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  • Uncrackable anti-piracy protection/DRM even possible? [closed]

    - by some guy
    I hope that this is programming-related enough. You have probably heard about Ubisofts recent steps against piracy. (New DRM requires a constant connection to the Ubisoft server) Many people including me see this as intolerable because the only ones suffering from it at the end are the paying customers. Now to the actual question(s): Ubisoft justified this by calling this mechanism "Uncrackable, only playable by the paying customers". Is a so called uncrackable DRM even possible? You can reverse-engineer and modify everything, even if it takes long. Isn't Ubisoft already lying by calling something not crackable? I mean, hey - With the game you get all its content (textures, models, you know) and some anti-piracy mechanism hardcoded into it. How could that be "uncrackable"? You can just patch the unwanted mechanisms out ---- "Pirates" play the cracked game without problems and the paying customers are the idiots by having constant problems with the game and being unable to play it without a (working) internet connection. What are the points Ubisoft sees in this? If they are at least a bit intelligent and informed they know their anti-piracy protection won't last long. All they get is lower sales, angry customers and happy pirates and crackers.

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  • What database systems should an startup company consider?

    - by Am
    Right now I'm developing the prototype of a web application that aggregates large number of text entries from a large number of users. This data must be frequently displayed back and often updated. At the moment I store the content inside a MySQL database and use NHibernate ORM layer to interact with the DB. I've got a table defined for users, roles, submissions, tags, notifications and etc. I like this solution because it works well and my code looks nice and sane, but I'm also worried about how MySQL will perform once the size of our database reaches a significant number. I feel that it may struggle performing join operations fast enough. This has made me think about non-relational database system such as MongoDB, CouchDB, Cassandra or Hadoop. Unfortunately I have no experience with either. I've read some good reviews on MongoDB and it looks interesting. I'm happy to spend the time and learn if one turns out to be the way to go. I'd much appreciate any one offering points or issues to consider when going with none relational dbms?

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  • Event feed implementation - will it scale?

    - by SlappyTheFish
    Situation: I am currently designing a feed system for a social website whereby each user has a feed of their friends' activities. I have two possible methods how to generate the feeds and I would like to ask which is best in terms of ability to scale. Events from all users are collected in one central database table, event_log. Users are paired as friends in the table friends. The RDBMS we are using is MySQL. Standard method: When a user requests their feed page, the system generates the feed by inner joining event_log with friends. The result is then cached and set to timeout after 5 minutes. Scaling is achieved by varying this timeout. Hypothesised method: A task runs in the background and for each new, unprocessed item in event_log, it creates entries in the database table user_feed pairing that event with all of the users who are friends with the user who initiated the event. One table row pairs one event with one user. The problems with the standard method are well known – what if a lot of people's caches expire at the same time? The solution also does not scale well – the brief is for feeds to update as close to real-time as possible The hypothesised solution in my eyes seems much better; all processing is done offline so no user waits for a page to generate and there are no joins so database tables can be sharded across physical machines. However, if a user has 100,000 friends and creates 20 events in one session, then that results in inserting 2,000,000 rows into the database. Question: The question boils down to two points: Is this worst-case scenario mentioned above problematic, i.e. does table size have an impact on MySQL performance and are there any issues with this mass inserting of data for each event? Is there anything else I have missed?

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  • Xcode "Build and Archive" from command line

    - by Dan Fabulich
    Xcode 3.2 provides an awesome new feature under the Build menu, "Build and Archive" which generates an .ipa file suitable for Ad Hoc distribution. You can also open the Organizer, go to "Archived Applications," and "Submit Application to iTunesConnect." Is there a way to use "Build and Archive" from the command line (as part of a build script)? I'd assume that xcodebuild would be involved somehow, but the man page doesn't seem to say anything about this. UPDATE Michael Grinich requested clarification; here's what exactly you can't do with command-line builds, features you can ONLY do with Xcode's Organizer after you "Build and Archive." You can click "Share Application..." to share your IPA with beta testers. As Guillaume points out below, due to some Xcode magic, this IPA file does not require a separately distributed .mobileprovision file that beta testers need to install; that's magical. No command-line script can do it. For example, Arrix's script (submitted May 1) does not meet that requirement. More importantly, after you've beta tested a build, you can click "Submit Application to iTunes Connect" to submit that EXACT same build to Apple, the very binary you tested, without rebuilding it. That's impossible from the command line, because signing the app is part of the build process; you can sign bits for Ad Hoc beta testing OR you can sign them for submission to the App Store, but not both. No IPA built on the command-line can be beta tested on phones and then submitted directly to Apple. I'd love for someone to come along and prove me wrong: both of these features work great in the Xcode GUI and cannot be replicated from the command line.

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  • Unable to persist objects in GAE JDO

    - by Basil Dsouza
    Hello Guys, I am completely fresh to both JDO and GAE, and have been struggling to get my data layer to persist any code at all! The issues I am facing may be very simple, but I just cant seem to find any a way no matter what solution I try. Firstly the problem: (Slightly simplified, but still contains all the info necessary) My data model is as such: User: (primary key) String emailID String firstName Car: (primary key) User user (primary key) String registration String model This was the initial datamodel. I implemented a CarPK object to get a composite primary key of the User and the registration. However that ran into a variety of issues. (Which i will save for another time/question) I then changed the design as such: User: (Unchanged) Car: (primary key) String fauxPK (here fauxPK = user.getEmailID() + SEP + registration) User user String registration String model This works fine for the user, and it can insert and retrieve user objects. However when i try to insert a Car Object, i get the following error: "Cannot have a java.lang.String primary key and be a child object" Found the following helpful link about it: http://stackoverflow.com/questions/2063467/persist-list-of-objects Went to the link suggested there, that explains how to create Keys, however they keep talking about "Entity Groups" and "Entity Group Parents". But I cant seem to find any articles or sites that explain what are "Entity Group"s or an "Entity Group Parents" I could try fiddling around some more to figure out if i can store an object somehow, But I am running sort on patience and also would rather understand and implement than vice versa. So i would appreciate any docs (even if its huge) that covers all these points, and preferably has some examples that go beyond the very basic data modeling. And thanks for reading such a long post :)

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  • What are Code Smells? What is the best way to correct them?

    - by Rob Cooper
    OK, so I know what a code smell is, and the Wikipedia Article is pretty clear in its definition: In computer programming, code smell is any symptom in the source code of a computer program that indicates something may be wrong. It generally indicates that the code should be refactored or the overall design should be reexamined. The term appears to have been coined by Kent Beck on WardsWiki. Usage of the term increased after it was featured in Refactoring. Improving the Design of Existing Code. I know it also provides a list of common code smells. But I thought it would be great if we could get clear list of not only what code smells there are, but also how to correct them. Some Rules Now, this is going to be a little subjective in that there are differences to languages, programming style etc. So lets lay down some ground rules: ** ONE SMELL PER ANSWER PLEASE! & ADVISE ON HOW TO CORRECT! ** See this answer for a good display of what this thread should be! DO NOT downmod if a smell doesn't apply to your language or development methodology We are all different. DO NOT just quickly smash in as many as you can think of Think about the smells you want to list and get a good idea down on how to work around. DO downmod answers that just look rushed For example "dupe code - remove dupe code". Let's makes it useful (e.g. Duplicate Code - Refactor into separate methods or even classes, use these links for help on these common.. etc. etc.). DO upmod answers that you would add yourself If you wish to expand, then answer with your thoughts linking to the original answer (if it's detailed) or comment if its a minor point. DO format your answers! Help others to be able to read it, use code snippets, headings and markup to make key points stand out!

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  • Rails: creating a custom data type, to use with generator classes and a bunch of questions related t

    - by Shyam
    Hi, After being productive with Rails for some weeks, I learned some tricks and got some experience with the framework. About 10 days ago, I figured out it is possible to build a custom data type for migrations by adding some code in the Table definition. Also, after learning a bit about floating points (and how evil they are) vs integers, the money gem and other possible solutions, I decided I didn't WANT to use the money gem, but instead try to learn more about programming and finding a solution myself. Some suggestions said that I should be using integers, one for the whole numbers and one for the cents. When playing in script/console, I discovered how easy it is to work with calculations and arrays. But, I am talking to much (and the reason I am, is to give some sufficient background). Right now, while playing with the scaffold generator (yes, I use it, because I like they way I can quickly set up a prototype while I am still researching my objectives), I like to use a DRY method. In my opinion, I should build a custom "object", that can hold two variables (Fixnum), one for the whole, one for the cents. In my big dream, I would be able to do the following: script/generate scaffold Cake name:string description:text cost:mycustom Where mycustom should create two integer columns (one for wholes, one for cents). Right now I could do this by doing: script/generate scaffold Cake name:string description:text cost_w:integer cost_c:integer I had also had an idea that would be creating a "cost model", which would hold two columns of integers and create a cost_id column to my scaffold. But wouldn't that be an extra table that would cause some kind of performance penalty? And wouldn't that be defy the purpose of the Cake model in the first place, because the costs are an attribute of individual Cake entries? The reason why I would want to have such a functionality because I am thinking of having multiple "costs" inside my rails application. Thank you for your feedback, comments and answers! I hope my message got through as understandable, my apologies for incorrect grammar or weird sentences as English is not my native language.

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  • GridView will not update underlying data source

    - by John Christensen
    So I'm been pounding on this problem all day. I've got a LinqDataSource that points to my model and a GridView that consumes it. When I attempt to do an update on the GridView, it does not update the underlying data source. I thought it might have to do with the LinqDataSource, so I added a SqlDataSource and the same thing happens. The aspx is as follows (the code-behind page is empty): <asp:SqlDataSource ID="SqlDataSource1" runat="server" ConnectionString="Data Source=devsql32;Initial Catalog=Steam;Persist Security Info=True;" ProviderName="System.Data.SqlClient" SelectCommand="SELECT [LangID], [Code], [Name] FROM [Languages]" UpdateCommand="UPDATE [Languages] SET [Code]=@Code WHERE [LangID]=@LangId"> </asp:SqlDataSource> <asp:GridView ID="_languageGridView" runat="server" AllowPaging="True" AllowSorting="True" AutoGenerateColumns="False" DataKeyNames="LangId" DataSourceID="SqlDataSource1"> <Columns> <asp:CommandField ShowDeleteButton="True" ShowEditButton="True" /> <asp:BoundField DataField="LangId" HeaderText="Id" ReadOnly="True" /> <asp:BoundField DataField="Code" HeaderText="Code" /> <asp:BoundField DataField="Name" HeaderText="Name" /> </Columns> </asp:GridView> <asp:LinqDataSource ID="_languageDataSource" ContextTypeName="GeneseeSurvey.SteamDatabaseDataContext" runat="server" TableName="Languages" EnableInsert="True" EnableUpdate="true" EnableDelete="true"> </asp:LinqDataSource> What in the world am I missing here? This problem is driving me insane.

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  • Rewriting a for loop in pure NumPy to decrease execution time

    - by Statto
    I recently asked about trying to optimise a Python loop for a scientific application, and received an excellent, smart way of recoding it within NumPy which reduced execution time by a factor of around 100 for me! However, calculation of the B value is actually nested within a few other loops, because it is evaluated at a regular grid of positions. Is there a similarly smart NumPy rewrite to shave time off this procedure? I suspect the performance gain for this part would be less marked, and the disadvantages would presumably be that it would not be possible to report back to the user on the progress of the calculation, that the results could not be written to the output file until the end of the calculation, and possibly that doing this in one enormous step would have memory implications? Is it possible to circumvent any of these? import numpy as np import time def reshape_vector(v): b = np.empty((3,1)) for i in range(3): b[i][0] = v[i] return b def unit_vectors(r): return r / np.sqrt((r*r).sum(0)) def calculate_dipole(mu, r_i, mom_i): relative = mu - r_i r_unit = unit_vectors(relative) A = 1e-7 num = A*(3*np.sum(mom_i*r_unit, 0)*r_unit - mom_i) den = np.sqrt(np.sum(relative*relative, 0))**3 B = np.sum(num/den, 1) return B N = 20000 # number of dipoles r_i = np.random.random((3,N)) # positions of dipoles mom_i = np.random.random((3,N)) # moments of dipoles a = np.random.random((3,3)) # three basis vectors for this crystal n = [10,10,10] # points at which to evaluate sum gamma_mu = 135.5 # a constant t_start = time.clock() for i in range(n[0]): r_frac_x = np.float(i)/np.float(n[0]) r_test_x = r_frac_x * a[0] for j in range(n[1]): r_frac_y = np.float(j)/np.float(n[1]) r_test_y = r_frac_y * a[1] for k in range(n[2]): r_frac_z = np.float(k)/np.float(n[2]) r_test = r_test_x +r_test_y + r_frac_z * a[2] r_test_fast = reshape_vector(r_test) B = calculate_dipole(r_test_fast, r_i, mom_i) omega = gamma_mu*np.sqrt(np.dot(B,B)) # write r_test, B and omega to a file frac_done = np.float(i+1)/(n[0]+1) t_elapsed = (time.clock()-t_start) t_remain = (1-frac_done)*t_elapsed/frac_done print frac_done*100,'% done in',t_elapsed/60.,'minutes...approximately',t_remain/60.,'minutes remaining'

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  • Basic question on retain/release semantics from Apple's reference library

    - by davetron5000
    I have done Objective-C way back when, and have recently (i.e. just now) read the documentation on Apple's site regarding the use of retain and release. However, there is a bit of code in their Creating an iPhone Application page that has me a bit confused: - (void)setUpPlacardView { // Create the placard view -- it calculates its own frame based on its image. PlacardView *aPlacardView = [[PlacardView alloc] init]; self.placardView = aPlacardView; [aPlacardView release]; // What effect does this have on self.placardView?! placardView.center = self.center; [self addSubview:placardView]; } Not seeing the entire class, it seems that self.placardView is also a PlacardView * and the assignment of it to aPlacardView doesn't seem to indicate it will retain a reference to it. So, it appears to me that the line I've commented ([aPlacardView release];) could result in aPlacardView having a retain count of 0 and thus being deallocated. Since self.placardView points to it, wouldn't that now point at deallocated memory and cause a problem?

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  • What is an elegant way to solve this max and min problem in Ruby or Python?

    - by ????
    The following can be done by step by step, somewhat clumsy way, but I wonder if there are elegant method to do it. There is a page: http://www.mariowiki.com/Mario_Kart_Wii, where there are 2 tables... there is Mario - 6 2 2 3 - - Luigi 2 6 - - - - - Diddy Kong - - 3 - 3 - 5 [...] The name "Mario", etc are the Mario Kart Wii character names. The numbers are for bonus points for: Speed Weight Acceleration Handling Drift Off-Road Mini-Turbo and then there is table 2 Standard Bike S 39 21 51 51 54 43 48 Out Bullet Bike 53 24 32 35 67 29 67 In Bubble Bike / Jet Bubble 48 27 40 40 45 35 37 In [...] These are also the characteristics for the Bike or Kart. I wonder what's the most elegant solution for finding all the maximum combinations of Speed, Weight, Acceleration, etc, and also for the minimum, either by directly using the HTML on that page or copy and pasting the numbers into a text file. Actually, in that character table, Mario to Bower Jr are all medium characters, Baby Mario to Dry Bones are small characters, and the rest are all big characters, except the small, medium, or large Mii are just as what the name says. Small characters can only ride small bike or small kart, and so forth for medium and large.

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  • Transform only one axis to log10 scale with ggplot2

    - by daroczig
    I have the following problem: I would like to visualize a discrete and a continuous variable on a boxplot in which the latter has a few extreme high values. This makes the boxplot meaningless (the points and even the "body" of the chart is too small), that is why I would like to show this on a log10 scale. I am aware that I could leave out the extreme values from the visualization, but I am not intended to. Let's see a simple example with diamonds data: m <- ggplot(diamonds, aes(y = price, x = color)) The problem is not serious here, but I hope you could imagine why I would like to see the values at a log10 scale. Let's try it: m + geom_boxplot() + coord_trans(y = "log10") As you can see the y axis is log10 scaled and looks fine but there is a problem with the x axis, which makes the plot very strange. The problem do not occur with scale_log, but this is not an option for me, as I cannot use a custom formatter this way. E.g.: m + geom_boxplot() + scale_y_log10() My question: does anyone know a solution to plot the boxplot with log10 scale on y axis which labels could be freely formatted with a formatter function like in this thread? Editing the question to help answerers based on answers and comments: What I am really after: one log10 transformed axis (y) with not scientific labels. I would like to label it like dollar (formatter=dollar) or any custom format. If I try @hadley's suggestion I get the following warnings: > m + geom_boxplot() + scale_y_log10(formatter=dollar) Warning messages: 1: In max(x) : no non-missing arguments to max; returning -Inf 2: In max(x) : no non-missing arguments to max; returning -Inf 3: In max(x) : no non-missing arguments to max; returning -Inf With an unchanged y axis labels:

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  • Removing HttpModule for specific path in ASP.NET / IIS 7 application?

    - by soccerdad
    Most succinctly, my question is whether an ASP.NET 4.0 app running under IIS 7 integrated mode should be able to honor this portion of my Web.config file: <location path="auth/windows"> <system.webServer> <modules> <remove name="FormsAuthentication"/> </modules> </system.webServer> </location> I'm experimenting with mixed mode authentication (Windows and Forms - I know there are other questions on S.O. about the topic). Using IIS Manager, I've disabled Anonymous authentication to auth/windows/winauth.aspx, which is within the location path above. I have Failed Request Tracing set up to trace various HTTP status codes, including 302s. When I request the winauth.aspx page, a 302 HTTP status code is returned. If I look at the request trace, I can see that a 401 (unauthorized) was originally generated by the AnonymousAuthenticationModule. However, the FormsAuthenticationModule converts that to a 302, which is what the browser sees. So it seems as though my attempt to remove that module from the pipeline for pages in that path isn't working. But I'm not seeing any complaints anywhere (event viewer, yellow pages of death, etc.) that would indicate it's an invalid configuration. I want the 401 returned to the browser, which presumably would include an appropriate WWW-Authenticate header. A couple of other points: a) I do have <authentication mode="Forms"> in my Web.config, and that is what the 302 redirects to; b) I got the "name" of the module I'm trying to remove from the inetserv\config\applicationHost.config file. Anyone had any luck removing modules in this fashion? Thanks much, Donnie

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  • OpenGLES - Rendering a background image only once and not wiping it

    - by chaosbeaker
    Hello, first time asking a question here but been watching others answers for a while. My own question is one for improving the performance of my program. Currently I'm wiping the viewFrameBuffer on each pass through my program and then rendering the background image first followed by the rest of my scene. I was wondering how I go about rendering the background image once, and only wiping the rest of the scene for updating/re-rendering. I tried using a seperate buffer but I'm not sure how to present this new buffer to the render buffer. // Set the current EAGLContext and bind to the framebuffer. This will direct all OGL commands to the // framebuffer and the associated renderbuffer attachment which is where our scene will be rendered [EAGLContext setCurrentContext:context]; glBindFramebufferOES(GL_FRAMEBUFFER_OES, viewFramebuffer); // Define the viewport. Changing the settings for the viewport can allow you to scale the viewport // as well as the dimensions etc and so I'm setting it for each frame in case we want to change i glViewport(0, 0, screenBounds.size.width , screenBounds.size.height); // Clear the screen. If we are going to draw a background image then this clear is not necessary // as drawing the background image will destroy the previous image glClearColor(0.0f, 1.0f, 0.0f, 1.0f); glClear(GL_COLOR_BUFFER_BIT); // Setup how the images are to be blended when rendered. This could be changed at different points during your // render process if you wanted to apply different effects glBlendFunc(GL_SRC_ALPHA, GL_ONE_MINUS_SRC_ALPHA); switch (currentViewInt) { case 1: { [background render:CGPointMake(240, 0) fromTopLeftBottomRightCenter:@"Bottom"]; // Other Rendering Code }} // Bind to the renderbuffer and then present this image to the current context glBindRenderbufferOES(GL_RENDERBUFFER_OES, viewRenderbuffer); [context presentRenderbuffer:GL_RENDERBUFFER_OES]; Hopefully by solving this I'll also be able to implement another buffer just for rendering particles as I can set them to always use a black background as their alpha source. Any help is greatly appreciated

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  • Applying fine-grained security to an existing application

    - by Mark
    I've inherited a reasonably large and complex ASP.NET MVC3 web application using EF Code First on SQL Server. It uses ASP.NET Membership roles with database authentication. The controller actions are secured with attributes derived from AuthorizeAttribute that map roles to actions. There are extension methods for the finer points, such as showing a particular widget to particular roles. This is works great and I have a good understanding of the current security model. I've been asked to provide finer grained security at the data level. For example a 'Customer' user can only see data (throughout the database) associated with themselves and not other Customers. The problem is that 'Customer' is only 1 of 5 different types with their own specific restrictions (each of the 9 roles is one of these 5 types). The best thing I can think of is to go through all the data repositories and extend each and every LINQ statements/query with a filter for every user type. Even if I had time for that it doesn't seem like the most elegant way. Any suggestions? I really don't know where to start with this so anything could be helpful. Many thanks.

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  • Counting entries in a list of dictionaries: for loop vs. list comprehension with map(itemgetter)

    - by Dennis Williamson
    In a Python program I'm writing I've compared using a for loop and increment variables versus list comprehension with map(itemgetter) and len() when counting entries in dictionaries which are in a list. It takes the same time using a each method. Am I doing something wrong or is there a better approach? Here is a greatly simplified and shortened data structure: list = [ {'key1': True, 'dontcare': False, 'ignoreme': False, 'key2': True, 'filenotfound': 'biscuits and gravy'}, {'key1': False, 'dontcare': False, 'ignoreme': False, 'key2': True, 'filenotfound': 'peaches and cream'}, {'key1': True, 'dontcare': False, 'ignoreme': False, 'key2': False, 'filenotfound': 'Abbott and Costello'}, {'key1': False, 'dontcare': False, 'ignoreme': True, 'key2': False, 'filenotfound': 'over and under'}, {'key1': True, 'dontcare': True, 'ignoreme': False, 'key2': True, 'filenotfound': 'Scotch and... well... neat, thanks'} ] Here is the for loop version: #!/usr/bin/env python # Python 2.6 # count the entries where key1 is True # keep a separate count for the subset that also have key2 True key1 = key2 = 0 for dictionary in list: if dictionary["key1"]: key1 += 1 if dictionary["key2"]: key2 += 1 print "Counts: key1: " + str(key1) + ", subset key2: " + str(key2) Output for the data above: Counts: key1: 3, subset key2: 2 Here is the other, perhaps more Pythonic, version: #!/usr/bin/env python # Python 2.6 # count the entries where key1 is True # keep a separate count for the subset that also have key2 True from operator import itemgetter KEY1 = 0 KEY2 = 1 getentries = itemgetter("key1", "key2") entries = map(getentries, list) key1 = len([x for x in entries if x[KEY1]]) key2 = len([x for x in entries if x[KEY1] and x[KEY2]]) print "Counts: key1: " + str(key1) + ", subset key2: " + str(key2) Output for the data above (same as before): Counts: key1: 3, subset key2: 2 I'm a tiny bit surprised these take the same amount of time. I wonder if there's something faster. I'm sure I'm overlooking something simple. One alternative I've considered is loading the data into a database and doing SQL queries, but the data doesn't need to persist and I'd have to profile the overhead of the data transfer, etc., and a database may not always be available. I have no control over the original form of the data. The code above is not going for style points.

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  • Python CGI Premature end of script error depending on script parameters.

    - by nickengland
    I have a python script which should parse a file and produce some output to disk, as well as returning a webpage linking to the outputted files. When run with a file posted from the HTML form I get no HTML output back, just a 500 error page and the error_log contains the line: [Mon Apr 19 15:03:23 2010] [error] [client xxx.xxx.121.79] Premature end of script headers: uploadcml.py, referer: http://xxx.ch.cam.ac.uk:9000/ However, the files which the script should be saving are indeed saved to disk. If I run it without any arguments, the script returns the correct HTML indicating no file was parsed. All the information I have found on the web about Premature end of script headers implies it is due to either a missing header, or lack of permissions on the python script but neither can apply to me. The first lines of the script are: #!/home/nwe23/bin/bin/python import cgitb; cgitb.enable() import cgi import pybel,openbabel import random print "Content-Type: text/html" print so when run, I can see no way for it to fail to output the header, and it DOES output the header when run without a file to parse, but when given a file produces the error(but still parsed the file and saves the output to disk!). Does anyone know how this is happening and what can be done to fix it? I have tried adding wrongly-indented gibberish (such as foobar) at various points in the file, and this results in adding an indent error to the error_log wherever it is, even if its the very last line in the script. The Premature script headers error remains though. Does this mean the script is executing all the way through?

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  • C# algorithm for figuring out different possible combinations...

    - by ttomsen
    I have 10 boxes, each box can hold one item from a group/type of items, each 'group' type only fits in one of the 10 box types. The pool can have n number of items. The groups have completely distinct items. Each item has a price, i want an algorithm that will generate all the different possibilities, so i can figure out different price points. so a smaller picture of the problem BOX A - can have item 1,2,3,4 in it BOX B - can have item 6,7,8,9,10,11,12 BOX C - can have item 13,15,16,20,21 The items are stored in a db, they have a column which denotes which box they can go in. All box types are stored in an array, and I can put the items in a generic list. Anyone see a straightforward way to do this. I have tried doing 10 nested foreach's to see if i could find a simpler way. The nested loops will take MANY hours to run. the nested for each's basically pull all combinations, then calculate a rank for each combination, and store the top 10 ranked combination of items for output

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  • ASP:GridView does not show data with ObjectdataSource

    - by Kashif
    I have been trying to bind a DataGrid with ObjectDataSource having custom paging but no output is display on my usercontrol. Here is the code I am using <asp:GridView ID="GridView1" runat="server" AutoGenerateColumns="False" DataKeyNames="LeadId" DataSourceID="dsBuyingLead1" AllowPaging="True"> <Columns> <asp:BoundField DataField="Subject" HeaderText="Subject" ReadOnly="True" /> <asp:BoundField DataField="ExpiryDate" HeaderText="ExpiryDate" ReadOnly="True" /> </Columns> </asp:GridView> <asp:ObjectDataSource ID="dsBuyingLead1" runat="server" EnablePaging="True" DataObjectTypeName="Modules.SearchBuyingLeadInfo" OldValuesParameterFormatString="original_{0}" SelectMethod="GetAllBuyingLeads" StartRowIndexParameterName="startRow" MaximumRowsParameterName="maximumRows" SelectCountMethod="GetAllBuyingLeadsCount" TypeName="Modules.SearchController"> <SelectParameters> <asp:QueryStringParameter Name="searchText" QueryStringField="q" Type="String" /> </SelectParameters> </asp:ObjectDataSource> Here are my methods from SearchController class: [DataObjectMethod(DataObjectMethodType.Select)] public static long GetAllBuyingLeadsCount(string searchText) { return DataProvider.Instance().GetAllBuyingLeadsCount(searchText); } [DataObjectMethod(DataObjectMethodType.Select)] public static List<SearchBuyingLeadInfo> GetAllBuyingLeads (string searchText, int startRow, int maximumRows) { List<SearchBuyingLeadInfo> l = CBO.FillCollection<SearchBuyingLeadInfo> ( DataProvider.Instance() .GetAllBuyingLeadswithText(searchText, startRow, maximumRows) ); return l; } Where SearchBuyingLeadInfo is my Data Access Object class I have verified by setting up break points that both GetAllBuyingLeadsCount and GetAllBuyingLeads return non-zero values but unfortunately nothing is displayed on the grid. Only the column headers are displayed. Can anyone tell me what am I missing?

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  • Git. Checkout feature branch between merge commits

    - by mageslayer
    Hi all It's kind weird, but I can't fulfill a pretty common operation with git. Basically what I want is to checkout a feature branch, not using it's head but using SHA id. This SHA points between merges from master branch. The problem is that all I get is just master branch without a commits from feature branch. Currently I'm trying to fix a regression introduced earlier in master branch. Just to be more descriptive, I crafted a small bash script to recreate a problem repository: #!/bin/bash rm -rf ./.git git init echo "test1" > test1.txt git add test1.txt git commit -m "test1" -a git checkout -b patches master echo "test2" > test2.txt git add test2.txt git commit -m "test2" -a git checkout master echo "test3" > test3.txt git add test3.txt git commit -m "test3" -a echo "test4" > test4.txt git add test4.txt git commit -m "test4" -a echo "test5" > test5.txt git add test5.txt git commit -m "test5" -a git checkout patches git merge master #Now how to get a branch having all commits from patches + test3.txt + test4.txt - test5.txt ??? Basically all I want is just to checkout branch "patches" with files 1-4, but not including test5.txt. Doing: git checkout [sha_where_test4.txt_entered] ... just gives a branch with test1,test3,test4, but excluding test2.txt Thanks.

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  • NES Programming - Nametables?

    - by Jeffrey Kern
    Hello everyone, I'm wondering about how the NES displays its graphical muscle. I've researched stuff online and read through it, but I'm wondering about one last thing: Nametables. Basically, from what I've read, each 8x8 block in a NES nametable points to a location in the pattern table, which holds graphic memory. In addition, the nametable also has an attribute table which sets a certain color palette for each 16x16 block. They're linked up together like this: (assuming 16 8x8 blocks) Nametable, with A B C D = pointers to sprite data: ABBB CDCC DDDD DDDD Attribute table, with 1 2 3 = pointers to color palette data, with < referencing value to the left, ^ above, and ' to the left and above: 1<2< ^'^' 3<3< ^'^' So, in the example above, the blocks would be colored as so 1A 1B 2B 2B 1C 1D 2C 2C 3D 3D 3D 3D 3D 3D 3D 3D Now, if I have this on a fixed screen - it works great! Because the NES resolution is 256x240 pixels. Now, how do these tables get adjusted for scrolling? Because Nametable 0 can scroll into Nametable 1, and if you keep scrolling Nametable 0 will wrap around again. That I get. But what I don't get is how to scroll the attribute table wraps around as well. From what I've read online, the 16x16 blocks it assigns attributes for will cause color distortions on the edge tiles of the screen (as seen when you scroll left to right and vice-versa in SMB3). The concern I have is that I understand how to scroll the nametables, but how do you scroll the attribute table? For intsance, if I have a green block on the left side of the screen, moving the screen to right should in theory cause the tiles to the right to be green as well until they move more into frame, to which they'll revert to their normal colors.

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  • Why is debugging better in an IDE?

    - by Bill Karwin
    I've been a software developer for over twenty years, programming in C, Perl, SQL, Java, PHP, JavaScript, and recently Python. I've never had a problem I could not debug using some careful thought, and well-placed debugging print statements. I respect that many people say that my techniques are primitive, and using a real debugger in an IDE is much better. Yet from my observation, IDE users don't appear to debug faster or more successfully than I can, using my stone knives and bear skins. I'm sincerely open to learning the right tools, I've just never been shown a compelling advantage to using visual debuggers. Moreover, I have never read a tutorial or book that showed how to debug effectively using an IDE, beyond the basics of how to set breakpoints and display the contents of variables. What am I missing? What makes IDE debugging tools so much more effective than thoughtful use of diagnostic print statements? Can you suggest resources (tutorials, books, screencasts) that show the finer techniques of IDE debugging? Sweet answers! Thanks much to everyone for taking the time. Very illuminating. I voted up many, and voted none down. Some notable points: Debuggers can help me do ad hoc inspection or alteration of variables, code, or any other aspect of the runtime environment, whereas manual debugging requires me to stop, edit, and re-execute the application (possibly requiring recompilation). Debuggers can attach to a running process or use a crash dump, whereas with manual debugging, "steps to reproduce" a defect are necessary. Debuggers can display complex data structures, multi-threaded environments, or full runtime stacks easily and in a more readable manner. Debuggers offer many ways to reduce the time and repetitive work to do almost any debugging tasks. Visual debuggers and console debuggers are both useful, and have many features in common. A visual debugger integrated into an IDE also gives you convenient access to smart editing and all the other features of the IDE, in a single integrated development environment (hence the name).

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  • Horizontally-centering an absolute position to match a relative position

    - by Chris Vandevelde
    I'm trying to make a div box, containing various elements, fixed at the top of the page once the page has been scrolled so that the box would normally be out of view, but scroll normally until that point (like the behaviour at http://perldoc.perl.org/perl.html). The conditionally-fixed part is pretty simple to implement (set the position to "fixed" once the user has scrolled past a certain point, and "static" once it's scrolled back up), but I'm having trouble with the positioning and dimensions; it screws up if I'm not specifying an absolute position (if I'm using % or "auto", rather than px, em, cm, etc.) or it, confusingly, left-aligns if the box is less than the width of the page. I can understand why, more or less, I'm just trying to fix it. My strategy right now is to have an invisible DIV hold the place of the box and use Prototype's clonePosition() function to hold its position, but it doesn't seem to work for some reason. Neither does copying the margin from one element to the other. Any ideas? Bonus points and eternal gratitude if you can come up with an idea that will adjust itself with the browser window (like auto margins) without setting an onresize event.

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  • How safe and reliable are C++ String Literals?

    - by DoctorT
    So, I'm wanting to get a better grasp on how string literals in C++ work. I'm mostly concerned with situations where you're assigning the address of a string literal to a pointer, and passing it around. For example: char* advice = "Don't stick your hands in the toaster."; Now lets say I just pass this string around by copying pointers for the duration of the program. Sure, it's probably not a good idea, but I'm curious what would actually be going on behind the scenes. For another example, let's say we make a function that returns a string literal: char* foo() { // function does does stuff return "Yikes!"; // somebody's feeble attempt at an error message } Now lets say this function is called very often, and the string literal is only used about half the time it's called: // situation #1: it's just randomly called without heed to the return value foo(); // situation #2: the returned string is kept and used for who knows how long char* retVal = foo(); In the first situation, what's actually happening? Is the string just created but not used, and never deallocated? In the second situation, is the string going to be maintained as long as the user finds need for it? What happens when it isn't needed anymore... will that memory be freed up then (assuming nothing points to that space anymore)? Don't get me wrong, I'm not planning on using string literals like this. I'm planning on using a container to keep my strings in check (probably std::string). I'm mostly just wanting to know if these situations could cause problems either for memory management or corrupted data.

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  • Which languages and techniques can I use to improve my coding practices?

    - by Danjah
    I've been offered the opportunity upskill through study, while at work which is great. My background I am mostly self-taught, but have worked with many excellent people over the years - both self-taught and fully educated, and on many decent projects. I have mild experience in Actionscript, I'm getting better every day with my Javascript, and my CSS is angled at best practice, but needs a bit of modernising. I'm a traditional interface developer, I'm not stupid and I like a challenge. My goal I need to start seeing ways of applying better logic, optimising code, refactoring, different styles of development (agile, others?), and.. well I need to try and start thinking like.. a more solid programmer. Its hard to describe, I have good solutions and I'm efficient - but I KNOW that there's a bunch I am missing. I am already employed with a solid career, but I feel the need to fill gaps. My question/s Are there a set of guiding principles you can recommend I focus on to improve the points above? Are there particular programming languages which I might focus on to get a broader overview? Do you think I should avoid particular styles of development, or even languages, while solidifying what might end up being part 'the basics' but hopefully 'advanced programming'? -- Sorry if this appears off topic or something but I figure you're probably some of the best people to ask.

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