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  • WM_NOTIFY and superclass chaining issue in Win32

    - by DasMonkeyman
    For reference I'm using the window superclass method outlined in this article. The specific issue occurs if I want to handle WM_NOTIFY messages (i.e. for custom drawing) from the base control in the superclass I either need to reflect them back from the parent window or set my own window as the parent (passed inside CREATESTRUCT for WM_(NC)CREATE to the base class). This method works fine if I have a single superclass. If I superclass my superclass then I run into a problem. Now 3 WindowProcs are operating in the same HWND, and when I reflect WM_NOTIFY messages (or have them sent to myself from the parent trick above) they always go to the outermost (most derived) WindowProc. I have no way to tell if they're messages intended for the inner superclass (base messages are supposed to go to the first superclass) or messages intended for the outer superclass (messages from the inner superclass are intended for the outer superclass). These messages are indistinguishable because they all come from the same HWND with the same control ID. Is there any way to resolve this without creating a new window to encapsulate each level of inheritance? Sorry about the wall of text. It's a difficult concept to explain. Here's a diagram. single superclass: SuperA::WindowProc() - Base::WindowProc()---\ ^--------WM_NOTIFY(Base)--------/ superclass of a superclass: SuperB::WindowProc() - SuperA::WindowProc() - Base::WindowProc()---\ ^--------WM_NOTIFY(Base)--------+-----------------------/ ^--------WM_NOTIFY(A)-----------/ The WM_NOTIFY messages in the second case all come from the same HWND and control ID, so I cannot distinguish between the messages intended for SuperA (from Base) and messages intended for SuperB (from SuperA). Any ideas?

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  • Looking for a specific featured content slider script - PHP (and jQuery, I think)

    - by Sootah
    I was looking around a few days ago for a new script to replace the featured content area on my website's current implementation. Randomly, I can across a gorgeous one that I have not been able to find again because, like an idiot, I didn't bookmark the page. It's difficult to explain what the slider looked like, so I'll try to make a crude ASCII image of it: When you would hover your mouse over one of the "title" areas that were visible, the rest of the tags would slide to the right and show the one you were hovering on. You could also hover the mouse over a tab on the right and the tabs would collapse left for the same effect. I don't know if this particular effect has a specific name to it, but for the life of me I cannot find this script again, or anything even like it. It was gorgeous. I've resorted to combing through my browser history, but there is sooooo much of it, and I cannot remember what day I saw it. So, if any of you know either what the name of this effect is, or even BETTER, what script I'm talking about, I would REAAAAALLLLYYY appreciate a link! Thanks as always! -Sootah

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  • General JDBC Setup

    - by AeroDroid
    So I have a MySQL database set up on a Debian server and it works fine from a phpMyAdmin client. I'm currently working on a project to write a Java server that would be able to use the MySQL database that is already on this server through a JDBC connection. I've looked at many tutorials and documentations but all of them seem to just explain how to do client-side code, but I have yet to figure out how to even successfully open a JDBC connection to the server. As far as I am concerned, I believe that program has the drivers properly set up because it's not crashing anymore (I simply direct the Java Build Path of my program to the Connector/J provided by MySQL). As far as my program goes, this is what it looks like... import java.sql.*; public class JDBCTest { public static void main(String[] args) { System.out.println("Started!"); try { DriverManager.registerDriver(new com.mysql.jdbc.Driver()); System.out.println("Driver registered. Connecting..."); Connection conn = DriverManager.getConnection("jdbc:mysql://localhost/", "root", "password"); System.out.println("Connected!"); conn.close(); } catch (SQLException e) { System.out.println("Error!"); e.printStackTrace(); } } } This is what's printed... Started! Driver registered. Connecting... It's as if the DriverManager.getConnection(String) just freezes there. I'm sure this is a problem with the server because when I intentionally misspell localhost, or an IP address, the program crashes within 20 seconds. This just hangs there forever. Sorry about this wall of text, but my final question is if anyone has any information what I should do or install on the server to get this to work? Thank you so much!

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  • Object Oriented Programming in AS3

    - by Jordan
    I'm building a game in as3 that has balls moving and bouncing off the walls. When the user clicks an explosion appears and any ball that hits that explosion explodes too. Any ball that then hits that explosion explodes and so on. My question is what would be the best class structure for the balls. I have a level system to control levels and such and I've already come up with working ways to code the balls. Here's what I've done. My first attempt was to create a class for Movement, Bounce, Explosion and finally Orb. These all extended each other in the order I just named them. I got it working but having Bounce extend Movement and Explosion extend Bounce, it just doesn't seem very object oriented because what if I wanted to add a box class that didn't move, but did explode? I would need a separate class for that explosion. My second attempt was to create Movement, Bounce and Explosion without extending anything. Instead I passed in a reference to the Orb class to each. Then the class stores that reference and does what it needs to do based on events that are dispatched by the Orb such as update, which was broadcast from Orb every enter frame. This would drive the movement and bounce and also the explosion when the time came. This attempt worked as well but it just doesn't seem right. I've also thought about using Interfaces but because they are more of an outline for classes, I feel like code reuse goes out the window as each class would need its own code for a specific task even if that task is exactly the same. I feel as if I'm searching for some form of multiple inheritance for classes that as3 does not support. Can someone explain to me a better way of doing what I'm attempting to do? Am I being to "Object Oriented" by having classed for Movement, Bounce, Explosion and Orb? Are Interfaces the way to go? Any feedback is appreciated!

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  • Java generic Comparable where subclasses can't compare to eachother

    - by dege
    public abstract class MyAbs implements Comparable<MyAbs> This would work but then I would be able to compare class A and B with each other if they both extend MyAbs. What I want to accomplish however is the exact opposite. So does anyone know a way to get the generic type to be the own class? Seemed like such a simple thing at first... Edit: To explain it a little further with an example. Say you have an abstract class animals, then you extend it with Dogs and ants. I wouldn't want to compare ants with Dogs but I however would want to compare one dog with another. The dog might have a variable saying what color it is and that is what I want to use in the compareTo method. However when it comes to ants I would rather want to compare ant's size than their color. Hope that clears it up. Could possibly be a design flaw however.

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  • Calculating distance from latitude, longitude and height using a geocentric co-ordinate system

    - by Sarge
    I've implemented this method in Javascript and I'm roughly 2.5% out and I'd like to understand why. My input data is an array of points represented as latitude, longitude and the height above the WGS84 ellipsoid. These points are taken from data collected from a wrist-mounted GPS device during a marathon race. My algorithm was to convert each point to cartesian geocentric co-ordinates and then compute the Euclidean distance (c.f Pythagoras). Cartesian geocentric is also known as Earth Centred Earth Fixed. i.e. it's an X, Y, Z co-ordinate system which rotates with the earth. My test data was the data from a marathon and so the distance should be very close to 42.26km. However, the distance comes to about 43.4km. I've tried various approaches and nothing changes the result by more than a metre. e.g. I replaced the height data with data from the NASA SRTM mission, I've set the height to zero, etc. Using Google, I found two points in the literature where lat, lon, height had been transformed and my transformation algorithm is matching. What could explain this? Am I expecting too much from Javascript's double representation? (The X, Y, Z numbers are very big but the differences between two points is very small). My alternative is to move to computing the geodesic across the WGS84 ellipsoid using Vincenty's algorithm (or similar) and then calculating the Euclidean distance with the two heights but this seems inaccurate. Thanks in advance for your help!

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  • using volatile keyword

    - by sap
    As i understand, if we declare a variable as volatile, then it will not be stored in the local cache. Whenever thread are updating the values, it is updated to the main memory. So, other threads can access the updated value. But in the following program both volatile and non-volatile variables are displaying same value. The volatile variable is not updated for the second thread. Can anybody plz explain this why testValue is not changed. class ExampleThread extends Thread { private int testValue1; private volatile int testValue; public ExampleThread(String str){ super(str); } public void run() { if (getName().equals("Thread 1 ")) { testValue = 10; testValue1= 10; System.out.println( "Thread 1 testValue1 : " + testValue1); System.out.println( "Thread 1 testValue : " + testValue); } if (getName().equals("Thread 2 ")) { System.out.println( "Thread 2 testValue1 : " + testValue1); System.out.println( "Thread 2 testValue : " + testValue); } } } public class VolatileExample { public static void main(String args[]) { new ExampleThread("Thread 1 ").start(); new ExampleThread("Thread 2 ").start(); } } output: Thread 1 testValue1 : 10 Thread 1 testValue : 10 Thread 2 testValue1 : 0 Thread 2 testValue : 0

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  • wxpython: adding panel to wx.Frame disables/conflicts with wx.Frame's OnPaint?!

    - by sdaau
    Hi all, I just encountered this strange situation: I found an example, where wx.Frame's OnPaint is overridden, and a circle is drawn. Funnily, as soon as I add even a single panel to the frame, the circle is not drawn anymore - in fact, OnPaint is not called at all anymore ! Can anyone explain me if this is the expected behavior, and how to correctly handle a wx.Frame's OnPaint, if the wx.Frame has child panels ? Small code example is below.. Thanks in advance for any answers, Cheers! The code: #!/usr/bin/env python # http://www.linuxquestions.org/questions/programming-9/wxwidgets-wxpython-drawing-problems-with-onpaint-event-703946/ import wx class MainWindow(wx.Frame): def __init__(self, parent, title, size=wx.DefaultSize): wx.Frame.__init__(self, parent, wx.ID_ANY, title, wx.DefaultPosition, size) self.circles = list() self.displaceX = 30 self.displaceY = 30 circlePos = (self.displaceX, self.displaceY) self.circles.append(circlePos) ## uncommenting either only first, or both of ## the commands below, causes OnPaint *not* to be called anymore! #~ self.panel = wx.Panel(self, wx.ID_ANY) #~ self.mpanelA = wx.Panel(self.panel, -1, size=(200,50)) self.Bind(wx.EVT_PAINT, self.OnPaint) def OnPaint(self, e): print "OnPaint called" dc = wx.PaintDC(self) dc.SetPen(wx.Pen(wx.BLUE)) dc.SetBrush(wx.Brush(wx.BLUE)) # Go through the list of circles to draw all of them for circle in self.circles: dc.DrawCircle(circle[0], circle[1], 10) def main(): app = wx.App() win = MainWindow(None, "Draw delayed circles", size=(620,460)) win.Show() app.MainLoop() if __name__ == "__main__": main()

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  • Emulating Visual Studio's Web Application "publish" at the command line

    - by cbp
    Hi, I am trying to automate my deployment process and am now thoroughly confused. I know that there are many questions on stackoverflow about this, but they all have different solutions and none of them work. I have a Web Application project which I usually publish by right-clicking and selecting "Publish". I get a dialog box where I use the following options: Build configuration: Release Publish method: File system Target location: C:\Deployments\MyWebsite Replace matching files with local copies I should mention that in the properties of the project I have "Items to deploy" set to "Only files needed to run this application". After running this, my entire solution is built, dependencies are resolved, build events are run, web.config transformations are applied and the website is copied to C:\Deployments\MyWebsite, although non-required files such as code-behind files are not copied. I have not been able to replicate this... in fact at this stage I'm not even sure which command line tool am I supposed to be using - msbuild, msdeploy or aspnet_compiler? This guy asks almost the same question but his solution doesn't work at all. For example, build events do not run correctly because the macros are not resolved. Whats more, the files do not get copied into the correct directory at all... I can't even begin to explain what happens!

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  • First site going live real soon. Last minute questions

    - by user156814
    I am really close to finishing up on a project that I've been working on. I have done websites before, but never on my own and never a site that involved user generated data. I have been reading up on things that should be considered before you go live and I have some questions. 1) Staging... (Deploying updates without affecting users). I'm not really sure what this would entail, since I'm sure that any type of update would affect users in some way. Does this mean some type of temporary downtime for every update? can somebody please explain this and a solution to this as well. 2) Limits... I'm using the Kohana framework and I'm using the Auth module for logging users in. I was wondering if this already has some type of limit (on login attempts) built in, and if not, what would be the best way to implement this. (save attempts in database, cookie, etc.). If this is not whats meant by limits, can somebody elaborate. 3) Caching... Like I said, this is my first site built around user content. Considering that, should I cache it? 4) Back Ups... How often should I backup my (MySQL) database, and how should I back it up (MySQL export?). The site is currently up, yet not finished, if anybody wants to look at it and see if something pops out to you that should be looked at/fixed. Clashing Thoughts. If there is anything else I overlooked, thats not already in the list linked to above, please let me know. Thanks.

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  • oracle query with inconsistent results

    - by Spencer Stejskal
    Im having a very strange problem, i have a complicated view that returns incorrect data when i query on a particular column. heres an example: select empname, has_garnishment from timecard_v2 where empname = 'Testerson, Testy'; this returns the single result 'Testerson, Testy', 'N' however, if i use the query: select empname, has_garnishment from timecard_v2 where empname = 'Testerson, Testy' and has_garnishment = 'Y'; this returns the single result 'Testerson, Testy', 'Y' The second query should return a subset of the first query, but it returns a different answer. I have dissected the view and determined that this section of the view definition is where the problem arises(Note, I removed all of the select clause except the parts of interests for clarity, in the full query all joined tables are required): SELECT e.fullname empname , NVL2(ded.has_garn, 'Y', 'N') has_garnishment FROM timecard tc , orderdetail od , orderassign oa , employee e , employee3 e3 , customer10 c10 , order_misc om, (SELECT COUNT(*) has_garn, v_ssn FROM deductions WHERE yymmdd_stop = 0 OR (LENGTH(yymmdd_stop) = 7 AND to_date(SUBSTR(yymmdd_stop, 2), 'YYMMDD') sysdate) GROUP BY v_ssn ) ded WHERE oa.lrn(+) = tc.lrn_order AND om.lrn(+) = od.lrn AND od.orderno = oa.orderno AND e.ssn = tc.ssn AND c10.custno = tc.custno AND e.lrn = e3.lrn AND e.ssn = ded.v_ssn(+) One thing of note about the definition of the 'ded' subquery. The v_ssn field is a virtual field on the deductions table. I am not a DBA im a software developer but we recently lost our DBA and the new one is still getting up to speed so im trying to debug this issue. That being said, please explain things a little more thoroughly then you would for a fellow oracle expert. thanks

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  • acts_as_xapian jobs table

    - by Grnbeagle
    Hi, Can someone explain to me the inner workings of acts_as_xapian_jobs table? I ran into an issue with the acts_as_xapian plugin recently, where I kept getting the following error when it creates an object with xapian indexed fields: Mysql::Error: Duplicate entry 'String-2147483647' for key 2: INSERT INTO `acts_as_xapian_jobs` (`action`, `model`, `model_id`) VALUES ('update', 'String', 23730251831560) It turns out the model_id exceeded the max int value of 2147483647. The workaround was to update model_id to use bigint. Why would the model_id be so huge? By looking at content of acts_as_xapian_jobs, it seems it creates a row for every field that is being indexed.. Understanding how a job gets created in the table would help a great deal. Here's a sampling of the table: mysql> select * from acts_as_xapian_jobs limit 5\G *************************** 1. row *************************** id: 19 model: String model_id: 23804037900560 action: update *************************** 2. row *************************** id: 49 model: String model_id: 23804037191200 action: update *************************** 3. row *************************** id: 79 model: String model_id: 23804037932180 action: update *************************** 4. row *************************** id: 109 model: String model_id: 23804037101700 action: update *************************** 5. row *************************** id: 139 model: String model_id: 23804037722160 action: update Thanks in advance, Amie

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  • prolog - infinite rule

    - by Tom
    I have the next rules % Signature: natural_number(N)/1 % Purpose: N is a natural number. natural_number(0). natural_number(s(X)) :- natural_number(X) ackermann(0, N, s(N)). //rule 1 ackermann(s(M),0,Result):- ackermann(M,s(0),Result). //rule 2 ackermann(s(M),s(N),Result):-ackermann(M,Result1,Result),ackermann(s(M),N,Result1). //rule 3 The query is: ackermann (M,N,s(s(0))). Now, as I understood, In the third calculation, we got an infinite search (failture branch). I check it, and I got a finite search (failture branch). I'll explain: In the first, we got a substitue of M=0, N=s(0) (rule 1 - succsess!). In the second, we got a substitue of M=s(0),N=0 (rule 2 - sucsses!). But what now? I try to match M=s(s(0)) N=0, But it got a finite search - failture branch. Why the comipler doesn't write me "fail". Thank you.

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  • Why does one of these statements compile in Scala but not the other?

    - by Jeff
    (Note: I'm using Scala 2.7.7 here, not 2.8). I'm doing something pretty simple -- creating a map based on the values in a simple, 2-column CSV file -- and I've completed it easily enough, but I'm perplexed at why my first attempt didn't compile. Here's the code: // Returns Iterator[String] private def getLines = Source.fromFile(csvFilePath).getLines // This doesn't compile: def mapping: Map[String,String] = { Map(getLines map { line: String => val pairArr = line.split(",") pairArr(0) -> pairArr(1).trim() }.toList:_*) } // This DOES compile def mapping: Map[String,String] = { def strPair(line: String): (String,String) = { val pairArr = line.split(",") pairArr(0) -> pairArr(1).trim() } Map(getLines.map( strPair(_) ).toList:_*) } The compiler error is CsvReader.scala:16: error: value toList is not a member of (St ring) = (java.lang.String, java.lang.String) [scalac] possible cause: maybe a semicolon is missing before `value toList'? [scalac] }.toList:_*) [scalac] ^ [scalac] one error found So what gives? They seem like they should be equivalent to me, apart from the explicit function definition (vs. anonymous in the nonworking example) and () vs. {}. If I replace the curly braces with parentheses in the nonworking example, the error is "';' expected, but 'val' found." But if I remove the local variable definition and split the string twice AND use parens instead of curly braces, it compiles. Can someone explain this difference to me, preferably with a link to Scala docs explaining the difference between parens and curly braces when used to surround method arguments?

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  • A question about DOM parser used with Python

    - by fixxxer
    I'm using the following python code to search for a node in an XML file and changing the value of an attribute of one of it's children.Changes are happening correctly when the node is displayed using toxml().But, when it is written to a file, the attributes rearrange themselves(as seen in the Source and the Final XML below). Could anyone explain how and why this happen? Python code: #!/usr/bin/env python import xml from xml.dom.minidom import parse dom=parse("max.xml") #print "Please enter the store name:" for sku in dom.getElementsByTagName("node"): if sku.getAttribute("name") == "store": sku.childNodes[1].childNodes[5].setAttribute("value","Delhi,India") print sku.toxml() xml.dom.ext.PrettyPrint(dom, open("new.xml", "w")) a part of the Source XML: <node name='store' node_id='515' module='mpx.lib.node.simple_value.SimpleValue' config_builder='' inherant='false' description='Configurable Value'> <match> <property name='1' value='point'/> <property name='2' value='0'/> <property name='val' value='Store# 09204 Staten Island, NY'/> <property name='3' value='str'/> </match> </node> Final XML : <node config_builder="" description="Configurable Value" inherant="false" module="mpx.lib.node.simple_value.SimpleValue" name="store" node_id="515"> <match> <property name="1" value="point"/> <property name="2" value="0"/> <property name="val" value="Delhi,India"/> <property name="3" value="str"/> </match> </node>

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  • Partial Classes - are they bad design?

    - by dferraro
    Hello, I'm wondering why the 'partial class' concept even exists in .NET. I'm working on an application and we are reading a (actually very good) book relavant to the development platform we are implementing at work. In the book he provides a large code base /wrapper around the platform API and explains how he developed it as he teaches different topics about the platform development. Anyway, long story short - he uses partial classes, all over the place, as a way to fake multiple inheritence in C# (IMO). Why he didnt just split the classes up into multiple ones and use composition is beyond me. He will have 3 'partial class' files to make up his base class, each w/ 3-500 lines of code... And does this several times in his API. Do you find this justifiable? If it were me, I'd have followed the S.R.P. and created multiple classes to handle different required behaviors, then create a base class that has instances of these classes as members (e.g. composition). Why did MS even put partial class into the framework?? They removed the ability to expand/collapse all code at each scope level in C# (this was allowed in C++) because it was obviously just allowing bad habits - partial class is IMO the same thing. I guess my quetion is: Can you explain to me when there would be a legitimate reason to ever use a partial class? I do not mean this to be a rant / war thread. I'm honeslty looking to learn something here. Thanks

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  • Is MVVM killing silverlight development?

    - by DeanMc
    This is a question I have had rattling around in my head for some time. I had a chat with a guy the other night who told me he would not be using the navigational framework because he could not figure out how it works with MVVM. As much as I tried to explain that patterns should be taken with a pinch of salt he would not listen. My point is this, patterns are great when they solve some problem. Sometimes only part of the pattern solves a particular problem while the other parts of it cause different problems. The goal of any developer is to build a solid application using a combination of patterns know how and foresight. I feel MVVM is becoming the one pattern to rule them all. As it is not directly supported by .Net some fancy business is needed to make it work. I feel that people are missing the point of the pattern, which is loosely coupled, testable code and instead jumping through hoops and missing out on great experiences trying to follow MVVM to the letter. MVVM is great but I wish it came with a warning or disclaimer for newbies as my fear is people will shy away from silverlight development for fear of being smacked with the mvvm stick. EDIT: Can I just add as an edit, I use and agree with MVVM as a pattern I know when it is and isn't feasible in my projects. My issue is with the encompassing nature it is taking, as if it HAS to be used as part of development. It is being used as an integral feature and not a pattern, which it is.

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  • C# Hiding, overriding and calling function from base class.

    - by Lukasz Lysik
    I'm learning C# and I encountered the following problem. I have two classes: base and derived: class MyBase { public void MyMethod() { Console.WriteLine("MyBase::MyMethod()"); } } class MyDerived: MyBase { public void MyMethod() { Console.WriteLine("MyDerived::MyMethod()"); } } For now, without virtual and override key words. When I compile this I get the warning (which is of course expected) that I try to hide MyMethod from MyBase class. What I want to do is to call the method from the base class having an instance of derived class. I do this like this: MyDerived myDerived = new MyDerived(); ((MyBase)myDerived).MyMethod(); It works fine when I do not specify any virtual, etc. keywords in the methods. I tried to put combination of the keywords and I got the following results: | MyBase::MyMethod | MyDerived::MyMethod | Result printed on the console | | -----------------|---------------------|-------------------------------| | - | - | MyBase::MyMethod() | | - | new | MyBase::MyMethod() | | virtual | new | MyBase::MyMethod() | | virtual | override | MyDerived::MyMethod() | I hope the table is clear to you. I have two questions: Is it the correct way to call the function from the base class (((MyBase)myDerived).MyMethod();)? I know about base keyword, but it can be called only from the inside of the derived class. Is it right? Why in the last case (with virtual and override modifiers) the method which was called came from the derived class? Would you please explain that?

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  • Why do my CouchDB databases grow so fast?

    - by konrad
    I was wondering why my CouchDB database was growing to fast so I wrote a little test script. This script changes an attributed of a CouchDB document 1200 times and takes the size of the database after each change. After performing these 1200 writing steps the database is doing a compaction step and the db size is measured again. In the end the script plots the databases size against the revision numbers. The benchmarking is run twice: The first time the default number of document revision (=1000) is used (_revs_limit). The second time the number of document revisions is set to 1. The first run produces the following plot The second run produces this plot For me this is quite an unexpected behavior. In the first run I would have expected a linear growth as every change produces a new revision. When the 1000 revisions are reached the size value should be constant as the older revisions are discarded. After the compaction the size should fall significantly. In the second run the first revision should result in certain database size that is then keeps during the following writing steps as every new revision leads to the deletion of the previous one. I could understand if there is a little bit of overhead needed to manage the changes but this growth behavior seems weird to me. Can anybody explain this phenomenon or correct my assumptions that lead to the wrong expectations?

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  • P/Invoke declarations should not be safe-critical

    - by Bobrovsky
    My code imports following native methods: DeleteObject, GetFontData and SelectObject from gdi32.dll GetDC and ReleaseDC from user32.dll I want to run the code in full trust and medium trust environments (I am fine with exceptions being thrown when these imported methods are indirectly used in medium trust environments). When I run Code Analysis on the code I get warnings like: CA5122 P/Invoke declarations should not be safe-critical. P/Invoke method 'GdiFont.DeleteObject(IntPtr)' is marked safe-critical. Since P/Invokes may only be called by critical code, this declaration should either be marked as security critical, or have its annotation removed entirely to avoid being misleading. Could someone explain me (in layman terms) what does this warning really mean? I tried putting these imports in static SafeNativeMethods class as internal static methods but this doesn't make the warnings go away. I didn't try to put them in NativeMethods because after reading this article I am unsure that it's the right way to go because I don't want my code to be completely unusable in medium trust environments (I think this will be the consequence of moving imports to NativeMethods). Honestly, I am pretty much confused about the real meaning of the warning and consequences of different options to suppressing it. Could someone shed some light on all this? EDIT: My code target .NET 2.0 framework. Assembly is marked with [assembly: AllowPartiallyTrustedCallers] Methods are declared like this: [DllImport("gdi32")] internal static extern int DeleteObject(HANDLE hObject);

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  • I am trying to find how many vowels and consonants in my string in C

    - by John Walter
    #include <stdio.h> #include <string.h> int main() { int i; int counter=0, counter2=0; char *s; char name[30]; char vowel[6] = "AEIOU"; char consonants[21] = "BCDFGHJKLMNPQRSTVWXYZ"; printf ("input the string: "); scanf ("%s", name); printf ("The string is %s\n", name); for (i=0; name[i]!='\0'; i++) { if (s = strchr(vowel, name[i])) { counter++; } else if (s =strchr(consonants, name[i])) { counter2++; } printf ("First counter is %d\n", counter); printf ("The second counter is %d\n", counter2); return 0; } } And the question is, what is wrong with my code? why counter is not working? Because I tried a lot of ways, and nothing works, maybe someone can explain for me.

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  • Please help optimizing a long running query (left outer join, with 2 subqueries)

    - by 46and2
    Hi all. The query I need help with is: SELECT d.bn, d.4700, d.4500, ... , p.`Activity Description` FROM ( SELECT temp.bn, temp.4700, temp.4500, .... FROM `tdata` temp GROUP BY temp.bn HAVING (COUNT(temp.bn) = 1) ) d LEFT OUTER JOIN ( SELECT temp2.bn, max(temp2.FPE) AS max_fpe, temp2.`Activity Description` FROM `pdata` temp2 GROUP BY temp2.bn ) p ON p.bn = d.bn; The ... represents other fields that aren't really important to solving this problem. The issue is on the the second subquery - it is not using the index I have created and I am not sure why, it seems to be because of the way TEXT fields are handled. The first subquery uses the index I have created and runs quite snappy, however an explain on the second shows a 'Using temporary; Using filesort'. Please see the indexes I have created in the below table create statements. Can anyone help me optimize this? By way of quick explanation the first subquery is meant to only select records that have unique bn's, the second, while it looks a bit wacky (with the max function there which is not being used in the result set) is making sure that only one record from the right part of the join is included in the result set. My table create statements are CREATE TABLE `tdata` ( `BN` varchar(15) DEFAULT NULL, `4000` varchar(3) DEFAULT NULL, `5800` varchar(3) DEFAULT NULL, .... KEY `BN` (`BN`), KEY `idx_t3010`(`BN`,`4700`,`4500`,`4510`,`4520`,`4530`,`4570`,`4950`,`5000`,`5010`,`5020`,`5050`,`5060`,`5070`,`5100`) ) ENGINE=MyISAM DEFAULT CHARSET=utf8 CREATE TABLE `pdata` ( `BN` varchar(15) DEFAULT NULL, `FPE` datetime DEFAULT NULL, `Activity Description` text, .... KEY `BN` (`BN`), KEY `idx_programs_2009` (`BN`,`FPE`,`Activity Description`(100)) ) ENGINE=MyISAM DEFAULT CHARSET=utf8 Thanks!

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  • Output is different for R-value and L-value. Why?

    - by Leonid Volnitsky
    Can someone explain to me why output for R-value is different from L-value? #include <iostream> #include <vector> using namespace std; template<typename Ct> struct ct_wrapper { Ct&& ct; // R or L ref explicit ct_wrapper(Ct&& ct) : ct(std::forward<Ct>(ct)) { std::cout << this->ct[1];}; }; int main() { // L-val vector<int> v{1,2,3}; ct_wrapper<vector<int>&> lv(v); cout << endl << lv.ct[0] << lv.ct[1] << lv.ct[2] << endl; // R-val ct_wrapper<vector<int>&&> rv(vector<int>{1,2,3}); cout << endl << rv.ct[0] << rv.ct[1] << rv.ct[2] << endl; } Output (same for gcc48 and clang32): 2 123 2 003

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  • Ideas Related to Subset Sum with 2,3 and more integers

    - by rolandbishop
    I've been struggling with this problem just like everyone else and I'm quite sure there has been more than enough posts to explain this problem. However in terms of understanding it fully, I wanted to share my thoughts and get more efficient solutions from all the great people in here related to Subset Sum problem. I've searched it over the Internet and there is actually a lot sources but I'm really willing to re-implement an algorithm or finding my own in order to understand fully. The key thing I'm struggling with is the efficiency considering the set size will be large. (I do not have a limit, just conceptually large). The two phases I'm trying to implement ideas on is finding two numbers that are equal to given integer T, finding three numbers and eventually K numbers. Some ideas I've though; For the two integer part I'm thing basically sorting the array O(nlogn) and for each element in the array searching for its negative value. (i.e if the array element is 3 searching for -3). Maybe a hash table inclusion could be better, providing a O(1) indexing the element? For the three or more integers I've found an amazing blog post;http://www.skorks.com/2011/02/algorithms-a-dropbox-challenge-and-dynamic-programming/. However even the author itself states that it is not applicable for large numbers. So I was for 2 and 3 and more integers what ideas could be applied for the subset problem. I'm struggling with setting up a dynamic programming method that will be efficient for the large inputs as well.

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  • Why would a script not like using MySQLi but is fine with MySQL?

    - by Taylor
    I'm having some issues using mysqli to execute a script with SELECT,DELETE,INSERT and UPDATE querys. They work when using norm mysql such as mysql_connect but im getting strange results when using mysqli. It works fine with a lot of the SELECT querys in other scripts but when it comes to some admin stuff it messes up. Its difficult to explain without attaching the whole script. This is the function for modifying... function database_queryModify($sql,&$insertId) { global $databaseServer; global $databaseName; global $databaseUsername; global $databasePassword; global $databaseDebugMode; $link = @mysql_connect($databaseServer,$databaseUsername,$databasePassword); @mysql_select_db($databaseName,$link); $result = mysql_query($sql,$link); if (!$result && $databaseDebugMode) { print "[".$sql."][".mysql_error()."]"; } $insertId = mysql_insert_id(); return mysql_affected_rows(); } and heres what I changed it to for mysqli function database_queryModify($sql,&$insertId) { global $databaseServer; global $databaseName; global $dbUser_feedadmin; global $dbUser_feedadmin_pw; global $databaseDebugMode; $link = @mysqli_connect($databaseServer,$dbUser_feedadmin,$dbUser_feedadmin_pw,$databaseName); $result = mysqli_query($link, $sql); if (!$result && $databaseDebugMode) { print "[".$sql."][".mysqli_error()."]"; } $insertId = mysqli_insert_id(); return mysqli_affected_rows(); } Does that look right? It isn't actually producing an error but its not functioning in the same way as when using mysql. any ideas?

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