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  • VS2008 Setup Project for C# Project

    - by xopht
    I've built app using wmp.dll which is Windows System File in my XP machine. If I tried add outputs of above project to my Setup Project, VS warned that ''wmp.dll' should be excluded because its source file 'C:\WINDOWS\system32\wmp.dll' is under Windows System File Protection'. There're three things under 'Detected Dependencies' folder. Microsoft .NET Framework, Interop.WMPLib.dll and wmp.dll. The app works okay in my machine, of course. But if I install this into Windows Server 2003 machine, the app does not be launched. I think this is because different version of OS use different version of wmp.dll. Anyway, how can I fix this? ps. I've even excluded wmp.dll from the Setup Project.

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  • Smooth Error in qplot from ggplot2

    - by Jared
    I have some data that I am trying to plot faceted by its Type with a smooth (Loess, LM, whatever) superimposed. Generation code is below: testFrame <- data.frame(Time=sample(20:60,50,replace=T),Dollars=round(runif(50,0,6)),Type=sample(c("First","Second","Third","Fourth"),50,replace=T,prob=c(.33,.01,.33,.33))) I have no problem either making a faceted plot, or plotting the smooth, but I cannnot do both. The first three lines of code below work fine. The fourth line is where I have trouble: qplot(Time,Dollars,data=testFrame,colour=Type) qplot(Time,Dollars,data=testFrame,colour=Type) + geom_smooth() qplot(Time,Dollars,data=testFrame) + facet_wrap(~Type) qplot(Time,Dollars,data=testFrame) + facet_wrap(~Type) + geom_smooth() It gives the following error: Error in [<-.data.frame(*tmp*, var, value = list(NA = NULL)) : missing values are not allowed in subscripted assignments of data frames What am I missing to overlay a smooth in a faceted plot? I could have sworn I had done this before, possibly even with the same data.

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  • XCode automatically deactivating breakpoints

    - by Brian Postow
    I'm using xcode in C++. I'm trying to debug my project, but at random intervals, it seems to ignore my breakpoints. There are three things that it does: 1) Sometimes, when I run, it automatically switches to "de-activate break points" mode. (the relevant button goes light and says "Activate") 2) Sometimes when I run, ALL of my breakpoints go "can't find" mode, with the yellow insides. I need to click twice on them to get them back dark blue (once to light blue = inactive, once to dark blue = active) 3) Sometimes, when I run, my breakpoint is dark blue, the button says "deactivate" and it still just ignores my breakpoint, running straight past it. This makes it very difficult to debug my program... I should add that I'm using XCode 3.1 beta on OSX 10.5.6, in case that matters. thanks.

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  • Custom broadcast events in AS3?

    - by Ender
    In Actionscript 3, most events use the capture/target/bubble model, which is pretty popular nowadays: When an event occurs, it moves through the three phases of the event flow: the capture phase, which flows from the top of the display list hierarchy to the node just before the target node; the target phase, which comprises the target node; and the bubbling phase, which flows from the node subsequent to the target node back up the display list hierarchy. However, some events, such as the Sprite class's enterFrame event, do not capture OR bubble - you must subscribe directly to the target to detect the event. The documentation refers to these as "broadcast events." I assume this is for performance reasons, since these events will be triggered constantly for each sprite on stage and you don't want to have to deal with all that superfluous event propagation. I want to dispatch my own broadcast events. I know you can prevent an event from bubbling (Event.bubbles = false), but can you get rid of capture as well?

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  • unwanted quote marks in output from printf

    - by Gary
    I have some address data which has been exported from a database. If the address had multiple lines, the exported data has joined all the lines into one string with the former lines being separated by dollars signs. Here's one of the addresses: INFORMATION DELIVERY DEPT$704 CHERRY ST$ATLANTA, GA 30332-0900 I'm splitting this into an array on the dollar sign and outputting the three array elements into separate tab-separated fields with printf. For some reason, it comes out like this: INFORMATION DELIVERY DEPT 704 CHERRY ST "ATLANTA, GA 30332-0900" I don't want the quotes around that final field. Can anyone explain why this is happening and how to suppress it? This is being done in Windows Vista with gawk3.1.6. Thanks! gary

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  • Extrapolation using fft in octave

    - by CFP
    Using GNU octave, I'm computing a fft over a piece of signal, then eliminating some frequencies, and finally reconstructing the signal. This give me a nice approximation of the signal ; but it doesn't give me a way to extrapolate the data. Suppose basically that I have plotted three periods and a half of f: x -> sin(x) + 0.5*sin(3*x) + 1.2*sin(5*x) and then added a piece of low amplitude, zero-centered random noise. With fft/ifft, I can easily remove most of the noise ; but then how do I extrapolate 3 more periods of my signal data? (other of course that duplicating the signal). The math way is easy : you have a decomposition of your function as an infinite sum of sines/cosines, and you just need to extract a partial sum and apply it anywhere. But I don't quite get the programmatic way... Thanks!

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  • Does anyone really understand how HFSC scheduling in Linux/BSD works?

    - by Mecki
    I read the original SIGCOMM '97 PostScript paper about HFSC, it is very technically, but I understand the basic concept. Instead of giving a linear service curve (as with pretty much every other scheduling algorithm), you can specify a convex or concave service curve and thus it is possible to decouple bandwidth and delay. However, even though this paper mentions to kind of scheduling algorithms being used (real-time and link-share), it always only mentions ONE curve per scheduling class (the decoupling is done by specifying this curve, only one curve is needed for that). Now HFSC has been implemented for BSD (OpenBSD, FreeBSD, etc.) using the ALTQ scheduling framework and it has been implemented Linux using the TC scheduling framework (part of iproute2). Both implementations added two additional service curves, that were NOT in the original paper! A real-time service curve and an upper-limit service curve. Again, please note that the original paper mentions two scheduling algorithms (real-time and link-share), but in that paper both work with one single service curve. There never have been two independent service curves for either one as you currently find in BSD and Linux. Even worse, some version of ALTQ seems to add an additional queue priority to HSFC (there is no such thing as priority in the original paper either). I found several BSD HowTo's mentioning this priority setting (even though the man page of the latest ALTQ release knows no such parameter for HSFC, so officially it does not even exist). This all makes the HFSC scheduling even more complex than the algorithm described in the original paper and there are tons of tutorials on the Internet that often contradict each other, one claiming the opposite of the other one. This is probably the main reason why nobody really seems to understand how HFSC scheduling really works. Before I can ask my questions, we need a sample setup of some kind. I'll use a very simple one as seen in the image below: Here are some questions I cannot answer because the tutorials contradict each other: What for do I need a real-time curve at all? Assuming A1, A2, B1, B2 are all 128 kbit/s link-share (no real-time curve for either one), then each of those will get 128 kbit/s if the root has 512 kbit/s to distribute (and A and B are both 256 kbit/s of course), right? Why would I additionally give A1 and B1 a real-time curve with 128 kbit/s? What would this be good for? To give those two a higher priority? According to original paper I can give them a higher priority by using a curve, that's what HFSC is all about after all. By giving both classes a curve of [256kbit/s 20ms 128kbit/s] both have twice the priority than A2 and B2 automatically (still only getting 128 kbit/s on average) Does the real-time bandwidth count towards the link-share bandwidth? E.g. if A1 and B1 both only have 64kbit/s real-time and 64kbit/s link-share bandwidth, does that mean once they are served 64kbit/s via real-time, their link-share requirement is satisfied as well (they might get excess bandwidth, but lets ignore that for a second) or does that mean they get another 64 kbit/s via link-share? So does each class has a bandwidth "requirement" of real-time plus link-share? Or does a class only have a higher requirement than the real-time curve if the link-share curve is higher than the real-time curve (current link-share requirement equals specified link-share requirement minus real-time bandwidth already provided to this class)? Is upper limit curve applied to real-time as well, only to link-share, or maybe to both? Some tutorials say one way, some say the other way. Some even claim upper-limit is the maximum for real-time bandwidth + link-share bandwidth? What is the truth? Assuming A2 and B2 are both 128 kbit/s, does it make any difference if A1 and B1 are 128 kbit/s link-share only, or 64 kbit/s real-time and 128 kbit/s link-share, and if so, what difference? If I use the seperate real-time curve to increase priorities of classes, why would I need "curves" at all? Why is not real-time a flat value and link-share also a flat value? Why are both curves? The need for curves is clear in the original paper, because there is only one attribute of that kind per class. But now, having three attributes (real-time, link-share, and upper-limit) what for do I still need curves on each one? Why would I want the curves shape (not average bandwidth, but their slopes) to be different for real-time and link-share traffic? According to the little documentation available, real-time curve values are totally ignored for inner classes (class A and B), they are only applied to leaf classes (A1, A2, B1, B2). If that is true, why does the ALTQ HFSC sample configuration (search for 3.3 Sample configuration) set real-time curves on inner classes and claims that those set the guaranteed rate of those inner classes? Isn't that completely pointless? (note: pshare sets the link-share curve in ALTQ and grate the real-time curve; you can see this in the paragraph above the sample configuration). Some tutorials say the sum of all real-time curves may not be higher than 80% of the line speed, others say it must not be higher than 70% of the line speed. Which one is right or are they maybe both wrong? One tutorial said you shall forget all the theory. No matter how things really work (schedulers and bandwidth distribution), imagine the three curves according to the following "simplified mind model": real-time is the guaranteed bandwidth that this class will always get. link-share is the bandwidth that this class wants to become fully satisfied, but satisfaction cannot be guaranteed. In case there is excess bandwidth, the class might even get offered more bandwidth than necessary to become satisfied, but it may never use more than upper-limit says. For all this to work, the sum of all real-time bandwidths may not be above xx% of the line speed (see question above, the percentage varies). Question: Is this more or less accurate or a total misunderstanding of HSFC? And if assumption above is really accurate, where is prioritization in that model? E.g. every class might have a real-time bandwidth (guaranteed), a link-share bandwidth (not guaranteed) and an maybe an upper-limit, but still some classes have higher priority needs than other classes. In that case I must still prioritize somehow, even among real-time traffic of those classes. Would I prioritize by the slope of the curves? And if so, which curve? The real-time curve? The link-share curve? The upper-limit curve? All of them? Would I give all of them the same slope or each a different one and how to find out the right slope? I still haven't lost hope that there exists at least a hand full of people in this world that really understood HFSC and are able to answer all these questions accurately. And doing so without contradicting each other in the answers would be really nice ;-)

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  • Using LINQ to SQL with multiple databases

    - by Stuart Ferguson
    I am working on a new project and hoping to use LINQ to SQL for the data access but have come across the following issue. I need to have my application access 3 databases with similar but not the same table structure, for example Database1 and Database 2 has a table called tblCustomer with 2 columns CustomerKey and CustomerName Database2 has a table called tblCustomer with 3 columns CustomerKey, CustomerName and CustomerPostCode I am looking for a solution that will allow me a query all three databases without the need for 3 GetCustomerList functions as Database1 and Database2 could use the same function as are the same structure, with an override function for database 3 to bring back the additional field. Is there a way i can declare a base datacontext class to handle Database 1 and 2 with an inherited version for Database 3. Thanks In Advance Stuart Ferguson

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  • SQL Server replication - how to sync tables from internal database to read-only website database

    - by frankadelic
    I have an internal SQL Server 2005 database "ADMIN_DATA" that is used by admin users. We would like to sync three of the database tables in ADMIN_DATA out to another SQL Server 2005 database "WEB_DATA", which is used by a public web app. WEB_DATA is read-only - only SELECT statements are allowed, while ADMIN_DATA is updated all the time. What is the best solution? How can this be accomplished with minimal custom coding and/or changes to database tables? Notes: ADMIN_DATA and WEB_DATA are different physical machines and on different subnets. The syncing operation doesn't need to be instantaneous.

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  • Using CSS Classes for indivdual effects - opinions?

    - by Cool Hand Luke UK
    Hey, Just trying to canvas some opinions here. I was wondering how people go about adding individual effects to html elements. Take this example: you have three types of h1 titles all the same size but some are black some are gold and some are white. Some have a text-shadow etc. Would you create separate CSS classes and add them do the h1 tag or would you create a new single class for each different h1 title type (with grouped CSS elements)? With singular class for each effect you can build up combos of classes in html class="gold shadow" but also how would you name them. For example its bad practice to give classes and id names associated to colours, because it doesn't define what it does well. However is this ok with textual CSS classes? Just wondering what others do, I know there are no hard and fast rules. Cheers.

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  • vs 2010 Deployment without Web Deploy

    - by dritterweg
    with vs 2008 I always used Web Deployment Project to build to three different environments. It is maybe not the best solution, since I still have to xcopy the built files to the server, but it is simple. now with vs 2010 it looks promising, but It looks also complicated. My hosting doesn't have Web Deploy, the newest feature and the flagship technology for deployment in vs2010. My question how can I just build for each environment and copy the files over to the server. Using the Build Deployment Package will create the zip file and when I extract it, it will output so many files and confusing folder structure. Anyone has suggestion?

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  • How do I perform an HSL transform on a texture?

    - by Mason Wheeler
    If I have an OpenGL texture, and I need to perform HSL modifications on it before rendering the texture, from what I've heard I need a shader. Problem is, I know nothing about shaders. Does anyone know where I would need to look? I want to write a function where I can pass in a texture and three values, a hue shift in degrees, and saturation and lightness multipliers between 0 and 2, and then have it call a shader that will apply these transformations to the texture before it renders. The interface would look something like this: procedure HSLTransform(texture: GLuint; hShift: integer; sMult, lMult: GLfloat); I have no idea what's supposed to go inside the routine, though. I understand the basic math involved in HSL/RGB conversions, but I don't know how to write a shader or how to apply it. Can someone point me in the right direction? Delphi examples preferred, but I can also read C if I have to.

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  • Boost.Program_Options not working with short options

    - by inajamaica
    I have the following options_description: po::options_description config("Configuration File or Command Line"); config.add_options() ("run-time,t", po::value(&runTime_)-default_value(1440.0), "set max simulation duration") ("starting-iteration,i", po::value(&startingIteration_)-default_value(1), "set starting simulation iteration") ("repetitions,r", po::value(&repetitions_)-default_value(100), "set number of iterations") ... ; As you can see the three shown have a long,short names employed. The long versions all work. However, none of the short ones do, and each time I try a -t 12345.0 or a -i 12345, etc., I get the following from Program_Options: std::logic_error: in option 'starting-iteration': invalid option value I'm using Boost 1.42 on Win32. Any thoughts on what might be going on here? Thanks!

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  • Flash ActionScript 2.0 problem with the object's _visible parameter

    - by GMan
    Hey guys, I've been trying to build something simple in Flash 8, and I stumbled across something weird I cannot explain: I have an object, and at some point of the program, I want it to be visible (it is invisible at first), so I write: _root.myObj._visible = true; _root.gameOver.swapDepths(_root.getNextHighestDepth()); //so it will be on the top and this works fine, the object becomes visible and etc. What I planned to happen next is that the user presses a button on that same object, and the object will go invisible: on(release) { trace(_root.myObj._visible); _root.myObj._visible = false; trace(_root.myObj._visible); _root.gotoAndPlay("three"); } The trace returns at first true and later on false, so the command works, but oddly the object stays visible, that's what I don't understand. Thanks everybody in advance.

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  • Programatically detect number of physical processors/cores or if hyper-threading is active on Window

    - by HTASSCPP
    I have a multithreaded c++ application that runs on Windows, Mac and a few Linux flavours. To make a long story short: Inorder for it to run at maximum efficiency I have to be able to instantiate a single thread per physical processor/core. Creating more threads than there are physical processors/cores degrades the performance of my program considerably. I can already correctly detect the number of logical processors/cores correctly on all three of these platforms. To be able to detect the number of physical processors/cores correctly I'll have to detect if hyper-treading is supported AND active. My question therefore is if there is a way to detect whether hyperthreading is supported AND ENABLED? If so, how exactly.

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  • C++ Switch Statement Case Error

    - by Metal_Drummer
    I'm programming a simple text-based RPG using a switch statement for a game loop. The program works fine until I attempt to add another case statement, at which point it gives me the following three errors: "jump to case label" (error occurs at the line of the newly added case), and two "crosses initialization of 'ClassName *objectName'"(errors occur when the new objects are created in case 2). I'll paste the important code, if anyone needs more, please let me know. int main(void) { //initiate first object array and add some objects //initiate second object array and add some objects while(gamestate != 8) { switch(gamestate) { case 0: //do some stuff break; case 1: //do some stuff break; case 2: //declare new objects of the two... //...classes I have (ClassName *objectName) //do some stuff break; case 3: //this is the case I am trying to add //do nothing break; } } return 0; }

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  • calculating the potential effect of inaccurate triangle vertex positions on the triangle edge lenght

    - by stingrey
    i'm not sure how to solve the following problem: i have a triangle with each of the three known vertex positions A,B,C being inaccurate, meaning they can each deviate up to certain known radii rA, rB, rC into arbitrary directions. given such a triangle, i want to calculate how much the difference of two specific edge lengths (for instance the difference between lengths of edge a and edge b) of the triangle may change in the worst case. is there any elegant mathematical solution to this problem? the naive way i thought of is calculating all 360^3 angle combinations and measuring the edge differences for each case, which is a rather high overhead.

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  • Dynamically enable or disable RequiredFieldValidator based on value of DropDownList

    - by Jeremy
    I have an ASP.NET form with three text inputs, one each for "Work Phone", "Home Phone" and "Cell Phone". Each of these text inputs has a RequiredFieldValidator associated with it. I also have a DropDownList where the user can select the preferred phone type. I want to only require the field that is selected in the DropDownList. For example, if the user selects "Work Phone" from the DropDownList, I want to disable the RequiredFieldValidator for "Home Phone" and "Cell Phone", thereby only making the "Work Phone" field required. I have a method that enables and disables these validators based on the value of the DropDownList, but I cannot figure out when to call it. I want this method to run before the validation takes place on the page. How would I do that?

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  • Python if statement efficiency

    - by Dennis
    A friend (fellow low skill level recreational python scripter) asked me to look over some code. I noticed that he had 7 separate statements that basically said. if ( a and b and c): do something the statements a,b,c all tested their equality or lack of to set values. As I looked at it I found that because of the nature of the tests, I could re-write the whole logic block into 2 branches that never went more than 3 deep and rarely got past the first level (making the most rare occurrence test out first). if a: if b: if c: else: if c: else: if b: if c: else: if c: To me, logically it seems like it should be faster if you are making less, simpler tests that fail faster and move on. My real questions are 1) When I say if and else, should the if be true, does the else get completely ignored? 2) In theory would if (a and b and c) take as much time as the three separate if statements would?

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  • c# XML add an XML node as a child to a particular other node

    - by kacalapy
    I have an XML doc with a structure like this: <Book> <Title title="Door Three"/> <Author name ="Patrick"/> </Book> <Book> <Title title="Light"/> <Author name ="Roger"/> </Book> I want to be able to melodramatically add XML nodes to this XML in a particular place. Lets say I wanted to add a Link node as a child to the author node where the name is Roger. I think it's best if the function containing this logic is passed a param for the name to add an XML node under, please advise and what's the code I need to add XML nodes to a certain place in the XML? Now I am using .AppendChild() method but it doesn't allow for me to specify a parent node to add under...

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  • Declaring data types in SQLite

    - by dan04
    I'm familiar with how type affinity works in SQLite: You can declare column types as anything you want, and all that matters is whether the type name contains "INT", "CHAR", "FLOA", etc. But is there a commonly-used convention on what type names to use? For example, if you have an integer column, is it better to distinguish between TINYINT, SMALLINT, MEDIUMINT, and BIGINT, or just declare everything as INTEGER? So far, I've been using the following: INTEGER REAL CHAR(n) -- for strings with a known fixed with VARCHAR(n) -- for strings with a known maximum width TEXT -- for all other strings BLOB BOOLEAN DATE -- string in "YYYY-MM-DD" format TIME -- string in "HH:MM:SS" format TIMESTAMP -- string in "YYYY-MM-DD HH:MM:SS" format (Note that the last three are contrary to the type affinity.)

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  • Understanding a multilayer perceptron network

    - by Jonas Nielsen
    Hi all, I'm trying to understand how to train a multilayer, however, I'm having some trouble figuring out on choosing the amount of neurons in my network. For a specific task, I have four input sources that can each input one of three states. I guess that would mean four input neurons firing either 0, 1 or 2, but as far as I'm told, input should be kept binary? Furthermore am I having some issues choosing on the amount of neurons in the hidden layer. Any comments would be great. Thanks.

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  • How to fetch the data from binary log file and insert in our desired table in MySQL?

    - by Parth
    How to fetch the data from binary log file and insert in our desired table in MySQL? I am on my way of scripting a PHP code for Audit Trail, in this I encountered a situation that if there will be new table created then I will not be available with triggers for that new table and hence no tracking could be done for that, so if I code it to create three new triggers for this new table, then how will get the last change done in this table? Hence I found that Binary Log File can be helpfull for me in this case, to fetch the last change for this new table and insert it in tracking table... BUT HOW????

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  • Design pattern for parsing data that will be grouped to two different ways and flipped

    - by lewisblackfan
    I'm looking for an easily maintainable and extendable design model for a script to parse an excel workbook into two separate workbooks after pulling data from other locations like the command line, and a database. The high level details are as follows. I need to parse an excel workbook containing a sheet that lists unique question names, the only reliable information that can be parsed from the question name is the book code that identifies the title and edition of the textbook the question is associated with, the rest of the question name is not standardized well enough to be reliably parsed by computer. The general form of the question name is best described by the following regular expression. '^(\w+)\s(\w{1,2})\.(\w{1,2})\.(\w{1,3})\.(\w{1,3}\.)*$' The first sub-pattern is the book code, the second sub-pattern is 90% of the time the chapter, and the rest of the sub-patterns could be section, problem type, problem number, or question type information. There is no simple logic, at least not one I can find. There will be a minimum of three other columns in this spreadsheet; one column will be the chapter the question is associated with, the second will be the section within the chapter the question is associated with, and the third will be some kind of asset indicated by a uniform resource locator. 1 | 1 | qname1 | url | description | url | description ... 1 | 1 | qname2 | url | description 1 | 1 | qname3 | url | description | url | description | url | The asset can be indicated by a full or partial uniform resource locator, the partial url will need to be completed before it can be fed into the application. There theoretically could be no limit to the number of asset columns, the assets will be grouped in columns by type. Some times additional data will have to be retrieved from a database or combined with the book code before the asset url is complete and can be understood by the application that will be using the asset. The type is an abstraction, there are eight types right now, each with their own logic in how the uniform resource locator is handled and or completed, and I have to add a new type and its logic every three or four months. For each asset url there is the possibility of a description column, a character string for display in the application, but not always. (I've already worked out validating the description text, and squashing MSs obscure code page down to something 7-bit ascii can handle.) Now that all the details are filled-in I can get to the actual problem of parsing the file. I need to split the information in this excel workbook into two separate workbooks. The first workbook will group all the questions by section in rows. With the first cell being the section doublet and the rest of the cells in the row are the question names. 1.1 | qname1 | qname2 | qname3 | qname4 | 1.2 | qname1 | qname2 | qname3 | 1.3 | qname1 | qname2 | qname3 | qname4 | qname5 There is no set number of questions for each section as you can see from the above example. The second workbook is more complicated, there is one row per asset, and question names that have more than one asset will be duplicated. There will be four or five columns on this sheet. The first is the question name for the asset, the second is a media type used to select the correct icon for the asset in the application, the third is string representing the asset type, the four is the full and complete uniform resource locator for the asset, and the fifth columns is the optional text description for the asset. q1 | mtype1 | atype1 | url | description q1 | mtype2 | atype2 | url | description q1 | mtype2 | atype3 | url | description q2 | mtype1 | atype1 | url | description q2 | mtype2 | atype3 | url | description For the original six types I did have a script that parsed the source excel workbook into the other two excel workbooks, and I was able to add two more types until I ran aground on the implementation of the ninth type and tenth types. What broke my script was the fact that the ninth type is actually a sub-type of one of the original six, but with entirely different logic, and my mostly procedural script could not accommodate without duplicating a lot of code. I also had a lot of bugs in the script and will be writing the test first on this time around. I'm stuck with the format for the resulting two workbooks, this script is glue code, development went ahead with the project without bothering to get a complete spec from the sponsor. I work for the same company as the developers but in the editorial department, editorial is co-sponsor of the project, and am expected to fix pesky details like this (I'm foaming at the mouth as I type this). I've tried factories, I've tried different object models, but each resulting workbook is so different when I find a design that works for generating one workbook the code is not really usable for generating the other. What I would really like are ideas about a maintainable and extensible design for parsing the source workbook into both workbooks with maximum code reuse, and or sympathy.

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  • 3 methods for adding a "Product" through Entity Framework. What's the difference?

    - by Kohan
    Reading this MSDN article titled "Working with ObjectSet (Entity Framework)" It shows two examples on how to add a Product.. one for 3.5 and another for 4.0. http://msdn.microsoft.com/en-us/library/ee473442.aspx Through my lack of knowledge I am possibly completely missing something here, but i never added a Product like this: //In .NET Framework 3.5 SP1, use the following code: (ObjectQuery) using (AdventureWorksEntities context = new AdventureWorksEntities()) { // Add the new object to the context. context.AddObject("Products", newProduct); } //New in .NET Framework 4, use the following code: (ObjectSet) using (AdventureWorksEntities context = new AdventureWorksEntities()) { // Add the new object to the context. context.Products.AddObject(newProduct); } I would not have done it either way and just used: // (My familiar way) using (AdventureWorksEntities context = new AdventureWorksEntities()) { // Add the new object to the context. context.AddToProducts(newProduct); } What's the difference between these three ways? Is "My way" just another way of using an ObjectQuery? Thanks, Kohan

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