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  • Quickest algorithm for finding sets with high intersection

    - by conradlee
    I have a large number of user IDs (integers), potentially millions. These users all belong to various groups (sets of integers), such that there are on the order of 10 million groups. To simplify my example and get to the essence of it, let's assume that all groups contain 20 user IDs (i.e., all integer sets have a cardinality of 100). I want to find all pairs of integer sets that have an intersection of 15 or greater. Should I compare every pair of sets? (If I keep a data structure that maps userIDs to set membership, this would not be necessary.) What is the quickest way to do this? That is, what should my underlying data structure be for representing the integer sets? Sorted sets, unsorted---can hashing somehow help? And what algorithm should I use to compute set intersection)? I prefer answers that relate C/C++ (especially STL), but also any more general, algorithmic insights are welcome. Update Also, note that I will be running this in parallel in a shared memory environment, so ideas that cleanly extend to a parallel solution are preferred.

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  • Refining data stored in SQLite - how to join several contacts?

    - by Krab
    Problem background Imagine this problem. You have a water molecule which is in contact with other molecules (if the contact is a hydrogen bond, there can be 4 other molecules around my water). Like in the following picture (A, B, C, D are some other atoms and dots mean the contact). A B . . O / \ H H . . C D I have the information about all the dots and I need to eliminate the water in the center and create records describing contacts of A-C, A-D, A-B, B-C, B-D, and C-D. Database structure Currently, I have the following structure in the database: Table atoms: "id" integer PRIMARY KEY, "amino" char(3) NOT NULL, (HOH for water or other value) other columns identifying the atom Table contacts: "acceptor_id" integer NOT NULL, (the atom near to my hydrogen, here C or D) "donor_id" integer NOT NULL, (here A or B) "directness" char(1) NOT NULL, (this should be D for direct and W for water-mediated) other columns about the contact, such as the distance Current solution (insufficient) Now, I'm going through all the contacts which have donor.amino = "HOH". In this sample case, this would select contacts from C and D. For each of these selected contacts, I look up contacts having the same acceptor_id as is the donor_id in the currently selected contact. From this information, I create the new contact. At the end, I delete all contacts to or from HOH. This way, I am obviously unable to create C-D and A-B contacts (the other 4 are OK). If I try a similar approach - trying to find two contacts having the same donor_id, I end up with duplicate contacts (C-D and D-C). Is there a simple way to retrieve all six contacts without duplicates? I'm dreaming about some one page long SQL query which retrievs just these six wanted rows. :-) It is preferable to conserve information about who is donor where possible, but not strictly necessary. Big thanks to all of you who read this question to this point.

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  • MySQL Query That Can Pull the Data I am Seeking?

    - by Amy
    On the project I am working on, I am stuck with the table structure from Hades. Two things to keep in mind: I can't change the table structure right now. I'm stuck with it for the time being. The queries are dynamically generated and not hard coded. So, while I am asking for a query that can pull this data, what I am really working toward is an algorithm that will generate the query I need. Hopefully, I can explain the problem without making your eyes glaze over and your brain implode. We have an instance table that looks (simplified) along these lines: Instances InstanceID active 1 Y 2 Y 3 Y 4 N 5 Y 6 Y Then, there are multiple data tables along these lines: Table1 InstanceID field1 reference_field2 1 John 5 2 Sally NULL 3 Fred 6 4 Joe NULL Table2 InstanceID field3 5 1 6 1 Table3 InstanceID fieldID field4 5 1 Howard 5 2 James 6 2 Betty Please note that reference_field2 in Table1 contains a reference to another instance. Field3 in Table2 is a bit more complicated. It contains a fieldID for Table 3. What I need is a query that will get me a list as follows: InstanceID field1 field4 1 John Howard 2 Sally 3 Fred The problem is, in the query I currently have, I do not get Fred because there is no entry in Table3 for fieldID 1 and InstanceID 6. So, the very best list I have been able to get thus far is InstanceID field1 field4 1 John Howard 2 Sally In essence, if there is an entry in Table1 for Field 2, and there is not an entry in Table 3 that has the instanceID contained in field2 and the field ID contained in field3, I don't get the data from field1. I have looked at joins till I'm blue in the face, and I can't see a way to handle the case when table3 has no entry.

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  • Display hidden li based on class

    - by kylex
    I have the following list structure: <ul> <li>One</li> <li>Two <ul> <li class="active">Two-1</li> <li>Two-2</li> </ul> </li> <li>Three <ul> <li>Three-1</li> </ul> </li> </ul> with the following CSS: ul li ul{ display:none; } ul li:hover ul{ display:block; } What I would like is this: When an li class is active, the entire structure down until the active class gets displayed. so in the case provided the following would show, along with the top level: One Two Two-1 Two-2 Three I'd like either a CSS or jQuery implementation (or mixture of the two) if possible.

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  • how to use a generated dbml classes to deserialize xml via linq?

    - by Eelco Meuter
    Hi, I have a complex data structure, which I boiled down in a dbml file with one class and 6 one-to-many relations. This data must also be read via xml. The xml structure is something like: <table id=1> <column 1></column 1> <column n></column n> <m-n table x> <column 1></column 1> </m-n table x> </table> where the tag <m-n table x> is one of the six related tables. The idea is to generate an xsd based upon the dbml, which I can use to create and validate a xml. This xml can hopefully deserialized into the dbml classes. The question is: Can this be done? If so, how do I generate the xsd. I use a sql server express 2008 r2 as backend. Thanks in advance for your time!

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  • Automatically add links to class source files under a specified directory of an another project in V

    - by Binary255
    I want to share some class source files between two projects in Visual Studio 2008. I can't create a project for the common parts and reference it (see my comment if you are curious to why). I've managed to share some source files, but it could be a lot more neat. I've created a test solution called Commonality. The Solution Explorer of the Commonality solution which contains project One and Two: What I like: All class files under the Common folder of project One are automatically added to project Two by linking. It's mostly the same as if I would have chosen Add / Existing Item... : Add As Link on each new class source file. It's clear that these files have been linked in. The shortcut arrow symbol is marking each file icon. What I do not like: The file and folder tree structure under Common of project One isn't included. It's all flat. The linked source files are shown under the project root of project Two. It would look much less cluttered if they were located under Common like in project One. The file tree structure of the Commonality solution which contains project One and Two: $ tree /F /A Folder PATH listing for volume Cystem Volume serial number is 0713370 1337:F6A4 C:. | Commonality.sln | +---One | | One.cs | | One.csproj | | | +---bin | | \---Debug | | One.vshost.exe | | One.vshost.exe.manifest | | | +---Common | | | Common.cs | | | CommonTwo.cs | | | | | \---SubCommon | | CommonThree.cs | | | +---obj | | \---Debug | | +---Refactor | | \---TempPE | \---Properties | AssemblyInfo.cs | \---Two | Two.cs | Two.csproj | Two.csproj.user | Two.csproj~ | +---bin | \---Debug +---obj | \---Debug | +---Refactor | \---TempPE \---Properties AssemblyInfo.cs And the relevant part of project Two's project file Two.csproj: <ItemGroup> <Compile Include="..\One\Common\**\*.cs"> </Compile> <Compile Include="Two.cs" /> <Compile Include="Properties\AssemblyInfo.cs" /> </ItemGroup> How do I address what I do not like, while keeping what I like?

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  • Nested namespaces, correct static library design issues

    - by PeterK
    Hello all, I'm currently in the process of developing a fairly large static library which will be used by some tools when it's finished. Now since this project is somewhat larger than anything i've been involved in so far, I realized its time to think of a good structure for the project. Using namespaces is one of those logical steps. My current approach is to divide the library into parts (which are not standalone, but their purpose calls for such a separation). I have a 'core' part which now just holds some very common typedefs and constants (used by many different parts of the library). Other parts are for example some 'utils' (hash etc.), file i/o and so on. Each of these parts has its own namespace. I have nearly finished the 'utils' part and realized that my approach probably is not the best. The problem (if we want to call it so) is that in the 'utils' namespace i need something from the 'core' namespace which results in including the core header files and many using directives. So i began to think that this probably is not a good thing and should be changed somehow. My first idea is to use nested namespaces as to have something like core::utils. Since this will require some heavy refactoring i want to ask here first. What do you think? How would you handle this? Or more generally: How to correctly design a static library in terms of namespaces and code organization? If there are some guidelines or articles about it, please mentoin them too. Thanks. Note: i'm quite sure that there are more good approaches than just one. Feel free to post your ideas, suggestions etc. Since i'm designing this library i want it to be really good. The goal is to make it as clean and FAST as possible. The only problem is that i will have to integrate a LOT of existing code and refactor it, which will really be a painful process (sigh) - thats why good structure is so important)

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  • Module based web project directory layout with git and symlinks

    - by karlthorwald
    I am planning my directory structure for a linux/apache/php web project like this: Only www.example.com/webroot/ will be exposed in apache www.example.com/ webroot/ index.php module1/ module2/ modules/ module1/ module1.class.php module1.js module2/ module2.class.php module2.css lib/ lib1/ lib1.class.php the modules/ and lib/ directory will only be in the php path. To make the css and js files visible in the webroot directory I am planning to use symlinks. webroot/ index.php module1/ module1.js (symlinked) module2/ module2.css (symlinked) I tried following these principles: layout by modules and libraries, not by file type and not by "public' or 'non public', index.php is an exception. This is for easier development. symlinking files that need to be public for the modules and libs to a public location, but still mirroring the layout. So the module structure is also visible in the resulting html code in the links, which might help development. How will git handle the symlinking of the single files correctly, is there something to consider? When it comes to images I will need to link directories, how to handle that with git? modules/ module3/ module3.class.php img/ img1.jpg img2.jpg img3.jpg They should be linked here: webroot/ module3/ img/ (symlinked ?) So this is a git and symlink question. But I would be interested to hear comments about the php layout, maybe you want to use the comment function for this.

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  • How large a role does subjectiveness play in programming?

    - by Bob
    I often read about the importance of readability and maintainability. Or, I read very strong opinions about which syntax features are bad or good. Or discussions about the values of certain paradigms, like OOP. Aside from that, this same question floats about in my mind whenever I read debates on SO or Meta about subjective questions. Or read questions about best practices and sometimes find myself or others disagreeing. What role does subjectiveness play within the programming realm? Sometimes I think it plays a large role. Software developers are engineers in a way, but also people. A large part of programming is dealing with code that's human readable. This is very different from Math or Physics or other disciplines with very exact and structured rules. Here the exact structure and rules are largely up in the air, changeable on a whim, and hence the amount of languages in existence. And one person may find one language very readable, and another person may find their own language the most comforting. The same with practices. One person may not like certain accepted practices. I myself find splitting classes into different files very unreadable, for instance. But, I can't say rules haven't helped in general. Certain practices have and do make life easier. And new languages have given rise to syntax and structure that make life easier. There's certainly been a progression towards code that is easier to read and maintain even given a largely diverse group of people. So maybe these things aren't as subjective as I thought. It reminds me, in a way, of UI design. Certainly it's subjective, but then there's an entire discipline involved in crafting good UI and it tends to work. Is there something non-subjective about the ideas behind maintainability, readability, and other best practices? Is there something tangible to grasp when one develops a new language or thinks of new practices?

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  • Multi-level shop, xml or sql. best practice?

    - by danrichardson
    Hello, i have a general "best practice" question regarding building a multi-level shop, which i hope doesn't get marked down/deleted as i personally think it's quite a good "subjective" question. I am a developer in charge (in most part) of maintaining and evolving a cms system and associated front-end functionality. Over the past half year i have developed a multiple level shop system so that an infinite level of categories may exist down into a product level and all works fine. However over the last week or so i have questioned by own methods in front-end development and the best way to show the multi-level data structure. I currently use a sql server database (2000) and pull out all the shop levels and then process them into an enumerable typed list with child enumerable typed lists, so that all levels are sorted. This in my head seems quite process heavy, but we're not talking about thousands of rows, generally only 1-500 rows maybe. I have been toying with the idea recently of storing the structure in an XML document (as well as the database) and then sending last modified headers when serving/requesting the document for, which would then be processed as/when nessecary with an xsl(t) document - which would be processed server side. This is quite a handy, reusable method of storing the data but does it have more overheads in the fact im opening and closing files? And also the xml will require a bit of processing to pull out blocks of xml if for instance i wanted to show two level mid way through the tree for a side menu. I use the above method for sitemap purposes so there is currently already code i have built which does what i require, but unsure what the best process is to go about. Maybe a hybrid method which pulls out the data, sorts it and then makes an xml document/stream (XDocument/XmlDocument) for xsl processing is a good way? - This is the way i currently make the cms work for the shop. So really (and thanks for sticking with me on this), i am just wandering which methods other people use or recommend as being the best/most logical way of doing things. Thanks Dan

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  • Lucene (.NET) Document stucture and performance suggestions.

    - by Josh Handel
    Hello, I am indexing about 100M documents that consist of a few string identifiers and a hundred or so numaric terms.. I won't be doing range queries, so I haven't dugg too deep into Numaric Field but I'm not thinking its the right choose here. My problem is that the query performance degrades quickly when I start adding OR criteria to my query.. All my queries are on specific numaric terms.. So a document looks like StringField:[someString] and N DataField:[someNumber].. I then query it with something like DataField:((+1 +(2 3)) (+75 +(3 5 52)) (+99 +88 +(102 155 199))). Currently these queries take about 7 to 16 seconds to run on my laptop.. I would like to make sure thats really the best they can do.. I am open to suggestions on field structure and query structure :-). Thanks Josh PS: I have already read over all the other lucene performance discussions on here, and on the Lucene wiki and at lucid imiagination... I'm a bit further down the rabbit hole then that...

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  • SQL Server - Complex Dynamic Pivot columns

    - by user972255
    I have two tables "Controls" and "ControlChilds" Parent Table Structure: Create table Controls( ProjectID Varchar(20) NOT NULL, ControlID INT NOT NULL, ControlCode Varchar(2) NOT NULL, ControlPoint Decimal NULL, ControlScore Decimal NULL, ControlValue Varchar(50) ) Sample Data ProjectID | ControlID | ControlCode | ControlPoint | ControlScore | ControlValue P001 1 A 30.44 65 Invalid P001 2 C 45.30 85 Valid Child Table Structure: Create table ControlChilds( ControlID INT NOT NULL, ControlChildID INT NOT NULL, ControlChildValue Varchar(200) NULL ) Sample Data ControlID | ControlChildID | ControlChildValue 1 100 Yes 1 101 No 1 102 NA 1 103 Others 2 104 Yes 2 105 SomeValue Output should be in a single row for a given ProjectID with all its Control values first & followed by child control values (based on the ControlCode (i.e.) ControlCode_Child (1, 2, 3...) and it should look like this Also, I tried this PIVOT query and I am able to get the ChildControls table values but I dont know how to get the Controls table values. DECLARE @cols AS NVARCHAR(MAX); DECLARE @query AS NVARCHAR(MAX); select @cols = STUFF((SELECT distinct ',' + QUOTENAME(ControlCode + '_Child' + CAST(ROW_NUMBER() over(PARTITION BY ControlCode ORDER BY ControlChildID) AS Varchar(25))) FROM Controls C INNER JOIN ControlChilds CC ON C.ControlID = CC.ControlID FOR XML PATH(''), TYPE ).value('.', 'NVARCHAR(MAX)') , 1, 1, ''); SELECT @query ='SELECT * FROM ( SELECT (ControlCode + ''_Child'' + CAST(ROW_NUMBER() over(PARTITION BY ControlCode ORDER BY ControlChildID) AS Varchar(25))) As Code, ControlChildValue FROM Controls AS C INNER JOIN ControlChilds AS CC ON C.ControlID = CC.ControlID ) AS t PIVOT ( MAX(ControlChildValue) FOR Code IN( ' + @cols + ' )' + ' ) AS p ; '; execute(@query); Output I am getting: Can anyone please help me on how to get the Controls table values in front of each ControlChilds table values?

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  • Spring MVC- several parts/views from a controller

    - by leeeroy
    i'm looking into using Spring MVC - how would I structure the fact that a page can be composed of several different views Consider a controller that's basically: public ModelAndView handleRequest(HttpServletRequest request, HttpServletResponse response) throws ServletException, IOException { List<Post> posts = repository.getNewPosts(); return new ModelAndView("posts", "posts", posts); } However, I decide that on every page, I'd also want a side "pane" that shows data based on some logic. That "pane" would just be a .jsp that gets included from the above "posts" view, and I could change my controller to: public ModelAndView handleRequest(HttpServletRequest request, HttpServletResponse response) throws ServletException, IOException { List<Post> posts = repository.getNewPosts(); List<Items> items= repository.getItems(); return new ModelAndView("model", "model", new MyCommonViewModel(posts,items)); } But then I'd have to change every controller to also do List<Items> items= repository.getItems(); , and change everything again the next time I come up with something new. This seems messy. How do I structure this ? `

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  • libpcap read packet size

    - by spicyramen
    I started to write an application which will read RTP/H.264 video packets from an existing .pcap file, I need to read the packet size. I tried to use packet-len or header-len, but it never displays the right number of bytes for packets (I'm using wireshark to verify packet size - under Length column). How to do it? This is part of my code: while (packet = pcap_next(handle,&header)) { u_char *pkt_ptr = (u_char *)packet; struct ip *ip_hdr = (struct ip *)pkt_ptr; //point to an IP header structure struct pcap_pkthdr *pkt_hdr =(struct pcap_pkthdr *)packet; unsigned int packet_length = pkt_hdr->len; unsigned int ip_length = ntohs(ip_hdr->ip_len); printf("Packet # %i IP Header length: %d bytes, Packet length: %d bytes\n",pkt_counter,ip_length,packet_length); Packet # 0 IP Header length: 180 bytes, Packet length: 104857664 bytes Packet # 1 IP Header length: 52 bytes, Packet length: 104857600 bytes Packet # 2 IP Header length: 100 bytes, Packet length: 104857600 bytes Packet # 3 IP Header length: 100 bytes, Packet length: 104857664 bytes Packet # 4 IP Header length: 52 bytes, Packet length: 104857600 bytes Packet # 5 IP Header length: 100 bytes, Packet length: 104857600 bytes Another option I tried is to use: pkt_ptr- I get: read_pcapfile.c:67:43: error: request for member ‘len’ in something not a structure or union

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  • Drupal6: How to programmatically style a block?

    - by Fronker
    In Drupal6, I basically have a block (a hierarchical menu structure) that turns out like this in HTML: <div class="block block-menu_block" id="block-menu_block-1"> <div class="content"> <div class="menu-block-1 menu-name-menu-navigation parent-mlid-0 menu-level-1"> <ul class="menu"> <li class="leaf first menu-mlid-248 active active-trail"><a class="active-trail active" title="" href="/">Start</a></li> <li class="expanded menu-mlid-249 active"><a class="active" title="" href="/">Aktuell</a> <ul class="menu"> <li class="leaf first menu-mlid-259"> <a title="News und Presse" href="/news-und-presse">News and Press</a> </li>... What I would like to get is actually a lot simpler: <div id="topmenu"> <ul class="one"> <li>some main entry <ul> <li> some sub entry ... or maybe: <div id="topmenu"> <h2>some main entry</h2> <h3><a href="#">some sub entry</a></h3> <h3><a href="#">another sub entry</a></h3> <h2>another main entry</h2> So, keeping the structure, but being able to use simpler, even completely different tags, if and when needed. I think I understand from the drupal docs, that I am (maybe) looking at <div class="block block-menu_block" id="block-menu_block-1" ==> module := menu_block delta := 1 (?) regrettably, none of the suggested * block-[module]-[delta].tpl.php * block-[module].tpl.php * block-[region].tpl.php placed next to page.tpl.php has any impact (yes, I did clear the cache).

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  • Qt MOC Filename Collisions using multiple .pri files

    - by Skinniest Man
    In order to keep my Qt project somewhat organized (using Qt Creator), I've got one .pro file and multiple .pri files. Just recently I added a class to one of my .pri files that has the same filename as a class that already existed in a separate .pri file. The file structure and makefiles generated by qmake appear to be oblivious to the filename collision that ensues. The generated moc_* files all get thrown into the same subdirectory (either release or debug, depending) and one ends up overwriting the other. When I try to make the project, I get several warnings that look like this: Makefile.Release:318: warning: overriding commands for target `release/moc_file.cpp` And the project fails to link. Here is a simple example of what I'm talking about. Directory structure: + project_dir | + subdir1 | | - file.h | | - file.cpp | + subdir2 | | - file.h | | - file.cpp | - main.cpp | - project.pro | - subdir1.pri | - subdir2.pri Contents of project.pro: TARGET = project TEMPLATE = app include(subdir1.pri) include(subdir2.pri) SOURCES += main.cpp Contents of subdir1.pri: HEADERS += subdir1/file.h SOURCES += subdir1/file.cpp Contents of subdir2.pri: HEADERS += subdir2/file.h SOURCES += subdir2/file.cpp Is there a way to tell qmake to generate a system that puts the moc_* files from separate .pri files into separate subdirectories?

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  • What is the most efficient/elegant way to parse a flat table into a tree?

    - by Tomalak
    Assume you have a flat table that stores an ordered tree hierarchy: Id Name ParentId Order 1 'Node 1' 0 10 2 'Node 1.1' 1 10 3 'Node 2' 0 20 4 'Node 1.1.1' 2 10 5 'Node 2.1' 3 10 6 'Node 1.2' 1 20 What minimalistic approach would you use to output that to HTML (or text, for that matter) as a correctly ordered, correctly intended tree? Assume further you only have basic data structures (arrays and hashmaps), no fancy objects with parent/children references, no ORM, no framework, just your two hands. The table is represented as a result set, which can be accessed randomly. Pseudo code or plain English is okay, this is purely a conceptional question. Bonus question: Is there a fundamentally better way to store a tree structure like this in a RDBMS? EDITS AND ADDITIONS To answer one commenter's (Mark Bessey's) question: A root node is not necessary, because it is never going to be displayed anyway. ParentId = 0 is the convention to express "these are top level". The Order column defines how nodes with the same parent are going to be sorted. The "result set" I spoke of can be pictured as an array of hashmaps (to stay in that terminology). For my example was meant to be already there. Some answers go the extra mile and construct it first, but thats okay. The tree can be arbitrarily deep. Each node can have N children. I did not exactly have a "millions of entries" tree in mind, though. Don't mistake my choice of node naming ('Node 1.1.1') for something to rely on. The nodes could equally well be called 'Frank' or 'Bob', no naming structure is implied, this was merely to make it readable. I have posted my own solution so you guys can pull it to pieces.

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  • how to determine if a character vector is a valid numeric or integer vector

    - by Andrew Barr
    I am trying to turn a nested list structure into a dataframe. The list looks similar to the following (it is serialized data from parsed JSON read in using the httr package). myList <- list(object1 = list(w=1, x=list(y=0.1, z="cat")), object2 = list(w=2, x=list(y=0.2, z="dog"))) unlist(myList) does a great job of recursively flattening the list, and I can then use lapply to flatten all the objects nicely. flatList <- lapply(myList, FUN= function(object) {return(as.data.frame(rbind(unlist(object))))}) And finally, I can button it up using plyr::rbind.fill myDF <- do.call(plyr::rbind.fill, flatList) str(myDF) #'data.frame': 2 obs. of 3 variables: #$ w : Factor w/ 2 levels "1","2": 1 2 #$ x.y: Factor w/ 2 levels "0.1","0.2": 1 2 #$ x.z: Factor w/ 2 levels "cat","dog": 1 2 The problem is that w and x.y are now being interpreted as character vectors, which by default get parsed as factors in the dataframe. I believe that unlist() is the culprit, but I can't figure out another way to recursively flatten the list structure. A workaround would be to post-process the dataframe, and assign data types then. What is the best way to determine if a vector is a valid numeric or integer vector?

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  • Do you use Styrofoam balls to model your systems?

    - by Nick D
    [Objective-C] Do you still use Styrofoam balls to model your systems, where each ball represents a class? Tom Love: We do, actually. We've also done a 3D animation version of it, which we found to be nowhere near as useful as the Styrofoam balls. There's something about a physical, conspicuous structure hanging from the ceiling right in the middle of a development project that's regularly updated to provide not only the structure of the system that you're building, but also the current status of each one of the classes. We've done it on 19 projects the last time I've counted. One of them was 1,856 classes, which is big - actually, probably bigger than it should be. It was a big commercial project, so it needed to be somewhat big. Masterminds of Programming It is the first time I've read or heard about using styrofoam balls to model classes. Is that a commonly used technique? And, how does that sort of modeling help us to design better the system? If you have any photos to share which can show us how the classes are represented it'd be great!

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  • Group variables in a boxplot in R

    - by tao.hong
    I am trying to generate a boxplot whose data come from two scenarios. In the plot, I would like to group boxes by their names (So there will be two boxes per variable). I know ggplot would be a good choice. But I got errors which I could not figure out. Can anyone give me some suggestions? sensitivity_out1 structure(c(0.0522902104339716, 0.0521369824334004, 0.0520240345973737, 0.0519818337359876, 0.051935071418996, 0.0519089404325544, 0.000392698277338341, 0.000326135474295325, 0.000280863338343747, 0.000259631566041935, 0.000246594043996332, 0.000237923540393391, 0.00046732650331544, 0.000474448907808135, 0.000478287273678457, 0.000480194683464109, 0.000480631753078668, 0.000481760272726273, 0.000947965771207979, 0.000944821699830455, 0.000939631071343889, 0.000937186900570605, 0.000936007346568281, 0.000934756220144141, 0.00132442589501872, 0.00132658367774979, 0.00133334696220742, 0.00133622384928092, 0.0013381577476241, 0.00134005741746304, 0.0991622968751298, 0.100791399440082, 0.101946808417405, 0.102524244727408, 0.102920085260477, 0.103232984259916, 0.0305219507186844, 0.0304635269233494, 0.0304161055015213, 0.0303742106794513, 0.0303381888169022, 0.0302996157711171, 1.94268588634518e-05, 2.23991225564447e-05, 2.5756135487907e-05, 2.79997917298194e-05, 3.00753967077715e-05, 3.16270817369878e-05, 0.544701146678523, 0.542887331601984, 0.541632986366816, 0.541005610554556, 0.540617004208336, 0.540315690692195, 0.000453386694666078, 0.000448473414508756, 0.00044692043197248, 0.000444826296854332, 0.000445747996014684, 0.000444764303682453, 0.000127569551159321, 0.000128422491392669, 0.00012933662856487, 0.000129941842982939, 0.000129578971489026, 0.000131113075233758, 0.00684610571790029, 0.00686349387897349, 0.00687468164010565, 0.00687880720347743, 0.00688275579317197, 0.00687822247621936), .Dim = c(6L, 12L)) out2 structure(c(0.0189965816735366, 0.0189995096225103, 0.0190099362589894, 0.0190033523148514, 0.01900896721937, 0.0190099427513381, 0.00192043989797585, 0.00207303208721059, 0.00225931163225165, 0.0024049969048389, 0.00252310364086785, 0.00262940166568126, 0.00195164921633517, 0.00190079923515755, 0.00186139563778548, 0.00184188171395076, 0.00183248544676564, 0.00182492970673969, 1.83038731485927e-05, 1.98252671720347e-05, 2.14794764479231e-05, 2.30713122969332e-05, 2.4484220713564e-05, 2.55958833705284e-05, 0.0428066864455102, 0.0431686808647809, 0.0434411033615353, 0.0435883377765726, 0.0436690169266633, 0.0437340464360965, 0.145288252474567, 0.141488776430307, 0.138204532539654, 0.136281799717717, 0.134864952272761, 0.133738386148036, 0.0711728636959696, 0.072031388688795, 0.0727536853228245, 0.0731581966147734, 0.0734424337399303, 0.0736637270702609, 0.000605277151497094, 0.000617268349064968, 0.000632975679951382, 0.000643904422677427, 0.000653775268094148, 0.000662225067910141, 0.26735354610469, 0.267515415990146, 0.26753155165617, 0.267553498616325, 0.267532284594615, 0.267510330320289, 0.000334158771646756, 0.000319032383145857, 0.000306074699839994, 0.000299153278494114, 0.000293956197852583, 0.000290171804454218, 0.000645975219899115, 0.000637548672578787, 0.000632375486965757, 0.000629579821884212, 0.000624956458229123, 0.000622456283217054, 0.0645188290106884, 0.0651539609630352, 0.0656417364889907, 0.0658996698322889, 0.0660715073023965, 0.0662034341510152), .Dim = c(6L, 12L)) Melt data: group variable value 1 1 PLDKRT 0 2 1 PLDKRT 0 3 1 PLDKRT 0 4 1 PLDKRT 0 5 1 PLDKRT 0 6 1 PLDKRT 0 Code: #Data_source 1 sensitivity_1=rbind(sensitivity_out1,sensitivity_out2) sensitivity_1=data.frame(sensitivity_1) colnames(sensitivity_1)=main_l #variable names sensitivity_1$group=1 #Data_source 2 sensitivity_2=rbind(sensitivity_out1[3:4,],sensitivity_out2[3:4,]) sensitivity_2=data.frame(sensitivity_2) colnames(sensitivity_2)=main_l sensitivity_2$group=2 sensitivity_pool=rbind(sensitivity_1,sensitivity_2) sensitivity_pool_m=melt(sensitivity_pool,id.vars="group") ggplot(data = sensitivity_pool_m, aes(x = variable, y = value)) + geom_boxplot(aes( fill= group), width = 0.8) Error: "Error in unit(tic_pos.c, "mm") : 'x' and 'units' must have length > 0" Update Figure out the error. I should use geom_boxplot(aes( fill= factor(group)), width = 0.8) rather than fill= group

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  • ASP.Net MVC: Showing the same data using different layouts...

    - by vdh_ant
    Hi guys I'm wanting to create a page that allows the users to select how they would like to view their data - i.e. summary (which supports grouping), grid (which supports grouping), table (which supports grouping), map, time line, xml, json etc. Now each layout would probably have different use a different view model, which inherit from a common base class/view model. The reason being that each layout needs the object structure that it deals with to be different (some need hierarchical others a flatter structure). Each layout would call the same repository method and each layout would support the same functionality, i.e. searching and filtering (hence these controls would be shared between layouts). The main exception to this would be sorting which only grid and table views would need to support. Now my question is given this what do people think is the best approach. Using DisplayFor to handle the rendering of the different types? Also how do I work this with the actions... I would imagine that I would use the one action, and pass in the layout types, but then how does this support the grouping required for the summary, grid and table views. Do i treat each grouping as just a layout type Also how would this work from a URL point of view - what do people think is the template to support this layout functionality Cheers Anthony

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  • Should I define a single "DataContext" and pass references to it around or define muliple "DataConte

    - by Nate Bross
    I have a Silverlight application that consists of a MainWindow and several classes which update and draw images on the MainWindow. I'm now expanding this to keep track of everything in a database. Without going into specifics, lets say I have a structure like this: MainWindow Drawing-Surface Class1 -- Supports Drawing DataContext + DataServiceCollection<T> w/events Class2 -- Manages "transactions" (add/delete objects from drawing) Class3 Each "Class" is passed a reference to the Drawing Surface so they can interact with it independently. I'm starting to use WCF Data Services in Class1 and its working well; however, the other classes are also going to need access to the WCF Data Services. (Should I define my "DataContext" in MainWindow and pass a reference to each child class?) Class1 will need READ access to the "transactions" data, and Class2 will need READ access to some of the drawing data. So my question is, where does it make the most sense to define my DataContext? Does it make sense to: Define a "global" WCF Data Service "Context" object and pass references to that in all of my subsequent classes? Define an instance of the "Context" for each Class1, Class2, etc Have each method that requires access to data define its own instance of the "Context" and use closures handle the async load/complete events? Would a structure like this make more sense? Is there any danger in keeping an active "DataContext" open for an extended period of time? Typical usecase of this application could range from 1 minute to 40+ minutes. MainWindow Drawing-Surface DataContext Class1 -- Supports Drawing DataServiceCollection<DrawingType> w/events Class2 -- Manages "transactions" (add/delete objects from drawing) DataServiceCollection<TransactionType> w/events Class3 DataServiceCollection<T> w/events

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  • Custom Wordpress Post Page Breaks if More Thank 2 Posts?

    - by thatryan
    I have a very custom template, and it works great if there are 1 or 2 posts on the blog page. But as soon as a 3rd post is added, it alters the structure of the template... Literally moves a div inside of another and I can not understand why. The code for the blog template is here, and a screenshot of the structure as it should be and another showing the misplaced div when a third post is there. Does this make any sense, any ideas? Thank you much! <div class="post" id="post-<?php the_ID(); ?>"><!--start post--> <h2><?php the_title(); ?></h2> <div id="main_full" class=" clearfix"><!--start main--> <div id="top_bar"><h3 class="gallery-title">news</h3></div> <div id="blog_page"><!--start blog page--> <div class="entry"><!--start entry--> <?php the_content(); ?> </div><!--end entry--> </div><!--end blog page--> </div><!--end main--> <?php endwhile; endif; ?> </div><!--end post--> <?php edit_post_link('Edit this entry.', '<p>', '</p>'); ?> <?php comments_template(); ?> Good One Bad One

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  • Perl Module from relative path not working in IIS6

    - by Laramie
    Disclaimer: I am not a PERL developer and am learning by the seat of my pants. I am using a Perl module called from a CGI scipt in IIS 6 that is bombing. The identical folder structure on an XP machine (IIS 5.1) works fantastic. If I remove the module loading command at line 9, it will print "about to load" and "ok", but When I try to run use Language::Guess; I receive The specified CGI application misbehaved by not returning a complete set of HTTP headers. in the browser. The folder structure is /cgi-bin/test.pl /PerlModules/Language/Guess.pm I have tried adjusting the file/folder permissions and have reviewed my IIS configuration time and again. It runs fine from the command line on the IIS machine or if I copy the module into \Perl\site\lib, but I don't have permission to load modules on the shared server this script is destined for. Am I missing something simple? Here is test.pl use strict; use CGI ':standard'; print header("text/html"); use lib "..\\PerlModules\\"; print "about to load<br/>"; #bombs here use Language::Guess; print "ok"

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  • Mysql return value as 0 in the fetch result.

    - by Karthik
    I have this two tables, -- -- Table structure for table `t1` -- CREATE TABLE `t1` ( `pid` varchar(20) collate latin1_general_ci NOT NULL, `pname` varchar(20) collate latin1_general_ci NOT NULL ) ENGINE=MyISAM DEFAULT CHARSET=latin1 COLLATE=latin1_general_ci; -- -- Dumping data for table `t1` -- INSERT INTO `t1` VALUES ('p1', 'pro1'); INSERT INTO `t1` VALUES ('p2', 'pro2'); -- -------------------------------------------------------- -- -- Table structure for table `t2` -- CREATE TABLE `t2` ( `pid` varchar(20) collate latin1_general_ci NOT NULL, `year` int(6) NOT NULL, `price` int(3) NOT NULL ) ENGINE=MyISAM DEFAULT CHARSET=latin1 COLLATE=latin1_general_ci; -- -- Dumping data for table `t2` -- INSERT INTO `t2` VALUES ('p1', 2009, 50); INSERT INTO `t2` VALUES ('p1', 2010, 60); INSERT INTO `t2` VALUES ('p3', 2007, 200); INSERT INTO `t2` VALUES ('p4', 2008, 501); my query is, SELECT * FROM `t1` LEFT JOIN `t2` ON t1.pid = t2.pid Getting the result, pid pname pid year price p1 pro1 p1 2009 50 p1 pro1 p1 2010 60 p2 pro2 NULL NULL NULL My question is, i want to get the price value is 0 instead of NULL. How can i write the query to getting the price value is 0. Thanks in advance for help.

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