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  • Can I use a static cache Helper method in a NET MVC controller?

    - by Euston
    I realise there have been a few posts regarding where to add a cache check/update and the separation of concerns between the controller, the model and the caching code. There are two great examples that I have tried to work with but being new to MVC I wonder which one is the cleanest and suits the MVC methodology the best? I know you need to take into account DI and unit testing. Example 1 (Helper method with delegate) ...in controller var myObject = CacheDataHelper.Get(thisID, () => WebServiceServiceWrapper.GetMyObjectBythisID(thisID)); Example 2 (check for cache in model class) in controller var myObject = WebServiceServiceWrapper.GetMyObjectBythisID(thisID)); then in model class.............. if (!CacheDataHelper.Get(cachekey, out myObject)) { //do some repository processing // Add obect to cache CacheDataHelper.Add(myObject, cachekey); } Both use a static cache helper class but the first example uses a method signature with a delegate method passed in that has the name of the repository method being called. If the data is not in cache the method is called and the cache helper class handles the adding or updating to the current cache. In the second example the cache check is part of the repository method with an extra line to call the cache helper add method to update the current cache. Due to my lack of experience and knowledge I am not sure which one is best suited to MVC. I like the idea of calling the cache helper with the delegate method name in order to remove any cache code in the repository but I am not sure if using the static method in the controller is ideal? The second example deals with the above but now there is no separation between the caching check and the repository lookup. Perhaps that is not a problem as you know it requires caching anyway?

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  • C# TcpClient, getting back the entire response from a telnet device

    - by Dan Bailiff
    I'm writing a configuration tool for a device that can communicate via telnet. The tool sends a command via TcpClient.GetStream().Write(...), and then checks for the device response via TcpClient.GetStream().ReadByte(). This works fine in unit tests or when I'm stepping through code slowly. If I run the config tool such that it performs multiple commands consecutively, then the behavior of the read is inconsistent. By inconsistent I mean sometimes the data is missing, incomplete or partially garbled. So even though the device performed the operation and responded, my code to check for the response was unreliable. I "fixed" this problem by adding a Thread.Sleep to make sure the read method waits long enough for the device to complete its job and send back the whole response (in this case 1.5 seconds was a safe amount). I feel like this is wrong, blocking everything for a fixed time, and I wonder if there is a better way to get the read method to wait only long enough to get the whole response from the device. private string Read() { if (!tcpClient.Connected) throw (new Exception("Read() failed: Telnet connection not available.")); StringBuilder sb = new StringBuilder(); do { ParseTelnet(ref sb); System.Threading.Thread.Sleep(1500); } while (tcpClient.Available > 0); return sb.ToString(); } private void ParseTelnet(ref StringBuilder sb) { while (tcpClient.Available > 0) { int input = tcpClient.GetStream().ReadByte(); switch (input) { // parse the input // ... do other things in special cases default: sb.Append((char)input); break; } } }

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  • Automated UAT/functional tests on Swing applications without source code

    - by jas
    Our team is now working on a big Swing application. Our job basically focuses on writing extensions to the existing framework. A typical job would be adding a new panel/ or adding a new tab with some extra functionalities that suit our need. It seems FEST can help a lot in terms of unit-test our code. I am going to try it out this week. But the question here is if there is a way to do automated functional testing on the whole application. In another word, we do not only need to test our code but also the framework. After all, UAT is the most important part. I am currently considering decompiling the jar files we got into source code then we can identify the components and then use FEST. So, before I get started to give this approach a shot, I think I just ask for ideas and inspirations here. There must be people who have done similar things before. Would be nice if I could learn from the veterans who fought against this before . Thanks,

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  • get Random in ArrayList has error of java.lang.IllegalArgumentException: n must be positive

    - by gabrielle fregil
    In my ArrayList, i have get a random Item from my ArrayList for the equip method. Whenever i use my tester, the terminal window prints java.lang.IllegalArgumentException: n must be positive when I try to call random for the size. I tried to change the value of totalElements to the integer size of the elements, then the error would be an OutOfBoundsExeption import java.util.*; import java.util.Scanner; import java.util.Random; public class GameMaster { private int turn, totalElements; private boolean winner; private Avatar x1; private Avatar x2; private ArrayList<Item> inventory; public GameMaster(Avatar a1, Avatar a2) { x2 = a1; x1 = a2; turn = 1; winner = false; inventory = new ArrayList<Item>(); totalElements = 0; } private void fillInventory() { inventory.add( new Item( "Zealot Blades", true, 8 ) ); inventory.add( new Item( "BFG", true, 13 ) ); inventory.add( new Item( "Synthetic Cloth", false, 7 ) ); // more items inventory.add( new Item( "Gauss Rifle", true, 9 ) ); inventory.add( new Item( "Flight Unit", false, 6 ) ); totalElements = inventory.size(); } public String equip() { Avatar w; String a; if (turn%2==1) w=x2; else w=x1; if (w.beltIsFull()) { a = w.getName() + "'s belt is full. \n"; } else { turn++; Random generator = new Random(); Item rand = inventory.get(generator.nextInt(totalElements)); //terminal window in blueJ: java.lang.IllegalArgumentException: n must be positive a = w.getName()+" is equiped with "+rand.getName()+"."; } return a; }

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  • Is there a way to prevent Maven Test from rebuilding the database?

    - by Christopher W. Allen-Poole
    I've recently been asked to, effectively, sell my department on unit testing. I can't tell you how excited this makes me, but I do have one concern. We're using JUnit with Spring and Maven, and this means that each time mvn test is called, it rebuilds the database. Obviously, we can't integrate that with our production server -- it would kill valuable data. How do I prevent the rebuilding without telling maven to skip testing? The best I could figure was to assign the script to operate in a test database (line breaks added for readability): mvn test -Ddbunit.schema=<database>test -Djdbc.url=jdbc:mysql://localhost/<database>test? createDatabaseIfNotExist=true&amp; useUnicode=true&amp;characterEncoding=utf-8 I can't help but think there must be a better way. I'm especially interested in learning if there is an easy way to tell Maven to only run tests on particular classes without building anything else? mvn -Dtest=<test-name> test still rebuilds the database. ======= update ======= Bit of egg on my face here. I didn't realize that I was using the same variable in two places, meaning that the POM was using a "skip.test" variable for both rebuilding the database and for running the tests...

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  • Theory: "Lexical Encoding"

    - by _ande_turner_
    I am using the term "Lexical Encoding" for my lack of a better one. A Word is arguably the fundamental unit of communication as opposed to a Letter. Unicode tries to assign a numeric value to each Letter of all known Alphabets. What is a Letter to one language, is a Glyph to another. Unicode 5.1 assigns more than 100,000 values to these Glyphs currently. Out of the approximately 180,000 Words being used in Modern English, it is said that with a vocabulary of about 2,000 Words, you should be able to converse in general terms. A "Lexical Encoding" would encode each Word not each Letter, and encapsulate them within a Sentence. // An simplified example of a "Lexical Encoding" String sentence = "How are you today?"; int[] sentence = { 93, 22, 14, 330, QUERY }; In this example each Token in the String was encoded as an Integer. The Encoding Scheme here simply assigned an int value based on generalised statistical ranking of word usage, and assigned a constant to the question mark. Ultimately, a Word has both a Spelling & Meaning though. Any "Lexical Encoding" would preserve the meaning and intent of the Sentence as a whole, and not be language specific. An English sentence would be encoded into "...language-neutral atomic elements of meaning ..." which could then be reconstituted into any language with a structured Syntactic Form and Grammatical Structure. What are other examples of "Lexical Encoding" techniques? If you were interested in where the word-usage statistics come from : http://www.wordcount.org

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  • Custom webserver caching

    - by Mark Kinsella
    I'm working with a custom webserver on an embedded system and having some problems correctly setting my HTTP Headers for caching. Our webserver is generating all dynamic content as XML and we're using semi-static XSL files to display it with some dynamic JSON requests thrown in for good measure along with semi-static images. I say "semi-static" because the problems occur when we need to do a firmware update which might change the XSL and image files. Here's what needs to be done: cache the XSL and image files and do not cache the XML and JSON responses. I have full control over the HTTP response and am currently: Using ETags with the XSL and image files, using the modified time and size to generate the ETag Setting Cache-Control: no-cache on the XML and JSON responses As I said, everything works dandy until a firmware update when the XSL and image files are sometimes cached. I've seen it work fine with the latest versions of Firefox and Safari but have had some problems with IE. I know one solution to this problem would be simply rename the XSL and image files after each version (eg. logo-v1.1.png, logo-v1.2.png) and set the Expires header to a date in the future but this would be difficult with the XSL files and I'd like to avoid this. Note: There is a clock on the unit but requires the user to set it and might not be 100% reliable which is what might be causing my caching issues when using ETags. What's the best practice that I should employ? I'd like to avoid as many webserver requests as possible but invalidating old XSL and image files after a software update is the #1 priority.

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  • Entity Framework and differences between Contains between SQL and objects using ToLower

    - by John Ptacek
    I have run into an "issue" I am not quite sure I understand with Entity Framework. I am using Entity Framework 4 and have tried to utilize a TDD approach. As a result, I recently implemented a search feature using a Repository pattern. For my test project, I am implementing my repository interface and have a set of "fake" object data I am using for test purposes. I ran into an issue trying to get the Contains clause to work for case invariant search. My code snippet for both my test and the repository class used against the database is as follows: if (!string.IsNullOrEmpty(Description)) { items = items.Where(r => r.Description.ToLower().Contains(Description.ToLower())); } However, when I ran my test cases the results where not populated if my case did not match the underlying data. I tried looking into what I thought was an issue for a while. To clear my mind, I went for a run and wondered if the same code with EF would work against a SQL back end database, since SQL will explicitly support the like command and it executed as I expected, using the same logic. I understand why EF against the database back end supports the Contains clause. However, I was surprised that my unit tests did not. Any ideas why other than the SQL server support of the like clause when I use objects I populate in a collection instead of against the database server? Thanks! John

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  • Easiest RPC client method in PHP

    - by T.K.
    I've been asked to help a friend's company to bring up a web application. I have very limited time and I reluctantly accepted the request, at one condition. As most of the logic goes on in the back-end, I suggested that I would finish the complete back-end only, allowing a front-end developer to simply interface with my backend. I plan to do the back-end in Java EE or Python (with Pylons). It does not really matter at this point. I plan to have my back-end completely ready and unit-tested, so that my input will hardly be needed after my work is done. I know they have a PHP programmer, but as far as I could tell he is a real rookie. I want him to basically interface with my backend's services in the easiest possible way, with no way of him "stuffing" it up. It's basically a CRUD-only application. I could implement the backend as accessible through a webservice such as XML-RPC or SOAP. Even a RESTful API could be possible. However, my main objective is to make something that complete "noob" PHP programmer can easily interface with without getting confused. Preferably I do not even want to talk to him because I generally have an extremely busy schedule, and doing "support calls" is not something I am willing to do. Which approach should I choose? I would welcome any suggestions and inputs!

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  • Volatile fields in C#

    - by Danny Chen
    From the specification 10.5.3 Volatile fields: The type of a volatile field must be one of the following: A reference-type. The type byte, sbyte, short, ushort, int, uint, char, float, bool, System.IntPtr, or System.UIntPtr. An enum-type having an enum base type of byte, sbyte, short, ushort, int, or uint. First I want to confirm my understanding is correct: I guess the above types can be volatile because they are stored as a 4-bytes unit in memory(for reference types because of its address), which guarantees the read/write operation is atomic. A double/long/etc type can't be volatile because they are not atomic reading/writing since they are more than 4 bytes in memory. Is my understanding correct? And the second, if the first guess is correct, why a user defined struct with only one int field in it(or something similar, 4 bytes is ok) can't be volatile? Theoretically it's atomic right? Or it's not allowed simply because that all user defined structs(which is possibly more than 4 bytes) are not allowed to volatile by design?

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  • Nothing gets displayed when debugging Microsoft Surface

    - by leftend
    I am trying to write my first Microsoft Surface application, and am doing the development on the Surface unit itself. I successfully re-created the quick "Photos" application that is shown on the PDC Video, however, now that I'm trying to create my own app - nothing actually shows up when I run it. I'm mainly just adding ScatterViews right now - and they show up fine in the designer, but as soon as I hit F5 - the shell is shown on the surface - but none of the ScatterViews show up. Here's my xaml code so far. Am I missing something?? <s:SurfaceWindow x:Class="SurfaceUITreeDemo.TreeDemo" xmlns="http://schemas.microsoft.com/winfx/2006/xaml/presentation" xmlns:x="http://schemas.microsoft.com/winfx/2006/xaml" xmlns:s="http://schemas.microsoft.com/surface/2008" Title="WYITT Tree Demo" AllowsTransparency="False" Background="Beige"> <s:SurfaceWindow.Resources> <ImageBrush x:Key="WindowBackground" Stretch="None" Opacity="0.6" ImageSource="pack://application:,,,/Resources/TreeDemoBackground.jpg"/> </s:SurfaceWindow.Resources> <Grid Background="{StaticResource WindowBackground}" > <s:ScatterView Name="test"> <Image Source="C:\dev\Network-Alt-icon.png"/> </s:ScatterView> <s:ScatterView Height="100" Margin="456,160,348,0" Name="scatterView1" VerticalAlignment="Top" Background="Black"> <s:ScatterViewItem Height="100" Width="150"> <Image Source="C:\dev\Network-Alt-icon.png"/> </s:ScatterViewItem> <s:ScatterViewItem></s:ScatterViewItem> ScatterView </s:ScatterView> </Grid> </s:SurfaceWindow>

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  • Group variables in a boxplot in R

    - by tao.hong
    I am trying to generate a boxplot whose data come from two scenarios. In the plot, I would like to group boxes by their names (So there will be two boxes per variable). I know ggplot would be a good choice. But I got errors which I could not figure out. Can anyone give me some suggestions? sensitivity_out1 structure(c(0.0522902104339716, 0.0521369824334004, 0.0520240345973737, 0.0519818337359876, 0.051935071418996, 0.0519089404325544, 0.000392698277338341, 0.000326135474295325, 0.000280863338343747, 0.000259631566041935, 0.000246594043996332, 0.000237923540393391, 0.00046732650331544, 0.000474448907808135, 0.000478287273678457, 0.000480194683464109, 0.000480631753078668, 0.000481760272726273, 0.000947965771207979, 0.000944821699830455, 0.000939631071343889, 0.000937186900570605, 0.000936007346568281, 0.000934756220144141, 0.00132442589501872, 0.00132658367774979, 0.00133334696220742, 0.00133622384928092, 0.0013381577476241, 0.00134005741746304, 0.0991622968751298, 0.100791399440082, 0.101946808417405, 0.102524244727408, 0.102920085260477, 0.103232984259916, 0.0305219507186844, 0.0304635269233494, 0.0304161055015213, 0.0303742106794513, 0.0303381888169022, 0.0302996157711171, 1.94268588634518e-05, 2.23991225564447e-05, 2.5756135487907e-05, 2.79997917298194e-05, 3.00753967077715e-05, 3.16270817369878e-05, 0.544701146678523, 0.542887331601984, 0.541632986366816, 0.541005610554556, 0.540617004208336, 0.540315690692195, 0.000453386694666078, 0.000448473414508756, 0.00044692043197248, 0.000444826296854332, 0.000445747996014684, 0.000444764303682453, 0.000127569551159321, 0.000128422491392669, 0.00012933662856487, 0.000129941842982939, 0.000129578971489026, 0.000131113075233758, 0.00684610571790029, 0.00686349387897349, 0.00687468164010565, 0.00687880720347743, 0.00688275579317197, 0.00687822247621936), .Dim = c(6L, 12L)) out2 structure(c(0.0189965816735366, 0.0189995096225103, 0.0190099362589894, 0.0190033523148514, 0.01900896721937, 0.0190099427513381, 0.00192043989797585, 0.00207303208721059, 0.00225931163225165, 0.0024049969048389, 0.00252310364086785, 0.00262940166568126, 0.00195164921633517, 0.00190079923515755, 0.00186139563778548, 0.00184188171395076, 0.00183248544676564, 0.00182492970673969, 1.83038731485927e-05, 1.98252671720347e-05, 2.14794764479231e-05, 2.30713122969332e-05, 2.4484220713564e-05, 2.55958833705284e-05, 0.0428066864455102, 0.0431686808647809, 0.0434411033615353, 0.0435883377765726, 0.0436690169266633, 0.0437340464360965, 0.145288252474567, 0.141488776430307, 0.138204532539654, 0.136281799717717, 0.134864952272761, 0.133738386148036, 0.0711728636959696, 0.072031388688795, 0.0727536853228245, 0.0731581966147734, 0.0734424337399303, 0.0736637270702609, 0.000605277151497094, 0.000617268349064968, 0.000632975679951382, 0.000643904422677427, 0.000653775268094148, 0.000662225067910141, 0.26735354610469, 0.267515415990146, 0.26753155165617, 0.267553498616325, 0.267532284594615, 0.267510330320289, 0.000334158771646756, 0.000319032383145857, 0.000306074699839994, 0.000299153278494114, 0.000293956197852583, 0.000290171804454218, 0.000645975219899115, 0.000637548672578787, 0.000632375486965757, 0.000629579821884212, 0.000624956458229123, 0.000622456283217054, 0.0645188290106884, 0.0651539609630352, 0.0656417364889907, 0.0658996698322889, 0.0660715073023965, 0.0662034341510152), .Dim = c(6L, 12L)) Melt data: group variable value 1 1 PLDKRT 0 2 1 PLDKRT 0 3 1 PLDKRT 0 4 1 PLDKRT 0 5 1 PLDKRT 0 6 1 PLDKRT 0 Code: #Data_source 1 sensitivity_1=rbind(sensitivity_out1,sensitivity_out2) sensitivity_1=data.frame(sensitivity_1) colnames(sensitivity_1)=main_l #variable names sensitivity_1$group=1 #Data_source 2 sensitivity_2=rbind(sensitivity_out1[3:4,],sensitivity_out2[3:4,]) sensitivity_2=data.frame(sensitivity_2) colnames(sensitivity_2)=main_l sensitivity_2$group=2 sensitivity_pool=rbind(sensitivity_1,sensitivity_2) sensitivity_pool_m=melt(sensitivity_pool,id.vars="group") ggplot(data = sensitivity_pool_m, aes(x = variable, y = value)) + geom_boxplot(aes( fill= group), width = 0.8) Error: "Error in unit(tic_pos.c, "mm") : 'x' and 'units' must have length > 0" Update Figure out the error. I should use geom_boxplot(aes( fill= factor(group)), width = 0.8) rather than fill= group

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  • I'm looking for a way to evaluate reading rate in several languages

    - by i30817
    I have a software that is page oriented instead of scrollbar oriented so i can easily count the words, but i'd like a way to filter outliers and some default value for the text language (that is known). The goal is from the remaining text to calculate the remaining time. I'm not sure what is the best unit to use. WPM (words per minute) from here seems very fuzzy and human oriented. Besides i don't know how many "words" remain in the text. http://www.sfsu.edu/~testing/CalReadRate.htm So i came up with this: The user is reading the text. The total text size in characters is known. His position in the text is known. So the remaining characters to read is also known. If a language has a median word length of say 5 chars, then if i had a WPM speed for the user, i could calculate the remaining time. 3 things are needed for this: 1) A table of the median word length of the language. 2) A table of the median WPM of a median user per language. 3) Update the WPM to fit the user as data becomes available, filtering outliers. However i can't find these tables. And i'm not sure how precise it is assuming median word length.

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  • Optimal two variable linear regression SQL statement

    - by Dave Jarvis
    Problem Am looking to apply the y = mx + b equation (where m is SLOPE, b is INTERCEPT) to a data set, which is retrieved as shown in the SQL code. The values from the (MySQL) query are: SLOPE = 0.0276653965651912 INTERCEPT = -57.2338357550468 SQL Code SELECT ((sum(t.YEAR) * sum(t.AMOUNT)) - (count(1) * sum(t.YEAR * t.AMOUNT))) / (power(sum(t.YEAR), 2) - count(1) * sum(power(t.YEAR, 2))) as SLOPE, ((sum( t.YEAR ) * sum( t.YEAR * t.AMOUNT )) - (sum( t.AMOUNT ) * sum(power(t.YEAR, 2)))) / (power(sum(t.YEAR), 2) - count(1) * sum(power(t.YEAR, 2))) as INTERCEPT FROM (SELECT D.AMOUNT, Y.YEAR FROM CITY C, STATION S, YEAR_REF Y, MONTH_REF M, DAILY D WHERE -- For a specific city ... -- C.ID = 8590 AND -- Find all the stations within a 5 unit radius ... -- SQRT( POW( C.LATITUDE - S.LATITUDE, 2 ) + POW( C.LONGITUDE - S.LONGITUDE, 2 ) ) <15 AND -- Gather all known years for that station ... -- S.STATION_DISTRICT_ID = Y.STATION_DISTRICT_ID AND -- The data before 1900 is shaky; and insufficient after 2009. -- Y.YEAR BETWEEN 1900 AND 2009 AND -- Filtered by all known months ... -- M.YEAR_REF_ID = Y.ID AND -- Whittled down by category ... -- M.CATEGORY_ID = '001' AND -- Into the valid daily climate data. -- M.ID = D.MONTH_REF_ID AND D.DAILY_FLAG_ID <> 'M' GROUP BY Y.YEAR ORDER BY Y.YEAR ) t Data The data is visualized here: Questions How do I return the y value against all rows without repeating the same query to collect and collate the data? That is, how do I "reuse" the list of t values? How would you change the query to eliminate outliers (at an 85% confidence interval)? The following results (to calculate the start and end points of the line) appear incorrect. Why are the results off by ~10 degrees (e.g., outliers skewing the data)? (1900 * 0.0276653965651912) + (-57.2338357550468) = -4.66958228 (2009 * 0.0276653965651912) + (-57.2338357550468) = -1.65405406 I would have expected the 1900 result to be around 10 (not -4.67) and the 2009 result to be around 11.50 (not -1.65). Thank you!

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  • Stored procedure using cursor in mySql.

    - by RAVI
    I wrote a stored procedure using cursor in mysql but that procedure is taking 10 second to fetch the result while that result set have only 450 records so, I want to know that why that proedure is taking that much time to fetch tha record. procedure as below: DELIMITER // DROP PROCEDURE IF EXISTS curdemo123// CREATE PROCEDURE curdemo123(IN Branchcode int,IN vYear int,IN vMonth int) BEGIN DECLARE EndOfData,tempamount INT DEFAULT 0; DECLARE tempagent_code,tempplantype,tempsaledate CHAR(12); DECLARE tempspot_rate DOUBLE; DECLARE var1,totalrow INT DEFAULT 1; DECLARE cur1 CURSOR FOR select SQL_CALC_FOUND_ROWS ad.agentCode,ad.planType,ad.amount,ad.date from adplan_detailstbl ad where ad.branchCode=Branchcode and (ad.date between '2009-12-1' and '2009-12-31')order by ad.NUM_ID asc; DECLARE CONTINUE HANDLER FOR SQLSTATE '02000' SET EndOfData = 1; DROP TEMPORARY TABLE IF EXISTS temptable; CREATE TEMPORARY TABLE temptable (agent_code varchar(15), plan_type char(12),sale double,spot_rate double default '0.0', dATE DATE); OPEN cur1; SET totalrow=FOUND_ROWS(); while var1 <= totalrow DO fetch cur1 into tempagent_code,tempplantype,tempamount,tempsaledate; IF((tempplantype='Unit Plan' OR tempplantype='MIP') OR tempplantype='STUP') then select spotRate into tempspot_rate from spot_amount where ((monthCode=vMonth and year=vYear) and ((agentCode=tempagent_code and branchCode=Branchcode) and (planType=tempplantype))); INSERT INTO temptable VALUES(tempagent_code,tempplantype,tempamount,tempspot_rate,tempsaledate); else INSERT INTO temptable(agent_code,plan_type,sale,dATE) VALUES(tempagent_code,tempplantype,tempamount,tempsaledate); END IF; SET var1=var1+1; END WHILE; CLOSE cur1; select * from temptable; DROP TABLE temptable; END // DELIMITER ;

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  • Winsock tcp/ip Socket listening but connection refused, race condition?

    - by Wayne
    Hello folks. This involves two automated unit tests which each start up a tcp/ip server that creates a non-blocking socket then bind()s and listen()s in a loop on select() for a client that connects and downloads some data. The catch is that they work perfectly when run separately but when run as a test suite, the second test client will fail to connect with WSACONNREFUSED... UNLESS there is a Thread.Sleep() of several seconds between them??!!! Interestingly, there is retry loop every 1 second for connecting after any failure. So the second test loops for a while until timeout after 10 minutes. During that time, netstat -na shows the correct port number is in the LISTEN state for the server socket. So if it is in the listen state? Why won't it accept the connection? In the code, there are log messages that show the select NEVER even gets a socket ready to read (which means ready to accept a connection when it applies to a listening socket). Obviously the problem must be related to some race condition between finishing one test which means close() and shutdown() on each end of the socket, and the start up of the next. This wouldn't be so bad if the retry logic allowed it to connect eventually after a couple of seconds. However it seems to get "gummed up" and won't even retry. However, for some strange reason the listening socket SAYS it's in the LISTEN state even through keeps refusing connections. So that means it's the Windoze O/S which is actually catching the SYN packet and returning a RST packet (which means "Connection Refused"). The only other time I ever saw this error was when the code had a problem that caused hundreds of sockets to get stuck in TIME_WAIT state. But that's not the case here. netstat shows only about a dozen sockets with only 1 or 2 in TIME_WAIT at any given moment. Please help.

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  • What's wrong with this code to un-camel-case a string?

    - by omair iqbal
    Here is my attempt to solve the About.com Delphi challenge to un-camel-case a string. unit challenge1; interface uses Windows, Messages, SysUtils, Variants, Classes, Graphics, Controls, Forms, Dialogs, StdCtrls; type check = 65..90; TForm1 = class(TForm) Edit1: TEdit; Button1: TButton; procedure Button1Click(Sender: TObject); private { Private declarations } public { Public declarations } end; var Form1: TForm1; var s1,s2 :string; int : integer; implementation {$R *.dfm} procedure TForm1.Button1Click(Sender: TObject); var i: Integer; checks : set of check; begin s1 := edit1.Text; for i := 1 to 20 do begin int :=ord(s1[i]) ; if int in checks then insert(' ',s1,i-1); end; showmessage(s1); end; end. check is a set that contains capital letters so basically whenever a capital letter is encountered the insert function adds space before its encountered (inside the s1 string), but my code does nothing. ShowMessage just shows text as it was entered in Edit1. What have I done wrong?

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  • Where in maven project's path should I put configuration files that are not considered resources

    - by Paralife
    I have a simple java maven project. One of my classes when executing needs to load an xml configuration file from the classpath. I dont want to package such xml file when producing the jar but I want to include a default xml file in a zip assemply under a conf subfolder and I also want this default xml to be available in the unit tests to test against it. As I see it there are 2 possible places of this default xml: src/main/resources/conf/default.xml src/main/conf/default.xml Both solutions demand special pom actions: In solution 1, I get the auto copy to target folder during build which means it is available in testing but I also get it in the produced jar which i dont want. In solution 2, I get the jar as I want it(free of the xml) but I manually have to copy the xml to the target folder to be available for testing. (I dont want to add src's subfolders in test classpath. I think it is bad practice). The question is what is the best solution of the two? If the correct is 2, what is the best way to copy it to target folder? Is there any other solution better and more common than those two? (I also read http://stackoverflow.com/questions/465001/where-should-i-put-application-configuration-files-for-a-maven-project but I would like to know the most "correct solution" from the "convention over configuration" point of view and this link provides some configuration type solutions but not any convention oriented. Maybe there isnt one but I ask anyway. Also the solutions provided include AntRun plugin and appAssembler plugin and I wonder if I could do it with out them.)

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  • StructureMap and injecting IEnumerable<T>

    - by GiddyUpHorsey
    I'm new to StructureMap and have some existing code that I'm working with that uses StructureMap 2.5.4. There is a class that is constructed using StructureMap that has a constructor that takes IEnumerable<TCar> as a parameter. The registry has the following code. Scan(x => { x.TheCallingAssembly(); x.WithDefaultConventions(); x.AddAllTypesOf<ICar>(); } ); ForRequestedType<IEnumerable<ICar>>().TheDefault.Is.ConstructedBy( x => ObjectFactory.GetAllInstances<ICar>()); I'm writing a unit test and have obtained a nested container off the ObjectFactory and have injected an instance using the Inject method. One of the instances of ICar should receive the injected type in its constructor. However it wasn't working and I tracked that down to the ObjectFactory.GetAllInstances() call which doesn't use my nested container. How can I get this to work? I also read about StructureMap autowiring arrays and IEnumerable instances but I couldn't get it to work. Is there a better way to rewrite the above registry code so that an instance of IEnumerable<TCar> will be created and use the injected type from my nested container?

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  • Git Workflow With Capistrano

    - by jerhinesmith
    I'm trying to get my head around a good git workflow using capistrano. I've found a few good articles, but I'm either not grasping completely what they're suggesting (likely) or they're somewhat lacking. Here's kind of what I had in mind so far, but I get caught up when to merge back into the master branch (i.e. before moving to stage? after?) and trying to hook it into capistrano for deployments: Make sure you’re up to date with all the changes made on the remote master branch by other developers git checkout master git pull Create a new branch that pertains to the particular bug you're trying to fix git checkout -b bug-fix-branch Make your changes git status git add . git commit -m "Friendly message about the commit" So, this is usually where I get stuck. At this point, I have a master branch that is healthy and a new bug-fix-branch that contains my (untested -- other than unit tests) changes. If I want to push my changes to stage (through cap staging deploy), do I have to merge my changes back into the master branch (I'd prefer not to since it seems like master should be kept free of untested code)? Do I even deploy from master (or should I be tagging a release first and then modifying my production.rb file to deploy from that tag)? git-deployment seems to address some of these workflow issues, but I can't seem to find out how on earth it actually hooks into cap staging deploy and cap production deploy. Thoughts? I assume there's a likely canonical way to do this, but I either can't find it or I'm too new to git to recognize that I have found it. Help!

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  • Setting directory security to allow user and deny all

    - by Rita
    I have winforms app, in which I need to access a secured directory. I'm using impersonation and create WindowsIdentity to access the folder. My problem is writing unit tests to test the directory security; I'd like to a write a code that creates a directory secured to only ONE user, which isn't the current user running the UT (or else the test would be worthless). I know how to add permissions to a certain user, but how can I deny the rest, including admins? (in case the user running the UT is an admin) (will this be a wise thing to do?) DirectoryInfo directoryInfo = new DirectoryInfo(path); DirectorySecurity directorySecurity = directoryInfo.GetAccessControl(); directorySecurity.AddAccessRule(new FileSystemAccessRule("Domain\SecuredUser", FileSystemRights.FullControl, InheritanceFlags.ContainerInherit | InheritanceFlags.ObjectInherit, PropagationFlags.InheritOnly, AccessControlType.Allow)); directorySecurity.RemoveAccessRule(new FileSystemAccessRule("??", FileSystemRights.FullControl, InheritanceFlags.ContainerInherit | InheritanceFlags.ObjectInherit, PropagationFlags.InheritOnly, AccessControlType.Deny)); directoryInfo.SetAccessControl(directorySecurity); This isn't working. I don't know who am I supposed to deny. Domain\Admins, Domain\Administrators, me... No one is being denied, and when I check folder's security - The SecuredUser has access to the folder, but the permissions are not checked, even though I specified FullControl. Basically I want to code this: <authorization> <allow users ="Domain\User" /> <deny users="*" /> </authorization> I was thinking about impersonating UT run with a weak user with no permissions, but this would result in: Impersonate - Run UT - Impersonate - Access folder, and I'm not sure if this is the right design. Help would be greatly appreciated, thank you.

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  • JUnit: checking if a void method gets called

    - by nkr1pt
    I have a very simple filewatcher class which checks every 2 seconds if a file has changed and if so, the onChange method (void) is called. Is there an easy way to check ik the onChange method is getting called in a unit test? code: public class PropertyFileWatcher extends TimerTask { private long timeStamp; private File file; public PropertyFileWatcher(File file) { this.file = file; this.timeStamp = file.lastModified(); } public final void run() { long timeStamp = file.lastModified(); if (this.timeStamp != timeStamp) { this.timeStamp = timeStamp; onChange(file); } } protected void onChange(File file) { System.out.println("Property file has changed"); } } @Test public void testPropertyFileWatcher() throws Exception { File file = new File("testfile"); file.createNewFile(); PropertyFileWatcher propertyFileWatcher = new PropertyFileWatcher(file); Timer timer = new Timer(); timer.schedule(propertyFileWatcher, 2000); FileWriter fw = new FileWriter(file); fw.write("blah"); fw.close(); Thread.sleep(8000); // check if propertyFileWatcher.onChange was called file.delete(); }

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  • Single Responsibility Principle vs Anemic Domain Model anti-pattern

    - by Niall Connaughton
    I'm in a project that takes the Single Responsibility Principle pretty seriously. We have a lot of small classes and things are quite simple. However, we have an anemic domain model - there is no behaviour in any of our model classes, they are just property bags. This isn't a complaint about our design - it actually seems to work quite well During design reviews, SRP is brought out whenever new behaviour is added to the system, and so new behaviour typically ends up in a new class. This keeps things very easily unit testable, but I am perplexed sometimes because it feels like pulling behaviour out of the place where it's relevant. I'm trying to improve my understanding of how to apply SRP properly. It seems to me that SRP is in opposition to adding business modelling behaviour that shares the same context to one object, because the object inevitably ends up either doing more than one related thing, or doing one thing but knowing multiple business rules that change the shape of its outputs. If that is so, then it feels like the end result is an Anemic Domain Model, which is certainly the case in our project. Yet the Anemic Domain Model is an anti-pattern. Can these two ideas coexist? EDIT: A couple of context related links: SRP - http://www.objectmentor.com/resources/articles/srp.pdf Anemic Domain Model - http://martinfowler.com/bliki/AnemicDomainModel.html I'm not the kind of developer who just likes to find a prophet and follow what they say as gospel. So I don't provide links to these as a way of stating "these are the rules", just as a source of definition of the two concepts.

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  • How to get application context path in spring-ws?

    - by Dhaliwal
    I am using Spring-WS to create a webservice. In my project, I have created a Helper class to reads sample response and request xml file which are located in my /src/main/resource folder. When I am unit-testing my webservice application 'locally', I use the System.getProperty("user.dir") to get the application context folder. The following is a method that I created in the Helper class to help me retrieve the file that I am interested in my resource folder. public static File getFileFromResources(String filename) { System.out.println("Getting file from resource folder"); File request = null; String curDir = System.getProperty("user.dir"); String contextpath = "C:\\src\\main\\resources\\"; request = new File(curDir + contextpath + filename); return request; } However, after 'publishing' the compiled WAR file to the ../webapps folder to the Apache Tomcat directory, I realise that System.getProperty("user.dir") no longer returns my application context path. Instead, it is returning the Apache Tomcat root directory as shown C:\Program Files\Apache Software Foundation\Tomcat 6.0\src\main\resources\SampleClientFile I cant seem to find any information about getting the root folder of my webservice. I have seen examples on Spring web application where I can retrieve the context path by using the following : request.getSession().getServletContext().getContextPath() But in this case, I am using a Spring web application where there is a servlet context in the request. But the Spring-WS, my entry point is an endpoint. How can I get the context path of my webservice application. I am expecting a context path of something like C:\Program Files\Apache Software Foundation\Tomcat 6.0\webapps\clientWebService\WEB-INF\classes Could someone suggest a way to achieve this?

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  • convert list of relative widths to pixel widths

    - by mkoryak
    This is a code review question more then anything. I have the following problem: Given a list of relative widths (no unit whatsoever, just all relative to each other), generate a list of pixel widths so that these pixel widths have the same proportions as the original list. input: list of proportions, total pixel width. output: list of pixel widths, where each width is an int, and the sum of these equals the total width. Code: var sizes = "1,2,3,5,7,10".split(","); //initial proportions var totalWidth = 1024; // total pixel width var sizesTotal = 0; for (var i = 0; i < sizes.length; i++) { sizesTotal += parseInt(sizes[i], 10); } if(sizesTotal != 100){ var totalLeft = 100;; for (var i = 0; i < sizes.length; i++) { sizes[i] = Math.floor(parseInt(sizes[i], 10) / sizesTotal * 100); totalLeft -= sizes[i]; } sizes[sizes.lengh - 1] = totalLeft; } totalLeft = totalWidth; for (var i = 0; i < sizes.length; i++) { widths[i] = Math.floor(totalWidth / 100 * sizes[i]) totalLeft -= widths[i]; } widths[sizes.lenght - 1] = totalLeft; //return widths which contains a list of INT pixel sizes

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