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  • Trouble when changing pixel data with alpha on png on iphone --okay on simulator

    - by Ted
    I'm trying to change the color of the pixels (lighten or darken) without changing the value of the alpha channel using CGDataProviderCopyData. I leave every 4th databyte untouched. It work fine of the iphone simulator, however on the real thing the alpha goes white as I increase the values of the other pixels. I've tried changing just the first byte, or the second, or the third. Does anybody have any idea what is going on? The basic code is borrowed from Jorge. I like this simple approach --I'm new to this. But I want to make it work with png images with some transparency. here is most of the code by Jorge : CFDataRef CopyImagePixels(CGImageRef inImage){ return CGDataProviderCopyData(CGImageGetDataProvider(inImage)); } CGImageRef img=originalImage.CGImage; CFDataRef dataref=CopyImagePixels(img); UInt8 *data=(UInt8 *)CFDataGetBytePtr(dataref); int length=CFDataGetLength(dataref); for(int index=0;index255){ data[index+i]=255; }else{ data[index+i]+=value; } } } } size_t width=CGImageGetWidth(img); size_t height=CGImageGetHeight(img); size_t bitsPerComponent=CGImageGetBitsPerComponent(img); size_t bitsPerPixel=CGImageGetBitsPerPixel(img); size_t bytesPerRow=CGImageGetBytesPerRow(img); CGColorSpaceRef colorspace=CGImageGetColorSpace(img); CGBitmapInfo bitmapInfo=CGImageGetBitmapInfo(img); CGImageAlphaInfo alphaInfo = kCGBitmapAlphaInfoMask(img); NSLog(@"bitmapinfo: %d",bitmapInfo); CFDataRef newData=CFDataCreate(NULL,data,length); CGDataProviderRef provider=CGDataProviderCreateWithCFData(newData); CGImageRef newImg=CGImageCreate(width,height,bitsPerComponent,bitsPerPixel,bytesPerRow,colorspace,bitmapInfo,provider,NULL,true,kCGRenderingIntentDefault); [iv setImage:[UIImage imageWithCGImage:newImg]]; CGImageRelease(newImg); CGDataProviderRelease(provider);

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  • Common lisp, CFFI, and instantiating c structs

    - by andrew
    Hi, I've been on google for about, oh, 3 hours looking for a solution to this "problem." I'm trying to figure out how to instantiate a C structure in lisp using CFFI. I have a struct in c: struct cpVect{cpFloat x,y;} Simple right? I have auto-generated CFFI bindings (swig, I think) to this struct: (cffi:defcstruct #.(chipmunk-lispify "cpVect" 'classname) (#.(chipmunk-lispify "x" 'slotname) :double) (#.(chipmunk-lispify "y" 'slotname) :double)) This generates a struct "VECT" with slots :X and :Y, which foreign-slot-names confirms (please note that I neither generated the bindings or programmed the C library (chipmunk physics), but the actual functions are being called from lisp just fine). I've searched far and wide, and maybe I've seen it 100 times and glossed over it, but I cannot figure out how to create a instance of cpVect in lisp to use in other functions. Note the function: cpShape *cpPolyShapeNew(cpBody *body, int numVerts, cpVect *verts, cpVect offset) Takes not only a cpVect, but also a pointer to a set of cpVects, which brings me to my second question: how do I create a pointer to a set of structs? I've been to http://common-lisp.net/project/cffi/manual/html_node/defcstruct.html and tried the code, but get "Error: Unbound variable: PTR" (I'm in Clozure CL), not to mention that looks to only return a pointer, not an instance. I'm new to lisp, been going pretty strong so far, but this is the first real problem I've hit that I can't figure out. Thanks!

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  • What is a fast way to set debugging code at a given line in a function?

    - by Josh O'Brien
    Preamble: R's trace() is a powerful debugging tool, allowing users to "insert debugging code at chosen places in any function". Unfortunately, using it from the command-line can be fairly laborious. As an artificial example, let's say I want to insert debugging code that will report the between-tick interval calculated by pretty.default(). I'd like to insert the code immediately after the value of delta is calculated, about four lines up from the bottom of the function definition. (Type pretty.default to see where I mean.) To indicate that line, I need to find which step in the code it corresponds to. The answer turns out to be step list(c(12, 3, 3)), which I zero in on by running through the following steps: as.list(body(pretty.default)) as.list(as.list(body(pretty.default))[[12]]) as.list(as.list(as.list(body(pretty.default))[[12]])[[3]]) as.list(as.list(as.list(body(pretty.default))[[12]])[[3]])[[3]] I can then insert debugging code like this: trace(what = 'pretty.default', tracer = quote(cat("\nThe value of delta is: ", delta, "\n\n")), at = list(c(12,3,3))) ## Try it a <- pretty(c(1, 7843)) b <- pretty(c(2, 23)) ## Clean up untrace('pretty.default') Questions: So here are my questions: Is there a way to print out a function (or a parsed version of it) with the lines nicely labeled by the steps to which they belong? Alternatively, is there another easier way, from the command line, to quickly set debugging code for a specific line within a function? Addendum: I used the pretty.default() example because it is reasonably tame, but with real/interesting functions, repeatedly using as.list() quickly gets tiresome and distracting. Here's an example: as.list(as.list(as.list(as.list(as.list(as.list(as.list(as.list(as.list(body(# model.frame.default))[[26]])[[3]])[[2]])[[4]])[[3]])[[4]])[[4]])[[4]])[[3]]

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  • Erlang ODBC parameter query with null parameters

    - by Schlomer
    Is it possible to pass null values to parameter queries? For example Sql = "insert into TableX values (?,?)". Params = [{sql_integer, [Val1]}, {sql_float, [Val2]}]. % Val2 may be a float, or it may be the atom, undefined odbc:param_query(OdbcRef, Sql, Params). Now, of course odbc:param_query/3 is going to complain if Val2 is undefined when trying to match to a sql_float, but my question is... Is it possible to use a parameterized query, such as: Sql = "insert into TableY values (?,?,?,?,?,?,?,?,?)". with any null parameters? I have a use case where I am dumping a large number of real-time data into a database by either inserting or updating. Some of the tables I am updating have a dozen or so nullable fields, and I do not have a guarantee that all of the data will be there. Concatenating a SQL together for each query, checking for null values seems complex, and the wrong way to do it. Having a parameterized query for each permutation is simply not an option. Any thoughts or ideas would be fantastic! Thank you!

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  • Dynamically add items to Tkinter Canvas

    - by nick369
    I'm attempting to learn Tkinter with the goal of being able to create a 'real-time' scope to plot data. As a test, I'm trying to draw a polygon on the canvas every time the 'draw' button is pressed. The triangle position is randomized. I have two problems: There is a triangle on the canvas as soon as the program starts, why and how do I fix this? It doesn't draw any triangles when I press the button, at least none that I can see. CODE from Tkinter import * from random import randint class App: def __init__(self,master): #frame = Frame(master) #frame.pack(side = LEFT) self.plotspc = Canvas(master,height = 100, width = 200, bg = "white") self.plotspc.grid(row=0,column = 2, rowspan = 5) self.button = Button(master, text = "Quit", fg = "red", \ command = master.quit) self.button.grid(row=0,column=0) self.drawbutton = Button(master, text = "Draw", command = \ self.pt([50,50])) self.drawbutton.grid(row = 0, column = 1) def pt(self, coords): coords[0] = coords[0] + randint(-20,20) coords[1] = coords[1] + randint(-20,20) x = (0,5,10) y = (0,10,0) xp = [coords[0] + xv for xv in x] yp = [coords[1] + yv for yv in y] ptf = zip(xp,yp) self.plotspc.create_polygon(*ptf) if _name_ == "_main_": root = Tk() app = App(root) root.mainloop() The code is formatting strangely within the code tags, I have no idea how to fix this.

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  • Designing a general database interface in PHP

    - by lamas
    I'm creating a small framework for my web projects in PHP so I don't have to do the basic work over and over again for every new website. It is not my goal to create a second CakePHP or Codeigniter and I'm also not planning to build my websites with any of the available frameworks as I prefer to use things I've created myself in general. I have no problems in designing that framework when it comes to parts like the core structure, request handling, and so on but I'm getting stuck with designing the database interface for my modules. I've already thought about using the MVC pattern but thought that it would be a bit of a overkill. So the exact problem I'm facing is how my frameworks modules (viewCustomers could be a module, for example) should interact with the database. Is it a good idea to write SQL directly in PHP (mysql_query( 'SELECT firstname, lastname(.....))? How could I abstract a query like SELECT firstname, lastname FROM customers WHERE id=X Would MySQL helper functions like $this->db->get( array('firstname', 'lastname'), array('id'=>X) ) be a good idea? I suppose not because they actually make everything more complicated by requiring arrays to be created and passed. Is the Model pattern from MVC my only real option?

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  • Creating Emulated iSCSI Target in a Lab/Testing Environment using Windows Server 2008 R2

    - by Brian McCleary
    We have a single server running Windows Server 2008 with Hyper-V installed running 5 virtual machines. I have purchased a second DELL R805 Server so that we can create a fail-over cluster to our current R805 that is currently in production. Right now, our R805 connects via iSCSI to a MD3000i iSCSI SAN. Before we try to roll out the second server and clustering to our production environment, I want to be able to test and "play with" the clustering features in our lab before rolling it out. The problem is that I don't want to spend a couple thousand dollars on another iSCSI SAN server just for testing. I already have two servers in my lab that are installed with Windows Server 2008 R2 64bit (one is the R805 and another spare desktop that was laying around) and with the Hyper-V roll enabled that should be ready to test with, but I don't have an iSCSI target to use as the Cluster Shared Volume. Is there anyway to install, either on a Hyper-V image or on a external spare computer that we have some sort of emulated iSCSI target? In our lab, we obviously don't need a real SAN, just something that we can test out how to setup the clustering properly outside of our production environment. Any advise is appreciated. FYI - I have read Jose Barret's blog on WUDSS at http://blogs.technet.com/josebda/archive/2008/01/07/installing-the-evaluation-version-of-wudss-2003-refresh-and-the-microsoft-iscsi-software-target-version-3-1-on-a-vm.aspx, but it seems awfully complex. I'm hoping for an easier solution.

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  • Are document-oriented databases any more suitable than relational ones for persisting objects?

    - by Owen Fraser-Green
    In terms of database usage, the last decade was the age of the ORM with hundreds competing to persist our object graphs in plain old-fashioned RMDBS. Now we seem to be witnessing the coming of age of document-oriented databases. These databases are highly optimized for schema-free documents but are also very attractive for their ability to scale out and query a cluster in parallel. Document-oriented databases also hold a couple of advantages over RDBMS's for persisting data models in object-oriented designs. As the tables are schema-free, one can store objects belonging to different classes in an inheritance hierarchy side-by-side. Also, as the domain model changes, so long as the code can cope with getting back objects from an old version of the domain classes, one can avoid having to migrate the whole database at every change. On the other hand, the performance benefits of document-oriented databases mainly appear to come about when storing deeper documents. In object-oriented terms, classes which are composed of other classes, for example, a blog post and its comments. In most of the examples of this I can come up with though, such as the blog one, the gain in read access would appear to be offset by the penalty in having to write the whole blog post "document" every time a new comment is added. It looks to me as though document-oriented databases can bring significant benefits to object-oriented systems if one takes extreme care to organize the objects in deep graphs optimized for the way the data will be read and written but this means knowing the use cases up front. In the real world, we often don't know until we actually have a live implementation we can profile. So is the case of relational vs. document-oriented databases one of swings and roundabouts? I'm interested in people's opinions and advice, in particular if anyone has built any significant applications on a document-oriented database.

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  • How do I ensure my C# software can access the internet in a Citrix + ISA environment?

    - by TomFromThePool
    Hi everyone, A client recently informed us that deployment of our software in their environment has failed due to a proxy error when the software attempts to access the internet. The client has a combination of Citrix and Microsoft's ISA server. The software allows the use of a proxy and the ability to manually enter authentication information, or automatically retrieve the current system proxy settings. The error returned is the standard 407 authentication error, but the client assures us that they have entered the authentication information required. They have also shown us the snippet of the ISA error logs which identify the client as Anonymous and the authentication protocol as Basic. I have a few questions I suppose: How should I go about dealing with the ISA server in my code? I have no real experience with this environment and am assuming that the ISA server is treated like any other proxy. If I am mistaken, what should I be doing? Does ISA allow the administrator to disallow specific authentication protocols - and if this is the case and 'Basic' auth is disallowed, would it still return a 407 error? Could the Citrix environment have caused this issue? Is there any particular way to ensure that my software will work in such an environment? Code-samples would be much appreciated. I have neither a Citrix test server or an ISA server at my disposal to carry out testing on this so I am currently trying to identify possible causes before I make the case for investment in a more robust testing environment. Thanks for any help!

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  • How OpenStack Swift handles concurrent restful API request?

    - by Chen Xie
    I installed a swift service and was trying to know the capability of handling concurrent request. So I created massive amount of threads in Java, and sent it via the RestFUL API Not surprisingly, when the number of requests climb up, the program started to throw out exceptions. Caused by: java.net.ConnectException: Connection timed out: connect at java.net.DualStackPlainSocketImpl.connect0(Native Method) at java.net.DualStackPlainSocketImpl.socketConnect(DualStackPlainSocketImpl.java:69) at java.net.AbstractPlainSocketImpl.doConnect(AbstractPlainSocketImpl.java:339) at java.net.AbstractPlainSocketImpl.connectToAddress(AbstractPlainSocketImpl.java:200) at java.net.AbstractPlainSocketImpl.connect(AbstractPlainSocketImpl.java:182) at java.net.PlainSocketImpl.connect(PlainSocketImpl.java:157) at java.net.SocksSocketImpl.connect(SocksSocketImpl.java:391) at java.net.Socket.connect(Socket.java:579) at java.net.Socket.connect(Socket.java:528) at sun.net.NetworkClient.doConnect(NetworkClient.java:180) at sun.net.www.http.HttpClient.openServer(HttpClient.java:378) at sun.net.www.http.HttpClient.openServer(HttpClient.java:473) at sun.net.www.http.HttpClient.(HttpClient.java:203) But can anyone tell me how that time outhappened? I am curious of how SWIFT handles those requests. Is that by queuing the requests and because there are too many requests in the queue and wait for too long time and it's just get kicked out from the queue? If this holds, does it mean that it's an asynchronized mechanism to handle requests? Thanks.

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  • P/Invoke declarations should not be safe-critical

    - by Bobrovsky
    My code imports following native methods: DeleteObject, GetFontData and SelectObject from gdi32.dll GetDC and ReleaseDC from user32.dll I want to run the code in full trust and medium trust environments (I am fine with exceptions being thrown when these imported methods are indirectly used in medium trust environments). When I run Code Analysis on the code I get warnings like: CA5122 P/Invoke declarations should not be safe-critical. P/Invoke method 'GdiFont.DeleteObject(IntPtr)' is marked safe-critical. Since P/Invokes may only be called by critical code, this declaration should either be marked as security critical, or have its annotation removed entirely to avoid being misleading. Could someone explain me (in layman terms) what does this warning really mean? I tried putting these imports in static SafeNativeMethods class as internal static methods but this doesn't make the warnings go away. I didn't try to put them in NativeMethods because after reading this article I am unsure that it's the right way to go because I don't want my code to be completely unusable in medium trust environments (I think this will be the consequence of moving imports to NativeMethods). Honestly, I am pretty much confused about the real meaning of the warning and consequences of different options to suppressing it. Could someone shed some light on all this? EDIT: My code target .NET 2.0 framework. Assembly is marked with [assembly: AllowPartiallyTrustedCallers] Methods are declared like this: [DllImport("gdi32")] internal static extern int DeleteObject(HANDLE hObject);

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  • net send command program debugging in C#

    - by riad
    Dear all, I write a program to execute and send msg using windows net send command.Its working fine for single receptor.But the problem happen when i want to send message in many receptors. i use a for loop to take receptor name from a list box. Here all message go to the first receptor.The problem happen on process execution.So far i guess the process is not clear or dead on the time. Can any body guide me how i can send the msg to multiple users at a time? my code below: string sendingMessage = messageRichTextBox.Text; string[] recepentAddressArray = new string[recepentAddressListBox.Items.Count]; for (int j = 0; j < recepentAddressListBox.Items.Count; j++) // Getting address from list box { recepentAddressArray[j] = recepentAddressListBox.Items[j].ToString(); string recepantAddress = recepentAddressArray[j]; try { string strLine = "net send " + recepantAddress + " " + sendingMessage + " >C:netsend.log"; FileStream fs = new FileStream("c:netsend.bat", FileMode.Create, FileAccess.Write); StreamWriter streamWriter = new StreamWriter(fs); streamWriter.BaseStream.Seek(0, SeekOrigin.End); streamWriter.Write(strLine); streamWriter.Flush(); streamWriter.Close(); fs.Close(); Process p = new Process(); p.StartInfo.FileName = "C:netsend.bat"; p.StartInfo.WindowStyle = ProcessWindowStyle.Hidden; p.Start(); p.WaitForExit(); p.Close(); FileStream fsOutput = new FileStream("C:netsend.log", FileMode.Open, FileAccess.Read); StreamReader reader = new StreamReader(fsOutput); reader.BaseStream.Seek(0, SeekOrigin.Begin); string strOut = reader.ReadLine(); reader.Close(); fsOutput.Close(); } catch (Exception) { MessageBox.Show("ERROR"); } }

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  • Canvas scroll animation not working correctly

    - by pedalpete
    I'm building a gantt chart style timeline using html canvas element. I am currently attempting to add the functionality which allows the user to click a next/prev button to have the gantt chart scroll to display earlier or later times. The way I am doing this is to have a span.adjustTime where the id holds a value in seconds for the time to be adjusted (eg 86400 for one day). I am trying to animate the scrolling so it looks like a scroll, rather than jumping ahead by one day. I have a small problem in my timing calculation, but the script below is not animating, but rather jumping directly to the final time. I do have the draw function running on a separate setInterval which updates every second, so I'm hoping it isn't an issue of conflicting timers on the same function on the same element and data. jQuery('span.adjustTime').click(function() { var adjustBy = parseInt(jQuery(this).attr('id').replace('a', '')); var data = jQuery('img#logo').data(); for(var m = 1; m >= 30; m++) { gantt.startUnixTime = gantt.startUnixTime + (adjustBy * (m * 0.001)); var moveTimer = setTimeout(function() { draw(document.getElementById('gantt'), data, gantt); }, 1000); if (m == 30) { clearTimeout(moveTimer); } } });

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  • Android - Basic CRUD (REST/RPC client) to remote server

    - by bsreekanth
    There are lot of discussion about REST client implementation in android, based on the talk at GoogleIO 2010, by Virgil Dobjanschi. My requirement may not necessarily involved, as I have some freedom to choose the configuration. I only target tablets configuration changes can be prevented if no other easy way (fix at Landscape mode etc) I am trying to achieve. Basic CRUD operation to my server (JSON RPC/ REST). Basically mimic an ajax request from android app (no webview, need native app) Based on the above mentioned talk, and some reading I see these options. Implement any of the 3 mentioned in the Google IO talk Especially, the last pattern may be more suitable as I don't care much of caching. But not sure how "real time" is sync implementation. Use HTTP request in AsyncTask. Simplest, but need to avoid re-sending request during change in device configuration (orientation change etc). Even if I fix at one orientation, recreation of activity still happens. So need to handle it elegantly. Use service to handle http request. So far, it say use service for long ruiing request. Not sure whether it is a good approach for simple GET/POST/PUt requests. Please share your experience on what could be the best way.

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  • What is wrong with accessing DBI directly?

    - by canavanin
    Hi everyone! I'm currently reading Effective Perl Programming (2nd edition). I have come across a piece of code which was described as being poorly written, but I don't yet understand what's so bad about it, or how it should be improved. It would be great if someone could explain the matter to me. Here's the code in question: sub sum_values_per_key { my ( $class, $dsn, $user, $password, $parameters ) = @_; my %results; my $dbh = DBI->connect( $dsn, $user, $password, $parameters ); my $sth = $dbh->prepare( 'select key, calculate(value) from my_table'); $sth->execute(); # ... fill %results ... $sth->finish(); $dbh->disconnect(); return \%results; } The example comes from the chapter on testing your code (p. 324/325). The sentence that has left me wondering about how to improve the code is the following: Since the code was poorly written and accesses DBI directly, you'll have to create a fake DBI object to stand in for the real thing. I have probably not understood a lot of what the book has so far been trying to teach me, or I have skipped the section relevant for understanding what's bad practice about the above code... Well, thanks in advance for your help!

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  • Legal issues in Europe: check patents ?

    - by Bugz R us
    We live in Europe and are releasing commercial software in multiple countries. Besides of the licensing issues (GPL/LGPL/...) we have a question about patents. I know that if you're in the US, before you release software, you have to check if there aren't any patents you're infringing upon. I also know most of these patents or usually irrational and form a heavy burden on developers/software engineers. Now, as far as I know, EU rules are lots more ratinal, but there has been lobbying to also apply the same rules in EU. http://www.nosoftwarepatents.com http://www.stopsoftwarepatents.eu So what's the deal actually ? For example, there's mention of a patent on a shopping cart : http://v3.espacenet.com/publicationDetails/biblio?CC=EP&NR=807891&KC=&FT=E Is that true ? Is a "shopping cart" patented ??? .................. http://stackoverflow.com/questions/1396191/what-should-every-developer-know-about-legal-matters : 4.Software patent lawsuits are crap shoots. You should not, of course, knowingly violate a software patent. However, there is a small but real chance some company will sue you for violating their patent. This may happen even if you develop your software independently, you never heard of the patent, and the patent covers a technique that is intuitively obvious and almost completely unrelated to your software. There is not a lot you can do to avoid this, given the current USPTO policies, other than buy insurance. The good news is that patent trolls generally sue large companies with lots of money.

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  • Android ADB has moved and Eclipse is looking in the old place

    - by Peter Nelson
    I did an SDK update last night and it moved adb.exe. In its place it left a file called "adb_has_moved.txt" saying The adb tool has moved to platform-tools/ If you don't see this directory in your SDK, launch the SDK and AVD Manager (execute the android tool) and install "Android SDK Platform-tools" Please also update your PATH environment variable to include the platform-tools/ directory, so you can execute adb from any location. So I did all that, including the PATH and now I can start adb.exe from any DOS prompt. But I still can't start it from Eclipse (Galileo 3.52). When I try it says Location of the Android SDK has not been set up in the preferences ... which is not true. The SDK IS set up in Preferences. The real problem is at the top of the Preferences window where it says "Could not find C:\SDK\android-sdk-windows\ tools \adb.exe!" ...No kidding - the update moved it to C:\SDK\android-sdk-windows\ platform-tools. Because it's specifying a specific (wrong) path Eclipse is bypassing the PATH variable. So how do I get Eclipse to look in the right place?

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  • Method works on Emulator but no on Microsoft Surface unit?

    - by Roflcoptr
    I have the following code. The StartRecord method trows an error on the Microsoft Surface Unit. But when I'm testing it on the emulator, it all works great. Any hints how 1) to find the exception that is thrown on the Microsoft Surface Unit? 2) to find the error in the code? any assumptions? private void StartRecord(object sender, ContactEventArgs e) { isRecording = true; StartButton.IsEnabled = false; recordTimer = new Timer(10); recordTimer.Elapsed += new ElapsedEventHandler(recordTimer_Elapsed); PlaybackRoot.Visibility = System.Windows.Visibility.Collapsed; EllapsedRecord.Visibility = System.Windows.Visibility.Visible; InputLevel.Visibility = System.Windows.Visibility.Visible; long time = DateTime.Now.Ticks; String fileName = Convert.ToString(time) + ".wav"; Console.WriteLine(fileName); startTime = DateTime.UtcNow; recordTimer.Start(); record = new AudioRecording(fileName); record.getSampleAggregator().MaximumCalculated += new EventHandler<MaxSampleEventArgs>(AudioControl_MaximumCalculated); record.start(); }

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  • URL shortening: using inode as short name?

    - by Licky Lindsay
    The site I am working on wants to generate its own shortened URLs rather than rely on a third party like tinyurl or bit.ly. Obviously I could keep a running count new URLs as they are added to the site and use that to generate the short URLs. But I am trying to avoid that if possible since it seems like a lot of work just to make this one thing work. As the things that need short URLs are all real physical files on the webserver my current solution is to use their inode numbers as those are already generated for me ready to use and guaranteed to be unique. function short_name($file) { $ino = @fileinode($file); $s = base_convert($ino, 10, 36); return $s; } This seems to work. Question is, what can I do to make the short URL even shorter? On the system where this is being used, the inodes for newly added files are in a range that makes the function above return a string 7 characters long. Can I safely throw away some (half?) of the bits of the inode? And if so, should it be the high bits or the low bits? I thought of using the crc32 of the filename, but that actually makes my short names longer than using the inode. Would something like this have any risk of collisions? I've been able to get down to single digits by picking the right value of "$referencefile". function short_name($file) { $ino = @fileinode($file); // arbitrarily selected pre-existing file, // as all newer files will have higher inodes $ino = $ino - @fileinode($referencefile); $s = base_convert($ino, 10, 36); return $s; }

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  • CSS Design question, I've got myself completely turned around.

    - by Matt Dawdy
    Okay, I have a couple of other questions out there, but I think I'd better just ask from the beginning how you CSS experts would do this. Client's page is split into 2 rows -- header has some info, some aligned to left of page, some to right, some in the middle. This is currently done using a table. I'm fine with leaving this alone or changing it. My real question is that I need a page layout to handle the following: 2 columns - column on left is 200px, but can be "close" down to to 10px (not a slider, it's either 200 or 10 px). The column on the right needs to be as big as it needs to be -- which might be larger than the width of the page. When left column is "closed" then the right column slides over of course. Again, this right column might be 300px or it might be 4000 pixels (it's a reporting interface). Now, to add another wrinkle, SOME pages have 3 columns. The first 2 columns are each exactly 200px, and both can be "closed" down to 10 px each. But, the user may not close both columns, maybe just 1. Or none. Or both. The third column needs to act just like I described above, being able to be larger than the page width, and sliding over to take advantage of any of the "closed" left columns. Whew! I'm pretty confused as to how to go about this, as either I get it right but I can't scroll over to the right at all (overflow: hidden) and information is lost, or the right column jumps down below the left 2 columns and just looks plain stupid. My minimum browser requirements are IE8, FF3.5, Chrome and Safari (latest versions of all). Any and all pointers are gladly accepted.

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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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  • C#/LINQ: How to define generically a keySelector for a templated class before calling OrderBy

    - by PierrOz
    Hi Folks, I have the following class defined in C# class myClass<T,U> { public T PropertyOne { get; set; } public U PropertyTwo { get; set; } } I need to write a function that reorder a list of myClass objects and takes two other parameters which define how I do this reorder: does my reordering depend on PropertyOne or PropertyTwo and is it ascending or descending. Let's say this two parameters are boolean. With my current knowledge in LINQ, I would write: public IList<myClass<T,U>> ReOrder(IList<myClass<T,U>> myList, bool usePropertyOne, bool ascending) { if (usePropertyOne) { if (ascending) { return myList.OrderBy(o => o.PropertyOne).ToList(); } else { return myList.OrderByDescending(o => o.PropertyOne).ToList(); } } else { if (ascending) { return myList.OrderBy(o => o.PropertyTwo).ToList(); } else { return myList.OrderByDescending(o => o.PropertyTwo).ToList(); } } } What could be a more efficient/elegant way to do that ? How can I declare the Func,TResult keySelector object to reuse when I call either OrderBy or OrderByDescending? I'm interesting in the answer since in my real life, I can have more than two properties.

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  • What does this structure actually do?

    - by LGTrader
    I found this structure code in a Julia Set example from a book on CUDA. I'm a newbie C programmer and cannot get my head around what it's doing, nor have I found the right thing to read on the web to clear it up. Here's the structure: struct cuComplex { float r; float i; cuComplex( float a, float b ) : r(a), i(b) {} float magnitude2( void ) { return r * r + i * i; } cuComplex operator*(const cuComplex& a) { return cuComplex(r*a.r - i*a.i, i*a.r + r*a.i); } cuComplex operator+(const cuComplex& a) { return cuComplex(r+a.r, i+a.i); } }; and it's called very simply like this: cuComplex c(-0.8, 0.156); cuComplex a(jx, jy); int i = 0; for (i=0; i<200; i++) { a = a * a + c; if (a.magnitude2() > 1000) return 0; } return 1; So, the code did what? Defined something of structure type 'cuComplex' giving the real and imaginary parts of a number. (-0.8 & 0.156) What is getting returned? (Or placed in the structure?) How do I work through the logic of the operator stuff in the struct to understand what is actually calculated and held there? I think that it's probably doing recursive calls back into the stucture float magnitude2 (void) { return return r * r + i * i; } probably calls the '*' operator for r and again for i, and then the results of those two operations call the '+' operator? Is this correct and what gets returned at each step? Just plain confused. Thanks!

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  • JUnit confusion: use 'extend Testcase' or '@Test' ?

    - by Rabarberski
    I've found the proper use (or at least the documentation) of JUnit very confusing. This question serves both as a future reference and as a real question. If I've understood correctly, there are two main approaches to create and run a JUnit test: Approach A: create a class that extends TestCase, and start test methods with the word test. When running the class as a JUnit Test (in Eclipse), all methods starting with the word test are automatically run. import junit.framework.TestCase; public class DummyTestA extends TestCase { public void testSum() { int a = 5; int b = 10; int result = a + b; assertEquals(15, result); } } Approach B: create a 'normal' class and prepend a @Test annotation to the method. Note that you do NOT have to start the method with the word test. import org.junit.*; import static org.junit.Assert.*; public class DummyTestB { @Test public void Sum() { int a = 5; int b = 10; int result = a + b; assertEquals(15, result); } } Mixing the two seems not to be a good idea, see e.g. this stackoverflow question: Now, my questions(s): What is the preferred approach, or when would you use one instead of the other? Approach B allows for testing for exceptions by extending the @Test annotation like in @Test(expected = ArithmeticException.class). But how do you test for exceptions when using approach A? When using approach A, you can group a number of test classes in a test suite. TestSuite suite = new TestSuite("All tests");<br/> suite.addTestSuite(DummyTestA.class); suite.addTestSuite(DummyTestAbis.class);` But this can't be used with approach B (since each testclass should subclass TestCase). What is the proper way to group tests for approach B?

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  • JQuery and IE8 - Form posting on tab change

    - by Tommy
    This issue is only happening in IE8 - Firefox 3.5 seems to handle it fine. I have JQuery UI tabs setup on a page. Within each tab is a form that users can do stuff from. I have defined in the select option of the using: $("#tabs").tabs({select: function(event, ui) {...}}); a submitForm function that submits the form of the tab the user was on previous to changing tabs. This all works in all browsers. The issue comes in that IE does both the POST of the form on the previous tab and the GET for content of the newly requested tab and or really close to the same time (from what I can tell walking through the debugger). As a result, if a tab is dependent on the form input from another tab, the data is stale - does not match the user input from the previous tab. How can I either a) force the POST to complete before rendering the next tab or b) force IE to not make the POST and GET for the next tab at the same time?...or c) some other option?

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