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  • Game logic dynamically extendable architecture implementation patterns

    - by Vlad
    When coding games there are a lot of cases when you need to inject your logic into existing class dynamically and without making unnecessary dependencies. For an example I have a Rabbit which can be affected by freeze ability so it can't jump. It could be implemented like this: class Rabbit { public bool CanJump { get; set; } void Jump() { if (!CanJump) return; ... } } But If I have more than one ability that can prevent it from jumping? I can't just set one property because some circumstances can be activated simultanously. Another solution? class Rabbit { public bool Frozen { get; set; } public bool InWater { get; set; } bool CanJump { get { return !Frozen && !InWater; } } } Bad. The Rabbit class can't know all the circumstances it can run into. Who knows what else will game designer want to add: may be an ability that changes gravity on an area? May be make a stack of bool values for CanJump property? No, because abilities can be deactivated not in that order in which they were activated. I need a way to seperate ability logic that prevent the Rabbit from jumping from the Rabbit itself. One possible solution for this is making special checking event: class Rabbit { class CheckJumpEventArgs : EventArgs { public bool Veto { get; set; } } public event EventHandler<CheckJumpEvent> OnCheckJump; void Jump() { var args = new CheckJumpEventArgs(); if (OnCheckJump != null) OnCheckJump(this, args); if (!args.Veto) return; ... } } But it's a lot of code! A real Rabbit class would have a lot of properties like this (health and speed attributes, etc). I'm thinking of borrowing something from MVVM pattern where you have all the properties and methods of an object implemented in a way where they can be easily extended from outside. Then I want to use it like this: class FreezeAbility { void ActivateAbility() { _rabbit.CanJump.Push(ReturnFalse); } void DeactivateAbility() { _rabbit.CanJump.Remove(ReturnFalse); } // should be implemented as instance member // so it can be "unsubscribed" bool ReturnFalse(bool previousValue) { return false; } } Is this approach good? What also should I consider? What are other suitable options and patterns? Any ready to use solutions? UPDATE The question is not about how to add different behaviors to an object dynamically but how its (or its behavior) implementation can be extended with external logic. I don't need to add a different behavior but I need a way to modify an exitsing one and I also need a possibiliity to undo changes.

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  • PHP-MySQL: Arranging rows from seperate tables together/Expression to determine row origin

    - by Koroviev
    I'm new to PHP and have a two part question. I need to take rows from two separate tables, and arrange them in descending order by their date. The rows do not correspond in order or number and have no relationship with each other. ---EDIT--- They each contain updates on a site, one table holds text, links, dates, titles etc. from a blog. The other has titles, links, specifications, etc. from images. I want to arrange some basic information (title, date, small description) in an updates section on the main page of the site, and for it to be in order of date. Merging them into one table and modifying it to suit both types isn't what I'd like to do here, the blog table is Wordpress' standard wp_posts and I don't feel comfortable adding columns to make it suit the image table too. I'm afraid it could clash with upgrading later on and it seems like a clumsy solution (but that doesn't mean I'll object if people here advise me it's the best solution). ------EDIT 2------ Here are the DESCRIBES of each table: mysql> describe images; +---------+--------------+------+-----+-------------------+----------------+ | Field | Type | Null | Key | Default | Extra | +---------+--------------+------+-----+-------------------+----------------+ | id | int(11) | NO | PRI | NULL | auto_increment | | project | varchar(255) | NO | | NULL | | | title | varchar(255) | NO | | NULL | | | time | timestamp | NO | | CURRENT_TIMESTAMP | | | img_url | varchar(255) | NO | | NULL | | | alt_txt | varchar(255) | YES | | NULL | | | text | text | YES | | NULL | | | text_id | int(11) | YES | | NULL | | +---------+--------------+------+-----+-------------------+----------------+ mysql> DESCRIBE wp_posts; +-----------------------+---------------------+------+-----+---------------------+----------------+ | Field | Type | Null | Key | Default | Extra | +-----------------------+---------------------+------+-----+---------------------+----------------+ | ID | bigint(20) unsigned | NO | PRI | NULL | auto_increment | | post_author | bigint(20) unsigned | NO | | 0 | | | post_date | datetime | NO | | 0000-00-00 00:00:00 | | | post_date_gmt | datetime | NO | | 0000-00-00 00:00:00 | | | post_content | longtext | NO | | NULL | | | post_title | text | NO | | NULL | | | post_excerpt | text | NO | | NULL | | | post_status | varchar(20) | NO | | publish | | | comment_status | varchar(20) | NO | | open | | | ping_status | varchar(20) | NO | | open | | | post_password | varchar(20) | NO | | | | | post_name | varchar(200) | NO | MUL | | | | to_ping | text | NO | | NULL | | | pinged | text | NO | | NULL | | | post_modified | datetime | NO | | 0000-00-00 00:00:00 | | | post_modified_gmt | datetime | NO | | 0000-00-00 00:00:00 | | | post_content_filtered | text | NO | | NULL | | | post_parent | bigint(20) unsigned | NO | MUL | 0 | | | guid | varchar(255) | NO | | | | | menu_order | int(11) | NO | | 0 | | | post_type | varchar(20) | NO | MUL | post | | | post_mime_type | varchar(100) | NO | | | | | comment_count | bigint(20) | NO | | 0 | | +-----------------------+---------------------+------+-----+---------------------+----------------+ ---END EDIT--- I can do this easily with a single table like this (I include it here in case I'm using an over-elaborate method without knowing it): $content = mysql_query("SELECT post_title, post_text, post_date FROM posts ORDER BY post_date DESC"); while($row = mysql_fetch_array($content)) { echo $row['post_date'], $row['post_title'], $row['post_text']; } But how is it possible to call both tables into the same array to arrange them correctly? By correctly, I mean that they will intermix their echoed results based on their date. Maybe I'm looking at this from the wrong perspective, and calling them to a single array isn't the answer? Additionally, I need a way to form a conditional expression based on which table they came from, so that rows from table 1 get echoed differently than rows from table 2? I want results from table 1 to be echoed differently (with different strings concatenated around them, I mean) for the purpose of styling them differently than those from table two. And vice versa. I know an if...else statement would work here, but I have no idea how can I write the expression that would determine which table the row is from. All and any help is appreciated, thanks.

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  • Normalizing a table

    - by Alex
    I have a legacy table, which I can't change. The values in it can be modified from legacy application (application also can't be changed). Due to a lot of access to the table from new application (new requirement), I'd like to create a temporary table, which would hopefully speed up the queries. The actual requirement, is to calculate number of business days from X to Y. For example, give me all business days from Jan 1'st 2001 until Dec 24'th 2004. The table is used to mark which days are off, as different companies may have different days off - it isn't just Saturday + Sunday) The temporary table would be created from a .NET program, each time user enters the screen for this query (user may run query multiple times, with different values, table is created once), so I'd like it to be as fast as possible. Approach below runs in under a second, but I only tested it with a small dataset, and still it takes probably close to half a second, which isn't great for UI - even though it's just the overhead for first query. The legacy table looks like this: CREATE TABLE [business_days]( [country_code] [char](3) , [state_code] [varchar](4) , [calendar_year] [int] , [calendar_month] [varchar](31) , [calendar_month2] [varchar](31) , [calendar_month3] [varchar](31) , [calendar_month4] [varchar](31) , [calendar_month5] [varchar](31) , [calendar_month6] [varchar](31) , [calendar_month7] [varchar](31) , [calendar_month8] [varchar](31) , [calendar_month9] [varchar](31) , [calendar_month10] [varchar](31) , [calendar_month11] [varchar](31) , [calendar_month12] [varchar](31) , misc. ) Each month has 31 characters, and any day off (Saturday + Sunday + holiday) is marked with X. Each half day is marked with an 'H'. For example, if a month starts on a Thursday, than it will look like (Thursday+Friday workdays, Saturday+Sunday marked with X): ' XX XX ..' I'd like the new table to look like so: create table #Temp (country varchar(3), state varchar(4), date datetime, hours int) And I'd like to only have rows for days which are off (marked with X or H from previous query) What I ended up doing, so far is this: Create a temporary-intermediate table, that looks like this: create table #Temp_2 (country_code varchar(3), state_code varchar(4), calendar_year int, calendar_month varchar(31), month_code int) To populate it, I have a union which basically unions calendar_month, calendar_month2, calendar_month3, etc. Than I have a loop which loops through all the rows in #Temp_2, after each row is processed, it is removed from #Temp_2. To process the row there is a loop from 1 to 31, and substring(calendar_month, counter, 1) is checked for either X or H, in which case there is an insert into #Temp table. [edit added code] Declare @country_code char(3) Declare @state_code varchar(4) Declare @calendar_year int Declare @calendar_month varchar(31) Declare @month_code int Declare @calendar_date datetime Declare @day_code int WHILE EXISTS(SELECT * From #Temp_2) -- where processed = 0) BEGIN Select Top 1 @country_code = t2.country_code, @state_code = t2.state_code, @calendar_year = t2.calendar_year, @calendar_month = t2.calendar_month, @month_code = t2.month_code From #Temp_2 t2 -- where processed = 0 set @day_code = 1 while @day_code <= 31 begin if substring(@calendar_month, @day_code, 1) = 'X' begin set @calendar_date = convert(datetime, (cast(@month_code as varchar) + '/' + cast(@day_code as varchar) + '/' + cast(@calendar_year as varchar))) insert into #Temp (country, state, date, hours) values (@country_code, @state_code, @calendar_date, 8) end if substring(@calendar_month, @day_code, 1) = 'H' begin set @calendar_date = convert(datetime, (cast(@month_code as varchar) + '/' + cast(@day_code as varchar) + '/' + cast(@calendar_year as varchar))) insert into #Temp (country, state, date, hours) values (@country_code, @state_code, @calendar_date, 4) end set @day_code = @day_code + 1 end delete from #Temp_2 where @country_code = country_code AND @state_code = state_code AND @calendar_year = calendar_year AND @calendar_month = calendar_month AND @month_code = month_code --update #Temp_2 set processed = 1 where @country_code = country_code AND @state_code = state_code AND @calendar_year = calendar_year AND @calendar_month = calendar_month AND @month_code = month_code END I am not an expert in SQL, so I'd like to get some input on my approach, and maybe even a much better approach suggestion. After having the temp table, I'm planning to do (dates would be coming from a table): select cast(convert(datetime, ('01/31/2012'), 101) -convert(datetime, ('01/17/2012'), 101) as int) - ((select sum(hours) from #Temp where date between convert(datetime, ('01/17/2012'), 101) and convert(datetime, ('01/31/2012'), 101)) / 8) Besides the solution of normalizing the table, the other solution I implemented for now, is a function which does all this logic of getting the business days by scanning the current table. It runs pretty fast, but I'm hesitant to call a function, if I can instead add a simpler query to get result. (I'm currently trying this on MSSQL, but I would need to do same for Sybase ASE and Oracle)

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  • Passing an address inside a WordPress post to a Google Map elsewhere on the Page

    - by ael_ecurai
    Background: My client is building their own WordPress site (using a purchased feature-rich theme), and I'm modifying a child theme as necessary to achieve customizations she wants. The theme comes with a Page template that includes a full-width Google Map across the top, which pulls its marker from a single address set within the Theme Options. It's meant to be used for one main "Contact Us" page. The client's business has several locations, and she wants each location's page to include such a map. (Example linked below.) It seems that the ideal solution would be the ability to specify an address within a shortcode in the Post, and have that set the map marker. Here's how the theme makes the map (where $mapAddress is the address from the Theme Options): <?php $mapAddress = ot_get_option( 'map_address' ); $mapHeight = ot_get_option( 'map_height' ); $mapContent = ot_get_option( 'map_content' ); ?> <section id="block-map-wrapper"> <div id="block-map" class="clearfix"> <script type="text/javascript" src="https://maps.googleapis.com/maps/api/js?sensor=true"></script> <script> jQuery(document).ready(function(){ // Map Options var mapOptions = { zoom: 15, scrollwheel: false, zoomControl: true, zoomControlOptions: { style: google.maps.ZoomControlStyle.SMALL, position: google.maps.ControlPosition.TOP_LEFT }, mapTypeControl: true, scaleControl: false, panControl: false, mapTypeId: google.maps.MapTypeId.ROADMAP }; // The Map Object var map = new google.maps.Map(document.getElementById("map"), mapOptions); var address = ""; var geocoder = new google.maps.Geocoder(); geocoder.geocode({ "address" : "<?php echo $mapAddress; ?>" }, function (results, status) { if (status == google.maps.GeocoderStatus.OK) { address = results[0].geometry.location; map.setCenter(results[0].geometry.location); var marker = new google.maps.Marker({ position: address, map: map, clickable: true, animation: google.maps.Animation.DROP }); var infowindow = new google.maps.InfoWindow({ content: "<?php echo $mapContent; ?>" }); google.maps.event.addListener(marker, "click", function() { infowindow.open(map, marker); }); } }); }); </script> <div id="map" class = "map" style = "width: 100%; height: <?php echo $mapHeight; ?>px"></div> </div><!-- #block-map --> <div class="shadow-bottom"></div> </section><!-- #block-map-wrapper --> Here's a test page using a custom Page template I've created. Right now it's using the same map code as above. I've tried creating a shortcode that takes an address attribute and sets it as $mapAddress, but that didn't work. I believe it's because the map is already loaded by the time the Loop gets parsed. How can I tell Maps to "come back" to the post to get the proper address? My specialty lies in HTML & CSS, but Javascript befuddles me fairly easily, so please be explicit when explaining implementation. Bonus: A further goal is to have the locations' parent Page also include such a map, but have multiple markers representing the multiple locations. When taking more than one location, Google Maps only accepts latitude/longitude. I don't want my client to be concerned with coordinates, so I know there's got to be something I can do with the geocoding service so she can just input a list of addresses instead (into the same, or similar, shortcode solution developed for my main question). But I am extra-clueless about how to do that.

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  • Control XML serialization of Dictionary<K, T>

    - by Luca
    I'm investigating about XML serialization, and since I use lot of dictionary, I would like to serialize them as well. I found the following solution for that (I'm quite proud of it! :) ). [XmlInclude(typeof(Foo))] public class XmlDictionary<TKey, TValue> { /// <summary> /// Key/value pair. /// </summary> public struct DictionaryItem { /// <summary> /// Dictionary item key. /// </summary> public TKey Key; /// <summary> /// Dictionary item value. /// </summary> public TValue Value; } /// <summary> /// Dictionary items. /// </summary> public DictionaryItem[] Items { get { List<DictionaryItem> items = new List<DictionaryItem>(ItemsDictionary.Count); foreach (KeyValuePair<TKey, TValue> pair in ItemsDictionary) { DictionaryItem item; item.Key = pair.Key; item.Value = pair.Value; items.Add(item); } return (items.ToArray()); } set { ItemsDictionary = new Dictionary<TKey,TValue>(); foreach (DictionaryItem item in value) ItemsDictionary.Add(item.Key, item.Value); } } /// <summary> /// Indexer base on dictionary key. /// </summary> /// <param name="key"></param> /// <returns></returns> public TValue this[TKey key] { get { return (ItemsDictionary[key]); } set { Debug.Assert(value != null); ItemsDictionary[key] = value; } } /// <summary> /// Delegate for get key from a dictionary value. /// </summary> /// <param name="value"></param> /// <returns></returns> public delegate TKey GetItemKeyDelegate(TValue value); /// <summary> /// Add a range of values automatically determining the associated keys. /// </summary> /// <param name="values"></param> /// <param name="keygen"></param> public void AddRange(IEnumerable<TValue> values, GetItemKeyDelegate keygen) { foreach (TValue v in values) ItemsDictionary.Add(keygen(v), v); } /// <summary> /// Items dictionary. /// </summary> [XmlIgnore] public Dictionary<TKey, TValue> ItemsDictionary = new Dictionary<TKey,TValue>(); } The classes deriving from this class are serialized in the following way: <FooDictionary xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xmlns:xsd="http://www.w3.org/2001/XMLSchema"> <Items> <DictionaryItemOfInt32Foo> <Key/> <Value/> </DictionaryItemOfInt32XmlProcess> <Items> This give me a good solution, but: How can I control the name of the element DictionaryItemOfInt32Foo What happens if I define a Dictionary<FooInt32, Int32> and I have the classes Foo and FooInt32? Is it possible to optimize the class above? THank you very much!

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  • How to use XSLT to tag specific nodes with unique, sequential, increasing integer ids?

    - by ~otakuj462
    Hi, I'm trying to use XSLT to transform a document by tagging a group of XML nodes with integer ids, starting at 0, and increasing by one for each node in the group. The XML passed into the stylesheet should be echoed out, but augmented to include this extra information. Just to be clear about what I am talking about, here is how this transformation would be expressed using DOM: states = document.getElementsByTagName("state"); for( i = 0; i < states.length; i++){ states.stateNum = i; } This is very simple with DOM, but I'm having much more trouble doing this with XSLT. The current strategy I've devised has been to start with the identity transformation, then create a global variable which selects and stores all of the nodes that I wish to number. I then create a template that matches that kind of node. The idea, then, is that in the template, I would look up the matched node's position in the global variable nodelist, which would give me a unique number that I could then set as an attribute. The problem with this approach is that the position function can only be used with the context node, so something like the following is illegal: <template match="state"> <variable name="stateId" select="@id"/> <variable name="uniqueStateNum" select="$globalVariable[@id = $stateId]/position()"/> </template> The same is true for the following: <template match="state"> <variable name="stateId" select="@id" <variable name="stateNum" select="position($globalVariable[@id = $stateId])/"/> </template> In order to use position() to look up the position of an element in $globalVariable, the context node must be changed. I have found a solution, but it is highly suboptimal. Basically, in the template, I use for-each to iterate through the global variable. For-each changes the context node, so this allows me to use position() in the way I described. The problem is that this turns what would normally be an O(n) operation into an O(n^2) operation, where n is the length of the nodelist, as this require iterating through the whole list whenever the template is matched. I think that there must be a more elegant solution. Altogether, here is my current (slightly simplified) xslt stylesheet: <?xml version="1.0"?> <xsl:stylesheet xmlns:xsl="http://www.w3.org/1999/XSL/Transform" xmlns:s="http://www.w3.org/2005/07/scxml" xmlns="http://www.w3.org/2005/07/scxml" xmlns:c="http://msdl.cs.mcgill.ca/" version="1.0"> <xsl:output method="xml"/> <!-- we copy them, so that we can use their positions as identifiers --> <xsl:variable name="states" select="//s:state" /> <!-- identity transform --> <xsl:template match="@*|node()"> <xsl:copy> <xsl:apply-templates select="@*|node()"/> </xsl:copy> </xsl:template> <xsl:template match="s:state"> <xsl:variable name="stateId"> <xsl:value-of select="@id"/> </xsl:variable> <xsl:copy> <xsl:apply-templates select="@*"/> <xsl:for-each select="$states"> <xsl:if test="@id = $stateId"> <xsl:attribute name="stateNum" namespace="http://msdl.cs.mcgill.ca/"> <xsl:value-of select="position()"/> </xsl:attribute> </xsl:if> </xsl:for-each> <xsl:apply-templates select="node()"/> </xsl:copy> </xsl:template> </xsl:stylesheet> I'd appreciate any advice anyone can offer. Thanks.

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  • Control XML serialization of generic types

    - by Luca
    I'm investigating about XML serialization, and since I use lot of dictionary, I would like to serialize them as well. I found the following solution for that (I'm quite proud of it! :) ). [XmlInclude(typeof(Foo))] public class XmlDictionary<TKey, TValue> { /// <summary> /// Key/value pair. /// </summary> public struct DictionaryItem { /// <summary> /// Dictionary item key. /// </summary> public TKey Key; /// <summary> /// Dictionary item value. /// </summary> public TValue Value; } /// <summary> /// Dictionary items. /// </summary> public DictionaryItem[] Items { get { List<DictionaryItem> items = new List<DictionaryItem>(ItemsDictionary.Count); foreach (KeyValuePair<TKey, TValue> pair in ItemsDictionary) { DictionaryItem item; item.Key = pair.Key; item.Value = pair.Value; items.Add(item); } return (items.ToArray()); } set { ItemsDictionary = new Dictionary<TKey,TValue>(); foreach (DictionaryItem item in value) ItemsDictionary.Add(item.Key, item.Value); } } /// <summary> /// Indexer base on dictionary key. /// </summary> /// <param name="key"></param> /// <returns></returns> public TValue this[TKey key] { get { return (ItemsDictionary[key]); } set { Debug.Assert(value != null); ItemsDictionary[key] = value; } } /// <summary> /// Delegate for get key from a dictionary value. /// </summary> /// <param name="value"></param> /// <returns></returns> public delegate TKey GetItemKeyDelegate(TValue value); /// <summary> /// Add a range of values automatically determining the associated keys. /// </summary> /// <param name="values"></param> /// <param name="keygen"></param> public void AddRange(IEnumerable<TValue> values, GetItemKeyDelegate keygen) { foreach (TValue v in values) ItemsDictionary.Add(keygen(v), v); } /// <summary> /// Items dictionary. /// </summary> [XmlIgnore] public Dictionary<TKey, TValue> ItemsDictionary = new Dictionary<TKey,TValue>(); } The classes deriving from this class are serialized in the following way: <XmlProcessList xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xmlns:xsd="http://www.w3.org/2001/XMLSchema"> <Items> <DictionaryItemOfInt32Foo> <Key/> <Value/> </DictionaryItemOfInt32XmlProcess> <Items> This give me a good solution, but: How can I control the name of the element DictionaryItemOfInt32Foo What happens if I define a Dictionary<FooInt32, Int32> and I have the classes Foo and FooInt32? Is it possible to optimize the class above? THank you very much!

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  • Haskell: monadic takeWhile?

    - by Mark Rushakoff
    I have some functions written in C that I call from Haskell. These functions return IO (CInt). Sometimes I want to run all of the functions regardless of what any of them return, and this is easy. For sake of example code, this is the general idea of what's happening currently: Prelude> let f x = print x >> return x Prelude> mapM_ f [0..5] 0 1 2 3 4 5 Prelude> I get my desired side effects, and I don't care about the results. But now I need to stop execution immediately after the first item that doesn't return my desired result. Let's say a return value of 4 or higher requires execution to stop - then what I want to do is this: Prelude> takeWhile (<4) $ mapM f [0..5] Which gives me this error: <interactive:1:22: Couldn't match expected type `[b]' against inferred type `IO a' In the first argument of `mapM', namely `f' In the second argument of `($)', namely `mapM f ([0 .. 5])' In the expression: takeWhile (< 4) $ mapM f ([0 .. 5]) And that makes sense to me - the result is still contained in the IO monad, and I can't just compare two values contained in the IO monad. I know this is precisely the purpose of monads -- chaining results together and discarding operations when a certain condition is met -- but is there an easy way to "wrap up" the IO monad in this case to stop executing the chain upon a condition of my choosing, without writing an instance of MonadPlus? Can I just "unlift" the values from f, for the purposes of the takeWhile? Is this a solution where functors fit? Functors haven't "clicked" with me yet, but I sort of have the impression that this might be a good situation to use them. Update: @sth has the closest answer to what I want - in fact, that's almost exactly what I was going for, but I'd still like to see whether there is a standard solution that isn't explicitly recursive -- this is Haskell, after all! Looking back on how I worded my question, now I can see that I wasn't clear enough about my desired behavior. The f function I used above for an example was merely an example. The real functions are written in C and used exclusively for their side effects. I can't use @Tom's suggestion of mapM_ f (takeWhile (&lt;4) [0..5]) because I have no idea whether any input will really result in success or failure until executed. I don't actually care about the returned list, either -- I just want to call the C functions until either the list is exhausted or the first C function returns a failure code. In C-style pseudocode, my behavior would be: do { result = function_with_side_effects(input_list[index++]); } while (result == success && index < max_index); So again, @sth's answer performs the exact behavior that I want, except that the results may (should?) be discarded. A dropWhileM_ function would be equivalent for my purposes. Why isn't there a function like that or takeWhileM_ in Control.Monad? I see that there was a similar discussion on a mailing list, but it appears that nothing has come of that.

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  • Reset array keys in multidimensional array

    - by nbaumann
    I've been looking around for a solution to this with no real success. I have a multidimensional array of parents and children with no limits on depth. This is generated from a database but the issue is that the item ID becomes the key using my way of arranging a flat array into a multidimensional array like so: Array( [28] => Array ( [id] => 28 [color] => #ff24e5 [name] => Personal [parent_id] => [children] => Array ( [23] => Array ( [id] => 23 [color] => #41c3a3 [name] => Shopping [parent_id] => 28 [children] => Array ( [22] => Array ( [id] => 22 [color] => #8be32b [name] => Deals [parent_id] => 23 [children] => Array ( ) ) ) ) [150] => Array ( [id] => 150 [color] => #e9a3f0 [name] => Orders [parent_id] => 28 [children] => Array ( ) ) ) ) ) What I would like, is a function that does the following: Array ( [0] => Array ( [id] => 28 [color] => #ff24e5 [name] => Personal [parent_id] => [children] => Array ( [0] => Array ( [id] => 23 [color] => #41c3a3 [name] => Shopping [parent_id] => 28 [children] => Array ( [0] => Array ( [id] => 22 [color] => #8be32b [name] => Deals [user_id] => 1 [selected] => 0 [parent_id] => 23 [children] => Array ( ) ) ) ) [1] => Array ( [id] => 150 [color] => #e9a3f0 [name] => Orders [parent_id] => 28 [children] => Array ( ) ) ) ) ) Essentially reassign keys starting from 0. I've tried numerous methods, but I'm assuming that I need to find a recursive solution and when I tried that, it destroyed my array. I was reading up on the array_walk_recursive() function, but I don't quite know what to do beyond that. Essentially, is there a way to reset numeric keys in a multidimensional array? Thanks for the help!

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  • Resizing QT's QTextEdit to Match Text Height: maximumViewportSize()

    - by Aaron
    I am trying to use a QTextEdit widget inside of a form containing several QT widgets. The form itself sits inside a QScrollArea that is the central widget for a window. My intent is that any necessary scrolling will take place in the main QScrollArea (rather than inside any widgets), and any widgets inside will automatically resize their height to hold their contents. I have tried to implement the automatic resizing of height with a QTextEdit, but have run into an odd issue. I created a sub-class of QTextEdit and reimplemented sizeHint() like this: QSize OperationEditor::sizeHint() const { QSize sizehint = QTextBrowser::sizeHint(); sizehint.setHeight(this->fitted_height); return sizehint; } this-fitted_height is kept up-to-date via this slot that is wired to the QTextEdit's "contentsChanged()" signal: void OperationEditor::fitHeightToDocument() { this->document()->setTextWidth(this->viewport()->width()); QSize document_size(this->document()->size().toSize()); this->fitted_height = document_size.height(); this->updateGeometry(); } The size policy of the QTextEdit sub-class is: this->setSizePolicy(QSizePolicy::MinimumExpanding, QSizePolicy::Preferred); I took this approach after reading this post. Here is my problem: As the QTextEdit gradually resizes to fill the window, it stops getting larger and starts scrolling within the QTextEdit, no matter what height is returned from sizeHint(). If I initially have sizeHint() return some large constant number, then the QTextEdit is very big and is contained nicely within the outer QScrollArea, as one would expect. However, if sizeHint gradually adjusts the size of the QTextEdit rather than just making it really big to start, then it tops out when it fills the current window and starts scrolling instead of growing. I have traced this problem to be that, no matter what my sizeHint() returns, it will never resize the QTextEdit larger than the value returned from maximumViewportSize(), which is inherited from QAbstractScrollArea. Note that this is not the same number as viewport()-maximumSize(). I am unable to figure out how to set that value. Looking at QT's source code, maximumViewportSize() is returning "the size of the viewport as if the scroll bars had no valid scrolling range." This value is basically computed as the current size of the widget minus (2 * frameWidth + margins) plus any scrollbar widths/heights. This does not make a lot of sense to me, and it's not clear to me why that number would be used anywhere in a way that supercede's the sub-class's sizeHint() implementation. Also, it does seem odd that the single "frameWidth" integer is used in computing both the width and the height. Can anyone please shed some light on this? I suspect that my poor understanding of QT's layout engine is to blame here.

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  • Best programming aids for a quadriplegic programmer

    - by Peter Rowell
    Before you jump to conclusions, yes, this is programming related. It covers a situation that comes under the heading of, "There, but for the grace of God, go you or I." This is brand new territory for me so I'm asking for some serious help here. A young man, Honza Ripa, in a nearby town did the classic Dumb Thing two weeks after graduating from High School -- he dove into shallow water in the Russian River and had a C-4/C-5 break, sometimes called a Swimming Pool break. In a matter of seconds he went from an exceptional golfer and wrestler to a quadriplegic. (Read the story ... all of us should have been so lucky as to have a girlfriend like Brianna.) That was 10 months ago and he has regained only tiny amounts of control of his right index finger and a couple of other hand/foot motions, none of them fine-grained. His total control of his computer (currently running Win7, but we can change that as needed) is via voice command. Honza's not dumb. He had a 3.7 GPA with AP math and physics. The Problems: Since all of his input is via voice command, he is concerned that the predominance of special characters in programming will require vast amount of verbose commands. Does anyone know of any well done voice input system specifically designed for programmers? I'm thinking about something that might be modal--e.g. you say "Python input" and it goes into a macro mode for doing class definitions, etc. Given all of the RSI in programmer-land there's got to be something out there. What OS(es) does it run on? I am planning on teaching him Python, which is my preferred language for programming and teaching. Are there any applications / whatevers that are written in Python and would be a particularly good match for engaging him mentally while supporting his disability? One of his expressed interests is in stock investing, but that not might be a good starting point for a brand-new programmer. There are a lot of environments (Flash, JavaScript, etc) that are not particularly friendly to people with accessibility challenges. I vaguely remember (but cannot find) a research project that basically created an overlay system on top of a screen environment and then allowed macro command construction on top of the screen image. If we can get/train this system, we may be able to remove many hurdles to using the net. I am particularly interested in finding open source Python-based robotics and robotic prostheses projects so that he can simultaneously learn advanced programming concepts while learning to solve some of his own immediate problems. I've done a ton of googling on this, but I know there things I'm missing. I'm asking the SO community to step up to the plate here. I know this group has the answers, so let me hear them! Overwhelm me with the opportunities that any of us might have/need to still program after such a life-changing event.

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  • Can I force JAXB not to convert " into &quot;, for example, when marshalling to XML?

    - by Elliot
    I have an Object that is being marshalled to XML using JAXB. One element contains a String that includes quotes ("). The resulting XML has &quot; where the " existed. Even though this is normally preferred, I need my output to match a legacy system. How do I force JAXB to NOT convert the HTML entities? -- Thank you for the replies. However, I never see the handler escape() called. Can you take a look and see what I'm doing wrong? Thanks! package org.dc.model; import java.io.IOException; import java.io.Writer; import javax.xml.bind.JAXBContext; import javax.xml.bind.JAXBException; import javax.xml.bind.Marshaller; import org.dc.generated.Shiporder; import com.sun.xml.internal.bind.marshaller.CharacterEscapeHandler; public class PleaseWork { public void prettyPlease() throws JAXBException { Shiporder shipOrder = new Shiporder(); shipOrder.setOrderid("Order's ID"); shipOrder.setOrderperson("The woman said, \"How ya doin & stuff?\""); JAXBContext context = JAXBContext.newInstance("org.dc.generated"); Marshaller marshaller = context.createMarshaller(); marshaller.setProperty(Marshaller.JAXB_FORMATTED_OUTPUT, Boolean.TRUE); marshaller.setProperty(CharacterEscapeHandler.class.getName(), new CharacterEscapeHandler() { @Override public void escape(char[] ch, int start, int length, boolean isAttVal, Writer out) throws IOException { out.write("Called escape for characters = " + ch.toString()); } }); marshaller.marshal(shipOrder, System.out); } public static void main(String[] args) throws Exception { new PleaseWork().prettyPlease(); } } -- The output is this: <?xml version="1.0" encoding="UTF-8" standalone="yes"?> <shiporder orderid="Order's ID"> <orderperson>The woman said, &quot;How ya doin &amp; stuff?&quot;</orderperson> </shiporder> and as you can see, the callback is never displayed. (Once I get the callback being called, I'll worry about having it actually do what I want.) --

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  • Followup: Python 2.6, 3 abstract base class misunderstanding

    - by Aaron
    I asked a question at Python 2.6, 3 abstract base class misunderstanding. My problem was that python abstract base classes didn't work quite the way I expected them to. There was some discussion in the comments about why I would want to use ABCs at all, and Alex Martelli provided an excellent answer on why my use didn't work and how to accomplish what I wanted. Here I'd like to address why one might want to use ABCs, and show my test code implementation based on Alex's answer. tl;dr: Code after the 16th paragraph. In the discussion on the original post, statements were made along the lines that you don't need ABCs in Python, and that ABCs don't do anything and are therefore not real classes; they're merely interface definitions. An abstract base class is just a tool in your tool box. It's a design tool that's been around for many years, and a programming tool that is explicitly available in many programming languages. It can be implemented manually in languages that don't provide it. An ABC is always a real class, even when it doesn't do anything but define an interface, because specifying the interface is what an ABC does. If that was all an ABC could do, that would be enough reason to have it in your toolbox, but in Python and some other languages they can do more. The basic reason to use an ABC is when you have a number of classes that all do the same thing (have the same interface) but do it differently, and you want to guarantee that that complete interface is implemented in all objects. A user of your classes can rely on the interface being completely implemented in all classes. You can maintain this guarantee manually. Over time you may succeed. Or you might forget something. Before Python had ABCs you could guarantee it semi-manually, by throwing NotImplementedError in all the base class's interface methods; you must implement these methods in derived classes. This is only a partial solution, because you can still instantiate such a base class. A more complete solution is to use ABCs as provided in Python 2.6 and above. Template methods and other wrinkles and patterns are ideas whose implementation can be made easier with full-citizen ABCs. Another idea in the comments was that Python doesn't need ABCs (understood as a class that only defines an interface) because it has multiple inheritance. The implied reference there seems to be Java and its single inheritance. In Java you "get around" single inheritance by inheriting from one or more interfaces. Java uses the word "interface" in two ways. A "Java interface" is a class with method signatures but no implementations. The methods are the interface's "interface" in the more general, non-Java sense of the word. Yes, Python has multiple inheritance, so you don't need Java-like "interfaces" (ABCs) merely to provide sets of interface methods to a class. But that's not the only reason in software development to use ABCs. Most generally, you use an ABC to specify an interface (set of methods) that will likely be implemented differently in different derived classes, yet that all derived classes must have. Additionally, there may be no sensible default implementation for the base class to provide. Finally, even an ABC with almost no interface is still useful. We use something like it when we have multiple except clauses for a try. Many exceptions have exactly the same interface, with only two differences: the exception's string value, and the actual class of the exception. In many exception clauses we use nothing about the exception except its class to decide what to do; catching one type of exception we do one thing, and another except clause catching a different exception does another thing. According to the exception module's doc page, BaseException is not intended to be derived by any user defined exceptions. If ABCs had been a first class Python concept from the beginning, it's easy to imagine BaseException being specified as an ABC. But enough of that. Here's some 2.6 code that demonstrates how to use ABCs, and how to specify a list-like ABC. Examples are run in ipython, which I like much better than the python shell for day to day work; I only wish it was available for python3. Your basic 2.6 ABC: from abc import ABCMeta, abstractmethod class Super(): __metaclass__ = ABCMeta @abstractmethod def method1(self): pass Test it (in ipython, python shell would be similar): In [2]: a = Super() --------------------------------------------------------------------------- TypeError Traceback (most recent call last) /home/aaron/projects/test/<ipython console> in <module>() TypeError: Can't instantiate abstract class Super with abstract methods method1 Notice the end of the last line, where the TypeError exception tells us that method1 has not been implemented ("abstract methods method1"). That was the method designated as @abstractmethod in the preceding code. Create a subclass that inherits Super, implement method1 in the subclass and you're done. My problem, which caused me to ask the original question, was how to specify an ABC that itself defines a list interface. My naive solution was to make an ABC as above, and in the inheritance parentheses say (list). My assumption was that the class would still be abstract (can't instantiate it), and would be a list. That was wrong; inheriting from list made the class concrete, despite the abstract bits in the class definition. Alex suggested inheriting from collections.MutableSequence, which is abstract (and so doesn't make the class concrete) and list-like. I used collections.Sequence, which is also abstract but has a shorter interface and so was quicker to implement. First, Super derived from Sequence, with nothing extra: from abc import abstractmethod from collections import Sequence class Super(Sequence): pass Test it: In [6]: a = Super() --------------------------------------------------------------------------- TypeError Traceback (most recent call last) /home/aaron/projects/test/<ipython console> in <module>() TypeError: Can't instantiate abstract class Super with abstract methods __getitem__, __len__ We can't instantiate it. A list-like full-citizen ABC; yea! Again, notice in the last line that TypeError tells us why we can't instantiate it: __getitem__ and __len__ are abstract methods. They come from collections.Sequence. But, I want a bunch of subclasses that all act like immutable lists (which collections.Sequence essentially is), and that have their own implementations of my added interface methods. In particular, I don't want to implement my own list code, Python already did that for me. So first, let's implement the missing Sequence methods, in terms of Python's list type, so that all subclasses act as lists (Sequences). First let's see the signatures of the missing abstract methods: In [12]: help(Sequence.__getitem__) Help on method __getitem__ in module _abcoll: __getitem__(self, index) unbound _abcoll.Sequence method (END) In [14]: help(Sequence.__len__) Help on method __len__ in module _abcoll: __len__(self) unbound _abcoll.Sequence method (END) __getitem__ takes an index, and __len__ takes nothing. And the implementation (so far) is: from abc import abstractmethod from collections import Sequence class Super(Sequence): # Gives us a list member for ABC methods to use. def __init__(self): self._list = [] # Abstract method in Sequence, implemented in terms of list. def __getitem__(self, index): return self._list.__getitem__(index) # Abstract method in Sequence, implemented in terms of list. def __len__(self): return self._list.__len__() # Not required. Makes printing behave like a list. def __repr__(self): return self._list.__repr__() Test it: In [34]: a = Super() In [35]: a Out[35]: [] In [36]: print a [] In [37]: len(a) Out[37]: 0 In [38]: a[0] --------------------------------------------------------------------------- IndexError Traceback (most recent call last) /home/aaron/projects/test/<ipython console> in <module>() /home/aaron/projects/test/test.py in __getitem__(self, index) 10 # Abstract method in Sequence, implemented in terms of list. 11 def __getitem__(self, index): ---> 12 return self._list.__getitem__(index) 13 14 # Abstract method in Sequence, implemented in terms of list. IndexError: list index out of range Just like a list. It's not abstract (for the moment) because we implemented both of Sequence's abstract methods. Now I want to add my bit of interface, which will be abstract in Super and therefore required to implement in any subclasses. And we'll cut to the chase and add subclasses that inherit from our ABC Super. from abc import abstractmethod from collections import Sequence class Super(Sequence): # Gives us a list member for ABC methods to use. def __init__(self): self._list = [] # Abstract method in Sequence, implemented in terms of list. def __getitem__(self, index): return self._list.__getitem__(index) # Abstract method in Sequence, implemented in terms of list. def __len__(self): return self._list.__len__() # Not required. Makes printing behave like a list. def __repr__(self): return self._list.__repr__() @abstractmethod def method1(): pass class Sub0(Super): pass class Sub1(Super): def __init__(self): self._list = [1, 2, 3] def method1(self): return [x**2 for x in self._list] def method2(self): return [x/2.0 for x in self._list] class Sub2(Super): def __init__(self): self._list = [10, 20, 30, 40] def method1(self): return [x+2 for x in self._list] We've added a new abstract method to Super, method1. This makes Super abstract again. A new class Sub0 which inherits from Super but does not implement method1, so it's also an ABC. Two new classes Sub1 and Sub2, which both inherit from Super. They both implement method1 from Super, so they're not abstract. Both implementations of method1 are different. Sub1 and Sub2 also both initialize themselves differently; in real life they might initialize themselves wildly differently. So you have two subclasses which both "is a" Super (they both implement Super's required interface) although their implementations are different. Also remember that Super, although an ABC, provides four non-abstract methods. So Super provides two things to subclasses: an implementation of collections.Sequence, and an additional abstract interface (the one abstract method) that subclasses must implement. Also, class Sub1 implements an additional method, method2, which is not part of Super's interface. Sub1 "is a" Super, but it also has additional capabilities. Test it: In [52]: a = Super() --------------------------------------------------------------------------- TypeError Traceback (most recent call last) /home/aaron/projects/test/<ipython console> in <module>() TypeError: Can't instantiate abstract class Super with abstract methods method1 In [53]: a = Sub0() --------------------------------------------------------------------------- TypeError Traceback (most recent call last) /home/aaron/projects/test/<ipython console> in <module>() TypeError: Can't instantiate abstract class Sub0 with abstract methods method1 In [54]: a = Sub1() In [55]: a Out[55]: [1, 2, 3] In [56]: b = Sub2() In [57]: b Out[57]: [10, 20, 30, 40] In [58]: print a, b [1, 2, 3] [10, 20, 30, 40] In [59]: a, b Out[59]: ([1, 2, 3], [10, 20, 30, 40]) In [60]: a.method1() Out[60]: [1, 4, 9] In [61]: b.method1() Out[61]: [12, 22, 32, 42] In [62]: a.method2() Out[62]: [0.5, 1.0, 1.5] [63]: a[:2] Out[63]: [1, 2] In [64]: a[0] = 5 --------------------------------------------------------------------------- TypeError Traceback (most recent call last) /home/aaron/projects/test/<ipython console> in <module>() TypeError: 'Sub1' object does not support item assignment Super and Sub0 are abstract and can't be instantiated (lines 52 and 53). Sub1 and Sub2 are concrete and have an immutable Sequence interface (54 through 59). Sub1 and Sub2 are instantiated differently, and their method1 implementations are different (60, 61). Sub1 includes an additional method2, beyond what's required by Super (62). Any concrete Super acts like a list/Sequence (63). A collections.Sequence is immutable (64). Finally, a wart: In [65]: a._list Out[65]: [1, 2, 3] In [66]: a._list = [] In [67]: a Out[67]: [] Super._list is spelled with a single underscore. Double underscore would have protected it from this last bit, but would have broken the implementation of methods in subclasses. Not sure why; I think because double underscore is private, and private means private. So ultimately this whole scheme relies on a gentleman's agreement not to reach in and muck with Super._list directly, as in line 65 above. Would love to know if there's a safer way to do that.

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  • XCode linking error when targeting armv7.

    - by Tom
    I've already spent countless hours puzzling over this, utilizing Google searches and other Stack Overflow questions to no avail. I have an iPhone/iPad universal application, which seems to compile fine when the target is armv6. However, when the device is iPad, I get this warning: warning: building for SDK 'Device - iPhone OS 3.2' requires an armv7 architecture. Oddly enough, the app still runs great on iPad in spite of this warning. However, I do want to do things the "right way" what ever that means in this case. When I switch the target architecture to armv7, I get linking errors: "___restore_vfp_d8_d15_regs", referenced from: *redacted* "___save_vfp_d8_d15_regs", referenced from: *redacted* ld: symbol(s) not found collect2: ld returned 1 exit status The "redacted" portions of the errors are references to the static library to which I'm trying to link. Here's what I've tried from the many suggestions online. Each of these were suggested more than once without any explanation, which leads me to believe nobody quite understands this problem: "Never use the drop down menu in the upper left of the XCode window to choose the target. Instead, set this to Base SDK and then the Base SDK to iPhone OS 3.0 in the target configuration. Set the target device to your preferred target (iPad, iPhone OS 3.2 in my situation.)" This yields the error "Library not found for -lcrt1.3.1.o" "Make sure that GCC isn't linking against the wrong version of the standard library. (You'll have to make sure the LIBRARY_SEARCH_PATH doesn't have the wrong path in it.)" My LIBRARY_SEARCH_PATH is already empty, so this doesn't seem relevant. "Try compiling with GCC 4.0 rather than GCC 4.2." I get a syntax error inside a UIKit header file. The error is "Syntax error before 'AT_NAME' token." The line is "UIKIT_EXTERN @interface UILocalizedIndexedCollation : NSObject." Another project compiles just fine with the same target settings, which is really making me question my sanity. Could I be dealing with a corrupt XCode project? If anyone knows what's actually happening and has a reference or doesn't mind explaining it, I would be so very grateful. Cheers!

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  • EJB3 Transaction Propogation

    - by Matt S.
    I have a stateless bean something like: @Stateless public class MyStatelessBean implements MyStatelessLocal, MyStatelessRemote { @PersistenceContext(unitName="myPC") private EntityManager mgr; @TransationAttribute(TransactionAttributeType.SUPPORTED) public void processObjects(List<Object> objs) { // this method just processes the data; no need for a transaction for(Object obj : objs) { this.process(obj); } } @TransationAttribute(TransactionAttributeType.REQUIRES_NEW) public void process(Object obj) { // do some work with obj that must be in the scope of a transaction this.mgr.merge(obj); // ... this.mgr.merge(obj); // ... this.mgr.flush(); } } The typically usage then is the client would call processObjects(...), which doesn't actually interact with the entity manager. It does what it needs to do and calls process(...) individually for each object to process. The duration of process(...) is relatively short, but processObjects(...) could take a very long time to run through everything. Therefore I don't want it to maintain an open transaction. I do need the individual process(...) operations to operate within their own transaction. This should be a new transaction for every call. Lastly I'd like to keep the option open for the client to call process(...) directly. I've tried a number of different transaction types: never, not supported, supported (on processObjects) and required, requires new (on process) but I get TransactionRequiredException every time merge() is called. I've been able to make it work by splitting up the methods into two different beans: @Stateless @TransationAttribute(TransactionAttributeType.NOT_SUPPORTED) public class MyStatelessBean1 implements MyStatelessLocal1, MyStatelessRemote1 { @EJB private MyStatelessBean2 myBean2; public void processObjects(List<Object> objs) { // this method just processes the data; no need for a transaction for(Object obj : objs) { this.myBean2.process(obj); } } } @Stateless public class MyStatelessBean2 implements MyStatelessLocal2, MyStatelessRemote2 { @PersistenceContext(unitName="myPC") private EntityManager mgr; @TransationAttribute(TransactionAttributeType.REQUIRES_NEW) public void process(Object obj) { // do some work with obj that must be in the scope of a transaction this.mgr.merge(obj); // ... this.mgr.merge(obj); // ... this.mgr.flush(); } } but I'm still curious if it's possible to accomplish this in one class. It looks to me like the transaction manager only operates at the bean level, even when individual methods are given more specific annotations. So if I mark one method in a way to prevent the transaction from starting calling other methods within that same instance will also not create a transaction, no matter how they're marked? I'm using JBoss Application Server 4.2.1.GA, but non-specific answers are welcome / preferred.

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  • Svcutil generating bad config with multiple endpoints

    - by vfilby
    I have a WCF service that has exposed a soap and an xml endpoint. When I use svcutil to generate the proxy code on the client side the generated configuration contains two endpoints which causes the client to fail. If I edit the web.config file and remove the second endpoint (with the custom binding) all works as expected. Is there a way I can get svcutil to generate a config that just works so that I don't need to hand edit the file everytime? Client-side error: An endpoint configuration section for contract 'MyNamespace.ITestService' could not be loaded because more than one endpoint configuration for that contract was found. Please indicate the preferred endpoint configuration section by name. Svcutil command: svcutil http://api.local/Test.svc /reference:bin\MyNamespace.Interface.dll /config:web.config /mergeConfig /out:"Service References\TestService.cs" /n:*,MyNamespace Generated client config: <system.serviceModel> <bindings> <basicHttpBinding> <binding name="BasicHttpBinding_ITestService" closeTimeout="00:01:00" openTimeout="00:01:00" receiveTimeout="00:10:00" sendTimeout="00:01:00" allowCookies="false" bypassProxyOnLocal="false" hostNameComparisonMode="StrongWildcard" maxBufferSize="65536" maxBufferPoolSize="524288" maxReceivedMessageSize="65536" messageEncoding="Text" textEncoding="utf-8" transferMode="Buffered" useDefaultWebProxy="true"> <readerQuotas maxDepth="32" maxStringContentLength="8192" maxArrayLength="16384" maxBytesPerRead="4096" maxNameTableCharCount="16384" /> <security mode="None"> <transport clientCredentialType="None" proxyCredentialType="None" realm="" /> <message clientCredentialType="UserName" algorithmSuite="Default" /> </security> </binding> </basicHttpBinding> <customBinding> <binding name="CustomBinding_ITestService"> <textMessageEncoding maxReadPoolSize="64" maxWritePoolSize="16" messageVersion="Soap12" writeEncoding="utf-8"> <readerQuotas maxDepth="32" maxStringContentLength="8192" maxArrayLength="16384" maxBytesPerRead="4096" maxNameTableCharCount="16384" /> </textMessageEncoding> </binding> </customBinding> </bindings> <client> <endpoint address="http://api2.local/Test.svc/soap" binding="basicHttpBinding" bindingConfiguration="BasicHttpBinding_ITestService" contract="MyNamespace.ITestService" name="BasicHttpBinding_ITestService" /> <endpoint binding="customBinding" bindingConfiguration="CustomBinding_ITestService" contract="MyNamespace.ITestService" name="CustomBinding_ITestService" /> </client> </system.serviceModel>

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  • Succinct introduction to C++/CLI for C#/Haskell/F#/JS/C++/... programmer

    - by Henrik
    Hello everybody, I'm trying to write integrations with the operating system and with things like active directory and Ocropus. I know a bunch of programming languages, including those listed in the title. I'm trying to learn exactly how C++/CLI works, but can't find succinct, exact and accurate descriptions online from the searching that I have done. So I ask here. Could you tell me the pitfalls and features of C++/CLI? Assume I know all of C# and start from there. I'm not an expert in C++, so some of my questions' answers might be "just like C++", but could say that I am at C#. I would like to know things like: Converting C++ pointers to CLI pointers, Any differences in passing by value/doubly indirect pointers/CLI pointers from C#/C++ and what is 'recommended'. How do gcnew, __gc, __nogc work with Polymorphism Structs Inner classes Interfaces The "fixed" keyword; does that exist? Compiling DLLs loaded into the kernel with C++/CLI possible? Loaded as device drivers? Invoked by the kernel? What does this mean anyway (i.e. to load something into the kernel exactly; how do I know if it is?)? L"my string" versus "my string"? wchar_t? How many types of chars are there? Are we safe in treating chars as uint32s or what should one treat them as to guarantee language indifference in code? Finalizers (~ClassName() {}) are discouraged in C# because there are no garantuees they will run deterministically, but since in C++ I have to use "delete" or use copy-c'tors as to stack allocate memory, what are the recommendations between C#/C++ interactions? What are the pitfalls when using reflection in C++/CLI? How well does C++/CLI work with the IDisposable pattern and with SafeHandle, SafeHandleZeroOrMinusOneIsInvalid? I've read briefly about asynchronous exceptions when doing DMA-operations, what are these? Are there limitations you impose upon yourself when using C++ with CLI integration rather than just doing plain C++? Attributes in C++ similar to Attributes in C#? Can I use the full meta-programming patterns available in C++ through templates now and still have it compile like ordinary C++? Have you tried writing C++/CLI with boost? What are the optimal ways of interfacing the boost library with C++/CLI; can you give me an example of passing a lambda expression to an iterator/foldr function? What is the preferred way of exception handling? Can C++/CLI catch managed exceptions now? How well does dynamic IL generation work with C++/CLI? Does it run on Mono? Any other things I ought to know about?

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  • Succinct introduction to C++/CLI for C#/Haskell/F#/JS/C++/... programmer

    - by Henrik
    Hello everybody, I'm trying to write integrations with the operating system and with things like active directory and Ocropus. I know a bunch of programming languages, including those listed in the title. I'm trying to learn exactly how C++/CLI works, but can't find succinct, exact and accurate descriptions online from the searching that I have done. So I ask here. Could you tell me the pitfalls and features of C++/CLI? Assume I know all of C# and start from there. I'm not an expert in C++, so some of my questions' answers might be "just like C++", but could say that I am at C#. I would like to know things like: Converting C++ pointers to CLI pointers, Any differences in passing by value/doubly indirect pointers/CLI pointers from C#/C++ and what is 'recommended'. How do gcnew, __gc, __nogc work with Polymorphism Structs Inner classes Interfaces The "fixed" keyword; does that exist? Compiling DLLs loaded into the kernel with C++/CLI possible? Loaded as device drivers? Invoked by the kernel? What does this mean anyway (i.e. to load something into the kernel exactly; how do I know if it is?)? L"my string" versus "my string"? wchar_t? How many types of chars are there? Are we safe in treating chars as uint32s or what should one treat them as to guarantee language indifference in code? Finalizers (~ClassName() {}) are discouraged in C# because there are no garantuees they will run deterministically, but since in C++ I have to use "delete" or use copy-c'tors as to stack allocate memory, what are the recommendations between C#/C++ interactions? What are the pitfalls when using reflection in C++/CLI? How well does C++/CLI work with the IDisposable pattern and with SafeHandle, SafeHandleZeroOrMinusOneIsInvalid? I've read briefly about asynchronous exceptions when doing DMA-operations, what are these? Are there limitations you impose upon yourself when using C++ with CLI integration rather than just doing plain C++? Attributes in C++ similar to Attributes in C#? Can I use the full meta-programming patterns available in C++ through templates now and still have it compile like ordinary C++? Have you tried writing C++/CLI with boost? What are the optimal ways of interfacing the boost library with C++/CLI; can you give me an example of passing a lambda expression to an iterator/foldr function? What is the preferred way of exception handling? Can C++/CLI catch managed exceptions now? How well does dynamic IL generation work with C++/CLI? Does it run on Mono? Any other things I ought to know about?

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  • Help with starting up my thin server with Sinatra

    - by enedi
    Hi All, I'm a newcomer trying to get my feet wet with Ruby and Sinatra. I followed the Slicehost articles in getting Ruby 1.9.1 setup along with Thin 1.2.7 with a reverse proxy to Nginx. Most things were going pretty smooth until I tried to start up my thin server. This is the output I get from my logs: $ sudo thin -C config.yml -R config.ru start /home/user/public_html/testapp/config.ru:9:in `block in <main>': undefined method `application' for Sinatra:Module (NoMethodError) from /var/lib/gems/1.9.1/gems/rack-1.1.0/lib/rack/builder.rb:46:in `instance_eval' from /var/lib/gems/1.9.1/gems/rack-1.1.0/lib/rack/builder.rb:46:in `initialize' from /home/user/public_html/testapp/config.ru:1:in `new' from /home/user/public_html/testapp/config.ru:1:in `<main>' from /var/lib/gems/1.9.1/gems/thin-1.2.7/lib/rack/adapter/loader.rb:36:in `eval' from /var/lib/gems/1.9.1/gems/thin-1.2.7/lib/rack/adapter/loader.rb:36:in `load' from /var/lib/gems/1.9.1/gems/thin-1.2.7/lib/thin/controllers/controller.rb:175:in `load_rackup_config' from /var/lib/gems/1.9.1/gems/thin-1.2.7/lib/thin/controllers/controller.rb:65:in `start' from /var/lib/gems/1.9.1/gems/thin-1.2.7/lib/thin/runner.rb:177:in `run_command' from /var/lib/gems/1.9.1/gems/thin-1.2.7/lib/thin/runner.rb:143:in `run!' from /var/lib/gems/1.9.1/gems/thin-1.2.7/bin/thin:6:in `<top (required)>' from /usr/bin/thin:19:in `load' from /usr/bin/thin:19:in `<main>' I can post my config.yml, config.ru and myapp.rb, where my Sinatra code resides (it's basically the sample code ripped from the top of the Sinatra book), if anyone needs to see it, but if you have any ideas on what's going on based on that log itself, I'd appreciate it, as I couldn't find anything on the world wide Google. Also, is this still the preferred way of running Sinatra on thin? I can get the app working with just running it through Ruby itself: $ ruby myapp.rb == Sinatra/1.0 has taken the stage on 4567 for development with backup from Thin This allows me to see my pages in my sandbox. Thank you, all.

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  • ASP.NET Client to Server communication

    - by Nelson
    Can you help me make sense of all the different ways to communicate from browser to client in ASP.NET? I have made this a community wiki so feel free to edit my post to improve it. Specifically, I'm trying to understand in which scenario to use each one by listing how each works. I'm a little fuzzy on UpdatePanel vs CallBack (with ViewState): I know UpdatePanel always returns HTML while CallBack can return JSON. Any other major differences? ...and CallBack (without ViewState) vs WebMethod. CallBack goes through most of the Page lifecycle, WebMethod doesn't. Any other major differences? IHttpHandler Custom handler for anything (page, image, etc.) Only does what you tell it to do (light server processing) Page is an implementation of IHttpHandler If you don't need what Page provides, create a custom IHttpHandler If you are using Page but overriding Render() and not generating HTML, you probably can do it with a custom IHttpHandler (e.g. writing binary data such as images) By default can use the .axd or .ashx file extensions -- both are functionally similar .ashx doesn't have any built-in endpoints, so it's preferred by convention Regular PostBack (System.Web.UI.Page : IHttpHandler) Inherits Page Full PostBack, including ViewState and HTML control values (heavy traffic) Full Page lifecycle (heavy server processing) No JavaScript required Webpage flickers/scrolls since everything is reloaded in browser Returns full page HTML (heavy traffic) UpdatePanel (Control) Control inside Page Full PostBack, including ViewState and HTML control values (heavy traffic) Full Page lifecycle (heavy server processing) Controls outside the UpdatePanel do Render(NullTextWriter) Must use ScriptManager If no client-side JavaScript, it can fall back to regular PostBack with no JavaScript (?) No flicker/scroll since it's an async call, unless it falls back to regular postback. Can be used with master pages and user controls Has built-in support for progress bar Returns HTML for controls inside UpdatePanel (medium traffic) Client CallBack (Page, System.Web.UI.ICallbackEventHandler) Inherits Page Most of Page lifecycle (heavy server processing) Takes only data you specify (light traffic) and optionally ViewState (?) (medium traffic) Client must support JavaScript and use ScriptManager No flicker/scroll since it's an async call Can be used with master pages and user controls Returns only data you specify in format you specify (e.g. JSON, XML...) (?) (light traffic) WebMethod Class implements System.Web.Service.WebService HttpContext available through this.Context Takes only data you specify (light traffic) Server only runs the called method (light server processing) Client must support JavaScript No flicker/scroll since it's an async call Can be used with master pages and user controls Returns only data you specify, typically JSON (light traffic) Can create instance of server control to render HTML and sent back as string, but events, paging in GridView, etc. won't work PageMethods Essentially a WebMethod contained in the Page class, so most of WebMethod's bullet's apply Method must be public static, therefore no Page instance accessible HttpContext available through HttpContext.Current Accessed directly by URL Page.aspx/MethodName (e.g. with XMLHttpRequest directly or with library such as jQuery) Setting ScriptManager property EnablePageMethods="True" generates a JavaScript proxy for each WebMethod Cannot be used directly in user controls with master pages and user controls Any others?

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  • Symfony: embedRelation() controlling options for nesting multiple levels of relations

    - by wulftone
    Hey all, I'm trying to set some conditional statements for nested embedRelation() instances, and can't find a way to get any kind of option through to the second embedRelation. I've got a "Measure-Page-Question" table relationship, and I'd like to be able to choose whether or not to display the Question table. For example, say I have two "success" pages, page1Success.php and page2Success.php. On page1, I'd like to display "Measure-Page-Question", and on page2, I'd like to display "Measure-Page", but I need a way to pass an "option" to the PageForm.class.php file to make that kind of decision. My actions.class.php file has something like this: // actions.class.php $this-form = new measureForm($measure, array('option'=$option)); to pass an option to the "Page", but passing that option through "Page" into "Question" doesn't work. My measureForm.class.php file has an embedRelation in it that is dependent on the "option": // measureForm.class.php if ($this-getOption('option') == "page_1") { $this-embedRelation('Page'); } and this is what i'd like to do in my pageForm.class.php file: // pageForm.class.php if ($this-getOption('option') == "page_1") { // Or != "page_2", or whatever $this-embedRelation('Question'); } I can't seem to find a way to do this. Any ideas? Is there a preferred Symfony way of doing this type of operation, perhaps without embedRelation? Thanks, -Trevor As requested, here's my schema.yml: # schema.yml Measure: connection: doctrine tableName: measure columns: _kp_mid: type: integer(4) fixed: false unsigned: false primary: true autoincrement: true description: type: string() fixed: false unsigned: false primary: false notnull: false autoincrement: false frequency: type: integer(4) fixed: false unsigned: false primary: false notnull: false autoincrement: false relations: Page: local: _kp_mid foreign: _kf_mid type: many Page: connection: doctrine tableName: page columns: _kp_pid: type: integer(4) fixed: false unsigned: false primary: true autoincrement: true _kf_mid: type: integer(4) fixed: false unsigned: false primary: false notnull: false autoincrement: false next: type: string() fixed: false unsigned: false primary: false notnull: false autoincrement: false number: type: string() fixed: false unsigned: false primary: false notnull: false autoincrement: false previous: type: string() fixed: false unsigned: false primary: false notnull: false autoincrement: false relations: Measure: local: _kf_mid foreign: _kp_mid type: one Question: local: _kp_pid foreign: _kf_pid type: many Question: connection: doctrine tableName: question columns: _kp_qid: type: integer(4) fixed: false unsigned: false primary: true autoincrement: true _kf_pid: type: integer(4) fixed: false unsigned: false primary: false notnull: false autoincrement: false text: type: string() fixed: false unsigned: false primary: false notnull: false autoincrement: false type: type: integer(4) fixed: false unsigned: false primary: false notnull: false autoincrement: false relations: Page: local: _kf_pid foreign: _kp_pid type: one

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  • Algorithm to Render a Horizontal Binary-ish Tree in Text/ASCII form

    - by Justin L.
    It's a pretty normal binary tree, except for the fact that one of the nodes may be empty. I'd like to find a way to output it in a horizontal way (that is, the root node is on the left and expands to the right). I've had some experience expanding trees vertically (root node at the top, expanding downwards), but I'm not sure where to start, in this case. Preferably, it would follow these couple of rules: If a node has only one child, it can be skipped as redundant (an "end node", with no children, is always displayed) All nodes of the same depth must be aligned vertically; all nodes must be to the right of all less-deep nodes and to the left of all deeper nodes. Nodes have a string representation which includes their depth. Each "end node" has its own unique line; that is, the number of lines is the number of end nodes in the tree, and when an end node is on a line, there may be nothing else on that line after that end node. As a consequence of the last rule, the root node should be in either the top left or the bottom left corner; top left is preferred. For example, this is a valid tree, with six end nodes (node is represented by a name, and its depth): [a0]------------[b3]------[c5]------[d8] \ \ \----------[e9] \ \----[f5] \--[g1]--------[h4]------[i6] \ \--------------------[j10] \-[k3] Which represents the horizontal, explicit binary tree: 0 a / \ 1 g * / \ \ 2 * * * / \ \ 3 k * b / / \ 4 h * * / \ \ \ 5 * * f c / \ / \ 6 * i * * / / \ 7 * * * / / \ 8 * * d / / 9 * e / 10 j (branches folded for compactness; * representing redundant, one-child nodes; note that *'s are actual nodes, storing one child each, just with names omitted here for presentation sake) (also, to clarify, I'd like to generate the first, horizontal tree; not this vertical tree) I say language-agnostic because I'm just looking for an algorithm; I say ruby because I'm eventually going to have to implement it in ruby anyway. Assume that each Node data structure stores only its id, a left node, and a right node. A master Tree class keeps tracks of all nodes and has adequate algorithms to find: A node's nth ancestor A node's nth descendant The generation of a node The lowest common ancestor of two given nodes Anyone have any ideas of where I could start? Should I go for the recursive approach? Iterative?

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  • SQLAlchemy unsupported type error - and table design issues?

    - by Az
    Hi there, back again with some more SQLAlchemy shenanigans. Let me step through this. My table is now set up as so: engine = create_engine('sqlite:///:memory:', echo=False) metadata = MetaData() students_table = Table('studs', metadata, Column('sid', Integer, primary_key=True), Column('name', String), Column('preferences', Integer), Column('allocated_rank', Integer), Column('allocated_project', Integer) ) metadata.create_all(engine) mapper(Student, students_table) Fairly simple, and for the most part I've been enjoying the ability to query almost any bit of information I want provided I avoid the error cases below. The class it is mapped from is: class Student(object): def __init__(self, sid, name): self.sid = sid self.name = name self.preferences = collections.defaultdict(set) self.allocated_project = None self.allocated_rank = 0 def __repr__(self): return str(self) def __str__(self): return "%s %s" %(self.sid, self.name) Explanation: preferences is basically a set of all the projects the student would prefer to be assigned. When the allocation algorithm kicks in, a student's allocated_project emerges from this preference set. Now if I try to do this: for student in students.itervalues(): session.add(student) session.commit() It throws two errors, one for the allocated_project column (seen below) and a similar error for the preferences column: sqlalchemy.exc.InterfaceError: (InterfaceError) Error binding parameter 4 - probably unsupported type. u'INSERT INTO studs (sid, name, allocated_rank, allocated_project) VALUES (?, ?, ?, ?, ?, ?, ?)' [1101, 'Muffett,M.', 1, 888 Human-spider relationships (Supervisor id: 123)] If I go back into my code I find that, when I'm copying the preferences from the given text files, it actually refers to the Project class which is mapped to a dictionary, using the unique project id's (pid) as keys. Thus, as I iterate through each student via their rank and to the preferences set, it adds not a project id, but the reference to the project id from the projects dictionary. students[sid].preferences[int(rank)].add(projects[int(pid)]) Now this is very useful to me since I can find out all I want to about a student's preferred projects without having to run another check to pull up information about the project id. The form you see in the error has the object print information passed as: return "%s %s (Supervisor id: %s)" %(self.proj_id, self.proj_name, self.proj_sup) My questions are: I'm trying to store an object in a database field aren't I? Would the correct way then, be copying the project information (project id, name, etc) into its own table, referenced by the unique project id? That way I can just have the project id field for one of the student tables just be an integer id and when I need more information, just join the tables? So and so forth for other tables? If the above makes sense, then how does one maintain the relationship with a column of information in one table which is a key index on another table? Does this boil down into a database design problem? Are there any other elegant ways of accomplishing this? Apologies if this is a very long-winded question. It's rather crucial for me to solve this, so I've tried to explain as much as I can, whilst attempting to show that I'm trying (key word here sadly) to understand what could be going wrong.

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  • jboss connection pooling

    - by Web
    I have a question related to Prepared Steatement pooling (across all connections). Here's the config file <datasources> <local-tx-datasource> <jndi-name>JNDI-NAME</jndi-name> <connection-url>jdbc:mysql://<server_name>/<database_name>?useServerPrepStmts=true</connection-url> <driver-class>com.mysql.jdbc.Driver</driver-class> <user-name>xxx</user-name> <password>xxxxx</password> <min-pool-size>10</min-pool-size> <max-pool-size>20</max-pool-size> <idle-timeout-minutes>20</idle-timeout-minutes> <exception-sorter-class-name>org.jboss.resource.adapter.jdbc.vendor.MySQLExceptionSorter</exception-sorter-class-name> <valid-connection-checker-class-name>org.jboss.resource.adapter.jdbc.vendor.MySQLValidConnectionChecker</valid-connection-checker-class-name> <background-validation>true</background-validation> <background-validation-minutes>5</background-validation-minutes> <prepared-statement-cache-size>100</prepared-statement-cache-size> <share-prepared-statements>true</share-prepared-statements> <!-- sql to call when connection is created <new-connection-sql>some arbitrary sql</new-connection-sql> --> <!-- sql to call on an existing pooled connection when it is obtained from pool - MySQLValidConnectionChecker is preferred for newer drivers <check-valid-connection-sql>some arbitrary sql</check-valid-connection-sql> --> <!-- corresponding type-mapping in the standardjbosscmp-jdbc.xml --> <metadata> <type-mapping>mySQL</type-mapping> </metadata> </local-tx-datasource> </datasources> It seems that this line: <background-validation-minutes>5</background-validation-minutes> doesn't cause any problems with Prepared Statements, but: <idle-timeout-minutes>20</idle-timeout-minutes> causes that all connections are removed and re-created if there was no traffic for the last 20 minutes. Because of that existing Prepared Statements are removed from the pool of cached Prepared Statements. How to overcome this issue? I have to use idle-timeout-minutes because MySQL server closes the connection after 8h

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  • Setting up Netbeans/Eclipse for Linux Kernel Development

    - by red.october
    Hi: I'm doing some Linux kernel development, and I'm trying to use Netbeans. Despite declared support for Make-based C projects, I cannot create a fully functional Netbeans project. This is despite compiling having Netbeans analyze a kernel binary that was compiled with full debugging information. Problems include: files are wrongly excluded: Some files are incorrectly greyed out in the project, which means Netbeans does not believe they should be included in the project, when in fact they are compiled into the kernel. The main problem is that Netbeans will miss any definitions that exist in these files, such as data structures and functions, but also miss macro definitions. cannot find definitions: Pretty self-explanatory - often times, Netbeans cannot find the definition of something. This is partly a result of the above problem. can't find header files: self-explanatory I'm wondering if anyone has had success with setting up Netbeans for Linux kernel development, and if so, what settings they used. Ultimately, I'm looking for Netbeans to be able to either parse the Makefile (preferred) or extract the debug information from the binary (less desirable, since this can significantly slow down compilation), and automatically determine which files are actually compiled and which macros are actually defined. Then, based on this, I would like to be able to find the definitions of any data structure, variable, function, etc. and have complete auto-completion. Let me preface this question with some points: I'm not interested in solutions involving Vim/Emacs. I know some people like them, but I'm not one of them. As the title suggest, I would be also happy to know how to set-up Eclipse to do what I need While I would prefer perfect coverage, something that only misses one in a million definitions is obviously fine SO's useful "Related Questions" feature has informed me that the following question is related: http://stackoverflow.com/questions/149321/what-ide-would-be-good-for-linux-kernel-driver-development. Upon reading it, the question is more of a comparison between IDE's, whereas I'm looking for how to set-up a particular IDE. Even so, the user Wade Mealing seems to have some expertise in working with Eclipse on this kind of development, so I would certainly appreciate his (and of course all of your) answers. Cheers

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