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  • Dynamic stack allocation in C++

    - by Poni
    I want to allocate memory on the stack. Heard of _alloca / alloca and I understand that these are compiler-specific stuff, which I don't like. So, I came-up with my own solution (which might have it's own flaws) and I want you to review/improve it so for once and for all we'll have this code working: /*#define allocate_on_stack(pointer, size) \ __asm \ { \ mov [pointer], esp; \ sub esp, [size]; \ }*/ /*#define deallocate_from_stack(size) \ __asm \ { \ add esp, [size]; \ }*/ void test() { int buff_size = 4 * 2; char *buff = 0; __asm { // allocate mov [buff], esp; sub esp, [buff_size]; } // playing with the stack-allocated memory for(int i = 0; i < buff_size; i++) buff[i] = 0x11; __asm { // deallocate add esp, [buff_size]; } } void main() { __asm int 3h; test(); } Compiled with VC9. What flaws do you see in it? Me for example, not sure that subtracting from ESP is the solution for "any kind of CPU". Also, I'd like to make the commented-out macros work but for some reason I can't.

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  • How To Create a Flexible Plug-In Architecture?

    - by justkt
    A repeating theme in my development work has been the use of or creation of an in-house plug-in architecture. I've seen it approached many ways - configuration files (XML, .conf, and so on), inheritance frameworks, database information, libraries, and others. In my experience: A database isn't a great place to store your configuration information, especially co-mingled with data Attempting this with an inheritance hierarchy requires knowledge about the plug-ins to be coded in, meaning the plug-in architecture isn't all that dynamic Configuration files work well for providing simple information, but can't handle more complex behaviors Libraries seem to work well, but the one-way dependencies have to be carefully created. As I seek to learn from the various architectures I've worked with, I'm also looking to the community for suggestions. How have you implemented a solid plug-in architecture? What was your worst failure (or the worst failure you've seen)? What would you do if you were going to implement a new plug-in architecture? What SDK or open source project that you've worked with has the best example of a good architecture? A few examples I've been finding on my own: Perl's Module::Plugable An SO question with a list for Java (including Sever Provider Interfaces) An SO question for C++ pointing to a Dr. Dobbs article These examples seem to play to various language strengths. Is a good plugin architecture necessarily tied to the language? Is it best to use tools to create a plugin architecture, or to do it on one's own following models?

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  • How do I run NUnit in debug mode from Visual Studio?

    - by Jon Cage
    I've recently been building a test framework for a bit of C# I've been working on. I have NUnit set up and a new project within my workspace to test the component. All works well if I load up my unit tests from Nunit (v2.4), but I've got to the point where it would be really useful to run in debug mode and set some break points. I've tried the suggestions from several guides which all suggest changing the 'Debug' properties of the test project: Start external program: C:\Program Files\NUnit 2.4.8\bin\nunit-console.exe Command line arguments: /assembly: <full-path-to-solution>\TestDSP\bin\Debug\TestDSP.dll I'm using the console version there, but have tried the calling the GUI as well. Both give me the same error when I try and start debugging: Cannot start test project 'TestDSP' because the project does not contain any tests. Is this because I normally load \DSP.nunit into the Nunit GUI and that's where the tests are held? I'm beginning to think the problem may be that VS wants to run it's own test framework and that's why it's failing to find the NUnit tests? [Edit] To those asking about test fixtures, one of my .cs files in the TestDSP project looks roughly like this: namespace Some.TestNamespace { // Testing framework includes using NUnit.Framework; [TestFixture] public class FirFilterTest { /// <summary> /// Tests that a FirFilter can be created /// </summary> [Test] public void Test01_ConstructorTest() { ...some tests... } } } ...I'm pretty new to C# and the Nunit test framework so it's entirely possible I've missed some crucial bit of information ;-) [FINAL SOLUTION] The big problem was the project I'd used. If you pick: Other Languages->Visual C#->Test->Test Project ...when you're choosing the project type, Visual Studio will try and use it's own testing framework as far as I can tell. You should pick a normal c# class library project instead and then the instructions in my selected answer will work.

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  • Pointer incrementing query

    - by Craig
    I have been looking at this piece of code, and it is not doing what I expect. I have 3 globals. int x, y, *pointer, z; Inside of main I declare them. x = 10; y = 25; pointer = &x; now at this point &x is 0x004A144 &y is 0x004A138 pointer is pointing to 0x004A144 Now when I increment: y = *++pointer; it points to 0x004A148, this is the address y should be at shouldn't it? The idea is that incrementing the pointer to 'x' should increment it to point at y, but it doesn't seem to want to declare them in in order like I expect. If this a VS2005 / 2008 problem? Or maybe an Express problem? This isn't really homework, as I have done it a couple of years ago but I was revising on my pointer stuff and I tried this again. But this time I am getting unexpected results. Does anyone have opinions on this? *UPDATE sorry should be more clear, 'thought' on declaration 'y' should be at 148, and that incrementing the pointer pointing to x should increment 'pointer' to 148 (which it does), but that isn't where y is. Why isn't y declaring where it should be.

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  • Commercial web application--scalable database design

    - by Rob Campbell
    I'm designing a set of web apps to track scientific laboratory data. Each laboratory has several members, each of whom will access both their own data and that of their laboratory as a whole. Many typical queries will thus be expected to return records of multiple members (e.g. my mouse, joe's mouse and sally's mouse). I think I have the database fairly well normalized. I'm now wondering how to ensure that users can efficiently access both their own data and their lab's data set when it is mixed among (hopefully) a whole ton of records from other labs. What I've come up with so far is that most tables will end with two fields: user_id and labgroup_id. The WHERE clause of any SELECT statement will include the appropriate reference to one of the id fields ("...WHERE 'labroup_id=n..." or "...WHERE user_id=n..."). My questions are: Is this an approach that will scale to 10^6 or more records? If so, what's the best way to use these fields in a query so that it most efficiently searches the relevant subset of the database? e.g. Should the first step in querying be to create a temporary table containing just the labgroup's data? Or will indexing using some combination of the id, user_id, and labroup_id fields be sufficient at that scale? I thank any responders very much in advance.

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  • python gui generate math equation

    - by Nero Dietrich
    I have a homework question for one specific item with python GUIs. My goal is to create a GUI that asks a random mathematical equation and if the equation is evaluated correctly, then I will receive a message stating that it is correct. My main problem is finding out where to place my statements so that they show up in the labels; I have 1 textbox which generates the random equation, the next textbox is blank for me to enter the solution, and then an "Enter" button at the end to evaluate my solution. It looks like this: [randomly generated equation][Empty space to enter solution] [ENTER] I've managed to get the layout and the evaluate parameters, but I don't know where to go from here. This is my code so far: class Equation(Frame): def __init__(self,parent=None): Frame.__init__(self, parent) self.pack() Equation.make_widgets(self) Equation.new_problem(self) def make_widgets(self): Label(self).grid(row=0, column=1) ent = Entry(self) ent.grid(row=0, column=1) Label(self).grid(row=0, column=2) ent = Entry(self) ent.grid(row=0, column=2) Button(self, text='Enter', command=self.evaluate).grid(row=0, column=3) def new_problem(self): pass def evaluate(self): result = eval(self.get()) self.delete(0, END) self.insert(END, result) print('Correct')

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  • Concept of WNDCLASSEX, good programming habits and WndProc for system classes

    - by luiscubal
    I understand that the Windows API uses "classes", relying to the WNDCLASS/WNDCLASSEX structures. I have successfully gone through windows API Hello World applications and understand that this class is used by our own windows, but also by Windows core controls, such as "EDIT", "BUTTON", etc. I also understand that it is somehow related to WndProc(it allows me to define a function for it) Although I can find documentation about this class, I can't find anything explaining the concept. So far, the only thing I found about it was this: A Window Class has NOTHING to do with C++ classes. Which really doesn't help(it tells me what it isn't but doesn't tellme what it is). In fact, this only confuses me more, since I'd be tempted to associate WNDCLASSEX to C++ classes and think that "WNDCLASSEX" represents a control type . So, my first question is What is it? In second place, I understand that one can define a WndProc in a class. However, a window can also get messages from the child controls(or windows, or whatever they are called in the Windows API). How can this be? Finally, when is it a good programming practise to define a new class? Per application(for the main frame), per frame, one per control I define(if I create my own progress bar class, for example)? I know Java/Swing, C#/Windows.Form, C/GTK+ and C++/wxWidgets, so I'll probably understand comparisons with these toolkits.

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  • Determining when stringByEvaluatingJavaScriptFromString has finished

    - by alku83
    I have a UIWebView which loads up an HTML page. This page has two buttons on it, say Exit and Submit. I don't want users to be able to click the Exit button, so once the page has finished loading (ie. webViewDidFinishLoad is called), I use stringByEvaluatingJavaScriptFromString to remove one of these buttons, by manipulating the HTML. I also disable user interaction on the UIWebView on webViewDidStartLoad, and enable it again on webViewDidFinishLoad. The problem I am finding is that stringByEvaluatingJavaScriptFromString takes a second or two to complete, and it seems to be done in it's own thread. So what is happening is that webViewDidFinishLoad is called, user interaction is enabled on the UIWebView, and if the user is quick, they can click the Exit button before stringByEvaluatingJavaScriptFromString has finished. As stringByEvaluatingJavaScriptFromString seems to be on it's own thread with no way to know when it's finished (it doesnt call webViewDidFinishLoad), the only way to completely prevent users from tapping the Exit button that I can see is to only enable user interaction on the UIWebView after some delay, which is unreliable (how can I really know how long to delay for?). Am I correct in that stringByEvaluatingJavaScriptFromString is done on it's on thread, and I have no way of being able to tell when it's finished? Any other suggestions for how to get around this problem? EDIT: In short, what I want to know is if it is possible to disable a UIWebView while stringByEvaluatingJavaScriptFromString is executing, and re-enable the UIWebView when the javascript is finished. EDIT 2: There's an article here which seems to imply you can somehow poll the JS engine to see when it's finished, but I can't find any other references saying the same thing: http://drnicwilliams.com/2008/11/10/to-webkit-or-not-to-webkit-within-your-iphone-app/ EDIT 3 Based on the answer from Brad Smith, it seems that I actually need to know when the UIWebView has finished loading itself after the javascript has executed. It's looking more and more like I just need to put a delay of sorts in there.

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  • Performance of VIEW vs. SQL statement

    - by Matt W.
    I have a query that goes something like the following: select <field list> from <table list> where <join conditions> and <condition list> and PrimaryKey in (select PrimaryKey from <table list> where <join list> and <condition list>) and PrimaryKey not in (select PrimaryKey from <table list> where <join list> and <condition list>) The sub-select queries both have multiple sub-select queries of their own that I'm not showing so as not to clutter the statement. One of the developers on my team thinks a view would be better. I disagree in that the SQL statement uses variables passed in by the program (based on the user's login Id). Are there any hard and fast rules on when a view should be used vs. using a SQL statement? What kind of performance gain issues are there in running SQL statements on their own against regular tables vs. against views. (Note that all the joins / where conditions are against indexed columns, so that shouldn't be an issue.) EDIT for clarification... Here's the query I'm working with: select obj_id from object where obj_id in( (select distinct(sec_id) from security where sec_type_id = 494 and ( (sec_usergroup_id = 3278 and sec_usergroup_type_id = 230) or (sec_usergroup_id in (select ug_gi_id from user_group where ug_ui_id = 3278) and sec_usergroup_type_id = 231) ) and sec_obj_id in ( select obj_id from object where obj_ot_id in (select of_ot_id from obj_form left outer join obj_type on ot_id = of_ot_id where ot_app_id = 87 and of_id in (select sec_obj_id from security where sec_type_id = 493 and ( (sec_usergroup_id = 3278 and sec_usergroup_type_id = 230) or (sec_usergroup_id in (select ug_gi_id from user_group where ug_ui_id = 3278) and sec_usergroup_type_id = 231) ) ) and of_usage_type_id = 131 ) ) ) ) or (obj_ot_id in (select of_ot_id from obj_form left outer join obj_type on ot_id = of_ot_id where ot_app_id = 87 and of_id in (select sec_obj_id from security where sec_type_id = 493 and ( (sec_usergroup_id = 3278 and sec_usergroup_type_id = 230) or (sec_usergroup_id in (select ug_gi_id from user_group where ug_ui_id = 3278) and sec_usergroup_type_id = 231) ) ) and of_usage_type_id = 131 ) and obj_id not in (select sec_obj_id from security where sec_type_id = 494) )

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  • BASH: How to count all the human readable files?

    - by user1687406
    I'm taking an intro course to UNIX and have a homework question that follows: How many files in the previous question are text files? A text file is any file containing human-readable content. (TRICK QUESTION. Run the file command on a file to see whether the file is a text file or a binary data file! If you simply count the number of files with the ".txt" extension you will get no points for this question.) The previous question simply asked how many regular files there were, which was easy to figure out by doing find . -type f | wc -l I'm just having trouble determining what "human readable content" is, since I'm assuming it means anything besides binary/assembly, but I thought that's what -type f displays. Maybe that's what the professor meant by saying "trick question"? This question has a follow up later that also asks "What text files contain the string "csc" in any mix of upper and lower case?". Obviously "text" is referring to more than just .txt files, but I need to figure out the first question to determine this!

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  • Visual Studio - Edit source code located in a database

    - by mfeingold
    I am building something similar to Server Explorer for Apache CouchDB. One of the things necessary is to be able to edit CouchDB view definitions which in CouchDB are JavaScript functions. How can I trick Visual Studio into using my object to retrieve and save the content of the JavaScript function but still use the rest of it - I am happy with editor itself and have no intention of writing my own Editor/Language Service, etc. The latter would be much bigger effort than what this project warrants Edit After more digging I am still stuck. Here is what I know: IVsUIShellOpenDocument interface provides a method OpenStandardEditor which can be used to open the standard Visual Studio editor. As one of the parameters this method takes a Pointer to the IUnknown interface of the document data object. This object is supposed to implement several interfaces described in many places all over the MSDN. Visual Studio SDK also provides a 'sample' implementation of the document data object VsTextBufferClass. I can create an instance of this class and when I pass the pointer to the instance to the OpenStandardEditor I can see my editor and it seems to work ok. When I try to implement my own class implementing the same interfaces (IVsTextBuffer, VsTextBuffer, IVsTextLines) OpenStandardEditor method returns success, but VS bombs out on call editor.Show() with an access violation. My suspicion is that VsTextBufferClass also implements some other interface(s) but not in C# way but rather in the good old COM way. I just do not know which one(s). Any thoughts?

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  • Route WCF ServiceHost to another computer

    - by I2nfo
    GoodDay, I'm not a guru when it comes to WCF, but i do know the basics. My question is, how do i create a ServiceHost on machine X, while the code is on machine Y? if i build and run this code on my dev machine(localhost) : servicehost = new ServiceHost(typeof(MyService1)); servicehost.AddServiceEndpoint(typeof(IMyService1), new NetTcpBinding(),"net.tcp://my.datacenter.com/MyApp/MyService1"); //This is normally set to localhost. What implementation must be done on the datacenter server, so that if i had to point to http://my.datacenter.com/MyApp/MyService1 , it will route the service operation to my dev machine (localhost). However, the datacenter should not be accessible via the internet. It is a possible infrastructure that we researching to see if we can create a service bus type architecture so that all our customers can invoke other customer services running on their respective machines just by calling our datacenter url. We have looked at Windows Azure, but we have our own datacenter infrasture that we wish to leverage off. Come think of it, we kind of building our own Azure, on a very very basic scale. How does one go creating this? Thanks in Advance

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  • Needed environment for building gstreamer plugins in Windows

    - by utnapistim
    Hi, I've been strugling for two weeks to create an environment for building a gstreamer plugin on windows (needed for a songbird addon). I've installed MSYS, MinGW and Cygwin, then installed GStreamer OSSBuild, and I also downloaded the sources for Songbird, which come with their own precompiled version of gstreamer. I was unable to run gst-inspect (or any other gstreamer applications) from the songbird sources and I figured I will settle for OSSBuild. When following the instructions for building a GST plugin (found here) through, cygwin will not recognize the OSSBuild and the build fails when running autogen, with the following error: checking for GST... no configure: error: You need to install or upgrade the GStreamer development packages on your system. On debian-based systems these are libgstreamer0.10-dev and libgstreamer-plugins-base0.10-dev. on RPM-based systems gstreamer0.10-devel, libgstreamer0.10-devel or similar. The minimum version required is 0.10.16. configure failed I could also not use MSYS or MinGW as they are unable to run autogen at all. I understand that cygwin should have it's own gstreamer development packages but I couldn't find how to install them. My question: How do I install the gstreamer packages in cygwin or how do I build using cygwin with the OSSBuild dependencies? In short, how do I get an environment where I can build a gstreamer plugin under windows?

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  • Configuring TeamCity + NUnit unit tests so files can be loaded properly

    - by Dave
    In a nutshell, I have a solution that builds fine in the IDE, and the unit tests all run fine with the NUnit GUI (via the NUnitit VS2008 plugin). However, when I execute my TeamCity build runner, all unit tests that require file access (e.g. for running tests against specific XML files), I just get System.IO.DirectoryNotFoundExceptions. The reason for this is clear: it's looking for those supporting XML files loaded by various unit tests in the wrong folder. The way my unit tests are structured looks like this: +-- project folder +-- unit tests folder +-- test.xml +-- test.cs +-- project file.xaml +-- project file.xaml.cs All of my projects own their own UnitTests folder, which contains the .cs file and any XML files, XML Schemas, etc that are necessary to run the tests. So when I write my test.cs, I have it look for "test.xml" in the code because they are in the same folder (actually, I do something like ....\unit tests\test.xml, but that's kind of silly). As I said before, the tests run great in NUnit. But that's because the unit tests are part of the project. When running the unit tests from TeamCity, I am executing them against the assemblies that get copied to the main app's output folder. These unit test XML files should not be copied willy-nilly to the output folder just to make the tests pass. Can anyone suggest a better method of organizing my unit tests in each project (which are dependencies for the main app), such that I can execute the unit tests from NUnit and from the TeamCity build runner? The only other option I can come up with is to just put the testing XML data in code, rather than loading it from a file. I would rather not do this.

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  • Handling Types Defined in Plug-ins That Are No Longer Available

    - by Chris
    I am developing a .NET framework application that allows users to maintain and save "projects". A project can consist of components whose types are defined in the assemblies of the framework itself and/or in third-party assemblies that will be made available to the framework via a yet-to-be-built plug-in architecture. When a project is saved, it is simply binary-serialised to file. Projects are portable, so multiple users can load the same project into their own instances of the framework (just as different users may open the same MSWord document in their own local copies of MSWord). What's more, the plug-ins available to one user's framework might not be available to that of another. I need some way of ensuring that when a user attempts to open (i.e. deserialise) a project that includes a type whose defining assembly cannot be found (either because of a framework version incompatibility or the absence of a plug-in), the project still opens but the offending type is somehow substituted or omitted. Trouble is, the research I've done to date does not even hint at a suitable approach. Any ideas would be much appreciated, thanks.

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  • Getting the avg of the top 10 students from each school

    - by dave
    Hi all -- We have a school district with 38 elementary schools. The kids took a test. The averages for the schools are widely dispersed, but I want to compare the averages of JUST THE TOP 10 students from each school. Requirement: use temporary tables only. I have done this in a very work-intensive, error-prone sort of way as follows. (sch_code = e.g., 9043; -- schabbrev = e.g., "Carter"; -- totpct_stu = e.g., 61.3) DROP TEMPORARY TABLE IF EXISTS avg_top10 ; CREATE TEMPORARY TABLE avg_top10 ( sch_code VARCHAR(4), schabbrev VARCHAR(75), totpct_stu DECIMAL(5,1) ); INSERT INTO avg_top10 SELECT sch_code , schabbrev , totpct_stu FROM test_table WHERE sch_code IN ('5489') ORDER BY totpct_stu DESC LIMIT 10; -- I do that last query for EVERY school, so the total -- length of the code is well in excess of 300 lines. -- Then, finally... SELECT schabbrev, ROUND( AVG( totpct_stu ), 1 ) AS top10 FROM avg_top10 GROUP BY schabbrev ORDER BY top10 ; -- OUTPUT: ----------------------------------- schabbrev avg_top10 ---------- --------- Goulding 75.4 Garth 77.7 Sperhead 81.4 Oak_P 83.7 Spring 84.9 -- etc... Question: So this works, but isn't there a lot better way to do it? Thanks! PS -- Looks like homework, but this is, well...real.

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  • Determining polygon intersection and containment

    - by Victor Liu
    I have a set of simple (no holes, no self-intersections) polygons, and I need to check that they don't intersect each other (one can be entirely contained in another; that is okay). I can check this by simply checking the per-vertex inside-ness of one polygon versus other polygons. I also need to determine the containment tree, which is the set of relationships that say which polygon contains any given polygon. Since no polygon can intersect any other, then any contained polygon has a unique container; the "next-bigger" one. In other words, if A contains B contains C, then A is the parent of B, and B is the parent of C, and we don't consider A the parent of C. The question: How do I efficiently determine the containment relationships and check the non-intersection criterion? I ask this as one question because maybe a combined algorithm is more efficient than solving each problem separately. The algorithm should take as input a list of polygons, given by a list of their vertices. It should produce a boolean B indicating if none of the polygons intersect any other polygon, and also if B = true, a list of pairs (P, C) where polygon P is the parent of child C. This is not homework. This is for a hobby project I am working on.

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  • How to implement message queuing and handling in AWS with NServiceBus

    - by Pete Lunenfeld
    I am creating a new ASP MVC order application in the Amazon (AWS) cloud with the persistence layer at my local datacenter. I will be using the CQRS pattern. The goal of the project is high availability using Queue(s) to store and forward writes (commands/events) that can be picked up and handled asynchronously at my local datacenter. Then, ff the WAN or my local datacenter fails, my cloud MVC app can still take orders and just queue them up until processing can resume. My first thought was to use AWS SQS for the queuing and create my own queue consumer/dispatcher/handler in my own c# application to process the incoming messages/events. MVC (@ Amazon) -- Event/POCO -- SQS -- QueueReader (@ my datacenter) -- DB Then I found NServiceBus. NSB seems to handle lots of details very nicely: message handling, retries, error handling, etc. I hate to reinvent the wheel, and NServiceBus seems like a full featured and mature product that would be perfect for me. But on further research, it does NOT look like NServiceBus is really meant to be used over the WAN in physically separated environments (Cloud to my Datacenter). Google and SO don't really paint a good picture of using NServiceBus across the WAN like I need. How can I use NServiceBus across the WAN? Or is there a better solution to handle queuing and message handling between Amazon an my local datacenter?

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  • What exactly is a reentrant function?

    - by eSKay
    Most of the times, the definition of reentrance is quoted from Wikipedia: A computer program or routine is described as reentrant if it can be safely called again before its previous invocation has been completed (i.e it can be safely executed concurrently). To be reentrant, a computer program or routine: Must hold no static (or global) non-constant data. Must not return the address to static (or global) non-constant data. Must work only on the data provided to it by the caller. Must not rely on locks to singleton resources. Must not modify its own code (unless executing in its own unique thread storage) Must not call non-reentrant computer programs or routines. How is safely defined? If a program can be safely executed concurrently, does it always mean that it is reentrant? What exactly is the common thread between the six points mentioned that I should keep in mind while checking my code for reentrant capabilities? Also, Are all recursive functions reentrant? Are all thread-safe functions reentrant? Are all recursive and thread-safe functions reentrant? While writing this question, one thing comes to mind: Are the terms like reentrance and thread safety absolute at all i.e. do they have fixed concrete definations? For, if they are not, this question is not very meaningful. Thanks!

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  • Copying a foreign Subversion repository to keep under dependencies

    - by Jonathan Sternberg
    I want to keep dependencies for my project in our own repository, that way we have consistent libraries for the entire team to work with. For example, I want our project to use the Boost libraries. I've seen this done in the past with putting dependencies under a "vendor" or "dependencies" folder. But I still want to be able to update these dependencies. If a new feature appears in a library and we need it, I want to just be able to update that repository within our own repository. I don't want to have to recopy it and put it under version control again. I'd also like for us to have the ability to change dependencies if a small change is needed without stopping us from ever updating the library. I want the ability to do something like 'svn cp', then be able to 'svn merge' in the future. I just tried this with the boost trunk, but I'm not able to get any history using 'svn log' on the copy I made. How do I do this? What is usually done for large projects with dependencies?

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  • Python optimization problem?

    - by user342079
    Alright, i had this homework recently (don't worry, i've already done it, but in c++) but I got curious how i could do it in python. The problem is about 2 light sources that emit light. I won't get into details tho. Here's the code (that I've managed to optimize a bit in the latter part): import math, array import numpy as np from PIL import Image size = (800,800) width, height = size s1x = width * 1./8 s1y = height * 1./8 s2x = width * 7./8 s2y = height * 7./8 r,g,b = (255,255,255) arr = np.zeros((width,height,3)) hy = math.hypot print 'computing distances (%s by %s)'%size, for i in xrange(width): if i%(width/10)==0: print i, if i%20==0: print '.', for j in xrange(height): d1 = hy(i-s1x,j-s1y) d2 = hy(i-s2x,j-s2y) arr[i][j] = abs(d1-d2) print '' arr2 = np.zeros((width,height,3),dtype="uint8") for ld in [200,116,100,84,68,52,36,20,8,4,2]: print 'now computing image for ld = '+str(ld) arr2 *= 0 arr2 += abs(arr%ld-ld/2)*(r,g,b)/(ld/2) print 'saving image...' ar2img = Image.fromarray(arr2) ar2img.save('ld'+str(ld).rjust(4,'0')+'.png') print 'saved as ld'+str(ld).rjust(4,'0')+'.png' I have managed to optimize most of it, but there's still a huge performance gap in the part with the 2 for-s, and I can't seem to think of a way to bypass that using common array operations... I'm open to suggestions :D

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  • Code Golf: Find the possible ways on a numpad

    - by ikar
    I was bored today at school and so I tried to amuse myself using my calculator and a "game" I've invented which isn't really a game but keeps the boringness away. Also some time has passed since the last real code-golf here, so I decided to create this one. Imagine a simplified numpad like you know it from your phone (I'll leave the 0 out for this code-golf as it kinda destroys all the fun) 1 2 3 4 5 6 7 8 9 Now the rules of the game were always: At the end every digit must have been visited exactly once You can start at any digit you want You can always move one digit up, down, left or right. You can't move diagonally! There a quite a lot of possible ways (or not; I haven't found out yet), here some trivial examples: > > v v < < > > | The output of the golf-program should look something like the above, I'll try to explain: Symbols: Go right < Go left ^ Go up v Go down | End of the way Example solutions: (Program output can either be the numbers pressed in the right order from beginning point to end, or an (ASCII) picture like above) 147852369 569874123 523698741 So if we speak out the example above it would be: Start at 1, move right to 2, move right to 3, go down to 6, go left to 5, go left to 4, go down to 7, go right to 8 then go right to 9 and we are finished! Now there are many different ways possible: You could as well start at 5 and go around it in a circle. So the task would be: Write a program that can compute (using brute-force or whatever) the possible solutions for the numpad problem described above. (Friendly rethorical question with smiley removed because it made some people think that this is homework)

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  • Regular expression, excluding .. in suffix of email addy

    - by user1754700
    This is homework, I've been working on it for a while, I've done lots of reading and feel I have gotten pretty familiar with regex for a beginner. I am trying to find a regular expression for validating/invalidating a list of emails. There are two addresses which are giving me problems, I can't get them both to validate the correct way at the same time. I've gone through a dozen different expressions that work for all the other emails on the list but I can't get those two at the same time. First, the addresses. [email protected] - invalid [email protected] - valid The part of my expression which validates the suffix I originally started with @.+\\.[[a-z]0-9]+ And had a second pattern for checking some more invalid addresses and checked the email against both patterns, one checked for validity the other invalidity but my professor said he wanted it all in on expression. @[[\\w]+\\.[\\w]+]+ or @[\\w]+\\.[\\w]+ I've tried it written many, many different ways but I'm pretty sure I was just using different syntax to express these two expressions. I know what I want it to do, I want it to match a character class of "character+"."character+"+ The plus sign being at least one. It works for the invalid class when I only allow the character class to repeat one time(and obviously the ip doesn't get matched), but when I allow the character class to repeat itself it matches the second period even thought it isn't preceded by a character. I don't understand why.

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  • Socket isn't listed by netstat unless using certain ports

    - by illuzive
    I'm a computer science student with a few years of programming experience. Yesterday, while working on a project (Mac OS X, BSD sockets) at school, I encountered a strange problem. I was adding several modules to a very basic "server" (mostly a bunch of functions to set up and manage an UDP socket on a certain port). While doing this, I started the server from time to time in order to see that everything worked like it should. I've been using port 32000 during the development of the server. When I start the server and run netstat, the socket is listed as expected. > netstat -p UDP | grep 32000 udp46 0 0 *.32000 *.* However, when I run the server on other ports (random (10000 - 50000)), it's not listed by netstat. My thought was that I had somehow hard coded the port somewhere in the code, but that's not the case. The thing is - I can connect to the socket on any of the tested ports, and it reads data sent to it without any problem at all. It just doesn't get listed by netstat. What I wonder, is if anyone of you have any idea of why this happens? Note: Although this is a project at school, it's not homework. This is just something I want to understand for my own benefit.

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  • No idea how to solve SICP exercise 1.11

    - by Javier Badia
    This is not homework. Exercise 1.11: A function f is defined by the rule that f(n) = n if n<3 and f(n) = f(n - 1) + 2f(n - 2) + 3f(n - 3) if n 3. Write a procedure that computes f by means of a recursive process. Write a procedure that computes f by means of an iterative process. Implementing it recursively is simple enough. But I couldn't figure out how to do it iteratively. I tried comparing with the Fibonacci example given, but I didn't know how to use it as an analogy. So I gave up (shame on me) and Googled for an explanation, and I found this: (define (f n) (if (< n 3) n (f-iter 2 1 0 n))) (define (f-iter a b c count) (if (< count 3) a (f-iter (+ a (* 2 b) (* 3 c)) a b (- count 1)))) After reading it, I understand the code and how it works. But what I don't understand is the process needed to get from the recursive defintion of the function to this. I don't get how the code formed in someone's head. Could you explain the thought process needed to arrive at the solution?

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