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  • Unable to install Perl Crypt::OpenSSL::RSA module, please help

    - by Willy
    Hi Everyone, I spent several hours but unable to install CPAN Crypt::OpenSSL::RSA module. It's required for Postfix's dkimproxy add-on. What I do is to run the following command in the shell: $ perl -MCPAN -e 'install Crypt::OpenSSL::RSA' When I run this command, several lines displayed and at the end, this is displayed: Checking if your kit is complete... Looks good Warning: prerequisite Crypt::OpenSSL::Random 0 not found. Writing Makefile for Crypt::OpenSSL::RSA ---- Unsatisfied dependencies detected during [I/IR/IROBERTS/Crypt-OpenSSL-RSA-0.26.tar.gz] ----- Crypt::OpenSSL::Random Shall I follow them and prepend them to the queue of modules we are processing right now? [yes] Then I hit enter (yes) and tens of lines generated with error. At the end I get this: ... ... RSA.xs:579: warning: implicit declaration of function ‘RSA_sign’ RSA.xs:579: error: ‘rsaData’ has no member named ‘hashMode’ RSA.xs:579: error: ‘rsaData’ has no member named ‘hashMode’ RSA.xs:579: error: ‘rsaData’ has no member named ‘rsa’ RSA.xs: In function ‘XS_Crypt__OpenSSL__RSA_verify’: RSA.xs:605: error: ‘rsaData’ has no member named ‘rsa’ RSA.xs:610: error: ‘rsaData’ has no member named ‘hashMode’ RSA.xs:611: warning: implicit declaration of function ‘RSA_verify’ RSA.xs:611: error: ‘rsaData’ has no member named ‘hashMode’ RSA.xs:613: error: ‘rsaData’ has no member named ‘hashMode’ RSA.xs:616: error: ‘rsaData’ has no member named ‘rsa’ RSA.xs:619: warning: implicit declaration of function ‘ERR_peek_error’ RSA.xs: In function ‘boot_Crypt__OpenSSL__RSA’: RSA.xs:214: warning: implicit declaration of function ‘ERR_load_crypto_strings’ make: *** [RSA.o] Error 1 /usr/bin/make -- NOT OK Running make test Can't test without successful make Running make install make had returned bad status, install seems impossible What am I doing wrong? Please guide me. Thanks.

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  • How do you pass .net objects values around in F#?

    - by Russell
    I am currently learning F# and functional programming in general (from a C# background) and I have a question about using .net CLR objects during my processing. The best way to describe my problem will be to give an example: let xml = new XmlDocument() |> fun doc -> doc.Load("report.xml"); doc let xsl = new XslCompiledTransform() |> fun doc -> doc.Load("report.xsl"); doc let transformedXml = new MemoryStream() |> fun mem -> xsl.Transform(xml.CreateNavigator(), null, mem); mem This code transforms an XML document with an XSLT document using .net objects. Note XslCompiledTransform.Load works on an object, and returns void. Also the XslCompiledTransform.Transform requires a memorystream object and returns void. The above strategy used is to add the object at the end (the ; mem) to return a value and make functional programming work. When we want to do this one after another we have a function on each line with a return value at the end: let myFunc = new XmlDocument("doc") |> fun a -> a.Load("report.xml"); a |> fun a -> a.AppendChild(new XmlElement("Happy")); a Is there a more correct way (in terms of functional programming) to handle .net objects and objects that were created in a more OO environment? The way I returned the value at the end then had inline functions everywhere feels a bit like a hack and not the correct way to do this. Any help is greatly appreciated!

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  • How to dispatch a new property value in an object to the same property of two other objects

    - by WPFadvocate
    In WPF, I've three objects exposing the same DependencyProperty (let's say it's an integer). I want all three property values to remain synchronized, i.e. that whenever the int value changes in an object, this value is propagated to the two other objects. I think of multibinding to do the job, but I don't know how to detect which object changed, thus which value should be used and propagated to the other objects. Edited: here is my tentative code for multibinding, with the false hope that it would work without additional code: // create the multibinding MultiBinding mb = new MultiBinding() { Mode = BindingMode.TwoWay, UpdateSourceTrigger = UpdateSourceTrigger.PropertyChanged }; // create individual bindings to associate object_2 and object_3 to object_1 Binding b2 = new Binding() { Source = object_2, Path = new PropertyPath("X") }; Binding b3 = new Binding() { Source = object_3, Path = new PropertyPath("X") }; // add individual bindings to multibinding mb.Bindings.Add(b2); mb.Bindings.Add(b3); // bind object_2 and _3 to object_1 BindingOperations.SetBinding(object_1, TypeObject_1.XProperty, mb); But actually, there is a runtime error, saying the binding set by the last instruction is lacking a converter. But again I don't know how to write this converter (there is nothing to convert (as this is the case in the related MS sample of code linking 3 rgb properties to a color property), only to forward the value of the property changed to the two other properties). I understand I could solve the problem by creating an X_Changed event in the 3 types and then have each object registering to the two other objects event. I don't like this "manual" way and would prefer to bind the 3 properties together.

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  • Should I go vor Arrays or Objects in PHP in a CouchDB/Ajax app?

    - by karlthorwald
    I find myself converting between array and object all the time in PHP application that uses couchDB and Ajax. Of course I am also converting objects to JSON and back (for sometimes couchdb but mostly Ajax), but this is not so much disturbing my workflow. At the present I have php objects that are returned by the CouchDB modules I use and on the other hand I have the old habbit to return arrays like array("error"="not found","data"=$dataObj) from my functions. This leads to a mixed occurence of real php objects and nested arrays and I cast with (object) or (array) if necessary. The worst thing is that I know more or less by heart what a function returns, but not what type (array or object), so I often run into type errors. My plan is now to always cast arrays to objects before returning from a function. Of course this implies a lot of refactoring. Is this the right way to go? What about the conversion overhead? Other ideas or tips? Edit: Kenaniah's answer suggests I should go the other way, this would mean I'd cast everything to arrays. And for all the Ajax / JSON stuff and also for CouchDB I would use $myarray = json_decode($json_data,$assoc = false) Even more work to change all the CouchDB and Ajax functions but in the end I have better code.

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  • Bioperl, equivalent of IO::ScalarArray for array of Seq objects?

    - by Ryan Thompson
    In perl, we have IO::ScalarArray for treating the elements of an array like the lines of a file. In BioPerl, we have Bio::SeqIO, which can produce a filehandle that reads and writes Bio::Seq objects instead of strings representing lines of text. I would like to do a combination of the two: I would like to obtain a handle that reads successive Bio::Seq objects from an array of such objects. Is there any way to do this? Would it be trivial for me to implement a module that does this? My reason for wanting this is that I would like to be able to write a subroutine that accepts either a Bio::SeqIO handle or an array of Bio::Seq objects, and I'd like to avoid writing separate loops based on what kind of input I get. Perhaps the following would be better than writing my own IO module? sub process_sequences { my $input = $_[0]; # read either from array of Bio::Seq or from Bio::SeqIO my $nextseq; if (ref $input eq 'ARRAY') { my $pos = 0 $nextseq = sub { return $input->[$pos++] if $pos < @$input}; } } else { $nextseq = sub { $input->getline(); } } while (my $seq = $nextseq->()) { do_cool_stuff_with($seq) } }

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  • On saving an new active record, in what order are the associated objects saved?

    - by Bryan
    In rails, when saving an active_record object, its associated objects will be saved as well. But has_one and has_many association have different order in saving objects. I have three simplified models: class Team < ActiveRecord::Base has_many :players has_one :coach end class Player < ActiveRecord::Base belongs_to :team validates_presence_of :team_id end class Coach < ActiveRecord::Base belongs_to :team validates_presence_of :team_id end I expected that when team.save is called, team should be saved before its associated coach and players. I use the following code to test these models: t = Team.new team.coach = Coach.new team.save! team.save! returns true. But in another test: t = Team.new team.players << Player.new team.save! team.save! gives the following error: > ActiveRecord::RecordInvalid: > Validation failed: Players is invalid I figured out that team.save! saves objects in the following order: 1) players, 2) team, and 3) coach. This is why I got the error: When a player is saved, team doesn't yet have a id, so validates_presence_of :team_id fails in player. Can someone explain to me why objects are saved in this order? This seems not logical to me.

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  • Should I go for Arrays or Objects in PHP in a CouchDB/Ajax app?

    - by karlthorwald
    I find myself converting between array and object all the time in PHP application that uses couchDB and Ajax. Of course I am also converting objects to JSON and back (for sometimes couchdb but mostly Ajax), but this is not so much disturbing my workflow. At the present I have php objects that are returned by the CouchDB modules I use and on the other hand I have the old habbit to return arrays like array("error"="not found","data"=$dataObj) from my functions. This leads to a mixed occurence of real php objects and nested arrays and I cast with (object) or (array) if necessary. The worst thing is that I know more or less by heart what a function returns, but not what type (array or object), so I often run into type errors. My plan is now to always cast arrays to objects before returning from a function. Of course this implies a lot of refactoring. Is this the right way to go? What about the conversion overhead? Other ideas or tips? Edit: Kenaniah's answer suggests I should go the other way, this would mean I'd cast everything to arrays. And for all the Ajax / JSON stuff and also for CouchDB I would use $myarray = json_decode($json_data,$assoc = true); //EDIT: changed to true, whcih is what I really meant Even more work to change all the CouchDB and Ajax functions but in the end I have better code.

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  • How to display objects with dynamic fields in wpf data grid?

    - by Oliver Hanappi
    Hi! I want to display and edit some objects in a WPF data grid and I'm looking for a good way to do so. All objects I want to display have the same fields, but every execution the fields of my objects can differ. Here is a piece of the interface to illustrate what I mean: public interface IMyObject { IEnumerable<string> GetFieldNames(); IEnumerable<Type> GetFieldTypes(); object GetField(string name); void SetField(string name, object value); } How can I generate a data grid which displays this kind of objects? I thought of XAML generation to define the columns, but I'm still facing the problem of accessing the fields. I think I could realize this with value converters, another option would be to dynamically create a type which exposes the dynamic fields with properties. Are there any other ways and which should I favor? I'm keen on hearing your opinions. Best Regards, Oliver Hanappi

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  • Saving an active record, in what order are the associated objects saved?

    - by Bryan
    In rails, when saving an active_record object, its associated objects will be saved as well. But has_one and has_many association have different order in saving objects. I have three simplified models: class Team < ActiveRecord::Base has_many :players has_one :coach end class Player < ActiveRecord::Base belongs_to :team validates_presence_of :team_id end class Coach < ActiveRecord::Base belongs_to :team validates_presence_of :team_id end I expected that when team.save is called, team should be saved before its associated coach and players. I use the following code to test these models: t = Team.new team.coach = Coach.new team.save! team.save! returns true. But in another test: t = Team.new team.players << Player.new team.save! team.save! gives the following error: > ActiveRecord::RecordInvalid: > Validation failed: Players is invalid I figured out that team.save! saves objects in the following order: 1) players, 2) team, and 3) coach. This is why I got the error: When a player is saved, team doesn't yet have a id, so validates_presence_of :team_id fails in player. Can someone explain to me why objects are saved in this order? This seems not logical to me.

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  • How am i overriding this C++ inherited member function without the virtual keyword being used?

    - by Gary Willoughby
    I have a small program to demonstrate simple inheritance. I am defining a Dog class which is derived from Mammal. Both classes share a simple member function called ToString(). How is Dog overriding the implementation in the Mammal class, when i'm not using the virtual keyword? (Do i even need to use the virtual keyword to override member functions?) mammal.h #ifndef MAMMAL_H_INCLUDED #define MAMMAL_H_INCLUDED #include <string> class Mammal { public: std::string ToString(); }; #endif // MAMMAL_H_INCLUDED mammal.cpp #include <string> #include "mammal.h" std::string Mammal::ToString() { return "I am a Mammal!"; } dog.h #ifndef DOG_H_INCLUDED #define DOG_H_INCLUDED #include <string> #include "mammal.h" class Dog : public Mammal { public: std::string ToString(); }; #endif // DOG_H_INCLUDED dog.cpp #include <string> #include "dog.h" std::string Dog::ToString() { return "I am a Dog!"; } main.cpp #include <iostream> #include "dog.h" using namespace std; int main() { Dog d; std::cout << d.ToString() << std::endl; return 0; } output I am a Dog! I'm using MingW on Windows via Code::Blocks.

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  • Can a member struct be zero-init from the constructor initializer list without calling memset?

    - by selbie
    Let's say I have the following structure declaration (simple struct with no constructor). struct Foo { int x; int y; int z; char szData[DATA_SIZE]; }; Now let's say this struct is a member of a C++ class as follows: class CFoobar { Foo _foo; public: CFoobar(); }; If I declare CFoobar's constructor as follows: CFoobar::CFoobar() { printf("_foo = {%d, %d, %d}\n", _foo.x, _foo.y,_foo.z); for (int x = 0; x < 100; x++) printf("%d\n", _foo.szData[x]); } As you would expect, when CFoobar's constructor runs, garbage data gets printed out Obviously, the easy fix is to memset or ZeroMemory &_foo. It's what I've always done... However, I did notice that if add _foo to the constructor's initialization list with no parameters as follows: CFoobar::CFoobar() : _foo() { That this appears to zero-out the member variables of _foo. At least that was the case with g++ on linux. Now here's my question: Is this standard C++, or is this compiler specific behavior? If it's standard behavior, can someone quote me a reference from an official source? Any "gotchas" in regards to implicit zero-init behavior with more complicated structs and classes?

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  • C++: Declaration of template class member specialization (+ Doxygen bonus question!)

    - by Ziv
    When I specialize a (static) member function/constant in a template class, I'm confused as to where the declaration is meant to go. Here's an example of what I what to do - yoinked directly from IBM's reference on template specialization: template<class T> class X { public: static T v; static void f(T); }; template<class T> T X<T>::v = 0; template<class T> void X<T>::f(T arg) { v = arg; } template<> char* X<char*>::v = "Hello"; template<> void X<float>::f(float arg) { v = arg * 2; } int main() { X<char*> a, b; X<float> c; c.f(10); // X<float>::v now set to 20 } The question is, how do I divide this into header/cpp files? The generic implementation is obviously in the header, but what about the specialization? It can't go in the header file, because it's concrete, leading to multiple definition. But if it goes into the .cpp file, is code which calls X::f() aware of the specialization, or might it rely on the generic X::f()? So far I've got the specialization in the .cpp only, with no declaration in the header. I'm not having trouble compiling or even running my code (on gcc, don't remember the version at the moment), and it behaves as expected - recognizing the specialization. But A) I'm not sure this is correct, and I'd like to know what is, and B) my Doxygen documentation comes out wonky and very misleading (more on that in a moment). What seems most natural to me would be something like this, declaring the specialization in the header and defining it in the .cpp: ===XClass.hpp=== #ifndef XCLASS_HPP #define XCLASS_HPP template<class T> class X { public: static T v; static void f(T); }; template<class T> T X<T>::v = 0; template<class T> void X<T>::f(T arg) { v = arg; } /* declaration of specialized functions */ template<> char* X<char*>::v; template<> void X<float>::f(float arg); #endif ===XClass.cpp=== #include <XClass.hpp> /* concrete implementation of specialized functions */ template<> char* X<char*>::v = "Hello"; template<> void X<float>::f(float arg) { v = arg * 2; } ...but I have no idea if this is correct. The most immediate consequence of this issue, as I mentioned, is my Doxygen documentation, which doesn't seem to warm to the idea of member specialization, at least the way I'm defining it at the moment. It will always present only the first definition it finds of a function/constant, and I really need to be able to present the specializations as well. If I go so far as to re-declare the entire class, i.e. in the header: /* template declaration */ template<class T> class X { public: static T v; static void f(T); }; /* template member definition */ template<class T> T X<T>::v = 0; template<class T> void X<T>::f(T arg) { v = arg; } /* declaration of specialized CLASS (with definitions in .cpp) */ template<> class X<float> { public: static float v; static void f(float); }; then it will display the different variations of X as different classes (which is fine by me), but I don't know how to get the same effect when specializing only a few select members of the class. I don't know if this is a mistake of mine, or a limitation of Doxygen - any ideas? Thanks much, Ziv

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  • How can I recreate root dnsNode objects and their RootDNSServers folder in AD after they are deleted?

    - by TonyD
    A few days ago I was trying to permanently remove root hints from my DNS server. After much ado, I decided to go a different route and am now trying to put everything back as it was. During the original process, I opened ADUC, clicked ViewAdvanced Features, and then browsed to System MicrosoftDNS and deleted the folder RootDNSServers. Now in ADUC, I cannot create a folder here to replace the one I deleted. I can run adsiedit and load DomainDNSZones for my domain. Under there, I see MicrosoftDNS, RootDNSServers, with all of the objects still inside of it. Is there a way for me to undo what I did? Can I recreate these objects in ADUC? Can I do something else to cause them to show back up there? Thanks!

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  • How to check whether a user belongs to an AD group and nested groups?

    - by elsharpo
    hi guys, I have an ASP.NET 3.5 application using Windows Authentication and implementing our own RoleProvider. Problem is we want to restrict access to a set of pages to a few thousand users and rathern than inputing all of those one by one we found out they belong to an AD group. The answer is simple if the common group we are checking membership against the particular user is a direct member of it but the problem I'm having is that if the group is a member of another group and then subsequently member of another group then my code always returns false. For example: Say we want to check whether User is a member of group E, but User is not a direct member of *E", she is a member of "A" which a member of "B" which indeed is a member of E, therefore User is a member of *E" One of the solutions we have is very slow, although it gives the correct answer using (var context = new PrincipalContext(ContextType.Domain)) { using (var group = GroupPrincipal.FindByIdentity(context, IdentityType.Name, "DL-COOL-USERS")) { var users = group.GetMembers(true); // recursively enumerate return users.Any(a => a.Name == "userName"); } } The original solution and what I was trying to get to work, using .NET 3.5 System.DirectoryServices.AccountManagement and it does work when users are direct members of the group in question is as follows: public bool IsUserInGroup(string userName, string groupName) { var cxt = new PrincipalContext(ContextType.Domain, "DOMAIN"); var user = UserPrincipal.FindByIdentity(cxt, IdentityType.SamAccountName, userName); if (user == null) { return false; } var group = GroupPrincipal.FindByIdentity(cxt, groupName); if (group == null) { return false; } return user.IsMemberOf(group); } The bottom line is, we need to check for membership even though the groups are nested in many levels down. Thanks a lot!

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  • Why do pure virtual base classes get direct access to static data members while derived instances do

    - by Shamster
    I've created a simple pair of classes. One is pure virtual with a static data member, and the other is derived from the base, as follows: #include <iostream> template <class T> class Base { public: Base (const T _member) { member = _member; } static T member; virtual void Print () const = 0; }; template <class T> T Base<T>::member; template <class T> void Base<T>::Print () const { std::cout << "Base: " << member << std::endl; } template <class T> class Derived : public Base<T> { public: Derived (const T _member) : Base<T>(_member) { } virtual void Print () const { std::cout << "Derived: " << this->member << std::endl; } }; I've found from this relationship that when I need access to the static data member in the base class, I can call it with direct access as if it were a regular, non-static class member. i.e. - the Base::Print() method does not require a this- modifier. However, the derived class does require the this-member indirect access syntax. I don't understand why this is. Both class methods are accessing the same static data, so why does the derived class need further specification? A simple call to test it is: int main () { Derived<double> dd (7.0); dd.Print(); return 0; } which prints the expected "Derived: 7"

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  • Immutable classes in C++

    - by ereOn
    Hi, In one of my projects, I have some classes that represent entities that cannot change once created, aka. immutable classes. Example : A class RSAKey that represent a RSA key which only has const methods. There is no point changing the existing instance: if you need another one, you just create one. My objects sometimes are heavy and I enforced the use of smart pointers to avoid copy. So far, I have the following pattern for my classes: class RSAKey : public boost::noncopyable, public boost::enable_shared_from_this<RSAKey> { public: /** * \brief Some factory. * \param member A member value. * \return An instance. */ static boost::shared_ptr<const RSAKey> createFromMember(int member); /** * \brief Get a member. * \return The member. */ int getMember() const; private: /** * \brief Constructor. * \param member A member. */ RSAKey(int member); /** * \brief Member. */ const int m_member; }; So you can only get a pointer (well, a smart pointer) to a const RSAKey. To me, it makes sense, because having a non-const reference to the instance is useless (it only has const methods). Do you guys see any issue regarding this pattern ? Are immutable classes something common in C++ or did I just created a monster ? Thank you for your advices !

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  • Is using ReaderWriterLockSlim a bad idea for long lived objects?

    - by uriDium
    I am trying to track down the reason that an application has periods of bad performance. I think that I have linked the bad performance to the points where Garbage Collection is run for Gen 2. I get a profiling tool (CLR Profiler) and was quite surprised by the results. In my test I was spawning and processing millions of objects. However the biggest hog of the Gen 2 space comes from something Called Threading.ReaderWriterCount which comes from System.Threading.ReaderWriterLockSlim::InitializeThreadCounts. I know nothing about the inner workings of ReaderWriterLockSlim but from what I am getting from the reports it is okay to have 1 or 2 Locks for longer lived objects but try and use other locks if you are going to have many smaller objects. Does anyone have any comments or experience with ReaderWriterLockSlim and/or what to look for if it seems that GC is killing application performance?

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  • Symfony app - how to add calculated fields to Propel objects?

    - by Thomas Kohl
    What is the best way of working with calculated fields of Propel objects? Say I have an object "Customer" that has a corresponding table "customers" and each column corresponds to an attribute of my object. What I would like to do is: add a calculated attribute "Number of completed orders" to my object when using it on View A but not on Views B and C. The calculated attribute is a COUNT() of "Order" objects linked to my "Customer" object via ID. What I can do now is to first select all Customer objects, then iteratively count Orders for all of them, but I'd think doing it in a single query would improve performance. But I cannot properly "hydrate" my Propel object since it does not contain the definition of the calculated field(s). How would you approach it?

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  • How to force PyYAML to load strings as unicode objects?

    - by Petr Viktorin
    The PyYAML package loads unmarked strings as either unicode or str objects, depending on their content. I would like to use unicode objects throughout my program (and, unfortunately, can't switch to Python 3 just yet). Is there an easy way to force PyYAML to always strings load unicode objects? I do not want to clutter my YAML with !!python/unicode tags. # Encoding: UTF-8 import yaml menu= u"""--- - spam - eggs - bacon - crème brûlée - spam """ print yaml.load(menu) Output: ['spam', 'eggs', 'bacon', u'cr\xe8me br\xfbl\xe9e', 'spam'] I would like: [u'spam', u'eggs', u'bacon', u'cr\xe8me br\xfbl\xe9e', u'spam']

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  • How do I display two different objects in a search?

    - by JZ
    github url I am using a simple search that displays search results: @adds = Add.search(params[:search]) In addition to the search results I'm trying to utilize a method, nearbys(), which displays objects that are close in proximity to the search result. The following method displays objects which are close to 2, but it does not display object 2. How do I display object 2 in conjunction with the nearby objects? @adds = Add.find(2).nearbys(10) While the above code functions, when I use search, @adds = Add.search(params[:search]).nearbys(10) a no method error is returned, undefined methodnearbys' for Array:0x30c3278` How can I search the model for an object AND use the nearbys() method AND display all results returned? Model: def self.search(search) if search find(:all, :conditions => ['address LIKE ?', "%#{search}%"]) # where('address LIKE ?', "%#{search}") else find(:all) end end

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  • Rails3. How do I display two different objects in a search?

    - by JZ
    I am using a simple search that displays search results: @adds = Add.search(params[:search]) In addition to the search results I'm trying to utilize a method, nearbys(), which displays objects that are close in proximity to the search result. The following method displays objects which are close to 2, but it does not display object 2. How do I display object 2 in conjunction with the nearby objects? @adds = Add.find(2).nearbys(10) While the above code functions, when I use search, @adds = Add.search(params[:search]).nearbys(10) a no method error is returned, undefined methodnearbys' for Array:0x30c3278` How can I search the model for an object AND use the nearbys() method AND display all results returned?

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  • How can I define pre/post-increment behavior in Perl objects?

    - by Zaid
    Date::Simple objects display this behavior. In the case of Date::Simple objects, $date++ returns the next day's date. Date::Simple objects are immutable. After assigning $date1 to $date2, no change to $date1 can affect $date2. This means, for example, that there is nothing like a set_year operation, and $date++ assigns a new object to $date. How can one custom define the pre/post-incremental behavior of an object, such that ++$object or $object-- performs a particular action? I've skimmed over perlboot, perltoot, perltooc and perlbot, but I don't see any examples showing how this can be done.

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  • What to store at application Settings, numeric / string representations or objects?

    - by SoMoS
    Hello, I've been thinking for a while on what to store at the Project Settings, objects or numeric/string representations of those objects to set a rule and avoid thinking on this at the future so I want to take the best approach. On one side storing object representations grants you that what is stored is valid and saves you from doing conversions each time you access them. You only need objects with the attribute. At the other side storing the numeric/string representation of an object eases the editing of the setting because at the end the user will be entering numeric or string information. What do you do with this issue?

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  • Implementing a Custom Coherence PartitionAssignmentStrategy

    - by jpurdy
    A recent A-Team engagement required the development of a custom PartitionAssignmentStrategy (PAS). By way of background, a PAS is an implementation of a Java interface that controls how a Coherence partitioned cache service assigns partitions (primary and backup copies) across the available set of storage-enabled members. While seemingly straightforward, this is actually a very difficult problem to solve. Traditionally, Coherence used a distributed algorithm spread across the cache servers (and as of Coherence 3.7, this is still the default implementation). With the introduction of the PAS interface, the model of operation was changed so that the logic would run solely in the cache service senior member. Obviously, this makes the development of a custom PAS vastly less complex, and in practice does not introduce a significant single point of failure/bottleneck. Note that Coherence ships with a default PAS implementation but it is not used by default. Further, custom PAS implementations are uncommon (this engagement was the first custom implementation that we know of). The particular implementation mentioned above also faced challenges related to managing multiple backup copies but that won't be discussed here. There were a few challenges that arose during design and implementation: Naive algorithms had an unreasonable upper bound of computational cost. There was significant complexity associated with configurations where the member count varied significantly between physical machines. Most of the complexity of a PAS is related to rebalancing, not initial assignment (which is usually fairly simple). A custom PAS may need to solve several problems simultaneously, such as: Ensuring that each member has a similar number of primary and backup partitions (e.g. each member has the same number of primary and backup partitions) Ensuring that each member carries similar responsibility (e.g. the most heavily loaded member has no more than one partition more than the least loaded). Ensuring that each partition is on the same member as a corresponding local resource (e.g. for applications that use partitioning across message queues, to ensure that each partition is collocated with its corresponding message queue). Ensuring that a given member holds no more than a given number of partitions (e.g. no member has more than 10 partitions) Ensuring that backups are placed far enough away from the primaries (e.g. on a different physical machine or a different blade enclosure) Achieving the above goals while ensuring that partition movement is minimized. These objectives can be even more complicated when the topology of the cluster is irregular. For example, if multiple cluster members may exist on each physical machine, then clearly the possibility exists that at certain points (e.g. following a member failure), the number of members on each machine may vary, in certain cases significantly so. Consider the case where there are three physical machines, with 3, 3 and 9 members each (respectively). This introduces complexity since the backups for the 9 members on the the largest machine must be spread across the other 6 members (to ensure placement on different physical machines), preventing an even distribution. For any given problem like this, there are usually reasonable compromises available, but the key point is that objectives may conflict under extreme (but not at all unlikely) circumstances. The most obvious general purpose partition assignment algorithm (possibly the only general purpose one) is to define a scoring function for a given mapping of partitions to members, and then apply that function to each possible permutation, selecting the most optimal permutation. This would result in N! (factorial) evaluations of the scoring function. This is clearly impractical for all but the smallest values of N (e.g. a partition count in the single digits). It's difficult to prove that more efficient general purpose algorithms don't exist, but the key take away from this is that algorithms will tend to either have exorbitant worst case performance or may fail to find optimal solutions (or both) -- it is very important to be able to show that worst case performance is acceptable. This quickly leads to the conclusion that the problem must be further constrained, perhaps by limiting functionality or by using domain-specific optimizations. Unfortunately, it can be very difficult to design these more focused algorithms. In the specific case mentioned, we constrained the solution space to very small clusters (in terms of machine count) with small partition counts and supported exactly two backup copies, and accepted the fact that partition movement could potentially be significant (preferring to solve that issue through brute force). We then used the out-of-the-box PAS implementation as a fallback, delegating to it for configurations that were not supported by our algorithm. Our experience was that the PAS interface is quite usable, but there are intrinsic challenges to designing PAS implementations that should be very carefully evaluated before committing to that approach.

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  • How does Mach-O loader recognize a bunch of NSString objects?

    - by overboming
    I have known that If you define a bunch of @"" NSString objects in the source code in Mac OS. These NSStrings will be stored in a segment in the Mach-O library. Section sectname __ustring segname __TEXT addr 0x000b3b54 size 0x000001b7 offset 731988 align 2^1 (2) reloff 0 nreloc 0 flags 0x00000000 reserved1 0 reserved2 0 If I hex dump the binary, they are aligned closely one by one with a 0x0000as separator. What I want to know is how does the loader in Mac OS X load these NSStrings when the program runs? Are they loaded simpily by recognize the 0x0000 separator or these is a string offset table elsewhere in the binary pointing to separate NSString objects? Thanks. (What I really want to do is the increase the length of one of the NSString, so I have to know how the loader recognize these separate objects)

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