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  • Omit return type in C++0x

    - by Clinton
    I've recently found myself using the following macro with gcc 4.5 in C++0x mode: #define RETURN(x) -> decltype(x) { return x; } And writing functions like this: template <class T> auto f(T&& x) RETURN (( g(h(std::forward<T>(x))) )) I've been doing this to avoid the inconvenience having to effectively write the function body twice, and having keep changes in the body and the return type in sync (which in my opinion is a disaster waiting to happen). The problem is that this technique only works on one line functions. So when I have something like this (convoluted example): template <class T> auto f(T&& x) -> ... { auto y1 = f(x); auto y2 = h(y1, g1(x)); auto y3 = h(y1, g2(x)); if (y1) { ++y3; } return h2(y2, y3); } Then I have to put something horrible in the return type. Furthermore, whenever I update the function, I'll need to change the return type, and if I don't change it correctly, I'll get a compile error if I'm lucky, or a runtime bug in the worse case. Having to copy and paste changes to two locations and keep them in sync I feel is not good practice. And I can't think of a situation where I'd want an implicit cast on return instead of an explicit cast. Surely there is a way to ask the compiler to deduce this information. What is the point of the compiler keeping it a secret? I thought C++0x was designed so such duplication would not be required.

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  • What is the difference between these two linq implementations?

    - by Mahesh Velaga
    I was going through Jon Skeet's Reimplemnting Linq to Objects series. In the implementation of where article, I found the following snippets, but I don't get what is the advantage that we are gettting by splitting the original method into two. Original Method: // Naive validation - broken! public static IEnumerable<TSource> Where<TSource>( this IEnumerable<TSource> source, Func<TSource, bool> predicate) { if (source == null) { throw new ArgumentNullException("source"); } if (predicate == null) { throw new ArgumentNullException("predicate"); } foreach (TSource item in source) { if (predicate(item)) { yield return item; } } } Refactored Method: public static IEnumerable<TSource> Where<TSource>( this IEnumerable<TSource> source, Func<TSource, bool> predicate) { if (source == null) { throw new ArgumentNullException("source"); } if (predicate == null) { throw new ArgumentNullException("predicate"); } return WhereImpl(source, predicate); } private static IEnumerable<TSource> WhereImpl<TSource>( this IEnumerable<TSource> source, Func<TSource, bool> predicate) { foreach (TSource item in source) { if (predicate(item)) { yield return item; } } } Jon says - Its for eager validation and then defferring for the rest of the part. But, I don't get it. Could some one please explain it in a little more detail, whats the difference between these 2 functions and why will the validations be performed in one and not in the other eagerly? Conclusion/Solution: I got confused due to my lack of understanding on which functions are determined to be iterator-generators. I assumed that, it is based on signature of a method like IEnumerable<T>. But, based on the answers, now I get it, a method is an iterator-generator if it uses yield statements.

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  • Any utility to test expand C/C++ #define macros?

    - by Randy
    It seems I often spend way too much time trying to get a #define macro to do exactly what i want. I'll post my current delemia below and any help is appreciated. But really the bigger question is whether there is any utility someone could reccomend, to quickly display what a macro is actually doing? It seems like even the slow trial and error process would go much faster if I could see what is wrong. Currently, I'm dynamically loading a long list of functions from a DLL I made. The way I've set things up, the function pointers have the same nanes as the exported functions, and the typedef(s) used to prototyp them have the same names, but with a prepended underscor. So I want to use a define to simplfy assignments of a long long list of function pointers. For example, In the code statement below, 'hexdump' is the name of a typdef'd function point, and is also the name of the function, while _hexdump is the name of the typedef. If GetProcAddress() fails, a failure counter in incremented. if (!(hexdump = (_hexdump)GetProcAddress(h, "hexdump"))) --iFail; So lets say I'd like to rplace each line like the above with a macro, like this... GETADDR_FOR(hexdump ) Well this is the best I've come up with so far. It doesn't work (my // comment is just to prevent text formatting in the message)... // #define GETADDR_FOR(a) if (!(a = (#_#a)GetProcAddress(h, "/""#a"/""))) --iFail; And again, while I'd APPRECIATE an insight into what silly mistake I've made, it would make my day to have a utility that would show me the error of my ways, by simply plugging in my macro

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  • How to deal with seniors' bad coding style/practices?

    - by KaluSingh Gabbar
    I am new to work but the company I work in hires a lot of non-comp-science people who are smart enough to get the work done (complex) but lack the style and practices that should help other people read their code. For example they adopt C++ but still use C-like 3 page functions which drives new folks nuts when they try to read that. Also we feel very risky changing it as it's never easy to be sure we are not breaking something. Now, I am involved in the project with these guys and I can't change the entire code base myself or design so that code looks good, what can I do in this situation? PS we actually have 3 page functions & because we do not have a concept of design, all we can do is assume what they might have thought as there is no way to know why is it designed the way it is. I am not complaining.I am asking for suggestion,already reading some books to solve the issues Pragmatic Programmer; Design portion from B.Stroustrup; Programming and principles by B.Stroustrup;

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  • ZF2 - How to use the Hydrator/exchangeArray() to populate a nested object

    - by Dominic Watson
    I've got an object with values that are stored in my database. My object also contains another object which is stored in the database using just the ID of it (foreign key). http://framework.zend.com/manual/2.0/en/modules/zend.stdlib.hydrator.html Before the Hydrator/exchangeArray functionality in ZF2 you would use a Mapper to grab everything you need to create the object. Now I'm trying to eliminate this extra layer by just using Hydration/exchangeArray to populate my objects but am a bit stuck on creating the nested object. Should my entity have the Inner object's table injected into it so I can create it if the ID of it is passed to my 'exchangeArray' ? Here are example entities as an example. // Village id, name, position, square_id // Map Square id, name, type Upon sending square_id to my Village's exchangeArray() function. It would get the mapTable and use hydrator to pull in the square using the ID I have. It doesn't seem right to be to have mapper instances inside my entity as I thought they should be disconnected from anything but it's own entity specific parameters and functionality?

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  • Length-1 arrays can be converted to python scalars error? python

    - by Randy
    from numpy import * from pylab import * from math import * def LogisticMap(a,x): return 4.*a*x*(1.-x) def CosineMap(a,x): return a*cos(x/(2.*pi)) def TentMap(a,x): if x>= 0 or x<0.5: return 2.*a*x if x>=0.5 or x<=1.: return 2.*a*(1.-x) a = 0.98 N = 40 xaxis = arange(0.0,N,1.0) Func = CosineMap subplot(211) title(str(Func.func_name) + ' at a=%g and its second iterate' %a) ylabel('X(n+1)') # set y-axis label plot(xaxis,Func(a,xaxis), 'g', antialiased=True) subplot(212) ylabel('X(n+1)') # set y-axis label xlabel('X(n)') # set x-axis label plot(xaxis,Func(a,Func(a,xaxis)), 'bo', antialiased=True) My program is supposed to take any of the three defined functions and plot it. They all take in a value x from the array xaxis from 0 to N and then return the value. I want it to plot a graph of xaxis vs f(xaxis) with f being any of the three above functions. The logisticmap function works fine, but for CosineMap i get the error "only length-1 arrays can be converted to python scalars" and for TentMap i get error "The truth value of an array with more than one element is ambiguous, use a.any() or a.all()". My tent map function is suppose to return 2*a*x if 0<=x<0.5 and it's suppose to return 2*a*(1-x) if 0.5<=0<=1.

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  • Convert C function to Objective C or alternative way to include C library?

    - by Moshe
    Background: I'm new to Objective-C and I've never touched C before. I'm trying to include a C library in my iPhone/iPod Touch project and I could not successfully compile the library's source code using the included instructions, so I've resorted to including the .h and .c files in Xcode. The library is for Hebrew Dates and corresponding Jewish Holidays. It can be found here: http://sourceforge.net/projects/libhdate/ I cannot seem to import the .c files into my implementation files. I can import the .h files though. When I try to use #import "file.c", where file.c is a file that is in XCode, it doesn't work. Why not? I've considered just writing the functions over in Objective-C, albeit only my needed functions and not the whole library. How can I make the following C function work in Objective-C? Are there other things that need to be included/re-coded/compiled? How so? I am almost certain something is missing, but I'm not sure what. Code: int hdate_get_omer_day(hdate_struct const * h) { int omer_day; hdate_struct sixteen_nissan; hdate_set_hdate(&sixteen_nissan, 16, 7, h->hd_year); omer_day = h->hd_jd - sixteen_nissan.hd_jd + 1; if ((omer_day > 49) || (omer_day < 0)) omer_day = 0; return omer_day; } So... should I be converting it, or trying somehow to compile to an appropriate format and how so? (I don't know what format a static library should be in, by the way, or if it should be static... - I'm so lost here....) I appreciate the help!

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  • Finding What You Need in R: function arguments/parameters from outside the function's package

    - by doug
    Often in R, there are a dozen functions scattered across as many packages--all of which have the same purpose but of course differ in accuracy, performance, theoretical rigor, and so on. How do you gather all of these in one place before you start your task? So for instance: the generic plot function. Setting secondary ticks is much easier (IMHO) using a function outside of the base package, minor.tick(nx=n, ny=n, tick.ratio=n), found in Hmisc. Of course, that doesn't show up in plot's docstring. Likewise, the data-input arguments to 'plot' can be supplied by an object returned from the function 'hexbin', again, from a library outside of the base installation (where 'plot' resides). What would be great obviously is a programmatic way to gather these function arguments from the various libraries and put them in a single namespace. edit: (trying to re-state my example just above more clearly:) the arguments to plot supplied in the base package for, e.g., setting the axis tick frequency are xaxp/yaxp; however, one can also set a/t/f via a function outside of the base package, again, as in the minor.tick function from the Hmisc package--but you wouldn't know that just from looking at the plot method signature. Is there a meta function in R for this? So far, as i come across them, i've been manually gathering them in a TextMate 'snippet' (along with the attendant library imports). This isn't that difficult or time consuming, but i can only update my snippet as i find out about these additional arguments/parameters. Is there a canonical R way to do this, or at least an easier way? Just in case that wasn't clear, i am not talking about the case where multiple packages provide functions directed to the same statistic or view (e.g., 'boxplot' in the base package; 'boxplot.matrix' in gplots; and 'bplots' in Rlab). What i am talking is the case in which the function name is the same across two or more packages.

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  • pyPDF - Retrieve page numbers from document

    - by SquidneyPoitier
    At the moment I'm looking into doing some PDF merging with pyPdf, but sometimes the inputs are not in the right order, so I'm looking into scraping each page for its page number to determine the order it should go in (e.g. if someone split up a book into 20 10-page PDFs and I want to put them back together). I have two questions - 1.) I know that sometimes the page number is stored in the document data somewhere, as I've seen PDFs that render on Adobe as something like [1243] (10 of 150), but I've read documents of this sort into pyPDF and I can't find any information indicating the page number - where is this stored? 2.) If avenue #1 isn't available, I think I could iterate through the objects on a given page to try to find a page number - likely it would be its own object that has a single number in it. However, I can't seem to find any clear way to determine the contents of objects. If I run: pdf.getPage(0).getContents() This usually either returns: {'/Filter': '/FlateDecode'} or it returns a list of IndirectObject(num, num) objects. I don't really know what to do with either of these and there's no real documentation on it as far as I can tell. Is anyone familiar with this kind of thing that could point me in the right direction?

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  • Fastest way to clamp a real (fixed/floating point) value?

    - by Niklas
    Hi, Is there a more efficient way to clamp real numbers than using if statements or ternary operators? I want to do this both for doubles and for a 32-bit fixpoint implementation (16.16). I'm not asking for code that can handle both cases; they will be handled in separate functions. Obviously, I can do something like: double clampedA; double a = calculate(); clampedA = a > MY_MAX ? MY_MAX : a; clampedA = a < MY_MIN ? MY_MIN : a; or double a = calculate(); double clampedA = a; if(clampedA > MY_MAX) clampedA = MY_MAX; else if(clampedA < MY_MIN) clampedA = MY_MIN; The fixpoint version would use functions/macros for comparisons. This is done in a performance-critical part of the code, so I'm looking for an as efficient way to do it as possible (which I suspect would involve bit-manipulation) EDIT: It has to be standard/portable C, platform-specific functionality is not of any interest here. Also, MY_MIN and MY_MAX are the same type as the value I want clamped (doubles in the examples above).

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  • Optimizing T-SQL where an array would be nice

    - by Polatrite
    Alright, first you'll need to grab a barf bag. I've been tasked with optimizing several old stored procedures in our database. This SP does the following: 1) cursor loops through a series of "buildings" 2) cursor loops through a week, Sunday-Saturday 3) has a huge set of IF blocks that are responsible for counting how many Objects of what Types are present in a given building Essentially what you'll see in this code block is that, if there are 5 objects of type #2, it will increment @Type_2_Objects_5 by 1. IF @Number_Type_1_Objects = 0 BEGIN SET @Type_1_Objects_0 = @Type_1_Objects_0 + 1 END IF @Number_Type_1_Objects = 1 BEGIN SET @Type_1_Objects_1 = @Type_1_Objects_1 + 1 END IF @Number_Type_1_Objects = 2 BEGIN SET @Type_1_Objects_2 = @Type_1_Objects_2 + 1 END IF @Number_Type_1_Objects = 3 BEGIN SET @Type_1_Objects_3 = @Type_1_Objects_3 + 1 END [... Objects_4 through Objects_20 for Type_1] IF @Number_Type_2_Objects = 0 BEGIN SET @Type_2_Objects_0 = @Type_2_Objects_0 + 1 END IF @Number_Type_2_Objects = 1 BEGIN SET @Type_2_Objects_1 = @Type_2_Objects_1 + 1 END IF @Number_Type_2_Objects = 2 BEGIN SET @Type_2_Objects_2 = @Type_2_Objects_2 + 1 END IF @Number_Type_2_Objects = 3 BEGIN SET @Type_2_Objects_3 = @Type_2_Objects_3 + 1 END [... Objects_4 through Objects_20 for Type_2] In addition to being extremely hacky (and limited to a quantity of 20 objects), it seems like a terrible way of handling this. In a traditional language, this could easily be solved with a 2-dimensional array... objects[type][quantity] += 1; I'm a T-SQL novice, but since writing stored procedures often uses a lot of temporary tables (which could essentially be a 2-dimensional array) I was wondering if someone could illuminate a better way of handling a situation like this with two dynamic pieces of data to store. Requested in comments: The columns are simply Number_Type_1_Objects, Number_Type_2_Objects, Number_Type_3_Objects, Number_Type_4_Objects, Number_Type_5_Objects, and CurrentDateTime. Each row in the table represents 5 minutes. The expected output is to figure out what percentage of time a given quantity of objects is present throughout each day. Sunday - Object Type 1 0 objects - 69 rows, 5:45, 34.85% 1 object - 85 rows, 7:05, 42.93% 2 objects - 44 rows, 3:40, 22.22% On Sunday, there were 0 objects of type 1 for 34.85% of the day. There was 1 object for 42.93% of the day, and 2 objects for 22.22% of the day. Repeat for each object type.

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  • How to pass data to a C++0x lambda function that will run in a different thread?

    - by Dimitri C.
    In our company we've written a library function to call a function asynchronously in a separate thread. It works using a combination of inheritance and template magic. The client code looks as follows: DemoThread thread; std::string stringToPassByValue = "The string to pass by value"; AsyncCall(thread, &DemoThread::SomeFunction, stringToPassByValue); Since the introduction of lambda functions I'd like to use it in combination with lambda functions. I'd like to write the following client code: DemoThread thread; std::string stringToPassByValue = "The string to pass by value"; AsyncCall(thread, [=]() { const std::string someCopy = stringToPassByValue; }); Now, with the Visual C++ 2010 this code doesn't work. What happens is that the stringToPassByValue is not copied. Instead the "capture by value" feature passes the data by reference. The result is that if the function is executed after stringToPassByValue has gone out of scope, the application crashes as its destructor is called already. So I wonder: is it possible to pass data to a lambda function as a copy? Note: One possible solution would be to modify our framework to pass the data in the lambda parameter declaration list, as follows: DemoThread thread; std::string stringToPassByValue = "The string to pass by value"; AsyncCall(thread, [=](const std::string stringPassedByValue) { const std::string someCopy = stringPassedByValue; } , stringToPassByValue); However, this solution is so verbose that our original function pointer solution is both shorter and easier to read. Update: The full implementation of AsyncCall is too big to post here. In short, what happens is that the AsyncCall template function instantiates a template class holding the lambda function. This class is derived from a base class that contains a virtual Execute() function, and upon an AsyncCall() call, the function call class is put on a call queue. A different thread then executes the queued calls by calling the virtual Execute() function, which is polymorphically dispatched to the template class which then executes the lambda function.

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  • Heroku: Postgres type operator error after migrating DB from MySQL

    - by sevennineteen
    This is a follow-up to a question I'd asked earlier which phrased this as more of a programming problem than a database problem. http://stackoverflow.com/questions/2935985/postgres-error-with-sinatra-haml-datamapper-on-heroku I believe the problem has been isolated to the storage of the ID column in Heroku's Postgres database after running db:push. In short, my app runs properly on my original MySQL database, but throws Postgres errors on Heroku when executing any query on the ID column, which seems to have been stored in Postgres as TEXT even though it is stored as INT in MySQL. My question is why the ID column is being created as INT in Postgres on the data transfer to Heroku, and whether there's any way for me to prevent this. Here's the output from a heroku console session which demonstrates the issue: Ruby console for myapp.heroku.com >> Post.first.title => "Welcome to First!" >> Post.first.title.class => String >> Post.first.id => 1 >> Post.first.id.class => Fixnum >> Post[1] PostgresError: ERROR: operator does not exist: text = integer LINE 1: ...", "title", "created_at" FROM "posts" WHERE ("id" = 1) ORDER... ^ HINT: No operator matches the given name and argument type(s). You might need to add explicit type casts. Query: SELECT "id", "name", "email", "url", "title", "created_at" FROM "posts" WHERE ("id" = 1) ORDER BY "id" LIMIT 1 Thanks!

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  • How to convert Big Endian and how to flip the highest bit?

    - by Robert Frank
    I am using a TStream to read binary data (thanks to this post: http://stackoverflow.com/questions/2878180/how-to-use-a-tfilestream-to-read-2d-matrices-into-dynamic-array). My next problem is that the data is Big Endian. From my reading, the Swap() method is seemingly deprecated. How would I swap the types below? 16-bit two's complement binary integer 32-bit two's complement binary integer 64-bit two's complement binary integer IEEE single precision floating-point - Are IEEE affected by Big Endian? And, finally, since the data is unsigned, the creators of this dataset have stored the unsigned values as signed integers (excluding the IEEE). They instruct that one need only add an offset (2^15, 2^31, and 2^63) to recover the unsigned data. But, they note that flipping the most significant bit is the fastest way to do that. How does one efficiently flip the most significant bit of a 16, 32, or 64-bit integer? So, if the data on disk (16-bit) is "85 FB" - the desired result after reading the data and swapping and bit flipping would be 1531. Is there a way to accomplish the swapping and bit flipping with generics so it fits into the generic answer at the link above? Yes, kids, THIS is how scientific astronomical data is stored by NASA, ESO, and all professional astronomers. This FITS standard is considered by some to be one of the most successful standards ever created in its proliferation and flexibility!

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  • Survey statistic diagram ideas

    - by Nort
    Hey everyone, I've got some homework tasks in topic surveys and diagrams. The first task is to normalize the input of a survey, because the structure of the data is changing from time-to-time. So there are three types of surveys: static fields, where text is stored dynamic ones, where the user can select one option and multiselect fields, where the user can select multiple options So I'm not really a statistics guy, so I have really no idea what I can do with that incomming data. So the data I have is stored in an orbital XML file from there I can easily get how man times a survey was filled, and how many times a field was filled, so I can (for eg on a pie chart show the relation of filled or not filled). The second idea is to show the relation between the content of a multi option element using a bar chart or so. In case of the multi option elements I've got the idea to show data in implication of one option. But the question is, what could be shown? The other problem are the static elements (text fields and so). What data could be represented from a single field? The data in the XML field is collected from 2001 to 2005 So maybe I can work with the dates of the surveys, but as I said, i don't really know how to process the data, to collect as much data as possible.

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  • PHP modifying and combining array

    - by Industrial
    Hi everyone, I have a bit of an array headache going on. The function does what I want, but since I am not yet to well acquainted with PHP:s array/looping functions, so thereby my question is if there's any part of this function that could be improved from a performance-wise perspective? I tried to be as complete as possible in my descriptions in each stage of the functions which shortly described prefixes all keys in an array, fill up eventual empty/non-valid keys with '' and removes the prefixes before returning the array: $var = myFunction ( array('key1', 'key2', 'key3', '111') ); function myFunction ($keys) { $prefix = 'prefix_'; $keyCount = count($keys); // Prefix each key and remove old keys for($i=0;$i<$keyCount; $i++){ $keys[] = $prefix.$keys[$i]; unset($keys[$i]); } // output: array('prefix_key1', 'prefix_key2', 'prefix_key3', '111) // Get all keys from memcached. Only returns valid keys $items = $this->memcache->get($keys); // output: array('prefix_key1' => 'value1', 'prefix_key2' => 'value2', 'prefix_key3'=>'value3) // note: key 111 was not found in memcache. // Fill upp eventual keys that are not valid/empty from memcache $return = $items + array_fill_keys($keys, ''); // output: array('prefix_key1' => 'value1', 'prefix_key2' => 'value2', 'prefix_key3'=>'value3, 'prefix_111' => '') // Remove the prefixes for each result before returning array to application foreach ($return as $k => $v) { $expl = explode($prefix, $k); $return[$expl[1]] = $v; unset($return[$k]); } // output: array('key1' => 'value1', 'key2' => 'value2', 'key3'=>'value3, '111' => '') return $return; } Thanks a lot!

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  • Creating PHP strings using other variables...works manually, can't figure out how automatically

    - by Matt
    Hello, I'm trying to get a variable to be formed automatically using data pulled from a mysql database. I know the data is being pulled from the database in some form resembling its original form, but that data does not act the same as data that is manually typed and assigned to a string. For example, if a cell in a mysql table says... I said "goodbye" before I left. She also said "goodbye." ...and I manually copy/paste it and add the necessary escapes... $string1 = " I said \"goodbye\" before I left. She also said \"goodbye.\" "; ...that does not equal... $string1 = $mysqlResultArray['specificCellWithQuoteShownAbove'] Interestingly, if I echo both versions of $string1 and view the output, they appear to be exactly the same. But they do not function the same when put through various functions I've created. The functions only work if I do the manual copy/paste method--which is not what I want, obviously. I'm not sure if it has to do with the line breaks or the escapes--or some combination of the two. But while both strings are superficially the same, they are apparently functionally different and I don't know why. So how can I create $string1 without manually copy/pasting the contents from the mysql entry and instead querying for the data and assigning it to $string1 in such a way that it's exactly functionally equivalent as the manual copy/pasted string?

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  • What's the SQL function for timestamp manipulation?

    - by Eric Leroy
    I'm new to SQL and the time functions are different than mySQL so I'm having a terrible time finding a good site reference with USEFUL timestamp queries. I'm not able to locate the correct way of doing this query in SQL: Id Timestamp ----------------------------------- 1145744 2012-10-10 18:15:11.500 1145743 2012-10-10 18:15:11.313 1145742 2012-10-10 18:15:11.313 1145741 2012-10-10 18:15:11.253 1145740 2012-10-10 18:15:11.190 1145739 2012-10-10 18:15:11.190 1145738 2012-10-10 18:15:11.127 1145737 2012-10-10 18:15:11.067 1145736 2012-10-10 18:15:11.063 1145735 2012-10-10 18:15:10.940 1145734 2012-10-10 18:15:10.817 SELECT * from table WHERE Timestamp ... RANGE I need the range of 2 timestamps so I can select rows by the following parameters: second range minute range hour range day range week range month range year range Is there one function to put in 2 timestamps and get the range? or is this a mix of functions I need? Any good site references would be greatly appriceated. MSDN site isn't helping me isolate the proper way of doing this. I've been searching for about an hour trying to get the last day from 1:30PM to 1:30PM today.

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  • Calling function after .load (Jquery)

    - by Matt
    Having a little difficulty getting a function to call after a .load: $(function(){ $('a.pageFetcher').click(function(){ $('#main').load($(this).attr('rel')); }); }); The page loads, but the functions don't fire: $(function(){ var $container = $('#container'); $container.imagesLoaded(function(){ $container.masonry({ itemSelector: '.box', }); }); $container.infinitescroll({ navSelector : '#page-nav', nextSelector : '#page-nav a', itemSelector : '.box', loading: { finishedMsg: 'Nothing else to load.', img: 'http://i.imgur.com/6RMhx.gif' } }, function( newElements ) { $.superbox.settings = { closeTxt: "Close this", loadTxt: "Loading your selection", nextTxt: "Next item", prevTxt: "Previous item" }; $.superbox(); var $newElems = $( newElements ).css({ opacity: 0 }); $newElems.imagesLoaded(function(){ $newElems.animate({ opacity: 1 }); $container.masonry( 'appended', $newElems, true ); }); } ); }); I've attempted to combine them so that the 2nd functions are called after .load (after doing some searching on this site and looking at given answers/examples) but nothing seems to work properly. Suggestions?

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  • Building an 'Activation Key' Generator in JAVA

    - by jax
    I want to develop a Key generator for my phone applications. Currently I am using an external service to do the job but I am a little concerned that the service might go offline one day hence I will be in a bit of a pickle. How authentication works now. Public key stored on the phone. When the user requests a key the 'phone ID' is sent to the "Key Generation Service" and the encrypted key key is returned and stored inside a license file. On the phone I can check if the key is for the current phone by using a method getPhoneId() which I can check with the the current phone and grant or not grant access to features. I like this and it works well, however, I want to create my own "Key Generation Service" from my own website. Requirements: Public and Private Key Encryption:(Bouncy Castle) Written in JAVA Must support getApplicationId() (so that many applications can use the same key generator) and getPhoneId() (to get the phone id out of the encrypted license file) I want to be able to send the ApplicationId and PhoneId to the service for license key generation. Can someone give me some pointers on how to accomplish this? I have dabbled around with some java encryption but am definitely no expert and can't find anything that will help me. A list of the Java classes I would need to instantiate would be helpful.

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  • How to force client browser to download images from server rather using its cache

    - by anonim.developer
    Assume a simple aspx data entry page in which admin user can upload an image as well as some other data. They are stored in database and the next time admin visits that page to edit record, image data fetched and a preview generated and saved to disk (using GDI+) and the preview is shown in an image control. This procedure works fine for the first time however if the image changes (a new one uploaded) the next time the page is surfed it shows previously uploaded image. I debugged the application and everything works correct. The new image data is in database and new preview is stored in Temp location however the page shows previous one. If I refresh the page it shows the new image preview. I should mention that preview is always saved to disk with one name (id of each record as the name). I think that is because of IE and other browsers use client cache instead of loading images each time a page is surfed. I wonder if there is a way to force the client browser to refresh itself so the newly uploaded image is shown without user intervention. Thanks and appreciation in advance,

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  • i read that for RESTful websites. it is not good to use $_SESSION. Why is it not good? how then do i

    - by keisimone
    I read that it is not good to use $_SESSION. http://www.recessframework.org/page/towards-restful-php-5-basic-tips I am creating a WEBSITE, not web service in PHP. and i am trying to make it more RESTful. at least in spirit. right now i am rewriting all the action to use Form tags POST and add in a hidden value called _method which would be "delete" for deleting action and "put" for updating action. however, i am not sure why it is recommended NOT to use $_SESSION. i would like to know why and what can i do to improve. To allow easy authorization checking, what i did was to after logging in the user, the username is stored in the $_SESSION. Everytime the user navigates to a page, the page would check if the username is stored inside $_SESSION and then based on the $_SESSION retrieves all the info including privileges from the database and then evaluates the authorization to access the page based on the info retrieved. Is the way I am implementing bad? not RESTful? how do i improve performance and security? Thank you.

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  • Different programming languages possibilities

    - by b-gen-jack-o-neill
    Hello. This should be very simple question. There are many programming languages out there, compiled into machine code or managed code. I first started with ASM back in high school. Assembler is very nice, since you know what exactly CPU does. Next, (as you can see from my other questions here) I decided to learn C and C++. I choosed C becouse from what I read it is the language with output most close to assembler-written programs. But, what I want to know is, can any other Windows programming language out there call win32 API? To be exact, like C has its special header and functions for win32 api interactions, is this assumed to be some important part of programming language? Or are there any languages that have no support for calling win32 API, or just use console to IO and some functions for basic file IO? Becouse, for Windows programming with graphic output, it is essential to have acess to win32 API. I know this question might seem silly, but still please, help me, I ask for study porposes. Thanks.

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  • Organising UI code in .NET forms

    - by sb3700
    Hi I'm someone who has taught myself programming, and haven't had any formal training in .NET programming. A while back, I started C# in order to develop a GUI program to control sensors, and the project has blossomed. I was just wondering how best to organise the code, particularly UI code, in my forms. My forms currently are a mess, or at least seem a mess to me. I have a constructor which initialises all the parameters and creates events. I have a giant State property, which updates the Enabled state of all my form control as users progress through the application (ie: disconnected, connected, setup, scanning) controlled by a States enum. I have 3-10 private variables accessed through properties, some of which have side-effects in changing the values of form elements. I have a lot of "UpdateXXX" functions to handle UI elements that depend on other UI elements - ie: if a sensor is changed, then change the baud rate drop down list. They are separated into regions I have a lot of events calling these Update functions I have a background worker which does all the scanning and analysis. My problem is this seems like a mess, particularly the State property, and is getting unmaintainable. Also, my application logic code and UI code are in the same file and to some degree, intermingled which seems wrong and means I need to do a lot of scrolling to find what I need. How do you structure your .net forms? Thanks

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  • python list/dict property best practice

    - by jterrace
    I have a class object that stores some properties that are lists of other objects. Each of the items in the list has an identifier that can be accessed with the id property. I'd like to be able to read and write from these lists but also be able to access a dictionary keyed by their identifier. Let me illustrate with an example: class Child(object): def __init__(self, id, name): self.id = id self.name = name class Teacher(object): def __init__(self, id, name): self.id = id self.name = name class Classroom(object): def __init__(self, children, teachers): self.children = children self.teachers = teachers classroom = Classroom([Child('389','pete')], [Teacher('829','bob')]) This is a silly example, but it illustrates what I'm trying to do. I'd like to be able to interact with the classroom object like this: #access like a list print classroom.children[0] #append like it's a list classroom.children.append(Child('2344','joe')) #delete from like it's a list classroom.children.pop(0) But I'd also like to be able to access it like it's a dictionary, and the dictionary should be automatically updated when I modify the list: #access like a dict print classroom.childrenById['389'] I realize I could just make it a dict, but I want to avoid code like this: classroom.childrendict[child.id] = child I also might have several of these properties, so I don't want to add functions like addChild, which feels very un-pythonic anyway. Is there a way to somehow subclass dict and/or list and provide all of these functions easily with my class's properties? I'd also like to avoid as much code as possible.

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