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  • C# connect to domain SQL Server 2005 from non-domain machine

    - by user304582
    Hi, I asked a question a few days ago (http://stackoverflow.com/questions/2795723/access-to-sql-server-2005-from-a-non-domain-machine-using-windows-authentication) which got some interesting, but not usable suggestions. I'd like to ask the question again, but make clear what my constraints are: I have a Windows domain within which a machine is running SQL Server 2005 and which is configured to support only Windows authentication. I would like to run a C# client application on a machine on the same network, but which is NOT on the domain, and access a database on the SQL Server 2005 instance. I CANNOT create or modify OS or SQL Server users on either machine, and I CANNOT make any changes to permissions or impersonation, and I CANNOT make use of runas. I know that I can write Perl and Java applications that can connect to the SQL Server database using only these four parameters: server name, database name, username (in the form domain\user), and password. In C# I have tried various things around: string connectionString = "Data Source=server;Initial Catalog=database;User Id=domain\user;Password=password"; SqlConnection connection = new SqlConnection(connectionString); connection.Open(); and tried setting integrated security to true and false, but nothing seems to work. Is what I am trying to do simply impossible in C#? Thanks for any help, Martin

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  • Using the contents of an array to set individual pixels in a Quartz bitmap context

    - by Magic Bullet Dave
    I have an array that contains the RGB colour values for each pixel in a 320 x 180 display. I would like to be able to set individual pixel values in the a bitmap context of the same size offscreen then display the bitmap context in a view. It appears that I have to create 1x1 rects and either put a stroke on them or a line of length 1 at the point in question. Is that correct? I'm looking for a very efficient way of getting the array data onto the graphics context as you can imagine this is going to be an image buffer that cycles at 25 frames per second and drawing in this way seems inefficient. I guess the other question is should I use OPENGL ES instead? Thoughts/best practice would be much appreciated. Regards Dave OK, have come a short way, but can't make the final hurdle and I am not sure why this isn't working: - (void) displayContentsOfArray1UsingBitmap: (CGContextRef)context { long bitmapData[WIDTH * HEIGHT]; // Build bitmap int i, j, h; for (i = 0; i < WIDTH; i++) { for (j = 0; j < HEIGHT; j++) { h = frameBuffer01[i][j]; bitmapData[i * j] = h; } } // Blit the bitmap to the context CGDataProviderRef providerRef = CGDataProviderCreateWithData(NULL, bitmapData,4 * WIDTH * HEIGHT, NULL); CGColorSpaceRef colorSpaceRef = CGColorSpaceCreateDeviceRGB(); CGImageRef imageRef = CGImageCreate(WIDTH, HEIGHT, 8, 32, WIDTH * 4, colorSpaceRef, kCGImageAlphaFirst, providerRef, NULL, YES, kCGRenderingIntentDefault); CGContextDrawImage(context, CGRectMake(0.0, HEIGHT, WIDTH, HEIGHT), imageRef); CGImageRelease(imageRef); CGColorSpaceRelease(colorSpaceRef); CGDataProviderRelease(providerRef); }

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  • How to implement escape Sequence in SDL

    - by Sa'me Smd
    Im trying to use the STL library inside the SDL. but it gives me the error "undeclared identifier" Is there any way i can use "\n"or even cout<<endl; Can the function SDL_WarpMousewhich places the mouse cursor on a desired location on screen help me with this. Because i want to put a tile on the next line sequence. I hope you get the Question. Its very vague and messed up question though (sorry for that). EDIT: void putMap(SDL_Surface* tile, SDL_Surface* screen) { for(int y = 0; y < 21; y++) { for(int x = 0; x < 60; x++) { if(maze[x][y] != '#') { apply_surface( x*10 , y*10 , tile, screen); } } cout<<endl; } } c:\documents and settings\administrator\my documents\visual studio 2008\projects\craptest\craptest\main.cpp(605) : error C2065: 'cout' : undeclared identifier c:\documents and settings\administrator\my documents\visual studio 2008\projects\craptest\craptest\main.cpp(605) : error C2065: 'endl' : undeclared identifier This is my apply_surface funtion. void apply_surface( int x, int y, SDL_Surface* source, SDL_Surface* destination ) { //Make a temporary rectangle to hold the offsets SDL_Rect offset; //Give the offsets to the rectangle offset.x = x; offset.y = y; //Blit the surface SDL_BlitSurface( source, NULL, destination, &offset ); }

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  • Ruby on Rails 2.3.5: Populating my prod and devel database with data (migration or fixture?)

    - by randombits
    I need to populate my production database app with data in particular tables. This is before anyone ever even touches the application. This data would also be required in development mode as it's required for testing against. Fixtures are normally the way to go for testing data, but what's the "best practice" for Ruby on Rails to ship this data to the live database also upon db creation? ultimately this is a two part question I suppose. 1) What's the best way to load test data into my database for development, this will be roughly 1,000 items. Is it through a migration or through fixtures? The reason this is a different answer than the question below is that in development, there's certain fields in the tables that I'd like to make random. In production, these fields would all start with the same value of 0. 2) What's the best way to bootstrap a production db with live data I need in it, is this also through a migration or fixture? I think the answer is to seed as described here: http://lptf.blogspot.com/2009/09/seed-data-in-rails-234.html but I need a way to seed for development and seed for production. Also, why bother using Fixtures if seeding is available? When does one seed and when does one use fixtures?

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  • Clustered index - multi-part vs single-part index and effects of inserts/deletes

    - by Anssssss
    This question is about what happens with the reorganizing of data in a clustered index when an insert is done. I assume that it should be more expensive to do inserts on a table which has a clustered index than one that does not because reorganizing the data in a clustered index involves changing the physical layout of the data on the disk. I'm not sure how to phrase my question except through an example I came across at work. Assume there is a table (Junk) and there are two queries that are done on the table, the first query searches by Name and the second query searches by Name and Something. As I'm working on the database I discovered that the table has been created with two indexes, one to support each query, like so: --drop table Junk1 CREATE TABLE Junk1 ( Name char(5), Something char(5), WhoCares int ) CREATE CLUSTERED INDEX IX_Name ON Junk1 ( Name ) CREATE NONCLUSTERED INDEX IX_Name_Something ON Junk1 ( Name, Something ) Now when I looked at the two indexes, it seems that IX_Name is redundant since IX_Name_Something can be used by any query that desires to search by Name. So I would eliminate IX_Name and make IX_Name_Something the clustered index instead: --drop table Junk2 CREATE TABLE Junk2 ( Name char(5), Something char(5), WhoCares int ) CREATE CLUSTERED INDEX IX_Name_Something ON Junk2 ( Name, Something ) Someone suggested that the first indexing scheme should be kept since it would result in more efficient inserts/deletes (assume that there is no need to worry about updates for Name and Something). Would that make sense? I think the second indexing method would be better since it means one less index needs to be maintained. I would appreciate any insight into this specific example or directing me to more info on maintenance of clustered indexes.

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  • [MFC] Creating multiple dialogs in an MFC app with no main Window, they become children of each othe

    - by John
    (title updated) Following on from this question, now I have a clearer picture what's going on... I have a MFC application with no main window, which exposes an API to create dialogs. When I call some of these methods repeatedly, the dialogs created are parented to each other instead of all being parented to the desktop... I have no idea why. But anyway even after creation, I am unable to change the parent back to NULL or CWnd::GetDesktopWindow()... if I call SetParent followed by GetParent, nothing has changed. So apart from the really weird question of why Windows is magically parenting each dialog to the last one created, is there anything I'm missing to be able to set these windows as children of the desktop? UPDATED: I have found the reason for all this, but not the solution. From my dialog constructor, we end up in: BOOL CDialog::CreateIndirect(LPCDLGTEMPLATE lpDialogTemplate, CWnd* pParentWnd, void* lpDialogInit, HINSTANCE hInst) { ASSERT(lpDialogTemplate != NULL); if (pParentWnd == NULL) pParentWnd = AfxGetMainWnd(); m_lpDialogInit = lpDialogInit; return CreateDlgIndirect(lpDialogTemplate, pParentWnd, hInst); } Note: if (pParentWnd == NULL)pParentWnd = AfxGetMainWnd(); The call-stack from my dialog constructor looks like this: mfc80d.dll!CDialog::CreateIndirect(const DLGTEMPLATE * lpDialogTemplate=0x005931a8, CWnd * pParentWnd=0x00000000, void * lpDialogInit=0x00000000, HINSTANCE__ * hInst=0x00400000) mfc80d.dll!CDialog::CreateIndirect(void * hDialogTemplate=0x005931a8, CWnd * pParentWnd=0x00000000, HINSTANCE__ * hInst=0x00400000) mfc80d.dll!CDialog::Create(const char * lpszTemplateName=0x0000009d, CWnd * pParentWnd=0x00000000) mfc80d.dll!CDialog::Create(unsigned int nIDTemplate=157, CWnd * pParentWnd=0x00000000) MyApp.exe!CMyDlg::CMyDlg(CWnd * pParent=0x00000000) Running in the debugger, if I manually change pParentWnd back to 0 in CDialog::CreateIndirect, everything works fine... but how do I stop it happening in the first place?

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  • Switching to WPF, the best use of time at Visual Studio Launch 2010

    - by Stewbob
    Yes, this is a programming-related question, if a little indirectly (that's why I marked it Community Wiki right away). For better or worse, I am switching from Winforms to WPF in April. I am also going to be in attendance at the Visual Studio Launch in Las Vegas. I have a real need to get up to speed quickly in WPF, so my question is: What sessions are going to be the best use of my time? I've got some picked out already, but I'm looking for some more advice on how to wade through all the marketing fluff and get some real educational value out of these few days. I have not been to one of these events before, so I don't really know how much is marketing hype, and how much is solid content. A couple of the workshops look interesting (VPR02 and VPS02), but I don't know enough about the actual content of these to justify the extra expense right now. Any thoughts there would be appreciated. And yes, I do have WPF learning planned other than just these few days in Vegas, but since I'm going to be there anyway, I want to learn as much as I can in the time available.

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  • source of historical stock data

    - by rmeador
    I'm trying to make a stock market simulator (perhaps eventually growing into a predicting AI), but I'm having trouble finding data to use. I'm looking for a (hopefully free) source of historical stock market data. Ideally, it would be a very fine-grained (second or minute interval) data set with price and volume of every symbol on NASDAQ and NYSE (and perhaps others if I get adventurous). Does anyone know of a source for such info? I found this question which indicates Yahoo offers historical data in CSV format, but I've been unable to find out how to get it in a cursory examination of the site linked. I also don't like the idea of downloading the data piecemeal in CSV files... I imagine Yahoo would get upset and shut me off after the first few thousand requests. I also discovered another question that made me think I'd hit the jackpot, but unfortunately that OpenTick site seems to have closed its doors... too bad, since I think they were exactly what I wanted. I'd also be able to use data that's just open/close price and volume of every symbol every day, but I'd prefer all the data if I can get it. Any other suggestions?

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  • Trying to write up a C daemon, but don't know enough C to continue

    - by JamesM-SiteGen
    Okay, so I want this daemon to run in the background with little to no interaction. I plan to have it work with Apache, lighttpd, etc to send the session & request information to allow C to generate a website from an object DB, saving will have to be an option so, you can start the daemon with an existing DB but will not save to it unless you login to the admin area and enable, and restart the daemon. Summary of the daemon: Load a database from file. Have a function to restart the daemon. Allow Apache, lighttpd, etc to get necessary data about the request and session. A varible to allow the database to be saved to the file, otherwise it will only be stored in ram. If it is set to save back to the file, then only have neccessary data in ram. Use sql-light for the database file. Build a webpage from some template files. $(myVar) for getting variables. Get templates from a directory. ./templates/01-test/{index.html,template.css,template.js} Live version of the code and more information: http://typewith.me/YbGB1h1g1p Also I am working on a website CMS in php, but I am tring to switch to C as it is faster than php. ( php is quite fast, but the fact that making a few mySQL requests for every webpage is quite unefficent and I'm sure that it can be far better, so an object that we can recall data from in C would have to be faster ) P.S I am using Arch-Linux not MS-Windows, with the package group base-devel for the common developer tools such as make and makepgk. Edit: Oupps, forgot the question ;) Okay, so the question is, how can I turn this basic C daemon into a base to what I am attempting to do here?

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  • ACL architechture for a Software As a service in Sprgin 3.0

    - by geoaxis
    I am making a software as a service using Spring 3.0 (Spring MVC, Spring Security, Spring Roo, Hibernate) I have to come up with a flexible access control list mechanism.I have three different kinds of users System (who can do any thing to the system, includes admin and internal daemons) Operations (who can add and delete users, organizations, and do maintenance work on behalf of users and organizations) End Users (they belong to one or more organization, for each organization, the user can have one or more roles, like being organization admin, or organization read-only member) (role like orgadmin can also add users for that organization) Now my question is, how should i model the entity of User? If I just take the End User, it can belong to one or more organizations, so each user can contain a set of references to its organizations. But how do we model the users role for each organization, So for example User UX belongs to organizations og1, og2 and og3, and for og1 he is both orgadmin, and org-read-only-user, where as for og2 he is only orgadmin and for og3 he is only org-read-only-user I have the possibility of making each user belong to one organization alone, but that's making the system bounded and I don't like that idea (although i would still satisfy the requirement) If you have a better extensible ACL architecture, please suggest it. Since its a software as a service, one would expect that alot of different organizations would be part if the same system. I had one concern that it is not a good idea to keep og1 and og2 data on the same DB (if og1 decides to spawn a 100 reports on the system, og2 should not suffer) But that is some thing advanced for now and is not directly related to ACL but to the physical distribution of data and setup of services based on those ACLs This is a community Wiki question, please correct any thing which you wish to do so. Thanks

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  • Can threads safely read variables set by VCL events?

    - by Tom1952
    Is it safe for a thread to READ a variable set by a Delphi VCL event? When a user clicks on a VCL TCheckbox, the main thread sets a boolean to the checkbox's Checked state. CheckboxState := CheckBox1.Checked; At any time, a thread reads that variable if CheckBoxState then ... It doesn't matter if the thread "misses" a change to the boolean, because the thread checks the variable in a loop as it does other things. So it will see the state change eventually... Is this safe? Or do I need special code? Is surrounding the read and write of the variable (in the thread and main thread respectively) with critical code calls necessary and sufficient? As I said, it doesn't matter if the thread gets the "wrong" value, but I keep thinking that there might be a low-level problem if one thread tries to read a variable while the main thread is in the middle of writing it, or vice versa. My question is similar to this one: http://stackoverflow.com/questions/1353096/cross-thread-reading-of-a-variable. (Also related to my previous question: http://stackoverflow.com/questions/2449183/using-entercriticalsection-in-thread-to-update-vcl-label)

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  • m2eclipse: How to set Eclipse project settings when importing a maven project?

    - by Marius Andreiana
    Using m2eclipse Eclipse plugin, everybody on the dev team should be able to checkout source code, import Maven project in Eclipse and be good to go. I saw m2eclipse is being merged into Eclipse 3.7, and maven-eclipse-plugin won't be maintained any longer, so I'm looking for a m2eclipse-based solution (without running "mvn eclipse:clean eclipse:eclipse" before project import, which is what maven-eclipse-plugin does). maven-eclipse-plugin allows this in pom.xml <additionalConfig> <file> <name>.settings/com.google.gdt.eclipse.core.prefs</name> <content><![CDATA[ eclipse.preferences.version=2 jarsExcludedFromWebInfLib= warSrcDir=${project.build.directory}/${project.build.finalName} warSrcDirIsOutput=true ]]> </content> </file> The more general question is How would m2eclipse do something similar? For some cases, just saving the eclipse .settings/prefs file works (e.g. org.eclipse.jdt.ui.prefs), but in this case, com.google.gdt.eclipse.core.prefs is always overwritten on m2eclipse project import. A specific question is asked here, with no reply. Thanks! UPDATE: Not possible now, see request

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  • Java Random Slowdowns on Mac OS cont'd

    - by javajustice
    I asked this question a few weeks ago, but I'm still having the problem and I have some new hints. The original question is here: http://stackoverflow.com/questions/1651887/java-random-slowdowns-on-mac-os Basically, I have a java application that splits a job into independent pieces and runs them in separate threads. The threads have no synchronization or shared memory items. The only resources they do share are data files on the hard disk, with each thread having an open file channel. Most of the time it runs very fast, but occasionally it will run very slow for no apparent reason. If I attach a CPU profiler to it, then it will start running quickly again. If I take a CPU snapshot, it says its spending most of its time in "self time" in a function that doesn't do anything except check a few (unshared unsynchronized) booleans. I don't know how this could be accurate because 1, it makes no sense, and 2, attaching the profiler seems to knock the threads out of whatever mode they're in and fix the problem. Also, regardless of whether it runs fast or slow, it always finishes and gives the same output, and it never dips in total cpu usage (in this case ~1500%), implying that the threads aren't getting blocked. I have tried different garbage collectors, different sizings the parts of the memory space, writing data output to non-raid drives, and putting all data output in threads separate the main worker threads. Does anyone have any idea what kind of problem this could be? Could it be the operating system (OS X 10.6.2) ? I have not been able to duplicate it on a windows machine, but I don't have one with a similar hardware configuration.

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  • send SMS from WAP page

    - by user217069
    This question is related to sending an SMS from a link in a WAP page? Historically I have used sms: which has worked on SonyEricsson, Nokia and other such 'legacy' devices. An example of the mark-up would be; <a href="sms:0123456789?body=test%20message">send</a> I am aware that i-phone does not allow you to specify the body. If the body tag is present then the device closes the browser and opens the SMS application but does not go as far as taking the user to message creation. As such the following does not really work; <a href="sms:0123456789?body=test%20message">send</a> however, this partially does... in that it takes the user to the editor and selects the recipient. <a href="sms:0123456789">send</a> My tests with Android (HTC desire) cause the message editor to crash (with the above examples). I have managed to get the message editor to open successfully but not managed to pass any details (recipient or message body) using; <a href="sms://0123456789">send</a> Note the :// which is not correct according to the Nokia specs. Has anyone had any more success? Sorry if this is a bit hazy, its probably more of a discussion than a question.

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  • Calling a subclass method from a superclass

    - by Shaun
    Preface: This is in the context of a Rails application. The question, however, is specific to Ruby. Let's say I have a Media object. class Media < ActiveRecord::Base end I've extended it in a few subclasses: class Image < Media def show # logic end end class Video < Media def show # logic end end From within the Media class, I want to call the implementation of show from the proper subclass. So, from Media, if self is a Video, then it would call Video's show method. If self is instead an Image, it would call Image's show method. Coming from a Java background, the first thing that popped into my head was 'create an abstract method in the superclass'. However, I've read in several places (including Stack Overflow) that abstract methods aren't the best way to deal with this in Ruby. With that in mind, I started researching typecasting and discovered that this is also a relic of Java thinking that I need to banish from my mind when dealing with Ruby. Defeated, I started coding something that looked like this: def superclass_method # logic this_media = self.type.constantize.find(self.id) this_media.show end I've been coding in Ruby/Rails for a while now, but since this was my first time trying out this behavior and existing resources didn't answer my question directly, I wanted to get feedback from more-seasoned developers on how to accomplish my task. So, how can I call a subclass's implementation of a method from the superclass in Rails? Is there a better way than what I ended up (almost) implementing?

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  • Indentation control while developing a small python like language

    - by sap
    Hello, I'm developing a small python like language using flex, byacc (for lexical and parsing) and C++, but i have a few questions regarding scope control. just as python it uses white spaces (or tabs) for indentation, not only that but i want to implement index breaking like for instance if you type "break 2" inside a while loop that's inside another while loop it would not only break from the last one but from the first loop as well (hence the number 2 after break) and so on. example: while 1 while 1 break 2 'hello world'!! #will never reach this. "!!" outputs with a newline end 'hello world again'!! #also will never reach this. again "!!" used for cout end #after break 2 it would jump right here but since I don't have an "anti" tab character to check when a scope ends (like C for example i would just use the '}' char) i was wondering if this method would the the best: I would define a global variable, like "int tabIndex" on my yacc file that i would access in my lex file using extern. then every time i find a tab character on my lex file i would increment that variable by 1. when parsing on my yacc file if i find a "break" keyword i would decrement by the amount typed after it from the tabIndex variable, and when i reach and EOF after compiling and i get a tabIndex != 0 i would output compilation error. now the problem is, whats the best way to see if the indentation got reduced, should i read \b (backspace) chars from lex and then reduce the tabIndex variable (when the user doesn't use break)? another method to achieve this? also just another small question, i want every executable to have its starting point on the function called start() should i hardcode this onto my yacc file? sorry for the long question any help is greatly appreciated. also if someone can provide an yacc file for python would be nice as a guideline (tried looking on Google and had no luck). thanks in advance.

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  • Is there a limit for the number of files in a directory on an SD card?

    - by jamesh
    I have a project written for Android devices. It generates a large number of files, each day. These are all text files and images. The app uses a database to reference these files. The app is supposed to clear up these files after a little use (perhaps after a few days), but this process may or may not be working. This is not the subject of this question. Due to a historic accident, the organization of the files are somewhat naive: everything is in the same directory; a .hidden directory which contains a zero byte .nomedia file to prevent the MediaScanner indexing it. Today, I am seeing an error reported: java.io.IOException: Cannot create: /sdcard/.hidden/file-4200.html at java.io.File.createNewFile(File.java:1263) Regarding the sdcard, I see it has plenty of storage left, but counting $ cd /Volumes/NO_NAME/.hidden $ ls | wc -w 9058 Deleting a number of files seems to have allowed the file creation for today to proceed. Regrettably, I did not try touching a new file to try and reproduce the error on a commandline; I also deleted several hundred files rather than a handful. However, my question is: are there hard limits on filesize or number of files in a directory? am I even on the right track here? Nota Bene: The SD card is as-is - i.e. I haven't formatted it, so I would guess it would be a FAT-* format. The FAT-32 format has hard limits of filesize of 2GB (well above the filesizes I am dealing with) and a limit of number of files in the root directory. I am definitely not writing files in the root directory.

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  • Extracting shell script from parameterised Hudson job

    - by Jonik
    I have a parameterised Hudson job, used for some AWS deployment stuff, which in one build step runs certain shell commands. However, that script has become sufficiently complicated that I want to "extract" it from Hudson to a separate script file, so that it can easily be versioned properly. The Hudson job would then simply update from VCS and execute the external script file. My main question is about passing parameters to the script. I have a Hudson parameter named AMI_ID and a few others. The script references those params as if they were environment variables: echo "Using AMI $AMI_ID and type $TYPE" Now, this works fine inside Hudson, but not if Hudson calls an external script. Could I somehow make Hudson set the params as environment variables so that I don't need to change the script? Or is my best option to alter the script to take command line parameters (and possibly assign those to named variables for readability: ami_id=$1; type=$2; ... )? I tried something like this but the script doesn't get correctly replaced values: export AMI_ID=$AMI_ID export TYPE=$TYPE external-script.sh # this tries to use e.g. $AMI_ID Bonus question: when the script is inside Hudson, the "console output" will contain both the executed commands and their output. This is extremely useful for debugging when something goes wrong with a build! For example, here the line starting with "+" is part of the script and the following line its output: + ec2-associate-address -K pk.pem -C cert.pem 77.125.116.139 -i i-aa3487fd ADDRESS 77.125.116.139 i-aa3487fd When calling an external script, Hudson output will only contain the latter line, making debugging harder. I could cat the script file to stdout before running it, but that's not optimal either. In effect, I'd like a kind of DOS-style "echo on" for the script which I'm calling from Hudson - anyone know a trick to achieve this?

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  • replace a random word of a string with a random replacement

    - by tpickett
    I am developing a script that takes an article, searches the article for a "keyword" and then randomly replaces that keyword with an anchor link. I have the script working as it should, however I need to be able to have an array of "replacements" for the function to loop through and insert at the random location. So the first random position would get anchor link #1. The second random position would get anchor link #2. The third random position would get anchor link #3. etc... I found half of the answer to my question here: PHP replace a random word of a string public function replace_random ($str, $search, $replace, $n) { // Get all occurences of $search and their offsets within the string $count = preg_match_all('/\b'.preg_quote($search, '/').'\b/', $str, $matches, PREG_OFFSET_CAPTURE); // Get string length information so we can account for replacement strings that are of a different length to the search string $searchLen = strlen($search); $diff = strlen($replace) - $searchLen; $offset = 0; // Loop $n random matches and replace them, if $n < 1 || $n > $count, replace all matches $toReplace = ($n < 1 || $n > $count) ? array_keys($matches[0]) : (array) array_rand($matches[0], $n); foreach ($toReplace as $match) { $str = substr($str, 0, $matches[0][$match][1] + $offset).$replace.substr($str, $matches[0][$match][1] + $searchLen + $offset); $offset += $diff; } return $str; } So my question is, How can i alter this function to accept an array for the $replace variable?

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  • When to choose which machine learning classifier?

    - by LM
    Suppose I'm working on some classification problem. (Fraud detection and comment spam are two problems I'm working on right now, but I'm curious about any classification task in general.) How do I know which classifier I should use? (Decision tree, SVM, Bayesian, logistic regression, etc.) In which cases is one of them the "natural" first choice, and what are the principles for choosing that one? Examples of the type of answers I'm looking for (from Manning et al.'s "Introduction to Information Retrieval book": http://nlp.stanford.edu/IR-book/html/htmledition/choosing-what-kind-of-classifier-to-use-1.html): a. If your data is labeled, but you only have a limited amount, you should use a classifier with high bias (for example, Naive Bayes). [I'm guessing this is because a higher-bias classifier will have lower variance, which is good because of the small amount of data.] b. If you have a ton of data, then the classifier doesn't really matter so much, so you should probably just choose a classifier with good scalability. What are other guidelines? Even answers like "if you'll have to explain your model to some upper management person, then maybe you should use a decision tree, since the decision rules are fairly transparent" are good. I care less about implementation/library issues, though. Also, for a somewhat separate question, besides standard Bayesian classifiers, are there 'standard state-of-the-art' methods for comment spam detection (as opposed to email spam)? [Not sure if stackoverflow is the best place to ask this question, since it's more machine learning than actual programming -- if not, any suggestions for where else?]

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  • In Java it seems Public constructors are always a bad coding practice

    - by Adam Gent
    This maybe a controversial question and may not be suited for this forum (so I will not be insulted if you choose to close this question). It seems given the current capabilities of Java there is no reason to make constructors public ... ever. Friendly, private, protected are OK but public no. It seems that its almost always a better idea to provide a public static method for creating objects. Every Java Bean serialization technology (JAXB, Jackson, Spring etc...) can call a protected or private no-arg constructor. My questions are: I have never seen this practice decreed or written down anywhere? Maybe Bloch mentions it but I don't own is book. Is there a use case other than perhaps not being super DRY that I missed? EDIT: I explain why static methods are better. .1. For one you get better type inference. For example See Guava's http://code.google.com/p/guava-libraries/wiki/CollectionUtilitiesExplained .2. As a designer of the class you can later change what is returned with a static method. .3. Dealing with constructor inheritance is painful especially if you have to pre-calculate something.

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  • Entity Framework in layered architecture

    - by Kamyar
    I am using a layered architecture with the Entity Framework. Here's What I came up with till now (All the projects Except UI are class library): Entities: The POCO Entities. Completely persistence ignorant. No Reference to other projects. Generated by Microsoft's ADO.Net POCO Entity Generator. DAL: The EDMX (Entity Model) file with the context class. (t4 generated). References: Entities BLL: Business Logic Layer. Will implement repository pattern on this layer. References: Entities, DAL. This is where the objectcontext gets populated: var ctx=new DAL.MyDBEntities(); UI: The presentation layer: ASP.NET website. References: Entities, BLL + a connection string entry to entities in the config file (question #2). Now my three questions: Is my layer discintion approach correct? In my UI, I access BLL as follows: var customerRep = new BLL.CustomerRepository(); var Customer = customerRep.GetByID(myCustomerID); The problem is that I have to define the entities connection string in my UI's web.config/app.config otherwise I get a runtime exception. IS defining the entities connectionstring in UI spoils the layers' distinction? Or is it accesptible in a muli layered architecture. Should I take any additional steps to perform chage tracking, lazy loading, etc (by etc I mean the features that Entity Framework covers in a conventional, 1 project, non POCO code generation)? Thanks and apologies for the lengthy question.

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  • Opengl: fit a quad to screen, given the value of Z.

    - by hytparadisee
    Short Version of the question: I will put a quad. I know the width and height of the screen in window coordinates, i know the Z-coordinates of the quad in 3D. I know the FOVY, I know the aspect. The quad will be put along Z-axis, My camera doesn't move (placed at 0, 0, 0). I want to find out the width and height of the quad IN 3D COORDINATES that will fit exactly onto my screen. Long Version of the question: I would like to put a quad along the Z-axis at the specified offset Z, I would like to find out the width and height of the quad that will exactly fill the entire screen. I used to have a post on gamedev.net that uses a formula similar to the following: *dist = Z * tan ( FOV / 2 )* Now I can never find the post! Though it's similar, it is still different, because I remembered in that working formula, they do make use of screenWidth and screenHeight, which are the width and height of the screen in window coordinates. I am not really familiar with concepts like frustum, fov and aspect so that's why I can't work out the formula on my own. Besides, I am sure I don't need gluUnproject (I tried it, but the results are way off). It's not some gl calls, it's just a math formula that can find out the width and height in 3D space that can fill the entire screen, IF Z offset, width in window coordinates, and height in window coordinates, are known. Thanks all in advance.

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  • What do we log and why do we log it?

    - by Lucas
    This has been bugging me for quite some time. Reading various questions on SO, blogs and listening to colleagues, I keep hearing how important "logging" is. How various logging frameworks stack up against each other, and how there are so many to pick from it's (apparently) ridiculous. Now, I know what logging is. What I don't know is what is supposed to be logged and why. Sure, I can guess. Exceptions? Sounds like something one might want to log... but which exceptions? And is it only exceptions? And what do I do with the logged information? If it's an in-house app, then that could probably be put to good use, but if it's a commercial desktop application, how is the log of... whatever... helping anyone? I doubt regular users would be peeking inside. Is it then something you ask the users to provide on request? I'm deeply frustrated by my own ignorance in this. It's also surprising how little information there is about this. The info on the websites of the various logging frameworks is all written for an audience that already knows what it wants to log, and knows why it needs to do so. Same things goes for the various discussions on SO about logging, like for instance this highly voted up question on Logging best practices. For a question with so many votes, it's almost comical how there's next to nothing in there that would answer my what and why questions. So being finally fed up, I'm asking here: what do people log, and why do they log it?

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  • SQL - Multiple join conditions using OR?

    - by Brandi
    I have a query that is using multiple joins. The goal is to say "Out of table A, give me all the customer numbers in which you can match table A's EmailAddress with either email_to or email_from of table B. Ignore nulls, internal emails, etc.". It seems like it would be better to use an or condition in the join than multiple joins since it is the same table. When I try to use AND/OR it does not give the behaviour I expect... AND finishes in a reasonable time, but yields no results (I know that there are matches, so it must be some flaw in my logic) and OR never finishes (I have to kill it). Here is example code to illustrate the question: --my original query SELECT DISTINCT a.CustomerNo FROM A a WITH (NOLOCK) LEFT JOIN B e WITH (NOLOCK) ON a.EmailAddress = e.email_from RIGHT JOIN B f WITH (NOLOCK) ON a.EmailAddress = f.email_to WHERE a.EmailAddress NOT LIKE '%@mydomain.___' AND a.EmailAddress IS NOT NULL AND (e.email_from IS NOT NULL OR f.email_to IS NOT NULL) Here is what I tried, (I am attempting logical equivalence): SELECT DISTINCT a.CustomerNo FROM A a WITH (NOLOCK) LEFT JOIN B e WITH (NOLOCK) ON a.EmailAddress = e.email_from OR a.EmailAddress = e.email_to WHERE a.EmailAddress NOT LIKE '%@mydomain.___' AND a.EmailAddress IS NOT NULL AND (e.email_from IS NOT NULL OR e.email_to IS NOT NULL) So my question is two-fold: Why does having AND in the above query work in a few seconds and OR goes for minutes and never completes? What am I missing to make a logically equivalent statement that has only one join?

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