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  • Returning the element number of the longest string in an array

    - by JohnRoberts
    I'm trying to get the longestS method to take the user-inputted array of strings, then return the element number of the longest string in that array. I got it to the point where I was able to return the number of chars in the longest string, but I don't believe that will work for what I need. My problem is that I keep getting incompatible type errors when trying to figure this out. I don't understand the whole data type thing with strings yet. It's confusing me how I go about return a number of the array yet the array is of strings. The main method is fine, I got stuck on the ???? part. { public static void main(String [] args) { Scanner inp = new Scanner( System.in ); String [] responseArr= new String[4]; for (int i=0; i<4; i++) { System.out.println("Enter string "+(i+1)); responseArr[i] = inp.nextLine(); } int highest=longestS(responseArr); } public static int longestS(String[] values) { int largest=0 for( int i = 1; i < values.length; i++ ) { if ( ????? ) } return largest; } }

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  • Python C API from C++ app - know when to lock

    - by Alex
    Hi Everyone, I am trying to write a C++ class that calls Python methods of a class that does some I/O operations (file, stdout) at once. The problem I have ran into is that my class is called from different threads: sometimes main thread, sometimes different others. Obviously I tried to apply the approach for Python calls in multi-threaded native applications. Basically everything starts from PyEval_AcquireLock and PyEval_ReleaseLock or just global locks. According to the documentation here when a thread is already locked a deadlock ensues. When my class is called from the main thread or other one that blocks Python execution I have a deadlock. Python Cfunc1() - C++ func that creates threads internally which lead to calls in "my class", It stuck on PyEval_AcquireLock, obviously the Python is already locked, i.e. waiting for C++ Cfunc1 call to complete... It completes fine if I omit those locks. Also it completes fine when Python interpreter is ready for the next user command, i.e. when thread is calling funcs in the background - not inside of a native call I am looking for a workaround. I need to distinguish whether or not the global lock is allowed, i.e. Python is not locked and ready to receive the next command... I tried PyGIL_Ensure, unfortunately I see hang. Any known API or solution for this ? (Python 2.4)

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  • JTextArea - Highlight Text While Scrolling Up or Down

    - by Sujay
    I'm trying to work with a non-editable JTextArea added to a JScrollPane. I want a line to be highlighted when the user clicks on that specific line. I could implement this part using the following code: public static void initHighlightOption(final JTextArea textArea){ textArea.setFont(new Font("Courier New", Font.PLAIN, 12)); textArea.setEditable(false); final Action selectLine = getAction(textArea, DefaultEditorKit.selectLineAction); textArea.addMouseListener(new MouseAdapter() { @Override public void mouseClicked(MouseEvent e) { if (SwingUtilities.isLeftMouseButton(e) && e.getClickCount() == 1) { selectLine.actionPerformed(null); } }); textArea.setSelectionStart(0); textArea.setSelectionEnd(0); } public static Action getAction(JTextArea textArea, String name) { Action action = null; Action[] actions = textArea.getActions(); for (int i = 0; i < actions.length; i++) { if (name.equals(actions[i].getValue(Action.NAME).toString())) { action = actions[i]; break; } } return action; } What I want to add is that once a line is highlighted and user scrolls up/down using keyboard up/down key, i want the current line to be highlighted. Is this possible by adding a keyListener? I'm stuck on how highlight data while scrolling up. The text area contains data like this: Line1 Line2 Line3 Line4 Line5 (i.e. there might be new lines between two particular lines of data)

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  • What techniques can be used to detect so called "black holes" (a spider trap) when creating a web crawler?

    - by Tom
    When creating a web crawler, you have to design somekind of system that gathers links and add them to a queue. Some, if not most, of these links will be dynamic, which appear to be different, but do not add any value as they are specifically created to fool crawlers. An example: We tell our crawler to crawl the domain evil.com by entering an initial lookup URL. Lets assume we let it crawl the front page initially, evil.com/index The returned HTML will contain several "unique" links: evil.com/somePageOne evil.com/somePageTwo evil.com/somePageThree The crawler will add these to the buffer of uncrawled URLs. When somePageOne is being crawled, the crawler receives more URLs: evil.com/someSubPageOne evil.com/someSubPageTwo These appear to be unique, and so they are. They are unique in the sense that the returned content is different from previous pages and that the URL is new to the crawler, however it appears that this is only because the developer has made a "loop trap" or "black hole". The crawler will add this new sub page, and the sub page will have another sub page, which will also be added. This process can go on infinitely. The content of each page is unique, but totally useless (it is randomly generated text, or text pulled from a random source). Our crawler will keep finding new pages, which we actually are not interested in. These loop traps are very difficult to find, and if your crawler does not have anything to prevent them in place, it will get stuck on a certain domain for infinity. My question is, what techniques can be used to detect so called black holes? One of the most common answers I have heard is the introduction of a limit on the amount of pages to be crawled. However, I cannot see how this can be a reliable technique when you do not know what kind of site is to be crawled. A legit site, like Wikipedia, can have hundreds of thousands of pages. Such limit could return a false positive for these kind of sites. Any feedback is appreciated. Thanks.

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  • Designing a general database interface in PHP

    - by lamas
    I'm creating a small framework for my web projects in PHP so I don't have to do the basic work over and over again for every new website. It is not my goal to create a second CakePHP or Codeigniter and I'm also not planning to build my websites with any of the available frameworks as I prefer to use things I've created myself in general. I have no problems in designing that framework when it comes to parts like the core structure, request handling, and so on but I'm getting stuck with designing the database interface for my modules. I've already thought about using the MVC pattern but thought that it would be a bit of a overkill. So the exact problem I'm facing is how my frameworks modules (viewCustomers could be a module, for example) should interact with the database. Is it a good idea to write SQL directly in PHP (mysql_query( 'SELECT firstname, lastname(.....))? How could I abstract a query like SELECT firstname, lastname FROM customers WHERE id=X Would MySQL helper functions like $this->db->get( array('firstname', 'lastname'), array('id'=>X) ) be a good idea? I suppose not because they actually make everything more complicated by requiring arrays to be created and passed. Is the Model pattern from MVC my only real option?

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  • Need some help with a MySQL subquery count

    - by Ferdy
    I'm running into my own limits of MySQL query skills, so I hope some SQL guru can help out on this one. The situation is as follow: I have images that can be tagged. As you might expect this is stored in three tables: Image Tag Tag_map (maps images to tags) I have a SQL query that calculates the related tags based on a tag id. The query basically checks what other tags were used for images for images using that tag. Example: Image1 tagged as "Bear" Image2 tagged as "Bear" and "Canada" If I throw "Bear" (or its tag id) at the query, it will return "Canada". This works fine. Here's the query: SELECT tag.name, tag.id, COUNT(tag_map.id) as cnt FROM tag_map,tag WHERE tag_map.tag_id = tag.id AND tag.id != '185' AND tag_map.image_id IN (SELECT tag_map.image_id FROM tag_map INNER JOIN tag ON tag_map.tag_id = tag.id WHERE tag.id = '185') GROUP BY tag_map.id LIMIT 0,100 The part I'm stuck with is the count. For each related tag returned, I want to know how many images are in that tag. Currently it always returns 1, even if there are for example 3. I've tried counting different columns all resulting in the same output, so I guess there is a flaw in my thinking.

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  • How can I visualise a "broken" hierarchical dataset?

    I have a reasonably large datatable structured something like this: StaffNo Grade Direct Boss2 Boss3 Boss4 Boss5 Boss6 ------- ----- ----- ----- ----- ----- ----- ----- 10001 1 10002 10002 10057 10094 10043 10099 10002 2 10057 NULL 10057 10094 10043 10099 10003 1 10004 10004 10057 10094 10043 10099 10004 2 10057 NULL 10057 10094 10043 10099 10057 3 10094 NULL NULL 10094 10043 10099 etc.... i.e. a unique id , their level (grade) in the hierarchy, a record of their bosses ID and the IDs of the supervisors above. (The 2,3,4, etc refers to the boss at that particular grade). The system relies on a strict hierarchy - if you are my boss (/parent) then your boss must be my grandparent. Unfortunately this rule is not enforced within the data model and the data ultimately comes from other systems which don't even know about the rule, let alone observe it. So you and I may share the same boss, but our bosses boss won't be the same. note: I cannot change the data model I cannot fix the data at source. So (for the moment) I have to fix the data once it's in place. Once a fortnight someone will do something which breaks the model and I'll need to modify the procs slightly to resolve. Not ideal, but I'm stuck with this for the next six months. Anyway, specific queries are easy to produce but I find it hard to keep track of the bigger picutre. The application which sits on this runs without complaint regardless but navigating around the system becoming extraordinarily confusing. So my question is: Can anyone recommend a tool (or technique) for generating some kind of "broken tree" diagram in this sort of circumstances? I don't want something that will fix things for me, or attempt statistical analysis but at least something that will give a visual indication of how broken it is at any one time. Note : At the moment this is in a SQL Server database but I'm open to ideas utilising C#, Perl or Python.

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  • Get Function Pointer to function in a shared library I didn't directly load

    - by bdk
    My Linux application (A) links against a Third Party shared Library (B) which I don't have source code to. This library makes use of another third party shared library that I don't have source code to (C). I believe that (B) uses dlopen to access (C) instead of directly linking. My reasoning for this is that 'ldd' on (B) does not show (C) and objdump -X (B) shows references to dlopen/dlclose/dlsym. My requirement is that I need to in my code for (A) get a function pointer to a function foo() located in (C). Normally I'd use dlsym for this, but I need to pass it the handle returned from dlopen which I don't have since (B) does not expose this. - For the larger context: I need to modify the function in (C) such that everytime it calls its helper function bar() (also located in (C)), it also calls a function with the same signature located in (A) with the same parameters (Basically inject my code into the codepath of (C) foo()-bar(). I believe I've found a way to accomplish this using gdb, but in order to port my gdb command list, but I'm stuck on the step of getting the function pointer. I'm also open to alternatives to accomplish the same task rather than the exact problem as stated above Edit: After writing this I realized I can probably just do another dlopen on the file in my code and the symbols returned via dlsym on that handle should be the same as received via the original dlopen, If I'm reading the dlopen man page correctly. However I'm still interested in advice or assistance with the my larger context, If theres a better way to go about this

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  • Git Workflow With Capistrano

    - by jerhinesmith
    I'm trying to get my head around a good git workflow using capistrano. I've found a few good articles, but I'm either not grasping completely what they're suggesting (likely) or they're somewhat lacking. Here's kind of what I had in mind so far, but I get caught up when to merge back into the master branch (i.e. before moving to stage? after?) and trying to hook it into capistrano for deployments: Make sure you’re up to date with all the changes made on the remote master branch by other developers git checkout master git pull Create a new branch that pertains to the particular bug you're trying to fix git checkout -b bug-fix-branch Make your changes git status git add . git commit -m "Friendly message about the commit" So, this is usually where I get stuck. At this point, I have a master branch that is healthy and a new bug-fix-branch that contains my (untested -- other than unit tests) changes. If I want to push my changes to stage (through cap staging deploy), do I have to merge my changes back into the master branch (I'd prefer not to since it seems like master should be kept free of untested code)? Do I even deploy from master (or should I be tagging a release first and then modifying my production.rb file to deploy from that tag)? git-deployment seems to address some of these workflow issues, but I can't seem to find out how on earth it actually hooks into cap staging deploy and cap production deploy. Thoughts? I assume there's a likely canonical way to do this, but I either can't find it or I'm too new to git to recognize that I have found it. Help!

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  • how to conditional display a control in asp wizard based on the radiobutton click in a particular st

    - by Pramod
    Hi, I've been stuck with this problem where there are 3 steps in an asp wizard control. The first step has a radiobutton (yes and no) and based on the radio button input chosen by the user, i would need to hide or show a label in the second wizardstep. Example: Step 1: Choose 1 among the two options: Yes No (radStep1) Step 2: if the radiobutton option in the previous step was yes.. then display a label(lblStep2) in this step.. Else hide the label. I've been handling this through the jquery as i want the functionality in the aspx page itself... The jquery code goes like this... $("#<%=radStep1.ClientID %> input").click(function() { if($("#<%= radStep1.ClientID %> input").index(this) == 0) { $("#<%=lblStep2.ClientID %>").show(); } else if($("#<%= radStep1.ClientID %> input").index(this) == 1) { $("#<%=lblStep2.ClientID %>").hide(); } However, in both the cases, the label is getting displayed.. Could you please help me out if there is anything that i'm missing? I'm guessing that the label is getting hidden at first and then getting shown again once i click on the next button... Thanks a ton in advance....

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  • Dataset bind to Gridview within WCF REST retrieval method and Linq to Sql

    - by user643794
    I used a WCF REST template to build a WCF service library to create PUT and GET calls. PUT method works fine sending my blob to a database. On the GET, I want to be able to access the web service directly and display the results from a stored procedure as a dataset and bind this to a gridview. The stored procedure is a simple select statement, returning three of the four columns from the table. I have the following: [WebGet(UriTemplate = "/?name={name}", ResponseFormat = WebMessageFormat.Xml)] public List<Object> GetCollection(string name) { try { db.OpenDbConnection(); // Call to SQL stored procedure return db.GetCustFromName(name); } catch (Exception e) { Log.Error("Stored Proc execution failed. ", e); } finally { db.CloseDbConnection(); } return null; } I also added Linq to SQL class to include my database table and stored procedures access. I also created the Default.aspx file in addition to the other required files. protected void Page_Load(object sender, EventArgs e) { ServiceDataContext objectContext = new ServiceDataContext(); var source = objectContext.GetCustFromName("Tiger"); Menu1.DataSource = source; Menu1.DataBind(); } But this gives me The entity type '' does not belong to any registered model. Where should the data binding be done? What should be the return type for GetCollection()? I am stuck with this. Please provide help on how to do this.

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  • Fetching Strategy example in repository pattern with pure POCO Entity framework

    - by Shawn Mclean
    I'm trying to roll out a strategy pattern with entity framework and the repository pattern using a simple example such as User and Post in which a user has many posts. From this answer here, I have the following domain: public interface IUser { public Guid UserId { get; set; } public string UserName { get; set; } public IEnumerable<Post> Posts { get; set; } } Add interfaces to support the roles in which you will use the user. public interface IAddPostsToUser : IUser { public void AddPost(Post post); } Now my repository looks like this: public interface IUserRepository { User Get<TRole>(Guid userId) where TRole : IUser; } Strategy (Where I'm stuck). What do I do with this code? Can I have an example of how to implement this, where do I put this? public interface IFetchingStrategy<TRole> { TRole Fetch(Guid id, IRepository<TRole> role) } My basic problem was what was asked in this question. I'd like to be able to get Users without posts and users with posts using the strategy pattern.

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  • Why does adding Crossover to my Genetic Algorithm give me worse results?

    - by MahlerFive
    I have implemented a Genetic Algorithm to solve the Traveling Salesman Problem (TSP). When I use only mutation, I find better solutions than when I add in crossover. I know that normal crossover methods do not work for TSP, so I implemented both the Ordered Crossover and the PMX Crossover methods, and both suffer from bad results. Here are the other parameters I'm using: Mutation: Single Swap Mutation or Inverted Subsequence Mutation (as described by Tiendil here) with mutation rates tested between 1% and 25%. Selection: Roulette Wheel Selection Fitness function: 1 / distance of tour Population size: Tested 100, 200, 500, I also run the GA 5 times so that I have a variety of starting populations. Stop Condition: 2500 generations With the same dataset of 26 points, I usually get results of about 500-600 distance using purely mutation with high mutation rates. When adding crossover my results are usually in the 800 distance range. The other confusing thing is that I have also implemented a very simple Hill-Climbing algorithm to solve the problem and when I run that 1000 times (faster than running the GA 5 times) I get results around 410-450 distance, and I would expect to get better results using a GA. Any ideas as to why my GA performing worse when I add crossover? And why is it performing much worse than a simple Hill-Climb algorithm which should get stuck on local maxima as it has no way of exploring once it finds a local max?

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  • Setting White balance and Exposure mode for iphone camera + enum default

    - by Spectravideo328
    I am using the back camera of an iphone4 and doing the standard and lengthy process of creating an AVCaptureSession and adding to it an AVCaptureDevice. Before attaching the AvCaptureDeviceInput of that camera to the session, I am testing my understanding of white balance and exposure, so I am trying this: [self.theCaptureDevice lockForConfiguration:nil]; [self.theCaptureDevice setWhiteBalanceMode:AVCaptureWhiteBalanceModeLocked]; [self.theCaptureDevice setExposureMode:AVCaptureExposureModeContinuousAutoExposure]; [self.theCaptureDevice unlockForConfiguration]; 1- Given that the various options for white balance mode are in an enum, I would have thought that the default is always zero since the enum Typedef variable was never assigned a value. I am finding out, if I breakpoint and po the values in the debugger, that the default white balance mode is actually set to 2. Unfortunately, the header files of AVCaptureDevice does not say what the default are for the different camera setting. 2- This might sound silly, but can I assume that once I stop the app, that all settings for whitebalance, exposure mode, will go back to their default. So that if I start another app right after, the camera device is not somehow stuck on those "hardware settings".

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  • The Immerman-Szelepcsenyi Theorem

    - by Daniel Lorch
    In the Immerman-Szelepcsenyi Theorem, two algorithms are specified that use non-determinisim. There is a rather lengthy algorithm using "inductive counting", which determines the number of reachable configurations for a given non-deterministic turing machine. The algorithm looks like this: Let m_{i+1}=0 For all configurations C Let b=0, r=0 For all configurations D Guess a path from I to D in at most i steps If found Let r=r+1 If D=C or D goes to C in 1 step Let b=1 If r<m_i halt and reject Let m_{i+1}=m_{i+1}+b I is the starting configuration. m_i is the number of configurations reachable from the starting configuration in i steps. This algorithm only calculates the "next step", i.e. m_i+1 from m_i. This seems pretty reasonable, but since we have nondeterminisim, why don't we just write: Let m_i = 0 For all configurations C Guess a path from I to C in at most i steps If found m_i = m_i + 1 What is wrong with this algorithm? I am using nondeterminism to guess a path from I to C, and I verify reachability I am iterating through the list of ALL configurations, so I am sure to not miss any configuration I respect space bounds I can generate a certificate (the list of reachable configs) I believe I have a misunderstanding of the "power" of non-determinisim, but I can't figure out where to look next. I am stuck on this for quite a while and I would really appreciate any help.

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  • Helping Rails Newbies identify version-specific information on web pages

    - by corprew
    I am trying to help some people getting started programming on rails identify which version that advice found on web pages corresponds to, and am seeking advice and/or guides on how to do it so they don't have to rely on me and/or waste time trying outdated advice. Narrative: I am helping some people get up to speed on rails development, and their stock response to running into problems is searching google for advice. They're using 2.3.5 and thinking of moving to 3. The problem they're running into is that there's a lot of advice out there specific to older rails versions (2.2 for example being popular) that isn't identified. I can usually figure out when the pages are old pretty easily, but they can't (yet.) It seems like random web page authors don't identify which version they're using when they're using the current version, and not all pages are dated. This seems to be a general problem that will get worse -- current unadorned advice is usually 2.3.5 and older unadorned advice is 2.2.x at this point, but people are moving / will be moving to version 3 over the next while and newbies will be stuck looking at a bunch of deprecated/incompatible 2.3.x advice without realizing which version it is. Any advice / pointers / telltales?

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  • Do complex JOINs cause high coupling and maintenance problems ?

    - by ashkan.kh.nazary
    Our project has ~40 tables with complex relations.A colleague believes in using long join queries which enforces me to learn about tables outside of my module but I think I should not concern about tables not directly related to my module and use data access functions (written by those responsible for other modules) when I need data from them. Let me clarify: I am responsible for the ContactVendor module which enables the customers to contact the vendor and start a conversation about some specific product. Products module has it's own complex tables and relations with functions that encapsulate details (for example i18n, activation, product availability etc ...). Now I need to show the product title of some product related to some conversation between the vendor and customers. I may either write a long query that retrieves the product info along with conversation stuff in one shot (which enforces me to learn about Product tables) OR I may pass the relevant product_id to the get_product_info(int) function. First approach is obviously demanding and introduces many bad practices and things I normally consider fault in programming. The problem with the second approach seems to be the countless mini queries these access functions cause and performance loss is a concern when a loop tries to fetch product titles for 100 products using functions that each perform a separate query. So I'm stuck between "don't code to the implementation, code to interface" and performance. What is the right way of doing things ? UPDATE: I'm specially concerned about possible future modifications to those tables outside of my module. What if the Products module decided to change the way they are doing things? or for some reason modify the schema? It means some other modules would break or malfunction until the change is integrated to them. The usual ripple effect problem.

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  • DLL Exports: not all my functions are exported

    - by carmellose
    I'm trying to create a Windows DLL which exports a number of functions, howver all my functions are exported but one !! I can't figure it out. The macro I use is this simple one : __declspec(dllexport) void myfunction(); It works for all my functions except one. I've looked inside Dependency Walker and here they all are, except one. How can that be ? What would be the cause for that ? I'm stuck. Edit: to be more precise, here is the function in the .h : namespace my { namespace great { namespace namespaaace { __declspec(dllexport) void prob_dump(const char *filename, const double p[], int nx, const double Q[], const double xlow[], const char ixlow[], const double xupp[], const char ixupp[], const double A[], int my, const double bA[], const double C[], int mz, const double clow[], const char iclow[], const double cupp[], const char icupp[] ); }}} And in the .cpp file it goes like this: namespace my { namespace great { namespace namespaaace { namespace { void dump_mtx(std::ostream& ostr, const double *mtx, int rows, int cols, const char *ind = 0) { /* some random code there, nothing special, no statics whatsoever */ } } // end anonymous namespace here // dump the problem specification into a file void prob_dump( const char *filename, const double p[], int nx, const double Q[], const double xlow[], const char ixlow[], const double xupp[], const char ixupp[], const double A[], int my, const double bA[], const double C[], int mz, const double clow[], const char iclow[], const double cupp[], const char icupp[] ) { std::ofstream fout; fout.open(filename, std::ios::trunc); /* implementation there */ dump_mtx(fout, Q, nx, nx); } }}} Thanks

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  • POST variables to web server?

    - by OverTheRainbow
    Hello I've been trying several things from Google to POST data to a web server, but none of them work: I'm still stuck at how to convert the variables into the request, considering that the second variable is an SQL query so it has spaces. Does someone know the correct way to use a WebClient to POST data? I'd rather use WebClient because it requires less code than HttpWebRequest/HttpWebResponse. Here's what I tried so far: Private Sub Button1_Click(ByVal sender As System.Object, ByVal e As System.EventArgs) Handles Button1.Click Dim wc = New WebClient() 'convert data wc.Headers.Add("Content-Type", "application/x-www-form-urlencoded") Dim postData = String.Format("db={0}&query={1}", _ HttpUtility.UrlEncode("books.sqlite"), _ HttpUtility.UrlEncode("SELECT id,title FROM boooks")) 'Dim bytArguments As Byte() = Encoding.ASCII.GetBytes("db=books.sqlite|query=SELECT * FROM books") 'POST query Dim bytRetData As Byte() = wc.UploadData("http://localhost:9999/get", "POST", postData) RichTextBox1.Text = Encoding.ASCII.GetString(bytRetData) Exit Sub Dim client = New WebClient() Dim nv As New Collection nv.Add("db", "books.sqlite") nv.Add("query", "SELECT id,title FROM books") Dim address As New Uri("http://localhost:9999/get") 'Dim bytRetData As Byte() = client.UploadValues(address, "POST", nv) RichTextBox1.Text = Encoding.ASCII.GetString(bytRetData) Exit Sub 'Dim wc As New WebClient() 'convert data wc.Headers.Add("Content-Type", "application/x-www-form-urlencoded") Dim bytArguments As Byte() = Encoding.ASCII.GetBytes("db=books.sqlite|query=SELECT * FROM books") 'POST query 'Dim bytRetData As Byte() = wc.UploadData("http://localhost:9999/get", "POST", bytArguments) RichTextBox1.Text = Encoding.ASCII.GetString(bytRetData) Exit Sub End Sub Thank you.

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  • How to apply CSS theme to only a specific jQuery-UI element?

    - by Thierry-Dimitri Roy
    I have a web site already build with my own CSS theme. I'm using jQuery UI "tabs" widget but no CSS from jQuery-UI. Now, I'm trying to add the "Date Picker" widget in one of my page. It would be great if I could reuse jQuery-UI default theme which is just fine. The problem is that the date picker theme is also applied to my tabs CSS. For example the "ui-widget" css properties is applied to both date picker and tabs elements. I can't seem to find a way to apply the css properties to only the date picker. I can't see a "super selector" that only applies to the date picker DIV. What would be the best way to handle this? [EDIT] The datepicker widget is really the problem. I cannot apply CSS style specific to it. Here is the starting code of the DIV that get pops up: <div style="position: absolute; top: 300.4px; left: 149px; display: block;" id="ui-datepicker-div" class="ui-datepicker ui-widget ui-widget-content ui-helper-clearfix ui-corner-all ui-helper-hidden-accessible"><div class="ui-datepicker-header ui-widget-header ui-helper-clearfix ui-corner-all"> As such, I cannot add a super selector. What would be great would be that the date picker widget supports CSS scope. But it does not. I'm stuck manually editing the jQuery CSS file. The Date Picker is currently being refactored. Hopefully the new code will address this issue.

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  • Java semaphore to syncronize printing to screen

    - by Travis Griswald
    I'm currently stuck on a bit of homework and was wondering if anyone could help - I have to use semaphores in java to syncronize printing letters from 2 threads - one printing "A" and one printing "B". I cannot print out more than 2 of the same character in a row, so output should look like AABABABABABBABABABABAABBAABBABABA At the moment I have 3 semaphores, a binary mutex set to 1, and a counting semaphore, and my thread classes look something like this - public void run() { while (true) { Time.delay(RandomGenerator.integer(0,20)); Semaphores.mutex.down (); System.out.println (produce()); if (printCount > 1) { printCount = 0; Semaphores.mutex.up (); Semaphores.printB.up(); } } } public String produce() { printCount++; return "A"; } public void run() { while (true) { Time.delay(RandomGenerator.integer(0,20)); Semaphores.mutex.down (); System.out.println (produce()); if (printCount > 1) { printCount = 0; Semaphores.mutex.up (); Semaphores.printA.up(); } } } public String produce() { printCount++; return "B"; } Yet whatever I try it either deadlocks, or it seems to be working only printing 2 in a row at most, but always seems to print 3 in a row every now and again! Any help is much appreciated, not looking code or anything just a few pointers if possible :)

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  • What is the scope of TRANSACTION in Sql server

    - by Shantanu Gupta
    I was creating a stored procedure and i got stuck in the writing methodology of me and my collegue. I am using SQL Server 2005 I was writing Stored procedure like this BEGIN TRAN BEGIN TRY INSERT INTO Tags.tblTopic (Topic, TopicCode, Description) VALUES(@Topic, @TopicCode, @Description) INSERT INTO Tags.tblSubjectTopic (SubjectId, TopicId) VALUES(@SubjectId, @@IDENTITY) COMMIT TRAN END TRY BEGIN CATCH DECLARE @Error VARCHAR(1000) SET @Error= 'ERROR NO : '+ERROR_NUMBER() + ', LINE NO : '+ ERROR_LINE() + ', ERROR MESSAGE : '+ERROR_MESSAGE() PRINT @Error ROLLBACK TRAN END CATCH And my collegue was writing it like the below one BEGIN TRY BEGIN TRAN INSERT INTO Tags.tblTopic (Topic, TopicCode, Description) VALUES(@Topic, @TopicCode, @Description) INSERT INTO Tags.tblSubjectTopic (SubjectId, TopicId) VALUES(@SubjectId, @@IDENTITY) COMMIT TRAN END TRY BEGIN CATCH DECLARE @Error VARCHAR(1000) SET @Error= 'ERROR NO : '+ERROR_NUMBER() + ', LINE NO : '+ ERROR_LINE() + ', ERROR MESSAGE : '+ERROR_MESSAGE() PRINT @Error ROLLBACK TRAN END CATCH Here the only difference that you will find is the position of writing Begin TRAN. According to me the methodology of my collegue should not work when an exception occurs i.e. Rollback should not get executed because TRAN does'nt have scope. But when i tried to run both the code, both was working in the same way. I am confused to know how does TRANSACTION works. Is it scope free or what ?

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  • C# app running as either Windows Form or as Console Application

    - by Aeolien
    I am looking to have one of my Windows Forms applications be run programmatically—from the command line. In preparation, I have separated the logic in its own class from the Form. Now I am stuck trying to get the application to switch back and forth based on the presence of command line arguments. Here is the code for the main class: static class Program { /// <summary> /// The main entry point for the application. /// </summary> [STAThread] static void Main() { string[] args = Environment.GetCommandLineArgs(); if (args.Length > 1) // gets passed its path, by default { CommandLineWork(args); return; } Application.EnableVisualStyles(); Application.SetCompatibleTextRenderingDefault(false); Application.Run(new Form1()); } private static void CommandLineWork(string[] args) { Console.WriteLine("It works!"); Console.ReadLine(); } where Form1 is my form and the It works! string is just a placeholder for the actual logic. Right now, when running this from within Visual Studio (with command line arguments), the phrase It works! is printed to the Output. However, when running the /bin/Debug/Program.exe file (or /Release for that matter) the application crashes. Am I going about this the right way? Would it make more sense (i.e. take less developer time) to have my logic class be a DLL that gets loaded by two separate applications? Or is there something entirely different that I'm not aware of? Thanks in advance!

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  • Compiling Objective-C project on Linux (Ubuntu)

    - by Alex
    How to make an Objective-C project work on Ubuntu? My files are: Fraction.h #import <Foundation/NSObject.h> @interface Fraction: NSObject { int numerator; int denominator; } -(void) print; -(void) setNumerator: (int) n; -(void) setDenominator: (int) d; -(int) numerator; -(int) denominator; @end Fraction.m #import "Fraction.h" #import <stdio.h> @implementation Fraction -(void) print { printf( "%i/%i", numerator, denominator ); } -(void) setNumerator: (int) n { numerator = n; } -(void) setDenominator: (int) d { denominator = d; } -(int) denominator { return denominator; } -(int) numerator { return numerator; } @end main.m #import <stdio.h> #import "Fraction.h" int main( int argc, const char *argv[] ) { // create a new instance Fraction *frac = [[Fraction alloc] init]; // set the values [frac setNumerator: 1]; [frac setDenominator: 3]; // print it printf( "The fraction is: " ); [frac print]; printf( "\n" ); // free memory [frac release]; return 0; } I've tried two approaches to compile it: Pure gcc: $ sudo apt-get install gobjc gnustep gnustep-devel $ gcc `gnustep-config --objc-flags` -o main main.m -lobjc -lgnustep-base /tmp/ccIQKhfH.o:(.data.rel+0x0): undefined reference to `__objc_class_name_Fraction' I created a GNUmakefile Makefile: include ${GNUSTEP_MAKEFILES}/common.make TOOL_NAME = main main_OBJC_FILES = main.m include ${GNUSTEP_MAKEFILES}/tool.make ... and ran: $ source /usr/share/GNUstep/Makefiles/GNUstep.sh $ make Making all for tool main... Linking tool main ... ./obj/main.o:(.data.rel+0x0): undefined reference to `__objc_class_name_Fraction' So in both cases compiler gets stuck at undefined reference to `__objc_class_name_Fraction' Do you have and idea how to resolve this issue?

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  • Should I Solve this with Multithreading in Ruby?

    - by viatropos
    I have a strange case, here's the sequence of actions: User edits a document and hits save Application sends GET request to service Service sends POST request back to application in the middle of responding to the GET request Application, in the same state as when it made the GET request, responds to the POST request (sends document data) to service. Service sends data back to Application (responding to original GET request) Application handles the rest... The use case is this: I was thinking how can I make Yahoo Pipes POST data? Specifically, I want it to be able to update Google Docs when a user makes a change locally (on a custom editor). So user edits doc, makes GET request to Yahoo Pipes, Pipes makes a POST request back to App to get the document (Pipes can only make this type of POST request), App sends doc, Pipes formats data according to the Google API, Pipes responds to GET request with Google API formatted XML, App makes the post request. Theoretically, how would I accomplish this? It seems that I need to create a separate ruby Process for the GET request, and when Pipes sends the POST request, I find that process and send its output, then I'm stuck. This would cut out the need for a database for this particular case (I could save the stuff temporarily in a database, but that doesn't seem right). Any ideas? This would make it so I don't have to format things to the Google API in ruby, I could leave that to Pipes.

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