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  • Developing on both Windows & Linux machines simultaneously

    - by Jamie
    Sorry for the bad title (couldn't think of a better way to describe it) I have a windows machine which I do development on. However, I have a new project which needs to interact with a linux system (executing linux commands etc.). So, obviously I can't do development on my windows machine..and I don't wish to code on the dev machine, svn commit and then svn update it on the linux machine. Is there a way where any changes I make on my dev machine will be quickly mirrored to the linux machine? SVN is not a very quick alternative and of course some changes will be very minor. Any ideas? A network share I guess....but that's not very pretty (bit slow too). As fellow developers I would like to know if you've been in a similar situation and how you've resolved it. On a furthernote, I can't just install Ubuntu as my development machine and mirror the commands, applications etc. from the linux machine because it's a cluster 'master' machine and so therefore it has quite a special configuration. Thanks guys! EDIT: I've also thought about having web services on the linux machine and then just calling them from code thus seperating platform development dependency. What do you think about that too? thanks

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  • Good practice to create extension methods that apply to System.Object?

    - by Christian
    Hello, I'm wondering whether I should create extension methods that apply on the object level or whether they should be located at a lower point in the class hierarchy. What I mean is something along the lines of: public static string SafeToString(this Object o) { if (o == null || o is System.DBNull) return ""; else { if (o is string) return (string)o; else return ""; } } public static int SafeToInt(this Object o) { if (o == null || o is System.DBNull) return 0; else { if (o.IsNumeric()) return Convert.ToInt32(o); else return 0; } } //same for double.. etc I wrote those methods since I have to deal a lot with database data (From the OleDbDataReader) that can be null (shouldn't, though) since the underlying database is unfortunately very liberal with columns that may be null. And to make my life a little easier, I came up with those extension methods. What I'd like to know is whether this is good style, acceptable style or bad style. I kinda have my worries about it since it kinda "pollutes" the Object-class. Thank you in advance & Best Regards :) Christian P.S. I didn't tag it as "subjective" intentionally.

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  • Fluently setting C# properties and chaining methods

    - by John Feminella
    I'm using .NET 3.5. We have some complex third-party classes which are automatically generated and out of my control, but which we must work with for testing purposes. I see my team doing a lot of deeply-nested property getting/setting in our test code, and it's getting pretty cumbersome. To remedy the problem, I'd like to make a fluent interface for setting properties on the various objects in the hierarchical tree. There are a large number of properties and classes in this third-party library, and it would be too tedious to map everything manually. My initial thought was to just use object initializers. Red, Blue, and Green are properties, and Mix() is a method that sets a fourth property Color to the closest RGB-safe color with that mixed color. Paints must be homogenized with Stir() before they can be used. Bucket b = new Bucket() { Paint = new Paint() { Red = 0.4; Blue = 0.2; Green = 0.1; } }; That works to initialize the Paint, but I need to chain Mix() and other methods to it. Next attempt: Create<Bucket>(Create<Paint>() .SetRed(0.4) .SetBlue(0.2) .SetGreen(0.1) .Mix().Stir() ) But that doesn't scale well, because I'd have to define a method for each property I want to set, and there are hundreds of different properties in all the classes. Also, C# doesn't have a way to dynamically define methods prior to C# 4, so I don't think I can hook into things to do this automatically in some way. Third attempt: Create<Bucket>(Create<Paint>().Set(p => { p.Red = 0.4; p.Blue = 0.2; p.Green = 0.1; }).Mix().Stir() ) That doesn't look too bad, and seems like it'd be feasible. Is this an advisable approach? Is it possible to write a Set method that works this way? Or should I be pursuing an alternate strategy?

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  • Reading server error messages for a URLLoader

    - by Rudy
    Hello, I have an URL loader with the following code: public function getUploadURL():void { var request:URLRequest = new URLRequest(); var url:String = getPath(); // Adds time to prevent caching url += "&time=" + new Date().getTime(); request.url = url; request.method = URLRequestMethod.GET; _loader = new URLLoader(); _loader.dataFormat = URLLoaderDataFormat.TEXT; _loader.addEventListener(Event.COMPLETE, getBaseURL); _loader.addEventListener(IOErrorEvent.IO_ERROR, onGetUploadURLError); _loader.addEventListener(HTTPStatusEvent.HTTP_STATUS, getHttpStatus); _loader.load(request); } My problem is that this request might be wrong, and so the server will give me a back a 400 Bad Request, with a message to explain the error. If the Event.COMPLETE, I can see some message (a response) back from the server in the "data" field of the Event, but if onGetUploadURLError or getHttpStatus is called, it just says that the error code is 400 but does not show me the message associated with it. The "data" field is undefined in getHttpStatus and it is "" in onGetUploadURLError. On the contrary, in getBaseURL, I get: {"ResponseMetadata":{...}} I checked and I do get a similar response in my browser for a wrong request, but I cannot see it. Any idea how I can please get the message? Thank you very much, Rudy

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  • php curl login not work

    - by Massimo Zampieri
    Hi i have a problem with the curl. I watched an old post Remote Login not Working With Curl, but it not work. I followed baba's advice but the code enter in the if statement. Sorry for my bad english. Can anyone help me? This is the code: $url="http://hipfile.com/"; $urllog="http://hipfile.com/login.html"; $postdata = "login=bnnoor&password=########&op=login"; $ch = curl_init(); curl_setopt ($ch, CURLOPT_URL, $url); curl_setopt ($ch, CURLOPT_SSL_VERIFYPEER, FALSE); curl_setopt ($ch, CURLOPT_USERAGENT, "Mozilla/5.0 (Windows; U; Windows NT 5.1; en-US; rv:1.8.1.6) Gecko/20070725 Firefox/2.0.0.6"); curl_setopt ($ch, CURLOPT_TIMEOUT, 60); curl_setopt ($ch, CURLOPT_FOLLOWLOCATION, 1); curl_setopt ($ch, CURLOPT_RETURNTRANSFER, 1); curl_setopt ($ch, CURLOPT_REFERER, $urllog); curl_setopt ($ch, CURLOPT_POSTFIELDS, $postdata); curl_setopt ($ch, CURLOPT_POST, 1); $result = curl_exec ($ch); if (!$result) { $http_code = curl_getinfo($ch, CURLINFO_HTTP_CODE); curl_close($ch); // make sure we closeany current curl sessions die($http_code.' Unable to connect to server. Please come back later.'); } echo $result; curl_close($ch);

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  • How to store an inventory using hashtables?

    - by Harm De Weirdt
    Hello everyone. For an assignment in collego we have to make a script in Perl that allows us to manage an inventory for an e-store. (The example given was Amazon) Users can make orders in a fully text-based environment and the inventory must be updated when an order is completed. Every item in the inventory has 3 to 4 attributes: a product code, a title, a price and for some an amount (MP3's for example do not have this attribute) Since this is my first encounter with Perl, i don't really know how to start. My main problem is how i should "implement" the inventory in the program. One of the functions of the program is searching trough the titles. Another is to make an order, where the user should give a product code. My first idea was a hashtable with the productcode as key. But if i wanted to search in the titles that could be a problem because of this: the hashkey would be something like DVD-123, the information belonging to that key could be "The Green Mask 12" (without the ") where the 12 indicates how many of this DVD are currently in stock. So i'd have to find a way to ignore the 12 in the end. Another solution was to use the title as Hashkey, but that would prove cumbersome too I think. Is there a way to make a hashtable with 2 key's, and when I give only one it returns an array with the other values? (Including the other key and the other information) That way I could use another key depending on what info I need from my inventory. We have to read the default inventory from a txt file looking like this: MP3-72|Lady Gaga - Kiss and Run (Fear of Commitment Monster)|0.99 CD-400|Kings of Leon - Only By The Night|14.50|2 MP3-401|Kings of Leon - Closer|0.85 DVD-144|Live Free or Die Hard|14.99|2 SOFT-864|Windows Vista|49.95 Any help would be appreciated very much :) PS: I am sorry for my bad grammar, English isn't my native language.

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  • Automatic music rating based on listening habits

    - by marco92w
    I've created a Winamp-like music player in Delphi. Not so complex, of course. Just a simple one. But now I would like to add a more complex feature: Songs in the library should be automatically rated based on the user's listening habits. This means: The application should "understand" if the user likes a song or not. And not only whether he/she likes it but also how much. My approach so far (data which could be used): Simply measure how often a song was played per time. Start counting time when the song was added to the library so that recent songs don't have any disadvantage. Measure how long a song was played on average (minutes). Starting a song but directly change to another one should have a bad influence on the ranking since the user didn't seem to like the song. ... Could you please help me with this problem? I would just like to have some ideas. I don't need the implementation in Delphi.

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  • The rules to connect a web service trough the SSL and Certificates

    - by blgnklc
    There is a web service running on tomcat on a server. It is built on Java Servlet. It is listening others to call itself on a SSL enabled http port. so its web service adreess looks like: https://172.29.12.12/axis/services/XYZClient?wsdl On the other hand I want to connect the web service above from a windows application which is built on .NET frame work. Finally, when I want to connect the web service from my computer; I get some specific erros; Firstly I get; Proxy authentication error; then I added some new line to my code; Dim cr As System.Net.NetworkCredential = New System.Net.NetworkCredential("xname", "xsurname", "xdomainname") Dim myProxy As New WebProxy("http://mar.xxxyyy.com", True) myProxy.Credentials = cr Secondly, after this modifications It says that bad request. I did not get over this error. Moreover I did try to connect the web server on the same computer. I copied my executable program to the computer where the web service runs. The error was like; The underlying connection was closed: Could not establish trust relationship for SSL/TLS secure channel PS: When I try to connect to web service by using Internet Explorer; I see firstly some warnings about accepting an unknown certificate and I click take me to web service an I get there clearly. I want to know what are the basic elements to connect a web service, could you please tell me the requirements that I have to use on my windows project. regards bk

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  • Some clarification needed about synchronous versus asynchronous asio operations

    - by Old newbie
    As far as I know, the main difference between synchronous and asynchronous operations. I.e. write() or read() vs async_write() and async_read() is that the former, don't return until the operation finish -or error-, and the last ones, returns inmediately. Due the fact that the asynchronous operations are controlled by an io_service.run() that does not finish until the controlled operations has finalized. It seems to me that in sequencial operations as those involved in TCP/IP connections with protocols such as POP3, in which the operaton is a sequence such as: C: <connect> S: Ok. C: User... S: Ok. C: Password S: Ok. C: Command S: answer C: Command S: answer ... C: bye S: <close> The difference between synchronous/asynchronous opperatons does not make much sense. Of course, in both operations there is allways the risk that the program flow stops indefinitely by some circunstance -there the use of timers-, but I would like know some more authorized opinions in this matter. I must admit that the question is rather ill-defined, but I like hear some advices about when use one or other, because I've problems in debugging with MS Visual Studio, asynchronous SSL operations in a POP3 client in wich I'm working now -about some of who surely I would write here soon-, and sometimes think that perhaps is a bad idea use asynchronous in this. Not to say that I'm an absolute newbie with this librarys, that additionally to the difficult with the idioma, and some obscure concepts in the STL, must suffer the brevity of the asio documentation.

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  • What arguments to use to explain why a SQL DB is far better then a flat file

    - by jamone
    The higher ups in my company were told by good friends that flat files are the way to go, and we should switch from MS SQL server to them for everything we do. We have over 300 servers and hundreds of different databases. From just the few I'm involved with we have 10 billion records in quite a few of them with upwards of 100k new records a day and who knows how many updates... Me and a couple others need to come up with a response saying why we shouldn't do this. Most of our stuff is ASP.NET with some legacy ASP. We thought that making a simple console app that tests/times the same interactions between a flat file (stored on the network) and SQL over the network doing large inserts, searches, updates etc along with things like network disconnects randomly. This would show them how bad flat files can be espically when you are dealing with millions of records. What things should I use in my response? What should I do with my demo code to illustrate this? My sort list so far: Security Concurent access Performance with large ammounts of data Ammount of time to do such a massive rewrite/switch Lack of transactions PITA to map relational data to flat files I fear that this will be a great post on the Daily WTF someday if I can't stop it now.

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  • Best way to convert a Unicode URL to ASCII (UTF-8 percent-escaped) in Python?

    - by benhoyt
    I'm wondering what's the best way -- or if there's a simple way with the standard library -- to convert a URL with Unicode chars in the domain name and path to the equivalent ASCII URL, encoded with domain as IDNA and the path %-encoded, as per RFC 3986. I get from the user a URL in UTF-8. So if they've typed in http://?.ws/? I get 'http://\xe2\x9e\xa1.ws/\xe2\x99\xa5' in Python. And what I want out is the ASCII version: 'http://xn--hgi.ws/%E2%99%A5'. What I do at the moment is split the URL up into parts via a regex, and then manually IDNA-encode the domain, and separately encode the path and query string with different urllib.quote() calls. # url is UTF-8 here, eg: url = u'http://?.ws/?'.encode('utf-8') match = re.match(r'([a-z]{3,5})://(.+\.[a-z0-9]{1,6})' r'(:\d{1,5})?(/.*?)(\?.*)?$', url, flags=re.I) if not match: raise BadURLException(url) protocol, domain, port, path, query = match.groups() try: domain = unicode(domain, 'utf-8') except UnicodeDecodeError: return '' # bad UTF-8 chars in domain domain = domain.encode('idna') if port is None: port = '' path = urllib.quote(path) if query is None: query = '' else: query = urllib.quote(query, safe='=&?/') url = protocol + '://' + domain + port + path + query # url is ASCII here, eg: url = 'http://xn--hgi.ws/%E3%89%8C' Is this correct? Any better suggestions? Is there a simple standard-library function to do this?

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  • Why does adding Crossover to my Genetic Algorithm give me worse results?

    - by MahlerFive
    I have implemented a Genetic Algorithm to solve the Traveling Salesman Problem (TSP). When I use only mutation, I find better solutions than when I add in crossover. I know that normal crossover methods do not work for TSP, so I implemented both the Ordered Crossover and the PMX Crossover methods, and both suffer from bad results. Here are the other parameters I'm using: Mutation: Single Swap Mutation or Inverted Subsequence Mutation (as described by Tiendil here) with mutation rates tested between 1% and 25%. Selection: Roulette Wheel Selection Fitness function: 1 / distance of tour Population size: Tested 100, 200, 500, I also run the GA 5 times so that I have a variety of starting populations. Stop Condition: 2500 generations With the same dataset of 26 points, I usually get results of about 500-600 distance using purely mutation with high mutation rates. When adding crossover my results are usually in the 800 distance range. The other confusing thing is that I have also implemented a very simple Hill-Climbing algorithm to solve the problem and when I run that 1000 times (faster than running the GA 5 times) I get results around 410-450 distance, and I would expect to get better results using a GA. Any ideas as to why my GA performing worse when I add crossover? And why is it performing much worse than a simple Hill-Climb algorithm which should get stuck on local maxima as it has no way of exploring once it finds a local max?

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  • How to Detect in Windows Registry if user has .Net Framework installed?

    - by Sarah Weinberger
    How do I detect in the Windows Registry if a user has .Net Framework installed? I am not looking for a .Net based solution, as the query is from InnoSetup. I know from reading another post here on Stack Overflow that .Net Framework is an inplace upgrade to 4.0. I already know how to check if a user has version 4.0 installed on the system, namely by checking the following: function FindFramework(): Boolean; var bVer4x0: Boolean; bVer4x0Client: Boolean; bVer4x0Full: Boolean; bSuccess: Boolean; iInstalled: Cardinal; begin Result := False; bVer4x0Client := False; bVer4x0Full := False; bVer4x0 := RegKeyExists(HKLM, 'SOFTWARE\Microsoft\.NETFramework\policy\v4.0'); bSuccess := RegQueryDWordValue(HKLM, 'Software\Microsoft\NET Framework Setup\NDP\v4 \Client', 'Install', iInstalled); if (1 = iInstalled) AND (True = bSuccess) then bVer4x0Client := True; bSuccess := RegQueryDWordValue(HKLM, 'Software\Microsoft\NET Framework Setup\NDP\v4 \Full', 'Install', iInstalled); if (1 = iInstalled) AND (True = bSuccess) then bVer4x0Full := True; if (True = bVer4x0Full) then begin Result := True; end; end; I checked the registry and there is no v4.5 folder, which makes sense if .Net Framework 4.5 is an inplace upgrade. Still, the Control Panel Programs and Features includes the listing. I know that probably "issuing dotNetFx45_Full_setup.exe /q" will have no bad effect if installing on a system that already has version 4.5, but I still would like to not install the upgrade if the upgrade already exists, faster and less problems.

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  • Application.ProcessMessages hangs???

    - by X-Ray
    my single threaded delphi 2009 app (not quite yet complete) has started to have a problem with Application.ProcessMessages hanging. my app has a TTimer object that fires every 100 ms to poll an external device. i use Application.ProcessMessages to update the screen when something changes so the app is still responsive. one of these was in a grid OnMouseDown event. in there, it had an Application.ProcessMessages that essentially hung. removing that was no problem except that i soon discovered another Application.ProcessMessages that was also blocking. i think what may be happening to me is that the TTimer is--in the app mode i'm currently debugging--probably taking too long to complete. i have prevented the TTimer.OnTimer event hander from re-entering the same code (see below): procedure TfrmMeas.tmrCheckTimer(Sender: TObject); begin if m_CheckTimerBusy then exit; m_CheckTimerBusy:=true; try PollForAndShowMeasurements; finally m_CheckTimerBusy:=false; end; end; what places would it be a bad practice to call Application.ProcessMessages? OnPaint routines springs to mind as something that wouldn't make sense. any general recommendations? i am surprised to see this kind of problem arise at this point in the development!

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  • Understanding MongoDB (and NoSQL in general) and how to make the best use of it

    - by Earlz
    Hello, I am beginning to think that my next project I am wanting to do would work better with a NoSQL solution. The project would either involve a ton of 2-column tables or a ton of dynamic queries with dynamically generated columns in a traditional SQL database. So I feel a NoSQL database would be much cleaner. I'm looking at MongoDB and it looks pretty promising. Anyway, I'm attempting to make sense of it all. Also, I will be using MongoMapper in Ruby. Anyway though, I'm confused as to how to layout things in such a freeform database. I've read http://stackoverflow.com/questions/2170152/nosql-best-practices and the answer there says that normalization is usually bad in a NoSQL DB. So how would be the best way of laying out say a simple blog with users, posts, and comments? My natural thought was to have three collections for each and then link them by a unique ID. But this apparently is wrong? So, what are some of the ways to lay out such a thing? My concern with the answer given in the other question is, what if the author's name changed? You'd have to go through updating a ton of posts and comments. But is this an okay thing to do with NoSQL?

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  • Switch gettext translated language with original language

    - by Ruben
    Hi everyone, I started my PHP application with all text in German, then used gettext to extract all strings and translate them to English. So, now I have a .po file with all msgids in German and msgstrs in English. I want to switch them, so that my source code contains the English as msgids. There are numerous reasons for this: More translators will know English, so it is only appropriate to serve them up a file with msgids in English. I could always switch the file before I give it out and after I receive it It would help me to write English object & function names and comments if the content text was also English. I'd like to do that, so the project is more open to other Open Source collaborators (more likely to know English than German). I could do this manually and this is the sort of task where I anticipate it will take me more time to write an automated routine for it (because I'm very bad with shell scripts) than do it by hand. But I also anticipate despising every minute of manual computer labour (feels like a oxymoron, right?) like I always do. Has someone done this before? I figured this would be a common problem, but couldn't find anything. Many thanks ahead. Sample Problem: <title><?=_('Routinen')?></title> #: /users/ruben/sites/v/routinen.php:43 msgid "Routinen" msgstr "Routines"

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  • Storing arbitrary data in HTML

    - by Rob Colburn
    What is the best way to embed data in html elements for later use? As an example, let's say we have jQuery returning some JSON from the server, and we want to dump that datat out to the user as paragraphs. However, we want to be able to attach meta-data to these elements, so we can events for these later. The way I tend to handle this, is with some ugly prefixing function handle_response(data) { var html = ''; for (var i in data) { html += '<p id="prefix_' + data[i].id + '">' + data[i].message + '</p>'; } jQuery('#log').html(html).find('p').click(function(){ alert('The ID is: ' + $(this).attr('id').substr(7)); }); } Alternatively, one can build a Form in the paragraph, and store your meta-data there. But, that often feels like overkill. This has been asked before in different ways, but I do not feel it's been answered well: http://stackoverflow.com/questions/432174/how-to-store-arbitrary-data-for-some-html-tags http://stackoverflow.com/questions/209428/non-standard-attributes-on-html-tags-good-thing-bad-thing-your-thoughts

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  • How can you transform a set of numbers into mostly whole ones?

    - by Alice
    Small amount of background: I am working on a converter that bridges between a map maker (Tiled) that outputs in XML, and an engine (Angel2D) that inputs lua tables. Most of this is straight forward However, Tiled outputs in pixel offsets (integers of absolute values), while Angel2D inputs OpenGL units (floats of relative values); a conversion factor between these two is needed (for example, 32px = 1gu). Since OpenGL units are abstract, and the camera can zoom in or out if the objects are too small or big, the actual conversion factor isn't important; I could use a random number, and the user would merely have to zoom in or out. But it would be best if the conversion factor was selected such that most numbers outputted were small and whole (or fractions of small whole numbers), because that makes it easier to work with (and the whole point of the OpenGL units is that they are easy to work with). How would I find such a conversion factor reliably? My first attempt was to use the smallest number given; this resulted in no fractions below 1, but often lead to lots of decimal places where the factors didn't line up. Then I tried the mode of the sequence, which lead to the largest number of 1's possible, but often lead to very long floats for background images. My current approach gets the GCD of the whole sequence, which, when it works, works great, but can easily be thrown off course by a single bad apple. Note that while I could easily just pass the numbers I am given along, or pick some fixed factor, or use one of the conversions I specified above, I am looking for a method to reliably scale this list of integers to small, whole numbers or simple fractions, because this would most likely be unsurprising to the end user; this is not a one off conversion. The end users tend to use 1.0 as their "base" for manipulations (because it's simple and obvious), so it would make more sense for the sizes of entities to cluster around this.

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  • Time complexity to fill hash table (homework)?

    - by Heathcliff
    This is a homework question, but I think there's something missing from it. It asks: Provide a sequence of m keys to fill a hash table implemented with linear probing, such that the time to fill it is minimum. And then Provide another sequence of m keys, but such that the time fill it is maximum. Repeat these two questions if the hash table implements quadratic probing I can only assume that the hash table has size m, both because it's the only number given and because we have been using that letter to address a hash table size before when describing the load factor. But I can't think of any sequence to do the first without knowing the hash function that hashes the sequence into the table. If it is a bad hash function, such that, for instance, it hashes every entry to the same index, then both the minimum and maximum time to fill it will take O(n) time, regardless of what the sequence looks like. And in the average case, where I assume the hash function is OK, how am I suppossed to know how long it will take for that hash function to fill the table? Aren't these questions linked to the hash function stronger than they are to the sequence that is hashed? As for the second question, I can assume that, regardless of the hash function, a sequence of size m with the same key repeated m-times will provide the maximum time, because it will cause linear probing from the second entry on. I think that will take O(n) time. Is that correct? Thanks

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  • Should I write more SQL to be more efficient, or less SQL to be less buggy?

    - by RenderIn
    I've been writing a lot of one-off SQL queries to return exactly what a certain page needs and no more. I could reuse existing queries and issue a number of SQL requests linear to the number of records on the page. As an example, I have a query to return People and a query to return Job Details for a person. To return a list of people with their job details I could query once for people and then once for each person to retrieve their job details. I've found that in most cases that solution returns things in a reasonable amount of time, but I don't know how well it will scale in my environment. Instead I've been writing queries to join people + job details, or people + salary history, etc. I'm looking at my models and I see how I could shave off maybe 30% of my code if I were to re-use existing queries. This is a big temptation. Is it a bad thing to go for reuse over efficiency in general or does it all come down to the specific situation? Should I first do it the easy way and then optimize later, or is it best to get the code knocked out while everything is fresh in my mind? Thoughts, experiences?

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  • Boost Unit testing memory reuse causing tests that should fail to pass

    - by Knyphe
    We have started using the boost unit testing library for a large existing code base, and I have run into some trouble with unit tests incorrectly passing, seemingly due to the reuse of memory on the stack. Here is my situation: BOOST_AUTO_TEST_CASE(test_select_base_instantiation_default) { SelectBase selectBase(); BOOST_CHECK_EQUAL( selectBase.getSelectType(), false); BOOST_CHECK_EQUAL( selectBase.getTypeName(_T("")); BOOST_CHECK_EQUAL( selectBase.getEntityType(), -1); BOOST_CHECK_EQUAL( selectBase.getDataPos(), -1); } BOOST_AUTO_TEST_CASE(test_select_base_instantiation_default) { SelectBase selectBase(true, _T("abc")); BOOST_CHECK_EQUAL( selectBase.getSelectType(), false); BOOST_CHECK_EQUAL( selectBase.getTypeName(_T("abc")); BOOST_CHECK_EQUAL( selectBase.getEntityType(), -1); BOOST_CHECK_EQUAL( selectBase.getDataPos(), -1); } The first test passed correctly, initializing all the variables. The constructor in the second unit test did not correctly set EntityType or DataPosition, but the unit test passed. I was able to get it to fail by placing some variables on the stack in the second test, like so: BOOST_AUTO_TEST_CASE(test_select_base_instantiation_default) { int a, b; SelectBase selectBase(true, _T("abc")); BOOST_CHECK_EQUAL( selectBase.getSelectType(), false); BOOST_CHECK_EQUAL( selectBase.getTypeName(_T("abc")); BOOST_CHECK_EQUAL( selectBase.getEntityType(), -1); BOOST_CHECK_EQUAL( selectBase.getDataPos(), -1); } If there is only one int, only the dataPos CHECK_EQUAL fails, but if there are two, both EntityType and DataPos fail, so it seems pretty clear that this is an issue with the variables being created on the same stack memory or some such. Is there a good way to clear the memory between each unit test, or am I potentially using the library incorrectly or writing bad tests? Any help would be appreciated.

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  • C# Configuration Manager . ConnectionStrings

    - by Yoda
    I have a console app containing an application configuration file containing one connection string as shown below: <configuration> <connectionStrings> <add name="Target" connectionString="server=MYSERVER; Database=MYDB; Integrated Security=SSPI;" /> </connectionStrings> </configuration> When I pass this to my Connection using: ConfigurationManager.ConnectionStrings[1].ToString() I have two values in there, hence using the second in the collection, my question is where is this second coming from? I have checked the Bin version and original and its not mine! Its obviously a system generated one but I have not seen this before? Can anyone enlighten me? The mystery connection string is: data source=.\SQLEXPRESS;Integrated Security=SSPI;AttachDBFilename=|DataDirectory|aspnetdb.mdf;User Instance=true This isn't a problem as such I would just like to know why this is occuring? Thanks in advance! For future reference to those who may or may not stumble on this, after discovering the machine.config its become apparent it is bad practice to refer to a config by its index as each stack will potentially be different, which is why "Keys" are used. Cheers all!

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  • how to design a schema where the columns of a table are not fixed

    - by hIpPy
    I am trying to design a schema where the columns of a table are not fixed. Ex: I have an Employee table where the columns of the table are not fixed and vary (attributes of Employee are not fixed and vary). Nullable columns in the Employee table itself i.e. no normalization Instead of adding nullable columns, separate those columns out in their individual tables ex: if Address is a column to be added then create table Address[EmployeeId, AddressValue]. Create tables ExtensionColumnName [EmployeeId, ColumnName] and ExtensionColumnValue [EmployeeId, ColumnValue]. ExtensionColumnName would have ColumnName as "Address" and ExtensionColumnValue would have ColumnValue as address value. Employee table EmployeeId Name ExtensionColumnName table ColumnNameId EmployeeId ColumnName ExtensionColumnValue table EmployeeId ColumnNameId ColumnValue There is a drawback is the first two ways as the schema changes with every new attribute. Note that adding a new attribute is frequent. I am not sure if this is the good or bad design. If someone had a similar decision to make, please give an insight on things like foreign keys / data integrity, indexing, performance, reporting etc.

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  • Why doesn't my test run tearDownAfterTestClass when it fails

    - by Memor-X
    in a test i am writing the setUpBeforeTests creates a new customer in the database who is then used to perform the tests with so naturally when i finish the test i should get rid of this test customer in tearDownAfterTestClass so that i can create then anew when i rerun the test and not get any false positives how when the tests all run fine i have no problem but if a test fails and i go to rerun it my setUpBeforeTests fails because i check for mysql errors in it like this try { if(!mysqli_query($connection,$query)) { $this->assertTrue(false); } } catch (Exception $exc) { $msg = '[tearDownAfterTestClass] Exception Error' . PHP_EOL . PHP_EOL; $msg .= 'Could not run query - '.mysqli_error($connection). PHP_EOL;; $this->fail($msg); } the error i get is that there is a primary key violation which is expected cause i'm trying to create a new customer using the same data (primary key is on email which is also used to log in) however that means when the test failed it didn't run tearDownAfterTestClass now i could just move everything in tearDownAfterTestClass to the start of setUpBeforeTests however to me that seems like bad programming since it defeates the purpose of even have tearDownAfterTestClass so i am wondering, why isn't my tearDownAfterTestClass running when a test fails NOTE: the database is a fundamental part of the system i'm testing and the database and system are on a separate development environment not the live one, the backup files for the database are almost 2 GBs and takes almost 1/2 an hour to restore, the purpose of the tear down is to remove any data we have added because of the test so that we don't have to restore the database every time we run the tests

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  • Choosing between instance methods and separate functions?

    - by StackedCrooked
    Adding functionality to a class can be done by adding a method or by defining a function that takes an object as its first parameter. Most programmers that I know would choose for the solution of adding a instance method. However, I sometimes prefer to create a separate function. For example, in the example code below Area and Diagonal are defined as separate functions instead of methods. I find it better this way because I think these functions provide enhancements rather than core functionality. Is this considered a good/bad practice? If the answer is "it depends", then what are the rules for deciding between adding method or defining a separate function? class Rect { public: Rect(int x, int y, int w, int h) : mX(x), mY(y), mWidth(w), mHeight(h) { } int x() const { return mX; } int y() const { return mY; } int width() const { return mWidth; } int height() const { return mHeight; } private: int mX, mY, mWidth, mHeight; }; int Area(const Rect & inRect) { return inRect.width() * inRect.height(); } float Diagonal(const Rect & inRect) { return std::sqrt(std::pow(static_cast<float>(inRect.width()), 2) + std::pow(static_cast<float>(inRect.height()), 2)); }

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