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  • SQL with HAVING and temp table not working in Rails

    - by chrisrbailey
    I can't get the following SQL query to work quite right in Rails. It runs, but it fails to do the "HAVING row_number = 1" part, so I'm getting all the records, instead of just the first record from each group. A quick description of the query: it is finding hotel deals with various criteria, and in particular, priortizing them being paid, and then picking the one with the highest dealrank. So, if there are paid deal(s), it'll take the highest one of those (by dealrank) first, if no paid deals, it takes the highest dealrank unpaid deal for each hotel. Using MAX(dealrank) or something similar does not work as a way to pick off the first row of each hotel group, which is why I have the enclosing temptable and the creation of the row_number column. Here's the query: SELECT *, @num := if(@hid = hotel_id, @num + 1, 1) as row_number, @hid := hotel_id as dummy FROM ( SELECT hotel_deals.*, affiliates.cpc, (CASE when affiliates.cpc 0 then 1 else 0 end) AS paid FROM hotel_deals INNER JOIN hotels ON hotels.id = hotel_deals.hotel_id LEFT OUTER JOIN affiliates ON affiliates.id = hotel_deals.affiliate_id WHERE ((hotel_deals.percent_savings = 0) AND (hotel_deals.booking_deadline = ?)) GROUP BY hotel_deals.hotel_id, paid DESC, hotel_deals.dealrank ASC) temptable HAVING row_number = 1 I'm currently using Rails' find_by_sql to do this, although I've also tried putting it into a regular find using the :select, :from, and :having parts (but :having won't get used unless you have a :group as well). If there is a different way to write this query, that'd be good to know too. I am using Rails 2.3.5, MySQL 5.0.x.

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  • Stored procedure for generic MERGE

    - by GilliVilla
    I have a set of 10 tables in a database (DB1). And there are 10 tables in another database (DB2) with exact same schema on the same SQL Server 2008 R2 database server machine. The 10 tables in DB1 are frequently updated with data. I intend to write a stored procedure that would run once every day for synchronizing the 10 tables in DB1 with DB2. The stored procedure would make use of the MERGE statement. Now, my aim is to make this as generic and parametrized as possible. That is, accommodate for more tables down the line... and accommodate different source and target DB names. Definitely no hard coding is intended. This is my algorithm so far: Have the database names as parameters Have the first query within the stored procedure... result in giving the names of the 10 tables from a lookup table (this can be 10, 20 or whatever) Have a generic MERGE statement that does the sync for each of the above set of tables (based on primary key?) This is where I need more inputs on. What is the best way to achieve this stored procedure? SQL syntax would be helpful.

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  • global variables doesn't change value in Javascript

    - by user1856906
    My project is composed by 2 html pages: 1)index.html, wich contains the login and the registration form. 2)user_logged.html, wich contains all the features of a logged user. Now, what I want to do is a control if the user is really logged, to avoid the case where a user paste a url in the browser and can see the pages of another user. hours as now, if a user paste this url in the browser: www.user_loggato.html?user=x#profile is as if logged in as user x and this is not nice. My html pages both use js files that contains scripts. I decided to create a global variable called logged inizialized to false and change the variable to true when the login is succesfull. The problem is that the variable, remains false. here is the code: var logged=false; (write in the file a.js) while in the file b.js I have: function login() { //if succesfull logged=true; window.location.href = "user_loggato.html?user="+ JSON.parse(str).username + #profilo"; Now with some alerts I found that my variable logged is always false. Why? if I have not explained well or if there is not some information in order to respond to my question let me know.

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  • Why my http POST request doesn't go well?

    - by 0x90
    I am trying to make this POST request in ruby. but get back #<Net::HTTPUnsupportedMediaType:0x007f94d396bb98> what I tried is: require 'rubygems' require 'net/http' require 'uri' require 'json' auto_index_nodes =URI('http://localhost:7474/db/data/index/node/') request_nodes = Net::HTTP::Post.new(auto_index_nodes.request_uri) http = Net::HTTP.new(auto_index_nodes.host, auto_index_nodes.port) request_nodes.add_field("Accept", "application/json") request_nodes.set_form_data({"name"=>"node_auto_index", "config" => { "type" => "fulltext", "provider" =>"lucene"} , "Content-Type" => "application/json" }) response = http.request(request_nodes) Tried to write this part: "config" => { "type" => "fulltext", provider" =>"lucene"} , "Content-Type" => "application/json" } like that: "config" => '{ "type" => "fulltext",\ "provider" =>"lucene"},\ "Content-Type" => "application/json"\ }' this try didn't help either: request_nodes.set_form_data({"name"=>"node_auto_index", "config" => '{ \ "type" : "fulltext",\ "provider" : "lucene"}' , "Content-Type" => "application/json" })

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  • iPhone - Using sql database - insert statement failing

    - by Satyam svv
    Hi, I'm using sqlite database in my iphone app. I've a table which has 3 integer columns. I'm using following code to write to that database table. -(BOOL)insertTestResult { NSArray* paths = NSSearchPathForDirectoriesInDomains(NSDocumentDirectory, NSUserDomainMask, YES); NSString* documentsDirectory = [paths objectAtIndex:0]; NSString* dataBasePath = [documentsDirectory stringByAppendingPathComponent:@"test21.sqlite3"]; BOOL success = NO; sqlite3* database = 0; if(sqlite3_open([dataBasePath UTF8String], &database) == SQLITE_OK) { BOOL res = (insertResultStatement == nil) ? createStatement(insertResult, &insertResultStatement, database) : YES; if(res) { int i = 1; sqlite3_bind_int(insertResultStatement, 0, i); sqlite3_bind_int(insertResultStatement, 1, i); sqlite3_bind_int(insertResultStatement, 2, i); int err = sqlite3_step(insertResultStatement); if(SQLITE_ERROR == err) { NSAssert1(0, @"Error while inserting Result. '%s'", sqlite3_errmsg(database)); success = NO; } else { success = YES; } sqlite3_finalize(insertResultStatement); insertResultStatement = nil; } } sqlite3_close(database); return success;} The command sqlite3_step is always giving err as 19. I'm not able to understand where's the issue. Tables are created using following queries: CREATE TABLE [Patient] (PID integer NOT NULL PRIMARY KEY AUTOINCREMENT UNIQUE,PFirstName text NOT NULL,PLastName text,PSex text NOT NULL,PDOB text NOT NULL,PEducation text NOT NULL,PHandedness text,PType text) CREATE TABLE PatientResult(PID INTEGER,PFreeScore INTEGER NOT NULL,PForcedScore INTEGER NOT NULL,FOREIGN KEY (PID) REFERENCES Patient(PID)) I've only one entry in Patient table with PID = 1 BOOL createStatement(const char* query, sqlite3_stmt** stmt, sqlite3* database){ BOOL res = (sqlite3_prepare_v2(database, query, -1, stmt, NULL) == SQLITE_OK); if(!res) NSLog( @"Error while creating %s => '%s'", query, sqlite3_errmsg(database)); return res;}

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  • Constructor and Destructors in C++ work?

    - by Jack
    I am using gcc. Please tell me if I am wrong - Lets say I have two classes A & B class A { public: A(){cout<<"A constructor"<<endl;} ~A(){cout<<"A destructor"<<endl;} }; class B:public A { public: B(){cout<<"B constructor"<<endl;} ~B(){cout<<"B destructor"<<endl;} }; 1) The first line in B's constructor should be a call to A's constructor ( I assume compiler automatically inserts it). Also the last line in B's destructor will be a call to A's destructor (compiler does it again). Why was it built this way? 2) When I say A * a = new B(); compiler creates a new B object and checks to see if A is a base class of B and if it is it allows 'a' to point to the newly created object. I guess that is why we don't need any virtual constructors. ( with help from @Tyler McHenry , @Konrad Rudolph) 3) When I write delete a compiler sees that a is an object of type A so it calls A's destructor leading to a problem which is solved by making A's destructor virtual. As user - Little Bobby Tables pointed out to me all destructors have the same name destroy() in memory so we can implement virtual destructors and now the call is made to B's destructor and all is well in C++ land. Please comment.

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  • Quantifying the amount of change in a git diff?

    - by Alex Feinman
    I use git for a slightly unusual purpose--it stores my text as I write fiction. (I know, I know...geeky.) I am trying to keep track of productivity, and want to measure the degree of difference between subsequent commits. The writer's proxy for "work" is "words written", at least during the creation stage. I can't use straight word count as it ignores editing and compression, both vital parts of writing. I think I want to track: (words added)+(words removed) which will double-count (words changed), but I'm okay with that. It'd be great to type some magic incantation and have git report this distance metric for any two revisions. However, git diffs are patches, which show entire lines even if you've only twiddled one character on the line; I don't want that, especially since my 'lines' are paragraphs. Ideally I'd even be able to specify what I mean by "word" (though \W+ would probably be acceptable). Is there a flag to git-diff to give diffs on a word-by-word basis? Alternately, is there a solution using standard command-line tools to compute the metric above?

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  • Who deletes the copied instance in + operator ? (c++)

    - by Dima
    Hello, I searched how to implement + operator properly all over the internet and all the results i found do the following steps : const MyClass MyClass::operator+(const MyClass &other) const { MyClass result = *this; // Make a copy of myself. Same as MyClass result(*this); result += other; // Use += to add other to the copy. return result; // All done! } I have few questions about this "process" : Isn't that stupid to implement + operator this way, it calls the assignment operator(which copies the class) in the first line and then the copy constructor in the return (which also copies the class , due to the fact that the return is by value, so it destroys the first copy and creates a new one.. which is frankly not really smart ... ) When i write a=b+c, the b+c part creates a new copy of the class, then the 'a=' part copies the copy to himself. who deletes the copy that b+c created ? Is there a better way to implement + operator without coping the class twice, and also without any memory issues ? thanks in advance

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  • Keeping track of dependency revisions

    - by Samaursa
    I have a project with several dependencies that are in various repositories. Each time I commit changes to my project, I make sure I write the revision numbers of all the dependent repositories so that in the event I ever have to come back to this revision (let's call it 5), I can immediately know which revisions of the dependent repositories revision 5 is guaranteed to work with, update the dependencies to the specified revisions, compile and run the project. So for example if I have: Dep1 @ Revisions 10 Dep2 @ Revisions 20 Dep3 @ Revisions 10 Proj @ Revisions 35 And let's say that when Proj was on revision 17, the Dep1 revision was 5, Dep2 revision was 13 and Dep3 revision was 3. So in my SVN logs, I recorded something like this: !! Works with Dep1 Rev 5, Dep2 Rev 13, Dep3 Rev 3 To me this seems primitive and makes me believe that there is a better way to do it. Now in one of my other questions, Ivy Dependency Manager has been recommended. I have not looked at it in detail yet (seems complicated and yet another thing I must learn). To me it seems like the log of SVN (and Mercurial etc.) could have been split into Log and Dependencies (if any) where the latter could be switched off if there were no dependencies (unless of course I am unaware of an easier/better solution). This would allow for a cleaner log that maybe even warned at each new commit to check the previously defined dependencies again and make sure they have not changed. So, I was wondering how everyone manages this situations and if you have any tips, techniques, programs, suggestions that you can offer. Thank you.

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  • What problem did MS solve by creating PowerShell? [closed]

    - by Fred
    I'm asking because PowerShell confuses me. I've been trying to write some deployment scripts using PowerShell and I've been less than enthused by the result. I have a co-worker who loves PowerShell and defends it at every turn. Said co-worker claims PowerShell was never written to be a strong shell, but instead was written to: a) Allow you to peek and poke at .NET assemblies on the command-line (why is this a reason for PowerShell to exist?) b) To be hosted in .NET applications for automation, similar to DCOP in KDE and how Gnome is using CORBA. c) to be treated as ".NET script" rather than as an actual shell (related to b). I've always felt like Windows was missing a decent way to bang out automation scripts. cmd is too simplistic in many cases, and WSH is too obtuse (although the combination can be used successfully, I'm not a fan). When I first heard about PowerShell I felt like Windows was finally getting a decent shell that would be able to help with automation of many tasks, but recent experiences, and my co-worker, tell me otherwise. To be clear, I don't take issue with the fact that it's built on .NET, or that it passes objects around rather than text (despite my Unix background :]), and I'm not arguing that PowerShell is useless, but from what I can see, it doesn't solve the problem I was hoping it would solve very well. As soon as you step outside of the .NET/Powershell world, things quit being nice and cozy for you. So with all that out of the way, what problem did MS solve by creating PowerShell, or is it some political bastard child as I suspect? I've googled and haven't hit upon anything that sufficiently answered that for me, but the more citations the better.

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  • Advice on Linq to SQL mapping object design

    - by fearofawhackplanet
    I hope the title and following text are clear, I'm not very familiar with the correct terms so please correct me if I get anything wrong. I'm using Linq ORM for the first time and am wondering how to address the following. Say I have two DB tables: User ---- Id Name Phone ----- Id UserId Model The Linq code generator produces a bunch of entity classes. I then write my own classes and interfaces which wrap these Linq classes: class DatabaseUser : IUser { public DatabaseUser(User user) { _user = user; } public Guid Id { get { return _user.Id; } } ... etc } so far so good. Now it's easy enough to find a users phones from Phones.Where(p => p.User = user) but surely comsumers of the API shouldn't need to be writing their own Linq queries to get at data, so I should wrap this query in a function or property somewhere. So the question is, in this example, would you add a Phones property to IUser or not? In other words, should my interface specifically be modelling my database objects (in which case Phones doesn't belong in IUser), or are they actually simply providing a set of functions and properties which are conceptually associated with a User (in which case it does)? There seems drawbacks to both views, but I'm wondering if there is a standard approach to the problem. Or just any general words of wisdom you could share. My first thought was to use extension methods but in fact that doesn't work in this case.

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  • How to call a generic method with an anonymous type involving generics?

    - by Alex Black
    I've got this code that works: def testTypeSpecialization = { class Foo[T] def add[T](obj: Foo[T]): Foo[T] = obj def addInt[X <% Foo[Int]](obj: X): X = { add(obj) obj } val foo = addInt(new Foo[Int] { def someMethod: String = "Hello world" }) assert(true) } But, I'd like to write it like this: def testTypeSpecialization = { class Foo[T] def add[X, T <% Foo[X](obj: T): T = obj val foo = add(new Foo[Int] { def someMethod: String = "Hello world" }) assert(true) } This second one fails to compile: no implicit argument matching parameter type (Foo[Int]{ ... }) = Foo[Nothing] was found. Basically: I'd like to create a new anonymous class/instance on the fly (e.g. new Foo[Int] { ... } ), and pass it into an "add" method which will add it to a list, and then return it The key thing here is that the variable from "val foo = " I'd like its type to be the anonymous class, not Foo[Int], since it adds methods (someMethod in this example) Any ideas? I think the 2nd one fails because the type Int is being erased. I can apparently 'hint' the compiler like this: def testTypeSpecialization = { class Foo[T] def add[X, T <% Foo[X]](dummy: X, obj: T): T = obj val foo = add(2, new Foo[Int] { def someMethod: String = "Hello world" }) assert(true) }

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  • JavaScript: How is "function x() {}" different from "x = function() {}" ?

    - by jleedev
    In the answers to this question, we read that function f() {} defines the name locally, while [var] f = function() {} defines it globally. That makes perfect sense to me, but there's some strange behavior that's different between the two declarations. I made an HTML page with the script onload = function() { alert("hello"); } and it worked as expected. When I changed it to function onload() { alert("hello"); } nothing happened. (Firefox still fired the event, but WebKit, Opera, and Internet Explorer didn't, although frankly I've no idea which is correct.) In both cases (in all browsers), I could verify that both window.onload and onload were set to the function. In both cases, the global object this is set to the window, and I no matter how I write the declaration, the window object is receiving the property just fine. What's going on here? Why does one declaration work differently from the other? Is this a quirk of the JavaScript language, the DOM, or the interaction between the two?

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  • System Calls in windows & Native API?

    - by claws
    Recently I've been using lot of Assembly language in *NIX operating systems. I was wondering about the windows domain. Calling convention in linux: mov $SYS_Call_NUM, %eax mov $param1 , %ebx mov $param2 , %ecx int $0x80 Thats it. That is how we should make a system call in linux. Reference of all system calls in linux: Regarding which $SYS_Call_NUM & which parameters we can use this reference : http://docs.cs.up.ac.za/programming/asm/derick_tut/syscalls.html OFFICIAL Reference : http://kernel.org/doc/man-pages/online/dir_section_2.html Calling convention in Windows: ??? Reference of all system calls in Windows: ??? Unofficial : http://www.metasploit.com/users/opcode/syscalls.html , but how do I use these in assembly unless I know the calling convention. OFFICIAL : ??? If you say, they didn't documented it. Then how is one going to write libc for windows without knowing system calls? How is one gonna do Windows Assembly programming? Atleast in the driver programming one needs to know these. right? Now, whats up with the so called Native API? Is Native API & System calls for windows both are different terms referring to same thing? In order to confirm I compared these from two UNOFFICIAL Sources System Calls: http://www.metasploit.com/users/opcode/syscalls.html Native API: http://undocumented.ntinternals.net/aindex.html My observations: All system calls are beginning with letters Nt where as Native API is consisting of lot of functions which are not beginning with letters Nt. System Call of windows are subset of Native API. System calls are just part of Native API. Can any one confirm this and explain.

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  • Run multiple MySQL queries based on a series of ifs

    - by OldWest
    I am just getting started on this complex query I need to write and was hoping for any suggestions or feedback regarding table structure and the actual query itself.. I've already created my tables and populated test data, and now just trying to sort out how and what is possible within MySQL. Here is an outline of the problem: End result: Listing of rates based on specific queried criteria (see below): Age: [ 27 ] Spouse Age: [ 25 ] Num of Children: [ 3 ] Zip Code: [ 97128 ] The problem I am running into is each company that provides rates has a unique way of dealing with the rate. And I am looking for the best approach for multiple queries based on the company (one query with results for each company more or less all combined into one result set). Here are some facts: - Each company deals with zip code ranges which assist in the query result. - Each company has a different method of calculating the rate based on the Applicant, Spouse, Num of Children: Example, a) Company A determines rate by: Applicant + Spouse + Child(ren) = rate (age is pertinent to the applicant within a range). b) Company B determines the rate by total number of applicants like: 1, 2, 3, 4, 5, 6+ = rate (and age is ignored). First off, what would I call this type of query? Multiple nested query? And should I intertwine php within it to determine the If()s ... I apologize if this thread lacks sufficient data, so please tell me anything you would like to see.

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  • General web service ideas

    - by user2014175
    I have a question regarding different types of web services. I'll preface this by saying that I have built a number of apps (for both ios and android) for personal use that interact with the web via php and sql. I have taught myself these languages, and as such don't have the broader background knowledge that many of you do. My question is, in what other ways can you perform an interaction between a web service and a mobile device other than mobile - php - sql - etc. For example, If I built a very simple tracking app for my car, my current method would be to push GPS coordinates from my iphone to my database at a set interval, then I would write a simple bit of javascript that pulled those coordinates out of the database and superimposed them on a google map. Is there a different way to do this? Such as the server acting as a live middle man who simple pushed the coordinates directly to a target browser? Without the database in the middle? If so, are there advantages and disadvantages to these different methods to achieve different goals? I know its a broad question but I'm really intrigued and I'm finding it difficult to word a google search for it. Any info / reading material suggesting would be excellent. Thanks

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  • Looking for Simplified Overview of EJB3

    - by sdoca
    Hi I'm looking for a simplified overview of EJB3 components. I seem to understand most of the pieces of the puzzle, but can't quite get them to fit together in my brain as a full picture. I've developed numerous web applications (wars) that have been deployed on Tomcat before, but not a full-fledged EE application (ear). I would like the overview to be as generic as possible. I'm not looking for a tutorial on how to set up EJB3 on Glassfish built in NetBeans or some other vendor specific tutorial that's more about the IDE than the technology. I keep reading about Java, ejb-jar, web and ear modules but am not clear on what these different modules contain and how to use them to put together my app. In my case, I want to write a simple database CRUD web application. The first step is simple; create entity classes that model the database tables my app will be using. I plan on using annotations. Should I create a jar that contains just these enity classes? Is this the ejb-jar module (sometimes referred to as the Java module)? Next, I'll need some business logic classes that make use of the entity classes. These are the session beans (stateless or stateful) correct? Should these be packaged in the same jar as the entity classes or a separate jar? Finally, I'll need some sort of web interface (I'll be creating a JSF portlet) application that makes use of the both the session and entity beans. Together with the above jar(s), this will be my war? Assuming the above to be correct, what is involved in creating an ear? Forgive me if this post is vague, but I'm having a hard time defining what it is I don't understand. Thanks for any help!

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  • C++ member template for boost ptr_vector

    - by Ivan
    Hi there, I'm trying to write a container class using boost::ptr_vector. Inside the ptr_vector I would like to include different classes. I'm trying to achieve that using static templates, but so far I'm not able to do that. For example, the container class is class model { private: boost::ptr_vector<elem_type> elements; public: void insert_element(elem_type *a) { element_list.push_back(a); } }; and what I'm trying to achieve is be able to use different elem_type classes. The code below doesn't satisfy my requirements: template <typename T>class model { private: boost::ptr_vector<T> elements; public: void insert_element(T *a) { element_list.push_back(a); } }; because when I initialize the container class I can only use one class as template: model <elem_type_1> model_thing; model_thing.insert_element(new elem_type_1) but not elem_type_2: model_thing.insert_element(new elem_type_2)//error, of course It is possible to do something like using templates only on the member? class model { private: template <typename T> boost::ptr_vector<T> elements; public: void insert_element(T *a) { element_list.push_back(a); } }; //wrong So I can call the insert_element on the specific class that I want to insert? Note that I do not want to use virtual members. Thanks!

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  • How would I make this faster? Parsing Word/sorting by heading [on hold]

    - by Doof12
    Currently it takes about 3 minutes to run through a single 53 page word document. Hopefully you all have some advice about speeding up the process. Code: import win32com.client as win32 from glob import glob import io import re from collections import namedtuple from collections import defaultdict import pprint raw_files = glob('*.docx') word = win32.gencache.EnsureDispatch('Word.Application') word.Visible = False oFile = io.open("rawsort.txt", "w+", encoding = "utf-8")#text dump doccat= list() for f in raw_files: word.Documents.Open(f) doc = word.ActiveDocument #whichever document is active at the time doc.ConvertNumbersToText() print doc.Paragraphs.Count for x in xrange(1, doc.Paragraphs.Count+1):#for loop to print through paragraphs oText = doc.Paragraphs(x) if not oText.Range.Tables.Count >0 : results = re.match('(?P<number>(([1-3]*[A-D]*[0-9]*)(.[1-3]*[0-9])+))', oText.Range.Text) stylematch = re.match('Heading \d', oText.Style.NameLocal) if results!= None and oText.Style != None and stylematch != None: doccat.append((oText.Style.NameLocal, oText.Range.Text[:len(results.group('number'))],oText.Range.Text[len(results.group('number')):])) style = oText.Style.NameLocal else: if oText.Range.Font.Bold == True : doccat.append(style, oText) oFile.write(unicode(doccat)) oFile.close() The for Paragraph loop obviously takes the most amount of time. Is there some way of identifying and appending it without going through every Paragraph?

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  • Freetype2 (error-)return value documentation

    - by Awaki
    In short, I'm looking for documentation that would limit the error situations to check for after a Freetype library function failed, much like the OpenGL and Win32 APIs document the error codes generated by their respective functions. I can't seem to find such documentation though, so I was wondering how to best handle translation of Freetype errors to typed exceptions. Background: I am currently in the process of implementing font-rendering capability (using Freetype) for my GUI framework, which makes strong use of typed exceptions to indicate error situations. However, the Freetype docs seem to completely omit what errors can be expected from what functions. That, if such documentation does indeed not exist, would basically leave me with two options: either guessing which errors make sense for a certain Freetype function (obviously prone to mistakes on my part), or considering every error code for translation into appropriate exceptions (less verbose since I would have to write the translation only once). Performance isn't really critical in the code that calls the Freetype library, so even the latter option would probably be acceptable, but surely there must be some kind of documentation on which library calls may return what Freetype error? Is there any such documentation which I just somehow managed to not find? Should I go the route of generically expecting every error code for translation? Or are there other ways to approach this problem? By the way, I wanted to avoid introducing some kind of generic FreetypeException (containing a description of the Freetype error) since I intended to completely hide what libraries I'm using (not from a legal point-of-view, mind you), but I guess I can be convinced to do this anyway if the consensus is that it would be the best option. I don't think it matters for this question, but I'm writing in C++.

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  • Parallel doseq for Clojure

    - by andrew cooke
    I haven't used multithreading in Clojure at all so am unsure where to start. I have a doseq whose body can run in parallel. What I'd like is for there always to be 3 threads running (leaving 1 core free) that evaluate the body in parallel until the range is exhausted. There's no shared state, nothing complicated - the equivalent of Python's multiprocessing would be just fine. So something like: (dopar 3 [i (range 100)] ; repeated 100 times in 3 parallel threads... ...) Where should I start looking? Is there a command for this? A standard package? A good reference? So far I have found pmap, and could use that (how do I restrict to 3 at a time? looks like it uses 32 at a time - no, source says 2 + number of processors), but it seems like this is a basic primitive that should already exist somewhere. clarification: I really would like to control the number of threads. I have processes that are long-running and use a fair amount of memory, so creating a large number and hoping things work out OK isn't a good approach (example which uses a significant chunk available mem). update: Starting to write a macro that does this, and I need a semaphore (or a mutex, or an atom i can wait on). Do semaphores exist in Clojure? Or should I use a ThreadPoolExecutor? It seems odd to have to pull so much in from Java - I thought parallel programming in Clojure was supposed to be easy... Maybe I am thinking about this completely the wrong way? Hmmm. Agents?

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  • Online job-searching is tedious. Help me automate it.

    - by ehsanul
    Many job sites have broken searches that don't let you narrow down jobs by experience level. Even when they do, it's usually wrong. This requires you to wade through hundreds of postings that you can't apply for before finding a relevant one, quite tedious. Since I'd rather focus on writing cover letters etc., I want to write a program to look through a large number of postings, and save the URLs of just those jobs that don't require years of experience. I don't require help writing the scraper to get the html bodies of possibly relevant job posts. The issue is accurately detecting the level of experience required for the job. This should not be too difficult as job posts are usually very explicit about this ("must have 5 years experience in..."), but there may be some issues with overly simple solutions. In my case, I'm looking for entry-level positions. Often they don't say "entry-level", but inclusion of the words probably means the job should be saved. Next, I can safely exclude a job the says it requires "5 years" of experience in whatever, so a regex like /\d\syears/ seems reasonable to exclude jobs. But then, I realized some jobs say they'll take 0-2 years of experience, matches the exclusion regex but is clearly a job I want to take a look at. Hmmm, I can handle that with another regex. But some say "less than 2 years" or "fewer than 2 years". Can handle that too, but it makes me wonder what other patterns I'm not thinking of, and possibly excluding many jobs. That's what brings me here, to find a better way to do this than regexes, if there is one. I'd like to minimize the false negative rate and save all the jobs that seem like they might not require many years of experience. Does excluding anything that matches /[3-9]\syears|1\d\syears/ seem reasonable? Or is there a better way? Training a bayesian filter maybe?

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  • Efficient Multiplication of Varying-Length #s [Conceptual]

    - by Milan Patel
    Write the pseudocode of an algorithm that takes in two arbitrary length numbers (provided as strings), and computes the product of these numbers. Use an efficient procedure for multiplication of large numbers of arbitrary length. Analyze the efficiency of your algorithm. I decided to take the (semi) easy way out and use the Russian Peasant Algorithm. It works like this: a * b = a/2 * 2b if a is even a * b = (a-1)/2 * 2b + a if a is odd My pseudocode is: rpa(x, y){ if x is 1 return y if x is even return rpa(x/2, 2y) if x is odd return rpa((x-1)/2, 2y) + y } I have 3 questions: Is this efficient for arbitrary length numbers? I implemented it in C and tried varying length numbers. The run-time in was near-instant in all cases so it's hard to tell empirically... Can I apply the Master's Theorem to understand the complexity...? a = # subproblems in recursion = 1 (max 1 recursive call across all states) n / b = size of each subproblem = n / 1 - b = 1 (problem doesn't change size...?) f(n^d) = work done outside recursive calls = 1 - d = 0 (the addition when a is odd) a = 1, b^d = 1, a = b^d - complexity is in n^d*log(n) = log(n) this makes sense logically since we are halving the problem at each step, right? What might my professor mean by providing arbitrary length numbers "as strings". Why do that? Many thanks in advance

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  • How to solve this problem with Python

    - by morpheous
    I am "porting" an application I wrote in C++ into Python. This is the current workflow: Application is started from the console Application parses CLI args Application reads an ini configuration file which specifies which plugins to load etc Application starts a timer Application iterates through each loaded plugin and orders them to start work. This spawns a new worker thread for the plugin The plugins carry out their work and when completed, they die When time interval (read from config file) is up, steps 5-7 is repeated iteratively Since I am new to Python (2 days and counting), the distinction between script, modules and packages are still a bit hazy to me, and I would like to seek advice from Pythonista as to how to implement the workflow described above, using Python as the programing language. In order to keep things simple, I have decided to leave out the time interval stuff out, and instead run the python script/scripts as a cron job instead. This is how I am thinking of approaching it: Encapsulate the whole application in a package which is executable (i.e. can be run from the command line with arguments. Write the plugins as modules (I think maybe its better to implement each module in a separate file?) I havent seen any examples of using threading in Python yet. Could someone provide a snippet of how I could spawn a thread to run a module. Also, I am not sure how to implement the concept of plugins in Python - any advice would be helpful - especially with a code snippet.

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  • What should I do from here?

    - by Sunscreen
    Hi all, First of all, the site rocks. You can ask and get specific answers, mainly, for programming issues. This question is more generic. I studied Physics for my bachelors and Digital Image Processing for my masters, ended on September 2001. From then on I started working as a developer and software analyst. I worked, and working, witn C, C++, AIX OS, XP OS, MFC 4.21. I also did some data translations from EDIFACT to XML and viceversa. I trained users for the applications that I was running, I created documents (detailed design docs mainly), though most of the time I wrote, and I still write, code. Recently I applied for the best greek, graduate university for my MBA and they accepted me, starting on Jan 2011. I am a developer with no specific insight with the languages I work. I can be very productive with some subsets of the languages that the companies I worked for use, though this is a limited thing for a developer. If I get my MBA I can be a semi-businees analyst ot consultant, as I am now a semi-developer. The problem is that I can do some but not all in a designated working area. What should I do from here? Should I get my MBA and look forswitching industries? Should I read and excersise myself with new languages and frameworks? Should I be more focussed to the deligations from my current job (currently I work with MFC)? Just for the note, I am 32 and I feel I am wasting my time. I am not getting the best that I can get from is current position (and I work here for 3+ years). Thanks all, Sun

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