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  • Saving a list of items in Application State ASP.NET MVC ?

    - by Calibre2010
    Hi Guys, I'm having a bit of trouble with knowing how I can save items from a list I have in Application state in the global.asax as- Application[""]. My controller basically takes in some user input, I then pass this to another classes Method as parameters it gets added to a list all the time. This data thats getting added to the list I want to store it, but without using a db. By using Application State. . I have been instantiating this class and calling its method to return the list of items but I dont think Application State is saving it. Here is what I have so far. . protected void Application_Start() { RegisterRoutes(RouteTable.Routes); TimeLineInformation t = new TimeLineInformation(); IList<SWTimeEnvInfoDTO> g = t.getInfo(); Application["AppID"] = g; } ^ Global.asax IList<SWTimeEnvInfoDTO> result = new List<SWTimeEnvInfoDTO>(); public void returnTimeLineInfo(string SWrelease, string EnvName, DateTime SDate, DateTime EDate) { SWTimeEnvInfoDTO myDTO = new SWTimeEnvInfoDTO(); myDTO.softwareReleaseName = SWrelease; myDTO.environmentName = EnvName; myDTO.StartDate = SDate; myDTO.EndDate = EDate; result.Add(myDTO); getInfo(); } public IList<SWTimeEnvInfoDTO> getInfo() { return result; } ^ class im calling The SWTimeEnvInfoDTO type has get and set methods for the data. I am calling the application from a View as well. It works with a string Application["AppID"] = "fgt"; and shows this once i read it from my view.

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  • Can get members, but not count of NSMutableArray

    - by Curyous
    I'm filling an NSMutableArray from a CoreData call. I can get the first object, but when I try to get the count, the app crashes with Program received signal: “EXC_BAD_ACCESS”. How can I get the count? Here's the relevant code - I've put a comment on the line where it crashes. - (void)viewDidLoad { [super viewDidLoad]; managedObjectContext = [[MySingleton sharedInstance] managedObjectContext]; if (managedObjectContext != nil) { charactersRequest = [[NSFetchRequest alloc] init]; charactersEntity = [NSEntityDescription entityForName:@"Character" inManagedObjectContext:managedObjectContext]; [charactersEntity retain]; [charactersRequest setEntity:charactersEntity]; [charactersRequest retain]; NSError *error; characters = [[managedObjectContext executeFetchRequest:charactersRequest error:&error] mutableCopy]; if (characters == nil) { NSLog(@"Did not get results for characters: %@", error.localizedDescription); } else { [characters retain]; NSLog(@"Found some character(s)."); Character* character = (Character *)[characters objectAtIndex:0]; NSLog(@"Name of first one: %@", character.name); NSLog(@"Found %@ character(s).", characters.count); // Crashes on this line with - Program received signal: “EXC_BAD_ACCESS”. } } } And previous declarations from the header file: @interface CrowdViewController : UITableViewController { NSManagedObjectContext *managedObjectContext; NSFetchRequest *charactersRequest; NSEntityDescription *charactersEntity; NSMutableArray *characters; } I'm a bit perplexed and would really appreciate finding out what is going on.

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  • jQuery Accordion + Anchor Tag 'stuck as block' bug?

    - by DA
    Sample page: http://jsbin.com/ohuze/2 This is a simple jQuery UI Accordion. Each accordion panel has an UL (an OL works the same) with this markup: <ol> <li><a href="">Lorep ipsum dolor lorem ipsum dolor lorem ipsum dolor</a>?</li> <li><a href="">Lorep ipsum dolor lorem ipsum dolor lorem ipsum dolor</a>?</li> </ol> In IE6, you'll see that the <a> tag appears to be getting rendered as a block element, so the question mark ends up being pushed outside and not at the end of the line of text. In addition, the bullet and/or list item number is now bottom-aligned with the text rather than top-aligned. I've narrowed it down to the javascript that executes to make the accordion. It's not an issue with jQuery's CSS as disabling that, alone, doesn't resolve the issue. Anyone know what might be going on in IE6 to cause this rendering issue? UPDATE: Apparently, this is also an IE7 issue. UPDATE 2: After some more playing, I've narrowed things down a bit more: the bug has nothing to do with lists. The issue is any anchor tag within a jQuery Accordion will appear as display: block (even though it appears that the CSS still indicates display: inline) the bug has nothing to do with the actual CSS that jQuery UI uses to create the accordion. I created a test page that uses the fully rendered jQuery Accordion post-processed source code and the accompanying CSS. In that situation, the anchor tags remain inline. In conclusion: It appears that the process of rendering the accordion via javascript is messing up the display of the anchor tags. It may be a show/hide issue?

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  • Custom Android control with children

    - by Gromix
    Hi, I'm trying to create a custom Android control that contains a LinearLayout. You can think of it as an extended LinearLayout with fancy borders, a background, an image on the left... I could do it all in XML (works great) but since I have dozens of occurences in my app it's getting hard to maintain. I thought it would be nicer to have something like this: /* Main.xml */ <MyFancyLayout> <TextView /> /* what goes inside my control's linear layout */ </MyfancyLayout> How would you approach this? I'd like to avoid re-writing the whole linear layout onMeasure / onLayout methods. This is what I have for the moment: /* MyFancyLayout.xml */ <TableLayout> <ImageView /> <LinearLayout id="container" /> /* where I want the real content to go */ </TableLayout> and /* MyFancyLayout.java */ public class MyFancyLayout extends LinearLayout { public MyFancyLayout(Context context) { super(context); View.inflate(context, R.layout.my_fancy_layout, this); } } How would you go about inserting the user-specified content (the TextView in main.xml) in the right place (id=container)? Cheers! Romain ----- edit ------- Still no luck on this, so I changed my design to use a simpler layout and decided to live with a bit of repeated XML. Still very interested in anyone knows how to do this though!

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  • Determining if an unordered vector<T> has all unique elements

    - by Hooked
    Profiling my cpu-bound code has suggested I that spend a long time checking to see if a container contains completely unique elements. Assuming that I have some large container of unsorted elements (with < and = defined), I have two ideas on how this might be done: The first using a set: template <class T> bool is_unique(vector<T> X) { set<T> Y(X.begin(), X.end()); return X.size() == Y.size(); } The second looping over the elements: template <class T> bool is_unique2(vector<T> X) { typename vector<T>::iterator i,j; for(i=X.begin();i!=X.end();++i) { for(j=i+1;j!=X.end();++j) { if(*i == *j) return 0; } } return 1; } I've tested them the best I can, and from what I can gather from reading the documentation about STL, the answer is (as usual), it depends. I think that in the first case, if all the elements are unique it is very quick, but if there is a large degeneracy the operation seems to take O(N^2) time. For the nested iterator approach the opposite seems to be true, it is lighting fast if X[0]==X[1] but takes (understandably) O(N^2) time if all the elements are unique. Is there a better way to do this, perhaps a STL algorithm built for this very purpose? If not, are there any suggestions eek out a bit more efficiency?

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  • Problems with string parameter insertion into prepared statement

    - by c0d3x
    Hi, I have a database running on an MS SQL Server. My application communicates via JDBC and ODBC with it. Now I try to use prepared statements. When I insert a numeric (Long) parameter everything works fine. When I insert a string parameter it does not work. There is no error message, but an empty result set. WHERE column LIKE ('%' + ? + '%') --inserted "test" -> empty result set WHERE column LIKE ? --inserted "%test%" -> empty result set WHERE column = ? --inserted "test" -> works But I need the LIKE functionality. When I insert the same string directly into the query string (not as a prepared statement parameter) it runs fine. WHERE column LIKE '%test%' It looks a little bit like double quoting for me, but I never used quotes inside a string. I use preparedStatement.setString(int index, String x) for insertion. What is causing this problem? How can I fix it? Thanks in advance.

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  • Static and Dynamic Scooping Problem

    - by Devyn
    Hi, I'm solving following code in Static and Dynamic Scooping. I got following answer but I need someone to confirm if I'm correct or not since I'm a bit confusing. I really appreciate if anyone can explain in simple way! Static => (1)8 (2)27 Dynamic => (1)10 (2)27 proc main var x,y,z; proc sub1 var x,z x := 6; z := 7; sub2; x := y*z + x; print(x); ---- (2) end; proc sub2 var x,y x := 1; y := x+z+2; print(y); ---- (1) end; begin x := 1; y:=3; z:=5; sub1; end

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  • Importing Excel spreadsheet data into existing Access DB

    - by Keeb13r
    I've designed an Access 2003 DB with 3 tables: APPLICATIONS, SERVERS, and INSTALLATIONS. Records in the APPLICATIONS and SERVERS tables are uniquely identified by a synthetic primary key (in Access, an "auto number"). The INSTALLATIONS table is essentially a mapping table between APPLICATIONS and SERVERS: it's a list of records of which applications are installed on which servers. A record in the INSTALLATIONS table is also identified by a synthetic primary key, and it consists of an APPLICATION_ID and SERVER_ID for the records in their respective tables. I have an Excel 2003 spreadsheet I would like to import into this database, but it's proving difficult. The spreadsheet is made up of several tabs/worksheets, each one representing a server with its own listing of installed applications. I'm not sure how to proceed with an import - the "Get External Data -- Import" feature in Access has an import "In an Existing Table" option, but it's greyed out. I'm also unsure how I build the relationships between applications and servers for importing records into the INSTALLATIONS table. I had previously fooled around with adding some security to the Access DB file. I think I removed everything but perhaps I didn't and that's causing the problem? Some sample data from the Excel spreadsheet: SERVER101 * Adobe Reader 9 * BMC Remedy User 7.0 * HostExplorer 2008 * Microsoft Office 2003 * Microsoft Office 2007 * Notepad++ SERVER102 * Adobe Reader 9 * DameWare Mini Remote Control * Microsoft Office 2003 * Microsoft .NET Framework 3.5 SP1 * Oracle 9.2 SERVER103 * AWDView * EXTRA! Personal Client 32-bit * Microsoft Office 2003 * Microsoft .NET Framework 3.5 SP1 * Snagit 9.1 * WinZip 12.1 The Access DB design is very simple: APPLICATION * APPLICATION_ID (autonumber) * APPLICATION_NAME (varchar) SERVER * SERVER_ID (autonumber) * SERVER_NAME (varchar) INSTALLATION * INSTALLATION_ID (autonumber) * APPLICATION_ID (number) * SERVER_ID (number)

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  • Exit and rollback everything in script on error

    - by Jan W.
    Hey guys ! I'm in a bit of a pickle here. I have a TSQL script that does a lot of database structure adjustments but it's not really safe to just let it go through when something fails. to make things clear: using MS SQL 2005 it's NOT a stored procedure, just a script file (.sql) what I have is something in the following order BEGIN TRANSACTION ALTER Stuff GO CREATE New Stuff GO DROP Old Stuff GO IF @@ERROR != 0 BEGIN PRINT 'Errors Found ... Rolling back' ROLLBACK TRANSACTION RETURN END ELSE PRINT 'No Errors ... Committing changes' COMMIT TRANSACTION just to illustrate what I'm working with ... can't go into specifics now, the problem ... When I introduce an error (to test if things get rolled back), I get a statement that the ROLLBACK TRANSACTION could not find a corresponding BEGIN TRANSACTION. This leads me to believe that something when REALLY wrong and the transaction was already killed. what I also noticed is that the script didn't fully quit on error and thus DID try to execute every statement after the error occured. (I noticed this when new tables showed up when I wasn't expecting them because it should have rollbacked) any help in this department is welcome if more speficics are needed, ask! greetz

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  • Reasonably faster way to traverse a directory tree in Python?

    - by Sridhar Ratnakumar
    Assuming that the given directory tree is of reasonable size: say an open source project like Twisted or Python, what is the fastest way to traverse and iterate over the absolute path of all files/directories inside that directory? I want to do this from within Python (subprocess is allowed). os.path.walk is slow. So I tried ls -lR and tree -fi. For a project with about 8337 files (including tmp, pyc, test, .svn files): $ time tree -fi > /dev/null real 0m0.170s user 0m0.044s sys 0m0.123s $ time ls -lR > /dev/null real 0m0.292s user 0m0.138s sys 0m0.152s $ time find . > /dev/null real 0m0.074s user 0m0.017s sys 0m0.056s $ tree appears to be faster than ls -lR (though ls -R is faster than tree, but it does not give full paths). find is the fastest. Can anyone think of a faster and/or better approach? On Windows, I may simply ship a 32-bit binary tree.exe or ls.exe if necessary. Update 1: Added find

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  • Can C++ do something like an ML case expression?

    - by Nathan Andrew Mullenax
    So, I've run into this sort of thing a few times in C++ where I'd really like to write something like case (a,b,c,d) of (true, true, _, _ ) => expr | (false, true, _, false) => expr | ... But in C++, I invariably end up with something like this: bool c11 = color1.count(e.first)>0; bool c21 = color2.count(e.first)>0; bool c12 = color1.count(e.second)>0; bool c22 = color2.count(e.second)>0; // no vertex in this edge is colored // requeue if( !(c11||c21||c12||c22) ) { edges.push(e); } // endpoints already same color // failure condition else if( (c11&&c12)||(c21&&c22) ) { results.push_back("NOT BICOLORABLE."); return true; } // nothing to do: nodes are already // colored and different from one another else if( (c11&&c22)||(c21&&c12) ) { } // first is c1, second is not set else if( c11 && !(c12||c22) ) { color2.insert( e.second ); } // first is c2, second is not set else if( c21 && !(c12||c22) ) { color1.insert( e.second ); } // first is not set, second is c1 else if( !(c11||c21) && c12 ) { color2.insert( e.first ); } // first is not set, second is c2 else if( !(c11||c21) && c22 ) { color1.insert( e.first ); } else { std::cout << "Something went wrong.\n"; } I'm wondering if there's any way to clean all of those if's and else's up, as it seems especially error prone. It would be even better if it were possible to get the compiler complain like SML does when a case expression (or statement in C++) isn't exhaustive. I realize this question is a bit vague. Maybe, in sum, how would one represent an exhaustive truth table with an arbitrary number of variables in C++ succinctly? Thanks in advance.

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  • Negative number representation across multiple architechture

    - by Donotalo
    I'm working with OKI 431 micro controller. It can communicate with PC with appropriate software installed. An EEPROM is connected in the I2C bus of the micro which works as permanent memory. The PC software can read from and write to this EEPROM. Consider two numbers, B and C, each is two byte integer. B is known to both the PC software and the micro and is a constant. C will be a number so close to B such that B-C will fit in a signed 8 bit integer. After some testing, appropriate value for C will be determined by PC and will be stored into the EEPROM of the micro for later use. Now the micro can store C in two ways: The micro can store whole two byte representing C The micro can store B-C as one byte signed integer, and can later derive C from B and B-C I think that two's complement representation of negative number is now universally accepted by hardware manufacturers. Still I personally don't like negative numbers to be stored in a storage medium which will be accessed by two different architectures because negative number can be represented in different ways. For you information, 431 also uses two's complement. Should I get rid of the headache that negative number can be represented in different ways and accept the one byte solution as my other team member suggested? Or should I stick to the decision of the two byte solution because I don't need to deal with negative numbers? Which one would you prefer and why?

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  • Combining two .png images into one image using .NET

    - by Omega
    I have two (actually many) .png images in my application. Both have transparent areas here and there. I want, in my application, to take both images, combine them, and display the result in a picture box. Later I want to save the result through a button. So far I managed to find the two images and combine them, but it seems the transparency thing won't work. I mean, if you put one image over another, only the top image is visible as the result because, apparently, the image's background is a plain white box. Which is not. Here is a bit of my code: Dim Result As New Bitmap(96, 128) Dim g As Graphics = Graphics.FromImage(Result) Dim Name As String For Each Name In BasesCheckList.CheckedItems Dim Layer As New Bitmap(resourcesPath & "Bases\" & Name) For x = 0 To Layer.Width - 1 For y = 0 To Layer.Height - 1 Result.SetPixel(x, y, Layer.GetPixel(x, y)) Next Next Layer = Nothing Next resourcesPath is the path to my resources folder. Bases is a folder in it. And Name is the image's name. Thank you.

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  • Change a finder method w/ parameters to an association

    - by Sai Emrys
    How do I turn this into a has_one association? (Possibly has_one + a named scope for size.) class User < ActiveRecord::Base has_many :assets, :foreign_key => 'creator_id' def avatar_asset size = :thumb # The LIKE is because it might be a .jpg, .png, or .gif. # More efficient methods that can handle that are OK. ;) self.assets.find :first, :conditions => ["thumbnail = '#{size}' and filename LIKE ?", self.login + "_#{size}.%"] end end EDIT: Cuing from AnalogHole on Freenode #rubyonrails, we can do this: has_many :assets, :foreign_key => 'creator_id' do def avatar size = :thumb find :first, :conditions => ["thumbnail = ? and filename LIKE ?", size.to_s, proxy_owner.login + "_#{size}.%"] end end ... which is fairly cool, and makes syntax a bit better at least. However, this still doesn't behave as well as I would like. Particularly, it doesn't allow for further nice find chaining (such that it doesn't execute this find until it's gotten all its conditions). More importantly, it doesn't allow for use in an :include. Ideally I want to do something like this: PostsController def show post = Post.get_cache(params[:id]) { Post.find(params[:id], :include => {:comments => {:users => {:avatar_asset => :thumb}} } ... end ... so that I can cache the assets together with the post. Or cache them at all, really - e.g. get_cache(user_id){User.find(user_id, :include => :avatar_assets)} would be a good first pass. This doesn't actually work (self == User), but is correct in spirit: has_many :avatar_assets, :foreign_key => 'creator_id', :class_name => 'Asset', :conditions => ["filename LIKE ?", self.login + "_%"] (Also posted on Refactor My Code.)

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  • identify accounts using zend-openid [HELP]

    - by tawfekov
    Hi! , i had successfully implemented simple open ID authentication with the [gmail , yahoo , myopenid, aol and many others ] exactly as stackoverflow do but i had a problem with identifying accounts for example 'openid_ns' => string 'http://specs.openid.net/auth/2.0' (length=32) 'openid_mode' => string 'id_res' (length=6) 'openid_op_endpoint' => string 'https://www.google.com/accounts/o8/ud' (length=37) 'openid_response_nonce' => string '2010-05-02T06:35:40Z9YIASispxMvKpw' (length=34) 'openid_return_to' => string 'http://dev.local/download/index/gettingback' (length=43) 'openid_assoc_handle' => string 'AOQobUf_2jrRKQ4YZoqBvq5-O9sfkkng9UFxoE9SEBlgWqJv7Sq_FYgD7rEXiLLXhnjCghvf' (length=72) 'openid_signed' => string 'op_endpoint,claimed_id,identity,return_to,response_nonce,assoc_handle' (length=69) 'openid_sig' => string 'knieEHpvOc/Rxu1bkUdjeE9YbbFX3lqZDOQFxLFdau0=' (length=44) 'openid_identity' => string 'https://www.google.com/accounts/o8/id?id=AItOawk0NAa51T3xWy-oympGpxFj5CftFsmjZpY' (length=80) 'openid_claimed_id' => string 'https://www.google.com/accounts/o8/id?id=AItOawk0NAa51T3xWy-oympGpxFj5CftFsmjZpY' (length=80) i thought that openid_claimed_id or openid_identity is identical for every account but after some testing turns out the claimed id is changeable by the users them self in yahoo and randomly changing in case of gmail FYI am using zend openid with a bit modification on consumer class and i can't use SERG [Simple Refistration Extension] cuz currently it uses openid v1 specification :( i hadn't read the specification of openid so if any body know please help me to how to identify openid accounts to know if this account has signed in before or not

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  • Uniquely identify files/folders in NTFS, even after move/rename

    - by Felix Dombek
    I haven't found a backup (synchronization) program which does what I want so I'm thinking about writing my own. What I have now does the following: It goes through the data in the source and for every file which has its archive bit set OR does not exist in the destination, copies it to the destination, overwriting a possibly existing file. When done, it checks for all files in the destination if it exists in the source, and if it doesn't, deletes it. The problem is that if I move or rename a large folder, it first gets copied to the destination even though it is in principle already there, just has a different path. Then the folder which was already there is deleted afterwards. Apart from the unnecessary copying, I frequently run into space problems because my backup drive isn't large enough to hold the original data twice. Is there a way to programmatically identify such moved/renamed files or folders, i.e. by NTFS ID or physical location on media or something else? Are there solutions to this problem? I do not care about the programming language, but hints for doing this with Python, C++, C#, Java or Prolog are appreciated.

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  • Preserving timestamps on Clojure .clj files when building shaded jar via Maven Shade Plugin

    - by Dereference
    When using the maven-shade-plugin to package our jar artifact that contained a few Clojure libs and some Java. We were using AOT compilation for our Clojure code. When we loaded the jar, it was having very slow load times. AOT compilation is supposed to help this quite a bit, but that wasn't what we were seeing. We noticed in java jar -verbose output that there was a lot of JVM__DEFINE_CLASS calls happening when Clojure classes were being loaded. This didn't make sense, since more of our Clojure code was AOT compiled to .class files. Turns out the maven-shade-plugin creates all new files, with new timestamps in the final artifact Clojure uses the timestamp information on a .clj file vs. a .class file, to determine if the file needs to be recompiled. The maven-shade-plugin was causing the .clj file and it's associated .class file to have the same timestamp, so Clojure always chose to dynamically recompile the source. The only workaround that we have been able to figure out, at this point, is to write a script that would re-open the shaded jar and bump the .clj file timestamps back to some time in the past, so that they wouldn't be equal to the timestamps of their associated .class files. Does anyone know of a better approach?

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  • Vector [] vs copying

    - by sak
    What is faster and/or generally better? vector<myType> myVec; int i; myType current; for( i = 0; i < 1000000; i ++ ) { current = myVec[ i ]; doSomethingWith( current ); doAlotMoreWith( current ); messAroundWith( current ); checkSomeValuesOf( current ); } or vector<myType> myVec; int i; for( i = 0; i < 1000000; i ++ ) { doSomethingWith( myVec[ i ] ); doAlotMoreWith( myVec[ i ] ); messAroundWith( myVec[ i ] ); checkSomeValuesOf( myVec[ i ] ); } I'm currently using the first solution. There are really millions of calls per second and every single bit comparison/move is performance-problematic.

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  • Use MySQL trigger to update another table when duplicate key found

    - by Jason
    Been scratching my head on this one, hoping one of you kind people and direct me towards solving this problem. I have a mysql table of customers, it contains a lot of data, but for the purpose of this question, we only need to worry about 4 columns 'ID', 'Firstname', 'Lastname', 'Postcode' Problem is, the table contains a lot of duplicated customers. A new table is being created where each customer is unique and for us, we decide a unique customer is based on 'Firstname', 'Lastname' and 'Postcode' However, (this is the important bit) we need to ensure each new "unique" customer record also can be matched to the original multiple entries of that customer in the original table. I believe the best way to do this is to have a third table, that has 'NewUniqueID', 'OldCustomerID'. So we can search this table for 'NewUniqueID' = '123' and it would return multiple 'OldCustomerID' values where appropriate. I am hoping to make this work using a trigger and the on duplicate key syntax. So what would happen is as follows: An query is run taking the old customer table and inserting it in to the new unique table. (A standard Insert Select query) On duplicate key continue adding records, but add one entry in to the third table noting the 'NewUniqueID' that duped along with the 'OldCustomerID' of the record we were trying to insert. Hope this makes sense, my apologies if it isn't clear. I welcome and appreciate any thoughts on this one! Many thanks Jason

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  • Can i change the view without changing the controller?

    - by Ian Boyd
    Pretend1 there is a place to type in a name:     Name: __________________ When the text box changes, the value is absorbed into the controller, who stores it in data model. Business rules require that a name be entered: if there is no text entered the TextBox should be colored something in the view to indicate baddness; otherwise it can be whatever color the view likes. The TextBox contains a String, the controller handles a String, and the model stores a String. Now lets say i want to improve the view. There is a new kind of text box2 that can be fed not only string-based keyboard input, but also an image. The view (currently) knows how to determine if the image is in the proper format to perform the processing required to extract text out of it. If there is text, then that text can be fed to the controller, who feeds it to the data model. But if the image is invalid, e.g.3 wrong file format invalid dimensions invalid bit depth unhandled or unknown encoding format missing or incorrectly located registration marks contents not recognizable the view can show something to the user that the image is bad. But the telling the user that something is bad is supposed to be the job of the controller. i'm, of course, not going to re-write the controller to handle Image based text-input (e.g. image based names). a. the code is binary locked inside a GUI widget4 b. there other views besides this one, i'm not going to impose a particular view onto the controller c. i just don't wanna. If i have to change things outside of this UI improvement, then i'll just leave the UI unimproved5 So what's the thinking on having different views for the same Model and Controller? Nitpicker's Corner 1 contrived hypothetical example 2 e.g. bar code, g-mask, ocr 3 contrived hypothetical reasons 4 or hardware of a USB bar-code scanner 5 forcing the user to continue to use a DateTimePicker rather than a TextBox

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  • How can I use SQL to select duplicate records, along with counts of related items?

    - by mipadi
    I know the title of this question is a bit confusing, so bear with me. :) I have a (MySQL) database with a Person record. A Person also has a slug field. Unfortunately, slug fields are not unique. There are a number of duplicate records, i.e., the records have different IDs but the same first name, last name, and slug. A Person may also have 0 or more associated articles, blog entries, and podcast episodes. If that's confusing, here's a diagram of the structure: I would like to produce a list of records that match this criteria: duplicate records (i.e., same slug field) for people who also have at least 1 article, blog entry, or podcast episode. I have a SQL query that will list all records with the same slug fields: SELECT id, first_name, last_name, slug, COUNT(slug) AS person_records FROM people_person GROUP BY slug HAVING (COUNT(slug) > 1) ORDER BY last_name, first_name, id; But this includes records for people that may not have at least 1 article, blog entry, or podcast. Can I tweak this to fit the second criteria?

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  • Linking Apache to Tomcat with multiple domains.

    - by Royce Thigpen
    Okay, so I've been working for a while on this, and have been searching, but so far I have not found any answers that actually answer what I want to know. I'm a little bit at the end of my rope with this one, but I'm hoping I can figure this out sometime soon. So I have Apache 2 installed and serving up standard webpages, but I also have that linked to a Tomcat instance for one of my domains currently supported. However, I want to add another domain to the server via Apache that points to a separate code base from the one I already have. I have been coming at this from several different angles, and I have determined that I just don't know enough about setting up these servers to really do what I want to do. Little information on my server: Currently running a single Tomcat5.5 instance with Apache 2, using mod_jk to connect them together. I have a worker in workers.properties that points it's "host" field to "localhost" with the correct port my Tomcat instance, so that all works. In my Tomcat server.xml file, I have a host defined as "localhost" that points at my webapp that I am currently serving up, with that host set as the defaultHost as well. One thought I had was that I could add a new worker with a different host than "localhost" (i.e. host2) and then define a new host in my server.xml file called "host2" to match it, but after reading around some on the internet, It seems the "host" of the worker must point to a server, and not a hostname in the Tomcat instance, is this correct? Again, a simple rundown of what I want: Setup in apache/tomcat combo such that www.domain1.com points at "webapp1" and www.domain2.com points at "webapp2".

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  • Looking for a RESTful or SOAP pipeline between WordPress and InterWoven TeamSite

    - by deanpeters
    I've been Googling my brains out trying see if there's a simple way to bridge content to and from WordPress to and from TeamSite. I'm coming at this from the perspective of a WordPress developer. I see in the book "The Definitive Guide to Interwoven TeamSite" (http://bit.ly/d3z4wI) mention of objects for the Interwoven LiveSite product: com.interwoven.livesite.external.impl.RSS com.interwoven.livesite.external.impl.SOAP If I understand the above objects correctly, these allow me to instantiate objects of these data types, which after populating them via various method calls, allow me to render content using com.interwoven.livesite.external.ExternalCall ... but I'm not sure. Nor do I think this approach provides me the 2-way street I seek. As it stands now, from my limited understanding, it appears that the least path of resistance is deploying Interwoven's LiveSite with the existing TeamSite implementation so content can be both consumed and rendered via RSS ... an channel which WordPress can produce and consume; the latter with plugins such as wp-o-matic and/or feedpress. So the question is, does anyone out there have experience with a SOAP or RESTful API approach to InterWoven's TeamSite? If so, can I get some direction on documentation? Or is the addition of LiveSite + RSS the most feasible 2-way channel?

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  • setting write permissions on theme subdirectory?

    - by Scott B
    I've a theme which supports multiple templates, each with a header background image whose color can be set by the site owner via a colorpicker widget in my theme's options panel. This has the effect of opening the background image, recoloring it and resaving it back to the server. I've had zero issues with this routine until recently when a customer installed the theme on a web host whose default read/write permissions are apparently much more restrictive than the norm. In this case, the user was unable to alter the colors of the template images because of the permissions settings. I'm looking for a bit of understanding on what the permissions would need to be (assuming I purposefully set them via script) to allow the logged in wordpress user to write to files under my theme's styles directory. The code I'm using to write to the image file is below... $img = imagecreatefromgif("../wp-content/themes/mytheme/styles/".get_option('my_theme')."/image.gif"); $color = imagecolorallocate($img, $info["red"], $info["green"], $info["blue"]); imagecolorset($img, 0, $info["red"], $info["green"], $info["blue"]); imagegif($img, $path);

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  • Preloading CSS Background Images

    - by Peanuts
    Hello guys, I have a hidden contact form which is deployed clicking on a button. Its fields are set as CSS background images, and they always appears a bit later than the div that have been toggled. I was using this snippet in the <head> section, but with no luck (after I cleared the cache) : <script type="text/javascript"> $(document).ready(function() { pic = new Image(); pic2 = new Image(); pic3 = new Image(); pic.src="<?php bloginfo('template_directory'); ?>/images/inputs/input1.png"; pic2.src="<?php bloginfo('template_directory'); ?>/images/inputs/input2.png"; pic3.src="<?php bloginfo('template_directory'); ?>/images/inputs/input3.png"; }); </script> I'm using jQuery as my library, and it would be cool if I could use it as well for arranging this issue. Thanks for your thoughs.

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