What is the best practice for storing iPads over the summer?

Over the summer break do iPads need a maintenance charge or can they be charged to full, stored over the summer, and then a week or so before school charged again for deployment? Thanks.

Generally, it's not a good idea to charge Li-P batteries fully prior to long-term storage. A more correct method is to have them charged between 40-60% before long-term storage. Be sure to shut off the devices fully by holding the power button down until the Power Off screen appears.

Similar Messages

  • What is the procedure for storing iPads over the summer

    What is the procedure for storing iPads over the summer

    Lock them up in a cart. Power off completely. If you don't have enough iPad carts any secure area will do - see environmental requirements below.  You will just have to recharge each one next fall as they will not retain enough power to turn back on.
    Operating temperature: 32° to 95° F (0° to 35° C)
    Nonoperating temperature: -4° to 113° F (-20° to 45° C)
    Relative humidity: 5% to 95% noncondensing
    Maximum operating altitude: 10,000 feet (3000 m)

  • What are some best practices for Effective Sequences on the PS job record?

    Hello all,
    I am currently working on an implementation of PeopleSoft 9.0, and our team has come up against a debate about how to handle effective sequences on the job record. We want to fully grasp and figure out what is the best way to leverage this feature from a functional point of view. I consider it to be a process-related topic, and that we should establish rules for the sequence in which multiple actions are inserted into the job record with a same effective date. I think we then have to train our HR and Payroll staff on how to correctly sequence these transactions.
    My questions therefore are as follows:
    1. Do you agree with how I see it? If not, why, and what is a better way to look at it?
    2. Is there any way PeopleSoft can be leveraged to automate the sequencing of actions if we establish a rule base?
    3. Are there best practice examples or default behavior in PeopleSoft for how we ought to set up our rules about effective sequencing?
    All input is appreciated. Thanks!

    As you probably know by now, many PeopleSoft configuration/data (not transaction) tables are effective dated. This allows you to associate a dated transaction on one day with a specific configuration description, etc for that date and a different configuration description, etc on a different transaction with a different date. Effective dates are part of the key structure of effective dated configuration data. Because effective date is usually the last part of the key structure, it is not possible to maintain history for effective dated values when data for those configuration values changes multiple times in the same day. This is where effective sequences enter the scene. Effective sequences allow you to maintain history regarding changes in configuration data when there are multiple changes in a single day. You don't really choose how to handle effective sequencing. If you have multiple changes to a single setup/configuration record on a single day and that record has an effective sequence, then your only decision is whether or not to maintain that history by adding a new effective sequenced row or updating the existing row. Logic within the PeopleSoft delivered application will either use the last effective sequence for a given day, or the sequence that is stored on the transaction. The value used by the transaction depends on whether the transaction also stores the effective sequence. You don't have to make any implementation design decisions to make this happen. You also don't determine what values or how to sequence transactions. Sequencing is automatic. Each new row for a given effective date gets the next available sequence number. If there is only one row for an effective date, then that transaction will have a sequence number of 0 (zero).

  • [iPhone] what is the best practice for storing data? SQLite or Keychain ?

    Can't find clear guideline about when and what should I store in Keychain and when to use files, SQLite.
    I need to save large array of data that is configuration of application.
    This configuration should not disappear in event of application upgrade or reinstall. It should be stored in Keychain, right?

    Only use the keychain if you need the added security. Even then it is not meant for large data storage. SQLite allows fast and efficient retrieval of subsets of the data and allows selection with the SQL language. Plists are handy but the entire data must be read in to access any portion so if the amount of data is small this is ideal.

  • What are the best practices for generating an EPS logo from InDesign?

    Our costomer is running into technical issues with the logo we sent them, which was exported from Indesign. Images were not embedded and fonts missing. I was able to embed the images and fonts. However, we DO NOT want them to be able to make any text changes. So after exporting an eps, I opened the file in Adobe Illustrator and made all the text outlines. I hope this works. But I just wanted to post the question on what are the best practices for doing this?
    The client needs the logo with transparent background, images emebdded and type in outlines. Also, they need some space around the text. When I exported the eps, the file is right up on the edge of the type.

    It sounds like you are pretty far from "best practice" with regard to logo design and delivery.
    These days, the very use of the EPS format should be considered bad practice, and some other terms in your post, (i.e., 'images,' 'missing fonts'), make it sound like there is not a seasoned logo designer involved.
    That said, you probably already got the advice you need to get out of the immediate jam. However, without proper logo design, you and the client will soon be facing other problems. You should be delivering a 100% vector graphic in single-color (black) and corporate-color(s) versions, with no live font data, that has been test-scaled to very small and very large sizes; ensuring it will work at postage-stamp size and on the side of a truck or building, with specific spot color(s) and proportions that will enable it to be offset printed, embroidered and screen-printed on apparel, and cut into signage materials and decals.

  • Best Practice for storing PDF docs

    My client has a number of PDF documents for handouts that go
    with his consulting business. He wants logged in users to be able
    to download the PDF docs for handouts at training. The question is,
    what is the 'Best Practice' for storing/accessing these PDF files?
    I'm using CF/MySQL to put everything else together and my
    thought was to store the PDF files in the db. Except! there seems
    to be a great deal of talk about BLOBs and storing files this way
    being inefficient.
    How do I make it so my client can use the admin tool to
    upload the information about the files and the files themselves,
    not store them in the db but still be able to find them when the
    user want's to download them?

    Storing documents outside the web root and using
    <cfcontent> to push their contents to the users is the most
    secure method.
    Putting the documents in a subdirectory of the web root and
    securing that directory with an Application.cfm will only protect
    .cfm and .cfc files (as that's the only time that CF is involved in
    the request). That is, unless you configure CF to handle every
    request.
    The virtual directory is no safer than putting the documents
    in a subdirectory. The links to your documents are still going to
    look like:
    http://www.mysite.com/virtualdirectory/myfile.pdf
    Users won't need to log in to access these documents.
    <cfcontent> or configuring CF to handle every request
    is the only way to ensure users have to log in before accessing
    non-CF files. Unless you want to use web-server
    authentication.

  • What is the best practice for changing view states?

    I have a component with two Pie Charts that display
    percentages at two specific dates (think start and end values).
    But, I have three views: Start Value only, End Value only, or show
    Both. I am using a ToggleButtonBar to control the display. What is
    the best practice for changing this kind of view state? Right now
    (since this code was inherited), the view states are changed in an
    ActionScript function which sets the visible and includeInLayout
    properties on each Pie Chart based on the selectedIndex of the
    ToggleButtonBar, but, this just doesn't seem like the best way to
    do this - not very dynamic. I'd like to be able to change the state
    based on the name of the selectedItem, in case the order of the
    ToggleButtons changes, and since I am storing the name of the
    selectedItem for future reference.
    Would using States be better? If so, what would be the best
    way to implement this?
    Thanks.

    I would stick with non-states, as I have always heard that
    states are more for smaller components that need to change under
    certain conditions, like a login screen that changes if the user
    needs to register.
    That said, if the UI of what you are dealing with is not
    overly complex, and if it will not become overly complex, maybe
    states is the way to go.
    Looking at your code, I don't think you'll save much in terms
    of lines of code.

  • What is the best practice for inserting (unique) rows into a table containing key columns constraint where source may contain duplicate (already existing) rows?

    My final data table contains a two key columns unique key constraint.  I insert data into this table from a daily capture table (which also contains the two columns that make up the key in the final data table but are not constrained
    (not unique) in the daily capture table).  I don't want to insert rows from daily capture which already exists in final data table (based on the two key columns).  Currently, what I do is to select * into a #temp table from the join
    of daily capture and final data tables on these two key columns.  Then I delete the rows in the daily capture table which match the #temp table.  Then I insert the remaining rows from daily capture into the final data table. 
    Would it be possible to simplify this process by using an Instead Of trigger in the final table and just insert directly from the daily capture table?  How would this look?
    What is the best practice for inserting unique (new) rows and ignoring duplicate rows (rows that already exist in both the daily capture and final data tables) in my particular operation?
    Rich P

    Please follow basic Netiquette and post the DDL we need to answer this. Follow industry and ANSI/ISO standards in your data. You should follow ISO-11179 rules for naming data elements. You should follow ISO-8601 rules for displaying temporal data. We need
    to know the data types, keys and constraints on the table. Avoid dialect in favor of ANSI/ISO Standard SQL. And you need to read and download the PDF for: 
    https://www.simple-talk.com/books/sql-books/119-sql-code-smells/
    >> My final data table contains a two key columns unique key constraint. [unh? one two-column key or two one column keys? Sure wish you posted DDL] I insert data into this table from a daily capture table (which also contains the two columns that make
    up the key in the final data table but are not constrained (not unique) in the daily capture table). <<
    Then the "capture table" is not a table at all! Remember the fist day of your RDBMS class? A table has to have a key.  You need to fix this error. What ETL tool do you use? 
    >> I don't want to insert rows from daily capture which already exists in final data table (based on the two key columns). <<
    MERGE statement; Google it. And do not use temp tables. 
    --CELKO-- Books in Celko Series for Morgan-Kaufmann Publishing: Analytics and OLAP in SQL / Data and Databases: Concepts in Practice Data / Measurements and Standards in SQL SQL for Smarties / SQL Programming Style / SQL Puzzles and Answers / Thinking
    in Sets / Trees and Hierarchies in SQL

  • What is the best practice for APO - Demand planning implementation

    Hi,
    M client wants to implement demand planning.
    Cient has come up with one scenario like a New Customer is created in ECC, and if I use BI and then APO flow for Demand planning, user will have to wait for another day. (AS BI is always having one day delay).
    For this scenarios user is insisting on ECC and APO-DP interface.
    Will anybody suggest what should be the best practice for Demand planning.
    ECC -> Standalone BI -> Planning area (Planning is done in APO) -> Stand alone BI
    Or ECC -> APO-DP (Planning is done in APO) -> Standalone BI system
    I hope I am able to explain my scenario.
    Regards,
    Saurabh

    Any suggestions !!

  • What is the Best practice for ceramic industry?

    Dear All;
    i would like to ask two questions:
    1- which manufacturing category (process or discrete) fit ceramic industry?
    2- what is the Best practice for ceramic industry?
    please note from the below link
    [https://websmp103.sap-ag.de/~form/sapnet?_FRAME=CONTAINER&_OBJECT=011000358700000409682008E ]
    i recognized that ceramic industry is under category called building material which in turn under mill product and mining
    but there is no best practices for building material or even mill product and only fabricated meta and mining best practices is available.
    thanks in advance

    Hi,
    I understand that you refer to production of ceramic tiles. The solution for PP was process, with these setps: raw materials preparation (glazes and frits), dry pressing (I don't know extrusion process), glazing, firing (single fire), sorting and packing. In Spain, usually are All-in-one solutions (R/3 o ECC solutions). Perhaps the production of decors have fast firing and additional processes.
    In my opinion, the curiosity is in batch determination in SD, that you must determine in sales order because builders want that the order will be homogeneus in tone and caliber, and he/she can split the order in diferents deliveries. You must think that batch is tone (diferents colours in firing and so on) and in caliber.
    I hope this helps you
    Regards,
    Eduardo

  • What is the best practice for creating primary key on fact table?

    what is the best practice for primary key on fact table?
    1. Using composite key
    2. Create a surrogate key
    3. No primary key
    In document, i can only find "From a modeling standpoint, the primary key of the fact table is usually a composite key that is made up of all of its foreign keys."
    http://download.oracle.com/docs/cd/E11882_01/server.112/e16579/logical.htm#i1006423
    I also found a relevant thread states that primary key on fact table is necessary.
    Primary Key on Fact Table.
    But, if no business requires the uniqueness of the records and there is no materilized view, do we still need primary key? is there any other bad affect if there is no primary key on fact table? and any benifits from not creating primary key?

    Well, natural combination of dimensions connected to the fact would be a natural primary key and it would be composite.
    Having an artificial PK might simplify things a bit.
    Having no PK leads to a major mess. Fact should represent a business transaction, or some general event. If you're loading data you want to be able to identify the records that are processed. Also without PK if you forget to make an unique key the access to this fact table will be slow. Plus, having no PK will mean that if you want to used different tools, like Data Modeller in Jbuilder or OWB insert / update functionality it won't function, since there's no PK. Defining a PK for every table is a good practice. Not defining PK is asking for a load of problems, from performance to functionality and data quality.
    Edited by: Cortanamo on 16.12.2010 07:12

  • What is the best practice for using the Calendar control with the Dispatcher?

    It seems as if the Dispatcher is restricting access to the Query Builder (/bin/querybuilder.json) as a best practice regarding security.  However, the Calendar relies on this endpoint to build the events for the calendar.  On Author / Publish this works fine but once we place the Dispatcher in front, the Calendar no longer works.  We've noticed the same behavior on the Geometrixx site.
    What is the best practice for using the Calendar control with Dispatcher?
    Thanks in advance.
    Scott

    Not sure what exactly you are asking but Muse handles the different orientations nicely without having to do anything.
    Example: http://www.cariboowoodshop.com/wood-shop.html

  • What is the best practice for AppleScript deployment on several machines?

    Hi,
    I am developing some AppleScripts for my colleagues at work and I don't want to visit each of them to deploy my AppleScript on their Macs.
    So, what is the best practice for AppleScript deployment on several machines?
    Is there an installer created by the Automator available?
    I would like to have something like an App to run which puts all my AppleScript relevant files into the right place onto a destination Mac.
    Thanks in advance.
    Regards,

    There's really no 'right place' to put applescripts.  folder action scripts nees to go in ~/Library/Scripts/Folder Action Scripts (or /Library/Scripts/Folder Action Scripts), anything you want to appear in the script menu needs to go in ~/Library/Scripts (or /Library/Scripts), script applications should probably go in the Applications folder, but otherwise scripts can be placed anywhere.  conventional places to put them are in ~/Library/Scripts or in a subfolder of ~/Library/Application Support if they are run by an application.  The more important issue is to make sure you generalize the scripts: use the path to command to get local paths rather than hard-coding them in, make sure you test to make sure applications or unic executables you call are present ont he machine, use script bundles rather tna scripts if you scripts have private resources.
    You can write a quick installer script if you want to make sure scripts go where you want them.  Skeleton verion looks like this:
    set scriptsFolder to path to scripts folder from user domain
    set scriptsToExport to path to resource "xxx.scpt" in directory "yyy"
    tell application "Finder"
      duplicate scriptsToExport to scriptsFolder with replacing
    end tell
    say "Scripts are installed"
    save this as a script application, then open the application pacckage and create a folder called "yyy" in the resources folder and copy your script "xxx.scpt" into it.  other people can run the app to install the script.

  • What are the best practice for CQ5.5 configuration?

    Hello,
    What are the best practice for CQ5.5 configuration which handle for High availability.
    Last time I had a issues on server when I was uploaded 2 GB of DAM and then after that the server is not able to start and always getting error regarding Tar Persistance.
    So kindly request you to please let me know what are the best apache felix configuration.
    Thanks in advance...
    Regards,
    Satish

    Hi,
    A DAM upload, regardless of the size of the assets, never should result in TarPM problems, unless you run into an OOM, which left the repository in an unclean state. So if you regularly do DAM uploads of that size, you should check the Garbage Collection logs and probably adjust the heapsize if necessary. You might want to limit the number of concurrent running workflows to keep the memory consumption a bit lower.
    To your question: HA in a traditional sense you cannot achieve with a single box, even with optimized settings. In an author usecase you would need clustering.
    Jörg

  • What is the best practice for creating master pages and styles with translated text?

    I format translated text all the time for my company. I want to create a set of master pages and styles for each language and then import those styles into future translated documents. That way, the formatting can be done quickly and easily.
    What are the best practices for doing this? As a company this has been tried in the past, but without success. I'd like to know what other people are doing in this regard.
    Thank you!

    I create a master template that is usually void of content, with the exception I define as many of the paragraph styles I believe can/will be used with examples of their use in the body of the document--a style guide for that client. When beginning a new document for that client, I import those styles from the paragraph styles panel.
    Exception to this is when in a rush I begin documentation first, then begin new work. Then in the new work, I still pull in those defined paragraph and or object styles via their panels into the new work.
    There are times I need new styles. If they have broader applicability than a one-off instance or publication, then I open the style template for that client and import that style(s) from the publication containing the new style(s) and create example paragraphs and usage instructions.
    Take care, Mike

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