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  • How do I put my return data from an asmx into JSON?

    - by jphenow
    I want to return an array of javascript objects from my asp.net asmx file. ie. variable = [ { *value1*: 'value1', *value2*: 'value2', ..., }, { . . } ]; I seem have been having trouble reaching this. I'd put this into code but I've been hacking away at it so much it'd probably do more harm than good in having this answered. Basically I am using a web service to find names as people type the name. I'd use a regular text file or something but its a huge database that's always changing - and don't worry I've indexed the names so searching can be a little snappier - but I would really prefer to stick with this method and just figure out how to get usable JSON back to javascript. I've seen a few that sort of attempt to describe how one would approach this but I honestly think microsofts articles are damn near unreadable. Thanks in advance for assistance. EDIT: I'm using the $.ajax() function from jQuery - I've had it working but it seems like I was doing it in bad practice not returning and using actual JSON. Previously I'd take a string back and insert it into html to use the variable it set - very roundabout.

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  • How to convert a rectangle to TRBL CSS rect value?

    - by VLostBoy
    I'm not quite sure how to put this, but here goes... The css clip attribute is defined like so: rect(top, right, bottom, left). However, I'm exploring the use of a custom Rectangle 'class' to encapsulate some operations. The rectangle class has the attributes height, width and x, y. The x and y values are encapsulated in a Point object, and the height and width are encapsulated in a Dimension object, the rectangle being a composite of a point (its top-left location) and a dimension (width and height). So far so good. I though it would be pretty simple on the basis of having the rectangles x, y, width and height values to define the css rect attribute in terms of top, right, bottom, left, but I've become hopelessly confused- I've been googling for a while, and I can't seem to find any documentation as to what the TRBL values actually are or what they represent. For example, should I be thinking in terms of co-ordinates, in which case, surely I can describe the rectangle as a css rect using the rectangles x position for Top, x position + width for Right, the rectangles height + y for Bottom and its y position for Left... but thats a load of BS, surely? Also, surely rect is actually an inset, or have I just inverted my understanding of clip? I'd appreciate some advice. What I want to be able to do is (i) Define a rectangle using x, y, width and height (ii)Express the rectangle in TRBL form so that I can manipulate a divs clipping behaviour (iii)Change x, y, width or height and recalculate in terms of TRBL and goto (ii) I appreciate there are some other factors here, and some intermediary transforms to be done, but I've confused myself pretty badly- Can anyone give me some pointers?

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  • Best way to build an application based on R?

    - by Prasad Chalasani
    I'm looking for suggestions on how to go about building an application that uses R for analytics, table generation, and plotting. What I have in mind is an application that: displays various data tables in different tabs, somewhat like in Excel, and the columns should be sortable by clicking. takes user input parameters in some dialog windows. displays plots dynamically (i.e. user-input-dependent) either in a tab or in a new pop-up window/frame Note that I am not talking about a general-purpose fron-end/GUI for exploring data with R (like say Rattle), but a specific application. Some questions I'd like to see addressed are: Is an entirely R-based approach even possible ( on Windows ) ? The following passage from the Rattle article in R-Journal intrigues me: It is interesting to note that the first implementation of Rattle actually used Python for implementing the callbacks and R for the statistics, using rpy. The release of RGtk2 allowed the interface el- ements of Rattle to be written directly in R so that Rattle is a fully R-based application If it's better to use another language for the GUI part, which language is best suited for this? I'm looking for a language where it's relatively "painless" to build the GUI, and that also integrates very well with R. From this StackOverflow question How should I do rapid GUI development for R and Octave methods (possibly with Python)? I see that Python + PyQt4 + QtDesigner + RPy2 seems to be the best combo. Is that the consensus ? Anyone have pointers to specific (open source) applications of the type I describe, as examples that I can learn from?

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  • Updated to Android 2.2 and now my apps input-lines don't show well, do I need to update my SDK?

    - by Allan
    My Android app has a couple input-lines made to receive numbers, it's a calc app. I just updated my Nexus One to Android 2.2 and now my apps input-lines don't respond like the way they should. When I touch the input-line, the Android keyboard used to pop-up just enough to kind of 'lift' the input-line above the keyboard - into the users view. Then when I scrolled down to the next input-line, that input-line used to 'lift-up' into view also. Now, after I updated my N1 to Android 2.2 - the input-lines are not lifting into view all the way. Also, when I scroll down to the next input-line and type in numbers - they don't appear, but when I scroll left...there they are. It's hard to describe my problem but things have definitely changed in the way my apps input-lines respond since the 2.2 update I did. If I try to update my SDk stuff in Eclipse and then recompile my app, might that fix it? Whenever there's an Android update - developers don't always have to recompile all of their apps do they?

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  • Name for a "naive" timekeeping system?

    - by Robert L
    I am thinking of a "naive" timekeeping system of the sort I believe would be likely to be implemented by non-specialists. A day is exactly 24 hours. An hour is exactly 60 minutes. A minute is exactly 60 seconds. No exceptions (i.e. no Daylight Saving or leap seconds). A leap year occurs exactly once every four years: if the year modulo 4 equals 0, it is a leap year. The month lengths are the normal 31 days for January, 28 or 29 days for February, etc., that you would expect to find on a wall calendar. Days of the week, if they are used, are what you would get by taking your contemporary (late 1900's / early 2000's) wall calendar and, using the above rules for leap years and month lengths, extrapolating in both directions: if the calendar goes far back enough, February 29, 1900 exists and is a Wednesday; and if the calendar goes far forward enough, February 29, 2100 exists and is a Monday. What name, if any, is used to describe precisely this system?

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  • Filtering null values with pig

    - by arianp
    It looks like a silly problem, but I can´t find a way to filter null values from my rows. This is the result when I dump the object geoinfo: DUMP geoinfo; ([longitude#70.95853,latitude#30.9773]) ([longitude#-9.37944507,latitude#38.91780853]) (null) (null) (null) ([longitude#-92.64416,latitude#16.73326]) (null) (null) ([longitude#-9.15199849,latitude#38.71179122]) ([longitude#-9.15210796,latitude#38.71195131]) here is the description DESCRIBE geoinfo; geoinfo: {geoLocation: bytearray} What I'm trying to do is to filter null values like this: geoinfo_no_nulls = FILTER geoinfo BY geoLocation is not null; but the result remains the same. nothing is filtered. I also tried something like this geoinfo_no_nulls = FILTER geoinfo BY geoLocation != 'null'; and I got an error org.apache.pig.backend.executionengine.ExecException: ERROR 1071: Cannot convert a map to a String What am I doing wrong? details, running on ubuntu, hadoop-1.0.3 with pig 0.9.3 pig -version Apache Pig version 0.9.3-SNAPSHOT (rexported) compiled Oct 24 2012, 19:04:03 java version "1.6.0_24" OpenJDK Runtime Environment (IcedTea6 1.11.4) (6b24-1.11.4-1ubuntu0.12.04.1) OpenJDK 64-Bit Server VM (build 20.0-b12, mixed mode)

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  • Processing forms that generate many rows in DB

    - by Zack
    I'm wondering what the best approach to take here is. I've got a form that people use to register for a class and a lot of times the manager of a company will register multiple people for the class at the same time. Presently, they'd have to go through the registration process multiple times and resubmit the form once for every person they want to register. What I want to do is give the user a form that has a single <input/> for one person to register with, along with all the other fields they'll need to fill out (Email, phone number, etc); if they want to add more people, they'll be able to press a button and a new <input/> will be generated. This part I know how to do, but I'm including it to best describe what I'm aiming to do. The part I don't know how to approach is processing that data the form submits, I need some way of making a new row in the Registrant table for every <input/> that's added and include the same contact information (phone, email, etc) as the first row with that row. For the record, I'm using the Django framework for my back-end code. What's the best approach here? Should it just POST the form x times for x people, or is there a less "brute force" way of handling this?

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  • Managing My Database in Source Control

    - by Jason
    As I am working with a new database project (within VS2008), and as I have never developed a database from scratch, I immediately began looking into how to manage a database within source control (in this case, Subversion). I found some information on SO, including this post: Keeping development databases in multiple environments in sync. One of the answers in particular pointed to a number of a links, all of which had good, useful information. I was reading a series of posts by K. Scott Allen which describe how he manages database change. From my reading (and please pardon the noobishness of my question), it seems as though the database itself is never checked into a repository. Rather, scripts that can build the database, along with test data (which is also populated from scripts) is checked into the repository. Ultimately, this means that, when a developer is testing his or her app, these scripts, which are part of the build process, are run. This ensures that the database is up-to-date, but is also run locally from every developer's machine. This makes sense to me (if I am indeed reading that correctly). However, if I am missing something, I would appreciate correction or additional guidance. In addition, another question I wanted to ask - does this also mean that I should NOT check in the mdf or ldf files that are created from Visual Studio? Thanks for any help and additional insight. Always appreciated.

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  • Newbie - eclipse workflow (PHP development)

    - by engil
    Hi all - this is a bit of a newbie question but hoping I can get some guidance. I've been playing around with Eclipse for a couple months yet I'm still not completely comfortable with my setup and it seems like every time I install it to a new system I end up with different results. What I'm hoping to achieve is (I think) fairly standard. In my environment I'd like SVN (currently using Subclipse), FTP support (currently using Aptana plugin), debugging (going to use XDebug) and all the usual bells and whistles of development (code completion, refactoring, etc.) My biggest current issue is how to set up my environment to support both a 'development' and 'production' server. Optimally I would be able to work directly against the dev server (Eclipse on my Vista desktop against the VM Ubuntu dev server) and then push to production server (shared hosting). I'd prefer to work directly against the dev server (with no local project files, just using the Connections provided by Aptana) but I'm guessing this won't allow for code-completoin or all the other bells and whistles provided for development. Any thoughts? Kind of an open ended question, but maybe this could be an opportunity for some of you with a great deal of experience using Eclipse to describe your setups so people like me can get some insight into good ways to get set up.

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  • Evaluating creation of GUI via file vs coding

    - by nevets1219
    I'm working on a utility that will be used to test the project I'm currently working on. What the utility will do is allow user to provide various inputs and it will sends out requests and provide the response as output. However, at this point the exact format (which input is required and what is optional) has yet to be fleshed out. In addition, coding in Swing is somewhat repetitive since the overall work is simple though this should be the safest route to go as I have more or less full control and every component can be tweaked as I want. I'm considering using a configuration file that's in XML to describe the GUI (at least one part of it) and then coding the event handling part (in addition to validation, etc). The GUI itself shouldn't be too complicated. For each type of request to make there's a tab for the request and within each tab are various inputs. There seems to be quite a few questions about this already but I'm not asking for a 3rd party library to do this. I'm looking to do this myself, since I don't think it'll be too overly complicated (hopefully). My main consideration for using this is re-usability (later on, for other projects) and for simplifying the GUI work. My question is: are there other pros/cons that I'm overlooking? Is it worth the (unknown) time to do this? I've built GUI in VB.NET and with Flex3 before.

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  • Unit-testing a directive with isolated scope and bidirectional value

    - by unludo
    I want to unit test a directive which looks like this: angular.module('myApp', []) .directive('myTest', function () { return { restrict: 'E', scope: { message: '='}, replace: true, template: '<div ng-if="message"><p>{{message}}</p></div>', link: function (scope, element, attrs) { } }; }); Here is my failing test: describe('myTest directive:', function () { var scope, compile, validHTML; validHTML = '<my-test message="message"></my-test>'; beforeEach(module('myApp')); beforeEach(inject(function($compile, $rootScope){ scope = $rootScope.$new(); compile = $compile; })); function create() { var elem, compiledElem; elem = angular.element(validHTML); compiledElem = compile(elem)(scope); scope.$digest(); return compiledElem; } it('should have a scope on root element', function () { scope.message = 'not empty'; var el = create(); console.log(el.text()); expect(el.text()).toBeDefined(); expect(el.text()).not.toBe(''); }); }); Can you spot why it's failing? The corresponding jsFiddle Thanks :)

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  • What do you call a set of Javascript closures that share a common context?

    - by Ed Stauff
    I've been trying to learn closures (in Javascript), which kind of hurts my brain after way too many years with C# and C++. I think I now have a basic understanding, but one thing bothers me: I've visited lots of websites in this Quest for Knowledge, and nowhere have I seen a word (or even a simple two-word phrase) that means "a set of Javascript closures that share a common execution context". For example: function CreateThingy (name, initialValue) { var myName = name; var myValue = initialValue; var retObj = new Object; retObj.getName = function() { return myName; } retObj.getValue = function() { return myValue; } retObj.setValue = function(newValue) { myValue = newValue; } return retObj; }; From what I've read, this seems to be one common way of implementing data hiding. The value returned by CreateThingy is, of course, an object, but what would you call the set of functions which are properties of that object? Each one is a closure, but I'd like a name I can used to describe (and think about) all of them together as one conceptual entity, and I'd rather use a commonly accepted name than make one up. Thanks! -- Ed

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  • Mgmt wants to re-title my position: Any help...? [closed]

    - by JohnFlyTN
    Management here wants to re-title my position, since I'm doing quite a bit of different work than was originally planned. They want my input. After a quick glance over my skill set and job duties, what would we need to describe this position as? I'll just list things I'm at least proficient in, I will not list things I have a passing knowledge of. About me : ~10 years software development. Languages : C, C++, Perl, PHP, C#, TCL, Unix shell scripting, SQL (TSQL, PLSQL) Systems : MS-Dos, Windows 3.1 to 7 for client, NT 4 to 2008 for server, OS/2, IBM MVS & z/OS, Linux ( multiple distros), AIX Current position: I do all sorts of in-house software. The range is single user apps to large systems spanning multiple OS's. One of the larger projects I've designed and coded is about 100k lines of C#, and a database where I have been the sole designer and maintainer. I have near total freedom to design as I see fit, restraints are usually budgetary. Skills required to replace me in my current role: Windows and Unix admin, Database design, .NET up to 3.5 (C#, ASP.NET), C++, Perl, good skills in designing large and efficient data processing systems. Given this small level of information what would you see this as being titled? (is more information required to render a decision?)

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  • git: How to move last N commits made to master, into own branch?

    - by amn
    Hi all, I have a repository where I had been working on master branch having last committed some 10 or so commits which I now wish were in another branch, as they describe work that I now consider experimental (i am still learning good git practices). Basically I would like to have these last 10 commits starting from a point in master to form another branch instead, so that I can have my master in a release state (which is what I strive for.) So, this is what I have (rightmost X is the last commit good for release): b--b (feature B) / X--X--X--Z--Z--Z--Z--Z--Z (master) \ a--a--a (feature A) You can see that both X and Z are on master, while I want commits marked by Z (my feature Z work) to lie on their own feature branch, and so that rightmost X is at the tip of master forming a good master branch tip. I guess this is what I want: b--b (feature B) / X--X--X (master) \ \ \ Z--Z--Z--Z--Z--Z (feature Z - the branch I want Z on) a--a--a (feature A) That way I will have my master always ready for release, and merge A, B and Z features when the time comes. Hope I am making sense here...

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  • in haskell, why do I need to specify type constraints, why can't the compiler figure them out?

    - by Steve
    Consider the function, add a b = a + b This works: *Main> add 1 2 3 However, if I add a type signature specifying that I want to add things of the same type: add :: a -> a -> a add a b = a + b I get an error: test.hs:3:10: Could not deduce (Num a) from the context () arising from a use of `+' at test.hs:3:10-14 Possible fix: add (Num a) to the context of the type signature for `add' In the expression: a + b In the definition of `add': add a b = a + b So GHC clearly can deduce that I need the Num type constraint, since it just told me: add :: Num a => a -> a -> a add a b = a + b Works. Why does GHC require me to add the type constraint? If I'm doing generic programming, why can't it just work for anything that knows how to use the + operator? In C++ template programming, you can do this easily: #include <string> #include <cstdio> using namespace std; template<typename T> T add(T a, T b) { return a + b; } int main() { printf("%d, %f, %s\n", add(1, 2), add(1.0, 3.4), add(string("foo"), string("bar")).c_str()); return 0; } The compiler figures out the types of the arguments to add and generates a version of the function for that type. There seems to be a fundamental difference in Haskell's approach, can you describe it, and discuss the trade-offs? It seems to me like it would be resolved if GHC simply filled in the type constraint for me, since it obviously decided it was needed. Still, why the type constraint at all? Why not just compile successfully as long as the function is only used in a valid context where the arguments are in Num? Thank you.

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  • Identifying a class which is extending an abstract class

    - by Simon A. Eugster
    Good Evening, I'm doing a major refactoring of http://wiki2xhtml.sourceforge.net/ to finally get better overview and maintainability. (I started the project when I decided to start programming, so – you get it, right? ;)) At the moment I wonder how to solve the problem I'll describe now: Every file will be put through several parsers (like one for links, one for tables, one for images, etc.): public class WikiLinks extends WikiTask { ... } public class WikiTables extends WikiTask { ... } The files will then be parsed about this way: public void parse() { if (!parse) return; WikiTask task = new WikiLinks(); do { task.parse(this); } while ((task = task.nextTask()) != null); } Sometimes I may want to use no parser at all (for files that only need to be copied), or only a chosen one (e.g. for testing purposes). So before running task.parse() I need to check whether this certain parser is actually necessary/desired. (Perhaps via Blacklist or Whitelist.) What would you suggest for comparing? An ID for each WikiTask (how to do?)? Comparing the task Object itself against a new instance of a WikiTask (overhead)?

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  • A very interesting MYSQL problem (related to indexing, million records, algorithm.)

    - by terence410
    This problem is pretty hard to describe and therefore difficult to search the answer. I hope some expert could share you opinions on that. I have a table with around 1 million of records. The table structure is similar to something like this: items{ uid (primary key, bigint, 15) updated (indexed, int, 11) enabled (indexed, tinyint, 1) } The scenario is like this. I have to select all of the records everyday and do some processing. It takes around 3 second to handle each item. I have written a PHP script to fetch 200 items each time using the following. select * from items where updated unix_timestamp(now()) - 86400 and enabled = 1 limit 200; I will then update the "updated" field of the selected items to make sure that it wont' be selected again within one day. The selected query is something like that. update items set updated = unix_timestamp(now()) where uid in (1,2,3,4,...); Then, the PHP will continue to run and process the data which doesn't require any MYSQL connection anymore. Since I have million records and each record take 3 seconds to process, it's definitely impossible to do it sequentially. Therefore, I will execute the PHP in every 10 seconds. However, as time goes by and the table growth, the select getting much slower. Sometimes, it take more than 100 seconds to run! Do you guys have any suggestion how may I solve this problem?

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  • Select multiple records by one query

    - by kofto4ka
    Hello there. Please, give me advice, how to construct select query. I have table table with fields type and obj_id. I want to select all records in concordance with next array: $arr = array( 0 => array('type' => 1, 'obj_id' => 5), 1 => array('type' => 3, 'obj_id' => 15), 2 => array('type' => 4, 'obj_id' => 14), 3 => array('type' => 12, 'obj_id' => 17), ); I want to select needed rows by one query, is it real? Smth like select * from `table` where type in (1,3,4,12) and obj_id in (5,15,14,17) But this query returns also records with type = 3 and obj_id = 14, and for example type = 1 and obj_id = 17. p.s. moderators, please fix my title, I dont know how to describe my question.

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  • Is starting to use CDATA a breaking change?

    - by kicsit
    For interaction with a customer's application we use XML documents. That is, we send an XML over HTTP and receive a response XML document the same way. The customer specified two XML schemata that describe the format of both the request and reply. All was working fine, until one day the customer started to use CDATA sections in the response XML. We set up our parser unmindful of CDATA sections, so we failed to interpret them. My question is: Who made a mistake here? I tried to find an answer in the XML standards, but I'm still not sure. I think I cannot prescribe using or not using CDATA's in an XSD, is that right? If so, is it not enough to agree upon an XSD, but a separate agreement has to be made about CDATA sections? Or one is obliged to be prepared to parse CDATA and regular text as well? I'm interested in both your personal views and official statements too. Thank you!

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  • How to handle ids and polymorphic associations in views if compound keys are not supported?

    - by duncan
    I have a Movie plan table: movie_plans (id, description) Each plan has items, which describe a sequence of movies and the duration in minutes: movie_plan_items (id, movie_plan_id, movie_id, start_minutes, end_minutes) A specific instance of that plan happens in: movie_schedules (id, movie_plan_id, start_at) However the schedule items can be calculated from the movie_plan_items and the schedule start time by adding the minutes create view movie_schedule_items as select CONCAT(p.id, '-', s.id) as id, s.id as movie_schedule_id, p.id as movie_plan_item_id, p.movie_id, p.movie_plan_id, (s.start_at + INTERVAL p.start_minutes MINUTE) as start_at, (s.start_at + INTERVAL p.end_minutes MINUTE) as end_at from movie_plan_items p, movie_schedules s where s.movie_plan_id=p.movie_plan_id; I have a model over this view (readonly), it works ok, except that the id is right now a string. I now want to add a polymorphic property (like comments) to various of the previous tables. Therefore for movie_schedule_items I need a unique and persistent numeric id. I have the following dilemma: I could avoid the id and have movie_schedule_items just use the movie_plan_id and movie_schedule_id as a compound key, as it should. But Rails sucks in this regard. I could create an id using String#hash or a md5, thus making it slower or collision prone (and IIRC String#hash is no longer persistent across processes in Ruby 1.9) Any ideas on how to handle this situation?

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  • C++, inject additional data in a method

    - by justik
    I am adding the new modul in some large library. All methods here are implemented as static. Let mi briefly describe the simplified model: typedef std::vector<double> TData; double test ( const TData &arg ) { return arg ( 0 ) * sin ( arg ( 1 ) + ...;} double ( * p_test ) ( const TData> &arg) = &test; class A { public: static T f1 (TData &input) { .... //some computations B::f2 (p_test); } }; Inside f1() some computations are perfomed and a static method B::f2 is called. The f2 method is implemented by another author and represents some simulation algorithm (example here is siplified). class B { public: static double f2 (double ( * p_test ) ( const TData &arg ) ) { //difficult algorithm working p_test many times double res = p_test(arg); } }; The f2 method has a pointer to some weight function (here p_test). But in my case some additional parameters computed in f1 for test() methods are required double test ( const TData &arg, const TData &arg2, char *arg3.... ) { } How to inject these parameters into test() (and so to f2) to avoid changing the source code of the f2 methods (that is not trivial), redesign of the library and without dirty hacks :-) ? The most simple step is to override f2 static double f2 (double ( * p_test ) ( const TData &arg ), const TData &arg2, char *arg3.... ) But what to do later? Consider, that methods are static, so there will be problems with objects. Thanks for your help.

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  • Need Help: adding MouseListeners to JComponents (Drawing a JComponent and then attaching a MouseListener)

    - by user1074574
    Drawing a JComponent and then attaching a MouseListener seems very simple to me, but not in this case: I'm having a problem with a MouseListener attached to a child JComponent; here's some brief code to help describe it: Note: The BGT class has implemented ActionListers/MouseListeners that do not have any code in them, and 'figures' is an array of SwingThings. public class GC extends BGT{ public GC(){ super(); buildJMenu(); drawPanel.addMouseListener(this); //drawPanel being the panel that draws the JComponents (it is a public variable in the BGT class) drawPanel.addMouseMotionListener(this); this.addMouseListener(this); } public static void main(String[] args){ GC a = new GC(); }... public void mouseClicked(MouseEvent e) { System.out.println(e.getSource()); //This only seems to print out the DrawPanel's information }... public void mouseReleased(MouseEvent e) { repaint(); ... tempMyJTextField = new MyJTextField(startX, startY, width, height); tempMyJTextField.addMouseListener(this); tempMyJTextField.addMouseMotionListener(this); figures.add(tempMyJTextField); for(int i = 0; i < figures.size(); i++) figures.get(i).addTo(drawPanel); } This is the addTo method in the MyJTextField class: public class MyJTextField extends JTextField implements SwingThing{ ... public void addTo(JPanel p) { p.add(myTextField); } ... } In the MouseClicked event it never registers that the JComponent was clicked. (The drawing/painting works fine) Thanks.

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  • Recommendation for a Pagination procedure AJAX PHP

    - by Jamex
    Hi, I am not sure the correct terminology for the process that I am trying to describe. I don't even know which platform is underlying the technique. If you understand my description, please give the link to the site(s) and or the keyword name of the process. I think it is done by AJAX, but I am not certain. I use php as the backend code, I just need to find a way to dynamically display the results. Please give suggestions. I forgot the name of the sites that use this, and my link history expired. TIA Description: The page would have a search form and options. After the user submits, the search is initiated, and the results appear inside the dedicated result area. The page does not refresh, just the info inside the result area. The display area will show 20 (or whatever) results (lines). There will be next, and previous buttons. If you hit next, the next set of results will display. I am writing a code that generates 20 results for each display. There is no set number of results, so the results might have a start/first page, but do not have an end page. Each time the user hits 'next', the program would generate/load new results. It would also store previous results, so that when a user hits 'prev', the previous results can instantly come up. What techniques/program are theses?

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  • Finding 'free' times in MySQL

    - by James Inman
    Hi, I've got a table as follows: mysql> DESCRIBE student_lectures; +------------------+----------+------+-----+---------+----------------+ | Field | Type | Null | Key | Default | Extra | +------------------+----------+------+-----+---------+----------------+ | id | int(11) | NO | PRI | NULL | auto_increment | | course_module_id | int(11) | YES | MUL | NULL | | | day | int(11) | YES | | NULL | | | start | datetime | YES | | NULL | | | end | datetime | YES | | NULL | | | cancelled_at | datetime | YES | | NULL | | | lecture_type_id | int(11) | YES | | NULL | | | lecture_id | int(11) | YES | | NULL | | | student_id | int(11) | YES | | NULL | | | created_at | datetime | YES | | NULL | | | updated_at | datetime | YES | | NULL | | +------------------+----------+------+-----+---------+----------------+ I'm essentially wanting to find times when a lecture doesn't happen - so to do this I'm thinking a query to group overlapping lectures together (so, for example, 9am-10am and 10am-11am lectures will be shown as a single 9am-11am lecture). There may be more than two lectures back-to-back. I've currently got this: SELECT l.start, l2.end FROM student_lectures l LEFT JOIN student_lectures l2 ON ( l2.start = l.end ) WHERE l.student_id = 1 AND l.start >= '2010-04-26 09:00:00' AND l.end <= '2010-04-30 19:00:00' AND l2.end IS NOT NULL AND l2.end != l.start GROUP BY l.start, l2.end ORDER BY l.start, l2.start Which returns: +---------------------+---------------------+ | start | end | +---------------------+---------------------+ | 2010-04-26 09:00:00 | 2010-04-26 11:00:00 | | 2010-04-26 10:00:00 | 2010-04-26 12:00:00 | | 2010-04-26 10:00:00 | 2010-04-26 13:00:00 | | 2010-04-26 13:15:00 | 2010-04-26 16:15:00 | | 2010-04-26 14:15:00 | 2010-04-26 16:15:00 | | 2010-04-26 15:15:00 | 2010-04-26 17:15:00 | | 2010-04-26 16:15:00 | 2010-04-26 18:15:00 | ...etc... The output I'm looking for from this would be: +---------------------+---------------------+ | start | end | +---------------------+---------------------+ | 2010-04-26 09:00:00 | 2010-04-26 13:00:00 | | 2010-04-26 13:15:00 | 2010-04-26 18:15:00 | Any help appreciated, thanks!

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  • Code Golf: Connecting the dots

    - by ChristopheD
    Description: The input are multiple lines (terminated by a newline) which describe a 'field'. There are 'numbers' scattered across this field: the numbers always start at 1 they follow the ordering of the natural numbers: every 'next number' is incremented with 1 every number is surrounded by (at least) one whitespace on it's left and right Task: Draw lines between these numbers in their natural order (1 -> 2 -> 3 -> ...N) with the following characteristics: replace a number with a '+' character for horizontal lines: use '-' for vertical lines: use '|' going left and down or right and up: / going left and up or right and down: \ Important note: When drawing lines of type 4 and 5 you can assume that : (given points to connect with coordinates x1, y1 and x2, y2) distance(x1,x2) == distance(y1,y2). Have a look at the examples to see where you should 'attach' the lines. It is important to follow the order in which the dots are connected (newer lines can be drawn over older lines). Sample input 1 9 10 8 7 6 5 11 13 12 3 4 14 15 16 1 2 Sample output 1 /+ / | / | +/ +--+ | +\ | \ | \+ /+ | / | /+-------------+/ +---+ / | +--+ | + | +--------------------------+ Sample input 2 4 2 3 5 6 1 8 7 Sample output 2 /+ / | / | / | /+------------------+/ +--------+\ / \ +/ +--------------------------------------+ Winner: shortest solution (by code count). Input can be read via command line.

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