Search Results

Search found 27890 results on 1116 pages for 'oracle retail documentation team'.

Page 1026/1116 | < Previous Page | 1022 1023 1024 1025 1026 1027 1028 1029 1030 1031 1032 1033  | Next Page >

  • How are Scala closures transformed to Java objects?

    - by iguana
    I'm currently looking at closure implementations in different languages. When it comes to Scala, however, I'm unable to find any documentation on how a closure is mapped to Java objects. It is well documented that Scala functions are mapped to FunctionN objects. I assume that the reference to the free variable of the closure must be stored somewhere in that function object (as it is done in C++0x, e.g.). I also tried compiling the following with scalac and then decompiling the class files with JD: object ClosureExample extends Application { def addN(n: Int) = (a: Int) => a + n var add5 = addN(5) println(add5(20)) } In the decompiled sources, I see an anonymous subtype of Function1, which ought to be my closure. But the apply() method is empty, and the anonymous class has no fields (which could potentially store the closure variables). I suppose the decompiler didn't manage to get the interesting part out of the class files... Now to the questions: Do you know how the transformation is done exactly? Do you know where it is documented? Do you have another idea how I could solve the mystery?

    Read the article

  • How can I start using twill?

    - by brilliant
    I am sorry I have already asked this question on "Superuser", but nobody answers there, so I deleted it from "Superuser" and decided to post it here. Hope it's not a big crime, especially given the fact that I was firstly advised to use twill here on "StackOverflow" (not on "SuperUser") How do I start using twill? I have just downloaded it, unpacked it and clicked on the setup .py file in the folder. The black window (terminal) appeared for a moment and vanished. (I do have Python 2.5 installed on my computer - along with SDK from Google App Engine) In the twill documentation section it says: Downloading twill The latest release of twill is twill 0.9, released Thursday, December 27th, 2007; it is available for download at http://darcs.idyll.org/~t/projects/twill-0.9.tar.gz. You can also use Python's easy_install to install or upgrade twill. twill works with Python 2.3 or later. To start using twill, install it and then type twill-sh. At the prompt type: go http://www.slashdot.org/ show showforms showhistory I am not clear from this passage what I am supposed to type (only "twill-sh" or "twill-sh" and all the words under that line) and where (I tried typing it in the command prompt window of my computer - to no avail) Can, anyone, please, help me out here? Thank You in advance.

    Read the article

  • Make Ant's delete task fail when a directory exists and is not deleted but not when it doesn't exist

    - by Tim Visher
    I have tho following clean function in my build script and I'd like to know how I can improve it. <target name="clean" description="Clean output directories."> <!-- Must not fail on error because it fails if directories don't exist. Is there really no better way to do this? --> <delete includeEmptyDirs="true" failonerror="false"> <fileset dir="${main.build.directory}" /> <fileset dir="dist" /> <fileset dir="${documentation.build.directory}" /> <fileset dir="/build-testing" /> </delete> </target> Specifically regarding my comment, I'm unhappy with the fact that I can't run this on a fresh box because the directory structure hasn't been set up yet by the other targets. We run the build in such a way that it entirely recreates the structures necessary for testing and deployment every time to avoid stale class files and such. With the way that delete currently is set up, a failure to delete a file does not fail the build and I'd like it to. I don't want it to fail the build if the file doesn't exist though. If it doesn't exist then what I'm asking it to do has already happened. Thoughts?

    Read the article

  • m2crypto aes-256-cbc not working against encoded openssl files.

    - by Gary
    $ echo 'this is text' > text.1 $ openssl enc -aes-256-cbc -a -k "thisisapassword" -in text.1 -out text.enc $ openssl enc -d -aes-256-cbc -a -k "thisisapassword" -in text.enc -out text.2 $ cat text.2 this is text I can do this with openssl. Now, how do I do the same in m2crypto. Documentation is lacking this. I looked at the snv test cases, still nothing there. I found one sample, http://passingcuriosity.com/2009/aes-encryption-in-python-with-m2crypto/ (changed to aes_256_cbc), and it will encrypted/descrypt it's own strings, but it cannot decrypt anything made with openssl, and anything it encrypts isn't decryptable from openssl. I need to be able enc/dec with aes-256-cbc as have many files already encrypted with this and we have many other systems in place that also handle the aes-256-cbc output just fine. We use password phrases only, with no IV. So setting the IV to \0 * 16 makes sense, but I'm not sure if this is also part of the problem. Anyone have any working samples of doing AES 256 that is compatible with m2crypto? I will also be trying some additional libraries and seeing if they work any better.

    Read the article

  • How to catch a carp-warning?

    - by sid_com
    I tried to catch a carp-warning ( carp "$start is $end" if (warnings::enabled()); ) with eval but it didn't work, so I looked in the eval-documentation and I discovered, that eval catches only syntax-errors, run-time-errors or executed die-statements. How could I catch a carp-warning? #!/usr/bin/env perl use warnings; use strict; use 5.012; use List::Util qw(max min); use Number::Range; my @array; my $max = 20; print "Input (max $max): "; my $in = <>; $in =~ s/\s+//g; $in =~ s/(?<=\d)-/../g; eval { my $range = new Number::Range( $in ); @array = sort { $a <=> $b } $range->range; }; if ( $@ =~ /\d+ is > \d+/ ) { die $@ }; # catch the carp-warning doesn't work die "Input greater than $max not allowed $!" if defined $max and max( @array ) > $max; die "Input '0' or less not allowed $!" if min( @array ) < 1; say "@array";

    Read the article

  • Base class deleted before subclass during python __del__ processing

    - by Oddthinking
    Context I am aware that if I ask a question about Python destructors, the standard argument will be to use contexts instead. Let me start by explaining why I am not doing that. I am writing a subclass to logging.Handler. When an instance is closed, it posts a sentinel value to a Queue.Queue. If it doesn't, a second thread will be left running forever, waiting for Queue.Queue.get() to complete. I am writing this with other developers in mind, so I don't want a failure to call close() on a handler object to cause the program to hang. Therefore, I am adding a check in __del__() to ensure the object was closed properly. I understand circular references may cause it to fail in some circumstances. There's not a lot I can do about that. Problem Here is some simple example code: explicit_delete = True class Base: def __del__(self): print "Base class cleaning up." class Sub(Base): def __del__(self): print "Sub-class cleaning up." Base.__del__(self) x = Sub() if explicit_delete: del x print "End of thread" When I run this I get, as expected: Sub-class cleaning up. Base class cleaning up. End of thread If I set explicit_delete to False in the first line, I get: End of thread Sub-class cleaning up. Exception AttributeError: "'NoneType' object has no attribute '__del__'" in <bound method Sub.__del__ of <__main__.Sub instance at 0x00F0B698>> ignored It seems the definition of Base is removed before the x._del_() is called. The Python Documentation on _del_() warns that the subclass needs to call the base-class to get a clean deletion, but here that appears to be impossible. Can you see where I made a bad step?

    Read the article

  • Editing a User's Likes on Facebook

    - by Ed Marty
    I've been looking at the Facebook API to find some way to edit a user's Likes (that is, add or remove items from https://graph.facebook.com/me/likes/). The API doesn't say anything about it specifically, but does say this: You can publish to the Facebook graph by issuing HTTP POST requests to the appropriate connection URLs above. Where above, one of the connection URLs is the aforementioned https://graph.facebook.com/me/likes link. However, there's no documentation for the PROFILE_ID/likes post, and whenever I try to post it returns the error "invalid post_id". I assume this is because to like something, you post a request to POST_ID/likes. It's a bit inconsistent. What I'm trying to do is get the user's profile to add a Page to their likes (by posting using the page's id as an "id" parameter in the post body). However, it seems like there's just no way to edit user's likes. At the end of the day, I just want to allow a user to click a button in my application (mobile device application, not a web app) and have them add our Facebook page into their list of pages, and I've found no way of doing that short of presenting our page to them and making them click on the "Like" button manually. Many other things are supported without showing the Facebook website, like posting to their wall or making albums, but I can't find anything to do this. Any ideas?

    Read the article

  • Does LaTeX have an array data structure?

    - by drasto
    Are there arrays in LaTeX? I don't mean the way to typeset arrays. I mean arrays as the data structure in LaTeX/TeX as a "programming language". I need to store a number of vbox-es or hbox-es in an array. It may be something like "an array of macros". More details: I have an environment that should typeset songs. I need to store some songs' paragraphs given as arguments to my macro \songparagraph (so I will not typeset them, just store those paragraphs). As I don't know how many paragraphs can be in one particular song I need an array for this. When the environment is closed, all the paragraphs will be typeset - but they will be first measured and the best placement for each paragraph will be computed (for example, some paragraphs can be put one aside the other in two columns to make the song look more compact and save some space). Any ideas would be welcome. Please, if you know about arrays in LaTeX, post a link to some basic documentation, tutorial or just state basic commands.

    Read the article

  • Does HttpListener work well on Mono?

    - by billpg
    Hi everyone. I'm looking to write a small web service to run on a small Linux box. I prefer to code in C#, so I'm looking to use Mono. I don't want the overhead of running a full web server or Mono's version of ASP.NET. I'm thinking of having a single process with a thread dealing with each client connection. Shared memory between threads instead of a database. I've read a little on Microsoft's version of HttpListener and how it works with the Http.sys driver. Alas, Mono's documentation on this class is just the automated class interface with no discussion of how it works under the hood. (Linux doesn't have Http.sys, so I imagine it's implemented substantially differently.) Could anyone point me towards some resources discussing this module please? Many thanks, Bill, billpg.com (A little background to my question for the interested.) Some time ago, I asked this question, interested in keeping a long conversation open with lots of back-and-forth. I had settled on designing my own ad-hoc protocol, but people I spoke to really wanted a REST interface, even at the cost of the "Okay, send your command now" signal. So, I wondered about running ASP.NET on a Linux/Mono server, but stumbled upon HttpListener. This seemed ideal, as each "conversation" could run in a separate thread. The thread that calls HttpListener in a loop can look for which thread each incomming connection is for and pass the reference to that thread. The alternative for an ASP.NET driven service, would be to have the ASPX code pick up the state from a database, and write back the new state when it finishes. Yes, it would work, but that's a lot of overhead.

    Read the article

  • Changing the system time zone succeeds once and then no longer changes

    - by Adam Driscoll
    I'm using the WinAPI to set the time zone on a Windows XP SP3 box. I'm reading the time zone information from the HKLM\Software\Microsoft\WindowsNT\Time Zones\<time zone name> key and then setting the time zone to the specified time zone. I enumerate the keys under the Time Zones key, grab the TZI value and stuff it into a TIME_ZONE_INFORMATION struct to be passed to SetTimeZoneInformation. All seems to work on the first pass. The time zone changes, no error is returned. The second time I perform this operation (same user, new session, on login before userinit) the call succeeds but the system does not reflect the time zone change. Neither the clock nor time stamps on files are updated to the new time zone. When I navigate to: HKLM\System\CurrentControlSet\Control\TimeZoneInformation my new time zone information is present. A couple strange things are happening when I'm setting my time zone: Also when I parse the TZI binary value from the registry to store in my TIME_ZONE_INFORMATION struct I'm noticing the struct has the DaylightDate.wDay and StandardDate.wDay field always set to 0 I tried to call GetTimeZoneInformation right after I call SetTimeZoneInformation but the call fails with a 1300 error (Not all privileges or groups referenced are assigned to the caller. ) I'm also making sure to send a WM_BROADCAST message so Explorer knows whats going on. Think it's the parsing of the byte array to the TIME_ZONE_INFORMATION struct? Or am I missing some thing else important? EDIT: Found a document stating why this is happening: here. Privilege was introduced in Vista...thanks MSDN docs... Per the Microsoft documentation I'm enabling the SE_TIME_ZONE_NAME privilege for the current processes token. But when I attempt to call LookupPriviledgeValue for SE_TIME_ZONE_NAME I get a 1313 error (A specified privilege does not exist. ).

    Read the article

  • rpy2: Converting a data.frame to a numpy array

    - by Mike Dewar
    I have a data.frame in R. It contains a lot of data : gene expression levels from many (125) arrays. I'd like the data in Python, due mostly to my incompetence in R and the fact that this was supposed to be a 30 minute job. I would like the following code to work. To understand this code, know that the variable path contains the full path to my data set which, when loaded, gives me a variable called immgen. Know that immgen is an object (a Bioconductor ExpressionSet object) and that exprs(immgen) returns a data frame with 125 columns (experiments) and tens of thousands of rows (named genes). robjects.r("load('%s')"%path) # loads immgen e = robjects.r['data.frame']("exprs(immgen)") expression_data = np.array(e) This code runs, but expression_data is simply array([[1]]). I'm pretty sure that e doesn't represent the data frame generated by exprs() due to things like: In [40]: e._get_ncol() Out[40]: 1 In [41]: e._get_nrow() Out[41]: 1 But then again who knows? Even if e did represent my data.frame, that it doesn't convert straight to an array would be fair enough - a data frame has more in it than an array (rownames and colnames) and so maybe life shouldn't be this easy. However I still can't work out how to perform the conversion. The documentation is a bit too terse for me, though my limited understanding of the headings in the docs implies that this should be possible. Anyone any thoughts?

    Read the article

  • WCF done broke.

    - by SteveCav
    WCF is completely fouled up on my machine. I start a new sln in VS2008. Add a project (WCF Service Lib).Build the project (builds ok). debug the project -- it gets halfway through the progress bar and bombs out with the error below (real path changed to "my mex path" so codeproject doesn't think its spam). I'm assuming it's file permissions but don't know where to start. Any ideas?: Error: Cannot obtain Metadata from my mex path If this is a Windows (R) Communication Foundation service to which you have access, please check that you have enabled metadata publishing at the specified address. For help enabling metadata publishing, please refer to the MSDN documentation at somewhere unhelpful Exchange Error URI: my mex path Metadata contains a reference that cannot be resolved: 'my mex path'. Could not connect to my mex path. TCP error code 10061: No connection could be made because the target machine actively refused it 127.0.0.1:8731. Unable to connect to the remote server No connection could be made because the target machine actively refused it 127.0.0.1:8731HTTP GET Error URI: my mex path There was an error downloading 'my mex path'. Unable to connect to the remote server No connection could be made because the target machine actively refused it 127.0.0.1:8731

    Read the article

  • Can Haskell's Parsec library be used to implement a recursive descent parser with backup?

    - by Thor Thurn
    I've been considering using Haskell's Parsec parsing library to parse a subset of Java as a recursive descent parser as an alternative to more traditional parser-generator solutions like Happy. Parsec seems very easy to use, and parse speed is definitely not a factor for me. I'm wondering, though, if it's possible to implement "backup" with Parsec, a technique which finds the correct production to use by trying each one in turn. For a simple example, consider the very start of the JLS Java grammar: Literal: IntegerLiteral FloatingPointLiteral I'd like a way to not have to figure out how I should order these two rules to get the parse to succeed. As it stands, a naive implementation like this: literal = do { x <- try (do { v <- integer; return (IntLiteral v)}) <|> (do { v <- float; return (FPLiteral v)}); return(Literal x) } Will not work... inputs like "15.2" will cause the integer parser to succeed first, and then the whole thing will choke on the "." symbol. In this case, of course, it's obvious that you can solve the problem by re-ordering the two productions. In the general case, though, finding things like this is going to be a nightmare, and it's very likely that I'll miss some cases. Ideally, I'd like a way to have Parsec figure out stuff like this for me. Is this possible, or am I simply trying to do too much with the library? The Parsec documentation claims that it can "parse context-sensitive, infinite look-ahead grammars", so it seems like something like I should be able to do something here.

    Read the article

  • Cache consistency & spawning a thread

    - by Dave Keck
    Background I've been reading through various books and articles to learn about processor caches, cache consistency, and memory barriers in the context of concurrent execution. So far though, I have been unable to determine whether a common coding practice of mine is safe in the strictest sense. Assumptions The following pseudo-code is executed on a two-processor machine: int sharedVar = 0; myThread() { print(sharedVar); } main() { sharedVar = 1; spawnThread(myThread); sleep(-1); } main() executes on processor 1 (P1), while myThread() executes on P2. Initially, sharedVar exists in the caches of both P1 and P2 with the initial value of 0 (due to some "warm-up code" that isn't shown above.) Question Strictly speaking – preferably without assuming any particular CPU – is myThread() guaranteed to print 1? With my newfound knowledge of processor caches, it seems entirely possible that at the time of the print() statement, P2 may not have received the invalidation request for sharedVar caused by P1's assignment in main(). Therefore, it seems possible that myThread() could print 0. References These are the related articles and books I've been reading. (It wouldn't allow me to format these as links because I'm a new user - sorry.) Shared Memory Consistency Models: A Tutorial hpl.hp.com/techreports/Compaq-DEC/WRL-95-7.pdf Memory Barriers: a Hardware View for Software Hackers rdrop.com/users/paulmck/scalability/paper/whymb.2009.04.05a.pdf Linux Kernel Memory Barriers kernel.org/doc/Documentation/memory-barriers.txt Computer Architecture: A Quantitative Approach amazon.com/Computer-Architecture-Quantitative-Approach-4th/dp/0123704901/ref=dp_ob_title_bk

    Read the article

  • nhibernate - mapping with contraints

    - by Tobias Müller
    Hello everybody, I am having a Problem with my nhibernate-mapping and I can't find a solution by searching on stackoverflow/google/documentation. The database I am using has (amongst others) two tables. One is unit with the following fields: id enduring_id starts ends damage_enduring_id [...] The other one is damage, which has the following fields: id enduring_id starts ends [...] The units are assigned to a damage and one damage can have zero, one or more units working on it. Every time a unit moves to annother damage, the dataset is copied. The field "ends" of the old record and "starts" of the new record are set to the current time stamp, enduring_id stays the same. So if I want to know which units were working on a damage at a certain time, I do the following select: select * from unit join damage on damage.enduring_id = unit.damage_enduring_id where unit.starts <= 'time' and unit.ends = 'time' (This is not an actualy query from the database, I made it up to make clear what I mean. The the real database is a little more complex) Now I want to map it that way, so I can load all the damages which are valid at one time (starts <= wanted time <= ends) and that each of them has a Bag with all the attached units at that time (again starts <= wanted time <= ends). Is this possible within the mapping? Sorry if this is a stupid question, but I am pretty new to nhibernate and I have no clue how to do it. Thanks a lot for reading my post! Bye, Tobias

    Read the article

  • How can I programmatically add more than just one view object to my view controller?

    - by BeachRunnerJoe
    I'm diving into iPhone OS development and I'm trying to understand how I can add multiple view objects to the "Left/Root" view of my SplitView iPad app. I've figured out how to programmatically add a TableView to that view based on the example code I found in Apple's online documentation... RootViewController.h @interface RootViewController : UITableViewController <NSFetchedResultsControllerDelegate, UITableViewDelegate, UITableViewDataSource> { DetailViewController *detailViewController; UITableView *tableView; NSFetchedResultsController *fetchedResultsController; NSManagedObjectContext *managedObjectContext; } RootViewController.m - (void)loadView { UITableView *newTableView = [[UITableView alloc] initWithFrame:[[UIScreen mainScreen] applicationFrame] style:UITableViewStylePlain]; newTableView.autoresizingMask = UIViewAutoresizingFlexibleHeight|UIViewAutoresizingFlexibleWidth; newTableView.delegate = self; newTableView.dataSource = self; [newTableView reloadData]; self.view = newTableView; [newTableView release]; } but there are a few things I don't understand about it and I was hoping you veterans could help clear up some confusion. In the statement self.view = newTableView, I assume I'm setting the entire view to a single UITableView. If that's the case, then how can I add additional view objects to that view alongside the table view? For example, if I wanted to have a DatePicker view object and the TableView object instead of just the TableView object, then how would I programmatically add that? Referencing the code above, how can I resize the table view to make room for the DatePicker view object that I'd like to add? Thanks so much in advance for your help! I'm going to continue researching these questions right now.

    Read the article

  • PL/SQL - How to pull data from 3 tables based on latest created date

    - by Nancy
    Hello, I'm hoping someone can help me as I've been stuck on this problem for a few days now. Basically I'm trying to pull data from 3 tables in Oracle: 1) Orders Table 2) Vendor Table and 3) Master Data Table. Here's what the 3 tables look like: Table 1: BIZ_DOC2 (Orders table) OBJECTID (Unique key) UNIQUE_DOC_NAME (Document Name i.e. ORD-005) CREATED_AT (Date the order was created) Table 2: UDEF_VENDOR (Vendors Table): PARENT_OBJECT_ID (This matches up to the ObjectId in the Orders table) VENDOR_OBJECT_NAME (This is the name of the vendor i.e. Acme) Table 3: BIZ_UNIT (Master Data table) PARENT_OBJECT_ID (This matches up to the ObjectID in the Orders table) BIZ_UNIT_OBJECT_NAME (This is the name of the business unit i.e. widget A, widget B) Note: The Vendors Table and Master Data do not have a link between them except through the Orders table. I can join all of the data from the tables and it looks something like this: Before selecting latest order date: ORD-005 | Widget A | Acme | 3/14/10 ORD-005 | Widget B | Acme | 3/14/10 ORD-004 | Widget C | Acme | 3/10/10 Ideally I'd like to return the latest order for each vendor. However, each order may contain multiple business units (e.g. types of widgets) so if a Vendor's latest record is ORD-005 and the order contains 2 business units, here's what the result set should look like by the following columns: UNIQUE_DOC_NAME, BIZ_UNIT_OBJECT_NAME, VENDOR_OBJECT_NAME, CREATED_AT After selecting by latest order date: ORD-005 | Widget A | Acme | 3/14/10 ORD-005 | Widget B | Acme | 3/14/10 I tried using Select Max and several variations of sub-queries but I just can't seem to get it working. Any help would be hugely appreciated!

    Read the article

  • Architecture Guidance Needed?

    - by vijay
    We are about to automate number of process for our reporting team. (The reports are like daily reports, weekly reports, monthly reports, etc..) Mostly the process is like pulling some data from the oracle and then fill them in particular excel template files. Each reports and so their templates are different from each other. Except the excel file manipulation, there are hardly any business logic behind these. Client wanted an integrated tool and all the automated processes are placed as menus/submenus. Right now roughly there are around 30 process waiting to be automated. And we are expecting more new reports in the next quarter. I am nowhere to near having any practical experience when comes to architecuring. Already i have been maintaining two or three systems(they are more than 4yrs old.) for this prestegious client.The possiblity of the above mentioned tool will be manintained for another 3 yrs is very likely. From my past experience i've been through the pain of implmenting change requests to the rigd & undocumented code base resulting in the break down of the system and then eventually myself. So My main and top most concern is the maintainablity. When i was searching for these i came across this link, Smart Clients Using CAB and SCSF is the above link appropriate for my requirement? Also Should i place each automated processes in separate forms under a single project, or place them in separate projects under a single solution.. Please correct me if have missed any other important information. Thx.

    Read the article

  • How to convert a printer driver to a stand-alone console application which can generate a printer fi

    - by Thorbjørn Ravn Andersen
    I have a situation where the only way to generate a certain datafile is to print it manually to FILE: under Windows and save it in a file for further processing. I would really like to have a small stand-alone program which embeds this binary printer driver so I can run it from a batch file and have it generate that binary file for me, as we can then fully automate the "save file in Visio, 'print' it and upload it to the final destination and trigger a remote test". Is this possible with a suitable Windows SDK? I am a Java programmer, so I do not know Visual Studio and the possibilities with MSDN - yet! - but I'd appreciate pointers. EDIT: I have the installation files for that printer driver, both 32 and 64 bit. Older versions may include a 16 bit driver. EDIT: The "print to FILE:" functionality is just what was recommended by the documentation. I have played a little bit with using the LPR-protocol to see what it can do. I'd still prefer the "invoke small binary" approach.

    Read the article

  • Rails 3 get raw post data and write it to tmp file

    - by Andrew
    I'm working on implementing Ajax-Upload for uploading photos in my Rails 3 app. The documentation says: For IE6-8, Opera, older versions of other browsers you get the file as you normally do with regular form-base uploads. For browsers which upload file with progress bar, you will need to get the raw post data and write it to the file. So, how can I receive the raw post data in my controller and write it to a tmp file so my controller can then process it? (In my case the controller is doing some image manipulation and saving to S3.) Some additional info: As I'm configured right now the post is passing these parameters: Parameters: {"authenticity_token"=>"...", "qqfile"=>"IMG_0064.jpg"} ... and the CREATE action looks like this: def create @attachment = Attachment.new @attachment.user = current_user @attachment.file = params[:qqfile] if @attachment.save! respond_to do |format| format.js { render :text => '{"success":true}' } end end end ... but I get this error: ActiveRecord::RecordInvalid (Validation failed: File file name must be set.): app/controllers/attachments_controller.rb:7:in `create'

    Read the article

  • Does Ctypes Structures and POINTERS automatically free the memory when the Python object is deleted?

    - by jsbueno
    When using Python CTypes there are the Structures, that allow you to clone c-structures on the Python side, and the POINTERS objects that create a sofisticated Python Object from a memory address value and can be used to pass objects by reference back and forth C code. What I could not find on the documentation or elsewhere is what happens when a Python object containing a Structure class that was de-referenced from a returning pointer from C Code (that is - the C function alocated memory for the structure) is itself deleted. Is the memory for the original C structure freed? If not how to do it? Furthermore -- what if the Structure contains Pointers itself, to other data that was also allocated by the C function? Does the deletion of the Structure object frees the Pointers onits members? (I doubt so) Else - -how to do it? Trying to call the system "free" from Python for the Pointers in the Structure is crashing Python for me. In other words, I have this structure filled up by a c Function call: class PIX(ctypes.Structure): """Comments not generated """ _fields_ = [ ("w", ctypes.c_uint32), ("h", ctypes.c_uint32), ("d", ctypes.c_uint32), ("wpl", ctypes.c_uint32), ("refcount", ctypes.c_uint32), ("xres", ctypes.c_uint32), ("yres", ctypes.c_uint32), ("informat", ctypes.c_int32), ("text", ctypes.POINTER(ctypes.c_char)), ("colormap", ctypes.POINTER(PIXCOLORMAP)), ("data", ctypes.POINTER(ctypes.c_uint32)) ] And I want to free the memory it is using up from Python code.

    Read the article

  • MongoDB - proper use of collections?

    - by zmg
    In Mongo my understanding is that you can have databases and collections. I'm working on a social-type app that will have blogs and comments (among other things) and had previously be using MySQL and pretty heavy partitioning in an attempt to limit possible concurrency issues. With MySQL I've stuffed all my user data into a _user database with several tables to further partition the data (blogs, pages, etc). My immediate reaction with Mongo would be to create a 'users' database with one collection per user. In this way user 'zach' blog entries would go into the 'zach' collection with associated comments and such becoming sub-objects in the same collection. Basically like dynamically creating one table per user in MySQL, but apparently without the complexity and limitations that might impose. Of course since I haven't really used Mongo before I'm having trouble gauging the (ahem..) quality of this idea and the potential problems it might cause down the road. I'd like user data to be treated a lot like a users directory in a *nix environment where user created/non-shared (mostly) gets put into one place (currently with MySQL that would be the appname_users as mentioned above). Most of the users data will be specific to the users page(s). Some of the user data which is queried across all site users (searchable user profiles) is currently kept in a separate database/table and I expect things like this could be put into a appname_system database and be broken up into collections and/or application specific databases (appname_profiles). Anyway, since the available documentation on this is currently a little thin and my experience is extremely limited I thought I might find a little guidance from someone with a better working understanding of the system. On the plus side I'd really already been attempting to treat MySQL as a schema-less document-store and doing this with Mongo seems much more intuitive/sane/rational so I'm really looking forward to getting started. Thanks, Zach

    Read the article

  • _Painless_ integration of Eclipse with Vim?

    - by Adnan
    Hi, Has anyone managed to get Vim integrated into Eclipse painlessly? I just want to use Vim for the editor while retaining the general Eclipse interface. I have tried using Eclim plugin but the editor seemed to crash more often than work (the site said that the editor replacement functionality is still beta). On the flip side, is there any IDE which matches Eclipse's functionality -- mainly the integration with SVN, ant, etc. -- and is also able to use Vim? I mostly use eclipse for SAS SCL, Java and Javascript programming and find the eclipse editor too "mouse-y". I'd also like, in a perfect world, to use vimdiff as a diff viewer for SVN (we use TortoiseSVN) while checking for diffs or conflicts during merge etc. I admit I havent spent a lot of time trying to get these things to work. I feel guilty about spending too much time on potential wild-goose-chases while my other team members are working away at their code, perfectly content with all that eclipse has to offer. Edit: Just found this while desperately browsing around: Vim plugin.. Any experience using this? Its saturday afternoon in Kiwi land, so I'll try it later and update if no one has an opinion. From the claims on the site, it sounds perfect.

    Read the article

  • wopen calls when porting to Linux

    - by laura
    I have an application which was developed under Windows, but for gcc. The code is mostly OS-independent, with very few classes which are Windows specific because a Linux port was always regarded as necessary. The API, especially that which gets called as a direct result of user interaction, is using wide char arrays instead of char arrays (as a side note, I cannot change the API itself - at this point, std::wstring cannot be used). These are considered as encoded in UTF-16. In some places, the code opens files, mostly using the windows-specific _wopen function call. The problem with this is there is no wopen-like substitute for Linux because Linux "only deals with bytes". The question is: how do I port this code ? What if I wanted to open a file with the name "something™.log", how would I go about doing so in Linux ? Is a cast to char* sufficient, would the wide chars be picked up automatically based on the locale (probably not) ? Do I need to convert manually ? I'm a bit confused regarding this, perhaps someone could point me to some documentation regarding the matter.

    Read the article

  • Best practice for writing ARRAYS

    - by Douglas
    I've got an array with about 250 entries in it, each their own array of values. Each entry is a point on a map, and each array holds info for: name, another array for points this point can connect to, latitude, longitude, short for of name, a boolean, and another boolean The array has been written by another developer in my team, and he has written it as such: names[0]=new Array; names[0][0]="Campus Ice Centre"; names[0][1]= new Array(0,1,2); names[0][2]=43.95081811364498; names[0][3]=-78.89848709106445; names[0][4]="CIC"; names[0][5]=false; names[0][6]=false; names[1]=new Array; names[1][0]="Shagwell's"; names[1][1]= new Array(0,1); names[1][2]=43.95090307839151; names[1][3]=-78.89815986156464; names[1][4]="shg"; names[1][5]=false; names[1][6]=false; Where I would probably have personally written it like this: var names = [] names[0] = new Array("Campus Ice Centre", new Array[0,1,2], 43.95081811364498, -78.89848709106445, "CIC", false, false); names[1] = new Array("Shagwell's", new Array[0,1], 43.95090307839151, -78.89815986156464, 'shg", false, false); They both work perfectly fine of course, but what I'm wondering is: 1) does one take longer than the other to actually process? 2) am I incorrect in assuming there is a benefit to the compactness of my version of the same thing? I'm just a little worried about his 3000 lines of code versus my 3-400 to get the same result. Thanks in advance for any guidance.

    Read the article

< Previous Page | 1022 1023 1024 1025 1026 1027 1028 1029 1030 1031 1032 1033  | Next Page >