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  • C++ meta-splat function

    - by aaa
    hello. Is there an existing function (in boost mpl or fusion) to splat meta-vector to variadic template arguments? for example: splat<vector<T1, T2, ...>, function>::type same as function<T1, T2, ...> my search have not found one, and I do not want to reinvent one if it already exists. edit: after some tinkering, apparently it's next to impossible to accomplish this in general way, as it would require declaring full template template parameter list for all possible cases. only reasonable solution is to use macro: #define splat(name, function) \ template<class T, ...> struct name; \ template<class T> \ struct name<T,typename boost::enable_if_c< \ result_of::size<T>::value == 1>::type> { \ typedef function< \ typename result_of::value_at_c<T,0>::type \ > type; \ }; Oh well. thank you

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  • C# Debug.Assert-s use the same error message. Should I promote it to a static variable?

    - by Hamish Grubijan
    I love Asserts but not code duplication, and in several places I use a Debug.Assert which checks for the same condition like so: Debug.Assert(kosherBaconList.SelectedIndex != -1, "An error message along the lines - you should not ever be able to click on edit button without selecting a kosher bacon first."); This is in response to an actual bug, although the actual list does not contain kosher bacon. Anyhow, I can think of two approaches: private static readonly mustSelectKosherBaconBeforeEditAssertMessage = "An error message along the lines - you should not ever be able to " + "click on edit button without selecting a something first."; ... Debug.Assert( kosherBaconList.SelectedIndex != -1, mustSelectKosherBaconBeforeEditAssertMessage) or: if (kosherBaconList.SelectedIndex == -1) { AssertMustSelectKosherBaconBeforeEdit(); } ... [Conditional("DEBUG")] private void AssertMustSelectKosherBaconBeforeEdit() { // Compiler will optimize away this variable. string errorMessage = "An error message along the lines - you should not ever be able to " + "click on edit button without selecting a something first."; Debug.Assert(false, errorMessage); } or is there a third way which sucks less than either one above? Please share. General helpful relevant tips are also welcome.

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  • Building "isolated" and "automatically updated" caches (java.util.List) in Java.

    - by Aidos
    Hi Guys, I am trying to write a framework which contains a lot of short-lived caches created from a long-living cache. These short-lived caches need to be able to return their entier contents, which is a clone from the original long-living cache. Effectively what I am trying to build is a level of transaction isolation for the short-lived caches. The user should be able to modify the contents of the short-lived cache, but changes to the long-living cache should not be propogated through (there is also a case where the changes should be pushed through, depending on the Cache type). I will do my best to try and explain: master-cache contains: [A,B,C,D,E,F] temporary-cache created with state [A,B,C,D,E,F] 1) temporary-cache adds item G: [A,B,C,D,E,F] 2) temporary-cache removes item B: [A,C,D,E,F] master-cache contains: [A,B,C,D,E,F] 3) master-cache adds items [X,Y,Z]: [A,B,C,D,E,F,X,Y,Z] temporary-cache contains: [A,C,D,E,F] Things get even harder when the values in the items can change and shouldn't always be updated (so I can't even share the underlying object instances, I need to use clones). I have implemented the simple approach of just creating a new instance of the List using the standard Collection constructor on ArrayList, however when you get out to about 200,000 items the system just runs out of memory. I know the value of 200,000 is excessive to iterate, but I am trying to stress my code a bit. I had thought that it might be able to somehow "proxy" the list, so the temporary-cache uses the master-cache, and stores all of it's changes (effectively a Memento for the change), however that quickly becomes a nightmare when you want to iterate the temporary-cache, or retrieve an item at a specific index. Also given that I want some modifications to the contents of the list to come through (depending on the type of the temporary-cache, whether it is "auto-update" or not) and I get completly out of my depth. Any pointers to techniques or data-structures or just general concepts to try and research will be greatly appreciated. Cheers, Aidos

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  • Just 2 free months 2 learn or improve my skills

    - by microspino
    On the 30 of June I will leave my every day work to start as freelance developer. I'd like to set a period of 2 months apart to improve my dev skills. At work I code in C# and during my spare time I enjoyed building Ruby on Rails web applications and creating some Arduino prototypes. I'm something more than junior but I don't feel really a senior developer because I never had a big corporate project built and designed by me with help of other juniors (although I don't think this is really a good definiton of a "senior", It helps describing my feelings). Using a scale from 0 (ignorant) to 10 (proficient like a "samurai") the list below describes my skills that I would like to improve with just 2 months. I've already bought some nice and updated books on all the subjects hereunder: The order doesn't matter C = 1 C# & .Net = 6 Arduino & Processing = 2 Ruby = 5 Rails = 5 HTML/XHTML/CSS = 9 Javascript = 6 Objective-C/iPhone dev = 2 Python = 4 Django = 4 Desing Patterns = 3 Algorythms = 3 Git = 5 I haven't included SQL or Databases in general nor Networking because I spent 10 years working in the past with them and I feel pretty solid for now. As an aside, I've made up some interest in Redis, Node.js, HTML5 reading about them on the web. After two months, since I have to pay my bills, I could go searching for some new job. If learning and developing were really good maybe I could also invest on something I gave birth during them. Can You give me some piece of advice on which you think It's better to improve or develop a learning project on (something like a "summer of code" thing)? The all point Is to see my weeknesses and work on them.

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  • NHibernate many-to-many mapping

    - by Scozzard
    Hi, I am having an issue with many-to-many mapping using NHibernate. Basically I have 2 classes in my object model (Scenario and Skill) mapping to three tables in my database (Scenario, Skill and ScenarioSkill). The ScenarioSkills table just holds the IDs of the SKill and Scenario table (SkillID, ScenarioID). In the object model a Scenario has a couple of general properties and a list of associated skills (IList) that is obtained from the ScenarioSkills table. There is no associated IList of Scenarios for the Skill object. The mapping from Scenario and Skill to ScenarioSkill is a many-to-many relationship: Scenario * --- * ScenarioSkill * --- * Skill I have mapped out the lists as bags as I believe this is the best option to use from what I have read. The mappings are as follows: Within the Scenario class <bag name="Skills" table="ScenarioSkills"> <key column="ScenarioID" foreign-key="FK_ScenarioSkill_ScenarioID"/> <many-to-many class="Domain.Skill, Domain" column="SkillID" /> </bag> And within the Skill class <bag name="Scenarios" table="ScenarioSkills" inverse="true" access="noop" cascade="all"> <key column="SkillID" foreign-key="FK_ScenarioSkill_SkillID" /> <many-to-many class="Domain.Scenario, Domain" column="ScenarioID" /> </bag> Everything works fine, except when I try to delete a skill, it cannot do so as there is a reference constraint on the SkillID column of the ScenarioSkill table. Can anyone help me? I am using NHibernate 2 on an C# asp.net 3.5 web application solution.

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  • What are the javascript performance tradeoffs in adding id's to dom elements?

    - by Blinky
    For example, I have a website which has a dynamically-generated segment of its dom which looks roughly like this: <div id="master"> <div class="child"> ... </div> <div class="child"> ... </div> <div class="child"> ... </div> ... <div class="child"> ... </div> </div> There might be hundreds of child elements in this manner, and they, too, might have yet more children. At present, none of them have id's except for the master. Javascript manipulates them via dom-walking. It's a little scary. I'd like to add id's, e.g.: <div id="master"> <div id="child1" class="child"> ... </div> <div id="child2" class="child"> ... </div> <div id="child3" class="child"> ... </div> ... <div id="childN" class="child"> ... </div> </div> What are the tradeoffs in adding id's to these divs? Certainly, jQuery must maintain a hash of id's, so there's going to be some sort of performance hit. Any general guidelines in when adding additional id's is a bad idea? Is jQuery so awesome that, in practice, it doesn't matter?

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  • GPL/LGPL-licensed images + iPhone development

    - by cubic1271
    Since the majority of legal links / READMEs I've found when browsing icon sets refer me to the general GPL / LGPL (as opposed to a specialized version of some kind) when I'm looking at license restrictions, I'm having a terrible time trying to figure out what would constitute source code, linking, etc. when it comes to images and / or icons. One specific example: under section 5 of the GPL, modifications must carry notices in the source code. . . how do I do that with an image? I guess I could try to find a few unused bits and encode my modifications in there (steganography, anyone?), but somehow that doesn't seem like what the license is shooting for. There are also other sections in there where I have no idea how to begin to comply with. Thus, I'm really confused. What exactly are the implications of using GPL and / or LGPL licensed images in something that isn't itself GPL'd? Specifically, I'd like to know what using GPL icons in an iPhone application might mean from a legal point of view. It feels like I'm missing something obvious here; any enlightenment / references would be appreciated!

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  • Is this a bad version of the Merge Sort algorithm?

    - by SebKom
    merge1(int low, int high, int S[], U[]) { int k = (high - low + 1)/2 for q (from low to high) U[q] = S[q] int j = low int p = low int i = low + k while (j <= low + k - 1) and (i <= high) do { if ( U[j] <= U[i] ) { S[p] := U[j] j := j+1 } else { S[p] := U[i] i := i+1 } p := p+1 } if (j <= low + k - 1) { for q from p to high do { S[q] := U[j] j := j+1 } } } merge_sort1(int low, int high, int S[], U[]) { if low < high { int k := (high - low + 1)/2 merge_sort1(low, low+k-1, S, U) merge_sort1(low+k, high, S, U) merge1(low, high, S, U) } } I am really sorry for the terrible formating, as you can tell I am not a regular visitor here. So, basically, this is on my lecture notes. I find it quite confusing in general but I understand the biggest part of it. What I don't understand is the need of the "if (j <= low + k - 1)" part. It looks like it checks if there are any elements "left" in the left part. Is that even possible when mergesorting?

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  • Boost threading/mutexs, why does this work?

    - by Flamewires
    Code: #include <iostream> #include "stdafx.h" #include <boost/thread.hpp> #include <boost/thread/mutex.hpp> using namespace std; boost::mutex mut; double results[10]; void doubler(int x) { //boost::mutex::scoped_lock lck(mut); results[x] = x*2; } int _tmain(int argc, _TCHAR* argv[]) { boost::thread_group thds; for (int x = 10; x>0; x--) { boost::thread *Thread = new boost::thread(&doubler, x); thds.add_thread(Thread); } thds.join_all(); for (int x = 0; x<10; x++) { cout << results[x] << endl; } return 0; } Output: 0 2 4 6 8 10 12 14 16 18 Press any key to continue . . . So...my question is why does this work(as far as i can tell, i ran it about 20 times), producing the above output, even with the locking commented out? I thought the general idea was: in each thread: calculate 2*x copy results to CPU register(s) store calculation in correct part of array copy results back to main(shared) memory I would think that under all but perfect conditions this would result in some part of the results array having 0 values. Is it only copying the required double of the array to a cpu register? Or is it just too short of a calculation to get preempted before it writes the result back to ram? Thanks.

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  • What goes into main function?

    - by Woltan
    I am looking for a best practice tip of what goes into the main function of a program using c++. Currently I think two approaches are possible. (Although the "margins" of those approaches can be arbitrarily close to each other) 1: Write a "Master"-class that receives the parameters passed to the main function and handle the complete program in that "Master"-class (Of course you also make use of other classes). Therefore the main function would be reduced to a minimum of lines. #include "MasterClass.h" int main(int args, char* argv[]) { MasterClass MC(args, argv); } 2: Write the "complete" program in the main function making use of user defined objects of course! However there are also global functions involved and the main function can get somewhat large. I am looking for some general guidelines of how to write the main function of a program in c++. I came across this issue by trying to write some unit test for the first approach, which is a little difficult since most of the methods are private. Thx in advance for any help, suggestion, link, ...

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  • WPML is not detecting Wordpress custom post types

    - by janoChen
    I learned how to make custom post types with the following tutorial: http://sixrevisions.com/wordpress/wordpress-custom-post-types-guide/ It basically consist in adding this code to function.php: add_action( 'init', 'create_events' ); function create_events() { $labels = array( 'name' => _x('Events', 'post type general name'), 'singular_name' => _x('Event', 'post type singular name'), 'add_new' => _x('Add New', 'Event'), 'add_new_item' => __('Add New Event'), 'edit_item' => __('Edit Event'), 'new_item' => __('New Event'), 'view_item' => __('View Event'), 'search_items' => __('Search Events'), 'not_found' => __('No Events found'), 'not_found_in_trash' => __('No Events found in Trash'), 'parent_item_colon' => '' ); $supports = array('title', 'editor', 'custom-fields', 'revisions', 'excerpt'); register_post_type( 'event', array( 'labels' => $labels, 'public' => true, 'supports' => $supports ) ); } The WPML plugin help you to translate posts to different langauges. But this option doesn't appear in the custom post types. Any suggestions?

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  • Project Euler, Problem 10 java solution now working

    - by Dennis S
    Hi, I'm trying to find the sum of the prime numbers < 2'000'000. This is my solution in java but I can't seem get the correct answer. Please give some input on what could be wrong and general advice on the code is appreciated. Printing 'sum' gives: 1308111344, which is incorrect. /* The sum of the primes below 10 is 2 + 3 + 5 + 7 = 17. Find the sum of all the primes below two million. */ class Helper{ public void run(){ Integer sum = 0; for(int i = 2; i < 2000000; i++){ if(isPrime(i)) sum += i; } System.out.println(sum); } private boolean isPrime(int nr){ if(nr == 2) return true; else if(nr == 1) return false; if(nr % 2 == 0) return false; for(int i = 3; i < Math.sqrt(nr); i += 2){ if(nr % i == 0) return false; } return true; } } class Problem{ public static void main(String[] args){ Helper p = new Helper(); p.run(); } }

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  • Validating parameters according to a fixed reference

    - by James P.
    The following method is for setting the transfer type of an FTP connection. Basically, I'd like to validate the character input (see comments). Is this going overboard? Is there a more elegant approach? How do you approach parameter validation in general? Any comments are welcome. public void setTransferType(Character typeCharacter, Character optionalSecondCharacter) throws NumberFormatException, IOException { // http://www.nsftools.com/tips/RawFTP.htm#TYPE // Syntax: TYPE type-character [second-type-character] // // Sets the type of file to be transferred. type-character can be any // of: // // * A - ASCII text // * E - EBCDIC text // * I - image (binary data) // * L - local format // // For A and E, the second-type-character specifies how the text should // be interpreted. It can be: // // * N - Non-print (not destined for printing). This is the default if // second-type-character is omitted. // * T - Telnet format control (<CR>, <FF>, etc.) // * C - ASA Carriage Control // // For L, the second-type-character specifies the number of bits per // byte on the local system, and may not be omitted. final Set<Character> acceptedTypeCharacters = new HashSet<Character>(Arrays.asList( new Character[] {'A','E','I','L'} )); final Set<Character> acceptedOptionalSecondCharacters = new HashSet<Character>(Arrays.asList( new Character[] {'N','T','C'} )); if( acceptedTypeCharacters.contains(typeCharacter) ) { if( new Character('A').equals( typeCharacter ) || new Character('E').equals( typeCharacter ) ){ if( acceptedOptionalSecondCharacters.contains(optionalSecondCharacter) ) { executeCommand("TYPE " + typeCharacter + " " + optionalSecondCharacter ); } } else { executeCommand("TYPE " + typeCharacter ); } } }

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  • Reduce durability in MySQL for performance

    - by Paul Prescod
    My site occasionally has fairly predictable bursts of traffic that increase the throughput by 100 times more than normal. For example, we are going to be featured on a television show, and I expect in the hour after the show, I'll get more than 100 times more traffic than normal. My understanding is that MySQL (InnoDB) generally keeps my data in a bunch of different places: RAM Buffers commitlog binary log actual tables All of the above places on my DB slave This is too much "durability" given that I'm on an EC2 node and most of the stuff goes across the same network pipe (file systems are network attached). Plus the drives are just slow. The data is not high value and I'd rather take a small chance of a few minutes of data loss rather than have a high probability of an outage when the crowd arrives. During these traffic bursts I would like to do all of that I/O only if I can afford it. I'd like to just keep as much in RAM as possible (I have a fair chunk of RAM compared to the data size that would be touched over an hour). If buffers get scarce, or the I/O channel is not too overloaded, then sure, I'd like things to go to the commitlog or binary log to be sent to the slave. If, and only if, the I/O channel is not overloaded, I'd like to write back to the actual tables. In other words, I'd like MySQL/InnoDB to use a "write back" cache algorithm rather than a "write through" cache algorithm. Can I convince it to do that? If this is not possible, I am interested in general MySQL write-performance optimization tips. Most of the docs are about optimizing read performance, but when I get a crowd of users, I am creating accounts for all of them, so that's a write-heavy workload.

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  • How to structure this Symfony web project?

    - by James William
    I am new to Symfony and am not sure how to best structure my web project. The solution must accommodate 3 use cases: Public access to www.mydomain.com for general use Member only access to member.mydomain.com Administrator access to admin.mydomain.com All three virtual hosts point to the Symfony /web directory Questions: Is this 3 separate applications in my Symfony project (e.g. "frontend", "backend" and "admin" or "public", "member", "admin")? Is this a good approach if there is to be some duplicate code (e.g. generating a member list would be common across all 3 applications, but presented differently)? How would I route to the various applications based on the subdomain when a user accesses *.mydomain.com? Where in Symfony should this routing logic be placed? Or, is this one application with modules for each of the above use cases? EDIT: I do not have access to httpd.conf in apache to specify a default page for virtual hosts. I can only specify a directory for each subdomain using the hostin provider's cPanel.

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  • How can I abstract out the core functionality of several Rails applications?

    - by hornairs
    I'd like to develop a number of non-trivial Rails applications which all implement a core set of functionality but each have certain particular customizations, extensions, and aesthetic differences. How can I pull the core functionality (models, controllers, helpers, support classes, tests) common to all these systems out in such a way that updating the core will benefit every application based upon it? I've seen Rails Engines but they seem to be too detached, almost too abstracted to be built upon. I can seem them being useful for adding one component to an existing app, for example bolting on a blog engine to your existing e-commerce site. Since engines seem to be mostly self contained, it seems difficult and inconvenient to override their functionality and views while keeping DRY. I've also considered abstracting the code into a gem, but this seems a little odd. Do I make the gem depend on the Rails gems, and the define models & controllers inside it, and then subclass them in my various applications? Or do I define many modules inside the gem that I include in the different spots inside my various applications? How do I test the gem and then test the set of customizations and overridden functionality on top of it? I'm also concerned with how I'll develop the gem and the Rails apps in tandem, can I vendor a git repository of the gem into the app and push from that so I don't have to build a new gem every iteration? Also, are there private gem hosts/can I set my own gem source up? Also, any general suggestions for this kind of undertaking? Abstraction paradigms to adhere to? Required reading? Comments from the wise who have done this before? Thanks!

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  • Contacts & Autocomplete

    - by Vince
    First post. I'm new to android and programming in general. What I'm attempting to is to have an autocomplete text box pop up with auto complete names from the contact list. IE, if they type in "john" it will say "John Smith" or any john in their contacts. The code is basic, I pulled it from a few tutorials. private void autoCompleteBox() { ContentResolver cr = getContentResolver(); Uri contacts = Uri.parse("content://contacts/people"); Cursor managedCursor1 = cr.query(contacts, null, null, null, null); if (managedCursor1.moveToFirst()) { String contactname; String cphoneNumber; int nameColumn = managedCursor1.getColumnIndex("name"); int phoneColumn = managedCursor1.getColumnIndex("number"); Log.d("int Name", Integer.toString(nameColumn)); Log.d("int Number", Integer.toString(phoneColumn)); do { // Get the field values contactname = managedCursor1.getString(nameColumn); cphoneNumber = managedCursor1.getString(phoneColumn); if ((contactname != " " || contactname != null) && (cphoneNumber != " " || cphoneNumber != null)) { c_Name.add(contactname); c_Number.add(cphoneNumber); Toast.makeText(this, contactname, Toast.LENGTH_SHORT) .show(); } } while (managedCursor1.moveToNext()); } name_Val = (String[]) c_Name.toArray(new String[c_Name.size()]); phone_Val = (String[]) c_Number.toArray(new String[c_Name.size()]); ArrayAdapter<String> adapter = new ArrayAdapter<String>(this, android.R.layout.simple_dropdown_item_1line, name_Val); personName.setAdapter(adapter); } personName is my autocompletetextbox. So it actually works when I use it in the emulator (4.2) with manually entered contacts through the people app, but when I use it on my device, it will not pop up with any names. I'm sure it's something ridiculous but I've tried to find the answer and I'm getting nowhere. Can't learn if I don't ask.

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  • Should I base my Embedded Linux product on Qt?

    - by Udi
    My company is developing a medical product. One of the components is a pda-like platform that will run embedded linux. We were considering Qt as the UI framework but found out that Qt is a lot more than that (we are not familiar with Qt). In general, the device needs to do the following: 1. Receive measurements over USB HID from another device (USB HID is used for convenience). 2. Process the measurements. 3. Store them in a database. 4. Interact with the user using the device's touch screen lcd. 5. Communicate (wi-fi, tcp-ip) with a central management station that collects the data and configures the device. 6. Include a web server to allow accessing the device via a browser. We intend to program in C++. My questions are: 1. Is that a good choice for such a device? 2. Assuming we choose Qt, how do we build our product? - Do we use Qt just as a GUI framework and write the application code in a separate process (passing messages between Qt and the application process)? - Do we write the entire application inside Qt, using all of the services the tool has to offer? - Another approach?

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  • Social Media Java Design Problem

    - by jboyd
    I need to put something together quickly that will take blog posts and place them on social media sites, the requirements are as follows: Blog Entries are independent records that already exist, they have a published date and a modified date, the blog entry application cannot be changed, at least not substantially A new blog entry, or update needs to be sent to social media sites I currently do not need to update or delete social media communications if the blog entry is edited, or deleted, though I may need to later My design problems here are as follows: how do I know the status of each update how can I figure out what blog entry updates and postings have already been sent out? how can I quickly poll the blog entry table for postings that haven't yet been sent out? Avoiding looking at each Entry record from the DB as an object and asking if it's been sent already. That would be too slow. I cannot hook into any Blog Entry update code, my only option would be to create a trigger that an update queues something to be processed I'm looking for general guiding principles here, the biggest problem I'm having is coming up with any reasonable way to figure out if a blog entry should be sent to our social media sites in the first place

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  • do the Python libraries have a natural dependence on the global namespace?

    - by msw
    I first ran into this when trying to determine the relative performance of two generators: t = timeit.repeat('g.get()', setup='g = my_generator()') So I dug into the timeit module and found that the setup and statement are evaluated with their own private, initially empty namespaces so naturally the binding of g never becomes accessible to the g.get() statement. The obvious solution is to wrap them into a class, thus adding to the global namespace. I bumped into this again when attempting, in another project, to use the multiprocessing module to divide a task among workers. I even bundled everything nicely into a class but unfortunately the call pool.apply_async(runmc, arg) fails with a PicklingError because buried inside the work object that runmc instantiates is (effectively) an assignment: self.predicate = lambda x, y: x > y so the whole object can't be (understandably) pickled and whereas: def foo(x, y): return x > y pickle.dumps(foo) is fine, the sequence bar = lambda x, y: x > y yields True from callable(bar) and from type(bar), but it Can't pickle <function <lambda> at 0xb759b764>: it's not found as __main__.<lambda>. I've given only code fragments because I can easily fix these cases by merely pulling them out into module or object level defs. The bug here appears to be in my understanding of the semantics of namespace use in general. If the nature of the language requires that I create more def statements I'll happily do so; I fear that I'm missing an essential concept though. Why is there such a strong reliance on the global namespace? Or, what am I failing to understand? Namespaces are one honking great idea -- let's do more of those!

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  • Is it legal to take sealed .NET framework class source and extend it?

    - by Giedrius
    To be short, I'm giving very specific example, but I'm interested in general situation. There is a FtpWebRequest class in .NET framework and it is missing some of new FTP operations, like MFCT. It is ok in a sense that this operation is still in draft mode, but it is not ok in a sense, that FtpWebRequest is sealed and there's no other way (at least I don't see it) to extend it with this new operation. Easiest way to do it would be take FtpWebRequest class source from .NET reference sources and extend it, in such way will be kept all the consistence in naming, implementation, etc. Question is how much legal it is? I won't sell this class as a product, I can publish my changes on web - nothing to hide here. If it is not legal, can I take this class source from mono and include in native .net project? Did you had similar case and how you solved it? Update: as long as extension method is offered, I'm pasting source from .NET framework which should show that extension methods are not the solution. So there's a property Method, where you can pass FTP command: public override string Method { get { return m_MethodInfo.Method; } set { if (String.IsNullOrEmpty(value)) { throw new ArgumentException(SR.GetString(SR.net_ftp_invalid_method_name), "value"); } if (InUse) { throw new InvalidOperationException(SR.GetString(SR.net_reqsubmitted)); } try { m_MethodInfo = FtpMethodInfo.GetMethodInfo(value); } catch (ArgumentException) { throw new ArgumentException(SR.GetString(SR.net_ftp_unsupported_method), "value"); } } } As you can see there FtpMethodInfo.GetMethodInfo(value) call in setter, which basically validates value against internal enum static array. Update 2: Checked mono implementation and it is not exact replica of native code + it does not implement some of the things.

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  • How should I return different types in a method based on the value of a string in Java?

    - by Siracuse
    I'm new to Java and I have come to having the following problem: I have created several classes which all implement the interface "Parser". I have a JavaParser, PythonParser, CParser and finally a TextParser. I'm trying to write a method so it will take either a File or a String (representing a filename) and return the appropriate parser given the extension of the file. Here is some psuedo-code of what I'm basically attempting to do: public Parser getParser(String filename) { String extension = filename.substring(filename.lastIndexOf(".")); switch(extension) { case "py": return new PythonParser(); case "java": return new JavaParser(); case "c": return new CParser(); default: return new TextParser(); } } In general, is this the right way to handle this situation? Also, how should I handle the fact that Java doesn't allow switching on strings? Should I use the .hashcode() value of the strings? I feel like there is some design pattern or something for handling this but it eludes me. Is this how you would do it?

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  • Generating jquery 'rules' from business model to UI in asp.net mvc

    - by jim
    Hi all, I've had a good look around and am certain that there's no matching question on SO, so here goes. Has anyone created a 'helper' method on their model that generates jquery (or plain javascript) rules validation dynamically, based on the criteria/rules that are contained within the object and taken from a repository (i.e. DB). What i'm thinking of is a discrete set of partial views (and associated models) that have rules at the business logic 'level' and rather than (or in combination with) validating the rule(s) at postback, translating the same rules into tightly focussed jquery methods that work identically at client (js) and server (c#) levels. I can see benefits here re performance. Also, the rules definitions could be created in a single place (in c#) and the jquery generated off of that, thus allowing single edits to update both code streams. I appreciate that there would be limitations imposed by language specific contstraints but the general principle could be quite interesting if used appropriately. I'm also aware that testibility could be an issue when using two different language structures and hoping to achieve similar test outcomes - but those aside... any thoughts or experiences of similar out there?? cheers jimi

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  • pyOpenSSL and the WantReadError

    - by directedition
    I have a socket server that I am trying to move over to SSL on python 2.5, but I've run into a snag with pyOpenSSL. I can't find any good tutorials on using it, so I'm operating largely on guesses. Here is how my server sets up the socket: ctx = SSL.Context(SSL.SSLv23_METHOD) ctx.use_privatekey_file ("mykey.pem") ctx.use_certificate_file("mycert.pem") sock = SSL.Connection(ctx, socket.socket(socket.AF_INET, socket.SOCK_STREAM)) sock.setsockopt(socket.SOL_SOCKET, socket.SO_REUSEADDR, 1) addr = ('', int(8081)) sock.bind(addr) sock.listen(5) Here is how it accepts clients: sock.setblocking(0) while True: if len(select([sock], [], [], 0.25)[0]): client_sock, client_addr = sock.accept() client = ClientGen(client_sock) And here is how it sends/receives from the connected sockets: while True: (r, w, e) = select.select([sock], [sock], [], 0.25) if len(r): bytes = sock.recv(1024) if len(w): n_bytes = sock.send(self.message) It's compacted, but you get the general idea. The problem is, once the send/receive loop starts, it dies right away, before anything has been sent or received (that I can see anyway): Traceback (most recent call last): File "ClientGen.py", line 50, in networkLoop n_bytes = sock.send(self.message WantReadError The manual's description of the 'WantReadError' is very vague, saying it can come from just about anywhere. What am I doing wrong?

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  • How to collect and inject all beans of a given type in Spring XML configuration

    - by GrzegorzOledzki
    One of the strongest accents of the Spring framework is the Dependency Injection concept. I understand one of the advices behind that is to separate general high-level mechanism from low-level details (as announced by Dependency Inversion Principle). Technically, that boils down to having a bean implementation to know as little as possible about a bean being injected as a dependency, e.g. public class PrintOutBean { private LogicBean logicBean; public void action() { System.out.println(logicBean.humanReadableDetails()); } //... } <bean class="PrintOutBean"> <property name="loginBean" ref="ShoppingCartBean"/> </bean> But what if I wanted to a have a high-level mechanism operating on multiple dependent beans? public class MenuManagementBean { private Collection<Option> options; public void printOut() { for (Option option:options) { // do something for option } //... } } I know one solution would be to use @Autowired annotation in the singleton bean, that is... @Autowired private Collection<Option> options; But doesn't it violate the separation principle? Why do I have to specify what dependents to take in the very same place I use them (i.e. MenuManagementBean class in my example)? Is there a way to inject collections of beans in the XML configuration like this (without any annotation in the MMB class)? <bean class="MenuManagementBean"> <property name="options"> <xxx:autowire by-type="MyOptionImpl"/> </property> </bean>

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