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  • Correct use of Classloader (especially in Android)

    - by Sebi
    I read some documentations about classloaders, but im still not sure where and why they are needed. The Android API says: Loads classes and resources from a repository. One or more class loaders are installed at runtime. These are consulted whenever the runtime system needs a specific class that is not yet available in-memory. So if i understand this correct, there can be many classlaoders which are responsible for loading new classes. But how the system decides which to use? And in which situation should a developer instantiate a new classloader? In the Android API for Intent there is a method public void setExtrasClassLoader (ClassLoader loader) The description says: Sets the ClassLoader that will be used when unmarshalling any Parcelable values from the extras of this Intent. So can i define there a special classloader so that i can pass object with an Intent which are not defined in the receiving activity? An example: If activity A which is located in Project A (in Eclipse) defines an object which i want to send to Activity B in Project B using putExtra of the Intent object. If this object which is send over the Intent is not defined (source code in project B), then there is a NoClassDefFoundException. So can i use the method setExtraClassloader to avoid this exception? If yes, how can i decide which classloader object i have to pass? And how do I instantiate it correctly?

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  • qTip jQuery Plugin not always Firing

    - by tonsils
    Hi, I am using the qTip jquery plugin qTip plugin for a website I'm working on based on another thread I raised here: stack overflow thread My question is, I have a navigation bar running along the top of my screen which is basically sets the title attribute based on the tab menu you are in, these are all stored within a javascript array. For example, I have three menu options running along the top of the screen, say Menu A, Menu B and Menu C. I also have an information image positioned at the rightmost position of the nav bar, which I set the title attribute, based on the Menu option selected in the Nav Bar. For example: Menu A => myRole[0] = "Admin" Menu B => myRole[1] = "Manager" Menu C => myRole[2] = "Guest" So basically as the user clicks on each of the menus in the nav bar, I set the title attribute in the information image to either "Admin","Manager" or "Guest". At startup, the qTip plugin works and displays "Admin" when I hover over it but when I change the menu to Menu C, it still displays "Admin" instead of "Guest" From the looks of it, it doesn't seem to be calling the qTip plugin, which I have positioned at the footer of the screen (see actual code below). Any ideas how to ensure that the qTip fires every time I click/change menu options and pickups value within javascript array? <script type="text/javascript" src="jquery.qtip-1.0.0-rc3.min.js"></script> <script type="text/javascript"> $(document).ready(function() { $('div#infoi img[title]').qtip({ position: { adjust: { x:-110, y:0 }, corner: { target: 'bottomLeft', tooltip: 'topMiddle' } }, style: { width: 250, padding: 5, background: '#E7F1FA', color: 'black', textAlign: 'center', border: { width: 3, color: '#65a9d7' }, tip: 'topRight' } }); }); </script> Thanks.

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  • How can I prevent default_environment variables from getting set by Capistrano's sudo action?

    - by Logan Koester
    My deploy.rb sets some environment variables to use the regular user's local Ruby rather than the system-wide one. set :default_environment, { :PATH => '/home/myapp/.rvm/bin:/home/myapp/.rvm/bin:/home/myapp/.rvm/rubies/ruby-1.9.1-p378/bin:/home/myapp/.rvm/gems/ruby-1.9.1-p378/bin:/home/myapp/.rvm/gems/ruby-1.9.1-p378%global/bin:/home/myapp/bin:/usr/bin:/opt/local/bin:/opt/local/sbin:/usr/local/bin:/usr/local/sbin:/usr/sbin:/sbin:/bin:/usr/games', :RUBY_VERSION => 'ruby-1.9.1-p378', :GEM_HOME => '/home/myapp/.rvm/gems/ruby-1.9.1-p378', :GEM_PATH => '/home/myapp/.rvm/gems/ruby-1.9.1-p378:/home/myapp/.rvm/gems/ruby-1.9.1-p378%global' } Naturally, when a task is using sudo, I would expect the system-wide ruby to be used instead. But it seems the environment variables are being set anyway, which is obviously invalid for the root user and returns an error: executing "sudo -p 'sudo password: ' /etc/init.d/god stop" servers: ["myapp.com"] [myapp.com] executing command command finished failed: "env PATH=/home/myapp/.rvm/bin:/home/myapp/.rvm/bin:/home/myapp/.rvm/rubies/ruby-1.9.1-p378/bin:/home/myapp/.rvm/gems/ruby-1.9.1-p378/bin:/home/myapp/.rvm/gems/ruby-1.9.1-p378%global/bin:/home/myapp/bin:/usr/bin:/opt/local/bin:/opt/local/sbin:/usr/local/bin:/usr/local/sbin:/usr/sbin:/sbin:/bin:/usr/games RUBY_VERSION=ruby-1.9.1-p378 GEM_HOME=/home/myapp/.rvm/gems/ruby-1.9.1-p378 GEM_PATH=/home/myapp/.rvm/gems/ruby-1.9.1-p378:/home/myapp/.rvm/gems/ruby-1.9.1-p378%global sh -c 'sudo -p '\\''sudo password: '\\'' /etc/init.d/god stop'" on myapp.com It makes no difference whether I use capistrano's sudo "system call" or the regular run "sudo system call". How can I avoid this?

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  • Enabling/Disabling Aero from a Windows Service

    - by rgould
    I have some code to enable/disable the Windows Aero service in Vista, and I would like to run it in a Windows Service. The code works in a standalone application, but when I run it from a Service, nothing happens. No errors or exceptions are thrown. I realise that running code in a service is a different scope than running code in an application, but in this case, how would I enable/disable Aero from the service? Is this even possible? Here is the code I am working with: public static readonly uint DWM_EC_DISABLECOMPOSITION = 0; public static readonly uint DWM_EC_ENABLECOMPOSITION = 1; [DllImport("dwmapi.dll", EntryPoint="DwmEnableComposition")] protected static extern uint Win32DwmEnableComposition(uint uCompositionAction); public static bool EnableAero() { Win32DwmEnableComposition(DWM_EC_ENABLECOMPOSITION); } Edit: It turns out that the DwmEnableComposition call is returning HRESULT 0x80070018, or ERROR_BAD_LENGTH. Seems like a strange error, since the code works when not running as a service. I also tried changing the entire thing to the following code, but got the same result. It sets the window station and desktop, and it seems to be correct, but the call to DwmEnableComposition results in the same error. I've not included the PInvoke declarations for brevity. protected override void OnStop() { IntPtr winStation = OpenWindowStation("winsta0", true, 0x10000000 /* GENERIC_ALL */); if (winStation == null || winStation.ToInt32() == 0) { String err = new Win32Exception(Marshal.GetLastWin32Error()).Message; } if (!SetProcessWindowStation(winStation)) { String err = new Win32Exception(Marshal.GetLastWin32Error()).Message; } uint thread = GetCurrentThreadId(); IntPtr hdesk = OpenInputDesktop(0, false, 0x10000000 /* GENERIC_ALL */); if (hdesk == null || hdesk.ToInt32() == 0) { String err = new Win32Exception(Marshal.GetLastWin32Error()).Message; } if (!SetThreadDesktop(hdesk)) { String err = new Win32Exception(Marshal.GetLastWin32Error()).Message; } uint result = Win32DwmEnableComposition(DWM_EC_DISABLECOMPOSITION); if (result != 0) { String err = new Win32Exception(Marshal.GetLastWin32Error()).Message; } }

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  • Is it safe to use random Unicode for complex delimiter sequences in strings?

    - by ccomet
    Question: In terms of program stability and ensuring that the system will actually operate, how safe is it to use chars like ¦, § or ‡ for complex delimiter sequences in strings? Can I reliable believe that I won't run into any issues in a program reading these incorrectly? I am working in a system, using C# code, in which I have to store a fairly complex set of information within a single string. The readability of this string is only necessary on the computer side, end-users should only ever see the information after it has been parsed by the appropriate methods. Because some of the data in these strings will be collections of variable size, I use different delimiters to identify what parts of the string correspond to a certain tier of organization. There are enough cases that the standard sets of ;, |, and similar ilk have been exhausted. I considered two-char delimiters, like ;# or ;|, but I felt that it would be very inefficient. There probably isn't that large of a performance difference in storing with one char versus two chars, but when I have the option of picking the smaller option, it just feels wrong to pick the larger one. So finally, I considered using the set of characters like the double dagger and section. They only take up one char, and they are definitely not going to show up in the actual text that I'll be storing, so they won't be confused for anything. But character encoding is finicky. While the visibility to the end user is meaningless (since they, in fact, won't see it), I became recently concerned about how the programs in the system will read it. The string is stored in one database, while a separate program is responsible for both encoding and decoding the string into different object types for the rest of the application to work with. And if something is expected to be written one way, is possibly written another, then maybe the whole system will fail and I can't really let that happen. So is it safe to use these kind of chars for background delimiters?

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  • What is a faster way of merging the values of this Python structure into a single dictionary?

    - by jcoon
    I've refactored how the merged-dictionary (all_classes) below is created, but I'm wondering if it can be more efficient. I have a dictionary of dictionaries, like this: groups_and_classes = {'group_1': {'class_A': [1, 2, 3], 'class_B': [1, 3, 5, 7], 'class_c': [1, 2], # ...many more items like this }, 'group_2': {'class_A': [11, 12, 13], 'class_C': [5, 6, 7, 8, 9] }, # ...and many more items like this } A function creates a new object from groups_and_classes like this (the function to create this is called often): all_classes = {'class_A': [1, 2, 3, 11, 12, 13], 'class_B': [1, 3, 5, 7, 9], 'class_C': [1, 2, 5, 6, 7, 8, 9] } Right now, there is a loop that does this: all_classes = {} for group in groups_and_classes.values(): for c, vals in group.iteritems(): for v in vals: if all_classes.has_key(c): if v not in all_classes[c]: all_classes[c].append(v) else: all_classes[c] = [v] So far, I changed the code to use a set instead of a list since the order of the list doesn't matter and the values need to be unique: all_classes = {} for group in groups_and_classes.values(): for c, vals in group.iteritems(): try: all_classes[c].update(set(vals)) except KeyError: all_classes[c] = set(vals) This is a little nicer, and I didn't have to convert the sets to lists because of how all_classes is used in the code. Question: Is there a more efficient way of creating all_classes (aside from building it at the same time groups_and_classes is built, and changing everywhere this function is called)?

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  • asp.net 4.0 webforms - how to keep ContentPlaceHolder1_ out of client id's in a simple way?

    - by James Manning
    I'm attempting to introduce master pages to an existing webforms site that's avoided using them because of client id mangling in the past (and me not wanting to deal with the mangling and doing <% foo.ClientID % everywhere :) GOAL: use 'static' id values (whatever is in the server control's id attribute) except for data-bound / repeating controls which would break for those cases and therefore need suffixes or whatever to differentiate (basically, Predictable) Now that the site migrated to ASP.NET 4.0, I first attempted to use ClientIDMode of Static (in the web.config) but that broke too many places doing repeating controls (checkboxes inside gridviews, for instance) since they all resulted with the same id. So, I then tried Predictable (again, just in the web.config) so that the repeating controls wouldn't have conflicting id's, and it works well except that the master page content placeholder (which is indeed a naming container) is still reflecting in the resulting client id's (for instance, ContentPlaceHolder1_someCheckbox). Certainly I could leave the web.config setting as static and then go through all the databound/repeating controls switch them to Predictable, but I'm hoping there's some easier/simpler way to get that effect without having to scatter ClientIDMode attributes in those N number of places (or extend all those databound controls with my own usercontrol that just sets clientidmode, or whatever). I even thought of leaving web.config set to static and doing a master or basepage handler (preinit? not sure if that would work or not) that would go walk Controls with OfType<INamingContainer() (might be a better choice on the type, but that seems like a good starting choice looking at repeater and gridview) and then set those to Predictable so I'd get static for all my 'normal' things outside of repeating controls but not have to deal with static inside things like gridview/repeater/etc. I don't see any way to mark the content placeholder such that it 'opts out' of being included in child id's - setting the ID of the placeholder to empty/blank doesn't work as it's a required attribute :) At that point I figured there was a better/simpler way that I was missing and decided to ask on SO :) Edit: I thought about changing all my 'fetch by id' jquery calls from $('#foo') to fetch_by_id('foo') and then having that function return the 'right one' by checking $('#foo').length and then $('#ContentPlaceHolder1_foo').length (and maybe other patterns) or even just have it return $('#foo, #ContentPlaceHolder1_foo') (again, potentially other patterns) but changing all the places I fetch elements by id seemed pretty ugly too, and I'd like to avoid that abstraction layer if possible to do so easily :)

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  • jQuery addClass() not running before jQuery.ajax()

    - by Josh
    I'm trying to have a button that onclick will apply a class loading (sets cursor to "wait") to the body, before making a series of ajax requests. Code is: $('#addSelected').click(function(){ $('body').addClass('loading'); var products = $(':checkbox[id^=add_]:checked'); products.each(function(){ var prodID = $(this).attr('id').replace('add_', ''); var qty = $('#qty_' + prodID).val(); if($('#prep_' + prodID).val()) { prodID += ':' + $('#prep_' + prodID).val(); } // Have to use .ajax rather than .get so we can use async:false, otherwise // product adds happen in parallel, causing data to be lost. $.ajax({ url: '<?=base_url()?>basket/update/' + prodID + '/' + qty, async: false, beforeSend: function(){ $('body').addClass('loading'); } }); }); }); I've tried doing $('body').addClass('loading'); both before the requests, and as a beforeSend callback, but there is no difference. In firebug I can see that body doesn't get the loading class until after the requests are complete. Any ideas?

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  • firefox lead dot in cookie issue

    - by Jon
    Hi all, We are having an annoying issue with Firefox and cookies. We have the following domains: sub1.mydomain.com sub2.mydomain.com sub3.mydomain.com otherdomain.com We have converting our framework to be multilingual and providing a drop down to change the language at any point during site. The code base is shared across all the domains above. We can not set a cookie across all "mydomain.com" sites, they have to be on each of the sub domains. To get this to work we set a JavaScript cookie when the users chooses a new language. When the page posts back to the server the code picks this up and sets the users preferences to that new language code, (this is all C# and ASP.NET). We have to set the host to be "subX.mydomain.com" and the path to be "/" in the cookie so that it is just for the subdomain and all parts of that domain. This works great on all browsers apart from FireFox. It seems that firefox will pre append a DOT to the beginning of domain so ".subX.mydomain.com". When the code posts back with FireFox the cookie is always null. Has anyone had this situation, (I imagine it is not al that uncommon). I have read a lot of people saying, remove the domain from the cookie, but that can not work for us as we have multiple subdomains that need their own cookie values. Thanks

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  • Programmatically change an EditorGrid's cell value

    - by Snowright
    Hi, I have an Editor Grid where if a specific cell is in focus (is being edited), a window containing a tree panel pops up allowing the user to choose a node from the treepanel as the new value of the cell. This way, the user isn't actually editing the cell in question, but is using the window to choose the new value. However, I am having difficulties setting the value of the cell in question programmatically. Below is the code I use to set the grid up, including the column model that chooses what editor to use for a cell depending on the value type: var editorCM = new Ext.grid.ColumnModel({ //config ,editors : { //rest of editors 'id' : new Ext.grid.GridEditor(new Ext.form.TextField({readOnly : true})) } ,getCellEditor : function(col, row) { //choose editor depending on the type value of a cell } }) var editorGrid = new Ext.grid.EditorGridPanel({ //rest of config ,cm : editorCM }) Below is my code to change the cell's value once the user chooses from the treepanel. function submitNode(newValue) { var temp = editorGrid.GetSelectionModel().getSelectedCell(); //returns array containing column and row position of selected cell, which value we want to change. //temp[1] = column index, temp[0] = row index //Gets the cell editor at specific position and sets new value for that cell editorGrid.getColumnModel().getCellEditor(temp[1], temp[0]).setValue(newValue); } I've also tried a few other ways (all including setValue(newValue)), but have come up empty handed. I've looked through the API and the ExtJS forums for any clue but have also come up empty handed.

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  • Appropriate SQL Server Permissions for Developers

    - by BJ Safdie
    After a couple of Google searches and a quick look at questions here, I cannot seem to find what I thought would be a cookbook answer for SQL Server permissions. As I often see in small shops, most developers here were using an admin account for SQL Server while developing. I want to set up roles and permissions that I can assign to developers so that we can get our jobs done, but also do so with the minimum permissions required. Can anyone offer advice on what SQL Server permissions to assign? Components: SQL Server 2008 SQL Server Reporting Services (SSRS) 2008 SQL Server Integration Services (SSIS) 2008 Platforms: Production Staging/QA Development/Integration We are running "Mixed Mode" security because of some legacy apps and networks, but are moving to Windows Auth. I am not sure if that really affects the role set up. I plan to set up access for Developers to Prod and Staging/QA DBs as Read-Only. However, I still want developers to retain the ability to run Profiling. We need Deployment accounts with higher privilege levels. We are currently trying to figure out exactly what privileges we need for SSIS package deployments. Within the Development Server, Developers need broad privileges. However, I am not sure that just making them all admins is really the best choice. It's hard to believe that no one has published a decent example script that sets up these kinds of roles with a good set of appropriate permissions for developers and deployers. We can probably figure this all out by locking things down and then adding permissions as we discover the need, but that will be way too big a PITA for everyone. Can anyone point me to, or provide, a good exemplar for permissions for these kinds of roles on these kinds of platforms?

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  • How to use IsKeyboardFocusWithin and IsSelected together?

    - by jpsstavares
    I have a style defined for my ListBoxItems with a trigger to set a background color when IsSelected is True: <Style x:Key="StepItemStyle" TargetType="{x:Type ListBoxItem}"> <Setter Property="SnapsToDevicePixels" Value="true"/> <Setter Property="OverridesDefaultStyle" Value="true"/> <Setter Property="Template"> <Setter.Value> <ControlTemplate TargetType="ListBoxItem"> <Border Name="Border" Padding="0" SnapsToDevicePixels="true"> <ContentPresenter /> </Border> <ControlTemplate.Triggers> <Trigger Property="IsSelected" Value="True"> <Setter TargetName="Border" Property="Background" Value="#40a0f5ff"/> </Trigger> </ControlTemplate.Triggers> </ControlTemplate> </Setter.Value> </Setter> </Style> This style maintains the selected item even when the ListBox and ListBoxItem loses focus, which in my case is an absolute must. The problem is that I also want the ListBoxItem to be selected when one of its TextBox's child gets focused. To achieve this I add a trigger that sets IsSelected to true when IsKeyboardFocusWithin is true: <Trigger Property="IsKeyboardFocusWithin" Value="True"> <Setter Property="IsSelected" Value="True" /> </Trigger> When I add this trigger the Item is selected when the focus is on a child TextBox, but the first behaviour disappears. Now when I click outside the ListBox, the item is de-selected. How can I keep both behaviours?

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  • PySide Qt script doesn't launch from Spyder but works from shell

    - by Maxim Zaslavsky
    I have a weird bug in my project that uses PySide for its Qt GUI, and in response I'm trying to test with simpler code that sets up the environment. Here is the code I am testing with: http://stackoverflow.com/a/6906552/130164 When I launch that from my shell (python test.py), it works perfectly. However, when I run that script in Spyder, I get the following error: Traceback (most recent call last): File "/home/test/Desktop/test/test.py", line 31, in <module> app = QtGui.QApplication(sys.argv) RuntimeError: A QApplication instance already exists. If it helps, I also get the following warning: /usr/lib/pymodules/python2.6/matplotlib/__init__.py:835: UserWarning: This call to matplotlib.use() has no effect because the the backend has already been chosen; matplotlib.use() must be called *before* pylab, matplotlib.pyplot, or matplotlib.backends is imported for the first time. Why does that code work when launched from my shell but not from Spyder? Update: Mata answered that the problem happens because Spyder uses Qt, which makes sense. For now, I've set up execution in Spyder using the "Execute in an external system terminal" option, which doesn't cause errors but doesn't allow debugging, either. Does Spyder have any built-in workarounds to this?

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  • Raphael.js: Adding a new custom element

    - by Claudia
    I would like to create a custom Raphael element, with custom properties and functions. This object must also contain predefined Raphael objects. For example, I would have a node class, that would contain a circle with text and some other elements inside it. The problem is to add this new object to a set. These demands are needed because non-Raphael objects cannot be added to sets. As a result, custom objects that can contain Raphael objects cannot be used. The code would look like this: var Node = function (paper) { // Coordinates & Dimensions this.x = 0, this.y = 0, this.radius = 0, this.draw = function () { this.entireSet = paper.set(); var circle = paper.circle(this.x, this.y, this.radius); this.circleObj = circle; this.entireSet.push(circle); var text = paper.text(this.x, this.y, this.text); this.entireSet.push(text); } // other functions } var NodeList = function(paper){ this.nodes = paper.set(), this.populateList = function(){ // in order to add a node to the set // the object must be of type Raphael object // otherwise the set will have no elements this.nodes.push(// new node) } this.nextNode = function(){ // ... } this.previousNode = function(){ // ... } }

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  • Python: Catching / blocking SIGINT during system call

    - by danben
    I've written a web crawler that I'd like to be able to stop via the keyboard. I don't want the program to die when I interrupt it; it needs to flush its data to disk first. I also don't want to catch KeyboardInterruptedException, because the persistent data could be in an inconsistent state. My current solution is to define a signal handler that catches SIGINT and sets a flag; each iteration of the main loop checks this flag before processing the next url. However, I've found that if the system happens to be executing socket.recv() when I send the interrupt, I get this: ^C Interrupted; stopping... // indicates my interrupt handler ran Traceback (most recent call last): File "crawler_test.py", line 154, in <module> main() ... File "/Library/Frameworks/Python.framework/Versions/2.6/lib/python2.6/socket.py", line 397, in readline data = recv(1) socket.error: [Errno 4] Interrupted system call and the process exits completely. Why does this happen? Is there a way I can prevent the interrupt from affecting the system call?

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  • Why are my Flex resource bundles not being loaded?

    - by Chris R
    I have an Actionscript module in the flex source folder filterModules, which is one of two additional source folders in my project (the main source folder is reports, but I'm not dealing with anything in there right now). Here's the MXML content that references the resources. ... This array is assigned to the dataProvider field of a ComboBox. It's not bound using the bindings, presumably for reasons that made sense to the original developer, and it'd be nontrivial to change the class to make that happen. I additionally have a resource property file in a folder resources/en_US and I have the source folder resources/{locale} in the project source settings. My additional compiler options are -locale en_US. The resource property file is resources/en_US/labels.properties (All paths are relative to the flash builder project root) and contains (amongst other things) these keys: metric.q3 = Overall Satisfaction metric.q5 = Personnel metric.q9a = Issue Resolution metric.q42 = Visit Duration Sat metric.q34 = Visit Duration I have written some FlexUnit tests that run in my local Flash Player that exercise these resources -- they check that every label is represented in the metrics array, for example, so I know that the resource file is loaded when run locally. However, when I copy the module .swf file over to my server, the combo box to which the array is assigned is empty. I copy the .swf like so, if it matters: rsync -rlDv --inplace -T /tmp ~/projects/flex_reports/bin-debug/rankingFilter.swf HOSTNAME:WEBROOT/flashPath/ Why is this? I am not able to debug the remote module because our surrounding site sets up a lot of context and makes some database calls to determine which module to load. I'm hoping to get some pointers on why resource bundles might not show up. I'd understand it if the array was present with wrong labels, but the array is instead completely empty, which is pretty odd.

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  • Python: How can I use Twisted as the transport for SUDS?

    - by jathanism
    I have a project that is based on Twisted used to communicate with network devices and I am adding support for a new vendor (Citrix NetScaler) whose API is SOAP. Unfortunately the support for SOAP in Twisted still relies on SOAPpy, which is badly out of date. In fact as of this question (I just checked), twisted.web.soap itself hasn't even been updated in 21 months! I would like to ask if anyone has any experience they would be willing to share with utilizing Twisted's superb asynchronous transport functionality with SUDS. It seems like plugging in a custom Twisted transport would be a natural fit in SUDS' Client.options.transport, I'm just having a hard time wrapping my head around it. I did come up with a way to call the SOAP method with SUDS asynchronously by utilizing twisted.internet.threads.deferToThread(), but this feels like a hack to me. Here is an example of what I've done, to give you an idea: # netscaler is a module I wrote using suds to interface with NetScaler SOAP # Source: http://bitbucket.org/jathanism/netscaler-api/src import netscaler import os import sys from twisted.internet import reactor, defer, threads # netscaler.API is the class that sets up the suds.client.Client object host = 'netscaler.local' username = password = 'nsroot' wsdl_url = 'file://' + os.path.join(os.getcwd(), 'NSUserAdmin.wsdl') api = netscaler.API(host, username=username, password=password, wsdl_url=wsdl_url) results = [] errors = [] def handleResult(result): print '\tgot result: %s' % (result,) results.append(result) def handleError(err): sys.stderr.write('\tgot failure: %s' % (err,)) errors.append(err) # this converts the api.login() call to a Twisted thread. # api.login() should return True and is is equivalent to: # api.service.login(username=self.username, password=self.password) deferred = threads.deferToThread(api.login) deferred.addCallbacks(handleResult, handleError) reactor.run() This works as expected and defers return of the api.login() call until it is complete, instead of blocking. But as I said, it doesn't feel right. Thanks in advance for any help, guidance, feedback, criticism, insults, or total solutions.

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  • PHP: tips/resources/patterns for learning to implement a basic ORM

    - by BoltClock
    I've seen various MVC frameworks as well as standalone ORM frameworks for PHP, as well as other ORM questions here; however, most of the questions ask for existing frameworks to get started with, which is not what I'm looking for. (I have also read this SO question but I'm not sure what to make of it, and the answers are vague.) Instead, I figured I'd learn best by getting my hands dirty and actually writing my own ORM, even a simple one. Except I don't really know how to get started, especially since the code I see in other ORMs is so complicated. With my PHP 5.2.x (this is important) MVC framework I have a basic custom database abstraction layer, that has: Very simple methods like connect($host, $user, $pass, $base), query($sql, $binds), etc Subclasses for each DBMS that it supports A class (and respective subclasses) to represent SQL result sets But does not have: Active Record functionality, which I assume is an ORM thing (correct me if I'm wrong) I've read up a little about ORM, and from my understanding they provide a means to further abstract data models from the database itself by representing data as nothing more than PHP-based classes/objects; again, correct me if I am wrong or have missed out in any way. Still, I'd like some simple tips from anyone else who's dabbled more or less with ORM frameworks. Is there anything else I need to take note of, simple example code for me to refer to, or resources I can read? Thanks a lot in advance!

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  • When to use certain optimizations such as -fwhole-program and -fprofile-generate with several shared libraries

    - by James
    Probably a simple answer; I get quite confused with the language used in the GCC documentation for some of these flags! Anyway, I have three libraries and a programme which uses all these three. I compile each of my libraries seperately with individual (potentially) different sets of warning flags. However, I compile all three libraries with the same set of optimisation flags. I then compile my main programme linking in these three libraries with its own set of warning flags and the same optimisation flags used during the libraries' compilation. 1) Do I have to compile the libraries with optimisation flags present or can I just use these flags when compiling the final programme and linking to the libraries? If the latter, will it then optimise all or just some (presumably that which is called) of the code in these libraries? 2) I would like to use -fwhole-program -flto -fuse-linker-plugin and the linker plugin gold. At which stage do I compile with these on ... just the final compilation or do these flags need to be present during the compilation of the libraries? 3) Pretty much the same as 2) however with, -fprofile-generate -fprofile-arcs and -fprofile-use. I understand one first runs a programme with generate, and then with use. However, do I have to compile each of the libraries with generate/use etc. or just the final programme? And if it is just the last programme, when I then compeil with -fprofile-use will it also optimise the libraries functionality? Many thanks, James

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  • Custom Alignment and Backgrounds Through Greasemonkey

    - by Jivec
    I'm trying to implement something in greasemonkey and it is giving me a fair bit of trouble as I can't get it to work. I frequently use Wolfram Alpha (http://wolframalpha.com) for a lot of things. They have recently updated the home page with a new style. There are settings that you can edit on this page (http://www.wolframalpha.com/homesettings.html) As you would expect when you clear cookies you loose these settings. What I would like to do is have a greasemonky script that sets the background to what ever I like (which will stay also regardless of the state of your cookies). It would also be cool if this background was displayed the whole way through Wolfram Alpha (ie when you make queries too eg. http://www.wolframalpha.com/input/?i=stack+overflow ) The other thing I'm trying to implement but I'm struggling is to force the results pages to be left aligned so that the browser window can be smaller. If anyone could help me with this it would be appreciated, I have tried to do it my self but I'm unsure how to get it to work.

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  • Does this language feature already exists?

    - by Pindatjuh
    I'm currently developing a new language for programming in a continuous environment (compare it to electrical engineering), and I've got some ideas on a certain language construction. Let me explain the feature by explanation and then by definition; x = a | b; Where x is a variable and a and b are other variables (or static values). if(x == a) { // all references to "x" are essentially references to "a". } if(x == b) { // same but with "b" } if(x != a) { // ... } if(x == a | b) { // guaranteed that "x" is '"a" | "b"'; interacting with "x" // will interact with both "a" and "b". } // etc. In the above, all code-blocks are executed, but the "scope" changes in each block how x is interpreted. In the first block, x is guaranteed to be a: thus interacting with x inside that block will interact on a. The second and the third code-block are only equal in this situation (because not b only remains a). The last block guarantees that x is at least a or b. Further more; | is not the "bitwise or operator", but I've called it the "and/or"-operator. It's definition is: "|" = "and" | "or" (On my blog, http://cplang.wordpress.com/2009/12/19/binop-and-or/, is more (mathematical) background information on this operator. It's loosely based on sets.) I do not know if this construction already exists, so that's my question: does this language feature already exists?

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  • Elegant way of parsing Data files for Simulation

    - by sc_ray
    I am working on this project where I need to read in a lot of data from .dat files and use the data to perform simulations. The data in my .dat file looks as follows: DeviceID InteractingDeviceID InteractionStartTime InteractionEndTime 1 2 1101 1105 1,2 1101 and 1105 are tab delimited and it means Device 1 interacted with Device 2 at 1101 ms and ended the interaction at 1105ms. I have a trace data sets that compile thousands of such interactions and my job is to analyze these interactions. The first step is to parse the file. The language of choice is C++. The approach I was thinking of taking was to read the file, for every line that's read create a Device Object. This Device object will contain the property DeviceId and an array/vector of structs, that will contain a list of all the devices the given DeviceId interacted with over the course of the simulation.The struct will contain the Interacting Device Id, Interaction Start Time and Interaction End Time. I have a two fold question here: Is my approach correct? If I am on the right track, how do I rapidly parse these tab delimited data files and create Device objects without excessive memory overhead using C++? A push in the right direction will be much appreciated. Thanks

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  • Managing logs/warnings in Python extensions

    - by Dimitri Tcaciuc
    TL;DR version: What do you use for configurable (and preferably captured) logging inside your C++ bits in a Python project? Details follow. Say you have a a few compiled .so modules that may need to do some error checking and warn user of (partially) incorrect data. Currently I'm having a pretty simplistic setup where I'm using logging framework from Python code and log4cxx library from C/C++. log4cxx log level is defined in a file (log4cxx.properties) and is currently fixed and I'm thinking how to make it more flexible. Couple of choices that I see: One way to control it would be to have a module-wide configuration call. # foo/__init__.py import sys from _foo import import bar, baz, configure_log configure_log(sys.stdout, WARNING) # tests/test_foo.py def test_foo(): # Maybe a custom context to change the logfile for # the module and restore it at the end. with CaptureLog(foo) as log: assert foo.bar() == 5 assert log.read() == "124.24 - foo - INFO - Bar returning 5" Have every compiled function that does logging accept optional log parameters. # foo.c int bar(PyObject* x, PyObject* logfile, PyObject* loglevel) { LoggerPtr logger = default_logger("foo"); if (logfile != Py_None) logger = file_logger(logfile, loglevel); ... } # tests/test_foo.py def test_foo(): with TemporaryFile() as logfile: assert foo.bar(logfile=logfile, loglevel=DEBUG) == 5 assert logfile.read() == "124.24 - foo - INFO - Bar returning 5" Some other way? Second one seems to be somewhat cleaner, but it requires function signature alteration (or using kwargs and parsing them). First one is.. probably somewhat awkward but sets up entire module in one go and removes logic from each individual function. What are your thoughts on this? I'm all ears to alternative solutions as well. Thanks,

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  • Which to use, XMP or RDF?

    - by zotty
    What's the difference between RDF and XMP? From what I can tell, XMP is derived from RDF... so what does it offer that RDF doesn't? My particular situation is this: I've got some images which need tagging with details of how an experiment was performed, and what sort of data analysis has been performed on the images. A colleague of mine is pushing for XMP, but he's thinking of the images as photos - they're not really, they're just bits of data. From what I've seen (mainly by opening images in notepad++) the XMP data looks very similar to RDF - even so far as using RDF in the tag names (e.g. <rdf:Seq>). I'd like this data to be usable by other people who use similar instruments for similar experiments, so creating a mini standard (schema?) seems like the way to go. Apologies for the lack of fundemental understanding - I'm a Doctor, not a programmer! If it makes any difference, the language of choice will be C#. Edit for more information: First off, thanks for the excellent replies - thinking of XMP as a vocabulary for RDF makes things a lot clearer. The sort of data I'll be storing wont be avaliable in any of the pre-defined sets. It'll detail experimental set ups, locations and results. I think using RDF is the way to go.

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  • What can I do about ambigous wildcard patterns in Struts?

    - by Hanno Fietz
    I have a problem finding the right wildcard pattern to extract parts of my URL into action parameters in Struts. This is how I set up the action. The intent of the pattern is to capture the last two path elements and then everything that might precede them. <action name="**/*/*" class="com.example.ObjectAction"> <param name="filter">{1}</param> <param name="type">{2}</param> <param name="id">{3}</param> </action> Calling it with the URL channels/123/transmissions/456 I get the following result (the action just sets the input parameters on a POJO and returns that as XML): <result> <filter>channels/123/transmissions</filter> <id/> <type>456</type> </result> It should be: <result> <filter>channels/123</filter> <id>456</id> <type>transmissions</type> </result> Now, because ** matches all characters including the slash, I guess my pattern allows more than one way to match the URL, and Struts happens to pick one that leaves the id empty. Is the behaviour for multiple possible matches defined somewhere? Can I make the pattern less ambigous? Are there alternative ways of doing this? I'm running Struts 2.0.8. Upgrading to 2.1.9 would give me regex matching, but I got into trouble with Struts' dependencies and my OSGi environment when I went past 2.0.8, so I'd like to stick to that version for now.

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