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  • Offline iOS web app: loads my manifest, but doesn't work offline

    - by Ken
    I'm writing a web app to be used offline on iOS. I've created a manifest, am serving it up as text/cache-manifest, and it usually works fine, when running inside Safari. If I add it as an app to my home screen, then turn on Airplane mode, it can't open the app at all -- I get an error and it offers to close the app. (I thought this was the entire purpose of an offline app!) When I load the app a first time when online, I can see in my logs that it's requesting every page listed in the manifest. If I turn off Airplane mode, and load the app, I can see the first file it's requesting is my main.html file (which is both listed in the manifest, and has the manifest=... attribute). It then requests the manifest, and all my other files, getting 200's for all (and 304's for anything requested a second time during this load). When I load the page in Chrome, and click around, the logs show the only thing it's trying to reach on the server is "/favicon.ico" (which is a 404, and which I don't think iOS Safari tries to load, anyway). All of the files listed in the manifest are valid and served without error. The Chrome inspector lists, under "APPLICATION CACHE", all the cached files I've listed which I expect. The entire set of files is about 50 KB, way under any limit on offline resources that I've found. Is this supposed to work, i.e., am I supposed to be able to create an offline iOS app using only HTML/CSS/JS? And where do I go about figuring out why it's failing to work offline? (Related but doesn't sound quite the same to me, since it's about Safari and not a standalone app: "Can't get a web app to work offline on iPod")

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  • Why is the 'Named Domain Class' tool missing in the DSL Designer category in the toolbox ?

    - by Gishu
    I have the Domain-Specific development with VS DSL Tools book by Cook, Jones, et.all The book and various tutorials online mention a NamedDomainClass tool that should be present in the DSL Designer toolbox. I have installed VS 2010 beta 2 on Win XP - however this tool is missing in the toolbox. I've created a project using the Minimal project template as mentioned in the book. I have 12 tools showing up including the Domain Class tool. I've searched online and apparently no one else has this problem. Can someone confirm that it's missing in VS 2010 Beta 2? If not how can I get it to show up ? Is there any way in which I can add a Domain class instance and tweak it so that it becomes a Named Domain Class? The book mentions that there is some must-be-unique validation and serialization changes that are done by the NamedDomainClass tool. I've tried 'Choose Items' context menu on the DSL Designer category. These tools apparently are added dynamically ; do not show up in the lists on the dialog that comes up.

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  • Problem with dropdownbox length

    - by vikitor
    Hello, I'm creating a javascript method that populates lists depending on a radio button selected previously. As it depends on animals or plants to populate it, my problem comes when I have to populate it after it's already been populated. I mean, the plants dropdownlist has 88 elements, and the animals is 888, when I try to come back from animals to plants, I get some of the animals. I know that my controller method is working properly because it returns the values I select, so the problem is the javascript method. Here is the code: if(selector == "sOrder") alert(document.getElementById(selector).options.length); for (i = 0; i < document.getElementById(selector).options.length; i++) { document.getElementById(selector).remove(i); } if (selector == "sOrder") alert(document.getElementById(selector).options.length); document.getElementById(selector).options[0] = new Option("-select-", "0", true, true); for (i = 1; i <= data.length; i++) { document.getElementById(selector).options[i] = new Option(data[i - 1].taxName, data[i - 1].taxRecID);} Here is the strange thing, when I enter the method I try to erase all the elements of the dropdownlist in order to populate it afterwards. As sOrder is the same selector I had previously selected, I get the elements, the thing is that the first alert I get the proper result, 888, but in the second alert, I should get a 0 right? It shows 444, so when I populate it again it just overrides the first 88 plants and then animals till 444. What am I doing wrong? Thank you all in advance, Victor

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  • Using ReadOnlyCollection preventing me from setting up a bi-directional many-to-many relationship

    - by Kevin Pang
    I'm using NHibernate to persist a many-to-many relation between Users and Networks. I've set up both the User and Network class as follows, exposing each's collections as ReadOnlyCollections to prevent direct access to the underlying lists. I'm trying to make sure that the only way a User can be added to a Network is by using its "JoinNetwork" function. However, I can't seem to figure out how to add the User to the Network's list of users since its collection is readonly. public class User { private ISet<Network> _Networks = new HashedSet<Network>(); public ReadOnlyCollection<Network> Networks { get { return new List<Network>(_Networks).AsReadOnly(); } } public void JoinNetwork(Network network) { _Networks.Add(network); // How do I add the current user to the Network's list of users? } } public class Network { private ISet<User> _Users = new HashedSet<User>(); public ReadOnlyCollection<User> Users { get { return new List<User>(_Users).AsReadOnly(); } } }

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  • Fast JSON serialization (and comparison with Pickle) for cluster computing in Python?

    - by user248237
    I have a set of data points, each described by a dictionary. The processing of each data point is independent and I submit each one as a separate job to a cluster. Each data point has a unique name, and my cluster submission wrapper simply calls a script that takes a data point's name and a file describing all the data points. That script then accesses the data point from the file and performs the computation. Since each job has to load the set of all points only to retrieve the point to be run, I wanted to optimize this step by serializing the file describing the set of points into an easily retrievable format. I tried using JSONpickle, using the following method, to serialize a dictionary describing all the data points to file: def json_serialize(obj, filename, use_jsonpickle=True): f = open(filename, 'w') if use_jsonpickle: import jsonpickle json_obj = jsonpickle.encode(obj) f.write(json_obj) else: simplejson.dump(obj, f, indent=1) f.close() The dictionary contains very simple objects (lists, strings, floats, etc.) and has a total of 54,000 keys. The json file is ~20 Megabytes in size. It takes ~20 seconds to load this file into memory, which seems very slow to me. I switched to using pickle with the same exact object, and found that it generates a file that's about 7.8 megabytes in size, and can be loaded in ~1-2 seconds. This is a significant improvement, but it still seems like loading of a small object (less than 100,000 entries) should be faster. Aside from that, pickle is not human readable, which was the big advantage of JSON for me. Is there a way to use JSON to get similar or better speed ups? If not, do you have other ideas on structuring this? (Is the right solution to simply "slice" the file describing each event into a separate file and pass that on to the script that runs a data point in a cluster job? It seems like that could lead to a proliferation of files). thanks.

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  • Decoding tcp packets using python

    - by mikip
    Hello I am trying to decode data received over a tcp connection. The packets are small, no more than 100 bytes. However when there is a lot of them I receive some of the the packets joined together. Is there a way to prevent this. I am using python I have tried to separate the packets, my source is below. The packets start with STX byte and end with ETX bytes, the byte following the STX is the packet length, (packet lengths less than 5 are invalid) the checksum is the last bytes before the ETX def decode(data): while True: start = data.find(STX) if start == -1: #no stx in message pkt = '' data = '' break #stx found , next byte is the length pktlen = ord(data[1]) #check message ends in ETX (pktken -1) or checksum invalid if pktlen < 5 or data[pktlen-1] != ETX or checksum_valid(data[start:pktlen]) == False: print "Invalid Pkt" data = data[start+1:] continue else: pkt = data[start:pktlen] data = data[pktlen:] break return data , pkt I use it like this #process reports try: data = sock.recv(256) except: continue else: while data: data, pkt = decode(data) if pkt: process(pkt) Also if there are multiple packets in the data stream, is it best to return the packets as a collection of lists or just return the first packet I am not that familiar with python, only C, is this method OK. Any advice would be most appreciated. Thanks in advance Thanks

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  • Matching a Repeating Sub Series using a Regular Expression with PowerShell

    - by Hinch
    I have a text file that lists the names of a large number of Excel spreadsheets, and the names of the files that are linked to from the spreadsheets. In simplified form it looks like this: "Parent File1.xls" Link: ChildFileA.xls Link: ChildFileB.xls "ParentFile2.xls" "ParentFile3.xls" Blah Link: ChildFileC.xls Link: ChildFileD.xls More Junk Link: ChildFileE.xls "Parent File4.xls" Link: ChildFileF.xls In this example, ParentFile1.xls has embedded links to ChildFileA.xls and ChildFileB.xls, ParentFile2.xls has no embedded links, and ParentFile3.xls has 3 embedded links. I am trying to write a regular expression in PowerShell that will parse the text file producing output in the following form: ParentFile1.xls:ChildFileA.xls,ChildFileB.xls ParentFile3.xls:ChildFileC.xls,ChildFileD.xls,ChildFileE.xls etc The task is complicated by the fact that the text file contains a lot of junk between each of the lines, and a parent may not always have a child. Furthermore, a single file name may pass over multiple lines. However, it's not as bad as it sounds, as the parent and child file names are always clearly demarcated (the parent with quotes and the child with a prefix of Link: ). The PowerShell code I've been using is as follows: $content = [string]::Join([environment]::NewLine, (Get-Content C:\Temp\text.txt)) $regex = [regex]'(?im)\s*\"(.*)\r?\n?\s*(.*)\"[\s\S]*?Link: (.*)\r?\n?' $regex.Matches($content) | %{$_.Groups[1].Value + $_.Groups[2].Value + ":" + $_.Groups[3].Value} Using the example above, it outputs: ParentFile1.xls:ChildFileA.xls ParentFile2.xls""ParentFile3.xls:ChildFileC.xls ParentFile4.xls:ChildFileF.xls There are two issues. Firstly, the inclusion of the "" instead of a newline whenever a Parent without a Child is processed. And the second issue, which is the most important, is that only a single child is ever shown for each parent. I'm guessing I need to somehow recursively capture and display the multiple child links that exist for each parent, but I'm totally stumped as to how to do this with a regular expression. Amy help would be greatly appreciated. The file contains 100's of thousands of lines, and manual processing is not an option :)

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  • Listing down stored records localStorage | Google Chrome Extensions

    - by Jamie
    How do I get to list down the stored records in the for loop? Basically I want it to list down the records like this: '<div id="record_' + number + '">' + localstorage value + '</div>' The number in the class should add 1 every record, e.g. 1, 2, 3, 4 every record it lists down, and so on. The localstorage value should show the localStorage[] but the problem is, the localStorage name has the same, e.g. (clicks on button) it will save the value of the URL into a localStorage I then open the application and shows the window.html inside there is list of stored records by using this: '<div id="record_' + number + '">' + localstorage value + '</div>' INCLUDING the record number to add per record 1, 2, 3, etc... like this: <div id="record_1">localstorage value</div> <div id="record_2">localstorage value</div> <div id="record_3">localstorage value</div> <div id="record_4">localstorage value</div> <div id="record_5">localstorage value</div> <div id="record_6">localstorage value</div> etc...

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  • Converting table columns to key value pairs

    - by TomD1
    I am writing a PL/SQL procedure that loads some data from Schema A into Schema B. They are both very different schemas and I can't change the structure of Schema B. Columns in various tables in Schema A (joined together in a view) need to be inserted into Schema B as key=value pairs in 2 columns in a table, each on a separate row. For example, an employee's first name might be present as employee.firstname in Schema A, but would need to be entered in Schema B as: id=>1, key=>'A123', value=>'Smith' There are almost 100 keys, with the potential for more to be added in future. This means I don't really want to hardcode any of these keys. Sample code: create table schema_a_employees ( emp_id number(8,0), firstname varchar2(50), surname varchar2(50) ); insert into schema_a_employees values ( 1, 'James', 'Smith' ); insert into schema_a_employees values ( 2, 'Fred', 'Jones' ); create table schema_b_values ( emp_id number(8,0), the_key varchar2(5), the_value varchar2(200) ); I thought an elegant solution would most likely involve a lookup table to determine what value to insert for each key, and doesn't involve effectively hardcoding dozens of similar statements like.... insert into schema_b_values ( 1, 'A123', v_firstname ); insert into schema_b_values ( 1, 'B123', v_surname ); What I'd like to be able to do is have a local lookup table in Schema A that lists all the keys from Schema B, along with a column that gives the name of the column in the table in Schema A that should be used to populate, e.g. key "A123" in Schema B should be populated with the value of the column "firstname" in Schema A, e.g. create table schema_a_lookup ( the_key varchar2(5), the_local_field_name varchar2(50) ); insert into schema_a_lookup values ( 'A123', 'firstname' ); insert into schema_a_lookup values ( 'B123', 'surname' ); But I'm not sure how I could dynamically use values from the lookup table to tell Oracle which columns to use. So my question is, is there an elegant solution to populate schema_b_values table with the data from schema_a_employees without hardcoding for every possible key (i.e. A123, B123, etc)? Cheers.

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  • XML Schema that describes a self-describing XML document

    - by Raegx
    Is it possible to write an XML Schema that describes an XML document that lists a set of elements and then requires other elements on that same XML document to use those values as either attributes and/or sub-elements? Example: define a list of locations, then force location attributes and/or location elements to be of those values. <root> <locations> <location>Home</location> <location>Office</location> <location>School</location> </locations> <addresses> <address location="Home">...</address> <address location="Office">...</address> </addresses> </root> or <root> <locations> <location>Home</location> <location>Office</location> <location>School</location> </locations> <addresses> <address> <location>Home</location> ... </address> <address> <location>Office</location> ... </address> </addresses> </root> I am failing hard at finding the proper way to search for this information. I suspect it is either not possible or I just don't know the right search terms.

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  • Beginner SQL question: querying gold and silver tag badges in Stack Exchange Data Explorer

    - by polygenelubricants
    I'm using the Stack Exchange Data Explorer to learn SQL, but I think the fundamentals of the question is applicable to other databases. I'm trying to query the Badges table, which according to Stexdex (that's what I'm going to call it from now on) has the following schema: Badges Id UserId Name Date This works well for badges like [Epic] and [Legendary] which have unique names, but the silver and gold tag-specific badges seems to be mixed in together by having the same exact name. Here's an example query I wrote for [mysql] tag: SELECT UserId as [User Link], Date FROM Badges Where Name = 'mysql' Order By Date ASC The (slightly annotated) output is: as seen on stexdex: User Link Date --------------- ------------------- // all for silver except where noted Bill Karwin 2009-02-20 11:00:25 Quassnoi 2009-06-01 10:00:16 Greg 2009-10-22 10:00:25 Quassnoi 2009-10-31 10:00:24 // for gold Bill Karwin 2009-11-23 11:00:30 // for gold cletus 2010-01-01 11:00:23 OMG Ponies 2010-01-03 11:00:48 Pascal MARTIN 2010-02-17 11:00:29 Mark Byers 2010-04-07 10:00:35 Daniel Vassallo 2010-05-14 10:00:38 This is consistent with the current list of silver and gold earners at the moment of this writing, but to speak in more timeless terms, as of the end of May 2010 only 2 users have earned the gold [mysql] tag: Quassnoi and Bill Karwin, as evidenced in the above result by their names being the only ones that appear twice. So this is the way I understand it: The first time an Id appears (in chronological order) is for the silver badge The second time is for the gold Now, the above result mixes the silver and gold entries together. My questions are: Is this a typical design, or are there much friendlier schema/normalization/whatever you call it? In the current design, how would you query the silver and gold badges separately? GROUP BY Id and picking the min/max or first/second by the Date somehow? How can you write a query that lists all the silver badges first then all the gold badges next? Imagine also that the "real" query may be more complicated, i.e. not just listing by date. How would you write it so that it doesn't have too many repetition between the silver and gold subqueries? Is it perhaps more typical to do two totally separate queries instead? What is this idiom called? A row "partitioning" query to put them into "buckets" or something?

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  • Confused over behavior of List.mapi in F#

    - by James Black
    I am building some equations in F#, and when working on my polynomial class I found some odd behavior using List.mapi Basically, each polynomial has an array, so 3*x^2 + 5*x + 6 would be [|6, 5, 3|] in the array, so, when adding polynomials, if one array is longer than the other, then I just need to append the extra elements to the result, and that is where I ran into a problem. Later I want to generalize it to not always use a float, but that will be after I get more working. So, the problem is that I expected List.mapi to return a List not individual elements, but, in order to put the lists together I had to put [] around my use of mapi, and I am curious why that is the case. This is more complicated than I expected, I thought I should be able to just tell it to make a new List starting at a certain index, but I can't find any function for that. type Polynomial() = let mutable coefficients:float [] = Array.empty member self.Coefficients with get() = coefficients static member (+) (v1:Polynomial, v2:Polynomial) = let ret = List.map2(fun c p -> c + p) (List.ofArray v1.Coefficients) (List.ofArray v2.Coefficients) let a = List.mapi(fun i x -> x) match v1.Coefficients.Length - v2.Coefficients.Length with | x when x < 0 -> ret :: [((List.ofArray v1.Coefficients) |> a)] | x when x > 0 -> ret :: [((List.ofArray v2.Coefficients) |> a)] | _ -> [ret]

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  • stack overflow on XMLListCollection collectionEvent

    - by reidLinden
    I'm working on a Flex 3 project, and I'm using a pair of XMLListCollection(s) to manage a combobox and a data grid. The combobox piece is working perfectly. The XMLListCollection for this is static. The user picks an item, and, on "change", it fires off an addItem() to the second collection. The second collection's datagrid then displays the updated list, and all is well. The datagrid, however, is editable. A further complication is that I have another event handler bound to the second XMLLIstCollection's "change" event, and in that handler, I do make additional changes to the second list. This essentially causes an infinite loop (a stack overflow :D ), of the second lists "change" handler. I'm not really sure how to handle this. Searching has brought up an idea or two regarding AutoUpdate functionality, but I wasn't able to get much out of them. In particular, the behavior persists, executing the 'updates' as soon as I re-enable, so I imagine I may be doing it wrong. I want the update to run, in general, just not DURING that code block. Thanks for your help!

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  • making arrays from tab-delimited text file column

    - by absolutenewbie
    I was wondering if anyone could help a desperate newbie with perl with the following question. I've been trying all day but with my perl book at work, I can't seem to anything relevant in google...or maybe am genuinely stupid with this. I have a file that looks something like the following: Bob April Bob April Bob March Mary August Robin December Robin April The output file I'm after is: Bob April April March Mary August Robin December April So that it lists each month in the order that it appears for each person. I tried making it into a hash but of course it wouldn't let me have duplicates so I thought I would like to have arrays for each name (in this example, Bob, Mary and Robin). I'm afraid to upload the code I've been trying to tweak because I know it'll be horribly wrong. I think I need to define(?) the array. Would this be correct? Any help would be greatly appreciated and I promise I will be studying more about perl in the meantime. Thank you for your time, patience and help. #!/usr/bin/perl -w while (<>) { chomp; if (defined $old_name) { $name=$1; $month=$2; if ($name eq $old_name) { $array{$month}++; } else { print "$old_name"; foreach (@array) { push (@array, $month); print "\t@array"; } print "\n"; @array=(); $array{$month}++; } } else { $name=$1; $month=$2; $array{month}++; } $old_name=$name; } print "$old_name"; foreach (@array) { push (@array, $month); print "\t@array"; } print "\n";

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  • Fastest Method to Learn Web Design for a Developer

    - by hekevintran
    I am a Web developer and in my projects I have noticed that my weakest point is not being good at the front-end design. Relying on other designers can be annoying if they are not able to produce as quickly as I want. My perspective on HTML/CSS is that it is basically a big hack that amazingly works. There are too many CSS and browser specific bugs/quirks to learn and remember them all without spending extreme amounts of time trying to untangle everything. Is there a fast track route to getting CSS into my brain? I have looked at some CSS books, but to me they really read as long lists of how to render things correctly in IE6 and how to make corners rounded. (Seriously why does it require so many tricks to make a sharp corner round? On any platform but the Web this would be called a major oversight.) Does there exist something that does the analogous to CSS that jQuery does for JavaScript? Using jQuery you don't need to know JavaScript well to make things that work. I am not interested in learning why IE6 does things in weird ways because I don't care about supporting it at all. I am more interested in a method of learning how to use CSS to do what I want without spending hours and hours reading obscure blogs.

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  • Rails - Logic for finding info from a :has_many :through needed!

    - by Jty.tan
    I have 3 relevant tables. User, Orders, and Viewables The idea is that each User has got many Orders, but at the same time, each User can View specific other Orders that belong to other Users. So Viewables has the attributes of user_id and order_id. Orders has a :has_many :Users, :through => :viewables Is it possible to do a find through an Order's view? So something like @viewable_orders = Orders.find(:all, :conditions = ["Viewable.user_id=?",1]) To get a list of Orders which are viewable by user_id=1. (This doesn't work, else I won't be asking. :( ) The idea being that I can do something like a sidebar where the current user (the logged-in one) can view a list of other people's orders that he can view. For example Three other Users who have some Orders that he can view should be eventually displayed like this: Jack (2) Basic Order (registry_id: 1) New Order (registry_id: 29) Amy (4) Short Order (registry_id: 12) Jill (5) Hardware Order (14) Pink Order (17) Software Order (76) (The number in brackets are the respective user_id or registry_id) So to find the list of all of the orders that the current user can find (assuming user_id of the current user is 1), would be found by doing @viewable_orders = Viewable.find(:all, :conditions => ["user_id=?", 1]) And that would give me the collection of the above 6 registries. Now, the easiest way to do this, is for me to just have a list of + Jill's Hardware Order + Jill's Pink Order + Amy's Short Order + etc But that gets ugly for long lists. Thanks!

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  • Forms Auth: have different credentials for a subdirectory?

    - by Fyodor Soikin
    My website has forms authentication, and all is well. Now I want to create a subdirectory and have it also password-protected, but! I need the subdirectory to use a completely different set of logins/passwords than the whole website uses. Say, for example, I have users for the website stored in the "Users" table in a database. But for the subdirectory, I want the users to be taken from the "SubdirUsers" table. Which probably has a completely different structure. Consequently, I need the logins to be completely parallel, as in: Logging into the whole website does not make you logged into the subdirectory as well Clicking "logout" on the whole website does not nullify your login in the subdirectory And vice versa I do not want to create a separate virtual application for the subdirectory, because I want to share all libraries, user controls, as well as application state and cache. In other words, it has to be the same application. I also do not want to just add a flag to the "Users" table indicating whether this is a whole website user or the subdirectory user. User lists have to come from different sources. For now, the only option that I see is to roll my own Forms Auth for the subdirectory. Anybody can propose a better alternative?

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  • priority queue with limited space: looking for a good algorithm

    - by SigTerm
    This is not a homework. I'm using a small "priority queue" (implemented as array at the moment) for storing last N items with smallest value. This is a bit slow - O(N) item insertion time. Current implementation keeps track of largest item in array and discards any items that wouldn't fit into array, but I still would like to reduce number of operations further. looking for a priority queue algorithm that matches following requirements: queue can be implemented as array, which has fixed size and _cannot_ grow. Dynamic memory allocation during any queue operation is strictly forbidden. Anything that doesn't fit into array is discarded, but queue keeps all smallest elements ever encountered. O(log(N)) insertion time (i.e. adding element into queue should take up to O(log(N))). (optional) O(1) access for *largest* item in queue (queue stores *smallest* items, so the largest item will be discarded first and I'll need them to reduce number of operations) Easy to implement/understand. Ideally - something similar to binary search - once you understand it, you remember it forever. Elements need not to be sorted in any way. I just need to keep N smallest value ever encountered. When I'll need them, I'll access all of them at once. So technically it doesn't have to be a queue, I just need N last smallest values to be stored. I initially thought about using binary heaps (they can be easily implemented via arrays), but apparently they don't behave well when array can't grow anymore. Linked lists and arrays will require extra time for moving things around. stl priority queue grows and uses dynamic allocation (I may be wrong about it, though). So, any other ideas?

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  • what data structure should I use for hash lookup as well as binary search?

    - by zebraman
    I am working on a school homework. I have a list of names. I want to be able to perform binary search on these names (find all names between a lower and upper bound) for first name as well as last name, and perform keyword searches as well (this will be accomplished using hashing. For example, if I have the names Garfield Cat Snoopy Dog Captain Crunch Fat Cat then a binary search of first names (C,H) will return Captain Crunch, Fat Cat, and Garfield Cat. A binary search of last names (Cr,D) will return Captain Crunch. A keyword search of 'cat' will return Fat Cat and Garfield Cat. I understand binary search will only work on a sorted list, but since I am planning on searching two different criteria, I will have to sort the list by last name or first name depending on what I'm searching for. I feel like it will be too inefficient to have to resort the list each time I want to perform a new binary search. Would it just be better for me to set up and maintain two sorted lists (one for sorted by first name, one for sorted by last name)? Also, for hashing, will I have to set up a different table of names for that as well? I understand each keyword will hash to some value determined by a hash function, and this value (or key) is a table address where the corresponding names are stored. So I just want to know what would be the best way to solve this problem? Maintaining separate structures, or is there a way to efficiently do everything I want with just one data structure?

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  • thread reaches end but isn't removed

    - by pstanton
    I create a bunch of threads to do some processing: new Thread("upd-" + id){ @Override public void run(){ try{ doSomething(); } catch (Throwable e){ LOG.error("error", e); } finally{ LOG.debug("thread death"); } } }.start(); I know i should be using a threadPool but i need to understand the following problem before i change it: I'm using eclipse's debugger and looking at the threads in the debug pane which lists active threads. Many of them complete as you would expect, and are removed from the debug pane, however some seem to stay in the list of active threads even though the log shows the "thread death" entry for these. When i attempt to debug these threads, they either do not pause for debugging or show an error dialog: "A timeout occurred while retrieving stack frames for thread: upd-...". there is some synchronization going on within the doSomething() call but i'm fairly sure it's ok and since the "thread death" log is being called i'm assuming these threads aren't deadlocked in that method. i don't do any Thread.join()s, however i do call a third party API but doubt they do either. Can anyone think of another reason these threads are lingering? Thanks. EDIT: I created this test to check the Garbage Collection theory: Thread thread = new Thread("!!!!!!!!!!!!!!!!") { @Override public void run() { System.out.println("running"); ThreadUs.sleepQuiet(5000); System.out.println("finished"); // <-- thread removed from list here } }; thread.start(); ThreadUs.sleepQuiet(10000); System.out.println(thread.isAlive()); // <-- thread already removed from list but hasn't been GC'd ThreadUs.sleepQuiet(10000); this proves that it is nothing to do with garbage collection as eclipse removes the thread from the thread list as soon as it completes and isn't waiting for the object to be de-referenced/GC'd.

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  • Getting an Android App to Show Up in the market for "Sony Internet TV"(Google TV)

    - by user1291659
    I'm having a bit of trouble getting my app to show up in the market under GoogleTV. I've searched google's official documentation and I don't believe the manifest lists any elements which would invalidate the program; the only hardware requirement specified is landscape mode, wakelock and external storage(neither which should cause it to be filtered for GTV according to the documentation) and I set the uses touchscreen elements "required" attribute to false. below is the AndroidManifest.xml for my project: <?xml version="1.0" encoding="utf-8"?> <manifest xmlns:android="http://schemas.android.com/apk/res/android" package="com.whateversoft" android:versionCode="2" android:versionName="0.1" > <uses-sdk android:minSdkVersion="8" /> <application android:icon="@drawable/ic_launcher" android:label="Color Shafted" android:theme="@style/Theme.NoBackground" android:debuggable="false"> <activity android:label="Color Shafted" android:name=".colorshafted.ColorShafted" android:configChanges = "keyboard|keyboardHidden|orientation" android:screenOrientation = "landscape"> <!-- Set as the default run activity --> <intent-filter > <action android:name="android.intent.action.MAIN" /> <category android:name="android.intent.category.LAUNCHER" /> </intent-filter> </activity> <activity android:label="Color Shafted Settings" android:name=".colorshafted.Settings" android:theme="@android:style/Theme" android:configChanges = "keyboard|keyboardHidden"> <!-- --> </activity> </application> <!-- DEFINE PERMISSIONS FOR CAPABILITIES --> <uses-permission android:name = "android.permission.WRITE_EXTERNAL_STORAGE"/> <uses-permission android:name = "android.permission.WAKE_LOCK"/> <uses-feature android:name="android.hardware.touchscreen" android:required="false" /> <!-- END OF PERMISSIONS FOR CAPABILITIES --> </manifest> I'm about to start promoting the app after the next major release so its been kind of a bummer since I can't seem to get this to work. Any help would be appreciated, thanks in advance : )

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  • Passing custom Python objects to nosetests

    - by Rob
    I am attempting to re-organize our test libraries for automation and nose seems really promising. My question is, what is the best strategy for passing Python objects into nose tests? Our tests are organized in a testlib with a bunch of modules that exercise different types of request operations. Something like this: testlib \-testmoda \-testmodb \-testmodc In some cases the test modules (i.e. testmoda) is nothing but test_something(), test_something2() functions while in some cases we have a TestModB class in testmob with the test_anotherthing1(), test_anotherthing2() functions. The cool thing is that nose easily finds both. Most of those test functions are request factory stuff that can easily share a single connection to our server farm. Thus we do a lot of test_something1(cnn), TestModB.test_anotherthing2(cnn), etc. Currently we don't use nose, instead we have a hodge-podge of homegrown driver scripts with hard-coded lists of tests to execute. Each of those driver scripts creates its own connection object. Maintaining those scripts and the connection minutia is painful. I'd like to take free advantage of nose's beautiful discovery functionality, passing in a connection object of my choosing. Thanks in advance! Rob P.S. The connection objects are not pickle-able. :(

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  • Merging: hg/git vs. svn

    - by stmax
    I often read that hg (and git and...) are better at merging than svn but I have never seen practical examples of where hg/git can merge something where svn fails (or where svn needs manual intervention). Could you post a few step-by-step lists of branch/modify/commit/...-operations that show where svn would fail while hg/git happily moves on? Practical, not highly exceptional cases please... Some background: we have a few dozen developers working on projects using svn, with each project (or group of similar projects) in its own repo. We know how to apply release- and feature-branches so we don't run into problems very often (i.e. we've been there, but we've learned to overcome joel's problems of "one programmer causing trauma to the whole team" or "needing six developers for two weeks to reintegrate a branch"). We have release-branches that are very stable and only used to apply bugfixes. We have trunks that should be stable enough to be able to create a release within one week. And we have feature-branches that single developers or groups of developers can work on. Yes, they are deleted after reintegration so they don't clutter up the repository. ;) So I'm still trying to find the advantages of hg/git over svn. I'd love to get some hands-on experience, but there aren't any bigger projects we could move to hg/git yet, so I'm stuck with playing with small artifical projects that only contain a few made up files. And I'm looking for a few cases where you can feel the impressive power of hg/git, since so far I have often read about them but failed to find them myself.

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  • List of objects or parallel arrays of properties?

    - by Headcrab
    The question is, basically: what would be more preferable, both performance-wise and design-wise - to have a list of objects of a Python class or to have several lists of numerical properties? I am writing some sort of a scientific simulation which involves a rather large system of interacting particles. For simplicity, let's say we have a set of balls bouncing inside a box so each ball has a number of numerical properties, like x-y-z-coordinates, diameter, mass, velocity vector and so on. How to store the system better? Two major options I can think of are: to make a class "Ball" with those properties and some methods, then store a list of objects of the class, e. g. [b1, b2, b3, ...bn, ...], where for each bn we can access bn.x, bn.y, bn.mass and so on; to make an array of numbers for each property, then for each i-th "ball" we can access it's 'x' coordinate as xs[i], 'y' coordinate as ys[i], 'mass' as masses[i] and so on; To me it seems that the first option represents a better design. The second option looks somewhat uglier, but might be better in terms of performance, and it could be easier to use it with numpy and scipy, which I try to use as much as I can. I am still not sure if Python will be fast enough, so it may be necessary to rewrite it in C++ or something, after initial prototyping in Python. Would the choice of data representation be different for C/C++? What about a hybrid approach, e.g. Python with C++ extension?

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  • A few questions about a Rails model for a simple addressbook app

    - by user284194
    I have a Rails application that lists information about local services. My objectives for this model are as follows: 1. Require the name and tag_list fields. 2. Require one or more of the tollfreephone, phone, phone2, mobile, fax, email or website fields. 3. If the paddress field has a value, then encode it with the Geokit plugin. Here is my entry.rb model: class Entry < ActiveRecord::Base validates_presence_of :name, :tag_list validates_presence_of :tollfreephone or :phone or :phone2 or :mobile or :fax or :email or :website acts_as_taggable_on :tags acts_as_mappable :auto_geocode=>{:field=>:paddress, :error_message=>'Could not geocode physical address'} before_save :geocode_paddress validate :required_info def required_info unless phone or phone2 or tollfreephone or mobile or fax or email or website errors.add_to_base "Please have at least one form of contact information." end end private def geocode_paddress #if paddress_changed? geo=Geokit::Geocoders::MultiGeocoder.geocode (paddress) errors.add(:paddress, "Could not Geocode address") if ! geo.success self.lat, self.lng = geo.lat,geo.lng if geo.success #end end end Requiring name and tag_list work, but requiring one (or more) of the tollfreephone, phone, phone2, mobile, fax, email or website fields does not. As for encoding with Geokit, in order to save a record with the model I have to enter an address. Which is not the behavior I want. I would like it to not require the paddress field, but if the paddress field does have a value, it should encode the geocode. As it stands, it always tries to geocode the incoming entry. The commented out "if paddress_changed?" was not working and I could not find something like "if paddress_exists?" that would work. Help with any of these issues would be greatly appreciated. I posted three questions pertaining to my model because I'm not sure if they are preventing each other from working. Thank you for reading my questions.

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