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  • Partial Evaluation of ConstantExpression in ExpressionTreeVisitor

    - by Andrew Theken
    Hi all, I am not an Expression Tree master by any stretch of the imagination, what I have is code that looks like this: int external = 10; using(var session = new Session()) { session.Add(new Product { Name = "test1", Price = 20 }); session.Add(new Product {Name = "test", Price = 10}); var product = session.Products.Where(p => p.Price == external).FirstOrDefault(); Assert.Equal(10, product.Price); } Session implements all the IQueryProvider, IQueryable interfaces you'd come to expect from a LINQ Provider. When I execute the query, everything goes to plan until I read the ConstantExpression for "external", at which point, I am at a loss as to how to move forward because: //constant is ConstantExpression for "external" on the right side of the "p.Price == external" expression above. var t = constant.GetType(); //evaluates to class called "<>c__DisplayClass2" - with a member named "external" that has the value 10. The question is basically.. How can I just access the value of the member "external" - is there a way to accomplish this without using reflection? or am I cooked? What am I missing?

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  • Using libcurl to create a valid POST

    - by Haraldo
    static int get( const char * cURL, const char * cParam ) { CURL *handle; CURLcode result; std::string buffer; char errorBuffer[CURL_ERROR_SIZE]; //struct curl_slist *headers = NULL; //headers = curl_slist_append(headers, "Content-Type: Multipart/Related"); //headers = curl_slist_append(headers, "type: text/xml"); // Create our curl handle handle = curl_easy_init(); if( handle ) { curl_easy_setopt(handle, CURLOPT_ERRORBUFFER, errorBuffer); //curl_easy_setopt(handle, CURLOPT_HEADER, 0); //curl_easy_setopt(handle, CURLOPT_HTTPHEADER, headers); curl_easy_setopt(handle, CURLOPT_POST, 1); curl_easy_setopt(handle, CURLOPT_POSTFIELDS, cParam); curl_easy_setopt(handle, CURLOPT_POSTFIELDSIZE, strlen(cParam)); curl_easy_setopt(handle, CURLOPT_FOLLOWLOCATION, 1); curl_easy_setopt(handle, CURLOPT_WRITEFUNCTION, Request::writer); curl_easy_setopt(handle, CURLOPT_WRITEDATA, &buffer); curl_easy_setopt(handle, CURLOPT_USERAGENT, "libcurl-agent/1.0"); curl_easy_setopt(handle, CURLOPT_URL, cURL); result = curl_easy_perform(handle); curl_easy_cleanup(handle); } if( result == CURLE_OK ) { return atoi( buffer.c_str() ); } return 0; } Hi there, first of all I'm having trouble debugging this in visual studio express 2008 so I'm unsure what buffer.c_str() might actually be returning but I am outputting 1 or 0 to the web page being posted to. Therefore I'm expecting the buffer to be one or the other, however I seem to only be returning 0 or equivalent. Does the code above look like it will return what I expect or should my variable types be different? The conversion using "atoi" may be an issue. Any thought would be much appreciated.

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  • Python subprocess Popen.communicate() equivalent to Popen.stdout.read()?

    - by Christophe
    Very specific question (I hope): What are the differences between the following three codes? (I expect it to be only that the first does not wait for the child process to be finished, while the second and third ones do. But I need to be sure this is the only difference...) I also welcome other remarks/suggestions (though I'm already well aware of the shell=True dangers and cross-platform limitations) Note that I already read Python subprocess interaction, why does my process work with Popen.communicate, but not Popen.stdout.read()? and that I do not want/need to interact with the program after. Also note that I already read Alternatives to Python Popen.communicate() memory limitations? but that I didn't really get it... First code: from subprocess import Popen, PIPE def exe_f(command='ls -l', shell=True): "Function to execute a command and return stuff" process = Popen(command, shell=shell, stdout=PIPE, stderr=PIPE) stdout = process.stdout.read() stderr = process.stderr.read() return process, stderr, stdout Second code: from subprocess import Popen, PIPE from subprocess import communicate def exe_f(command='ls -l', shell=True): "Function to execute a command and return stuff" process = Popen(command, shell=shell, stdout=PIPE, stderr=PIPE) (stdout, stderr) = process.communicate() return process, stderr, stdout Third code: from subprocess import Popen, PIPE from subprocess import wait def exe_f(command='ls -l', shell=True): "Function to execute a command and return stuff" process = Popen(command, shell=shell, stdout=PIPE, stderr=PIPE) code = process.wait() stdout = process.stdout.read() stderr = process.stderr.read() return process, stderr, stdout Thanks.

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  • Switch statement usage - C

    - by Jamie Keeling
    Hello, I have a thread function on Process B that contains a switch to perform certain operations based on the results of an event sent from Process A, these are stored as two elements in an array. I set the first element to the event which signals when Process A has data to send and I have the second element set to the event which indicates when Process A has closed. I have began to implement the functionality for the switch statement but I'm not getting the results as I expect. Consider the following: // //Thread function DWORD WINAPI ThreadFunc(LPVOID passedHandle) { for(i = 0; i < 2; i++) { ghEvents[i] = OpenEvent(EVENT_ALL_ACCESS, FALSE, TEXT("Global\\ProducerEvents")); if(ghEvents[i] == NULL) { getlasterror = GetLastError(); } } dwProducerEventResult = WaitForMultipleObjects( 2, ghEvents, FALSE, INFINITE); switch (dwProducerEventResult) { case WAIT_OBJECT_0 + 0: { //Producer sent data //unpackedHandle = *((HWND*)passedHandle); MessageBox(NULL,L"Test",L"Test",MB_OK); break; } case WAIT_OBJECT_0 + 1: { //Producer closed ExitProcess(1); break; } default: return; } } As you can see if the event in the first array is signalled Process B should display a simple message box, if the second array is signalled the application should close. When I actually close Process A, Process B displays the message box instead. If I leave the first case blank (Do nothing) both applications close as they should. Furthermore Process B sends data an error is thrown (When I comment out the unpacking): Have I implemented my switch statement incorrectly? I though I handled the unpacking of the HWND correctly too, any suggestions? Thanks for your time.

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  • Entity Framework 4 / POCO - Where to start?

    - by Basiclife
    Hi, I've been programming for a while and have used LINQ-To-SQL and LINQ-To-Entities before (although when using entities it has been on a Entity/Table 1-1 relationship - ie not much different than L2SQL) I've been doing a lot of reading about Inversion of Control, Unit of Work, POCO and repository patterns and would like to use this methodology in my new applications. Where I'm struggling is finding a clear, concise beginners guide for EF4 which doesn't assume knowledge of EF1. The specific questions I need answered are: Code first / model first? Pros/cons in regards to EF4 (ie what happens if I do code first, change the code at a later date and need to regenerate my DB model - Does the data get preserved and transformed or dropped?) Assuming I'm going code-first (I'd like to see how EF4 converts that to a DB schema) how do I actually get started? Quite often I've seen articles with entity diagrams stating "So this is my entity model, now I'm going to ..." - Unfortunately, I'm unclear if they're created the model in the designer, saved it to generate code then stopped any further auto-code generation -or- They've coded (POCO)? classes and the somehow imported them into the deisgner view? I suppose what I really need is an understanding of where the "magic" comes from and how to add it myself if I'm not just generating an EF model directly from a DB. I'm aware the question is a little vague but I don't know what I don't know - So any input / correction / clarification appreciated. Needless to say, I don't expect anyone to sit here and teach me EF - I'd just like some good tutorials/forums/blogs/etc. for complete entity newbies Many thanks in advance

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  • An unusual type signature

    - by Travis Brown
    In Monads for natural language semantics, Chung-Chieh Shan shows how monads can be used to give a nicely uniform restatement of the standard accounts of some different kinds of natural language phenomena (interrogatives, focus, intensionality, and quantification). He defines two composition operations, A_M and A'_M, that are useful for this purpose. The first is simply ap. In the powerset monad ap is non-deterministic function application, which is useful for handling the semantics of interrogatives; in the reader monad it corresponds to the usual analysis of extensional composition; etc. This makes sense. The secondary composition operation, however, has a type signature that just looks bizarre to me: (<?>) :: (Monad m) => m (m a -> b) -> m a -> m b (Shan calls it A'_M, but I'll call it <?> here.) The definition is what you'd expect from the types; it corresponds pretty closely to ap: g <?> x = g >>= \h -> return $ h x I think I can understand how this does what it's supposed to in the context of the paper (handle question-taking verbs for interrogatives, serve as intensional composition, etc.). What it does isn't terribly complicated, but it's a bit odd to see it play such a central role here, since it's not an idiom I've seen in Haskell before. Nothing useful comes up on Hoogle for either m (m a -> b) -> m a -> m b or m (a -> b) -> a -> m b. Does this look familiar to anyone from other contexts? Have you ever written this function?

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  • Changing associativity

    - by Sorush Rabiee
    Hi... The associativity of stream insertion operator is rtl, forgetting this fact sometimes cause to runtime or logical errors. for example: 1st- int F() { static int internal_counter c=0; return ++c; } in the main function: //....here is main() cout<<”1st=”<<F()<<”,2nd=”<<F()<<”,3rd=”<<F(); and the output is: 1st=3,2nd=2,3rd=1 that is different from what we expect at first look. 2nd- suppose that we have an implementation of stack data structure like this: // //... a Stack<DataType> class …… // Stack<int> st(10); for(int i=1;i<11;i++) st.push(i); cout<<st.pop()<<endl<<st.pop()<<endl<<st.pop()<<endl<<st.pop()<<endl; expected output is something like: 10 9 8 7 but we have: 7 8 9 10 There is no internal bug of << implementation but it can be so confusing... and finally[:-)] my question: is there any way to change assocativity of an operator by overloading it?

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  • Using ARIMA to model and forecast stock prices using user-friendly stats program

    - by Brian
    Hi people, Can anyone please offer some insight into this for me? I'm coming from a functional magnetic resonance imaging research background where I analyzed a lot of time series data, and I'd like to analyze the time series of stock prices (or returns) by: 1) modeling a successful stock in a particular market sector and then cross-correlating the time series of this historically successful stock with that of other newer stocks to look for significant relationships; 2) model a stock's price time series and use forecasting (e.g., exponential smoothing) to predict future values of it. I'd like to use non-linear modeling methods (ARIMA and ARCH) to do this. Several questions: How often do ARIMA and ARCH modeling methods (given that the individual who implements them does so accurately) actually fit the stock time series data they target, and what is the optimal fit I can expect? Is the extent to which this model fits the data commensurate with the extent to which it predicts this stock time series' future values? Rather than randomly selecting stocks to compare or model, if profit is my goal, what is an efficient approach, if any, to selecting the stocks I'm going to analyze? Which stats program is the most user-friendly for this? Any thoughts on this would be great and would go a long way for me. Thanks, Brian

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  • Which Project Management Software is adequate for Software & Non-Software Projects?

    - by cusack
    PMS = (Project Management Software) I used trac for software development some time ago. Right now I'm searching for a new more powerful (scheduling, gantt charts, ...) free solution (as in free beer ;-) and free to install on my server) for my current software project. Besides the current software project, abstract project management features like issue-tracking & scheduling would be great for coordinating a group of volunteers for real-life projects as well. I would want one solution for both purposes, so that I have the hassle of installation, getting used to the system and administration only once. So I tried redmine but the problem is it seems to be designed for software projects only. I can't suggest such a solution for the volunteer-group if tickets/issues would have to be of type bug, feature, ... I shortlisted the following six PMS from the wikipedia comparison http://en.wikipedia.org/wiki/List_of_project_management_software Project.net Project-Open Redmine Trac Endeavour Software Project Management eGroupWare I guess they are all more or less fine for software development but would you consider any of these to be good for the non-software project as well? Cliff Notes: I would want a start page situation like in trac. The start-page is a wiki presenting the project and not the PMS. But you can log into the PMS from there. Feature-wish list: wiki, Issue tracking, revision control, scheduling & gantt charts, forums (least important) (Btw: I'm very aware that I can't expect everything to be perfect ;-) 1.)Do you know a suitable solution for software and real-life projects or a highly customizable PMS where I can easily remove sth. like "browse source"(trac) and rename things like ticket/issue-types "bug", "feature"? 2.)Any experience good/bad with the above mentioned six PMS? I would personally guess that "Redmine" and "Endeavour Software Project Management" are too focused on software projects.

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  • NSDate out of scope

    - by therealtkd
    Having problems with out of scope for NSDate in an iphone app. I have an interface defined like this: @interface MyObject : NSoObject { NSMutableArray *array; BOOL checkThis; NSDate *nextDue; } Now in the implementation I have this: -(id) init { if( (self=[super init]) ) { checkThis = NO; array = [[NSMutableArray alloc] init]; nextDue = [[NSDate date] retain]; NSDate *testDate = [NSDate date]; } return self; } Now, if I trace through the init, before I actually assign the variables checkThis shows as boolean. array shows as pointer 0x0 because it hasn't ben assigned. But the nextDue is showing as 'out of scope'. I don't understand why this is out of scope but the other variables aren't. If I trace through the code until after the variables are assigned, array now shows as being correctly assigned but nextDue is still out of scope. Interestingly, the testDate variable is assigned just fine and the debugger shows this as a valid date. Further interesting point is if I move the mouse over the testDate variable while I am debugging, it shows as an 'NSDate *' type which I would expect since that's its definition. Yet the nextDue, which to me is defined the same way is showing as a '_NSCFDate *'. Any googling I did on the subject said that the retain is the problem, but its actually out of scope before I even try to assign the variable. However, in another class, the same definition for NSDate work ok. It shows as nil before a value is assigned to it. Arghhh

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  • Twig templates, inheritances and block usage

    - by user846226
    I've created three templates using Twig. The first one has block A defined in it, the second one extends from the first one, but includes a third template which sets the content of block A. When loading, through the browser, the url which renders b.html.twig, the content in block A (defined by the 3th template) is not positioned block _A is defined. Example: <!-- base.html.twig --> {% block _css '' %} {% block _header '' %} {% block _content '' %} {% block _footer '' %} {% block _js '' %} <!-- layout.html.twig --> <!-- header and footer are placed in the raight zone --> {% extends ::base.html.twig %} {% block _header %} {% render "MyBundleBundle:Header:header" %} {% endblock %} {% block _footer %} {% render "MyBundleBundle:Footer:footer" %} {% endblock %} <!-- my_template.html.twig --> <!-- content is also placed in the right zone but css and js blocks in the included template are not placed where declared in base.html.twig --> {% extends MyBundleBundle::layout.html.twig %} {% block _content %} SOME_CONTENT {% include MyBundleBundle::my_included_template.html.twig %} {% endblock %} <!-- my_included_template.html.twig --> {% block _css %} <link.......................> {% endblock %} {% block _js %} <script..................> {% endblock %} MORE CONTENT BELONGING TO THE INCLUDED TEMPLATE What i expect here is, _css blocks content to appear on top of the page and _js block content at the bottom, but that's not happening. I hope you can see where i'm going wrong, thanks!

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  • R: How to remove outliers from a smoother in ggplot2?

    - by John
    I have the following data set that I am trying to plot with ggplot2, it is a time series of three experiments A1, B1 and C1 and each experiment had three replicates. I am trying to add a stat which detects and removes outliers before returning a smoother (mean and variance?). I have written my own outlier function (not shown) but I expect there is already a function to do this, I just have not found it. I've looked at stat_sum_df("median_hilow", geom = "smooth") from some examples in the ggplot2 book, but I didn't understand the help doc from Hmisc to see if it removes outliers or not. Is there a function to remove outliers like this in ggplot, or where would I amend my code below to add my own function? library (ggplot2) data = data.frame (day = c(1,3,5,7,1,3,5,7,1,3,5,7,1,3,5,7,1,3,5,7,1,3,5,7,1,3,5,7,1,3,5,7,1,3,5,7), od = c( 0.1,1.0,0.5,0.7 ,0.13,0.33,0.54,0.76 ,0.1,0.35,0.54,0.73 ,1.3,1.5,1.75,1.7 ,1.3,1.3,1.0,1.6 ,1.7,1.6,1.75,1.7 ,2.1,2.3,2.5,2.7 ,2.5,2.6,2.6,2.8 ,2.3,2.5,2.8,3.8), series_id = c( "A1", "A1", "A1","A1", "A1", "A1", "A1","A1", "A1", "A1", "A1","A1", "B1", "B1","B1", "B1", "B1", "B1","B1", "B1", "B1", "B1","B1", "B1", "C1","C1", "C1", "C1", "C1","C1", "C1", "C1", "C1","C1", "C1", "C1"), replicate = c( "A1.1","A1.1","A1.1","A1.1", "A1.2","A1.2","A1.2","A1.2", "A1.3","A1.3","A1.3","A1.3", "B1.1","B1.1","B1.1","B1.1", "B1.2","B1.2","B1.2","B1.2", "B1.3","B1.3","B1.3","B1.3", "C1.1","C1.1","C1.1","C1.1", "C1.2","C1.2","C1.2","C1.2", "C1.3","C1.3","C1.3","C1.3")) > data day od series_id replicate 1 1 0.10 A1 A1.1 2 3 1.00 A1 A1.1 3 5 0.50 A1 A1.1 4 7 0.70 A1 A1.1 5 1 0.13 A1 A1.2 6 3 0.33 A1 A1.2 7 5 0.54 A1 A1.2 8 7 0.76 A1 A1.2 9 1 0.10 A1 A1.3 10 3 0.35 A1 A1.3 11 5 0.54 A1 A1.3 12 7 0.73 A1 A1.3 13 1 1.30 B1 B1.1 This is what I have so far and is working nicely, but outliers are not removed: r <- ggplot(data = data, aes(x = day, y = od)) r + geom_point(aes(group = replicate, color = series_id)) + # add points geom_line(aes(group = replicate, color = series_id)) + # add lines geom_smooth(aes(group = series_id)) # add smoother, average of each replicate

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  • Pros and cons of MPMoviePlayerController versus launching UIWebView to stream movie

    - by Nosredna
    I have a client who has video content for the web in Flash format. My task is to help them show the videos in an iPhone app. I realize that step one is to get these videos into the appropriate Quicktime format for the iPhone. Then I'm going to have to help the client figure out how or where to host these files. If that's tricky I assume they can be hosted at YouTube. My chief concern, though, is which approach to take to stream the video. What are the pros and cons of MPMoviePlayerController versus launching UIWebView with the URL of the stream? Is there any difference? Is one of them more or less forgiving? Is one of them a better user experience? Any gotchas I might expect to run into? I'm assuming playing video is pretty easy on the iPhone. Is it reasonable to try both and have one available as a fallback, or would that be a waste of time? I'm trying to schedule this out a bit, so I'd love to hear real-world experiences from anyone who's done this.

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  • MongoDB - proper use of collections?

    - by zmg
    In Mongo my understanding is that you can have databases and collections. I'm working on a social-type app that will have blogs and comments (among other things) and had previously be using MySQL and pretty heavy partitioning in an attempt to limit possible concurrency issues. With MySQL I've stuffed all my user data into a _user database with several tables to further partition the data (blogs, pages, etc). My immediate reaction with Mongo would be to create a 'users' database with one collection per user. In this way user 'zach' blog entries would go into the 'zach' collection with associated comments and such becoming sub-objects in the same collection. Basically like dynamically creating one table per user in MySQL, but apparently without the complexity and limitations that might impose. Of course since I haven't really used Mongo before I'm having trouble gauging the (ahem..) quality of this idea and the potential problems it might cause down the road. I'd like user data to be treated a lot like a users directory in a *nix environment where user created/non-shared (mostly) gets put into one place (currently with MySQL that would be the appname_users as mentioned above). Most of the users data will be specific to the users page(s). Some of the user data which is queried across all site users (searchable user profiles) is currently kept in a separate database/table and I expect things like this could be put into a appname_system database and be broken up into collections and/or application specific databases (appname_profiles). Anyway, since the available documentation on this is currently a little thin and my experience is extremely limited I thought I might find a little guidance from someone with a better working understanding of the system. On the plus side I'd really already been attempting to treat MySQL as a schema-less document-store and doing this with Mongo seems much more intuitive/sane/rational so I'm really looking forward to getting started. Thanks, Zach

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  • Can a standalone ruby script (windows and mac) reload and restart itself?

    - by user30997
    I have a master-workers architecture where the number of workers is growing on a weekly basis. I can no longer be expected to ssh or remote console into each machine to kill the worker, do a source control sync, and restart. I would like to be able to have the master place a message out on the network that tells each machine to sync and restart. That's where I hit a roadblock. If I were using any sane platform, I could just do: exec('ruby', __FILE__) ...and be done. However, I did the following test: p Process.pid sleep 1 exec('ruby', __FILE__) ...and on Windows, I get one ruby instance for each call to exec. None of them die until I hit ^C on the window in question. On every platform I tried this on, it is executing the new version of the file each time, which I have verified this by making simple edits to the test script while the test marched along. The reason I'm printing the pid is to double-check the behavior I'm seeing. On windows, I am getting a different pid with each execution - which I would expect, considering that I am seeing a new process in the task manager for each run. The mac is behaving correctly: the pid is the same for every system call and I have verified with dtrace that each run is trigging a call to the execve syscall. So, in short, is there a way to get a windows ruby script to restart its execution so it will be running any code - including itself - that has changed during its execution? Please note that this is not a rails application, though it does use activerecord.

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  • Can't get data with spaces into the database from Ajax POST request

    - by J Jones
    I have a real simple form with a textbox and a button, and my goal is to have an asynchronous request (jQuery: $.ajax) send the text to the server (PHP/mysql a la Joomla) so that it can be added to a database table. Here's the javascript that is sending the data from the client: var value= $('#myvalue').val(); $.ajax( { type: "POST", url: "/administrator/index.php", data: { option: "com_mycomponent", task: "enterValue", thevalue: value, format: "raw"}, dataType: "text", success: reportSavedValue } ); The problem arises when the user enters text with a space in it. The $_POST variable that I receive has all the spaces stripped out, so that if the user enters "This string has spaces", the server gets the value "Thisstringhasspaces". I have been googling around, and have found lots of references that I need to use encodeURIComponent. So I have tried it, but now the value that I get from $_POST is "This20string20has20spaces". So it appears to be encoding it the way I would expect, only to have the percent signs stripped instead of the spaces, and leaving the hex numbers. I'm really confused. It seems that this sort of question is asked and answered everywhere on the web, and everywhere encodeURIComponent is hailed as the silver bullet. But apparently I'm fighting a different breed of lycanthrope. Does anyone have any suggestions?

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  • Do the new NoPIA and Type Equivalence features in C#/.NET 4.0 mean Microsoft.mshtml.dll is no longer

    - by jpierson
    I'm maintaining a WPF based application which contains a WinForms based WebBrowser control that based on the IE web browser control. When we deploy, we have had to also supply Microsoft.mshtml.dll and do some custom configuration stuff for our ClickOnce publishing process as well in order to get things to work. I'm curious that with the new NoPIA and Type Equivalence features and dynamic type capabilities in C# 4.0 can we expect that if we upgrade that we can remove the dependencies on the Microsoft.mshtml.dll assembly? If so this will not only reduce the size of our deployment quite a bit but will also simplify our publishing process as well. It is my understanding that we should be able embed the types that normally get automatically generated into extra assemblies for COM types such as the MapPoint Control by Visual Studio. I don't know if this also applies to the Microsoft.mshtml.dll or even how it is done even in the most simple of cases. If somebody could provide an explanation about what the practical impact of these new features are on a project that relies on COM interop and especially the Microsoft.mshtml.dll assembly it would be of great help to me.

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  • DataTable won't DataBind with a DataTable.NewRow()

    - by David
    Is DataRow.NewRow() insufficient as the only row in a DataTable? I would expect this to work, but it doesn't. It's near the end of my Page_Load inside my If(!Postback) block. gridCPCP is GridView DataTable dt = new DataTable(); dt.Columns.Add("ID", int.MinValue.GetType()); dt.Columns.Add("Code", string.Empty.GetType()); dt.Columns.Add("Date", DateTime.MinValue.GetType()); dt.Columns.Add("Date2", DateTime.MinValue.GetType()); dt.Columns.Add("Filename", string.Empty.GetType()); //code to add rows if (dt.Rows.Count > 0) { gridCPCP.DataSource = dt; gridCPCP.DataBind(); } else { dt.Rows.Add(dt.NewRow()); gridCPCP.DataSource = dt; gridCPCP.DataBind(); //EXCEPTION int TotalColumns = gridCPCP.Rows[0].Cells.Count; gridCPCP.Rows[0].Cells.Clear(); gridCPCP.Rows[0].Cells.Add(new TableCell()); gridCPCP.Rows[0].Cells[0].ColumnSpan = TotalColumns; gridCPCP.Rows[0].Cells[0].Text = "No Record Found"; } The exception throws on gridCPCP.DataBind() and only when execution reaches the else block. If there were rows added above via dt.Rows.Add(new object[] { ... } binding works. System.ArgumentOutOfRangeException: Length cannot be less than zero. Parameter name: length

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  • ASP.NET MVC static-asset aides/practices

    - by shannon
    I want to keep assets that are only used by one view in a view-specific folder, so my Search.aspx properly finds images/*.jpg, and helps me maintain my convention: ~/Areas/Candidate/Views/Job/Search.aspx -> ~/Assets/Candidate/Job/Search/images/*.jpg Perhaps with the ability to easily reference controller- or area-common assets manually or automatically: ~/Assets/Candidate/Job/images/*.jpg ~/Assets/Candidate/images/*.jpg If you wonder why I'm doing this, then speak up; I'm probably missing something. But here's why: I don't want stale static assets sitting in my ASP.NET MVC projects, which I expect to be an automatic outcome of the ~/Assets/Images folder: i.e. As a shared asset loses its last reference-count, who knows to delete it, especially with it being so difficult to trace content link validity in MVC projects? How do you, personally, do this? I can imagine, for example: Implement HtmlHelper extension methods for URL-generation. Extending ViewPage and ViewMasterPage with URL-generation methods. Implementing an inbound request filter to search related folders for static assets. and, are there good libraries out there for this? For example, something that also automatically appends timestamps for .JS and .CSS files, writes the / tags for me, and maybe even that allows me to inject includes in the head section from outside head code?

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  • Adding a ServiceReference programmatically during async postback

    - by Oliver
    Is it possible to add a new ServiceReference instance to the ScriptManager on the Page during an asynchronous postback so that subsequently I can use the referenced web service through client side script? I'm trying to do this inside a UserControl that sits inside a Repeater, that's why adding the ScriptReference programmatically during Page_Load does not work here. EDIT 2: This is the code I call from my UserControl which does not do what I expect (adding the ServiceReference to the ScriptManager during the async postback): private void RegisterWebservice(Type webserviceType) { var scm = ScriptManager.GetCurrent(Page); if (scm == null) throw new InvalidOperationException("ScriptManager needed on the Page!"); scm.Services.Add(new ServiceReference("~/" + webserviceType.Name + ".asmx")); } My goal is for my my UserControl to be as unobtrusive to the surrounding application as possible; otherwise I would have to statically define the ServiceReference in a ScriptManagerProxy on the containing Page, which is not what I want. EDIT: I must have been tired when I wrote this post... because I meant to write ServiceReference not ScriptReference. Updated the text above accordingly. Now I have: <asp:ScriptManagerProxy runat="server" ID="scmProxy"> <Services> <asp:ServiceReference Path="~/UsefulnessWebService.asmx" /> </Services> </asp:ScriptManagerProxy> but I want to register the webservice in the CodeBehind.

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  • Ruby and duck typing: design by contract impossible?

    - by davetron5000
    Method signature in Java: public List<String> getFilesIn(List<File> directories) similar one in ruby def get_files_in(directories) In the case of Java, the type system gives me information about what the method expects and delivers. In Ruby's case, I have no clue what I'm supposed to pass in, or what I'll expect to receive. In Java, the object must formally implement the interface. In Ruby, the object being passed in must respond to whatever methods are called in the method defined here. This seems highly problematic: Even with 100% accurate, up-to-date documentation, the Ruby code has to essentially expose its implementation, breaking encapsulation. "OO purity" aside, this would seem to be a maintenance nightmare. The Ruby code gives me no clue what's being returned; I would have to essentially experiment, or read the code to find out what methods the returned object would respond to. Not looking to debate static typing vs duck typing, but looking to understand how you maintain a production system where you have almost no ability to design by contract. Update No one has really addressed the exposure of a method's internal implementation via documentation that this approach requires. Since there are no interfaces, if I'm not expecting a particular type, don't I have to itemize every method I might call so that the caller knows what can be passed in? Or is this just an edge case that doesn't really come up?

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  • iPhone UI layout debugging

    - by Cruinh
    I have this chronic issue with iPhone UI development where views sometimes seem to appear on the screen in a location different than what is reported by their frame property. Here is what I am doing to try to debug the issue: UIView *currentView = self.view; while (currentView!=nil) { NSLog(@"frame: %f,%f,%f,%f", currentView.frame.origin.x, currentView.frame.origin.y, currentView.frame.size.width, currentView.frame.size.height); currentView = currentView.superview; } I expect this should show me the coordinates and size of each element up the hierarchy from the given view to the app's root UIWindow element, with the coordinates for each element relative to its parent. However, that does not seem to be the case. In my current situation, I have a UI I'm trying to debug where every other time I rotate the device, the whole UI shifts up or down 20 pixels, yet the code block above reports exactly the same numbers every time. I tried calling the above code after as much as a second delay, but that the numbers still come out the same each time. Does anyone know a better way to inspect the screen coordinates of UI elements? If I can detect when one is wrong, I can compensate for the problem when it appears.

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  • Compiled Haskell libraries with FFI imports are invalid when imported into GHCI

    - by John Millikin
    I am using GHC 6.12.1, in Ubuntu 10.04 When I try to use the FFI syntax for static storage, only modules running in interpreted mode (ie GHCI) work properly. Compiled modules have invalid pointers, and do not work. I'd like to know whether anybody can reproduce the problem, whether this an error in my code or GHC, and (if the latter) whether it's a known issue. I'm using sys_siglist because it's present in a standard library on my system, but I don't believe the actual storage used matters (I discovered this while writing a binding to libidn). If it helps, sys_siglist is defined in <signal.h> as: extern __const char *__const sys_siglist[_NSIG]; I thought this type might be the problem, so I also tried wrapping it in a plain C procedure: #include<stdio.h> const char **test_ffi_import() { printf("C think sys_siglist = %X\n", sys_siglist); return sys_siglist; } However, importing that doesn't change the result, and the printf() call prints the same pointer value as show siglist_a. My suspicion is that it's something to do with static and dynamic library loading. Update: somebody in #haskell suggested this might be 64-bit specific; if anybody tries to reproduce it, can you mention your architecture and whether it worked in a comment? Code as follows: -- A.hs {-# LANGUAGE ForeignFunctionInterface #-} module A where import Foreign import Foreign.C foreign import ccall "&sys_siglist" siglist_a :: Ptr CString -- -- B.hs {-# LANGUAGE ForeignFunctionInterface #-} module B where import Foreign import Foreign.C foreign import ccall "&sys_siglist" siglist_b :: Ptr CString -- -- Main.hs {-# LANGUAGE ForeignFunctionInterface #-} module Main where import Foreign import Foreign.C import A import B foreign import ccall "&sys_siglist" siglist_main :: Ptr CString main = do putStrLn $ "siglist_a = " ++ show siglist_a putStrLn $ "siglist_b = " ++ show siglist_b putStrLn $ "siglist_main = " ++ show siglist_main peekSiglist "a " siglist_a peekSiglist "b " siglist_b peekSiglist "main" siglist_main peekSiglist name siglist = do ptr <- peekElemOff siglist 2 str <- maybePeek peekCString ptr putStrLn $ "siglist_" ++ name ++ "[2] = " ++ show str I would expect something like this output, where all pointer values identical and valid: $ runhaskell Main.hs siglist_a = 0x00007f53a948fe00 siglist_b = 0x00007f53a948fe00 siglist_main = 0x00007f53a948fe00 siglist_a [2] = Just "Interrupt" siglist_b [2] = Just "Interrupt" siglist_main[2] = Just "Interrupt" However, if I compile A.hs (with ghc -c A.hs), then the output changes to: $ runhaskell Main.hs siglist_a = 0x0000000040378918 siglist_b = 0x00007fe7c029ce00 siglist_main = 0x00007fe7c029ce00 siglist_a [2] = Nothing siglist_b [2] = Just "Interrupt" siglist_main[2] = Just "Interrupt"

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  • sql query - how to apply limit within group by

    - by Raj
    hey guys assuming i have a table named t1 with following fields: ROWID, CID, PID, Score, SortKey it has the following data: 1, C1, P1, 10, 1 2, C1, P2, 20, 2 3, C1, P3, 30, 3 4, C2, P4, 20, 3 5, C2, P5, 30, 2 6, C3, P6, 10, 1 7, C3, P7, 20, 2 what query do i write so that it applies group by on CID, but instead of returning me 1 single result per group, it returns me a max of 2 results per group. also where condition is score = 20 and i want the results ordered by CID and SortKey. If I had to run my query on above data, i would expect the following result: RESULTS FOR C1 - note: ROWID 1 is not considered as its score < 20 C1, P2, 20, 2 C1, P3, 30, 3 RESULTS FOR C2 - note: ROWID 5 appears before ROWID 4 as ROWID 5 has lesser value SortKey C2, P5, 30, 2 C2, P4, 20, 3 RESULTS FOR C3 - note: ROWID 6 does not appear as its score is less than 20 so only 1 record returned here C3, P7, 20, 2 IN SHORT, I WANT A LIMIT WITHIN A GROUP BY. I want the simplest solution and want to avoid temp tables. sub queries are fine. also note i am using sqlite for this

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  • Is there a Post-Build Extensible Installer System

    - by Will Hughes
    We have a product that we need to create an installer for. It has a number of components which can be installed or not as the situation demands. When we ship our installation package, we want to be able to have that include any number of additional components to be installed. For example, Foo Manager Pro contains: Foo Manager Console Foo Manager Database Foo Manager Services That might be shipped as something like: FooManagerInstaller.exe FMPConsole.pkg FMPDatabase.pkg FMPServices.pkg A package might consist of something like: Manifest Files to be deployed Additional scripts to be executed (eg find file foo.config, do some XML Manipulation) If a client wants to add custom skins and a series of plugins as part of the install, they create their own packages: FMPConsoleSkins.pkg ClientWebservices.pkg If that client then ships it to someone else who wants to add more customisation - they can do so in the same way. We can build this from scratch - but wanted to check if this sort of install system already exists. We already have a set of NAnt scripts which do something not too far from this. But they're difficult to maintain, and quite complex. They don't offer any of the 'niceties' that we'd expect from an installer (like tracking deployed files and removing them if the install fails). We've been looking a little bit at NSIS and building MSIs using WiX, but it's not clear that these can offer us the capability for downstream to provide additional packages, without inventing our own installer language.

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