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  • PopUp Blocker code detection not working.

    - by httpftp21
    I have turned on PopUp blocker in FF and Chrome. I have a piece of code to check PopUp is working as: [Code] function checkPopUp() { var myTest = window.open("about:blank","","directories=no,height=1,width=1,menubar=no,resizable=no,scrollbars=no,status=no,titlebar=no,top=0,location=no"); var popUpsBlocked = ''; if (!myTest) { popUpsBlocked = true; } else { popUpsBlocked = false; } return popUpsBlocked; } [/Code] its working fine "onload" of the page. But when i am using it with hyper link onclick, its not working a popup is getting opened. [code] Test [/code]

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  • Easy way to combine php code (lame question)

    - by alekseygr
    Hi, I have vary easy and LAME question. I have code: <?php if (function_exists("insert_audio_player")) {insert_audio_player("[audio:|titles=]"} ?> This code outputs audio player to my page in wordpress. I need to call custom field inside this code. My custom field code is: <?php print_custom_field('tc_filename'); ?> Something like: <?php if (function_exists("insert_audio_player")) {insert_audio_player("[audio:<?php print_custom_field('tc_filename'); ?>|titles=<?php print_custom_field('tc_title'); ?>]"} ?> How can I call for second code inside first? Thx.

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  • C# class code loaded in RAM ?

    - by Spi1988
    hi, I would like to know whether the actual code of a C# class gets loaded in RAM when you instantiate the class? So for example if I have 2 Classes CLASS A , CLASS B, where class A has 10000 lines of code but just 1 field, an int. And class B has 10 lines of code and also 1 field an int as well. If I instantiate Class A will it take more RAM than Class B due to its lines of code ? A supplementary question, If the lines of code are loaded in memory together with the class, will they be loaded for every instance of the class? or just once for all the instances? Thanks in advance.

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  • Creating objects and referencing before saving object to db

    - by Flexo
    Sorry about the vague title, but i didnt know how to ask the question in one line :) I have an order with nested itemgroups that again have nested items. the user specify the amount of item that he would like to have in each itemgroup. I would like to create these items in the create method of the orders controller when the order itself is being created. I kinda have 2 problems here. First, how do i set the reference of the items, or better yet, put the items into the @order object so they are saved when the @order is saved? the items are being stored in the db as the code is now, but the reference is not set because the order is not stored in the db yet so it doesnt have an id yet. Second, im not sure im using the correct way to get the id from my itemgroup. @order = Order.new(params[:order]) @order.itemgroups.each do |f| f.amount.times do @item = Item.new() @item.itemgroup_id = f.id @item.save end end

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  • mvc - how to avoid log out when refresh a page

    - by user235973457
    I have built the MVC application with WCF service. The major problem I have experienced with refreshing page. I have created a login page with session (username and password). But when you refresh the home page by pressing F5, it would automatically log out. That is my problem. I need to stay the home page after refresh. I have been googling around to find a solution but it seems not helpful. Any idea? Your advise or code example much appreciated.

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  • JQuery code problem?

    - by SLAPme
    New to JQuery, I added the following JQuery code below and moved it around in my code and now it won't work I forgot what I did, can someone fix my code by placing the below code in its correct place thanks. $('a').click(function () { $('#changes-saved').remove(); }); return false; // prevent normal submit }); JQuery code. $(function() { $('#changes-saved').hide(); $('.save-button').click(function() { $.post($('#contact-form').attr('action'), $('#contact-form').serialize(), function(html) { $('div.contact-info-form').html(html); $('#changes-saved').append('Changes saved!').show().pause(1000).hide(); }); return false; // prevent normal submit }); $('a').click(function () { $('#changes-saved').remove(); }); return false; // prevent normal submit }); });

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  • Windows scheduled task fails to complete with error code 0xc000013a

    - by Brian
    I'm using Windows Server 2003 and have a scheduled task that fails to complete. The task is set to run a Windows Command Script (.cmd) at 3pm each day. The script runs a program that extracts some data from a SQL Server database and uploads that data to an FTP server. The error code displayed in the "Last result" column of the scheduled tasks folder is 0xc000013a. A quick Google search leads to this Microsoft support page that states: The most common "C" error code is "0xC000013A: The application terminated as a result of a CTRL+C". No-one is logged in at the time the task runs, so there's no-one around to press CTRL+C. I'm not sure I understand what is being said here in the Microsoft documentation. I've checked the rudimentary things - the scheduled task is enabled, scheduled to run each day, and pointing to a file that does exist in a valid location. Interestingly, when I run this task manually (either by running the .cmd script from the command line, or by right-clicking the task and clicking "Run") the task completes successfully. What does this error code mean, and how can I get this task to run when I'm not there to force it?

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  • Quick guide to Oracle IRM 11g: Classification design

    - by Simon Thorpe
    Quick guide to Oracle IRM 11g indexThis is the final article in the quick guide to Oracle IRM. If you've followed everything prior you will now have a fully functional and tested Information Rights Management service. It doesn't matter if you've been following the 10g or 11g guide as this next article is common to both. ContentsWhy this is the most important part... Understanding the classification and standard rights model Identifying business use cases Creating an effective IRM classification modelOne single classification across the entire businessA context for each and every possible granular use caseWhat makes a good context? Deciding on the use of roles in the context Reviewing the features and security for context roles Summary Why this is the most important part...Now the real work begins, installing and getting an IRM system running is as simple as following instructions. However to actually have an IRM technology easily protecting your most sensitive information without interfering with your users existing daily work flows and be able to scale IRM across the entire business, requires thought into how confidential documents are created, used and distributed. This article is going to give you the information you need to ask the business the right questions so that you can deploy your IRM service successfully. The IRM team here at Oracle have over 10 years of experience in helping customers and it is important you understand the following to be successful in securing access to your most confidential information. Whatever you are trying to secure, be it mergers and acquisitions information, engineering intellectual property, health care documentation or financial reports. No matter what type of user is going to access the information, be they employees, contractors or customers, there are common goals you are always trying to achieve.Securing the content at the earliest point possible and do it automatically. Removing the dependency on the user to decide to secure the content reduces the risk of mistakes significantly and therefore results a more secure deployment. K.I.S.S. (Keep It Simple Stupid) Reduce complexity in the rights/classification model. Oracle IRM lets you make changes to access to documents even after they are secured which allows you to start with a simple model and then introduce complexity once you've understood how the technology is going to be used in the business. After an initial learning period you can review your implementation and start to make informed decisions based on user feedback and administration experience. Clearly communicate to the user, when appropriate, any changes to their existing work practice. You must make every effort to make the transition to sealed content as simple as possible. For external users you must help them understand why you are securing the documents and inform them the value of the technology to both your business and them. Before getting into the detail, I must pay homage to Martin White, Vice President of client services in SealedMedia, the company Oracle acquired and who created Oracle IRM. In the SealedMedia years Martin was involved with every single customer and was key to the design of certain aspects of the IRM technology, specifically the context model we will be discussing here. Listening carefully to customers and understanding the flexibility of the IRM technology, Martin taught me all the skills of helping customers build scalable, effective and simple to use IRM deployments. No matter how well the engineering department designed the software, badly designed and poorly executed projects can result in difficult to use and manage, and ultimately insecure solutions. The advice and information that follows was born with Martin and he's still delivering IRM consulting with customers and can be found at www.thinkers.co.uk. It is from Martin and others that Oracle not only has the most advanced, scalable and usable document security solution on the market, but Oracle and their partners have the most experience in delivering successful document security solutions. Understanding the classification and standard rights model The goal of any successful IRM deployment is to balance the increase in security the technology brings without over complicating the way people use secured content and avoid a significant increase in administration and maintenance. With Oracle it is possible to automate the protection of content, deploy the desktop software transparently and use authentication methods such that users can open newly secured content initially unaware the document is any different to an insecure one. That is until of course they attempt to do something for which they don't have any rights, such as copy and paste to an insecure application or try and print. Central to achieving this objective is creating a classification model that is simple to understand and use but also provides the right level of complexity to meet the business needs. In Oracle IRM the term used for each classification is a "context". A context defines the relationship between.A group of related documents The people that use the documents The roles that these people perform The rights that these people need to perform their role The context is the key to the success of Oracle IRM. It provides the separation of the role and rights of a user from the content itself. Documents are sealed to contexts but none of the rights, user or group information is stored within the content itself. Sealing only places information about the location of the IRM server that sealed it, the context applied to the document and a few other pieces of metadata that pertain only to the document. This important separation of rights from content means that millions of documents can be secured against a single classification and a user needs only one right assigned to be able to access all documents. If you have followed all the previous articles in this guide, you will be ready to start defining contexts to which your sensitive information will be protected. But before you even start with IRM, you need to understand how your own business uses and creates sensitive documents and emails. Identifying business use cases Oracle is able to support multiple classification systems, but usually there is one single initial need for the technology which drives a deployment. This need might be to protect sensitive mergers and acquisitions information, engineering intellectual property, financial documents. For this and every subsequent use case you must understand how users create and work with documents, to who they are distributed and how the recipients should interact with them. A successful IRM deployment should start with one well identified use case (we go through some examples towards the end of this article) and then after letting this use case play out in the business, you learn how your users work with content, how well your communication to the business worked and if the classification system you deployed delivered the right balance. It is at this point you can start rolling the technology out further. Creating an effective IRM classification model Once you have selected the initial use case you will address with IRM, you need to design a classification model that defines the access to secured documents within the use case. In Oracle IRM there is an inbuilt classification system called the "context" model. In Oracle IRM 11g it is possible to extend the server to support any rights classification model, but the majority of users who are not using an application integration (such as Oracle IRM within Oracle Beehive) are likely to be starting out with the built in context model. Before looking at creating a classification system with IRM, it is worth reviewing some recognized standards and methods for creating and implementing security policy. A very useful set of documents are the ISO 17799 guidelines and the SANS security policy templates. First task is to create a context against which documents are to be secured. A context consists of a group of related documents (all top secret engineering research), a list of roles (contributors and readers) which define how users can access documents and a list of users (research engineers) who have been given a role allowing them to interact with sealed content. Before even creating the first context it is wise to decide on a philosophy which will dictate the level of granularity, the question is, where do you start? At a department level? By project? By technology? First consider the two ends of the spectrum... One single classification across the entire business Imagine that instead of having separate contexts, one for engineering intellectual property, one for your financial data, one for human resources personally identifiable information, you create one context for all documents across the entire business. Whilst you may have immediate objections, there are some significant benefits in thinking about considering this. Document security classification decisions are simple. You only have one context to chose from! User provisioning is simple, just make sure everyone has a role in the only context in the business. Administration is very low, if you assign rights to groups from the business user repository you probably never have to touch IRM administration again. There are however some obvious downsides to this model.All users in have access to all IRM secured content. So potentially a sales person could access sensitive mergers and acquisition documents, if they can get their hands on a copy that is. You cannot delegate control of different documents to different parts of the business, this may not satisfy your regulatory requirements for the separation and delegation of duties. Changing a users role affects every single document ever secured. Even though it is very unlikely a business would ever use one single context to secure all their sensitive information, thinking about this scenario raises one very important point. Just having one single context and securing all confidential documents to it, whilst incurring some of the problems detailed above, has one huge value. Once secured, IRM protected content can ONLY be accessed by authorized users. Just think of all the sensitive documents in your business today, imagine if you could ensure that only everyone you trust could open them. Even if an employee lost a laptop or someone accidentally sent an email to the wrong recipient, only the right people could open that file. A context for each and every possible granular use case Now let's think about the total opposite of a single context design. What if you created a context for each and every single defined business need and created multiple contexts within this for each level of granularity? Let's take a use case where we need to protect engineering intellectual property. Imagine we have 6 different engineering groups, and in each we have a research department, a design department and manufacturing. The company information security policy defines 3 levels of information sensitivity... restricted, confidential and top secret. Then let's say that each group and department needs to define access to information from both internal and external users. Finally add into the mix that they want to review the rights model for each context every financial quarter. This would result in a huge amount of contexts. For example, lets just look at the resulting contexts for one engineering group. Q1FY2010 Restricted Internal - Engineering Group 1 - Research Q1FY2010 Restricted Internal - Engineering Group 1 - Design Q1FY2010 Restricted Internal - Engineering Group 1 - Manufacturing Q1FY2010 Restricted External- Engineering Group 1 - Research Q1FY2010 Restricted External - Engineering Group 1 - Design Q1FY2010 Restricted External - Engineering Group 1 - Manufacturing Q1FY2010 Confidential Internal - Engineering Group 1 - Research Q1FY2010 Confidential Internal - Engineering Group 1 - Design Q1FY2010 Confidential Internal - Engineering Group 1 - Manufacturing Q1FY2010 Confidential External - Engineering Group 1 - Research Q1FY2010 Confidential External - Engineering Group 1 - Design Q1FY2010 Confidential External - Engineering Group 1 - Manufacturing Q1FY2010 Top Secret Internal - Engineering Group 1 - Research Q1FY2010 Top Secret Internal - Engineering Group 1 - Design Q1FY2010 Top Secret Internal - Engineering Group 1 - Manufacturing Q1FY2010 Top Secret External - Engineering Group 1 - Research Q1FY2010 Top Secret External - Engineering Group 1 - Design Q1FY2010 Top Secret External - Engineering Group 1 - Manufacturing Now multiply the above by 6 for each engineering group, 18 contexts. You are then creating/reviewing another 18 every 3 months. After a year you've got 72 contexts. What would be the advantages of such a complex classification model? You can satisfy very granular rights requirements, for example only an authorized engineering group 1 researcher can create a top secret report for access internally, and his role will be reviewed on a very frequent basis. Your business may have very complex rights requirements and mapping this directly to IRM may be an obvious exercise. The disadvantages of such a classification model are significant...Huge administrative overhead. Someone in the business must manage, review and administrate each of these contexts. If the engineering group had a single administrator, they would have 72 classifications to reside over each year. From an end users perspective life will be very confusing. Imagine if a user has rights in just 6 of these contexts. They may be able to print content from one but not another, be able to edit content in 2 contexts but not the other 4. Such confusion at the end user level causes frustration and resistance to the use of the technology. Increased synchronization complexity. Imagine a user who after 3 years in the company ends up with over 300 rights in many different contexts across the business. This would result in long synchronization times as the client software updates all your offline rights. Hard to understand who can do what with what. Imagine being the VP of engineering and as part of an internal security audit you are asked the question, "What rights to researchers have to our top secret information?". In this complex model the answer is not simple, it would depend on many roles in many contexts. Of course this example is extreme, but it highlights that trying to build many barriers in your business can result in a nightmare of administration and confusion amongst users. In the real world what we need is a balance of the two. We need to seek an optimum number of contexts. Too many contexts are unmanageable and too few contexts does not give fine enough granularity. What makes a good context? Good context design derives mainly from how well you understand your business requirements to secure access to confidential information. Some customers I have worked with can tell me exactly the documents they wish to secure and know exactly who should be opening them. However there are some customers who know only of the government regulation that requires them to control access to certain types of information, they don't actually know where the documents are, how they are created or understand exactly who should have access. Therefore you need to know how to ask the business the right questions that lead to information which help you define a context. First ask these questions about a set of documentsWhat is the topic? Who are legitimate contributors on this topic? Who are the authorized readership? If the answer to any one of these is significantly different, then it probably merits a separate context. Remember that sealed documents are inherently secure and as such they cannot leak to your competitors, therefore it is better sealed to a broad context than not sealed at all. Simplicity is key here. Always revert to the first extreme example of a single classification, then work towards essential complexity. If there is any doubt, always prefer fewer contexts. Remember, Oracle IRM allows you to change your mind later on. You can implement a design now and continue to change and refine as you learn how the technology is used. It is easy to go from a simple model to a more complex one, it is much harder to take a complex model that is already embedded in the work practice of users and try to simplify it. It is also wise to take a single use case and address this first with the business. Don't try and tackle many different problems from the outset. Do one, learn from the process, refine it and then take what you have learned into the next use case, refine and continue. Once you have a good grasp of the technology and understand how your business will use it, you can then start rolling out the technology wider across the business. Deciding on the use of roles in the context Once you have decided on that first initial use case and a context to create let's look at the details you need to decide upon. For each context, identify; Administrative rolesBusiness owner, the person who makes decisions about who may or may not see content in this context. This is often the person who wanted to use IRM and drove the business purchase. They are the usually the person with the most at risk when sensitive information is lost. Point of contact, the person who will handle requests for access to content. Sometimes the same as the business owner, sometimes a trusted secretary or administrator. Context administrator, the person who will enact the decisions of the Business Owner. Sometimes the point of contact, sometimes a trusted IT person. Document related rolesContributors, the people who create and edit documents in this context. Reviewers, the people who are involved in reviewing documents but are not trusted to secure information to this classification. This role is not always necessary. (See later discussion on Published-work and Work-in-Progress) Readers, the people who read documents from this context. Some people may have several of the roles above, which is fine. What you are trying to do is understand and define how the business interacts with your sensitive information. These roles obviously map directly to roles available in Oracle IRM. Reviewing the features and security for context roles At this point we have decided on a classification of information, understand what roles people in the business will play when administrating this classification and how they will interact with content. The final piece of the puzzle in getting the information for our first context is to look at the permissions people will have to sealed documents. First think why are you protecting the documents in the first place? It is to prevent the loss of leaking of information to the wrong people. To control the information, making sure that people only access the latest versions of documents. You are not using Oracle IRM to prevent unauthorized people from doing legitimate work. This is an important point, with IRM you can erect many barriers to prevent access to content yet too many restrictions and authorized users will often find ways to circumvent using the technology and end up distributing unprotected originals. Because IRM is a security technology, it is easy to get carried away restricting different groups. However I would highly recommend starting with a simple solution with few restrictions. Ensure that everyone who reasonably needs to read documents can do so from the outset. Remember that with Oracle IRM you can change rights to content whenever you wish and tighten security. Always return to the fact that the greatest value IRM brings is that ONLY authorized users can access secured content, remember that simple "one context for the entire business" model. At the start of the deployment you really need to aim for user acceptance and therefore a simple model is more likely to succeed. As time passes and users understand how IRM works you can start to introduce more restrictions and complexity. Another key aspect to focus on is handling exceptions. If you decide on a context model where engineering can only access engineering information, and sales can only access sales data. Act quickly when a sales manager needs legitimate access to a set of engineering documents. Having a quick and effective process for permitting other people with legitimate needs to obtain appropriate access will be rewarded with acceptance from the user community. These use cases can often be satisfied by integrating IRM with a good Identity & Access Management technology which simplifies the process of assigning users the correct business roles. The big print issue... Printing is often an issue of contention, users love to print but the business wants to ensure sensitive information remains in the controlled digital world. There are many cases of physical document loss causing a business pain, it is often overlooked that IRM can help with this issue by limiting the ability to generate physical copies of digital content. However it can be hard to maintain a balance between security and usability when it comes to printing. Consider the following points when deciding about whether to give print rights. Oracle IRM sealed documents can contain watermarks that expose information about the user, time and location of access and the classification of the document. This information would reside in the printed copy making it easier to trace who printed it. Printed documents are slower to distribute in comparison to their digital counterparts, so time sensitive information in printed format may present a lower risk. Print activity is audited, therefore you can monitor and react to users abusing print rights. Summary In summary it is important to think carefully about the way you create your context model. As you ask the business these questions you may get a variety of different requirements. There may be special projects that require a context just for sensitive information created during the lifetime of the project. There may be a department that requires all information in the group is secured and you might have a few senior executives who wish to use IRM to exchange a small number of highly sensitive documents with a very small number of people. Oracle IRM, with its very flexible context classification system, can support all of these use cases. The trick is to introducing the complexity to deliver them at the right level. In another article i'm working on I will go through some examples of how Oracle IRM might map to existing business use cases. But for now, this article covers all the important questions you need to get your IRM service deployed and successfully protecting your most sensitive information.

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  • Sharing data between graphics and physics engine in the game?

    - by PolGraphic
    I'm writing the game engine that consists of few modules. Two of them are the graphics engine and the physics engine. I wonder if it's a good solution to share data between them? Two ways (sharing or not) looks like that: Without sharing data GraphicsModel{ //some common for graphics and physics data like position //some only graphic data //like textures and detailed model's verticles that physics doesn't need }; PhysicsModel{ //some common for graphics and physics data like position //some only physics data //usually my physics data contains A LOT more informations than graphics data } engine3D->createModel3D(...); physicsEngine->createModel3D(...); //connect graphics and physics data //e.g. update graphics model's position when physics model's position will change I see two main problems: A lot of redundant data (like two positions for both physics and graphics data) Problem with updating data (I have to manually update graphics data when physics data changes) With sharing data Model{ //some common for graphics and physics data like position }; GraphicModel : public Model{ //some only graphics data //like textures and detailed model's verticles that physics doesn't need }; PhysicsModel : public Model{ //some only physics data //usually my physics data contains A LOT more informations than graphics data } model = engine3D->createModel3D(...); physicsEngine->assingModel3D(&model); //will cast to //PhysicsModel for it's purposes?? //when physics changes anything (like position) in model //(which it treats like PhysicsModel), the position for graphics data //will change as well (because it's the same model) Problems here: physicsEngine cannot create new objects, just "assing" existing ones from engine3D (somehow it looks more anti-independent for me) Casting data in assingModel3D function physicsEngine and graphicsEngine must be careful - they cannot delete data when they don't need them (because second one may need it). But it's rare situation. Moreover, they can just delete the pointer, not the object. Or we can assume that graphicsEngine will delete objects, physicsEngine just pointers to them. Which way is better? Which will produce more problems in the future? I like the second solution more, but I wonder why most graphics and physics engines prefer the first one (maybe because they normally make only graphics or only physics engine and somebody else connect them in the game?). Have they any more hidden pros & contras?

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  • When using procmail with maildir, it returns error with code I found

    - by bradlis7
    I'm not an expert at procmail, but I have this code: DROPPRIVS=yes DEFAULT=$HOME/Maildir/ :0 * ? /usr/bin/test -d $DEFAULT || /bin/mkdir $DEFAULT { } :0 E { # Bail out if directory could not be created EXITCODE=127 HOST=bail.out } MAILDIR=$HOME/Maildir/ But, when the directory already exists, sometimes it will send a return email with this error: 554 5.3.0 unknown mailer error 127. The email still gets delivered, mind you, but it sends back an error code. I fixed this temporarily by commenting out the EXITCODE and HOST lines, but I'd like to know if there is a better solution. I found this block of code in multiple places across the net, but couldn't really find why this error was coming back to me. It seems to happen when I send an email to a local user, sometimes the user has a .forward file to send it on to other users, sometimes not, but the result has been the same. I also tried removing DROPPRIVS, just in case it was messing up the forwarding, but it did not seem to affect it. Is the line starting with * ? /usr/bin/test a problem? The * signifies a regex, but the ? makes it return an integer value, correct? What is the integer being matched against? Or is it just comparing the integer return value? Thanks for the help.

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  • How do I Integrate Production Database Hot Fixes into Shared Database Development model?

    - by TetonSig
    We are using SQL Source Control 3, SQL Compare, SQL Data Compare from RedGate, Mercurial repositories, TeamCity and a set of 4 environments including production. I am working on getting us to a dedicated environment per developer, but for at least the next 6 months we are stuck with a shared model. To summarize our current system, we have a DEV SQL server where developers first make changes/additions. They commit their changes through SQL Source Control to a local hgdev repository. When they execute an hg push to the main repository, TeamCity listens for that and then (among other things) pushes hgdev repository to hgrc. Another TeamCity process listens for that and does a pull from hgrc and deploys the latest to a QA SQL Server where regression and integration tests are run. When those are passed a push from hgrc to hgprod occurs. We do a compare of hgprod to our PREPROD SQL Server and generate deployment/rollback scripts for our production release. Separate from the above we have database Hot Fixes that will need to be applied in between releases. The process there is for our Operations team make changes on the PreProd database, and then after testing, to use SQL Source Control to commit their hot fix changes to hgprod from the PREPROD database, and then do a compare from hgprod to PRODUCTION, create deployment scripts and run them on PRODUCTION. If we were in a dedicated database per developer model, we could simply automatically push hgprod back to hgdev and merge in the hot fix change (through TeamCity monitoring for hgprod checkins) and then developers would pick it up and merge it to their local repository and database periodically. However, given that with a shared model the DEV database itself is the source of all changes, this won't work. Pushing hotfixes back to hgdev will show up in SQL Source Control as being different than DEV SQL Server and therefore we need to overwrite the reposistory with the "change" from the DEV SQL Server. My only workaround so far is to just have OPS assign a developer the hotfix ticket with a script attached and then we run their hotfixes against DEV ourselves to merge them back in. I'm not happy with that solution. Other than working faster to get to dedicated environment, are they other ways to keep this loop going automatically?

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  • Richmond Code Camp 2010.1 &ndash; Developing WPF Applications using Model-View-ViewModel

    - by John Blumenauer
    The code and slides from my Developing WPF Applications using Model-View-ViewModel session at Richmond Code Camp can be found HERE. During the session, a number of the attendees had some really great questions which tells me they’re really thinking about how to start using MVVM in their own apps.  I’ll be interested to hear feedback as they start investigating and introducing MVVM in their applications.  If you experience any problems downloading the slides or code, please let me know.

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  • Why do meshes show up as bones in the Model class?

    - by Itamar Marom
    Right now I'm working on a 3D game and I've come across something very weird. When I created the model in Blender, I added an armature named "MyBone" to the stage and attached a cube ("MyCube") to it, so that when I move the armature, the cube moves with it. I exported this as an FBX and loaded it as a Model object. What I expected to see was: But what I got was this: I'm really confused. Why is the mesh I created showing up in the bone list? And what's Root Node? Here are the .blend and .fbx files: here or here. Thanks.

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  • Ruby net:LDAP returns "code = 53 message = Unwilling to perform" error

    - by Yong
    Hi, I am getting this error "code = 53, message = Unwilling to perform" while I am traversing the eDirectory treebase = "ou=Users,o=MTC". My ruby script can read about 126 entries from eDirectory and then it stops and prints out this error. I do not have any clue of why this is happening. I am using the ruby net:LDAP library version 0.0.4. The following is an excerpt of the code. require 'rubygems' require 'net/ldap' ldap = Net::LDAP.new :host => "10.121.121.112", :port => 389, :auth => {:method => :simple, :username => "cn=abc,ou=Users,o=MTC", :password => "123" } filter = Net::LDAP::Filter.eq( "mail", "*mtc.ca.gov" ) treebase = "ou=Users,o=MTC" attrs = ["mail", "uid", "cn", "ou", "fullname"] i = 0 ldap.search( :base => treebase, :attributes => attrs, :filter => filter ) do |entry| puts "DN: #{entry.dn}" i += 1 entry.each do |attribute, values| puts " #{attribute}:" values.each do |value| puts " --->#{value}" end end end puts "Total #{i} entries found." p ldap.get_operation_result Here is the output and the error at the end. Thank you very much for your help. DN: cn=uvogle,ou=Users,o=MTC mail: --->[email protected] fullname: --->Ursula Vogler ou: --->Legislation and Public Affairs dn: --->cn=uvogle,ou=Users,o=MTC cn: --->uvogle Total 126 entries found. OpenStruct code=53, message="Unwilling to perform"

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  • Code to update HyperV Export file

    - by Andy Schneider
    I am using the HyperV Module from Codeplex to do a "config only" export from a 2008R2 Hyper-V server. In order to import the configuration on another HyperV server, I need to edit the value of CopyVMStorage in the EXP file. This file is an XML file. I wrote the following code in PowerShell to do the update for me. The variable $existing is the existing exp file. $xml = [xml](get-content $existing) $xpath = '//PROPERTY[@NAME ="CopyVmStorage"]' foreach ($node in $xml.SelectNodes($xpath)) {$node.Value = 'TRUE'} $xml.Save($existing) This code makes the correct changes to the XML. However, when I go to import the file on the Hyper-V server, I get an error that says the file format is incorrect. I am wondering if the encoding of the file is incorrect or if there is something else going on. If I edit the file manually in wordpad, it imports without an issue. The filename is a GUID with a .exp extension, and it appears that the file name is too long for notepad to open. Notepad throws an error trying to open the file, which is why I went with WordPad. I have noticed that the file that is updated with PowerShell comes out formatted whereas the raw file is xml all bunched together with no whitespace. Any ideas on what "file format" means in this HyperV error message and how I might be able to use my code to automate this change in the XML without changing the file format?

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  • QR Codes Printing, but Not Printing Correctly - Any Ideas?

    - by SDS
    I am mail merging some QR codes via file paths stored in Excel into a label template in MS Word 2013. I have the whole process with the Ctrl+F9 working properly, but I am stumped on this: On the 30 label sheet I am trying to print I have 6 labels that are repeating information, and stored in duplicated rows in Excel for this print job. All of the labels have 2 images on them, one is a logo and the other one is a unique QR code for that person. For the first set of 6 labels that print out, everything works perfect. However, from the 2nd time the information is printed onward all of the merged fields and logo look correct, but the QR codes are printing strangely. Basically it's the QR code as I want it, but with a copy of itself covering the top left 25% of the QR code. Print preview doesn't show this happening, only once it's printed does it come out like this. I've been trying everything I can think of to fix this and don't know what to do. So far I've: Recreated the document several times, tried duplicating the images in the source folder and giving the links in the Excel document new file paths in case the mail merge feeding from the same .jpg was an issue (even though it's not a problem with the logo) Any help or insight is greatly appreciate because this is a test run for a larger batch run that I need to get done soon :( Thank you!

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  • Let a model instance choose appropriate view class using category. Is it good design?

    - by Denis Mikhaylov
    Assume I have abstract base model class called MoneySource. And two realizations BankCard and CellularAccount. In MoneysSourceListViewController I want to display a list of them, but with ListItemView different for each MoneySource subclass. What if I define a category on MoneySource @interface MoneySource (ListItemView) - (Class)listItemViewClass; @end And then override it for each concrete sublcass of MoneySource, returning suitable view class. @implementation CellularAccount (ListItemView) - (Class)listItemViewClass { return [BankCardListView class]; } @end @implementation BankCard (ListItemView) - (Class)listItemViewClass { return [CellularAccountListView class]; } @end so I can ask model object about its view, not violating MVC principles, and avoiding class introspection or if constructions. Thank you!

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  • Manual Http error response code in non-existent folder via routing

    - by Slytherin
    Apache server running on ubuntu-like linux I am getting unexpected behaviour when i try to manually send error response. If my .htaccess is responsible for the error response , then appropriate error document is loaded and displayed , with according response code in browser console. However , if my router is origin of the response code , then i get blank screen , but correct response code. .htaccess looks like this RewriteEngine On # RewriteBase / RewriteCond %{REQUEST_FILENAME} !-f RewriteCond %{REQUEST_FILENAME} !-d RewriteRule !\.(css|js|icon|zip|rar|png|jpg|gif|pdf)$ index.php [L] ErrorDocument 404 /err/404.html ErrorDocument 403 /err/403.html ErrorDocument 500 /err/500.html part of my router that sends the response is the following header("HTTP/1.1 403 Forbidden"); trying this format didnt help either header("HTTP/1.1 403 Forbidden", TRUE, 403); I also tried HTTP/1.0. Furthermore i was thinking that maybe relative path to error page might be an issue , but discarded this idea after attempting to access a document that is forbidden via .htaccess EDIT I should also point out , this scenario happens when URL for not-existing article is requested. Is it possible that Server is looking for a .htaccess file in a folder based on URL ? Eg: domain/blog/non-existent , is server looking for blog folder ? I am specifically asking this because there is no blog folder

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  • Getting Run time 1004 error in code

    - by krishna123
    I tried the code provided by vba express for combining sheet, while execution it is displaying Run Time error 1004: Application Defined or Object Defined Error: My Scenario is: I have a Excel, in that I have first sheet "Connection" and after it I have Sheet1, Sheet2 and so on. I am combining all sheets except Sheet"Conection" by saying start with sheet2. I tried following line of code to exclude "Connection" sheet: If Not Sheet.Name = "Connection" then but it did not work. Whatever the sheets I have in some of them I have large data in some cells. Here is the code which I am using: I have highlighted the line Sub CopyFromWorksheets() Dim wrk As Workbook 'Workbook object - Always good to work with object variables Dim sht As Worksheet 'Object for handling worksheets in loop Dim trg As Worksheet 'Master Worksheet Dim rng As Range 'Range object Dim colCount As Integer 'Column count in tables in the worksheets Set wrk = ActiveWorkbook 'Working in active workbook For Each sht In wrk.Worksheets If sht.Name = "Master" Then sht.Delete Exit Sub End If Next sht 'We don't want screen updating Application.ScreenUpdating = False 'trg.SaveAs "C:\temp\CPReport1.xls" 'Add new worksheet as the last worksheet Set trg = wrk.Worksheets.Add(After:=wrk.Worksheets(wrk.Worksheets.Count)) 'Rename the new worksheet trg.Name = "Master" 'Get column headers from the first worksheet 'Column count first Set sht = wrk.Worksheets(2) colCount = sht.Cells(1, 255).End(xlToLeft).Column 'Now retrieve headers, no copy&paste needed With trg.Cells(1, 1).Resize(1, colCount) .Value = sht.Cells(1, 1).Resize(1, colCount).Value 'Set font as bold .Font.Bold = True End With trg.SaveAs "C:\temp\CPReport1.xls" 'We can start loop 'Skip Sheet - Connection If Not sht.Name = "Connection" Then For Each sht In wrk.Worksheets 'If worksheet in loop is the last one, stop execution (it is Master worksheet) If sht.Index = wrk.Worksheets.Count Then Exit For End If 'Data range in worksheet - starts from second row as first rows are the header rows in all worksheets Set rng = sht.Range(sht.Cells(2, 1), sht.Cells(65536, 1).End(xlUp).Resize(, colCount)) 'Put data into the Master worksheet '----------------- Error in below line -------------------------------------------------- trg.Cells(65536, 1).End(xlUp).Offset(1).Resize(rng.Rows.Count, rng.Columns.Count).Value = rng.Value '---------------------------------------------------------------------------------------- Next sht End If 'Fit the columns in Master worksheet trg.Columns.AutoFit 'Dim dest, destyfile 'dest = "E:\Test_Merge\" 'destyfile = dest & "_" & trg.Name 'trg.SaveAs (destyfile) 'Screen updating should be activated Application.ScreenUpdating = True End Sub

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  • Core Data Migration - "Can't add source store" error

    - by Tofrizer
    Hi, In my iPhone app I'm using Core Data and I've made changes to my data model that cannot be automatically migrated over (i.e. added new relationships). I added the data model version (Design - Data Model - Add Model Version) and applied my new data model changes to the new version 2. I then created a mapping object model and set the Source and Destination models to their correct data models (old and new respectively). When I run the app and call the persistentStoreCoordinator, my app barfs with the following: 2010-02-27 02:40:30.922 XXXX[73578:20b] Unresolved error Error Domain=NSCocoaErrorDomain Code=134110 UserInfo=0xfc2240 "Operation could not be completed. (Cocoa error 134110.)", { NSUnderlyingError = Error Domain=NSCocoaErrorDomain Code=134130 UserInfo=0xfbb3a0 "Operation could not be completed. (Cocoa error 134130.)"; reason = "Can't add source store"; } FWIW (not much i think) I've also made the usual code changes in persistentStoreCoordinator to use the NSMigratePersistentStoresAutomaticallyOption and NSInferMappingModelAutomaticallyOption (for future data model changes that can be automatically migrated). More relevantly, my managedObjectModel is created by calling initWithContentsOfURL where the file/resource type is "momd". I've tried updating both the source and destination model in the mapping model (Design - Mapping Model - Update XXX Model) as well as deleted the mapping model and recreated it. I've cleaned and re-built but all to no avail. I still get the above error message. Any pointers/thoughts on how I can further debug or resolve this problem please? I haven't posted any code snippets because this feels much more like a build environment issue (and my code is very standard - just the usual core data code to handle migrations using a mapping model but I'm happy to show the code if it helps). Appreciate any help. Thanks

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  • help in the Donalds B. Johnson's algorithm, i cannot understand the pseudo code (PART II)

    - by Pitelk
    Hi all , i cannot understand a certain part of the paper published by Donald Johnson about finding cycles (Circuits) in a graph. More specific i cannot understand what is the matrix Ak which is mentioned in the following line of the pseudo code : Ak:=adjacency structure of strong component K with least vertex in subgraph of G induced by {s,s+1,....n}; to make things worse some lines after is mentins " for i in Vk do " without declaring what the Vk is... As far i have understand we have the following: 1) in general, a strong component is a sub-graph of a graph, in which for every node of this sub-graph there is a path to any node of the sub-graph (in other words you can access any node of the sub-graph from any other node of the sub-graph) 2) a sub-graph induced by a list of nodes is a graph containing all these nodes plus all the edges connecting these nodes. in paper the mathematical definition is " F is a subgraph of G induced by W if W is subset of V and F = (W,{u,y)|u,y in W and (u,y) in E)}) where u,y are edges , E is the set of all the edges in the graph, W is a set of nodes. 3)in the code implementation the nodes are named by integer numbers 1 ... n. 4) I suspect that the Vk is the set of nodes of the strong component K. now to the question. Lets say we have a graph G= (V,E) with V = {1,2,3,4,5,6,7,8,9} which it can be divided into 3 strong components the SC1 = {1,4,7,8} SC2= {2,3,9} SC3 = {5,6} (and their edges) Can anybody give me an example for s =1, s= 2, s= 5 what if going to be the Vk and Ak according to the code? The pseudo code is in my previous question in http://stackoverflow.com/questions/2908575/help-in-the-donalds-b-johnsons-algorithm-i-cannot-understand-the-pseudo-code and the paper can be found at http://stackoverflow.com/questions/2908575/help-in-the-donalds-b-johnsons-algorithm-i-cannot-understand-the-pseudo-code thank you in advance

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  • Box2dx: Usage of World.QueryAABB?

    - by Rosarch
    I'm using Box2dx with C#/XNA. I'm trying to write a function that determines if a body could exist in a given point without colliding with anything: /// <summary> /// Can gameObject exist with start Point without colliding with anything? /// </summary> internal bool IsAvailableArea(GameObjectModel model, Vector2 point) { Vector2 originalPosition = model.Body.Position; model.Body.Position = point; // less risky would be to use a deep clone AABB collisionBox; model.Body.GetFixtureList().GetAABB(out collisionBox); // how is this supposed to work? physicsWorld.QueryAABB(x => true, ref collisionBox); model.Body.Position = originalPosition; return true; } Is there a better way to go about doing this? How is World.QueryAABB supposed to work? Here is an earlier attempt. It is broken; it always returns false. /// <summary> /// Can gameObject exist with start Point without colliding with anything? /// </summary> internal bool IsAvailableArea(GameObjectModel model, Vector2 point) { Vector2 originalPosition = model.Body.Position; model.Body.Position = point; // less risky would be to use a deep clone AABB collisionBox; model.Body.GetFixtureList().GetAABB(out collisionBox); ICollection<GameObjectController> gameObjects = worldQueryEngine.GameObjectsForPredicate(x => ! x.Model.Passable); foreach (GameObjectController controller in gameObjects) { AABB potentialCollidingBox; controller.Model.Body.GetFixtureList().GetAABB(out potentialCollidingBox); if (AABB.TestOverlap(ref collisionBox, ref potentialCollidingBox)) { model.Body.Position = originalPosition; return false; // there is something that will collide at this point } } model.Body.Position = originalPosition; return true; }

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  • Asp.Net MVC Tutorial Unit Tests

    - by Nicholas
    I am working through Steve Sanderson's book Pro ASP.NET MVC Framework and I having some issues with two unit tests which produce errors. In the example below it tests the CheckOut ViewResult: [AcceptVerbs(HttpVerbs.Post)] public ViewResult CheckOut(Cart cart, FormCollection form) { // Empty carts can't be checked out if (cart.Lines.Count == 0) { ModelState.AddModelError("Cart", "Sorry, your cart is empty!"); return View(); } // Invoke model binding manually if (TryUpdateModel(cart.ShippingDetails, form.ToValueProvider())) { orderSubmitter.SubmitOrder(cart); cart.Clear(); return View("Completed"); } else // Something was invalid return View(); } with the following unit test [Test] public void Submitting_Empty_Shipping_Details_Displays_Default_View_With_Error() { // Arrange CartController controller = new CartController(null, null); Cart cart = new Cart(); cart.AddItem(new Product(), 1); // Act var result = controller.CheckOut(cart, new FormCollection { { "Name", "" } }); // Assert Assert.IsEmpty(result.ViewName); Assert.IsFalse(result.ViewData.ModelState.IsValid); } I have resolved any issues surrounding 'TryUpdateModel' by upgrading to ASP.NET MVC 2 (Release Candidate 2) and the website runs as expected. The associated error messages are: *Tests.CartControllerTests.Submitting_Empty_Shipping_Details_Displays_Default_View_With_Error: System.ArgumentNullException : Value cannot be null. Parameter name: controllerContext* and the more detailed at System.Web.Mvc.ModelValidator..ctor(ModelMetadata metadata, ControllerContext controllerContext) at System.Web.Mvc.DefaultModelBinder.OnModelUpdated(ControllerContext controllerContext, ModelBindingContext bindingContext) at System.Web.Mvc.DefaultModelBinder.BindComplexModel(ControllerContext controllerContext, ModelBindingContext bindingContext) at System.Web.Mvc.Controller.TryUpdateModel[TModel](TModel model, String prefix, String[] includeProperties, String[] excludeProperties, IValueProvider valueProvider) at System.Web.Mvc.Controller.TryUpdateModel[TModel](TModel model, IValueProvider valueProvider) at WebUI.Controllers.CartController.CheckOut(Cart cart, FormCollection form) Has anyone run into a similar issue or indeed got the test to pass?

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  • How can I write good "research code"?

    - by John
    "Research code" is often held up as a paragon of what not to do when writing software. Certainly, the kind of code that often results from trying to solve a research problem can end up being poorly-designed, difficult to debug, etc. But my question is this: does research code have to be this way? Is it possible to write good research code? Is the only approach to consider the first version a poorly-written prototype to be discarded in favour of the better-designed second version? Software engineering has all sorts of best practices about how to design and write good code, but I don't usually find this relevant when you don't have a good idea ahead of time what the final system will look like. The final system is likely to be a result of what did or didn't work along the way, and the only way to determine what does or doesn't work is to write the code first. As you find things that don't work, you change what the final system looks like, moving further away from your original design (assuming you had one). I'd be interested in any personal experience with these issues, as well as any books or other resources anyone can point me to.

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  • Best practices to develop and maintaing code for complex JQuery/JQueryUI based applications

    - by dafi
    I'm working on my first very complex JQuery based application. A single web page can contain hundreds of JQuery related code for example to JQueryUI dialogs. Now I want to organize code in separated files. For example I'm moving all initialization dialogs code $("#dialog-xxx").dialog({...}) in separated files and due to reuse I wrap them on single function call like dialogs.js function initDialog_1() { $("#dialog-1").dialog({}); } function initDialog_2() { $("#dialog-2").dialog({}); } This simplifies function code and make caller page clear $(function() { // do some init stuff initDialog_1(); initTooltip_2(); }); Is this the correct pattern? Are you using more efficient techniques? I know that splitting code in many js files introduces an ugly band-bandwidth usage so. Does exist some good practice or tool to 'join' files for production environments? I imagine some tool that does more work than simply minimize and/or compress JS code.

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