. Sending pings to both IP addresses works fine. Sending pings from this system to other systems and forcing the ping to use a specific interface works fine (ping -I eth0 10.0.0.1, ping -I eth1 10.0.0.1). And most importantly, all TCP and UDP traffic to/from either IP address works as expected. So again, my question is: is there a better way to do this? This seems like a lot of work for a seemingly simple problem.

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  • Fix a tomcat6 error message "/bin/bash already running" when starting tomcat?

    - by Andrew Austin
    I have a Ubuntu 10.04 machine that has tomcat6 on it. When I start tomcat6 with /etc/init.d/tomcat6 start I get * Starting Tomcat servlet engine tomcat6 /bin/bash already running. and the server fails to start. Unfortunately, there is nothing in /var/log/tomcat/catalina.out to help debug the issue. With some cleverly placed echo statements it seems to be the line from /etc/init.d/tomcat6: start-stop-daemon --start -u "$TOMCAT6_USER" -g "$TOMCAT6_GROUP" \ -c "$TOMCAT6_USER" -d "$CATALINA_TMPDIR" \ -x /bin/bash -- -c "$AUTHBIND_COMMAND $TOMCAT_SH" The only thing I've changed in this script is TOMCAT6_USER=root. In servers.xml, the only thing I've changed is <Connector port="80" protocol="HTTP/1.1" from port 8080. I have tried reinstalling the package by first removing everything sudo apt-get --purge remove tomacat6 and then sudo apt-get install tomcat6 but this has not solved the issue. I have also restarted the server multiple times in hopes of some magic. Everything was working until I restarted my server. Any ideas?

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  • Convert ddply {plyr} to Oracle R Enterprise, or use with Embedded R Execution

    - by Mark Hornick
    The plyr package contains a set of tools for partitioning a problem into smaller sub-problems that can be more easily processed. One function within {plyr} is ddply, which allows you to specify subsets of a data.frame and then apply a function to each subset. The result is gathered into a single data.frame. Such a capability is very convenient. The function ddply also has a parallel option that if TRUE, will apply the function in parallel, using the backend provided by foreach. This type of functionality is available through Oracle R Enterprise using the ore.groupApply function. In this blog post, we show a few examples from Sean Anderson's "A quick introduction to plyr" to illustrate the correpsonding functionality using ore.groupApply. To get started, we'll create a demo data set and load the plyr package. set.seed(1) d <- data.frame(year = rep(2000:2014, each = 3),         count = round(runif(45, 0, 20))) dim(d) library(plyr) This first example takes the data frame, partitions it by year, and calculates the coefficient of variation of the count, returning a data frame. # Example 1 res <- ddply(d, "year", function(x) {   mean.count <- mean(x$count)   sd.count <- sd(x$count)   cv <- sd.count/mean.count   data.frame(cv.count = cv)   }) To illustrate the equivalent functionality in Oracle R Enterprise, using embedded R execution, we use the ore.groupApply function on the same data, but pushed to the database, creating an ore.frame. The function ore.push creates a temporary table in the database, returning a proxy object, the ore.frame. D <- ore.push(d) res <- ore.groupApply (D, D$year, function(x) {   mean.count <- mean(x$count)   sd.count <- sd(x$count)   cv <- sd.count/mean.count   data.frame(year=x$year[1], cv.count = cv)   }, FUN.VALUE=data.frame(year=1, cv.count=1)) You'll notice the similarities in the first three arguments. With ore.groupApply, we augment the function to return the specific data.frame we want. We also specify the argument FUN.VALUE, which describes the resulting data.frame. From our previous blog posts, you may recall that by default, ore.groupApply returns an ore.list containing the results of each function invocation. To get a data.frame, we specify the structure of the result. The results in both cases are the same, however the ore.groupApply result is an ore.frame. In this case the data stays in the database until it's actually required. This can result in significant memory and time savings whe data is large. R> class(res) [1] "ore.frame" attr(,"package") [1] "OREbase" R> head(res)    year cv.count 1 2000 0.3984848 2 2001 0.6062178 3 2002 0.2309401 4 2003 0.5773503 5 2004 0.3069680 6 2005 0.3431743 To make the ore.groupApply execute in parallel, you can specify the argument parallel with either TRUE, to use default database parallelism, or to a specific number, which serves as a hint to the database as to how many parallel R engines should be used. The next ddply example uses the summarise function, which creates a new data.frame. In ore.groupApply, the year column is passed in with the data. Since no automatic creation of columns takes place, we explicitly set the year column in the data.frame result to the value of the first row, since all rows received by the function have the same year. # Example 2 ddply(d, "year", summarise, mean.count = mean(count)) res <- ore.groupApply (D, D$year, function(x) {   mean.count <- mean(x$count)   data.frame(year=x$year[1], mean.count = mean.count)   }, FUN.VALUE=data.frame(year=1, mean.count=1)) R> head(res)    year mean.count 1 2000 7.666667 2 2001 13.333333 3 2002 15.000000 4 2003 3.000000 5 2004 12.333333 6 2005 14.666667 Example 3 uses the transform function with ddply, which modifies the existing data.frame. With ore.groupApply, we again construct the data.frame explicilty, which is returned as an ore.frame. # Example 3 ddply(d, "year", transform, total.count = sum(count)) res <- ore.groupApply (D, D$year, function(x) {   total.count <- sum(x$count)   data.frame(year=x$year[1], count=x$count, total.count = total.count)   }, FUN.VALUE=data.frame(year=1, count=1, total.count=1)) > head(res)    year count total.count 1 2000 5 23 2 2000 7 23 3 2000 11 23 4 2001 18 40 5 2001 4 40 6 2001 18 40 In Example 4, the mutate function with ddply enables you to define new columns that build on columns just defined. Since the construction of the data.frame using ore.groupApply is explicit, you always have complete control over when and how to use columns. # Example 4 ddply(d, "year", mutate, mu = mean(count), sigma = sd(count),       cv = sigma/mu) res <- ore.groupApply (D, D$year, function(x) {   mu <- mean(x$count)   sigma <- sd(x$count)   cv <- sigma/mu   data.frame(year=x$year[1], count=x$count, mu=mu, sigma=sigma, cv=cv)   }, FUN.VALUE=data.frame(year=1, count=1, mu=1,sigma=1,cv=1)) R> head(res)    year count mu sigma cv 1 2000 5 7.666667 3.055050 0.3984848 2 2000 7 7.666667 3.055050 0.3984848 3 2000 11 7.666667 3.055050 0.3984848 4 2001 18 13.333333 8.082904 0.6062178 5 2001 4 13.333333 8.082904 0.6062178 6 2001 18 13.333333 8.082904 0.6062178 In Example 5, ddply is used to partition data on multiple columns before constructing the result. Realizing this with ore.groupApply involves creating an index column out of the concatenation of the columns used for partitioning. This example also allows us to illustrate using the ORE transparency layer to subset the data. # Example 5 baseball.dat <- subset(baseball, year > 2000) # data from the plyr package x <- ddply(baseball.dat, c("year", "team"), summarize,            homeruns = sum(hr)) We first push the data set to the database to get an ore.frame. We then add the composite column and perform the subset, using the transparency layer. Since the results from database execution are unordered, we will explicitly sort these results and view the first 6 rows. BB.DAT <- ore.push(baseball) BB.DAT$index <- with(BB.DAT, paste(year, team, sep="+")) BB.DAT2 <- subset(BB.DAT, year > 2000) X <- ore.groupApply (BB.DAT2, BB.DAT2$index, function(x) {   data.frame(year=x$year[1], team=x$team[1], homeruns=sum(x$hr))   }, FUN.VALUE=data.frame(year=1, team="A", homeruns=1), parallel=FALSE) res <- ore.sort(X, by=c("year","team")) R> head(res)    year team homeruns 1 2001 ANA 4 2 2001 ARI 155 3 2001 ATL 63 4 2001 BAL 58 5 2001 BOS 77 6 2001 CHA 63 Our next example is derived from the ggplot function documentation. This illustrates the use of ddply within using the ggplot2 package. We first create a data.frame with demo data and use ddply to create some statistics for each group (gp). We then use ggplot to produce the graph. We can take this same code, push the data.frame df to the database and invoke this on the database server. The graph will be returned to the client window, as depicted below. # Example 6 with ggplot2 library(ggplot2) df <- data.frame(gp = factor(rep(letters[1:3], each = 10)),                  y = rnorm(30)) # Compute sample mean and standard deviation in each group library(plyr) ds <- ddply(df, .(gp), summarise, mean = mean(y), sd = sd(y)) # Set up a skeleton ggplot object and add layers: ggplot() +   geom_point(data = df, aes(x = gp, y = y)) +   geom_point(data = ds, aes(x = gp, y = mean),              colour = 'red', size = 3) +   geom_errorbar(data = ds, aes(x = gp, y = mean,                                ymin = mean - sd, ymax = mean + sd),              colour = 'red', width = 0.4) DF <- ore.push(df) ore.tableApply(DF, function(df) {   library(ggplot2)   library(plyr)   ds <- ddply(df, .(gp), summarise, mean = mean(y), sd = sd(y))   ggplot() +     geom_point(data = df, aes(x = gp, y = y)) +     geom_point(data = ds, aes(x = gp, y = mean),                colour = 'red', size = 3) +     geom_errorbar(data = ds, aes(x = gp, y = mean,                                  ymin = mean - sd, ymax = mean + sd),                   colour = 'red', width = 0.4) }) But let's take this one step further. Suppose we wanted to produce multiple graphs, partitioned on some index column. We replicate the data three times and add some noise to the y values, just to make the graphs a little different. We also create an index column to form our three partitions. Note that we've also specified that this should be executed in parallel, allowing Oracle Database to control and manage the server-side R engines. The result of ore.groupApply is an ore.list that contains the three graphs. Each graph can be viewed by printing the list element. df2 <- rbind(df,df,df) df2$y <- df2$y + rnorm(nrow(df2)) df2$index <- c(rep(1,300), rep(2,300), rep(3,300)) DF2 <- ore.push(df2) res <- ore.groupApply(DF2, DF2$index, function(df) {   df <- df[,1:2]   library(ggplot2)   library(plyr)   ds <- ddply(df, .(gp), summarise, mean = mean(y), sd = sd(y))   ggplot() +     geom_point(data = df, aes(x = gp, y = y)) +     geom_point(data = ds, aes(x = gp, y = mean),                colour = 'red', size = 3) +     geom_errorbar(data = ds, aes(x = gp, y = mean,                                  ymin = mean - sd, ymax = mean + sd),                   colour = 'red', width = 0.4)   }, parallel=TRUE) res[[1]] res[[2]] res[[3]] To recap, we've illustrated how various uses of ddply from the plyr package can be realized in ore.groupApply, which affords the user explicit control over the contents of the data.frame result in a straightforward manner. We've also highlighted how ddply can be used within an ore.groupApply call.

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  • Extending Blend for Visual Studio 2013

    - by Chris Skardon
    Originally posted on: http://geekswithblogs.net/cskardon/archive/2013/11/01/extending-blend-for-visual-studio-2013.aspxSo, I got a comment yesterday on my post about Extending Blend 4 and Blend for Visual Studio 2012 asking if I knew how to get it working for Blend for Visual Studio 2013.. My initial thoughts were, just change the location to get the blend dlls from Visual Studio 11.0 to 12.0 and you’re all set, so I went to do that, only to discover that the dlls I normally reference, well – they don’t exist. So… I’ve made a presumption that the actual process of using MEF etc is still the same. I was wrong. So, the route to discovery – required DotPeek and opening a few of blends dlls.. Browsing through the Blend install directory (./Microsoft Visual Studio 12.0/Blend/) I notice the .addin files: So I decide to peek into the SketchFlow dll, then promptly remember SketchFlow is quite a big thing, and hunting through there is not ideal, luckily there is another dll using an .addin file, ‘Microsoft.Expression.Importers.Host’, so we’ll go for that instead. We can see it’s still using the ‘IPackage’ formula, but where is that sucker? Well, we just press F12 on the ‘IPackage’ bit and DotPeek takes us there, with a very handy comment at the top: // Type: Microsoft.Expression.Framework.IPackage // Assembly: Microsoft.Expression.Framework, Version=12.0.0.0, Culture=neutral, PublicKeyToken=b03f5f7f11d50a3a // MVID: E092EA54-4941-463C-BD74-283FD36478E2 // Assembly location: C:\Program Files (x86)\Microsoft Visual Studio 12.0\Blend\Microsoft.Expression.Framework.dll Now we know where the IPackage interface is defined, so let’s just try writing a control. Last time I did a separate dll for the control, this time I’m not, but it still works if you want to do it that way. Let’s build a control! STEP 1 Create a new WPF application Naming doesn’t matter any more! I have gone with ‘Hello2013’ (see what I did there?) STEP 2 Delete: App.Config App.xaml MainWindow.xaml We won’t be needing them STEP 3 Change your application to be a Class Library instead. (You might also want to delete the ‘vshost’ stuff in your output directory now, as they only exist for hosting the WPF app, and just cause clutter) STEP 4 Add a reference to the ‘Microsoft.Expression.Framework.dll’ (which you can find in ‘C:\Program Files\Microsoft Visual Studio 12.0\Blend’ – that’s Program Files (x86) if you’re on an x64 machine!). STEP 5 Add a User Control, I’m going with ‘Hello2013Control’, and following from last time, it’s just a TextBlock in a Grid: <UserControl x:Class="Hello2013.Hello2013Control" xmlns="http://schemas.microsoft.com/winfx/2006/xaml/presentation" xmlns:x="http://schemas.microsoft.com/winfx/2006/xaml" xmlns:mc="http://schemas.openxmlformats.org/markup-compatibility/2006" xmlns:d="http://schemas.microsoft.com/expression/blend/2008" mc:Ignorable="d" d:DesignHeight="300" d:DesignWidth="300"> <Grid> <TextBlock>Hello Blend for VS 2013</TextBlock> </Grid> </UserControl> STEP 6 Add a class to load the package – I’ve called it – yes you guessed – Hello2013Package, which will look like this: namespace Hello2013 { using Microsoft.Expression.Framework; using Microsoft.Expression.Framework.UserInterface; public class Hello2013Package : IPackage { private Hello2013Control _hello2013Control; private IWindowService _windowService; public void Load(IServices services) { _windowService = services.GetService<IWindowService>(); Initialize(); } private void Initialize() { _hello2013Control = new Hello2013Control(); if (_windowService.PaletteRegistry["HelloPanel"] == null) _windowService.RegisterPalette("HelloPanel", _hello2013Control, "Hello Window"); } public void Unload(){} } } You might note that compared to the 2012 version we’re no longer [Exporting(typeof(IPackage))]. The file you create in STEP 7 covers this for us. STEP 7 Add a new file called: ‘<PROJECT_OUTPUT_NAME>.addin’ – in reality you can call it anything and it’ll still read it in just fine, it’s just nicer if it all matches up, so I have ‘Hello2013.addin’. Content wise, we need to have: <?xml version="1.0" encoding="utf-8"?> <AddIn AssemblyFile="Hello2013.dll" /> obviously, replacing ‘Hello2013.dll’ with whatever your dll is called. STEP 8 We set the ‘addin’ file to be copied to the output directory: STEP 9 Build! STEP 10 Go to your output directory (./bin/debug) and copy the 3 files (Hello2013.dll, Hello2013.pdb, Hello2013.addin) and then paste into the ‘Addins’ folder in your Blend directory (C:\Program Files\Microsoft Visual Studio 12.0\Blend\Addins) STEP 11 Start Blend for Visual Studio 2013 STEP 12 Go to the ‘Window’ menu and select ‘Hello Window’ STEP 13 Marvel at your new control! Feel free to email me / comment with any problems!

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  • Tömörítés becslése - Compression Advisor

    - by lsarecz
    Az Oracle Database 11g verziójától már OLTP adatbázisok is hatékonyan tömöríthetok az Advanced Compression funkcióval. Nem csak a tárolandó adatok mennyisége csökken ezáltal felére, vagy akár negyedére, de az adatbázis teljesítménye is javulhat, amennyiben I/O korlátos a rendszer (és általában az). Hogy pontosan mekkora tömörítés várható az Advanced Compression bevezetésével, az kiválóan becsülheto a Compression Advisor eszközzel. Ez nem csak az OLTP tömörítés mértékét, de 11gR2 verziótól kezdve a HCC tömörítés arányát is becsülni tudja, amely Exadata Database Machine, Pillar Axiom illetve ZFS Storage alkalmazásával érheto el. A HCC tömörítés becsléséhez csak 11gR2 adatbázisra van szükség, nem kell hozzá a speciális célhardver (Exadata, Pillar, ZFS). A Compression Advisor valójában a DBMS_COMPRESSION package használatával érheto el. A package-hez tartozik 6 konstans, amellyel a kívánt tömörítési szintek választhatók ki: Constant Type Value Description COMP_NOCOMPRESS NUMBER 1 No compression COMP_FOR_OLTP NUMBER 2 OLTP compression COMP_FOR_QUERY_HIGH NUMBER 4 High compression level for query operations COMP_FOR_QUERY_LOW NUMBER 8 Low compression level for query operations COMP_FOR_ARCHIVE_HIGH NUMBER 16 High compression level for archive operations COMP_FOR_ARCHIVE_LOW NUMBER 32 Low compression level for archive operations A GET_COMPRESSION_RATIO tárolt eljárás elemzi a tömöríteni kívánt táblát. Mindig csak egy táblát, vagy opcionálisan annak egy partícióját tudja elemezni úgy, hogy a tábláról készít egy másolatot egy külön erre a célra kijelölt/létrehozott táblatérre. Amennyiben az elemzést egyszerre több tömörítési szintre futtatjuk, úgy a tábláról annyi másolatot készít. A jó közelítésu becslés (+-5%) feltétele, hogy táblánként/partíciónként minimum 1 millió sor legyen. 11gR1 esetében még a DBMS_COMP_ADVISOR csomag GET_RATIO eljárása volt használatos, de ez még nem támogatta a HCC becslést. Érdemes még megnézni és kipróbálni a Tyler Muth blogjában publikált formázó eszközt, amivel a compression advisor kimenete alakítható jól értelmezheto formátumúvá. Végül összegezném mit is tartalmaz az Advanced Compression opció, mivel gyakran nem világos a felhasználóknak miért kell fizetni: Data Guard Network Compression Data Pump Compression (COMPRESSION=METADATA_ONLY does not require the Advanced Compression option) Multiple RMAN Compression Levels (RMAN DEFAULT COMPRESS does not require the Advanced Compression option) OLTP Table Compression SecureFiles Compression and Deduplication Ez alapján RMAN esetében például a default compression (BZIP2) szint ingyen használható, viszont az új ZLIB Advanced Compression opciót igényel. A ZLIB hatékonyabban használja a CPU-t, azaz jóval gyorsabb, viszont kisebb tömörítési arány érheto el vele.

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  • New PeopleSoft Applications Search

    - by Matthew Haavisto
    As you may have seen from the PeopleTools 8.52 Release Value Proposition , PeopleTools intends to introduce a new search capability in release 8.52. We believe this feature will not only improve the ability of users to find content, but will fundamentally change the way people navigate around the PeopleSoft ecosystem. PeopleSoft applications will be delivering this new search in coming releases and feature packs. PeopleSoft Application Search is actually a framework—a group of features that provides an improved means of searching for a variety of content across PeopleSoft applications. From a user experience perspective, the new search offers a powerful, keyword-based search presented in a familiar, intuitive user experience. Rather than browsing through long menu hierarchies to find a page, data item, or transaction, users can use PeopleSoft Application Search to directly navigate to desired locations. We envision this to be similar to how people navigate across the internet. This capability may reduce or even eliminate the need to navigate PeopleSoft applications using the existing application menu system (though menus will still be available to people that prefer that method). The new search will be available at any point in an application and can be configured to span multiple PeopleSoft applications. It enables users to initiate transactions or navigate to key information without using the PeopleSoft application menus. In addition, filters and facets will enable people to narrow their search results sets, making it easier to identify and navigate to desired application content. Action menus are embedded directly in the search results, allowing users to navigate straight to specific related transactions – pre-populated with the selected search results data. PeopleSoft Applications Search framework uses Oracle’s Secure Enterprise Search as its search engine. Most Customers will benefit from the new search when it is delivered with applications. However, customers can start deploying it after a Tools-only upgrade. In this case, however, customers would have to create their own indices and implement security.

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  • Synergy to share mouse only (not keyboard)

    - by Stan
    Synergy is very handy for single mouse/keyboard set sharing between multiple PCs. But I have a laptop (WinXP SP3) and a desktop (OS X Snow Leopard), a mouse, a keyboard which plugs to desktop. I don't need to share keyboard since each has one. Is there any way to share mouse only? Since if keyboard sharing enable might cause inconvenience. Thanks. PS. Another quick question is how to stop synergy daemon on Mac OS? synergys --help doesn't give any information.

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  • embed file in Excel cell

    - by Crash893
    I'm working on a simple "DB" for some people at work and I don't want to do anything fancy. the fields should be something like name , number , notes , File:resume, notes (where file:notes is the acutall embedded resume. I cant see any obvious way to do this but i thought i would ask just the same. Is there a way to take a (pdf , doc , docx , txt) and throw it into a cell so a user can click on it and it will open the file in the approate program note: this db is going to be floating around between multiple sites so linking won't work.

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  • No dual cpu support for VirtualBox with a CPU that doesn't support multicore?

    - by djangofan
    With VMWare it works fine and I can run multiple cores on a VMWare image. With Sun VirtualBox I can only run 1 cpu on a image. Its annoying. Why does Sun Virtualbox not work the same as VMWare in this respect?? My CPU is: XEON 3.00GHz Intel 90nm 2MBCache QUAD CPU x14 Socket 604 mPGA Family 15 Model 4(04) Stepping 3 Revision 05 MMX SSE3 XD SIV.exe tells me: No virtual machine extensions x86 with 64-bit support NO IA64 support MPS but with NO MCP 2 physical processors, 2 cores, 4 logical processors

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  • Dynamically changing DVT Graph at Runtime

    - by mona.rakibe(at)oracle.com
    I recently came across this requirement where the customer wanted to change the graph type at run-time based on some selection. After some internal discussions we realized this can be best achieved by using af:switcher to toggle between multiple graphs. In this blog I will be sharing the sample that I build to demonstrate this.[Note] : In the below sample, every-time user changes graph type there is a server trip, so please use this approach with performance implications in mind.This sample can be downloaded  from DynamicGraph.zipSet-up: Create a BAM data control using employees DO (sample)(Refer this entry)Steps:Create the View Create a new JSF page .From component palette drag and drop "Select One Radio" into this page Enter some Label and click "Finish"In Property Editor set the "AutoSubmit" property to trueNow drag and drop "Switcher" from components into this page.In the Structure pane select the af:switcher right click and surround with "PanelGroupLayout"In Property Editor set the "PartialTriggers"  property of PanelGroupLayout to the id of af:selectOneRadioAgain in the Structure pane select the af:switcher right click and select "Insert inside af:switcher->facet"Enter Facet name (ex: pie)Again in the Structure pane select the af:switcher right click and select "Insert inside af:switcher->facet" Enter  another Facet name (ex: bar)From "Data Controls" drag and drop "Employees->Query"  into the pie facet as "Graph->Pie" (Pie: Sales_Number and Slices: Salesperson)From "Data Controls" drag and drop "Employees->Query"  into the bar facet as "Graph->Bar" (Bars :Sales_Number and X-axis : Salesperson).Now wire the switcher to the af:selectOneRadio using their "facetName" and "value" property respectively.Now run the page, notice that graph renders as per the selection by user.

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  • Open source alternative for Canonical Landscape? [on hold]

    - by netvope
    From Canonical: Landscape is an easy-to-use systems management and monitoring service that enables you to manage multiple Ubuntu machines as easily as one through a simple Web-based interface. However, Landscape is not free. The RedHat counterpart Satellite has a free version called Spacewalk, but it doesn't work on Ubuntu. (There is an attempt to port Spacewalk to Debian, but it doesn't look like it's stable yet.) Are there any open source alternative to Landscape? Better yet, are there any Spacewalk-like software that works for both RedHat-based and Debian-based systems?

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  • How to make a system time-zone sensitive?

    - by Jerry Dodge
    I need to implement time zones in a very large and old Delphi system, where there's a central SQL Server database and possibly hundreds of client installations around the world in different time zones. The application already interacts with the database by only using the date/time of the database server. So, all the time stamps saved in both the database and on the client machines are the date/time of the database server when it happened, never the time of the client machine. So, when a client is about to display the date/time of something (such as a transaction) which is coming from this database, it needs to show the date/time converted to the local time zone. This is where I get lost. I would naturally assume there should be something in SQL to recognize the time zone and convert a DateTime field dynamically. I'm not sure if such a thing exists though. If so, that would be perfect, but if not, I need to figure out another way. This Delphi system (multiple projects) utilizes the SQL Server database using ADO components, VCL data-aware controls, and QuickReports (using data sources). So, there's many places where the data goes directly from the database query to rendering on the screen, without any code to actually put this data on the screen. In the end, I need to know when and how should I get the properly converted time? There must be a standard method for this, and I'm hoping SQL Server 2008 R2 has this covered...

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  • Should programmers itemize testing in testing? [on hold]

    - by Patton77
    I recently hired a programming team to do a port of my iPad app to the iPhone and Android platforms. Now, in a separate contract, I am asking them to implement a bunch of tips on how to play the app, similar like you would find in Candy Crush or Cut the Rope. They want to charge 12 hours @ $35/hr for the "Testing all of the Tips", telling me that normally it would take them more than 25 hours but that they will 'bear the difference'. I am not familiar with this level of itemization, but maybe it's a new practice? I am used to devs doing their own quality control, and then having a testing/acceptance period. They are using Cocos 2D-X, and they say that the tips going to multiple platforms makes all of the hours jack up. I feel like they might be overcharging, and it's difficult for me to know because it's kind of like with a mechanic. "It took us 5 hours to replace the radiator". How can you dispute that? It seems to me that most of you would charge for the work but NOT for hours that you are 'testing'. Am I missing something? Thanks for any help and advice you can give!

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  • How do I serve only internal intranet requests for a site with Apache?

    - by purpletonic
    I have an externally facing web server on our domain that we use for testing multiple sites. I have a site on this server that I want only people from within our intranet to view. How do I prevent requests originating from outside the intranet from seeing this website? I tried the following in my apache config file, but I get a 403 error. <Directory /> Options FollowSymLinks Order Deny,Allow Allow from domain.com Allow from 10.0.0.0/10.255.255.255 Deny from All AllowOverride None </Directory> <Directory /var/www/sitename/public> Options Indexes FollowSymLinks MultiViews Order Deny,Allow Allow from domain.com Allow from 10.0.0.0/10.255.255.255 Deny from All AllowOverride None </Directory>

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  • Kendo UI Mobile with Knockout for Master-Detail Views

    - by Steve Michelotti
    Lately I’ve been playing with Kendo UI Mobile to build iPhone apps. It’s similar to jQuery Mobile in that they are both HTML5/JavaScript based frameworks for buildings mobile apps. The primary thing that drew me to investigate Kendo UI was its innate ability to adaptively render a native looking app based on detecting the device it’s currently running on. In other words, it will render to look like a native iPhone app if it’s running on an iPhone and it will render to look like a native Droid app if it’s running on a Droid. This is in contrast to jQuery Mobile which looks the same on all devices and, therefore, it can never quite look native for whatever device it’s running on. My first impressions of Kendo UI were great. Using HTML5 data-* attributes to define “roles” for UI elements is easy, the rendering looked great, and the basic navigation was simple and intuitive. However, I ran into major confusion when trying to figure out how to “correctly” build master-detail views. Since I was already very family with KnockoutJS, I set out to use that framework in conjunction with Kendo UI Mobile to build the following simple scenario: I wanted to have a simple “Task Manager” application where my first screen just showed a list of tasks like this:   Then clicking on a specific task would navigate to a detail screen that would show all details of the specific task that was selected:   Basic navigation between views in Kendo UI is simple. The href of an <a> tag just needs to specify a hash tag followed by the ID of the view to navigate to as shown in this jsFiddle (notice the href of the <a> tag matches the id of the second view):   Direct link to jsFiddle: here. That is all well and good but the problem I encountered was: how to pass data between the views? Specifically, I need the detail view to display all the details of whichever task was selected. If I was doing this with my typical technique with KnockoutJS, I know exactly what I would do. First I would create a view model that had my collection of tasks and a property for the currently selected task like this: 1: function ViewModel() { 2: var self = this; 3: self.tasks = ko.observableArray(data); 4: self.selectedTask = ko.observable(null); 5: } Then I would bind my list of tasks to the unordered list - I would attach a “click” handler to each item (each <li> in the unordered list) so that it would select the “selectedTask” for the view model. The problem I found is this approach simply wouldn’t work for Kendo UI Mobile. It completely ignored the click handlers that I was trying to attach to the <a> tags – it just wanted to look at the href (at least that’s what I observed). But if I can’t intercept this, then *how* can I pass data or any context to the next view? The only thing I was able to find in the Kendo documentation is that you can pass query string arguments on the view name you’re specifying in the href. This enabled me to do the following: Specify the task ID in each href – something like this: <a href=”#taskDetail?id=3></a> Attach an “init method” (via the “data-show” attribute on the details view) that runs whenever the view is activated Inside this “init method”, grab the task ID passed from the query string to look up the item from my view model’s list of tasks in order to set the selected task I was able to get all that working with about 20 lines of JavaScript as shown in this jsFiddle. If you click on the Results tab, you can navigate between views and see the the detail screen is correctly binding to the selected item:   Direct link to jsFiddle: here.   With all that being done, I was very happy to get it working with the behavior I wanted. However, I have no idea if that is the “correct” way to do it or if there is a “better” way to do it. I know that Kendo UI comes with its own data binding framework but my preference is to be able to use (the well-documented) KnockoutJS since I’m already familiar with that framework rather than having to learn yet another new framework. While I think my solution above is probably “acceptable”, there are still a couple of things that bug me about it. First, it seems odd that I have to loop through my items to *find* my selected item based on the ID that was passed on the query string - normally, with Knockout I can just refer directly to my selected item from where it was used. Second, it didn’t feel exactly right that I had to rely on the “data-show” method of the details view to set my context – normally with Knockout, I could just attach a click handler to the <a> tag that was actually clicked by the user in order to set the “selected item.” I’m not sure if I’m being too picky. I know there are many people that have *way* more expertise in Kendo UI compared to me – I’d be curious to know if there are better ways to achieve the same results.

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  • Http 400 'Bad Request' and win32status 1450 when larger messages are sended to a WCF service

    - by Tim Mahy
    we sometimes receive Http 400 bad request resultcodes when posting a large file (10mb) to a WCF service hosted in IIS 6. We can reproduce this using SOAP UI and it seems that it is unpredictable when this happens. In our WCF log the call is not received, so we believe that the request does not reach the ASP.NET nor WCF runtime. This happens on multiple websites on the same machine each having their own application pool. All IIS settings are default, only in ASP.NET and WCF we allow bigger readerQuota's etc.... The win32status that is logged in the IIS log is 1450 which we think means "error no system resources". So now the question: a) how can we solve this b) (when a is not applicable :) ) which performance counters or logs are usefull to learn more about this problem? greetings, Tim

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