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  • Best way to update/insert into a table based on a remote table.

    - by martilyo
    I have two very large enterprise tables in an Oracle 10g database. One table keeps the historical information of the other table. The problem is, I'm getting to the point where the records are just too many that my insert update is taking too long and my session is getting killed by the governor. Here's a pseudocode of my update process: sqlsel := 'SELECT col1, col2, col3, sysdate FROM table2@remote_location dpi WHERE (col1, col2, col3) IN ( SELECT col1, col2, col3 FROM table2@remote_location MINUS SELECT DISTINCT col1, col2, col3 FROM table1 mpc WHERE facility = '''||load_facility||''' )'; EXECUTE IMMEDIATE sqlsel BULK COLLECT INTO table1; I've tried the MERGE statement: MERGE INTO table1 t1 USING ( SELECT col1, col2, col3 FROM table2@remote_location ) t2 ON ( t1.col1 = t2.col1 AND t1.col2 = t2.col2 AND t1.col3 = t2.col3 ) WHEN NOT MATCHED THEN INSERT (t1.col1, t1.col2, t1.col3, t1.update_dttm ) VALUES (t2.col1, t2.col2, t2.col3, sysdate ) But there seems to be a confirmed bug on versions prior to Oracle 10.2.0.4 on the merge statement when doing a merge using a remote database. The chance of getting an enterprise upgrade is slim so is there a way to further optimize my first query or write it in another way to have it run best performance wise? Thanks.

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  • Matrix multiplication using pairs

    - by sc_ray
    Hi, I am looking into alternate ways to do a Matrix Multiplication. Instead of storing my matrix as a two-dimensional array, I am using a vector such as vector<pair<pair<int,int >,int > > to store my matrix. The pair within my pair (pair) stores my indices (i,j) and the other int stores the value for the given (i,j) pair. I thought I might have some luck implementing my sparse array this way. The problem is when I try to multiply this matrix with itself. If this was a 2-d array implementation, I would have multiplied the matrix as follows: for(i=0; i<row1; i++) { for(j=0; j<col1; j++) { C[i][j] = 0; for(k=0; k<col2; k++) C[i][j] += A[i][j] * A[j][k]; } } Can somebody point out a way to achieve the same result using my vector of 'pair of pairs'? Thanks

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  • Java extends classes - Share the extended class fields within the super class.

    - by Bastan
    Straight to the point... I have a class public class P_Gen{ protected String s; protected Object oP_Gen; public P_Gen(String str){ s = str; oP_Gen = new Myclass(this); } } Extended class: public class P extends P_Gen{ protected Object oP; public P(String str){ oP = new aClass(str); super(str); } } MyClass: public class MyClass{ protected Object oMC; public MyClass(P extendedObject){ oMc = oP.getSomething(); } } I came to realize that MyClass can only be instantiated with (P_Gen thisObject) as opposed to (P extendedObject). The situation is that I have code generated a bunch of classes like P_Gen. For each of them I have generated a class P which would contains my P specific custom methods and fields. When I'll regenerate my code in the future, P would not be overwritten as P_Gen would. ** So what happened in my case???!!!... I realized that MyClass would beneficiate from the info stored in P in addition to only P_Gen. Would that possible? I know it's not JAVA "realistic" since another class that extends P_Gen might not have the same fields... BY DESIGN, P_Gen will not be extended by anything but P.... And that's where it kinda make sens. :-) at least in other programming language ;-) In other programming language, it seems like P_Gen.this === P.this, in other word, "this" becomes a combination of P and P_Gen. Is there a way to achieve this knowing that P_Gen won't be extended by anything than P?

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  • Connecting grouped dots/points on a scatter plot based on distance

    - by ToNoY
    I have 2 sets of depth point measurements, for example: > a depth value 1 2 2 2 4 3 3 6 4 4 8 5 5 16 40 6 18 45 7 20 58 > b depth value 1 10 10 2 12 20 3 14 35 I want to show both groups in one figure plotted with depth and with different symbols as you can see here plot(a$value, a$depth, type='b', col='green', pch=15) points(b$value, b$depth, type='b', col='red', pch=14) The plot seems okay, but the annoying part is that the green symbols are all connected (though I want connected lines also). I want connection only when one group has a continued data points at 2 m interval i.e. the symbols should be connected with a line from 2 to 8 m (green) and then group B symbols should be connected from 10-14 m (red) and again group A symbols should be connected (green), which means I do NOT want to see the connection between 8 m sample with the 16 m for group A. An easy solution may be dividing the group A into two parts (say, A-shallow and A-deep) and then plotting A-shallow, B, and A-deep separately. But this is completely impractical because I have thousands of data points with hundreds of groups i.e. I have to produce many depth profiles. Therefore, there has to be a way to program so that dots are NOT connected beyond a prescribed frequency/depth interval (e.g. 2 m in this case) for a particular group of samples. Any idea?

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  • Dynamically adjust padding on an image?

    - by Cory
    What I'm basically attempting to do is dynamically change a padding value for a scrubber image based on player position data provided by an app. I have been able to leverage the provided number to dynamically increase the width of a progress overlay image and create a progress bar, but I would like a scrubber diamond at the leading edge of the progress bar. To do this, I have positioned the scrubber diamond at the same starting point as the progress overlay and would like to increase the padding on the diamond at the same rate as the width is increasing for the progress overlay, allowing them to pace each other with the scrubber diamond moving as the song plays. Any help with the script necessary to manipulate padding-left dynamically would be very much appreciated. var progress = Ecoute.playerPosition(); var width = 142.5 / length * progress + 1.63; EcouteSel('Progression').width = width.toString(); EcouteSel('Scrubber').style('padding-left', 'width'); We define progress as the player position, width as a function of the progress and then apply that function to the ID applied to the progress over lay image. But how do I accomplish that for padding-left? style.paddingLeft ...based functions have broken the controller outright. I'm at a loss and any help would be appreciated.

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  • Refresh Div with Jquery at fixed time

    - by Ben C
    I've got a php script that tells me when the next bus is due, and at the moment I'm refreshing this into a div, using jquery, every minute or so. Now, because I know the time at which the data will change (after the bus has come), I want it to refresh the div at this time (or just after, doesn't really matter). I should point out that I'm fairly new to js, but this is what I've got so far: var nextbustime = $('#bus').contents(); var nextbustime = new Date(nextbustime); var now = new Date(); var t = nextbustime.getTime() - now.getTime(); var refreshId = setTimeout(function() { $('#bus').fadeOut("slow").load('modules/bus.php?randval='+ Math.random()).fadeIn("slow"); }, t); The div is loaded originally with a php include. Naturally, what I've done doesn't work at all. Do I need some loops going on? Do I need to refresh the time calculator? Please please help! Thanks in advance...

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  • SELECT SQL Variable - should i avoid using this syntax and always use SET?

    - by Sholom
    Hi All, This may look like a duplicate to here, but it's not. I am trying to get a best practice, not a technical answer (which i already (think) i know). New to SQL Server and trying to form good habits. I found a great explanation of the functional differences between SET @var = and SELECT @var = here: http://vyaskn.tripod.com/differences_between_set_and_select.htm To summarize what each has that the other hasn't (see source for examples): SET: ANSI and portable, recommended by Microsoft. SET @var = (SELECT column_name FROM table_name) fails when the select returns more then one value, eliminating the possibility of unpredictable results. SET @var = (SELECT column_name FROM table_name) will set @var to NULL if that's what SELECT column_name FROM table_name returned, thus never leaving @var at it's prior value. SELECT: Multiple variables can be set in one statement Can return multiple system variables set by the prior DML statement SELECT @var = column_name FROM table_name would set @var to (according to my testing) the last value returned by the select. This could be a feature or a bug. Behavior can be changed with SELECT @j = (SELECT column_name FROM table_name) syntax. Speed. Setting multiple variables with a single SELECT statement as opposed to multiple SET/SELECT statements is much quicker. He has a sample test to prove his point. If you could design a test to prove the otherwise, bring it on! So, what do i do? (Almost) always use SET @var =, using SELECT @var = is messy coding and not standard. OR Use SELECT @var = freely, it could accomplish more for me, unless the code is likely to be ported to another environment. Thanks

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  • Commited memory goes to physical RAM or reserves space in the paging file?

    - by Sil
    When I do VirtualAlloc with MEM_COMMIT this "Allocates physical storage in memory or in the paging file on disk for the specified reserved memory pages" (quote from MSDN article http://msdn.microsoft.com/en-us/library/aa366887%28VS.85%29.aspx). All is fine up until now BUT: the description of Commited Bytes Counter says that "Committed memory is the physical memory which has space reserved on the disk paging file(s)." I also read "Windows via C/C++ 5th edition" and this book says that commiting memory means reserving space in the page file.... The last two cases don't make sense to me... If you commit memory, doesn't that mean that you commit to physical storage (RAM)? The page file being there for swaping out currently unused pages of memory in case memory gets low. The book says that when you commit memory you actually reserve space in the paging file. If this were true than that would mean that for a committed page there is space reserved in the paging file and a page frame in physical in memory... So twice as much space is needed ?! Isn't the page file's purpose to make the total physical memory larger than it actually is? If I have a 1G of RAM with a 1G page file = 2G of usable "physical memory"(the book also states this but right after that it says what I discribed at point 2). What am I missing? Thanks.

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  • How to get from JRuby a correctly typed ruby implementation of a Java interface?

    - by Guss
    I'm trying to use JRuby (through the JSR233 interface included in JRuby 1.5) from a Java application to load a ruby implementation of a Java interface. My sample implementation looks like this: Interface: package some.package; import java.util.List; public interface ScriptDemoIf { int fibonacci(int d); List<String> filterLength(List<String> source, int maxlen); } Ruby Implementation: require 'java' include Java class ScriptDemo java_implements some.package.ScriptDemoIf java_signature 'int fibonacci(int d)' def fibonacci(d) d < 2 ? d : fibonacci(d-1) + fibonacci(d-2) end java_signature 'List<String> filterLength(List<String> source, int maxlen)' def filterLength(source, maxlen) source.find_all { |str| str.length <= maxlen } end end Class loader: public ScriptDemoIf load(String filename) throws ScriptException { ScriptEngine engine = new ScriptEngineManager().getEngineByName("jruby"); FileReader script = new FileReader(filename); try { engine.eval(new FileReader(script)); } catch (FileNotFoundException e) { throw new ScriptException("Failed to load " + filename); } return (ScriptDemoIf) m_engine.eval("ScriptDemo.new"); } (Obviously the loader is a bit more generic in real life - it doesn't assume that the implementation class name is "ScriptDemo" - this is just for simplicity). Problem - I get a class cast exception in the last line of the loader - the engine.eval() return a RubyObject type which doesn't cast down nicely to my interface. From stuff I read all over the web I was under the impression that the whole point of use java_implements in the Ruby section was for the interface implementations to be compiled in properly. What am I doing wrong?

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  • Trouble tunneling my local Wordpress install to the mysql database on appfog

    - by alanmoo
    I've set up a wordpress install on appfog (using rackspace), and cloned the install to my local machine for development. I know the install works (using MAMP) because I created a local mysql database and changed wp-config.php to point to it. However, I want to develop without having to change wp-config.php every time I commit. After doing some research, it seems like the Appfog service Caldecott lets me tunnel into the mysql database on the server, using af tunnel. Unfortunately, I'm having issues with getting it working. Even if I change my MAMP mysql port to something like 8889, and tunnel mysql through port 3306, it looks like it's connected but I still get "Error establishing a database connection" when loading my localhost Wordpress. When I quit the mysql monitor (using ctrl+x, ctrl+c), I get a message stating "Error: 'mysql' execution failed; is it in your $PATH?'. Originally, no, it wasn't, but I've fixed my PATH variable on my local machine so that when I go to Terminal and just type mysql, it loads up. So I guess my question is 2 parts: 1.)Am I going with the right approach for Wordpress development on my local machine and 2.)If so, why is the tunnel not working?

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  • How to parse multiple dates from a block of text in Python (or another language)

    - by mlissner
    I have a string that has several date values in it, and I want to parse them all out. The string is natural language, so the best thing I've found so far is dateutil. Unfortunately, if a string has multiple date values in it, dateutil throws an error: >>> s = "I like peas on 2011-04-23, and I also like them on easter and my birthday, the 29th of July, 1928" >>> parse(s, fuzzy=True) Traceback (most recent call last): File "<stdin>", line 1, in <module> File "/usr/lib/pymodules/python2.7/dateutil/parser.py", line 697, in parse return DEFAULTPARSER.parse(timestr, **kwargs) File "/usr/lib/pymodules/python2.7/dateutil/parser.py", line 303, in parse raise ValueError, "unknown string format" ValueError: unknown string format Any thoughts on how to parse all dates from a long string? Ideally, a list would be created, but I can handle that myself if I need to. I'm using Python, but at this point, other languages are probably OK, if they get the job done. PS - I guess I could recursively split the input file in the middle and try, try again until it works, but it's a hell of a hack.

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  • rbind.zoo doesn't seem create consistent zoo object

    - by a-or-b
    I want to rbind.zoo two zoo object together. When I was testing I came across the following issue(?)... Note: The below is an example, there is clearly no point to it apart from being illustrative. I have an zoo object, call it, 'X'. I want to break it into two parts and then rbind.zoo them together. When I compare it to the original object then all.equal gives differences. It appears that the '$class' attribute differs, but I can't see how or why. Is I make these xts objects then the all.equal works as expected. i.e. ..... X.date <- as.POSIXct(paste("2003-", rep(1:4, 4:1), "-", sample(1:28, 10, replace = TRUE), sep = "")) X <- zoo(matrix(rnorm(24), ncol = 2), X.date) a <- X[c(1:3), ] # first 3 elements b <- X[c(4:6), ] # second 3 elements c <- rbind.zoo(a, b) # rbind into an object of 6 elements d <- X[c(1:6), ] # all 6 elements all.equal(c, d) # are they equal? ~~~~ all.equal gives me the following difference: "Attributes: < Component 3: Attributes: < Length mismatch: comparison on first 1 components "

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  • When is it safe to use a broken hash function?

    - by The Rook
    It is trivial to use a secure hash function like SHA256 and continuing to use md5 is reckless behavior. However, there are some complexities to hash function vulnerabilities that I would like to better understand. Collisions have been generated for md4 and md5. According to NIST md5() is not a secure hash function. It only takes 2^39th operations to generate a collision and should never be used for passwords. However SHA1 is vulnerable to a similar collision attack in which a collision can be found in 2^69 operations, where as brute force is 2^80th. No one has generated a sha1 collision and NIST still lists sha1 as a secure message digest function. So when is it safe to use a broken hash function? Even though a function is broken it can still be "big enough". According to Schneier a hash function vulnerable to a collsion attack can still be used as an HMAC. I believe this is because the security of an HMAC is Dependant on its secret key and a collision cannot be found until this key is obtained. Once you have the key used in a HMAC its already broken, so its a moot point. What hash function vulnerabilities would undermine the security of an HMAC? Lets take this property a bit further. Does it then become safe to use a very weak message digest like md4 for passwords if a salt is perpended to the password? Keep in mind the md4 and md5 attacks are prefixing attacks, and if a salt is perpended then an attacker cannot control the prefix of the message. If the salt is truly a secret, and isn't known to the attacker, then does it matter if its a appended to the end of the password? Is it safe to assume that an attacker cannot generate a collision until the entire message has been obtained? Do you know of other cases where a broken hash function can be used in a security context without introducing a vulnerability? (Please post supporting evidence because it is awesome!)

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  • Google Drive API invalid_grant after removing access

    - by Sparafusile
    I have been writing a desktop application that uses the Google Drive API v2. I have the following code: var credential = GoogleWebAuthorizationBroker.AuthorizeAsync ( new ClientSecrets { ClientId = ClientID, ClientSecret = ClientSecret }, new[] { DriveService.Scope.Drive }, "user", CancellationToken.None ) .Result; this.Service = new DriveService( new BaseClientService.Initializer() { HttpClientInitializer = credential, ApplicationName = "My Test App", } ); var request = this.Service.Files.List(); request.Q = "title = 'foo' and trashed = false"; var result = request.Execute(); The first time I ran this code it opened a browser and asked me to grant permissions to the App, which I did. Everything worked successfully until I realized I was using the wrong Google account. At that point I logged into the wrong Google account and revoked access to my App. Now, whenever I run the same code it throws an exception: Error:"invalid_grant", Description:"", Uri:"" When I examine the service and request objects, it looks like the oauth_token isn't getting created any more. I know what I did to mess things up, but I can't figure out how to correct it so I can use a different Google account for testing. What do I need to do?

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  • Where should test classes be stored in the project?

    - by limc
    I build all my web projects at work using RAD/Eclipse, and I'm interested to know where do you guys normally store your test's *.class files. All my web projects have 2 source folders: "src" for source and "test" for testcases. The generated *.class files for both source folders are currently placed under WebContent/WEB-INF/classes folder. I want to separate the test *.class files from the src *.class files for 2 reasons:- There's no point to store them in WebContent/WEB-INF/classes and deploy them in production. Sonar and some other static code analysis tools don't produce an accurate static code analysis because it takes account of my crappy yet correct testcase code. So, right now, I have the following output folders:- "src" source folder compiles to WebContent/WEB-INF/classes folder. "test" source folder compiles to target/test-classes folder. Now, I'm getting this warning from RAD:- Broken single-root rule: A project may not contain more than one output folder. So, it seems like Eclipse-based IDEs prefer one project = one output folder, yet it provides an option for me to set up a custom output folder for my additional source folder from the "build path" dialog, and then it barks at me. I know I can just disable this warning myself, but I want to know how you guys handle this. Thanks.

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  • Robotlegs: Warning: Injector already has a rule for type

    - by MikeW
    I have a bunch of warning messages like this appear when using Robotlegs/Signals. Everytime this command class executes, which is every 2-3 seconds ..this message displays below If you have overwritten this mapping intentionally you can use "injector.unmap()" prior to your replacement mapping in order to avoid seeing this message. Warning: Injector already has a rule for type "mx.messaging.messages::IMessage", named "". The command functions fine otherwise but I think I'm doing something wrong anyhow. public class MessageReceivedCommand extends SignalCommand { [Inject] public var message:IMessage; ...etc.. do something with message.. } the application context doesnt map IMessage to this command, as I only see an option to mapSignalClass , besides the payload is received fine. Wonder if anyone knows how I might either fix or suppress this message. I've tried calling this as the warning suggests injector.unmap(IMessage, "") but I receive an error - no mapping found for ::IMessage named "". Thanks Edit: A bit more info about the error Here is the signal that I dispatch to the command public class GameMessageSignal extends Signal { public function GameMessageSignal() { super(IMessage); } } which is dispatched from a IPushDataService class gameMessage.dispatch(message.message); and the implementation is wired up in the app context via injector.mapClass(IPushDataService, PushDataService); along with the signal signalCommandMap.mapSignalClass(GameMessageSignal, MessageReceivedCommand); Edit #2: Probably good to point out also I inject an instance of GameMessageSignal into IPushDataService public class PushDataService extends BaseDataService implements IPushDataService { [Inject] public var gameMessage:GameMessageSignal; //then private function processMessage(message:MessageEvent):void { gameMessage.dispatch(message.message); } } Edit:3 The mappings i set up in the SignalContext: injector.mapSingleton(IPushDataService); injector.mapClass(IPushDataService, PushDataService);

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  • Error: expected specifier-qualifier-list before 'QTVisualContextRef'

    - by Moonlight293
    Hi everyone, I am currently getting this error message in my header code, and I'm not sure as to why: "Error: expected specifier-qualifier-list before 'QTVisualContextRef'" #import <Cocoa/Cocoa.h> #import <QTKit/QTKit.h> #import <OpenGL/OpenGL.h> #import <QuartzCore/QuartzCore.h> #import <CoreVideo/CoreVideo.h> @interface MyRecorderController : NSObject { IBOutlet QTCaptureView *mCaptureView; IBOutlet NSPopUpButton *videoDevicePopUp; NSMutableDictionary *namesToDevicesDictionary; NSString *defaultDeviceMenuTitle; CVImageBufferRef mCurrentImageBuffer; QTCaptureDecompressedVideoOutput *mCaptureDecompressedVideoOutput; QTVisualContextRef qtVisualContext; // the context the movie is playing in // filters for CI rendering CIFilter *colorCorrectionFilter; // hue saturation brightness control through one CI filter CIFilter *effectFilter; // zoom blur filter CIFilter *compositeFilter; // composites the timecode over the video CIContext *ciContext; QTCaptureSession *mCaptureSession; QTCaptureMovieFileOutput *mCaptureMovieFileOutput; QTCaptureDeviceInput *mCaptureDeviceInput; } @end In the examples I have seen through other code (e.g. Cocoa Video Tutorial) I have not seen any difference in their code to mine. If anyone would be able to point out as to how this error could have occurred that would be great. Thanks heaps! :)

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  • How do you hide a Swing Popup when you click somewhere else.

    - by Casey Watson
    I have a Popup that is shown when a user clicks on a button. I would like to hide the popup when any of the following events occur: The user clicks somewhere else in the application. (The background panel for example) The user minimizes the application. The JPopupMenu has this behavior, but I need more than just JMenuItems. The following code block is a simplified illustration to demonstrate the current usage. import java.awt.*; import java.awt.event.ActionEvent; import javax.swing.*; public class PopupTester extends JFrame { public static void main(String[] args) { final PopupTester popupTester = new PopupTester(); popupTester.setLayout(new FlowLayout()); popupTester.setSize(300, 100); popupTester.add(new JButton("Click Me") { @Override protected void fireActionPerformed(ActionEvent event) { Point location = getLocationOnScreen(); int y = (int) (location.getY() + getHeight()); int x = (int) location.getX(); JLabel myComponent = new JLabel("Howdy"); Popup popup = PopupFactory.getSharedInstance().getPopup(popupTester, myComponent, x, y); popup.show(); } }); popupTester.add(new JButton("No Click Me")); popupTester.setVisible(true); popupTester.setDefaultCloseOperation(JFrame.EXIT_ON_CLOSE); } }

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  • Prolog Beginner: How to make unique values for each Variable in a predicate.

    - by sixtyfootersdude
    I have a prolog predicate: DoStuff( [A|B] ) :- <Stuff that I do> ... </Stuff that I do> It is all done except it needs to do return unique values. Ie if you do: ?- DoStuff(A,B,C,D). it should return: A=1; B=2; C=3; D=4. (Or something similar, the key point is that all of the values are unique). However you should be able to do this too: ?- DoStuff(A,A,B,B). And still get a valid answer. Ie: A=1; B=2. How can I do this? What I was planning on doing was something like this: DoStuff( [A|B] ) :- <Stuff that I do> ... </Stuff that I do> unique([A|B]). unique([]). unique([A|B]) :- A is not B. However I think that will make DoStuff([A,A,B]) not work because not all values will be unique.

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  • some problem with iOS 4.2.1

    - by bicbac
    Hi, I've been developing an app with MacBook Pro (MBP) so far. Last week one of my friends gave me new macbook air 11"(MBA). so Now I can test my code with more than one machine with the same version of developing tools - Both machine has Xcode (3.2.5) and iOS SDK 4.2.1). After some point my app starts get terminated suddenly(iPhone sumulator), and I was using MBP. I got no error message whatsoever. it just stops. I reckon the crash comes from dealing with memory, like 'release'/ 'double-release'. (I'm not 100% sure though). Anyway I thought there must be some mistake within my code for sure. -Confusion starts from this part.- With my MBA, on the other hand, I don'y see any crash. It just works fine. There is nothing different between MBA & MBP except the h/w specifications. Same code, same versions of XCode and iOS SDK. Is the fact that no crash at MBA suggesting that I have to look somewhere else than the code itself? I red some article and Q&As on iOS4.2.1 and XCode 3.2.5 that the most recent version of XCode doesn't recognize the iOS 4.2.1 since the 4.2.1 came out later the 3.2.5. Is it the reason? I have no idea at this moment what should be the next move. thanks

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  • PC boot: dl register and drive number

    - by kikou
    I read somewhere in the internet that, before jumping to 0x7c00, the BIOS loads into %dl the "drive number" of the booted device. But what is this "drive number"? Each device attached to the computer is assigned a number by the BIOS? If so, how can I know which number is a given device assigned to? Reading GRUB's source code I found when %dl has bits 0x80 and 0x70 set, it overwrites the whole register with 0x80. Why is that? Here is the code: jmp 3f /* grub-setup may overwrite this jump */ testb $0x80, %dl jz 2f 3: /* Ignore %dl different from 0-0x0f and 0x80-0x8f. */ testb $0x70, %dl jz 1f 2: movb $0x80, %dl 1: By the way. Is there any detailed resource on the boot process of PC's in the web? Specially about what the BIOS does before giving the control to the bootloader and also the standard codes used to communicate with it (like that "drive numer"). I was hoping to write my own bootloader and everything I found is a bit too vague, not technical enough to the point of informing of the exact state of the computer when my bootloader starts to run.

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  • Advice on Minimizing Stored Procedure Parameters

    - by RPM1984
    Hi Guys, I have an ASP.NET MVC Web Application that interacts with a SQL Server 2008 database via Entity Framework 4.0. On a particular page, i call a stored procedure in order to pull back some results based on selections on the UI. Now, the UI has around 20 different input selections, ranging from a textbox, dropdown list, checkboxes, etc. Each of those inputs are "grouped" into logical sections. Example: Search box : "Foo" Checkbox A1: ticked, Checkbox A2: unticked Dropdown A: option 3 selected Checkbox B1: ticked, Checkbox B2: ticked, Checkbox B3: unticked So i need to call the SPROC like this: exec SearchPage_FindResults @SearchQuery = 'Foo', @IncludeA1 = 1, @IncludeA2 = 0, @DropDownSelection = 3, @IncludeB1 = 1, @IncludeB2 = 1, @IncludeB3 = 0 The UI is not too important to this question - just wanted to give some perspective. Essentially, i'm pulling back results for a search query, filtering these results based on a bunch of (optional) selections a user can filter on. Now, My questions/queries: What's the best way to pass these parameters to the stored procedure? Are there any tricks/new ways (e.g SQL Server 2008) to do this? Special "table" parameters/arrays - can we pass through User-Defined-Types? Keep in mind im using Entity Framework 4.0 - but could always use classic ADO.NET for this if required. What about XML? What are the serialization/de-serialization costs here? Is it worth it? How about a parameter for each logical section? Comma-seperated perhaps? Just thinking out loud. This page is particulary important from a user point of view, and needs to perform really well. The stored procedure is already heavy in logic, so i want to minimize the performance implications - so keep that in mind. With that said - what is the best approach here?

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  • Should I have one dll or multiple for Business Logic?

    - by Brian
    In my situation, my company services many types of customers. Almost every customer requires their own Business Logic. Of course, there will be a base layer that all business logic should inherit from. However, I'm going back and forth on architecting this--either in one dll for all customers or one dll for each. My biggest point of contention deals with upgrading the software. We have about 12 data entry personnel that work with 20 companies and it's critical that they have little down time. My concern is that if I deploy everything in one dll, I could introduce a bug in company A's logic while only intending to update Company B's logic. I believe I could reduce the risk if each company's logic had their own dll, so then, I could deploy Company B's update w/o harming Company A's. -- I will be the only one supporting this. That said, this also seems like a nightmare to manage 20 different .dll's -- that's for the BLL alone. I also need to create a View layer and ViewModel layer. So, potentially, I could have 20 (companies) * 3 (layers) which would equate to 60 .dll's. Thank You.

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  • Read char from txt file in C++

    - by Jack in the Box
    I have a program that will read the number of rows and columns from a txt file. Also, the program has to read the contents of a 2D array from the same file. Here is the txt file 8 20 * * *** *** 8 and 20 are the number of rows and columns respectively. The spaces and asterisks are the contents of the array, Array[8][20] For example, Array[0][1] = '*' I did make the program reading 8 and 20 as follow: ifstream myFile; myFile.open("life.txt"); if(!myFile) { cout << endl << "Failed to open file"; return 1; } myFile >> rows >> cols; myFile.close(); grid = new char*[rows]; for (int i = 0; i < rows; i++) { grid[i] = new char[cols]; } Now, how to assign the spaces and the asterisks to to the fields in the array? I hope you got the point.

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  • Change workarea size of Linux desktop

    - by nonoitall
    I'm trying to write a taskbar/panel for Linux (like fbpanel or pypanel) using GTK# and am a little hung up. I've created a Gtk.Window to act as the panel and positioned/resized it appropriately. I've also set its WindowTypeHint to Dock so that it remains on top of other windows. So far it 'looks' like a panel. However, if the panel is running and I maximize another window, that window fills the whole desktop - meaning the bottom portion of the window is covered up by my panel. I've gathered that I probably need to change the desktop's workarea. How can I go about doing this in C#? (Preferably using GTK#, but I don't mind using interop if it's necessary.) As a bit of a side point, I'm curious if anyone knows how I would go about 'informing' the window manager about where applications' taskbar buttons are. (For example, if the window manager wants to animate the minimize action so that the window shrinks down to its button on the taskbar, how do I let the window manager know where that button is on the taskbar?)

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