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  • Best practices for creating a logger library using log4net. Is

    - by VolleyBall Player
    My goal is to create a log4net library that can be shared across multiple projects. In my solution which is in .net 4.0, I created a class library called Logger and referenced it from web project. Now I created a logger.config in the class library and put all the configuration in the logger.config file. I then used [assembly: log4net.Config.XmlConfigurator(Watch = true, ConfigFile = "Logger.config")] When I run the web app nothing is getting logged. So I added this line of code in web.config <add key="log4net.Internal.Debug" value="true"/> which gave me debugging info and error information Failed to find configuration section 'log4net' in the application's .config file. Check your .config file for the and elements. The configuration section should look like: I moved the configuration from logger.config to web.config and everything seems to work fine. I don't want the log4net configuration in web.config but have it logger.config as a cleaner approach. The goal is to make other projects use this library and not have to worry about configuration in every project. Now the question is, How do I do this? What am I doing wrong? Any suggestion with code example will be beneficial to everyone. FYI, I am using structure map IOC to reslove the logger before logging to it.

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  • WCF data services - Limiting related objects returned based on critera

    - by Mike Morley
    I have an object graph consisting of a base employee object, and a set of related message objects. I am able to return the employee objects based on search criteria on the employee properties (eg team) etc. However, if I expand on the messages, I get the full collection of messages back. I would like to be able to either take the top n messages (i.e. restrict to 10 most recent) or ideally use a date range on the message objects to limit how many are brought back. So far I have not been able to figure out a way of doing this: I get an error if I attempt to filter on properties on the message (&$filter=employee/message/StartDate gives an error "No property 'StartDate' exists in type 'System.Data.Objects.DataClasses.EntityCollection`1). Attempting to use Top on the message related object doesn't work either. I have also tried using a WebGet extension that takes a string list of employee IDs. That works until the list gets too long, and then fails due to the URL getting too long (it might be possible to setup a paging mechanism on this approach)... Unfortunately the UI control I am using requires the data to be in a fairly specific hierarchical shape, so I can't easily come at this from starting on the message side and working backwards. Outside of making multiple calls does anyone know of a method to accomplish this with wcf data services? Thanks! M.

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  • How to get timestamp of tick precision in .NET / C#?

    - by Hermann
    Up until now I used DateTime.Now for getting timestamps, but I noticed that if you print DateTime.Now in a loop you will see that it increments in descrete jumps of approx. 15 ms. But for certain scenarios in my application I need to get the most accurate timestamp possible, preferably with tick (=100 ns) precision. Any ideas? Update: Apparently, StopWatch / QueryPerformanceCounter is the way to go, but it can only be used to measure time, so I was thinking about calling DateTime.Now when the application starts up and then just have StopWatch run and then just add the elapsed time from StopWatch to the initial value returned from DateTime.Now. At least that should give me accurate relative timestamps, right? What do you think about that (hack)? NOTE: StopWatch.ElapsedTicks is different from StopWatch.Elapsed.Ticks! I used the former assuming 1 tick = 100 ns, but in this case 1 tick = 1 / StopWatch.Frequency. So to get ticks equivalent to DateTime use StopWatch.Elapsed.Ticks. I just learned this the hard way. NOTE 2: Using the StopWatch approach, I noticed it gets out of sync with the real time. After about 10 hours, it was ahead by 5 seconds. So I guess one would have to resync it every X or so where X could be 1 hour, 30 min, 15 min, etc. I am not sure what the optimal timespan for resyncing would be since every resync will change the offset which can be up to 20 ms.

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  • Callers block until getFoo() has a value ready?

    - by Sean Owen
    I have a Java Thread which exposes a property which other threads want to access: class MyThread extends Thread { private Foo foo; ... Foo getFoo() { return foo; } ... public void run() { ... foo = makeTheFoo(); ... } } The problem is that it takes some short time from the time this runs until foo is available. Callers may call getFoo() before this and get a null. I'd rather they simply block, wait, and get the value once initialization has occurred. (foo is never changed afterwards.) It will be a matter of milliseconds until it's ready, so I'm comfortable with this approach. Now, I can make this happen with wait() and notifyAll() and there's a 95% chance I'll do it right. But I'm wondering how you all would do it; is there a primitive in java.util.concurrent that would do this, that I've missed? Or, how would you structure it? Yes, make foo volatile. Yes, synchronize on an internal lock Object and put the check in a while loop until it's not null. Am I missing anything?

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  • Is there a design pattern that expresses objects (an their operations) in various states?

    - by darren
    Hi I have a design question about the evolution of an object (and its state) after some sequence of methods complete. I'm having trouble articulating what I mean so I may need to clean up the question based on feedback. Consider an object called Classifier. It has the following methods: void initialise() void populateTrainingSet(TrainingSet t) void pupulateTestingSet(TestingSet t) void train() void test() Result predict(Instance i) My problem is that these methods need to be called in a certain order. Futher, some methods are invalid until a previous method is called, and some methods are invalid after a method has been called. For example, it would be invalid to call predict() before test() was called, and it would be invalid to call train() after test() was called. My approach so far has been to maintain a private enum that represents the current stateof the object: private static enum STATE{ NEW, TRAINED, TESTED, READY}; But this seems a bit cloogy. Is there a design pattern for such a problem type? Maybe something related to the template method.

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  • Redeploying an ASP.NET site in IIS7 without files in use interfering

    - by fyjham
    Hey, We've got a process currently which causes ASP.NET websites to be redeployed. The code is itself an ASP.NET application. The current method, which has worked for quite a while, is simply to loop over all the files in one folder and copy them over the top of the files in the webroot. The problem that's arisen is that occasionally files end up being in use and hence can't be copied over. This has in the past been intermittent to the point it didn't matter but on some of our higher traffic sites it happens the majority of the time now. I'm wondering if anyone has a workaround or alternative approach to this that I haven't thought of. Currently my ideas are: Simply retry each file until it works. That's going to cause errors for a short time though which isn't really that good. Deploy to a new folder and update IIS's webroot to the new folder. I'm not sure how to do this short of running the application as an administrator and running batch files, which is very untidy. Does anyone know what the best way to do this is, or if it's possible to do #2 without running the publishing application as a user who has admin access (Willing to grant it special privileges, but I'd prefer to stop short of administrator)?

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  • Rationale in selecting Hash Key type

    - by Amrish
    Guys, I have a data structure which has 25 distinct keys (integer) and a value. I have a list of these objects (say 50000) and I intend to use a hash table to store/retrieve them. I am planning to take one of these approaches. Create a integer hash from these 25 integer keys and store it on a hash table. (Yeah! I have some means to handle collisions) Make a string concatenation on the individual keys and use it as a hash key for the hash table. For example, if the key values are 1,2,4,6,7 then the hash key would be "12467". Assuming that I have a total of 50000 records each with 25 distinct keys and a value, then will my second approach be a overkill when it comes to the cost of string comparisons it needs to do to retrieve and insert a record? Some more information! Each bucket in the hash table is a balanced binary tree. I am using the boost library's hash_combine method to create the hash from the 25 keys.

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  • Ensure that my C# desktop application is making requests to my ASP .NET MVC action?

    - by Mathias Lykkegaard Lorenzen
    I've seen questions that are almost identical to this one, except minor but important differences that I would like to get detailed. Let's say that I have a controller and an action method in MVC which therefore accepts requests on the following URL: http://example.com/api/myapimethod?data=some-data-here. This URL is then being called regularly by 1000 clients or more spread out in the public. The reason for this is crowdsourcing. The clients around the globe help feed a global cache on my server, which makes it faster for the rest of the clients to fetch the data. Now, if I'm sneaky (and I am), I can go into Fiddler, Ethereal, Wireshark or any other packet sniffing tool and figure out which requests the program is making. By figuring that out, I can also replicate them, and fill the service with false corrupted data. What is the best approach to ensuring that the data received in my ASP .NET MVC action method is actually from the desktop client application, and not some falsely generated data that the user invented? Since it is all based on crowdsourcing, would it be a good idea for my users to be able to "vote" if some data is falsified, and then let an automatic cleanup commence if there are enough votes? I do not have access to a tool like SmartAssembly, so unfortunately my .NET program is fully decompilable. I realize this might be impossible to accomplish in an error-proof manner, but I would like to know where my best chances are.

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  • Unit testing a method with many possible outcomes

    - by Cthulhu
    I've built a simple~ish method that constructs an URL out of approximately 5 parts: base address, port, path, 'action', and a set of parameters. Out of these, only the address part is mandatory, the other parts are all optional. A valid URL has to come out of the method for each permutation of input parameters, such as: address address port address port path address path address action address path action address port action address port path action address action params address path action params address port action params address port path action params andsoforth. The basic approach for this is to write one unit test for each of these possible outcomes, each unit test passing the address and any of the optional parameters to the method, and testing the outcome against the expected output. However, I wonder, is there a Better (tm) way to handle a case like this? Are there any (good) unit test patterns for this? (rant) I only now realize that I've learned to write unit tests a few years ago, but never really (feel like) I've advanced in the area, and that every unit test is a repeat of building parameters, expected outcome, filling mock objects, calling a method and testing the outcome against the expected outcome. I'm pretty sure this is the way to go in unit testing, but it gets kinda tedious, yanno. Advice on that matter is always welcome. (/rant) (note) christmas weekend approaching, probably won't reply to suggestions until next week. (/note)

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  • C# Convert string to nullable type (int, double, etc...)

    - by Nathan Koop
    I am attempting to do some data conversion. Unfortunately, much of the data is in strings, where it should be int's or double, etc... So what I've got is something like: double? amount = Convert.ToDouble(strAmount); The problem with this approach is if strAmount is empty, if it's empty I want it to amount to be null, so when I add it into the database the column will be null. So I ended up writing this: double? amount = null; if(strAmount.Trim().Length>0) { amount = Convert.ToDouble(strAmount); } Now this works fine, but I now have five lines of code instead of one. This makes things a little more difficult to read, especially when I have a large amount of columns to convert. I thought I'd use an extension to the string class and generic's to pass in the type, this is because it could be a double, or an int, or a long. So I tried this: public static class GenericExtension { public static Nullable<T> ConvertToNullable<T>(this string s, T type) where T: struct { if (s.Trim().Length > 0) { return (Nullable<T>)s; } return null; } } But I get the error: Cannot convert type 'string' to 'T?' Is there a way around this? I am not very familiar with creating methods using generics.

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  • Looking for MSSQL Table Design Sanity Check for Profile Tables with Dynamic Columns.

    - by Code Sherpa
    I just want a general sanity check regarding database design. We are building a web system that has both Teachers and Students. Both have accounts in the system. Both have profiles in the system. My question is about the table design of those Profile tables. The Teacher profile is pretty static regarding the metadata associated with it. Each teacher has a set number of fields that exposes information about that individual (schools, degrees, etc). The students, however, are a different case. We are using a windows service to pull varying data about the students from an endless stream of excel spreadsheets. The data gets moved into our database and then the fields appear in association with the student's profile. Accordingly, each and every student may have very different fields in their profile. I originally started with the concept of three tables: Accounts ---------- AccountID TeacherProfiles ---------- TeacherProfileID AccountID SecondarySchool University YearsTeaching Etc... StudentProfiles ---------- StudentProfileID AccountID Header Value The StudentProfiles table would hold the name of the column headers from the excel spreadsheets and the associated values. I have since evolved the design a little to treat Profiles more generically per the attached ERD image. The Teacher and Student "Headers" are stored in a table called "ProfileAttributeTypes" and responses (either from the excel document or via input fields on the web form) are put in a ProfileAttributes table. This way both Student and Teacher profiles can be associated with a dynamic flow of profile fields. The "Permissions" table tells us whether we are dealing with a Student or a Teacher. Since this system is likely to grow quickly, I want to make sure the foundation is solid. Can you please provide feedback about this design and let me know if it seems sound or if you could see problems it might create and, if so, what might be a better approach? Thanks in advance.

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  • Attempt to create nested for loops generating missing arguments error

    - by JerryK
    Am attempting to teach myself to program using Tcl. (I want to become more familiar with the language to understand someone else's code - SCID chess) The task i've set myself to motivate my learing of Tcl is to solve the 8 queens problem. My approach to creating a program is to sucessively 'prototype' a solution. So. I'm up to nesting a for loop holding the q pos on row 2 inside the for loop holding the q pos on row 1 Here is my code set allowd 1 set notallowd 0 for {set r1p 1} {$r1p <= 8} {incr r1p } { puts "1st row q placed at $r1p" ;# re-initialize r2 'free for q placemnt' array after every change of r1 q pos: for {set i 1 } {$i <= 8} {incr i} { set r2($i) $allowd } for { set r2($r1p) $notallowd ; set r2([eval $r1p-1]) $notallowd ; set r2([eval $r1p+1]) $notallowd ; set r2p 1} {$r2p <= 8} { incr r2p ;# end of 'next' arg of r2 forloop } ;# commnd arg of r2 forloop placed below: {puts "2nd row q placed at $r2p" } } My problem is that when i run the code the interpreter is aborting with the fatal error: "wrong #args should be for start test next command. I've gone over my code a few times and can't see that i've missed any of the for loop arguments.

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  • What are the best practices for writing maintainable CSS?

    - by Art
    I am just starting to explore this area and wonder what are the best practices when it comes to production of clean, well-structured and maintainable CSSes. There seems to be few different approaches to structuring CSS rules. One of the most commonly encountered ones I saw was throwing everything together in one rule, i.e. margins, borders, typefaces, backgrounds, something like this: .my-class { border-top:1px solid #c9d7f1; font-size:1px; font-weight:normal; height:0; position:absolute; top:24px; width:100%; } Another approach I noticed employed grouping of properties, say text-related properties like font-size, typeface, emphasis etc goes into one rule, backgrounds go into other, borders/margins go into yet another one: .my-class { border-top:1px solid #c9d7f1; } .my-class { font-size:1px; font-weight:normal; } .my-class { height:0; top:24px; width:100%; position:absolute; } I guess I am looking for a silver bullet here which I know I am not going to get, bet nevertheless - what are the best practices in this space?

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  • How do you unit test new code that uses a bunch of classes that cannot be instantiated in a test har

    - by trendl
    I'm writing a messaging layer that should handle communication with a third party API. The API has a bunch of classes that cannot be easily (if at all) instantiated in a test harness. I decided to wrap each class that I need in my unit tests with an adapter/wrapper and expose the members I need through this adapter class. Often I need to expose the wrapped type as well which I do by exposing it as an object. I have also provided an interface for for each or the adapter classes to be able to use them with a mocking framework. This way I can substitute the classes in test for whatever I need. The downside is that I have a bunch of adapter classes that so far server no other reason but testing. For me this is a good reason by itself but others may find this not enough. Possibly, when I write an implementation for another third party vendor's API, I may be able to reuse much of my code and only provide the adapters specific to the vendor's API. However, this is a bit of a long shot and I'm not actually sure it will work. What do you think? Is this approach viable or am I writing unnecessary code that serves no real purpose? Let me say that I do want to write unit tests for my messaging layer and I do now know how to do it otherwise.

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  • Maven (EJB) project with client and server artifacts

    - by Cornel Masson
    Here's my variation on the "multiple artifacts from Maven build" question: I'm porting from Ant to Maven. My application is an EJB server that is packaged as an EAR, but it also exposes a client JAR for use by other client apps. This jar contains the EJB interfaces, facade class and some helpers. I know that the Maven way is to have one artifact per project (POM); however, both artifacts (server EAR and client JAR) need to be built from the same source tree - server and client share, for example, the EJB and 'home' interfaces. How do I do this in Maven? Do I have one project containing two POMs, say server-pom.xml & client-pom.xml? I was thinking I could also have a parent POM (pom.xml) that can be used to build both client and server with one foul swoop? However, the lifecycles diverge after the 'package' phase, since the server has to go through assembly (tar/gzip), while the client is done after 'package' and can simply be installed into the repository. Any advice/experience on the best way to approach this?

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  • Attempt to use a while loop for the 'next' arg of a for loop generates #arg error

    - by JerryK
    Am attempting to teach myself to program using Tcl. The task i've set myself to motivate my learning of Tcl is to solve the 8 queens problem. My approach to creating a program is to successively 'prototype' a solution. I have asked an earlier question related to the correctly laying out the nested for loops and received a helpful answer. To my dismay I find that the next development of my code creates the same interpreter error : "wrong # args" I have been careful to have an open brace at the end of the line preceding the while loop command. I've also tried to put the arguments of the whileloop in braces. This generates a different error. I have sincerely tried to understand the Tcl syntax man page - not too successfully - suggested by the answerer of my earlier question. Here is the code set allowd 1 set notallowd 0 for {set r1p 1} {$r1p <= 8} {incr r1p } { puts "1st row q placed at $r1p" ;# re-initialize r2 'free for q placemnt' array after every change of r1 q pos: for {set i 1 } {$i <= 8} {incr i} { set r2($i) $allowd } for { set r2($r1p) $notallowd ; set r2([expr $r1p-1]) $notallowd ; set r2([expr $r1p+1]) $notallowd ; set r2p 1} {$r2p <= 8} { ;# 'next' arg of r2 forloop will be a whileloop : while r2($r2p)== $notallowd incr r2p } { puts "2nd row q placed at $r2p" ;# end of 'commnd' arg of r2 forloop } } Where am I going wrong? EDIT : to provide clear reply @slebetman As stated in my text, I did brace the arguments of the whileloop (indeed that was how i first wrote the code) below is exactly the layout of the r2 forloop tried: for { set r2($r1p) $notallowd ; set r2([expr $r1p-1]) $notallowd ; set r2([expr $r1p+1]) $notallowd ; set r2p 1} {$r2p <= 8} { ;# 'next' arg of r2 forloop will be a whileloop : while { r2($r2p)== $notallowd } { incr r2p } } { puts "2nd row q placed at $r2p" ;# end of 'commnd' arg of r2 forloop } but this generates the fatal interpreter error : "unknown math function 'r2' while compiling while { r2($r2p .... "

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  • uploading images with the help of arrays and fetch errors

    - by bonny
    i use a script to upload a couple of images to a directory. the code works great in case of just one picture will be uploaded. if i like to upload two images or more and have an extension that is not accepted, the script will upload the one with the extension that is allowed to upload and shows the errormessage for the one who is not accepted. but the upload takes place. that's my first problem. second problem will be: in case of an errormessage i would like to display a message in which it is said, which of the images will be not allowed. i do not know how to fetch this one that has an unaccepted ending into a variable that i can echo to the errormessage. here is the code i use: if(!empty($_FILES['image']['tmp_name'])){ $allowed_extension = array('jpg', 'jpeg', 'png', 'bmp', 'tiff', 'gif'); foreach($_FILES['image']['name'] as $key => $array_value){ $file_name = $_FILES['image']['name'][$key]; $file_size = $_FILES['image']['size'][$key]; $file_tmp = $_FILES['image']['tmp_name'][$key]; $file_extension = strtolower(end(explode('.', $file_name))); if (in_array($file_extension, $allowed_extension) === false){ $errors[] = 'its an unaccepted format in picture $variable_that_count'; continue; } if ($file_size > 2097152){ $errors[] = 'reached maxsize of 2MB per file in picture $variable_that_count'; } if (count($errors) == 0){ $path = "a/b/c/"; $uploadfile = $path."/".basename($_FILES['image']['name'][$key]); if (move_uploaded_file($_FILES['image']['tmp_name'][$key], $uploadfile)){ echo "success."; } } } } hope it will be clear what i like to approach. if there is someone who could help out i really would appreciate. thanks a lot.

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  • Do you ever make a code change and just test rather than trying to fully understand the change you'v

    - by Clay Nichols
    I'm working in a 12 year old code base which I have been the only developer on. There are times that I'll make a a very small change based on an intuition (or quantum leap in logic ;-). Usually I try to deconstruct that change and make sure I read thoroughly the code. However sometimes, (more and more these days) I just test and make sure it had the effect I wanted. (I'm a pretty thorough tester and would test even if I read the code). This works for me and we have surprisingly (compared to most software I see) few bugs escape into the wild. But what I'm wondering is whether this is just the "art" side of coding. Yes, in an ideal world you would exhaustively read every bit of code that your change modified, but I in practice, if you're confident that it only affects a small section of code, is this a common practice? I can obviously see where this would be a disastrous approach in the hands of a poor programmer. But then, I've seen programmers who ostensibly are reading the code and break stuff left and right (in their own code based which only they have been working on).

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  • Activator.CreateInstance uses a huge amount of memory

    - by Marco
    I have been playing a bit with Silverlight and try to port my Silverlight 3.0 application to Silverlight 4.0. My application loads different XAP files and upon a user request create an instance of a Xaml user control and adds it to the main container, in a sort of MEF approach in order I can have an extensible and pluggable application. The application is pretty huge and to keep acceptable the performances and the initial loading I have built up some helper classes to load in the background all pages and user controls that might be used later on. On Silverlight 3.0 everything was running smoothly without any problem so far. Switching to SL 4.0 I have noticed that when the process approaches to create the instances of the user controls using Activator.CreateInstance, the layout freezes unexpectedly for a minute and sometimes for more. Looking at the task manager the memory usage of IE jumps from 50MB to 400MB and sometimes to 1.5 GB. If the process won't take that much the layout is rendered properly and the memory falls back to 50 MB. Otherwise everything crashes due to out of memory exeption. Does anybody encountered the same problem? Or has anybody a solution about this tricky issue?

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  • Recommendations for IPC between parent and child processes in .NET?

    - by Jeremy
    My .NET program needs to run an algorithm that makes heavy use of 3rd party libraries (32-bit), most of which are unmanaged code. I want to drive the CPU as hard as I can, so the code runs several threads in parallel to divide up the work. I find that running all these threads simultaneously results in temporary memory spikes, causing the process' virtual memory size to approach the 2 GB limit. This memory is released back pretty quickly, but occasionally if enough threads enter the wrong sections of code at once, the process crosses the "red line" and either the unmanaged code or the .NET code encounters an out of memory error. I can throttle back the number of threads but then my CPU usage is not as high as I would like. I am thinking of creating worker processes rather than worker threads to help avoid the out of memory errors, since doing so would give each thread of execution its own 2 GB of virtual address space (my box has lots of RAM). I am wondering what are the best/easiest methods to communicate the input and output between the processes in .NET? The file system is an obvious choice. I am used to shared memory, named pipes, and such from my UNIX background. Is there a Windows or .NET specific mechanism I should use?

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  • Best way to carry & modify a variable through various instances and functions?

    - by bobsoap
    I'm looking for the "best practice" way to achieve a message / notification system. I'm using an OOP-based approach for the script and would like to do something along the lines of this: if(!$something) $messages->add('Something doesn\'t exist!'); The add() method in the messages class looks somewhat like this: class messages { public function add($new) { $messages = $THIS_IS_WHAT_IM_LOOKING_FOR; //array $messages[] = $new; $THIS_IS_WHAT_IM_LOOKING_FOR = $messages; } } In the end, there is a method in which reads out $messages and returns every message as nicely formatted HTML. So the questions is - what type of variable should I be using for $THIS_IS_WHAT_IM_LOOKING_FOR? I don't want to make this use the database. Querying the db every time just for some messages that occur at runtime and disappear after 5 seconds just seems like overkill. Using global constants for this is apparently worst practice, since constants are not meant to be variables that change over time. I don't even know if it would work. I don't want to always pass in and return the existing $messages array through the method every time I want to add a new message. I even tried using a session var for this, but that is obviously not suited for this purpose at all (it will always be 1 pageload too late). Any suggestions? Thanks!

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  • How can I make hundreds of simultaneously running processes communicate with a database through one

    - by Olfan
    Long speech short: How can I make hundreds of simultaneously running processes communicate with a database through one or few permanent sessions? The whole story: I once built a number crunching engine that handles vast amounts of large data files by forking off one child after another giving each a small number of files to work on. File locking, progress monitoring and result propagation happen in an Oracle database which all (sub-)processes access at various times using an application-specific module which encapsulates DBI. This worked well at first, but now with higher volumes of input data, the number of database sessions (one per child, and they can be very short-lived) constantly being opened and closed is becoming an issue. I now want to centralise database access so that there are only one or few fixed database sessions which handle all database access for all the (sub-)processes. The presence of the database abstraction module should make the changes easy because the function calls in the worker instances can stay the same. My problem is that I cannot think of a suitable way to enhance said module in order to establish communication between all the processes and the database connector(s). I thought of message queueing, but couldn't come up with a way of connecting a large herd of requestors with one or few database connectors in a way so that bidirectional communication is possible (for collecting the query result). An asynchronous approach could help here in that all requests are written to the same queue and the database connector servicing the request will "call back" to submit the result. But my mind fails me in generating an image clear enough so that I can paint into code. Threading instead of forking might have given me an easier start, but this would now require massive changes to the code base that I'm not prepared to do to a live system. The more I think of it, the more the base idea looks like a pre-forked web server to me only that it doesn't serve web pages but database queries. Any ideas on what to dig into, and where? Sample (pseudo) code to inspire me, links to possibly related articles, ready solutions on CPAN maybe?

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  • Multiple "ObjectChangeTracker" getting created, can it be avoided?

    - by user555937
    Hi, We are working on a POC where we have following architecture (MVVM), WPF(Client) + WCF + Model(DataAccess)+ ADO.Net Entity Framework 4.0 (with SQL Server 2008 R2 as DB) All are different projects. In the DataAccess layer we have created different Entity Models(edmx) based on the functionality. The tables under perticular flow are grouped and created different entity models. We are using self tracking entities to and fro to communicate with the WPF client through wcf service. For Single model everything works fine. But when we created a Multiple models then few issues started coming. Mutliple models have few duplicate tables/entities. Two probels are, 1) When we try to access entities from different models mutiple objects "ObjectChangeTracker" are getting created. E.g. CompanyModel(edmx) - Company(Entity) - ObjectChangeTracker, ObjectState ProductModel(edmx) - Customer(Entity) - ObjectChangeTracker1, ObjectState1 OrderModel(edmx) - Oder(Entity) - ObjectChangeTracker2, ObjectState2 Is there any way to avoid this? 2) There are few tables which shared across the Models, E.g. Company(Entity) is used in All above mdoels. During compile time it does not thow any error. But run time It gives error saying "Schema specified is not valid. Errors: The mapping of CLR type to EDM type is ambiguous because multiple CLR types match the EDM type "Company"".. To resolve this, we renamed the entities with some prefix to make them Unique. Is there any other way we can resolve this without changing the name of the entity in the same assembly? Thanks in advance and appreciate if anyone has approach for these issues. Thanks, Kiran

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  • Initializing own plugins

    - by jgauffin
    I've written a few jquery plugins for my client. I want to write a function which would initialize each plugin which have been loaded. Example: <script src="/Scripts/jquery.plugin1.min.js")" type="text/javascript"></script> <script src="/Scripts/jquery.plugin2.min.js")" type="text/javascript"></script> <script src="/Scripts/jquery.initializer.min.js")" type="text/javascript"></script> Here I've loaded plugin1 and plugin2. Plugin1 should be attached to all links with class name 'ajax' and plugin2 to all divs with class name 'test2': $('document').ready(function(){ $('a.ajax').plugin1(); $('div.test2').plugin2(); } I know that I can use jQuery().pluginName to check if a plugin exists. But I want to have a leaner way. Can all loaded plugins register a initialize function in an array or something like that which I in document.ready can iterate through and invoke? like: //in plugin1.js myCustomPlugins['plugin1'] = function() { $('a.ajax').plugin1(); }; // and in the initializer script: myCustomPlugins.each(function() { this(); }; Guess it all boiled down to three questions: How do I use a jquery "global" array? How do I iterate through that array to invoke registered methods Are there a better approach?

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  • an algorhithm for filtering out raw txt files

    - by Roman Luštrik
    Imagine you have a .txt file of the following structure: >>> header >>> header >>> header K L M 200 0.1 1 201 0.8 1 202 0.01 3 ... 800 0.4 2 >>> end of file 50 0.1 1 75 0.78 5 ... I would like to read all the data except lines denoted by >>> and lines below the >>> end of file line. So far I've solved this using read.table(comment.char = ">", skip = x, nrow = y) (x and y are currently fixed). This reads the data between the header and >>> end of file. However, I would like to make my function a bit more plastic regarding the number of rows. Data may have values larger than 800, and consequently more rows. I could scan or readLines the file and see which row corresponds to the >>> end of file and calculate the number of lines to be read. What approach would you use?

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