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  • Advice on whether to use native C++ DLL or not: PINVOKE & Marshaling ?

    - by Bob
    What's the best way to do this....? I have some Native C++ code that uses a lot of Win32 calls together with byte buffers (allocated using HeapAlloc). I'd like to extend the code and make a C# GUI...and maybe later use a basic Win32 GUI (for use where there is no .Net and limited MFC support). (A) I could just re-write the code in C# and use multiple PINVOKEs....but even with the PINVOKES in a separate class, the code looks messy with all the marshaling. I'm also re-writing a lot of code. (B) I could create a native C++ DLL and use PINVOKE to marshal in the native data structures. I'm assuming I can include the native C++ DLL/LIB in a project using C#? (C) Create a mixed mode DLL (Native C++ class plus managed ref class). I'm assuming that this would make it easier to use the managed ref class in C#......but is this the case? Will the managed class handle all the marshaling? Can I use this mixed mode DLL on a platform with no .Net (i.e. still access the native C++ unmanaged component) or do I limit myself to .Net only platforms. One thing that bothers me about each of these options is all the marshalling. Is it better to create a managed data structure (array, string etc.) and pass that to the native C++ class, or, the other way around? Any ideas on what would be considered best practice...?

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  • How to use the same element name for different purposes ( in XML and DTD ) ?

    - by BugKiller
    Hi, I Want to create a DTD schema for this xml document: <root> <student> <name> <firstname>S1</firstname> <lastname>S2</lastname> </name> </student> <course> <name>CS101</name> </course> </root> as you can see , the element name in the course contains plain text ,but the element name in the student is complex type ( first-name, last-name ). The following is the DTD: <!ELEMENT root (course|student)*> <!ELEMENT student (name)> <!ELEMENT name (lastname|firstname)> <!ELEMENT firstname (#PCDATA)> <!ELEMENT lastname (#PCDATA)> <!ELEMENT course (name)> When I want to validate it , I get an error because the course's name has different structure then the student's name . My Question: how can I make a work-around solution for this situation without changing the name of element name using DTD not xml schema . Thanks.

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  • Fast, easy, and secure method to perform DB actions with GET

    - by rob - not a robber
    Hey All, Sort of a methods/best practices question here that I am sure has been addressed, yet I can't find a solution based on the vague search terms I enter. I know starting off the question with "Fast and easy" will probably draw out a few sighs, so my apologies. Here is the deal. I have a logged in area where an ADMIN can do a whole host of POST operations to input data relating to their profile. The way I have data structured is pretty distinct and well segmented in most tables as it relates to the ID of the admin. Now, I have a table where I dump one type of data into and differentiate this data by assigning the ADMIN's unique ID to each record. In other words, all ADMINs have this one type of data writing to this table. I just differentiate by the ADMIN ID with each record. I was planning on letting the ADMIN remove these records by clicking on a link with a query string - obviously using GET. Obviously, the query structure is in the link so any logged in admin could then exploit the URL and delete a competitor's records. Is the only way to safely do this through POST or should I pass through the session info that includes password and validate it against the ADMIN ID that is requesting the delete? This is obviously much more work for me. As they said in the auto repair biz I used to work in... there are 3 ways to do a job: Fast, Good, and Cheap. You can only have two at a time. Fast and cheap will not be good. Good and cheap will not have fast turnaround. Fast and good will NOT be cheap. haha I guess that applies here... can never have Fast, Easy and Secure all at once ;) Thanks in advance...

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  • How can I obtain the local TCP port and IP Address of my client program?

    - by Dr Dork
    Hello! I'm prepping for a simple work project and am trying to familiarize myself with the basics of socket programming in a Unix dev environment. At this point, I have some basic server side code and client side code setup to communicate. Currently, my client code successfully connects to the server code and the server code sends it a test message, then both quit out. Perfect! That's exactly what I wanted to accomplish. Now I'm playing around with the functions used to obtain info about the two environments (server and client). I'd like to obtain the local IP address and dynamically assigned TCP port of the client. The function I've found to do this is getsockname()... //setup the socket if ((sockfd = socket(p->ai_family, p->ai_socktype, p->ai_protocol)) == -1) { perror("client: socket"); continue; } //Retrieve the locally-bound name of the specified socket and store it in the sockaddr structure sa_len = sizeof(sa); getsock_check = getsockname(sockfd,(struct sockaddr *)&sa,(socklen_t *)&sa_len) ; if (getsock_check== -1) { perror("getsockname"); exit(1); } printf("Local IP address is: %s\n", inet_ntoa(sa.sin_addr)); printf("Local port is: %d\n", (int) ntohs(sa.sin_port)); but the output is always zero... Local IP address is: 0.0.0.0 Local port is: 0 does anyone see anything I might be or am definitely doing wrong? Thanks so much in advance for all your help!

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  • Git + GitHub + Heroku

    - by Haseeb Khan
    Hi All, I am new to the world of Git, GitHub and Heroku. So far, I am enjoying this paradigm but coming from a background with SVN, things seems a bit complicated to me in the world of Git. I am facing a problem for which I am looking for a solution. Scenario: I have setup a new private project on GitHub. I forked the private project and now I have the following structure in my branch: /project /apps /my-apps /my-app-1 .... /my-app-2 .... /your-apps /your-app-1 .... /your-app-2 .... /plugins .... I can commit the code in my Fork on GitHub from my machine in any of the folders I want. Later on, these would be pulled into the master repository by the admin of the project. For every individual application in the apps folder, I have setup an app on Heroku which is a Git Repo in itself where I push my changes when I am done with the user stories from my local machine. In short, every app in the apps folder is a Rails App hosted on Heroku. Problem: What I want is that when I push my changes into Heroku, they can be committed into my project fork on GitHub as well, so, it also has the latest code all the time. The issue I see is that the code on Heroku is a Git Repo while the folders which I have on GitHub are part of a Repo. So far, what I have researched is that there is something known as Submodule in the Git World which can come to the rescue, however, I have not been able to find some newbie instructions. Can someone in the community be kind enough to share thoughts and help me to identify the solution of this problem? Thanks in advance. Regards, Haseeb Khan haseeb [AT] tkxel.com TkXel

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  • SharePoint: Filtering a List that has Folders

    - by Gary McGill
    I have a SharePoint document library that has a folder structure used for organizing the documents (but also for controlling access, via permissions on the folders). The documents in the library are updated every month, and we store every month's version of the document in the same folder; there's a "month" column used for filtering that will contain values like Jan 09, Feb 09, etc. It looks like this: Title Month ----- ----- SubFolder 1 SubFolder 2 [] Interesting Facts Jan 09 [] Interesting Facts Feb 09 [] Interesting Facts Mar 09 [] Fascinating Numbers Jan 09 [] Fascinating Numbers Feb 09 ... Now, because users will generally be most interested in the 'current' month, I'd like them to be able to apply a filter, and select (say) Mar 09. However, if they do this using the built-in filtering, it also filters out the folders, and they can no longer navigate the folder hierarchy. This is no good - I want them to be able to move between folders with the filter intact, so that they don't need to keep switching it off and on again. I figured I might be able to use a custom view (selecting where type=folder or month=[month]), and to an extent that does work. However, I can only get it to work for a fixed month, whereas I need the user to be able to select the month - perhaps via a drop-down control on the page (and I don't want to create 60 views for 5 years' worth of months, nor do I want to have to create a new view every month). I thought it might be possible to create a view in code (rather than via the UI), but I've not been able to figure out how to get a dynamic value (a user-specific setting) into the CAML query. Any pointers gratefully appreciated! And by the way, I am aware of the dogma that folders are bad, and that everything should just be a list. However, having considered the alternatives, I still favour using folders - if I can solve this problem. Thanks in advance.

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  • switching C compiler causes: Error Initializer cannot be specified for a flexible array member

    - by user1054210
    I am trying to convert our code from one IDE to be used in a different one. The current one uses gcc which allows for this structure to be initialized from a variable array. The new tool does not use gcc gives me an error "Initializer cannot be specified for a flexible array member". So can someone help me understand how to set this up? Should I set up a blank array of variable size and then somewhere assign the #define array as seen below? Here would be an example of the code…(this is current implementation current IDE) In one header file that is Build switchable so we can build this on different hardware platforms we have the following #define #define GPIOS \ /* BANK, PIN, SPD, MODE,… */ GPIOINIT( A, 0, 2, AIN, …) \ GPIOINIT( A, 1, 2, AIN, …) \ GPIOINTINIT(A, 2, 2, AIN, …) \ . . . Then in a different header file that is used in all builds we have PLATFORM_CONFIG_T g_platformConfig = { .name = {PLATFORM_NAME}, (bunch of other stuff), .allGpios = { GPIOS /* here I get the error */ }, }; So I am thinking I can make the error line a variable array and assign to it later in some other way? The problem is the actual array "GPIO" is of different types and pin orders on different designs are different.

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  • Best way to dynamically get column names from oracle tables

    - by MNC
    Hi, We are using an extractor application that will export data from the database to csv files. Based on some condition variable it extracts data from different tables, and for some conditions we have to use UNION ALL as the data has to be extracted from more than one table. So to satisfy the UNION ALL condition we are using nulls to match the number of columns. Right now all the queries in the system are pre-built based on the condition variable. The problem is whenever there is change in the table projection (i.e new column added, existing column modified, column dropped) we have to manually change the code in the application. Can you please give some suggestions how to extract the column names dynamically so that any changes in the table structure do not require change in the code? My concern is the condition that decides which table to query. The variable condition is like if the condition is A, then load from TableX if the condition is B then load from TableA and TableY. We must know from which table we need to get data. Once we know the table it is straightforward to query the column names from the data dictionary. But there is one more condition, which is that some columns need to be excluded, and these columns are different for each table. I am trying to solve the problem only for dynamically generating the list columns. But my manager told me to make solution on the conceptual level rather than just fixing. This is a very big system with providers and consumers constantly loading and consuming data. So he wanted solution that can be general. So what is the best way for storing condition, tablename, excluded columns? One way is storing in database. Are there any other ways? If yes what is the best? As I have to give at least a couple of ideas before finalizing. Thanks,

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  • Assign C++ instance method to a global-function-pointer ?

    - by umanga
    Greetings, My project structure is as follows: \- base (C static library) callbacks.h callbacks.c paint_node.c . . * libBase.a \-app (C++ application) main.cpp In C library 'base' , I have declared global-function-pointer as: in singleheader file callbacks.h #ifndef CALLBACKS_H_ #define CALLBACKS_H_ extern void (*putPixelCallBack)(); extern void (*putImageCallBack)(); #endif /* CALLBACKS_H_ */ in single C file they are initialized as callbacks.c #include "callbacks.h" void (*putPixelCallBack)(); void (*putImageCallBack)(); Other C files access this callback-functions as: paint_node.c #include "callbacks.h" void paint_node(node *node,int index){ //Call callbackfunction . . putPixelCallBack(node->x,node->y,index); } I compile these C files and generate a static library 'libBase.a' Then in C++ application, I want to assign C++ instance method to this global function-pointer: I did something like follows : in Sacm.cpp file #include "Sacm.h" extern void (*putPixelCallBack)(); extern void (*putImageCallBack)(); void Sacm::doDetection() { putPixelCallBack=(void(*)())&paintPixel; //call somefunctions in 'libBase' C library } void Sacm::paintPixel(int x,int y,int index) { qpainter.begin(this); qpainter.drawPoint(x,y); qpainter.end(); } But when compiling it gives the error: sacmtest.cpp: In member function ‘void Sacm::doDetection()’: sacmtest.cpp:113: error: ISO C++ forbids taking the address of an unqualified or parenthesized non-static member function to form a pointer to member function. Say ‘&Sacm::paintPixel’ sacmtest.cpp:113: error: converting from ‘void (Sacm::)(int, int, int)’ to ‘void ()()’ Any tips?

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  • AnkhSVN: Cannot checkout Subsolution due to existing "versioned" folder

    - by lostiniceland
    Hello Everyone I am using Subversion since quite some time for Java-Development and I have setup a repository on my local NAS. Since I have a MSDN subscription via my company I recently installed Visual Studio 2010 to do a small project with .NET. According to some "best-practices" my project folder looks like the following. MySolution main.sln Services services.sln Service A files Service A Test files View projectfiles Persistence persistence.sln PersistenceXml files PersistenceXml Test files PersistenceDB files PersistenceDB Test files The idea is, that the main.sln only contains the projects for the application, meaning no test projects. The subsolutions, contain the project(s) and their corresponding testprojects. I was able to put all those projects under versioncontrol with AnkhSVN, so I have the same structure there in my trunk. Commiting changes was also no problem. Now I would like to check the this out on another machine. I was able to check out the main.sln which downloaded everything that was inside this solution. It skipped the services.sln, persistence.sln and all the test-projects. Until now everything is fine. Now, here comes the problem: when I am tryting to check out the subsolution (eg. services.sln) I get an error, I think it was UnsupportedOperation. I guess this happens because ankhsvn is tryting to download the folder Service A again and create ist hidden .svn folder which is already present. The only workaround I can think of by now is installing Tortoise SVN and check out the whole thing at once. It would be nicer though to have everything from within VS. Does anyone know how I can solve this? Is another client the only solution?

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  • How to merge objects in php ?

    - by The Devil
    Hey everybody, I'm currently re-writing a class which handles xml files. Depending on the xml file and it's structure I sometimes need to merge objects. Lets say once I have this: <page name="a title"/> And another time I have this: <page name="a title"> <permission>administrator</permission> </page> Before, I needed only the attributes from the "page" element. That's why a lot of my code expects an object containing only the attributes ($loadedXml-attributes()). Now there are xml files in which the <permission> element is required. I did manage to merge the objects (though not as I wanted) but I can't get to access one of them (most probably it's something I'm missing). To merge my objects I used this code: (object) array_merge( (array) $loadedXml->attributes(), (array) $loadedXml->children() ); This is what I get from print_r(): stdClass Object ( [@attributes] => Array ( [name] => a title ) [permission] => Array ( [0] => administrator ) ) So now my question is how to access the @attributes method ? Thanks in advance, The Devil

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  • Counting entries in a list of dictionaries: for loop vs. list comprehension with map(itemgetter)

    - by Dennis Williamson
    In a Python program I'm writing I've compared using a for loop and increment variables versus list comprehension with map(itemgetter) and len() when counting entries in dictionaries which are in a list. It takes the same time using a each method. Am I doing something wrong or is there a better approach? Here is a greatly simplified and shortened data structure: list = [ {'key1': True, 'dontcare': False, 'ignoreme': False, 'key2': True, 'filenotfound': 'biscuits and gravy'}, {'key1': False, 'dontcare': False, 'ignoreme': False, 'key2': True, 'filenotfound': 'peaches and cream'}, {'key1': True, 'dontcare': False, 'ignoreme': False, 'key2': False, 'filenotfound': 'Abbott and Costello'}, {'key1': False, 'dontcare': False, 'ignoreme': True, 'key2': False, 'filenotfound': 'over and under'}, {'key1': True, 'dontcare': True, 'ignoreme': False, 'key2': True, 'filenotfound': 'Scotch and... well... neat, thanks'} ] Here is the for loop version: #!/usr/bin/env python # Python 2.6 # count the entries where key1 is True # keep a separate count for the subset that also have key2 True key1 = key2 = 0 for dictionary in list: if dictionary["key1"]: key1 += 1 if dictionary["key2"]: key2 += 1 print "Counts: key1: " + str(key1) + ", subset key2: " + str(key2) Output for the data above: Counts: key1: 3, subset key2: 2 Here is the other, perhaps more Pythonic, version: #!/usr/bin/env python # Python 2.6 # count the entries where key1 is True # keep a separate count for the subset that also have key2 True from operator import itemgetter KEY1 = 0 KEY2 = 1 getentries = itemgetter("key1", "key2") entries = map(getentries, list) key1 = len([x for x in entries if x[KEY1]]) key2 = len([x for x in entries if x[KEY1] and x[KEY2]]) print "Counts: key1: " + str(key1) + ", subset key2: " + str(key2) Output for the data above (same as before): Counts: key1: 3, subset key2: 2 I'm a tiny bit surprised these take the same amount of time. I wonder if there's something faster. I'm sure I'm overlooking something simple. One alternative I've considered is loading the data into a database and doing SQL queries, but the data doesn't need to persist and I'd have to profile the overhead of the data transfer, etc., and a database may not always be available. I have no control over the original form of the data. The code above is not going for style points.

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  • Error logging in C#

    - by rschuler
    I am making my switch from coding in C++ to C#. I need to replace my C++ error logging/reporting macro system with something similar in C#. In my C++ source I can write LOGERR("Some error"); or LOGERR("Error with inputs %s and %d", stringvar, intvar); The macro & supporting library code then passes the (possibly varargs) formatted message into a database along with the source file, source line, user name, and time. The same data is also stuffed into a data structure for later reporting to the user. Does anybody have C# code snippets or pointers to examples that do this basic error reporting/logging? Edit: At the time I asked this question I was really new to .NET and was unaware of System.Diagnostics.Trace. System.Diagnostics.Trace was what I needed at that time. Since then I have used log4net on projects where the logging requirements were larger and more complex. Just edit that 500 line XML configuration file and log4net will do everything you will ever need :)

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  • Overflow in table cells

    - by Ezdaroth
    I need to create a chat layout that uses all the available space and scales nicely, but has few fixed sizes. Here's the structure: <table style="width: 100%; height: 100%"> <tr> <td></td> <td style="width: 200px; background: red;"></td> </tr> <tr> <td style="height: 100px; background: blue"></td> <td></td> </tr> </table> However, I want to place a lot of content in the first table cell and I want it to scroll, so it won't expand the table. Is it possible to make it overflow properly, without having a fixed height for the cell? Simply adding overflow: auto doesn't seem to work. PS. I hate tables, but can't figure out a very clean and cross-browser way to do a layout like this with divs and css. If someone can come up with one, I'll gladly use it.

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  • Reverse alphabetic sort multidimensional PHP array maintain key

    - by useyourillusiontoo
    I'm dying here, any help would be great. I've got an array that I can sort a-z on the value of a specific key but cannot sort in reverse z-a. sample of my array which i'd like to sort by ProjectName (z-a): Array ( [0] => Array ( [count] => 1 [ProjectName] => bbcjob [Postcode] => 53.471922,-2.2996078 [Sector] => Public ) [1] => Array ( [count] => 1 [ProjectName] => commercial enterprise zone [Postcode] => 53.3742081,-1.4926439 [Sector] => Public ) [2] => Array ( [count] => 1 [ProjectName] => Monkeys eat chips [Postcode] => 51.5141492,-0.2271227 [Sector] => Private the desired results would be to maintain the entire array key - value structure but with the order: Monkeys eat chips Commericial enterprise zone bbcjob I hope this makes sense

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  • PHP arrays - How to 1-dimensional array into nested multidimensional array?

    - by sombe
    When retrieving a hierarchical structure from MySQL (table with one ID column and one PARENT column signifying the hierarchical relationships), I map the result into an enumerated array as follows (for this example the numbers are arbitrary): Array ( [3] => Array ( [7] => Array () ), [7] => Array ( [8] => Array () ) ) Notice 3 is the parent of 7, and 7 is the parent of 8 (this could go on and on; and any parent could have multiple children). I wanted to shrink this array into a nested multidimensional array as follows: Array ( [3] => Array ( [7] => Array ( [8] => Array () ) ) ) That is, each NEW id is automatically assigned an empty array. Regardless, any ID's children will be pushed into their parent's array. Take a look at the following illustration for further clarification: This will probably result in a complicated recursive operation, since I always have to check whether a parent with any certain ID already exists (and if so, push the value into its array). Is there a built-in php function that can assist me with this? Do you have any idea as to how to go about constructing this? For what it's worth I'm using this to built a navigation bar in wordpress (which can contain categories, subcategories, posts... essentially anything).

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  • Lucene Query Syntax

    - by Don
    Hi, I'm trying to use Lucene to query a domain that has the following structure Student 1-------* Attendance *---------1 Course The data in the domain is summarised below Course.name Attendance.mandatory Student.name ------------------------------------------------- cooking N Bob art Y Bob If I execute the query "courseName:cooking AND mandatory:Y" it returns Bob, because Bob is attending the cooking course, and Bob is also attending a mandatory course. However, what I really want to query for is "students attending a mandatory cooking course", which in this case would return nobody. Is it possible to formulate this as a Lucene query? I'm actually using Compass, rather than Lucene directly, so I can use either CompassQueryBuilder or Lucene's query language. For the sake of completeness, the domain classes themselves are shown below. These classes are Grails domain classes, but I'm using the standard Compass annotations and Lucene query syntax. @Searchable class Student { @SearchableProperty(accessor = 'property') String name static hasMany = [attendances: Attendance] @SearchableId(accessor = 'property') Long id @SearchableComponent Set<Attendance> getAttendances() { return attendances } } @Searchable(root = false) class Attendance { static belongsTo = [student: Student, course: Course] @SearchableProperty(accessor = 'property') String mandatory = "Y" @SearchableId(accessor = 'property') Long id @SearchableComponent Course getCourse() { return course } } @Searchable(root = false) class Course { @SearchableProperty(accessor = 'property', name = "courseName") String name @SearchableId(accessor = 'property') Long id }

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  • Archiver Securing SQLite Data without using Encryption on iPhone

    - by Redrocks
    I'm developing an iphone app that uses Core Data with a SQLite data store and lots of images in the resource bundle. I want a "simple" way to obfuscate the file structure of the SQLite database and the image files to prevent the casual hacker/unscrupulous developer from gaining access to them. When the app is deployed, the database file and image files would be obfuscated. Upon launching the app it would read in and un-obfuscate the database file, write the un-obfuscated version to the users "tmp" directory for use by core data, and read/un-obfuscate image files as needed. I'd like to apply a simple algorithm to the files that would somehow scramble/manipulate the file data so that the sqlite database data isn't discernible when the db is opened in a text editor and so that neither is recognized by other applications (SQLite Manager, Photoshop, etc.) It seems, from the information I've read, that I could use NSFileManager, NSKeyedArchiver, and NSData to accomplish this but I'm not sure how to proceed. Been developing software for many years but I'm new to everything CocoaTouch, Mac and iPhone. Also never had to secure/encrypt my data so this is new. Any thoughts, suggestions, or links to solutions are appreciated.

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  • Saving tree-structures in Databases

    - by Nina Null
    Hello everyone. I use Hibernate/Spring and a MySQL Database for my data management. Currently I display a tree-structure in a JTable. A tree can have several branches, in turn a branch can have several branches (up to nine levels) again, or having leaves. Lately I have performanceproblemes, as soon as I want to create new branches on deeper levels. At this time a branch has a foreign key to its parent. The domainobject has access to its parent by calling getParent(), which returns the parent-branch. The deeper the level, the longer it takes to create a new branch. Microbenchmark results for creating a new branch are like: Level 1: 32 ms. Level 3: 80 ms. Level 9: 232 ms. Obviously the level (which means the number of parents) is responsible for this. So I wanted to ask, if there are any appendages to work around this kind of problem. I don’t understand why Hibernate needs to know about the whole object tree (all parents until the root) while creating a new branch. But as far as I know this can be the only reason for the delay while creating a new branch, because a branch doesn’t have any other relations to any other objects. I would be very thankful for any workarounds or suggestions. greets, jambusa

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  • Object does not exist after constructor?

    - by openbas
    Hello, I have a constructor that looks like this (in c++): Interpreter::Interpreter() { tempDat == new DataObject(); tempDat->clear(); } the constructor of dataObject does absolutely nothing, and clear does this: bool DataObject::clear() { //clear the object if (current_max_id > 0) { indexTypeLookup.clear(); intData.clear(); doubleData.clear(); current_max_id = 0; } } Those members are defined as follows: std::map<int, int> indexTypeLookup; std::map<int, int> intData; std::map<int, double> doubleData; Now the strange thing is that I'm getting a segfault on tempDat-clear(); gdb says tempDat is null. How is that possible? The constructor of tempDat cannot fail, it looks like this: DataObject::DataObject() : current_max_id(0) { } I know there are probably better way's of making such a data structure, but I really like to know where this segfault problem is coming from..

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  • SQL Query to duplicate records based on If statement

    - by user328371
    Hi, I'm trying to write an SQL query that will duplicate records depending on a field in another table. I am running mySQL 5. (I know duplicating records shows that the database structure is bad, but I did not design the database and am not in a position to redo it all - it's a shopp ecommerce database running on wordpress.) Each product with a particular attribute needs a link to the same few images, so the product will need a row per image in a table - the database doesn't actually contain the image, just its filename. (the images are of clipart for a customer to select from) Based on these records... SELECT * FROM `wp_shopp_spec` WHERE name='Can Be Personalised' and content='Yes' I want to do something like this.. For each record that matches that query, copy records 5134 - 5139 from wp_shopp_asset but change the id so it's unique and set the cell in column 'parent' to have the value of 'product' from the table wp_shopp_spec. This will mean 6 new records are created for each record matching the above query, all with the same value in 'parent' but with unique ids and every other column copied from the original (ie. records 5134-5139) Hope that's clear enough - any help greatly appreciated.

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  • Convert XML to TCL Object

    - by pws5068
    Greetings, I'm new to TCL scripting, and I have a very very basic xml file which I need to import information from into tcl. Example of XML Document Structure: <object> <type>Hardware</type> <name>System Name</name> <description>Basic Description of System.</description> <attributes> <vendor>Dell</vendor> <contract>MM/DD/YY</contract> <supportExpiration>MM/DD/YY</supportExpiration> <location>Building 123</location> <serial>xxx-xxx-xxxx</serial> <mac>some-mac-address</mac> </attributes> </object> Etc... I've seen something called TCLXML but I'm not sure if this is the best route or even how to create the package to use it.. Any help will be greatly appreciated.

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  • How can I assign a name to a task in TPL

    - by mehrandvd
    I'm going to use lots of tasks running on my application. Each bunch of tasks is running for some reason. I would like to name these tasks so when I watch the Parallel Tasks window, I could recognize them easily. With another point of view, consider I'm using tasks at the framework level to populate a list. A developer that use my framework is also using tasks for her job. If she looks at the Parallel Tasks Window she will find some tasks having no idea about. I want to name tasks so she can distinguish the framework tasks from her tasks. It would be very convenient if there was such API: var task = new Task(action, "Growth calculation task") or maybe: var task = Task.Factory.StartNew(action, "Populating the datagrid") or even while working with Parallel.ForEach Parallel.ForEach(list, action, "Salary Calculation Task" Is it possible to name a task? Is it possible to give ???Parallel.ForEach a naming structure (maybe using a lambda) so it creates tasks with that naming? Is there such API somewhere that I'm missing? I've also tried to use an inherited task to override it's ToString(). But unfortunately the Parallel Tasks window doesn't use ToString()! class NamedTask : Task { private string TaskName { get; set; } public NamedTask(Action action, string taskName):base(action) { TaskName = taskName; } public override string ToString() { return TaskName; } }

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  • Seperation of business logic

    - by bruno
    Dear all, When I was optimizing my architecture of our applications in our website, I came to a problem that I don't know the best solution for. Now at the moment we have a small dll based on this structure: Database <-> DAL <-> BLL the Dal uses Business Objects to pass to the BLL that will pass it to the applications that uses this dll. Only the BLL is public so any application that includes this dll, can see the bll. In the beginning, this was a good solution for our company. But when we are adding more and more applications on that Dll, the bigger the Bll is getting. Now we dont want that some applications can see Bll-logic from other applications. Now I don't know what the best solution is for that. The first thing I thought was, move and seperate the bll to other dll's which i can include in my application. But then must the Dal be public, so the other dll's can get the data... and that I seems like a good solution. My other soluition, is just to seperate the bll in different namespaces, and just include only the namespaces you need in the applications. But in this solution, you can get directly access to other bll's if you want. So i'm asking for your oppinions. Thx, Bruno

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  • forcing stack w/i 32bit when -m64 -mcmodel=small

    - by chaosless
    have C sources that must compile in 32bit and 64bit for multiple platforms. structure that takes the address of a buffer - need to fit address in a 32bit value. obviously where possible these structures will use natural sized void * or char * pointers. however for some parts an api specifies the size of these pointers as 32bit. on x86_64 linux with -m64 -mcmodel=small tboth static data and malloc()'d data fit within the 2Gb range. data on the stack, however, still starts in high memory. so given a small utility _to_32() such as: int _to_32( long l ) { int i = l & 0xffffffff; assert( i == l ); return i; } then: char *cp = malloc( 100 ); int a = _to_32( cp ); will work reliably, as would: static char buff[ 100 ]; int a = _to_32( buff ); but: char buff[ 100 ]; int a = _to_32( buff ); will fail the assert(). anyone have a solution for this without writing custom linker scripts? or any ideas how to arrange the linker section for stack data, would appear it is being put in this section in the linker script: .lbss : { *(.dynlbss) *(.lbss .lbss.* .gnu.linkonce.lb.*) *(LARGE_COMMON) } thanks!

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