Search Results

Search found 13911 results on 557 pages for 'sharepoint group'.

Page 487/557 | < Previous Page | 483 484 485 486 487 488 489 490 491 492 493 494  | Next Page >

  • Producing CCITT compressed TIFF from CGImage

    - by Brian Postow
    I have a CGImage (core graphics, C/C++). It's grayscale. Well, originally it was B/W, but the CGImage may be RGB. That shouldn't matter. I want to create a CCITT-Group 4 TIFF. I can create an LZW TIFF (grayscale or color) via creating a destination with the correct dictionary and adding the image in. No problem. However, there doesn't seem to be an equivalent kCGImagePropertyTIFFCompression value to represent CCITT-4. It should be 4, but that produces uncompressed. I have a manual CCITT compression routine, so if I can get the binary (1 bit per pixel) data, I'm set. But I can't seem to get 1 BPP data out of a CGImage. I have code that is supposed to put the CGImage into a CGBitmapContext and then give me the data, but it seems to be giving me all black. I've asked a couple of questions today trying to get at this, but I just figured, lets ask the question I REALLY want answered and see if someone can answer it. There's GOT to be a way to do this. I've got to be missing something dumb. What is it?

    Read the article

  • Adobe AIR non-Administrator application installation/upgrade on Windows

    - by bzlm
    Is there any way to allow non-Administrator users to install, upgrade or uninstall an Adobe AIR application on Windows? I've made an Adobe AIR application and packaged it as a .air package using the standard AIR mechanism for creating deployment packages. If a normal or Power user tries to install this AIR application, the Application Event Log shows an error saying administrative rights are required. And even if the user elevates during installation, administrative rights are still required for an upgrade using the automated AIR upgrade system (since an upgrade is essentially, behind the scenes, an uninstallation of a .msi package followed by an installation of another .msi package). Is there any way around this? What I've tried so far is: Using the Group Policy editor, setting Windows Installer to elevate during installations. Doesn't work, since AIR attempts a "for all users" installation. Specifying My Documents as the installation directory. Doesn't work, since AIR attempts a "for all users" installation. Giving the user Modify access to the Program Files folder where the application would usually reside. Doesn't work, since this isn't a file permissions issue. Making the user a Power User. Doesn't work, since AIR attempts a "for all users" installation. I'm guessing that both installing and upgrading would work fine for a user if the AIR installer would attempt to make an "only for me" application installation instead of a "for all users" installation, and the user was a Power User, and possibly the application was installed to My Documents I'm also guessing that this problem doesn't exist on OSX and Linux, since they have more intuitive concepts for per-user application installations.

    Read the article

  • How to implement Master-Detail with Multi-Selection in WPF?

    - by gehho
    Hi, I plan to create a typical Master-Detail scenario, i.e. a collection of items displayed in a ListView via DataBinding to an ICollectionView, and details about the selected item in a separate group of controls (TextBoxes, NumUpDowns...). No problem so far, actually I have already implemented a pretty similar scenario in an older project. However, it should be possible to select multiple items in the ListView and get the appropriate shared values displayed in the detail view. This means, if all selected items have the same value for a property, this value should be displayed in the detail view. If they do not share the same value, the corresponding control should provide some visual clue for the user indicating this, and no value should be displayed (or an "undefined" state in a CheckBox for example). Now, if the user edits the value, this change should be applied to all selected items. Further requirements are: MVVM compatibility (i.e. not too much code-behind) Extendability (new properties/types can be added later on) Does anyone have experience with such a scenario? Actually, I think this should be a very common scenario. However, I could not find any details on that topic anywhere. Thanks! gehho. PS: In the older project mentioned above, I had a solution using a subclass of the ViewModel which handles the special case of multi-selection. It checked all selected items for equality and returned the appropriate values. However, this approach had some drawbacks and somehow seemed like a hack because (besides other smelly things) it was necessary to break the synchronization between the ListView and the detail view and handle it manually.

    Read the article

  • SQL Where Clause Against View

    - by Adam Carr
    I have a view (actually, it's a table valued function, but the observed behavior is the same in both) that inner joins and left outer joins several other tables. When I query this view with a where clause similar to SELECT * FROM [v_MyView] WHERE [Name] like '%Doe, John%' ... the query is very slow, but if I do the following... SELECT * FROM [v_MyView] WHERE [ID] in ( SELECT [ID] FROM [v_MyView] WHERE [Name] like '%Doe, John%' ) it is MUCH faster. The first query is taking at least 2 minutes to return, if not longer where the second query will return in less than 5 seconds. Any suggestions on how I can improve this? If I run the whole command as one SQL statement (without the use of a view) it is very fast as well. I believe this result is because of how a view should behave as a table in that if a view has OUTER JOINS, GROUP BYS or TOP ##, if the where clause was interpreted prior to vs after the execution of the view, the results could differ. My question is why wouldn't SQL optimize my first query to something as efficient as my second query?

    Read the article

  • mysql: Average over multiple columns in one row, ignoring nulls

    - by Sai Emrys
    I have a large table (of sites) with several numeric columns - say a through f. (These are site rankings from different organizations, like alexa, google, quantcast, etc. Each has a different range and format; they're straight dumps from the outside DBs.) For many of the records, one or more of these columns is null, because the outside DB doesn't have data for it. They all cover different subsets of my DB. I want column t to be their weighted average (each of a..f have static weights which I assign), ignoring null values (which can occur in any of them), except being null if they're all null. I would prefer to do this with a simple SQL calculation, rather than doing it in app code or using some huge ugly nested if block to handle every permutation of nulls. (Given that I have an increasing number of columns to average over as I add in more outside DB sources, this would be exponentially more ugly and bug-prone.) I'd use AVG but that's only for group by, and this is w/in one record. The data is semantically nullable, and I don't want to average in some "average" value in place of the nulls; I want to only be counting the columns for which data is there. Is there a good way to do this? Ideally, what I want is something like UPDATE sites SET t = AVG(a*a_weight,b*b_weight,...) where any null values are just ignored and no grouping is happening.

    Read the article

  • Error while splitting application context file in spring

    - by Krupal
    I am trying to split the ApplicationContext file in Spring. For ex. the file is testproject-servlet.xml having all the entries. Now I want to split this single file into multiple files according to logical groups like : group1-services.xml, group2-services.xml I have created following entries in web.xml : <servlet> <servlet-name>testproject</servlet-name> <servlet-class> org.springframework.web.servlet.DispatcherServlet </servlet-class> <init-param> <param-name>contextConfigLocation</param-name> <param-value> /WEB-INF/group1-services.xml, /WEB-INF/group2-services.xml </param-value> </init-param> <load-on-startup>1</load-on-startup> </servlet> I am using SimpleUrlHandlerMapping as: RegisterController PayrollServicesController I also have the controller defined as : .. .. The problem is that I have splitted the ApplicationContext file "testproject-servlet.xml" into two different files and I have kept the above entries in "group1-services.xml". Is it fine? I want to group things logically based on their use in seperate .xml files. But I am getting the following error when I try to access a page inside the application : org.springframework.web.servlet.DispatcherServlet noHandlerFound WARNING: No mapping for [/TestProject/payroll_services.htm] in DispatcherServlet with name 'testproject' Please tell me how to resolve it. Thanks in Advance !

    Read the article

  • mocking collection behavior with Moq

    - by Stephen Patten
    Hello, I've read through some of the discussions on the Moq user group and have failed to find an example and have been so far unable to find the scenario that I have. Here is my question and code: // 6 periods var schedule = new List<PaymentPlanPeriod>() { new PaymentPlanPeriod(1000m, args.MinDate.ToString()), new PaymentPlanPeriod(1000m, args.MinDate.Value.AddMonths(1).ToString()), new PaymentPlanPeriod(1000m, args.MinDate.Value.AddMonths(2).ToString()), new PaymentPlanPeriod(1000m, args.MinDate.Value.AddMonths(3).ToString()), new PaymentPlanPeriod(1000m, args.MinDate.Value.AddMonths(4).ToString()), new PaymentPlanPeriod(1000m, args.MinDate.Value.AddMonths(5).ToString()) }; // Now the proxy is correct with the schedule helper.Setup(h => h.GetPlanPeriods(It.IsAny<String>(), schedule)); Then in my tests I use Periods but the Mocked _PaymentPlanHelper never populates the collection, see below for usage: public IEnumerable<PaymentPlanPeriod> Periods { get { if (CanCalculateExpression()) _PaymentPlanHelper.GetPlanPeriods(this.ToString(), _PaymentSchedule); return _PaymentSchedule; } } Now if I change the mocked object to use another overloaded method of GetPlanPeriods that returns a List like so : var schedule = new List<PaymentPlanPeriod>() { new PaymentPlanPeriod(1000m, args.MinDate.ToString()), new PaymentPlanPeriod(1000m, args.MinDate.Value.AddMonths(1).ToString()), new PaymentPlanPeriod(1000m, args.MinDate.Value.AddMonths(2).ToString()), new PaymentPlanPeriod(1000m, args.MinDate.Value.AddMonths(3).ToString()), new PaymentPlanPeriod(1000m, args.MinDate.Value.AddMonths(4).ToString()), new PaymentPlanPeriod(1000m, args.MinDate.Value.AddMonths(5).ToString()) }; helper.Setup(h => h.GetPlanPeriods(It.IsAny<String>())).Returns(new List<PaymentPlanPeriod>(schedule)); List<PaymentPlanPeriod> result = new _PaymentPlanHelper.GetPlanPeriods(this.ToString()); This works as expected. Any pointers would be awesome, as long as you don't bash my architecture... :) Thank you, Stephen

    Read the article

  • What is happening in this T-SQL code?

    - by Ben McCormack
    I'm just starting to learn T-SQL and could use some help in understanding what's going on in a particular block of code. I modified some code in an answer I received in a previous question, and here is the code in question: DECLARE @column_list AS varchar(max) SELECT @column_list = COALESCE(@column_list, ',') + 'SUM(Case When Sku2=' + CONVERT(varchar, Sku2) + ' Then Quantity Else 0 End) As [' + CONVERT(varchar, Sku2) + ' - ' + Convert(varchar,Description) +'],' FROM OrderDetailDeliveryReview Inner Join InvMast on SKU2 = SKU and LocationTypeID=4 GROUP BY Sku2 , Description ORDER BY Sku2 Set @column_list = Left(@column_list,Len(@column_list)-1) Select @column_list ---------------------------------------- 1 row is returned: ,SUM(Case When Sku2=157 Then Quantity Else 0 End) As [157 -..., SUM(Case ... The T-SQL code does exactly what I want, which is to make a single result based on the results of a query, which will then be used in another query. However, I can't figure out how the SELECT @column_list =... statement is putting multiple values into a single string of characters by being inside a SELECT statement. Without the assignment to @column_list, the SELECT statement would simply return multiple rows. How is it that by having the variable within the SELECT statement that the results get "flattened" down into one value? How should I read this T-SQL to properly understand what's going on?

    Read the article

  • GAE - Getting TypeError requiring class instance be passed to class's own method...

    - by Spencer Leland
    I'm really new to programming... I set up a class to give supporting information for Google's User API user object. I store this info in the datastore using db.model. When I call the okstatus method of my user_info class using this code: elif user_info.okstatus(user): self.response.out.write("user allowed") I get this error: unbound method okstatus() must be called with user_info instance as first argument (got User instance instead) Here is my user_info class. class user_info: def auth_ctrlr(self, user): if self.status(user) == status_allowed: return ("<a href=\"%s\">Sign Out</a>)" % (users.create_login_url("/"))) else: return ("<a href=\"%s\">Sign In or Get an Account</a>)" % (users.create_logout_url("/"))) def status(self, user): match = sub_user.gql(qu_by_user_id, user.user_id) return match.string_status def group(self, user): match = sub_user.gql(qu_by_user_id, user.user_id) grp = group_names.gql(qu_by_user_id, match.groupID) return grp def okstatus(self, user): match = self.status(user) if match == status_allowed: return True My understanding is that the argument "self" inside the method's calling arguments describes it as a child to the class. I've tried everything I can think of and can't find any related info online. Can someone please tell me what I'm doing wrong? Thanks

    Read the article

  • Android java.lang.VerifyError for private method with annotated argument.

    - by alex2k8
    I have a very simple project that compiles, but can't be started on Emulator. The problem is with this method: private void bar(@Some String a) {} // java.lang.VerifyError The issue can be avoided if annotation removed private void bar(String a) {} // OK or the method visibility changed: void bar(@Some String a) {} // OK public void bar(@Some String a) {} // OK protected void bar(@Some String a) {} // OK Any idea what is wrong with original method? Is this a dalvik bug, or? If some one whould like to experiment with code, here it is: Test.java: public class Test { private void bar(@Some String a) {} public void foo() { bar(null); } } Some.java: public @interface Some {} MainActivity.java: public class MainActivity extends Activity { @Override public void onCreate(Bundle savedInstanceState) { super.onCreate(savedInstanceState); setContentView(R.layout.main); new Test().foo(); } } Stack trace: ERROR/dalvikvm(1358): Could not find method com.my.Test.bar, referenced from method com.my.Test.foo WARN/dalvikvm(1358): VFY: unable to resolve direct method 11: Lcom/my/Test;.bar (Ljava/lang/String;)V WARN/dalvikvm(1358): VFY: rejecting opcode 0x70 at 0x0001 WARN/dalvikvm(1358): VFY: rejected Lcom/my/Test;.foo ()V WARN/dalvikvm(1358): Verifier rejected class Lcom/my/Test; DEBUG/AndroidRuntime(1358): Shutting down VM WARN/dalvikvm(1358): threadid=3: thread exiting with uncaught exception (group=0x4000fe70) ERROR/AndroidRuntime(1358): Uncaught handler: thread main exiting due to uncaught exception ERROR/AndroidRuntime(1358): java.lang.VerifyError: com.my.Test ERROR/AndroidRuntime(1358): at com.my.MainActivity.onCreate(MainActivity.java:13) ERROR/AndroidRuntime(1358): at android.app.Instrumentation.callActivityOnCreate(Instrumentation.java:1123) ERROR/AndroidRuntime(1358): at android.app.ActivityThread.performLaunchActivity(ActivityThread.java:2231) ERROR/AndroidRuntime(1358): at android.app.ActivityThread.handleLaunchActivity(ActivityThread.java:2284) ERROR/AndroidRuntime(1358): at android.app.ActivityThread.access$1800(ActivityThread.java:112) ERROR/AndroidRuntime(1358): at android.app.ActivityThread$H.handleMessage(ActivityThread.java:1692) ERROR/AndroidRuntime(1358): at android.os.Handler.dispatchMessage(Handler.java:99) ERROR/AndroidRuntime(1358): at android.os.Looper.loop(Looper.java:123) ERROR/AndroidRuntime(1358): at android.app.ActivityThread.main(ActivityThread.java:3948) ERROR/AndroidRuntime(1358): at java.lang.reflect.Method.invokeNative(Native Method) ERROR/AndroidRuntime(1358): at java.lang.reflect.Method.invoke(Method.java:521) ERROR/AndroidRuntime(1358): at com.android.internal.os.ZygoteInit$MethodAndArgsCaller.run(ZygoteInit.java:782) ERROR/AndroidRuntime(1358): at com.android.internal.os.ZygoteInit.main(ZygoteInit.java:540) ERROR/AndroidRuntime(1358): at dalvik.system.NativeStart.main(Native Method)

    Read the article

  • ASP.NET MVC 2: How to write this Linq SQL as a Dynamic Query (using strings)?

    - by Dr. Zim
    Skip to the "specific question" as needed. Some background: The scenario: I have a set of products with a "drill down" filter (Query Object) populated with DDLs. Each progressive DDL selection will further limit the product list as well as what options are left for the DDLs. For example, selecting a hammer out of tools limits the Product Sizes to only show hammer sizes. Current setup: I created a query object, sent it to a repository, and fed each option to a SQL "table valued function" where null values represent "get all products". I consider this a good effort, but far from DDD acceptable. I want to avoid any "programming" in SQL, hopefully doing everything with a repository. Comments on this topic would be appreciated. Specific question: How would I rewrite this query as a Dynamic Query? A link to something like 101 Linq Examples would be fantastic, but with a Dynamic Query scope. I really want to pass to this method the field in quotes "" for which I want a list of options and how many products have that option. (from p in db.Products group p by p.ProductSize into g select new Category { PropertyType = g.Key, Count = g.Count() }).Distinct(); Each DDL option will have "The selection (21)" where the (21) is the quantity of products that have that attribute. Upon selecting an option, all other remaining DDLs will update with the remaining options and counts.

    Read the article

  • Pressing back button in ActivityGroup causes it to pause, and then continue shutting down the next t

    - by synic
    Pressing the back button causes onPause to be called, and the app stays paused until it is re-launched by clicking on the icon, at which point, onDestroy gets called, and the main activity continues to shut down. Simple class to demonstrate. Note, as far as I can tell, this only happens on the Nexus One. I can't reproduce it in the emulator or on my Droid. package com.vimtips.testshutdown; import android.app.ActivityGroup; import android.os.Bundle; import android.util.Log; import android.view.KeyEvent; public class MainActivity extends ActivityGroup { private static final String TAG = "MainActivity"; private int counter = 3; @Override public void onCreate(Bundle savedInstanceState) { super.onCreate(savedInstanceState); setContentView(R.layout.main); } public boolean onKeyDown(int keyCode, KeyEvent event) { if(keyCode == KeyEvent.KEYCODE_BACK) { if(counter-- > 0) return true; } return super.onKeyDown(keyCode, event); } @Override public void onPause() { super.onPause(); Log.d(TAG, "onPause called"); } @Override public void onDestroy() { super.onDestroy(); if(isFinishing()) { Log.d(TAG, "Shutting down"); } } } And here's the log: I/ActivityManager( 132): Starting activity: Intent { act=android.intent.action.MAIN cat=[android.intent.category.LAUNCHER] flg=0x10100000 cmp=com.vimtips.testshutdown/.MainActivity } I/ActivityManager( 132): Displayed activity com.vimtips.testshutdown/.MainActivity: 305 ms (total 305 ms) D/MainActivity( 1393): onPause called I/ActivityManager( 132): Displayed activity com.vimtips.testshutdown/.MainActivity: 302 ms (total 302 ms) D/MainActivity( 1393): Shutting down This doesn't appear to happen on a normal Activity, just an Activity group, though looking at Android's sourcecode, I can't figure out why. It's causing some serious problems with my app. Anyone know why this would happen?

    Read the article

  • checkbox like radiobutton wpf c#

    - by rockenpeace
    i have investigated this problem but this is solved in design view and code-behind. but my problem is little difference: i try to do this as only code-behind because my checkboxes are dynamically created according to database data.In other words, number of my checkboxes is not stable. i want to check only one checkbox in group of checkboxes. when i clicked one checkbox,i want that ischecked property of other checkboxes become false.this is same property in radiobuttons. i take my checkboxes from a stackpanel in xaml side: <StackPanel Margin="4" Orientation="Vertical" Grid.Row="1" Grid.Column="1" Name="companiesContainer"> </StackPanel> my xaml.cs: using (var c = new RSPDbContext()) { var q = (from v in c.Companies select v).ToList(); foreach (var na in q) { CheckBox ch = new CheckBox(); ch.Content = na.Name; ch.Tag = na; companiesContainer.Children.Add(ch); } } foreach (object i in companiesContainer.Children) { CheckBox chk = (CheckBox)i; chk.SetBinding(ToggleButton.IsCheckedProperty, "DataItem.IsChecked"); } how can i provide this property in checkboxes in xaml.cs ? thanks in advance..

    Read the article

  • Using SVN with a MySQL database ran by xamp - yes or no? (and how?)

    - by Extrakun
    For my current PHP/MySQL project (over a group of 4 to 5 team members), we are using this setup: each developer codes and test on his localhost running xamp, and upload to a test server via SVN. One question that I have now is how to synchronize the MySQL database? I may have added a new table to project and the PHP code references to it, so my other team members would need to access that table for my code (once they got it through SVN) to work. We are not always working in the same office all the time, so having a LAN and a MySQL server in the office is not feasible. So I am toying with 2 solutions Setup a test DB online, and have all the coders will reference to that, even when coding from localhost. Downside: you can't test if you happen not have internet access. Somehow sync the localhost copy of MySQL DB. Is that kind of silly? And if I do consider this, how do I do it? (which folder do I add to SVN?) (I guess a related question is how to automatically update the live MySQL DB from the testing DB, regardless if it is on a remote server or hosted locally via xamp. Any advice regarding that would be welcomed!)

    Read the article

  • Open space sitting optimization algorithm

    - by Georgy Bolyuba
    As a result of changes in the company, we have to rearrange our sitting plan: one room with 10 desks in it. Some desks are more popular than others for number of reasons. One solution would be to draw a desk number from a hat. We think there is a better way to do it. We have 10 desks and 10 people. Lets give every person in this contest 50 hypothetical tokens to bid on the desks. There is no limit of how much you bid on one desk, you can put all 50, which would be saying "I want to sit only here, period". You can also say "I do not care" by giving every desk 5 tokens. Important note: nobody knows what other people are doing. Everyone has to decide based only on his/her best interest (sounds familiar?) Now lets say we obtained these hypothetical results: # | Desk# >| 1 | 2 | 3 | 4 | 5 | 6 | 7 | 8 | 9 | 10 | 1 | Alise | 30 | 2 | 2 | 1 | 0 | 0 | 0 | 15 | 0 | 0 | = 50 2 | Bob | 20 | 15 | 0 | 10 | 1 | 1 | 1 | 1 | 1 | 0 | = 50 ... 10 | Zed | 5 | 5 | 5 | 5 | 5 | 5 | 5 | 5 | 5 | 5 | = 50 Now, what we need to find is that one (or more) configuration(s) that gives us maximum satisfaction (i.e. people get desks they wanted taking into account all the bids and maximizing on the total of the group. Naturally the assumption is the more one bade on the desk the more he/she wants it). Since there are only 10 people, I think we can brute force it looking into all possible configurations, but I was wondering it there is a better algorithm for solving this kind of problems?

    Read the article

  • Beginner SQL question: querying gold and silver tag badges in Stack Exchange Data Explorer

    - by polygenelubricants
    I'm using the Stack Exchange Data Explorer to learn SQL, but I think the fundamentals of the question is applicable to other databases. I'm trying to query the Badges table, which according to Stexdex (that's what I'm going to call it from now on) has the following schema: Badges Id UserId Name Date This works well for badges like [Epic] and [Legendary] which have unique names, but the silver and gold tag-specific badges seems to be mixed in together by having the same exact name. Here's an example query I wrote for [mysql] tag: SELECT UserId as [User Link], Date FROM Badges Where Name = 'mysql' Order By Date ASC The (slightly annotated) output is: as seen on stexdex: User Link Date --------------- ------------------- // all for silver except where noted Bill Karwin 2009-02-20 11:00:25 Quassnoi 2009-06-01 10:00:16 Greg 2009-10-22 10:00:25 Quassnoi 2009-10-31 10:00:24 // for gold Bill Karwin 2009-11-23 11:00:30 // for gold cletus 2010-01-01 11:00:23 OMG Ponies 2010-01-03 11:00:48 Pascal MARTIN 2010-02-17 11:00:29 Mark Byers 2010-04-07 10:00:35 Daniel Vassallo 2010-05-14 10:00:38 This is consistent with the current list of silver and gold earners at the moment of this writing, but to speak in more timeless terms, as of the end of May 2010 only 2 users have earned the gold [mysql] tag: Quassnoi and Bill Karwin, as evidenced in the above result by their names being the only ones that appear twice. So this is the way I understand it: The first time an Id appears (in chronological order) is for the silver badge The second time is for the gold Now, the above result mixes the silver and gold entries together. My questions are: Is this a typical design, or are there much friendlier schema/normalization/whatever you call it? In the current design, how would you query the silver and gold badges separately? GROUP BY Id and picking the min/max or first/second by the Date somehow? How can you write a query that lists all the silver badges first then all the gold badges next? Imagine also that the "real" query may be more complicated, i.e. not just listing by date. How would you write it so that it doesn't have too many repetition between the silver and gold subqueries? Is it perhaps more typical to do two totally separate queries instead? What is this idiom called? A row "partitioning" query to put them into "buckets" or something?

    Read the article

  • cakephp secure link using html helper link method..

    - by Aaron
    What's the best way in cakephp to extend the html-link function so that I can tell it to output a secure(https) link? Right now, I've added my own secure_link function to app_helpers that's basically a copy of the link function but adding a https to the beginning. But it seems like there should be a better way of overriding the html-link method so that I can specify a secure option. http://groups.google.com/group/cake-php/browse%5Fthread/thread/e801b31cd3db809a I also started a thread on the google groups and someone suggested doing something like $html->link('my account', array('base' => 'https://', 'controller' => 'users')); but I couldn't get that working. Just to add, this is what is outputted when I have the above code. <a href="/users/index/base:https:/">my account</a> I think there's a bug in the cake/libs/router.php on line 850. There's a keyword 'bare' and I think it should be 'base' Though changing it to base doesn't seem to fix it. From what I gather, it's telling it to exclude those keys that are passed in so that they don't get included as parameters. But I'm puzzled as to why it's a 'bare' keyword and the only reason I can come up with is that it's a type.

    Read the article

  • Calculating bounding grid coordinates to a user click on google maps/google earth

    - by user170304
    Hello, I have a requirement to calculate the centroid or geodesic midpoint of when a user clicks in between the lat/long grid crossing. The crossing forms a square in most parts of GE and sometimes elongated rectangles. This is due to the shape of the earth of course. I'm looking for a valid mathematical formula that would allow a user to click anywhere in between this grid and then an accurate function (in Javascript or server side code) that would take an assumed grid resolution (say 1km intervals for this discussion) and the input coordinates that should return a centroid coordinate within that graticule grid. To clarify please take a look at the attached image to my google group post: http://google-earth-api.googlegroups.com/web/Picture+5.png?gda=h5oFPz8AAAD315KpovipQeBwdfGpmW3ZhBc9PTADwYa-n193hZ6AItFmHuno63c7phcEXYVuRA6ccyFKn-rNKC-d1pM%5FIdV0&gsc=sz6bbAsAAABBKF7YXWYyc4GmXg-QruHj What I need to be able to do is if a user clicks anywhere in this grid square, I need to find the centroid or center point of that grid intersection/square or at least the bounding grid coordinates (that make the square). If we assume that the grid is UTM standard and has a max resolution of 1km (or make this a parameter), I need to detect the four other points nearby and then calculating the centroid is not as difficult. I welcome any feedback you all may have and appreciate it. I don't have a simple way of letting a user click anywhere on the grid and finding the grid bounding coordinates (making a square of 4 coordinates) or the centroid / midpoint of the graticule grid square necessary. One thought is to use assumptions as much as possible using a reference such as UTM coordinate reference. If I assume that the grid is X degrees wide, can we have a pure javascript function take any input coordinate and return for me the bounding graticule coordinates in Decimal Degrees? Another thought I had was to create the grid in a geo-spatial layer to take any input coordinate and return the nearest centroid of the graticule? Does this make sense? Thanks! Omar

    Read the article

  • Merging: hg/git vs. svn

    - by stmax
    I often read that hg (and git and...) are better at merging than svn but I have never seen practical examples of where hg/git can merge something where svn fails (or where svn needs manual intervention). Could you post a few step-by-step lists of branch/modify/commit/...-operations that show where svn would fail while hg/git happily moves on? Practical, not highly exceptional cases please... Some background: we have a few dozen developers working on projects using svn, with each project (or group of similar projects) in its own repo. We know how to apply release- and feature-branches so we don't run into problems very often (i.e. we've been there, but we've learned to overcome joel's problems of "one programmer causing trauma to the whole team" or "needing six developers for two weeks to reintegrate a branch"). We have release-branches that are very stable and only used to apply bugfixes. We have trunks that should be stable enough to be able to create a release within one week. And we have feature-branches that single developers or groups of developers can work on. Yes, they are deleted after reintegration so they don't clutter up the repository. ;) So I'm still trying to find the advantages of hg/git over svn. I'd love to get some hands-on experience, but there aren't any bigger projects we could move to hg/git yet, so I'm stuck with playing with small artifical projects that only contain a few made up files. And I'm looking for a few cases where you can feel the impressive power of hg/git, since so far I have often read about them but failed to find them myself.

    Read the article

  • Usage of static analysis tools - with Clear Case/Quest

    - by boyd4715
    We are in the process of defining our software development process and wanted to get some feed back from the group about this topic. Our team is spread out - US, Canada and India - and I would like to put into place some simple standard rules that all teams will apply to their code. We make use of Clear Case/Quest and RAD I have been looking at PMD, CPP, checkstyle and FindBugs as a start. My thought is to just put these into ANT and have the developers run these manually. I realize doing this you have to have some trust in that each developer will do this. The other thought is to add in some builders in to the IDE which would run a subset of the rules (keep the build process light) and then add another set (heavy) when they check in the code. Some other ideals is to make use of something like Cruse Control and have it set up to run these static analysis tools along with the unit test when ever Clear Case/Quest is idle. Wondering if others have done this and if it was successfully or can provide lessons learned.

    Read the article

  • Jquery: Create hidden attributes? I need to reduce tag bulkyness.

    - by Dan
    I'm sure we've all done this before: <a id="232" rel="link_to_user" name="user_details" class="list hoverable clickable selectable"> USER #232 </a> But then we say, oh my, I need more ways to store tracking info about this div! <a id="232-343-22" rel="link_to_user:fotomeshed" name="user_details" class="groupcolor-45 elements-698 list hoverable clickable selectable"> User: John Doe </a> And the sickness keeps growing. We just keep on packing it inside that poor little element and it's attributes. All so we can keep track of who it is. So with my limited knowledge of JS, someone please tell me how to do something like this: <a id="33">USER #33</a> $(#33).attr({title:'User Record','username':'john', 'group_color':'green', 'element_num':78}); So here we just added what I would call invisible attributes, because we just played God and made those attributes up on the fly like it was no problem. The cool part is that these would be kept in their own little object somewhere in variable land. NOT in the tag itself. Then later on, in a code nested far far away, be able to say, oh, i wonder what group_color John is... user_group_color = $(table).find(a['username':'john']).attr('group_color'); THEN BAM!!!! POW!!!! alert(user_group_color + " is a bitchin color!"); You get to know his group color... all without adding a bunch of bloated element tracking nonsense into our tags. So does this sort of thing exist? If not, how do I make it?

    Read the article

  • What does "active directory integration" mean in your .NET app?

    - by flipdoubt
    Our marketing department comes back with "active directory integration" being a key customer request, but our company does not seem to have the attention span to (1) decide on what functional changes we want to make toward this end, (2) interview a broad range of customer to identify the most requested functional changes, and (3) still have this be the "hot potato" issue next week. To help me get beyond the broad topic of "active directory integration," what does it mean in your .NET app, both ASP.NET and WinForms? Here are some sample changes I have to consider: When creating and managing users in your app, are administrators presented with a list of all AD users or just a group of AD users? When creating new security groups within your app (we call them Departments, like "Human Resources"), should this create new AD groups? Do administrators assign users to security groups within your app or outside via AD? Does it matter? Is the user signed on to your app by virtue of being signed on to Windows? If not, do you track users with your own user table and some kind of foreign key into AD? What foreign key do you use to link app users to AD users? Do you have to prove your login process protects user passwords? What foreign key do you use to link app security groups to AD security groups? If you have a WinForms component to your app (we have both ASP.NET and WinForms), do you use the Membership Provider in your WinForms app? Currently, our Membership and Role management predates the framework's version, so we do not use the Membership Provider. Am I missing any other areas of functional changes? Followup question Do apps that support "active directory integration" have the ability to authenticate users against more than one domain? Not that one user would authenticate to more than one domain but that different users of the same system would authenticate against different domains.

    Read the article

  • Customising Flex Datagrid or alternative solutions

    - by Martin
    I'm currently building an application that is presenting tabular (fetched from a webservice) data and have squirted it into a datagrid - seemed the most obvious way to present it on screen. I've now come across a few limitations in the datagrid and wonder how I might move forward. As a relative newcomer to flex development I'm a little lost. A few things I am wanting to do. The data is logically split into groups and I would like to be able to have subheadings in the grid whenever I move to a new group. I would like to be able to highligh individual cells based on their content relative to other values in the row - ie highlight the cell with the highest value in the row. Is this possible with the standard datagrid? I'm actually using the try-before-you-buy version of flex builder at the moment but I have ordered Flex Builder 3 Pro - which is on its way to me. I understand there is an 'advanced datagrid' control in this version - perhaps that will support some of what I wish to do? Alternatively - is there another way of building custom tabular data?

    Read the article

  • Does query plan optimizer works well with joined/filtered table-valued functions?

    - by smoothdeveloper
    In SQLSERVER 2005, I'm using table-valued function as a convenient way to perform arbitrary aggregation on subset data from large table (passing date range or such parameters). I'm using theses inside larger queries as joined computations and I'm wondering if the query plan optimizer work well with them in every condition or if I'm better to unnest such computation in my larger queries. Does query plan optimizer unnest table-valued functions if it make sense? If it doesn't, what do you recommend to avoid code duplication that would occur by manually unnesting them? If it does, how do you identify that from the execution plan? code sample: create table dbo.customers ( [key] uniqueidentifier , constraint pk_dbo_customers primary key ([key]) ) go /* assume large amount of data */ create table dbo.point_of_sales ( [key] uniqueidentifier , customer_key uniqueidentifier , constraint pk_dbo_point_of_sales primary key ([key]) ) go create table dbo.product_ranges ( [key] uniqueidentifier , constraint pk_dbo_product_ranges primary key ([key]) ) go create table dbo.products ( [key] uniqueidentifier , product_range_key uniqueidentifier , release_date datetime , constraint pk_dbo_products primary key ([key]) , constraint fk_dbo_products_product_range_key foreign key (product_range_key) references dbo.product_ranges ([key]) ) go . /* assume large amount of data */ create table dbo.sales_history ( [key] uniqueidentifier , product_key uniqueidentifier , point_of_sale_key uniqueidentifier , accounting_date datetime , amount money , quantity int , constraint pk_dbo_sales_history primary key ([key]) , constraint fk_dbo_sales_history_product_key foreign key (product_key) references dbo.products ([key]) , constraint fk_dbo_sales_history_point_of_sale_key foreign key (point_of_sale_key) references dbo.point_of_sales ([key]) ) go create function dbo.f_sales_history_..snip.._date_range ( @accountingdatelowerbound datetime, @accountingdateupperbound datetime ) returns table as return ( select pos.customer_key , sh.product_key , sum(sh.amount) amount , sum(sh.quantity) quantity from dbo.point_of_sales pos inner join dbo.sales_history sh on sh.point_of_sale_key = pos.[key] where sh.accounting_date between @accountingdatelowerbound and @accountingdateupperbound group by pos.customer_key , sh.product_key ) go -- TODO: insert some data -- this is a table containing a selection of product ranges declare @selectedproductranges table([key] uniqueidentifier) -- this is a table containing a selection of customers declare @selectedcustomers table([key] uniqueidentifier) declare @low datetime , @up datetime -- TODO: set top query parameters . select saleshistory.customer_key , saleshistory.product_key , saleshistory.amount , saleshistory.quantity from dbo.products p inner join @selectedproductranges productrangeselection on p.product_range_key = productrangeselection.[key] inner join @selectedcustomers customerselection on 1 = 1 inner join dbo.f_sales_history_..snip.._date_range(@low, @up) saleshistory on saleshistory.product_key = p.[key] and saleshistory.customer_key = customerselection.[key] I hope the sample makes sense. Much thanks for your help!

    Read the article

  • XSLT Global count of grouped items

    - by Chris
    Hi there, I have a set of items which i am grouping using the muenchian method using keys. This is working great however when i try to do things with the first x number of items it is doing it on the x number of items in each group rather than across the whole set of results. How would i get the individual position of each item accross the whole collection? <xsl:key name="pictures-by-productid" match="/dsQueryResponse/Rows/Row" use="@ProductId" /> <xsl:template match="/"> <div style="border:1px solid red; float:left;"> <xsl:apply-templates select="/" mode="sub"> </xsl:apply-templates> </div> </xsl:template> and the second template <xsl:template match="/" mode="sub"> <xsl:for-each select="/dsQueryResponse/Rows/Row[count(. | key('pictures-by-productid', @ProductId)[1]) = 1]"> <xsl:for-each select="key('pictures-by-productid', @ProductId)"> <xsl:sort select="@PictureType" /> <div style="float:left; margin:2px;"> <img src="{@ThumbNailUrl}" width="58" /> <br /> Download <xsl:number value="position()" format="1. " /> <xsl:value-of select="." /> </div> </xsl:for-each> </xsl:for-each> </xsl:template> Thanks Chris

    Read the article

< Previous Page | 483 484 485 486 487 488 489 490 491 492 493 494  | Next Page >