Weather Channel Missing Local On The 8's and local weather info.
I Have rebooted my box twice and still only get generic/national weather with no local info or maps for two days. According to the Weather Channel: "Your cable provider may be experiencing a technical problem with The Weather Star computer. The Weather Star is a piece of equipment located at your cable system that generates the Local On The 8s graphics for your area. " http://dw.weather.com/interact/contactus/localforecast.html Can someone please fix the box that generates the Local On The 8s graphics for the Claremont, NH area (03743)? Thank you!
Well, it's either coincidence or someone is really on the ball - either way the local came back just 10 minutes after I posted the message above. Thanks!
Similar Messages
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When I change the time zone of the clock, the "Date created" time information for my documents and image files in the Finder window (and in Get Info) is changed. Can I make the time info in "Date created" remain fixed regardless of the clock's timezone?
When I change the time zone of the clock, the "Date created" time information for my documents and image files in the Finder window (and in Get Info) is changed. Can I make the time info in "Date created" remain fixed regardless of the clock's timezone?
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In Journal can i specify the Foreign currency and local currency amount?
In Journal Entry can i specify the Foreign currency amount and local currency amount?
I tried the following code it is working fine using DIAPI.
Here the Local currency and the System currency is SGD. And the Journal is for USD.
oJnl.Lines.FCDebit = 120.10
oJnl.Lines.FCCredit = 0
oJnl.Lines.FCCurrency = "USD"
oJnl.Lines.Debit = 120.10
oJnl.Lines.Credit = 0
oJnl.Lines.Add()
oJnl.Lines.FCDebit = 0
oJnl.Lines.FCCredit = 120.10
oJnl.Lines.FCCurrency = "USD"
oJnl.Lines.Debit = 0
oJnl.Lines.Credit = 120.10
oJnl.Add()
But, the above way of doing is not working if i pass this Journal through B1.
B1 is not allowing to change the local currency amount, Local currency amount is automatically calculated based on the FC amount and the Exchange rate.
So Can i use the DIAPI to do this? is this right to do?Solved.
In Journal Entry window, please kindly go to Form Settings/Document/
Table tab page/ Convert Amounts According to Rate upon Exit:
Clear the checkboxes 'From LC Field' & 'From FC Field', then the Local
currency amount will not be automatically calculated based on the FC
amount and the Exchange rate. -
Hate the new layout and LACK of info!
Duet partners are no longer listed on songs in the iTunes store, so unless you KNOW the song and main artist/album, you can't find a duet with another artist. Lame!
I'm not a big fan of the new store layout, either. Takes forever to find things. Tell Apple:
itunes menu > help > provide itunes feedback -
Why is the Weather Channel app blocked in OSX?
Every attempt I've made this evening to install a The Weather Channel app on this computer has been blocked.
The app is fine on iOS..
What gives??Because iOS App's for iDevices are not made to run in OS X.
Also > The Weather Channel App for Windows with Current Conditions, Local Alerts, and Radar, will not work because it is only for Windows desktops.
You can however get the > The Weather Channel Widget for your OS X Desktop and then easily access Weather.com from it.
For more see > 8 Wonderful Weather Apps For Mac, Most Of Them Free -
What has happened to my local weather - channel 49?!!! If I wanted to watch the weather channel I turn to 119. Now my local channel has national weather information. My dad lives in southeast PA and said that it took two weeks before his local weather was restored. Please put it back to local weather!
Where are you located?
If I remember correctly, the PA outage was due to a hardware failure.
May be the same in your area.
If a forum member gives an answer you like, give them the Kudos they deserve. If a member gives you the answer to your question, mark the answer as Accepted Solution so others can see the solution to the problem. -
What happened to the Weather Channel Widget. It is shown in the latest list of widgets.
Are you sure you followed the procedure I posted. It worked for me as the weather channel is now on the banner list on my STB.
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How to mirror between the production server and the multiple local servers.
I am currently looking for the best way to correspond between our production server and the multiple local servers. Because the production server is the only server that holds the latest updating applications, and our local servers are located for each developer’s local machines where the all modifications and creations are done. So when the developer locally makes changes for assets or files, he creates a patch archive first, then accesses to the production side Administration console screen and imports them from Application Management screen.
We tried to find a way to see the imported date before (so we know which one has been imported as new.), but there is no show in the Administration console Application Management screen. There is Creation date but it’s set as we initially imported the full archive files, but not patch files. Since between applications have some types of the dependencies (like fragments or image files), what is the best way to keep mirroring between the production server and local servers? Or we should simply not use patch file for updating server?
Thanks,Check out this utility : http://blogs.adobe.com/livecycle/2013/03/adobe-livecycle-configuration-migration-utility.h tml
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The back and forward arrows are missing, as are the house icon and the refresh icon. All that goes in that area. Can you tell me how to find them? Thanks
This article will help you restore them - [[Back and forward or other toolbar items are missing]]
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Hi all,
when i am trying to upload the excel template by using the function module " KCD_EXCEL_OLE_TO_INT_CONVERT" to an internal table some field values are missing.
i am using the function module " KCD_EXCEL_OLE_TO_INT_CONVERT" and i am uploading an excel template and downloading that excel data into an internal table but some field values are missing while uploading the excel template and i found that the field which contains the drop down list values those values are missing.
And also when i am uploading the excel template by using the function module" KCD_EXCEL_OLE_TO_INT_CONVERT" when i am coming out of this function module one pop up is coming. how can i avoid this popup, can any one please provide me the solution thanks in advance.
FYI...it is showing the below popup screen ..
Thanks,
Koushikhi Feiyun,
below is the code(highlighted in bold)and after coming out of the function module i am getting popup and also the drop down values are missing.
DATA: ls_control TYPE zsfi_fiupload_control,
ls_header TYPE zsfi_fiupload_header_v13,
ls_item TYPE zsfi_fiupload_item_v13,
ls_trailer TYPE zsfi_fiupload_control,
l_line_count LIKE zsfi_fiupload_control-rec_count,
l_current_curr TYPE kcde_cells-value,
l_current_postdate TYPE kcde_cells-value,
l_current_compcode TYPE kcde_cells-value,
l_currentrow TYPE kcde_cells-row,
l_filename LIKE rlgrap-filename.
DATA: BEGIN OF lt_intern OCCURS 0.
INCLUDE STRUCTURE kcde_cells.
DATA: END OF lt_intern.
DATA: BEGIN OF lt_items OCCURS 0,
a TYPE kcde_cells-value,
b TYPE kcde_cells-value,
c TYPE kcde_cells-value,
d TYPE kcde_cells-value,
e TYPE kcde_cells-value,
f TYPE kcde_cells-value,
g TYPE kcde_cells-value,
h TYPE kcde_cells-value,
i TYPE kcde_cells-value,
j TYPE kcde_cells-value,
k TYPE kcde_cells-value,
l TYPE kcde_cells-value,
m TYPE kcde_cells-value,
n TYPE kcde_cells-value,
o TYPE kcde_cells-value,
p TYPE kcde_cells-value,
q TYPE kcde_cells-value,
r TYPE kcde_cells-value,
s TYPE kcde_cells-value,
t TYPE kcde_cells-value,
u TYPE kcde_cells-value,
v TYPE kcde_cells-value,
w TYPE kcde_cells-value,
x TYPE kcde_cells-value,
y TYPE kcde_cells-value,
z TYPE kcde_cells-value,
aa TYPE kcde_cells-value,
ab TYPE kcde_cells-value,
ac TYPE kcde_cells-value,
ad TYPE kcde_cells-value,
ae TYPE kcde_cells-value,
af TYPE kcde_cells-value,
ag TYPE kcde_cells-value,
ah TYPE kcde_cells-value,
ai TYPE kcde_cells-value,
AJ TYPE KCDE_CELLS-VALUE,
AK TYPE KCDE_CELLS-VALUE,
END OF lt_items.
l_filename = p_flpath.
* the file must be an xls file, not xlsx or comma seperated
IF p_flpath NS '.xls' AND p_flpath NS '.XLS'.
MESSAGE i261(zfi).
g_error = 'X'.
EXIT.
ENDIF.
* upload excel file to a generic table
CALL FUNCTION 'KCD_EXCEL_OLE_TO_INT_CONVERT'
EXPORTING
filename = l_filename
i_begin_col = 1
i_begin_row = 1
i_end_col = 150
i_end_row = 65000
TABLES
intern = lt_intern
EXCEPTIONS
inconsistent_parameters = 1
upload_ole = 2
OTHERS = 3.
IF sy-subrc <> 0.
MESSAGE ID sy-msgid TYPE sy-msgty NUMBER sy-msgno
WITH sy-msgv1 sy-msgv2 sy-msgv3 sy-msgv4.
ENDIF.
* validate that the format is in the restatement format
* this is the only template to have the ledger group in cell G-2
** READ TABLE lt_intern WITH KEY row = '0002' col = '0007'.
** IF sy-subrc <> 0 OR lt_intern-value IS INITIAL.
** MESSAGE i260(zfi).
** g_error = 'X'.
** EXIT.
** ENDIF.
* create control record values
ls_control-rec_type = 'C'.
ls_control-global_id = 'GLU-03000'.
ls_control-local_id = ''.
ls_control-rec_count = ''.
CONCATENATE sy-datum sy-uzeit INTO ls_control-date.
ls_control-version = '12'.
ls_control-email = ''.
ls_control-eor = 'X'.
ls_trailer = ls_control.
* open output file and add the control record
OPEN DATASET p_unixfilename FOR OUTPUT IN TEXT MODE ENCODING DEFAULT.
TRANSFER ls_control TO p_unixfilename.
* create header record values, will be transfered to file in the item loop
ls_header-rec_type = 'H'.
READ TABLE lt_intern WITH KEY row = '0017' col = '0003'.
IF sy-subrc = 0.
ls_header-header_txt = lt_intern-value.
ENDIF.
READ TABLE lt_intern WITH key row = '0020' col = '0002'.
IF sy-subrc = 0.
ls_header-comp_code = lt_intern-value.
ENDIF.
************doc date
READ TABLE lt_intern WITH KEY row = '0011' col = '0003'.
IF sy-subrc = 0.
ls_header-pstng_date = lt_intern-value.
ENDIF.
************posting date
ls_header-doc_date = sy-datum.
READ TABLE lt_intern WITH KEY row = '0009' col = '0003'.
IF sy-subrc = 0.
ls_header-doc_type = lt_intern-value.
ENDIF.
READ TABLE lt_intern WITH KEY row = '0014' col = '0003'.
IF sy-subrc = 0.
ls_header-ref_doc_no = lt_intern-value.
ENDIF.
************currency moved to line items
READ TABLE lt_intern WITH KEY row = '0020' col = '0001'.
IF sy-subrc = 0.
ls_header-currency = lt_intern-value.
ENDIF.
ls_header-trans_date = ''.
READ TABLE lt_intern WITH KEY row = '0010' col = '0003'.
IF sy-subrc = 0.
ls_header-period = lt_intern-value.
ENDIF.
READ TABLE lt_intern WITH KEY row = '0006' col = '0003'.
IF sy-subrc = 0.
ls_header-reason_rev = lt_intern-value.
ENDIF.
READ TABLE lt_intern WITH KEY row = '0007' col = '0003'.
IF sy-subrc = 0.
ls_header-rev_date = lt_intern-value.
ENDIF.
* READ TABLE lt_intern WITH KEY row = '0002' col = '0007'.
* IF sy-subrc = 0.
ls_header-ledger_grp = ''.
* ENDIF.
* READ TABLE lt_intern WITH KEY row = '0013' col = '0013'.
* IF sy-subrc = 0.
ls_header-exch_rate = ''.
* ENDIF.
READ TABLE lt_intern WITH KEY row = '0008' col = '0003'.
IF sy-subrc = 0.
ls_header-calc_tax = lt_intern-value.
ENDIF.
ls_header-eor = 'X'.
* loop at the line items and append them to a table with multiple columns
LOOP AT lt_intern WHERE row GE 20.
IF l_currentrow <> lt_intern-row AND l_currentrow IS NOT INITIAL.
APPEND lt_items.
CLEAR lt_items.
ENDIF.
l_currentrow = lt_intern-row.
CASE lt_intern-col.
WHEN '0001'. lt_items-a = lt_intern-value.
WHEN '0002'. lt_items-b = lt_intern-value.
WHEN '0003'. lt_items-c = lt_intern-value.
WHEN '0004'. lt_items-d = lt_intern-value.
WHEN '0005'. lt_items-e = lt_intern-value.
WHEN '0006'. lt_items-f = lt_intern-value.
WHEN '0007'. lt_items-g = lt_intern-value.
WHEN '0008'. lt_items-h = lt_intern-value.
WHEN '0009'. lt_items-i = lt_intern-value.
WHEN '0010'. lt_items-j = lt_intern-value.
WHEN '0011'. lt_items-k = lt_intern-value.
WHEN '0012'. lt_items-l = lt_intern-value.
WHEN '0013'. lt_items-m = lt_intern-value.
WHEN '0014'. lt_items-n = lt_intern-value.
WHEN '0015'. lt_items-o = lt_intern-value.
WHEN '0016'. lt_items-p = lt_intern-value.
WHEN '0017'. lt_items-q = lt_intern-value.
WHEN '0018'. lt_items-r = lt_intern-value.
WHEN '0019'. lt_items-s = lt_intern-value.
WHEN '0020'. lt_items-t = lt_intern-value.
WHEN '0021'. lt_items-u = lt_intern-value.
WHEN '0022'. lt_items-v = lt_intern-value.
WHEN '0023'. lt_items-w = lt_intern-value.
WHEN '0024'. lt_items-x = lt_intern-value.
WHEN '0025'. lt_items-y = lt_intern-value.
WHEN '0026'. lt_items-z = lt_intern-value.
WHEN '0027'. lt_items-aa = lt_intern-value.
WHEN '0028'. lt_items-ab = lt_intern-value.
WHEN '0029'. lt_items-ac = lt_intern-value.
WHEN '0030'. lt_items-ad = lt_intern-value.
WHEN '0031'. lt_items-ae = lt_intern-value.
WHEN '0032'. lt_items-af = lt_intern-value.
WHEN '0033'. lt_items-ag = lt_intern-value.
WHEN '0034'. lt_items-ah = lt_intern-value.
WHEN '0035'. lt_items-ai = lt_intern-value.
when '0036'. lt_items-aj = lt_intern-value.
when '0037'. lt_items-ak = lt_intern-value.
ENDCASE.
ENDLOOP.
APPEND lt_items.
* sort rows by the post date, comp code, curr.
* SORT lt_items BY ah a ai.
* loop at the items, creating a header record if the comp code, curr. or post date changes
LOOP AT lt_items.
ls_item-rec_type = 'I'.
ls_item-post_key = lt_items-c. "lt_items-b.
IF lt_items-c GE '20' AND lt_items-c LE '39'.
ls_item-vendor_no = lt_items-d.
ELSEIF lt_items-c GE '0' AND lt_items-c LE '19'.
ls_item-customer = lt_items-d.
ELSEIF lt_items-c EQ '70' AND lt_items-c EQ '75'.
ls_item-asset = lt_items-d.
ELSE.
ls_item-gl_account = lt_items-d.
ENDIF.
ls_item-asset_type = lt_items-m. "lt_items-l.
ls_item-trans_type = lt_items-n. "lt_items-m.
ls_item-print_flag = ''.
ls_item-item_text = lt_items-j. "lt_items-i.
ls_item-comp_code = lt_items-b. "lt_items-a.
ls_item-bus_area = ''.
ls_item-alloc_nmbr = lt_items-l. "lt_items-k.
ls_item-tax_code = lt_items-q. "lt_items-p.
ls_item-taxjurcode = lt_items-r. "lt_items-q.
ls_item-profit_ctr = lt_items-g. "lt_items-f.
ls_item-costcenter = lt_items-h. "lt_items-g.
ls_item-orderid = lt_items-ac. "lt_items-ab.
ls_item-wbs = lt_items-i. "lt_items-h.
ls_item-trade_id = lt_items-o. "lt_items-n.
ls_item-part_prctr = lt_items-p. "lt_items-o.
ls_item-material = lt_items-t. "lt_items-s.
ls_item-salesorg = lt_items-aa. "lt_items-z.
ls_item-distr_chan = lt_items-ab. "lt_items-aa.
ls_item-pmnttrms = ''.
ls_item-pmtmthd = ''.
ls_item-pmtmthsupl = ''.
ls_item-alt_payee = ''.
REPLACE ALL OCCURRENCES OF '(' IN lt_items-e WITH ''.
REPLACE ALL OCCURRENCES OF ')' IN lt_items-e WITH ''.
ls_item-amt_doccur = lt_items-e. "lt_items-d
REPLACE ALL OCCURRENCES OF '(' IN lt_items-f WITH ''.
REPLACE ALL OCCURRENCES OF ')' IN lt_items-f WITH ''.
ls_item-loc_amt = lt_items-f. "lt_items-e
ls_item-loc = lt_items-k. "lt_items-j.
ls_item-sas_revtype = lt_items-s. "lt_items-r.
ls_item-rev_type = lt_items-u. "lt_items-t.
ls_item-rev_chnl = lt_items-v. "lt_items-u.
ls_item-bill_to = lt_items-x. "lt_items-w.
ls_item-payer = lt_items-z. "lt_items-y.
ls_item-ship_to = lt_items-y.
ls_item-tax_amnt = lt_items-x.
ls_item-func_area = ''.
ls_item-expend_date = lt_items-ae. "lt_items-ad.
ls_item-wtax_code = lt_items-af. "lt_items-ae.
ls_item-wtax_base = lt_items-ag. "lt_items-af.
ls_item-wtax_amount = lt_items-ah. "lt_items-ag.
ls_item-payment_block = ''.
ls_item-grp_amt = ''.
ls_item-anc_amt = ''.
ls_item-permit_payee = ''.
ls_item-value_date = ''.
ls_item-pernr = ''.
ls_item-legacy1 = ''.
ls_item-legacy2 = ''.
ls_item-legacy3 = ''.
ls_item-legacy4 = ''.
ls_item-legacy5 = ''.
ls_item-legacy6 = ''.
ls_item-legacy7 = ''.
ls_item-legacy8 = ''.
ls_item-legacy9 = ''.
ls_item-legacy10 = ''.
ls_item-eor = 'X'.
TRANSLATE lt_items-ai TO UPPER CASE.
TRANSLATE lt_items-b TO UPPER CASE.
TRANSLATE lt_items-a TO UPPER CASE.
TRANSLATE lt_items-aj TO UPPER CASE.
IF l_current_curr <> lt_items-a "lt_items-ai
OR l_current_postdate <> ls_header-pstng_date "lt_items-aj
OR l_current_compcode <> lt_items-b.
l_current_curr = lt_items-a.
l_current_postdate = ls_header-pstng_date. "lt_items-aj.
l_current_compcode = lt_items-b.
ls_header-comp_code = l_current_compcode.
ls_header-currency = l_current_curr.
ls_header-pstng_date = l_current_postdate.
ls_header-doc_date = l_current_postdate.
TRANSFER ls_header TO p_unixfilename.
l_line_count = l_line_count + 1.
ENDIF.
TRANSFER ls_item TO p_unixfilename.
l_line_count = l_line_count + 1.
ENDLOOP.
ls_trailer-rec_type = 'T'.
ls_trailer-rec_count = l_line_count.
TRANSFER ls_trailer TO p_unixfilename.
CLOSE DATASET p_unixfilename.
* change the format to fixed format for the remainder of the load program
p_fixed = 'X'.
p_rstmnt = ''.
Thanks,
Koushik -
Nexus 7000 aaa and local authentication
Hello,
I tried to configure aaa (with radius) and local user authentication on a Nexus 7004 (Version 6.2(6a)), but did not get it to work.
Radius authentication is working fine(!), but I can't Login with a local created user (role vdc-Operator).
Any help is highly appreciated.
Kind regards,
AndreasHi,
yes, I know that the fallback will jump in when no radius-Server responds, but I need the behaviour like the 6500'er (or 4500) act.(btw. local login works if radius is disabled, or local is the default, but if local is the default, radius Login no longer works) - Only one of the method at a time works.
On the 6500 I configured aaa with Windows NPS-Server and a local user (e.g. for the Cisco-LMS). This works fine. Even if the radius server is available, i can log into the device (via ssh) with the locally defined user-account.
What I miss is a kind of the command:
"aaa authentication login default local group radius"
"aaa authentication enable default enable"
(which works on the WS-C6509 or WS-C4500X).
Is there any chance to get this work on the Nexus7000?
Kind regards,
Andreas -
Performance with globle variable and local var.
hi anyone
i just have one performance question about the globle var and local. is having a globle var that is initialized with 'new' at one place better than having local var that is initialzed with 'new' in several places? for example, i have a access var that is initialzed with DB connection. should i have it as a globle var? or put it in the functions where it is needed, and initialize it with DB connection? in both cases, i need to use new operator.
thanks in advance.First , don't use the term "global variable". It is misleading and not an official part of the Java nomenclature. I think the term used should be ( and correct me if I'm wrong ) instance variable. In C and C++ globale variables really are global - they can be accessed by any and all classes which include the header file.
OK, having got that out of my system, back to the question. The value is gotten from a database, right? Whether you make it an instance variable or not depends on you design and whether the value in the database is likely to change during the lifetime of the instance.
For example, if this class is a superclass of another, and the cild needs to know the value of the variable, it is often convenient to make it an instance variable so the subclass can access it directly.
But if the value is likely to change, then you may want to have a getter method which returns the current value in the database.
The latter will clearly have more overhead associated with it since you would need to get the value each time, but it is probably safer than having an instance variable. -
Hello!!
We have multiple controllers Cisco WLC 5508 (all running software version 7.6.120.0) distributed in various buildings and a controller in other control building (also Cisco WLC 7.6.120.0 5508) operating as Master and backup of the buildings's controllers .
Each building is radiated such an SSID that is used as a validation of the user connected to that SSID web portal each controller (in the WLAN, Security -> Layer 3 -> Web Policy), using the local database to validate the user.
The problem is that the local database of users is not being replicated between controllers buildings and the Master controller, so if you drop the controller of a building, the Master controller begins to provide service to the buildings access points, but the equivalent radiated SSID cannot able to validate users.
I need know if it's possible through Cisco Prime Infrastruture 2.1, first replicate in the Master controller on the basis of existing controllers buildings each local data and, second, that the creation of new users are automatically perform both the controllers like to the Master .
Thanks.As noted earlier, it is not advisable to use the root user to log in for normal use. New users and groups can be created by navigating to Administration > Users, Roles & AAA as shown in the preceding figures. It would help to chalk out what are the various levels at which you want to distribute the users, and to create those roles first. It doesn’t really matter whether you create users or groups first. New users can be easily added by going to Administration > Users, Roles & AAA > Users > Add Users > Select “Add Users” from the drop-down on the right side. Once you get into the add user workflow, fill in the username, password, and local authorization for this user as shown in the figure below.
A virtual domain can also be assigned to the users when you define their roles by selecting the virtual domain on the left side and moving it to the right side as shown in the image below (left). -
After internet disconnection, due to bad weather, safari can't find the server anymore and i have to restore the ipad to the factory settings and loose the apps. This has happened at least 5 times in 9 months. Solutions?
What Apple wants from his customers?
1) I've paid my iPhone 4S 900 euros;
2) I'm used to buy music and apps from iTunes store;
3) my iCloud space costs 32 euros per year
and, like me, millions of customers around the world!
and Apple does not allow me (and many others) to use the internet traffic for which I (we) pay my (our) provider, that's not among those that directly sell iPhone??? Is this your idea of a really unblocked device as you falsely declsre from the pages of Apple online store ?!? Shame on you!
If I had know that the 7.1 led to this I'd never updated my iPhone. No one (Apple and the sites that live because of her) told about this issue in their enthusiastic comments on the new, updated version, of iOS. Shame on you!
This would claim a class action against such a behaviour!
I'm disgusted
thank you
Giacomo - ITALY -
i will sell my touch and get the new one. how can i transfer my apps and ID to the new one and erase my info from the old one?
thanks!Yes. If you do it through the settings on the iPod and have an older iPod, make sure the iPod is charging either via a computer or wall charger. It can takes hours to erase an older iPod.
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