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  • How to access base (super) class in Delphi?

    - by Niyoko Yuliawan
    In C# i can access base class by base keyword, and in java i can access it by super keyword. How to do that in delphi? suppose I have following code: type TForm3 = class(TForm) private procedure _setCaption(Value:String); public property Caption:string write _setCaption; //adding override here gives error end; implementation procedure TForm3._setCaption(Value: String); begin Self.Caption := Value; //it gives stack overflow end;

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  • Folder access per user

    - by user137670
    I have sbs 2003 r2. I have a shared folder (s-drive) for all shared info for everyone. when user is on shared folder, you see size of folder 230G. I have one user that only sees 1g when on shared folder. I have pcs using XP pro. Have check quota and they say no quota limit checked. I had user use a different pc and still same result. With this I looked at server and users profile and compared with user that did not have problem. could not see anything different. what did I miss in some option or do I have to rebuild user? I have tried google with different terms but have not gotten any good clues

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  • trying to work through a list in sections

    - by user1714887
    I have a list of lists sorted by the second value of the list (the groups). I now need to iterate through this to work on each "group" at a time. the data is [name, group, data1, data2, data3, data4]. I wasn't sure if I need a while or some other sort of loop, or maybe groupby but I've never used that. any help would be appreciated. for i in range (int(max_group)): x1 = [] x2 = [] x3 = [] x4 = [] if data[i][1] == i+1: x1.append(data[2]) x2.append(data[3]) x3.append(data[4]) x4.append(data[5]) print x1 print 'next' # these are just to test where we're at

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  • Java EE 7 Status Update - November 2012

    - by arungupta
    Here is a quick status update on different components that are targeted to be included in the Java EE 7 Platform: Java EE 7 Platform (JSR 342) - Early Draft 2 (list, project, javadocs ?) Java Persistence API 2.1 (JSR 338) - Early Draft 2 (list, project, javadocs ?) Java API for RESTful Web Services 2.0 (JSR 339) - Public Review (list, project, javadocs) Servlets 3.1 (JSR 340) - Early Draft (list, project, javadocs ?) Expression Language 3.0 (JSR 341) - Public Review (list, project, javadocs ?) Java Message Service 2.0 (JSR 343) - Early Draft (list, project, javadocs) JavaServer Faces 2.2 (JSR 344) - Early Draft (list, project, javadocs ?) Enterprise JavaBeans 3.2 (JSR 345) - Early Draft (list, project, javadocs ?) Context & Dependency Injection 1.1 (JSR 346) - Early Draft (list, project, javadocs) Bean Validation 1.1 (JSR 349) - Public Review (list, project, javadocs ?) JCACHE Java Temporary Caching API (JSR 107) - Early Draft (list, project, javadocs) Batch Applications for the Java Platform (JSR 352) - Early Draft (list, project, javadocs) Java API for JSON Processing (JSR 353) - Early Draft (list, project, javadocs) Java API for WebSocket (JSR 356) - Early Draft (list, project, javadocs) As evident, all the components have released at least an Early Draft specification. Some have released second Early Draft and some even have a Public Review in different stages. Several implementations are already integrated in GlassFish 4. Promoted Builds. Which ones are you tracking or contributing ? Make sure to file an issue so that your usecase and needs are addressed. Download GlassFish 4. Promoted Build and provide feedback.  

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  • Repository pattern with lazying loading using POCO

    - by Simon G
    Hi, I'm in the process of starting a new project and creating the business objects and data access etc. I'm just using plain old clr objects rather than any orms. I've created two class libraries: 1) Business Objects - holds all my business objects, all this objects are light weight with only properties and business rules. 2) Repository - this is for all my data access. The majority of my objects will have child list in and my question is what is the best way to lazy load these values as I don't want to bring back unnecessary information if I dont need to. I've thought about when using the "get" on the child property to check if its "null" and if it is call my repository to get the child information. This has two problems from what I can see: 1) The object "knows" how to get itself I would rather no data access logic be held in the object. 2) This required both classes to reference each other which in visual studio throws a circular dependency error. Does anyone have any suggestions on how to overcome this issue or any recommendations on my projects layout and where it can be improved? Thanks

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  • Database and logic layer for ASP.NET MVC application

    - by Ismail
    I'm going to start a new project which is going to be small initially but may grow to big over the years. I'm strongly convinced that I'm going to use ASP.NET MVC with jQuery for UI. I want to go for MySQL as database for some reasons but worried on few things. I've a good years of experience working on SQL Server databases and on one project I've had a bad experience creating and managing stored procedures on MySQL database. I'm totally new to Linq but I see that it is easier to use once you are familiar with it. First thing is that accessing data should be easy. So I thought I should use MySQL to Linq but somewhere I read that it is not directly supported but MySQL .NET connector adds support for EntityFramework. I don't know what are the pros and cons of it. I would love if I can implement repository pattern as it allows to apply filter in logic layer rather than in data access layer. Will it be possible if I use Entity Framework? I'm not clear on how I should go about all this or I should just forget every thing and directly use SQL to Linq on SQL Server. I'm also concerned about the performance. Someone told me that if we use Entity framework it fetches lot of data and then filter it. Is that right? So questions basically are - Is MySQL to Linq possible? If yes where can I get more details on it? Pros and cons of using EntityFramework with MySQL? Will it be easy to access data using EntityFramework with MySQL? Will I be able to implement repository patter which allows applying filter in logic layer rather than data access layer (when I use EntityFramework with MySQL) Does it fetches hell lot of data from database and then apply filter on it? If it sounds too many questions from my side in that case, if you can just let me know what you will do (with a considerable reason) in this situation as an experienced person in this area, that should answer my question.

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  • DropDownList and SelectListItem Array Item Updates in MVC

    - by Rick Strahl
    So I ran into an interesting behavior today as I deployed my first MVC 4 app tonight. I have a list form that has a filter drop down that allows selection of categories. This list is static and rarely changes so rather than loading these items from the database each time I load the items once and then cache the actual SelectListItem[] array in a static property. However, when we put the site online tonight we immediately noticed that the drop down list was coming up with pre-set values that randomly changed. Didn't take me long to trace this back to the cached list of SelectListItem[]. Clearly the list was getting updated - apparently through the model binding process in the selection postback. To clarify the scenario here's the drop down list definition in the Razor View:@Html.DropDownListFor(mod => mod.QueryParameters.Category, Model.CategoryList, "All Categories") where Model.CategoryList gets set with:[HttpPost] [CompressContent] public ActionResult List(MessageListViewModel model) { InitializeViewModel(model); busEntry entryBus = new busEntry(); var entries = entryBus.GetEntryList(model.QueryParameters); model.Entries = entries; model.DisplayMode = ApplicationDisplayModes.Standard; model.CategoryList = AppUtils.GetCachedCategoryList(); return View(model); } The AppUtils.GetCachedCategoryList() method gets the cached list or loads the list on the first access. The code to load up the list is housed in a Web utility class. The method looks like this:/// <summary> /// Returns a static category list that is cached /// </summary> /// <returns></returns> public static SelectListItem[] GetCachedCategoryList() { if (_CategoryList != null) return _CategoryList; lock (_SyncLock) { if (_CategoryList != null) return _CategoryList; var catBus = new busCategory(); var categories = catBus.GetCategories().ToList(); // Turn list into a SelectItem list var catList= categories .Select(cat => new SelectListItem() { Text = cat.Name, Value = cat.Id.ToString() }) .ToList(); catList.Insert(0, new SelectListItem() { Value = ((int)SpecialCategories.AllCategoriesButRealEstate).ToString(), Text = "All Categories except Real Estate" }); catList.Insert(1, new SelectListItem() { Value = "-1", Text = "--------------------------------" }); _CategoryList = catList.ToArray(); } return _CategoryList; } private static SelectListItem[] _CategoryList ; This seemed normal enough to me - I've been doing stuff like this forever caching smallish lists in memory to avoid an extra trip to the database. This list is used in various places throughout the application - for the list display and also when adding new items and setting up for notifications etc.. Watch that ModelBinder! However, it turns out that this code is clearly causing a problem. It appears that the model binder on the [HttpPost] method is actually updating the list that's bound to and changing the actual entry item in the list and setting its selected value. If you look at the code above I'm not setting the SelectListItem.Selected value anywhere - the only place this value can get set is through ModelBinding. Sure enough when stepping through the code I see that when an item is selected the actual model - model.CategoryList[x].Selected - reflects that. This is bad on several levels: First it's obviously affecting the application behavior - nobody wants to see their drop down list values jump all over the place randomly. But it's also a problem because the array is getting updated by multiple ASP.NET threads which likely would lead to odd crashes from time to time. Not good! In retrospect the modelbinding behavior makes perfect sense. The actual items and the Selected property is the ModelBinder's way of keeping track of one or more selected values. So while I assumed the list to be read-only, the ModelBinder is actually updating it on a post back producing the rather surprising results. Totally missed this during testing and is another one of those little - "Did you know?" moments. So, is there a way around this? Yes but it's maybe not quite obvious. I can't change the behavior of the ModelBinder, but I can certainly change the way that the list is generated. Rather than returning the cached list, I can return a brand new cloned list from the cached items like this:/// <summary> /// Returns a static category list that is cached /// </summary> /// <returns></returns> public static SelectListItem[] GetCachedCategoryList() { if (_CategoryList != null) { // Have to create new instances via projection // to avoid ModelBinding updates to affect this // globally return _CategoryList .Select(cat => new SelectListItem() { Value = cat.Value, Text = cat.Text }) .ToArray(); } …}  The key is that newly created instances of SelectListItems are returned not just filtered instances of the original list. The key here is 'new instances' so that the ModelBinding updates do not update the actual static instance. The code above uses LINQ and a projection into new SelectListItem instances to create this array of fresh instances. And this code works correctly - no more cross-talk between users. Unfortunately this code is also less efficient - it has to reselect the items and uses extra memory for the new array. Knowing what I know now I probably would have not cached the list and just take the hit to read from the database. If there is even a possibility of thread clashes I'm very wary of creating code like this. But since the method already exists and handles this load in one place this fix was easy enough to put in. Live and learn. It's little things like this that can cause some interesting head scratchers sometimes…© Rick Strahl, West Wind Technologies, 2005-2012Posted in MVC  ASP.NET  .NET   Tweet !function(d,s,id){var js,fjs=d.getElementsByTagName(s)[0];if(!d.getElementById(id)){js=d.createElement(s);js.id=id;js.src="//platform.twitter.com/widgets.js";fjs.parentNode.insertBefore(js,fjs);}}(document,"script","twitter-wjs"); (function() { var po = document.createElement('script'); po.type = 'text/javascript'; po.async = true; po.src = 'https://apis.google.com/js/plusone.js'; var s = document.getElementsByTagName('script')[0]; s.parentNode.insertBefore(po, s); })();

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  • How to Achieve OC4J RMI Load Balancing

    - by fip
    This is an old, Oracle SOA and OC4J 10G topic. In fact this is not even a SOA topic per se. Questions of RMI load balancing arise when you developed custom web applications accessing human tasks running off a remote SOA 10G cluster. Having returned from a customer who faced challenges with OC4J RMI load balancing, I felt there is still some confusions in the field how OC4J RMI load balancing work. Hence I decide to dust off an old tech note that I wrote a few years back and share it with the general public. Here is the tech note: Overview A typical use case in Oracle SOA is that you are building web based, custom human tasks UI that will interact with the task services housed in a remote BPEL 10G cluster. Or, in a more generic way, you are just building a web based application in Java that needs to interact with the EJBs in a remote OC4J cluster. In either case, you are talking to an OC4J cluster as RMI client. Then immediately you must ask yourself the following questions: 1. How do I make sure that the web application, as an RMI client, even distribute its load against all the nodes in the remote OC4J cluster? 2. How do I make sure that the web application, as an RMI client, is resilient to the node failures in the remote OC4J cluster, so that in the unlikely case when one of the remote OC4J nodes fail, my web application will continue to function? That is the topic of how to achieve load balancing with OC4J RMI client. Solutions You need to configure and code RMI load balancing in two places: 1. Provider URL can be specified with a comma separated list of URLs, so that the initial lookup will land to one of the available URLs. 2. Choose a proper value for the oracle.j2ee.rmi.loadBalance property, which, along side with the PROVIDER_URL property, is one of the JNDI properties passed to the JNDI lookup.(http://docs.oracle.com/cd/B31017_01/web.1013/b28958/rmi.htm#BABDGFBI) More details below: About the PROVIDER_URL The JNDI property java.name.provider.url's job is, when the client looks up for a new context at the very first time in the client session, to provide a list of RMI context The value of the JNDI property java.name.provider.url goes by the format of a single URL, or a comma separate list of URLs. A single URL. For example: opmn:ormi://host1:6003:oc4j_instance1/appName1 A comma separated list of multiple URLs. For examples:  opmn:ormi://host1:6003:oc4j_instanc1/appName, opmn:ormi://host2:6003:oc4j_instance1/appName, opmn:ormi://host3:6003:oc4j_instance1/appName When the client looks up for a new Context the very first time in the client session, it sends a query against the OPMN referenced by the provider URL. The OPMN host and port specifies the destination of such query, and the OC4J instance name and appName are actually the “where clause” of the query. When the PROVIDER URL reference a single OPMN server Let's consider the case when the provider url only reference a single OPMN server of the destination cluster. In this case, that single OPMN server receives the query and returns a list of the qualified Contexts from all OC4Js within the cluster, even though there is a single OPMN server in the provider URL. A context represent a particular starting point at a particular server for subsequent object lookup. For example, if the URL is opmn:ormi://host1:6003:oc4j_instance1/appName, then, OPMN will return the following contexts: appName on oc4j_instance1 on host1 appName on oc4j_instance1 on host2, appName on oc4j_instance1 on host3,  (provided that host1, host2, host3 are all in the same cluster) Please note that One OPMN will be sufficient to find the list of all contexts from the entire cluster that satisfy the JNDI lookup query. You can do an experiment by shutting down appName on host1, and observe that OPMN on host1 will still be able to return you appname on host2 and appName on host3. When the PROVIDER URL reference a comma separated list of multiple OPMN servers When the JNDI propery java.naming.provider.url references a comma separated list of multiple URLs, the lookup will return the exact same things as with the single OPMN server: a list of qualified Contexts from the cluster. The purpose of having multiple OPMN servers is to provide high availability in the initial context creation, such that if OPMN at host1 is unavailable, client will try the lookup via OPMN on host2, and so on. After the initial lookup returns and cache a list of contexts, the JNDI URL(s) are no longer used in the same client session. That explains why removing the 3rd URL from the list of JNDI URLs will not stop the client from getting the EJB on the 3rd server. About the oracle.j2ee.rmi.loadBalance Property After the client acquires the list of contexts, it will cache it at the client side as “list of available RMI contexts”.  This list includes all the servers in the destination cluster. This list will stay in the cache until the client session (JVM) ends. The RMI load balancing against the destination cluster is happening at the client side, as the client is switching between the members of the list. Whether and how often the client will fresh the Context from the list of Context is based on the value of the  oracle.j2ee.rmi.loadBalance. The documentation at http://docs.oracle.com/cd/B31017_01/web.1013/b28958/rmi.htm#BABDGFBI list all the available values for the oracle.j2ee.rmi.loadBalance. Value Description client If specified, the client interacts with the OC4J process that was initially chosen at the first lookup for the entire conversation. context Used for a Web client (servlet or JSP) that will access EJBs in a clustered OC4J environment. If specified, a new Context object for a randomly-selected OC4J instance will be returned each time InitialContext() is invoked. lookup Used for a standalone client that will access EJBs in a clustered OC4J environment. If specified, a new Context object for a randomly-selected OC4J instance will be created each time the client calls Context.lookup(). Please note the regardless of the setting of oracle.j2ee.rmi.loadBalance property, the “refresh” only occurs at the client. The client can only choose from the "list of available context" that was returned and cached from the very first lookup. That is, the client will merely get a new Context object from the “list of available RMI contexts” from the cache at the client side. The client will NOT go to the OPMN server again to get the list. That also implies that if you are adding a node to the server cluster AFTER the client’s initial lookup, the client would not know it because neither the server nor the client will initiate a refresh of the “list of available servers” to reflect the new node. About High Availability (i.e. Resilience Against Node Failure of Remote OC4J Cluster) What we have discussed above is about load balancing. Let's also discuss high availability. This is how the High Availability works in RMI: when the client use the context but get an exception such as socket is closed, it knows that the server referenced by that Context is problematic and will try to get another unused Context from the “list of available contexts”. Again, this list is the list that was returned and cached at the very first lookup in the entire client session.

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  • What sorting algorithm is this?

    - by Mike
    Hi, I have a sorting algorithm as follows. My question is, which sorting algorithm is this? I thought it was bubble sort, but it does not do multiple runs. Any idea? Thanks! //sorting in descending order struct node { int value; node* NEXT; } //Assume HEAD pointer denotes the first element in the //linked list // only change the values…don’t have to change the //pointers Sort( Node *Head) { node* first,second,temp; first= Head; while(first!=null) { second=first->NEXT; while(second!=null) { if(first->value < second->value) { temp = new node(); temp->value=first->value; first->value=second->value; second->value=temp->value; delete temp; } second=second->NEXT; } first=first->NEXT; } }

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  • PHP Markdown Extra and Definition Lists

    - by Kirk Bentley
    I'm currently generating a definition list with PHP Markdown Extra with the following syntax: Term : Description : Description Two My Other Term : Description which generates the following HTML: <dl> <dt>Term</dt> <dd>Description</dd> <dd>Description Two</dd> <dt>My Other Term</dt> <dd>Description</dd> </dl> Does anyone know how I can get Markdown to create separate definition lists for each definition term and descriptions to create markup like this? <dl> <dt>Term</dt> <dd>Description</dd> <dd>Description Two</dd> </dl> <dl <dt>My Other Term</dt> <dd>Description</dd> </dl>

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  • ArrayList<String> NullPointerException

    - by Carlucho
    Am trying to solve a labyrinth by DFS, using adj List to represent the vertices and edges of the graph. In total there are 12 nodes (3 rows[A,B,C] * 4 cols[0,..,3]). My program starts by saving all the vertex labels (A0,..C3), so far so good, then checks the adjacent nodes, also no problems, if movement is possible, it proceeds to create the edge, here its where al goes wrong. adjList[i].add(vList[j].label); I used the debugger and found that vList[j].label is not null it contains a correct string (ie. "B1"). The only variables which show null are in adjList[i], which leads me to believe i have implemented it wrongly. this is how i did it. public class GraphList { private ArrayList<String>[] adjList; ... public GraphList(int vertexcount) { adjList = (ArrayList<String>[]) new ArrayList[vertexCount]; ... } ... public void addEdge(int i, int j) { adjList[i].add(vList[j].label); //NULLPOINTEREXCEPTION HERE } ... } I will really appreaciate if anyone can point me on the right track regrading to what its going wrong... Thanks!

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  • Deeply nested subqueries for traversing trees in MySQL

    - by nickf
    I have a table in my database where I store a tree structure using the hybrid Nested Set (MPTT) model (the one which has lft and rght values) and the Adjacency List model (storing parent_id on each node). my_table (id, parent_id, lft, rght, alias) This question doesn't relate to any of the MPTT aspects of the tree but I thought I'd leave it in in case anyone had a good idea about how to leverage that. I want to convert a path of aliases to a specific node. For example: "users.admins.nickf" would find the node with alias "nickf" which is a child of one with alias "admins" which is a child of "users" which is at the root. There is a unique index on (parent_id, alias). I started out by writing the function so it would split the path to its parts, then query the database one by one: SELECT `id` FROM `my_table` WHERE `parent_id` IS NULL AND `alias` = 'users';-- 1 SELECT `id` FROM `my_table` WHERE `parent_id` = 1 AND `alias` = 'admins'; -- 8 SELECT `id` FROM `my_table` WHERE `parent_id` = 8 AND `alias` = 'nickf'; -- 37 But then I realised I could do it with a single query, using a variable amount of nesting: SELECT `id` FROM `my_table` WHERE `parent_id` = ( SELECT `id` FROM `my_table` WHERE `parent_id` = ( SELECT `id` FROM `my_table` WHERE `parent_id` IS NULL AND `alias` = 'users' ) AND `alias` = 'admins' ) AND `alias` = 'nickf'; Since the number of sub-queries is dependent on the number of steps in the path, am I going to run into issues with having too many subqueries? (If there even is such a thing) Are there any better/smarter ways to perform this query?

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  • grabbing a substring while scraping with Python2.6

    - by Diego
    Hey can someone help with the following? I'm trying to scrape a site that has the following information.. I need to pull just the number after the </strong> tag.. [<li><strong>ISBN-13:</strong> 9780375853401</li>, <li><strong>Pub. Date: </strong> 05/11/2010</li>] [<li><strong>UPC:</strong> 490355000372</li>, <li><strong>Catalog No:</strong> 15024/25</li>, <li><strong>Label:</strong> CAMERATA</li>] here's a piece of the code I've been using to grab the above data using mechanize and BeautifulSoup. I'm stuck here as it won't let me use the find() function for a list br_results = mechanize.urlopen(br_results) html = br_results.read() soup = BeautifulSoup(html) local_links = soup.findAll("a", {"class" : "down-arrow csa"}) upc_code = soup.findAll("ul", {"class" : "bc-meta3"}) for upc in upc_code: upc_text = upc.contents.contents print upc_text

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  • what is the best way to analyze user raw query and detect what who want to search

    - by Sadegh
    hi, i am developing a very basic prototype of web search engine and now i want to know what is the best way to analyze user raw query and detect what who want to search. like Google, Bing, Yahoo etc... an example user query is something like this: Google+Maps+"South+Africa"+Brasil+OR+Italy+OR+Spain+-Argentina+Netherland and i want to splite this to a generic list of each term(single) like this: IEnumerable<KeyValuePair<TermType, string>> <TermType.All, "Google"> <TermType.All, "Maps"> <TermType.Exact, "South"> <TermType.Exact, "Africa"> <TermType.Any, "Brazil"> <TermType.Any, "Italy"> <TermType.Any, "Spain"> <TermType.None, "Argentina"> <TermType.None, "Netherland"> i don't want complete code, i want guidance, solution, tips or anything that's help me to write best for anylize user raw query. thanks in advance

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  • Python lists/arrays: disable negative indexing wrap-around

    - by wim
    While I find the negative number wraparound (i.e. A[-2] indexing the second-to-last element) extremely useful in many cases, there are often use cases I come across where it is more of an annoyance than helpful, and I find myself wishing for an alternate syntax to use when I would rather disable that particular behaviour. Here is a canned 2D example below, but I have had the same peeve a few times with other data structures and in other numbers of dimensions. import numpy as np A = np.random.randint(0, 2, (5, 10)) def foo(i, j, r=2): '''sum of neighbours within r steps of A[i,j]''' return A[i-r:i+r+1, j-r:j+r+1].sum() In the slice above I would rather that any negative number to the slice would be treated the same as None is, rather than wrapping to the other end of the array. Because of the wrapping, the otherwise nice implementation above gives incorrect results at boundary conditions and requires some sort of patch like: def ugly_foo(i, j, r=2): def thing(n): return None if n < 0 else n return A[thing(i-r):i+r+1, thing(j-r):j+r+1].sum() I have also tried zero-padding the array or list, but it is still inelegant (requires adjusting the lookup locations indices accordingly) and inefficient (requires copying the array). Am I missing some standard trick or elegant solution for slicing like this? I noticed that python and numpy already handle the case where you specify too large a number nicely - that is, if the index is greater than the shape of the array it behaves the same as if it were None.

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  • Question on passing a pointer to a structure in C to a function?

    - by worlds-apart89
    Below, I wrote a primitive singly linked list in C. Function "addEditNode" MUST receive a pointer by value, which, I am guessing, means we can edit the data of the pointer but can not point it to something else. If I allocate memory using malloc in "addEditNode", when the function returns, can I see the contents of first-next ? Second question is do I have to free first-next or is it only first that I should free? I am running into segmentation faults on Linux. #include <stdio.h> #include <stdlib.h> typedef struct list_node list_node_t; struct list_node { int value; list_node_t *next; }; void addEditNode(list_node_t *node) { node->value = 10; node->next = (list_node_t*) malloc(sizeof(list_node_t)); node->next->value = 1; node->next->next = NULL; } int main() { list_node_t *first = (list_node_t*) malloc(sizeof(list_node_t)); first->value = 1; first->next = NULL; addEditNode(first); free(first); return 0; }

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  • AJAX help needed

    - by tharindu
    Hi guys.. i have problem in ajax.. im new comer for ajax...:) <script type="text/javascript"> $(document).ready(function() { $("#bcode").focus(); //prevents autocomplete in some browsers $("#bcode").attr('autocomplete', 'off').keyup(function(event) { var name = $("#bcode").val(); $("#status").empty(); if(name.length > 17 ) { selectAll(); $("#status").html('<img align="absmiddle" src="loading.gif" /> Checking availability...').show(); $.ajax({ type: "POST", url: "namecheck.php", data: "bcode="+ name, success: function(msg) { $("#status").html(msg).show(); } }); } else { $("#status").html('').addClass('err').show(); } }); }); //--> </script> i got text box value 'bcode' using '$_POST['bcode']' <input name="bcode" type="text" class="bcode" id="bcode" maxlength="18"; /> also i have menu/list in that form <select name="pallete" class="list_box" id="select"> <option value="P0" selected> </option> <option value="P1">P1</option> <option value="P2">P2</option> <option value="P3">P3</option> <option value="P4">P4</option> <option value="P5">P5</option> </select> How i can access selected item from php file by using '$_POST['pallete']' please help me. Thanks in advance..

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  • Overriding CSS style 'display:none' in javascript

    - by jsarma
    I'm trying to add a checkbox toggle that hides and shows list elements by changing their style display attribute from "none" to "inline", but it's not working. I'm setting the attribute's style to "display:none" in the CSS file. Then I set it to "display:inline" in javascript when someone checks a box. The javascript is successfully changing the element's property to inline, but for some reason the element remains invisible. If I do the opposite, by setting the display to inline in the CSS and overriding it to none in the javascript, it works fine. I don't see why this would work one way but not the other. I'm using chrome. Here is the code. Any feedback is appreciated. CSS file: #tabmenu li[status='disabled'] a, a.active, #disabled { color: #777777; background: #DDDDDD; font: normal 1em Arial; border: 1px solid black; border-radius: inherit; padding: 0px 5px 0px 5px; margin: 0px; text-decoration: none; cursor:hand; display:none; } HTML: <ul id="tabmenu"> <li name='tab' id='tab1' selected='no' status='disabled'></li> </ul> JAVASCRIPT (from command line, or onchange of a checkbox) tab = document.getElementById('tab1'); tab.style.display = 'inline';

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  • Problem with underscore(_) in Collections.binarySearch (Java)

    - by Alex Cheng
    Hi all. Problem: I am using Java Tutorials™ sourcecode for this. This is the source code. I tried this: --following with another section of sorted words-- words.add("count"); words.add("cvs"); words.add("dce"); words.add("depth"); --following with another section of sorted words-- and it works perfectly. However when I use this: --just a section of sorted words-- words.add("count"); words.add("cvs"); words.add("dce_iface"); words.add("dce_opnum"); words.add("dce_stub_data"); words.add("depth"); --following with another section of sorted words-- It does show dce_iface when I type dce, but when I type _ then following with o or s it shows me something else like dce_offset where the offset comes from words.add("fragoffset"); somewhere in the list. What can I do to solve this problem? Thank you in advance.

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  • free( ) pointers

    - by user1043625
    I'm required to use a special library to keep track of my memory leaks where malloc()= allocate( ) and free( ) = unallocate( ). I'm trying to complete free a linked-list but it seems like the "root" value isn't being freed. typedef struct _node { struct _node *child; char *command; } Command_list; void delete_commands(Command_list **root) { Command_list *temp; while( *root != NULL ){ temp = (*root)->child; //printf("STRING: %s\n", *root->command ); unallocate( *root ); *root = temp; } } The function that's calling it void file_processing( .... ){ Command_list *root = allocate(sizeof (Command_list)); root = NULL; .... delete_commands( &root ); } } I believe that Command_list *root = allocate(sizeof (Command_list)) isn't being properly de-allocated for some reason. Anyone can give me some hints? UPDATE: I found out that instead of Command_list *root = allocate(sizeof (Command_list)); root = NULL; this works: Command_list *root = NULL;

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  • sorting char* arrays

    - by skazhy
    Hi! I have a datastructure struct record { char cont[bufferSize]; record *next; }; When I add new records to this structure, I want them to be sorted alphabetically. I made this function, that adds record in the right place (by alphabet) in the linked list: record *start=NULL, *p, *x; void recAdd(char*temp) { p = new record; temp[strlen(temp)] = '\0'; for (int j=0;j<bufferSize;j++) p->cont[j] = temp[j]; if (start==NULL) start=p; else { x=start; int c=0; while (recComp(x->cont,p->cont) <= 0 && x->next != NULL) { x=x->next; c++; } if (c == 0) { p->next=start; start=p; } else { x=start; for (int i=0;i<c;i++) x=x->next; p->next=x->next; x->next=p; } } for (int j=0;j<bufferSize;j++) temp[j] = NULL; }; But somehow it doesn't sort things right. What is wrong with my function?

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  • A list of pros and cons to giving developers “Local Admin” privileges to their machines? [closed]

    - by Boden
    Possible Duplicate: Is local “User” rights enough or do developers need Local Administrator or Power User while coding? I currently work for a large utilities company which currently does not grant “Local Admin” access to developers. This is causing a lot of grief as anything that requires elevated privileges needs to be done by the Desktop Support/Server Teams. In some cases this can take several days and requires our developers to have to show why they need this access. I personally think that all developers should have local administration rights and are currently fighting with management to achieve this but I would like to know what other people think about this. To achieve this I would like to hear what people believe are the pros and cons of letting developers have local admin access to their machines. Here are some I have come up with: Pros Loss time is keep low as developers can resolve issues that would normally require Local Admin Evaluation of tools and software are possible to improve productivity Desktop support time not wasted installing services and software on developers PC Cons Developers install software on local PC that could be malicious to others or inappropriate in a business environment Desktop Support required to support a PC that is not the norm Development done with admin access that then fails when promoted to another environment that does not have the same access level

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  • ISACA Webcast follow up: Managing High Risk Access and Compliance with a Platform Approach to Privileged Account Management

    - by Darin Pendergraft
    Last week we presented how Oracle Privileged Account Manager (OPAM) could be used to manage high risk, privileged accounts.  If you missed the webcast, here is a link to the replay: ISACA replay archive (NOTE: you will need to use Internet Explorer to view the archive) For those of you that did join us on the call, you will know that I only had a little bit of time for Q&A, and was only able to answer a few of the questions that came in.  So I wanted to devote this blog to answering the outstanding questions.  Here they are. 1. Can OPAM track admin or DBA activity details during a password check-out session? Oracle Audit Vault is monitoring these activities which can be correlated to check-out events. 2. How would OPAM handle simultaneous requests? OPAM can be configured to allow for shared passwords.  By default sharing is turned off. 3. How long are the passwords valid?  Are the admins required to manually check them in? Password expiration can be configured and set in the password policy according to your corporate standards.  You can specify if you want forced check-in or not. 4. Can 2-factor authentication be used with OPAM? Yes - 2-factor integration with OPAM is provided by integration with Oracle Access Manager, and Oracle Adaptive Access Manager. 5. How do you control access to OPAM to ensure that OPAM admins don't override the functionality to access privileged accounts? OPAM provides separation of duties by using Admin Roles to manage access to targets and privileged accounts and to control which operations admins can perform. 6. How and where are the passwords stored in OPAM? OPAM uses Oracle Platform Security Services (OPSS) Credential Store Framework (CSF) to securely store passwords.  This is the same system used by Oracle Applications. 7. Does OPAM support hierarchical/level based privileges?  Is the log maintained for independent review/audit? Yes. OPAM uses the Fusion Middleware (FMW) Audit Framework to store all OPAM related events in a dedicated audit database.  8. Does OPAM support emergency access in the case where approvers are not available until later? Yes.  OPAM can be configured to release a password under a "break-glass" emergency scenario. 9. Does OPAM work with AIX? Yes supported UNIX version are listed in the "certified component section" of the UNIX connector guide at:http://docs.oracle.com/cd/E22999_01/doc.111/e17694/intro.htm#autoId0 10. Does OPAM integrate with Sun Identity Manager? Yes.  OPAM can be integrated with SIM using the REST  APIs.  OPAM has direct integration with Oracle Identity Manager 11gR2. 11. Is OPAM available today and what does it cost? Yes.  OPAM is available now.  Ask your Oracle Account Manager for pricing. 12. Can OPAM be used in SAP environments? Yes, supported SAP version are listed in the "certified component section" of the SAP  connector guide here: http://docs.oracle.com/cd/E22999_01/doc.111/e25327/intro.htm#autoId0 13. How would this product integrate, if at all, with access to a particular field in the DB that need additional security such as SSN's? OPAM can work with DB Vault and DB Firewall to provide the fine grained access control for databases. 14. Is VM supported? As a deployment platform Oracle VM is supported. For further details about supported Virtualization Technologies see Oracle Fusion Middleware Supported System configurations here: http://www.oracle.com/technetwork/middleware/ias/downloads/fusion-certification-100350.html 15. Where did this (OPAM) technology come from? OPAM was built by Oracle Engineering. 16. Are all Linux flavors supported?  How about BSD? BSD is not supported. For supported UNIX version see the "certified component section" of the UNIX connector guide http://docs.oracle.com/cd/E22999_01/doc.111/e17694/intro.htm#autoId0 17. What happens if users don't check passwords in at the end of a work task? In OPAM a time frame can be defined how long a password can be checked out. The security admin can force a check-in at any given time. 18. is MySQL supported? Yes, supported DB version are listed in the "certified component section" of the DB connector guide here: http://docs.oracle.com/cd/E22999_01/doc.111/e28315/intro.htm#BABGJJHA 19. What happens when OPAM crashes and you need to use the password? OPAM can be configured for high availability, but if required, OPAM data can be backed up/recovered.  See the OPAM admin guide. 20. Is OPAM Standalone product or does it leverage other components from IDM? OPAM can be run stand-alone, but will also leverage other IDM components

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  • How should I architect my Model and Data Access layer objects in my website?

    - by Robin Winslow
    I've been tasked with designing Data layer for a website at work, and I am very interested in architecture of code for the best flexibility, maintainability and readability. I am generally acutely aware of the value in completely separating out my actual Models from the Data Access layer, so that the Models are completely naive when it comes to Data Access. And in this case it's particularly useful to do this as the Models may be built from the Database or may be built from a Soap web service. So it seems to me to make sense to have Factories in my data access layer which create Model objects. So here's what I have so far (in my made-up pseudocode): class DataAccess.ProductsFromXml extends DataAccess.ProductFactory {} class DataAccess.ProductsFromDatabase extends DataAccess.ProductFactory {} These then get used in the controller in a fashion similar to the following: var xmlProductCreator = DataAccess.ProductsFromXml(xmlDataProvider); var databaseProductCreator = DataAccess.ProductsFromXml(xmlDataProvider); // Returns array of Product model objects var XmlProducts = databaseProductCreator.Products(); // Returns array of Product model objects var DbProducts = xmlProductCreator.Products(); So my question is, is this a good structure for my Data Access layer? Is it a good idea to use a Factory for building my Model objects from the data? Do you think I've misunderstood something? And are there any general patterns I should read up on for how to write my data access objects to create my Model objects?

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  • What's the best way to manage list item sort order with Drag & Drop UI?

    - by Reddy S R
    I have a list of Students that I should display to user on a web page in tabular format. The items are stored in DB along with SortOrder information. On the web page, user can rearrange the list order by dragging and dropping the items to their desired sort order, similar to this post. Below is a screenshot of my test page. In the above example, each row has sort order info attached to it. When I drop John Doe (Student Id 10) above the Student Id 1 row, the list order should now be: 2, 10, 1, 8, 11. What's the optimistic (less resource hungry) way to store and update Sort Order information? My only idea for now is, for every change in the list's sort order, every object's SortOrder value should be updated, which in my opinion is very resource hungry. Just FYI: I might have at most 25 rows in my table.

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