Search Results

Search found 7583 results on 304 pages for 'roger guess'.

Page 240/304 | < Previous Page | 236 237 238 239 240 241 242 243 244 245 246 247  | Next Page >

  • Ruby on Rails: How to use a local variable in a collection_select

    - by mmacaulay
    I have a partial view which I'm passing a local variable into: <%= render :partial => "products/product_row", :locals => { :product => product } %> These are rows in a table, and I want to have a <select> in each row for product categories: <%= collection_select(:product, :category_id, @current_user.categories, :id, :name, options = {:prompt => "-- Select a category --"}, html_options = { :id => "", :class => "product_category" }) %> (Note: the id = "" is there because collection_select tries to give all these select elements the same id.) The problem is that I want to have product.category be selected by default and this doesn't work unless I have an instance variable @product. I can't do this in the controller because this is a collection of products. One way I was able to get around this was to have this line just before the collection_select: <% @product = product %> But this seems very hacky and would be a problem if I ever wanted to have an actual instance variable @product in the controller. I guess one workaround would be to name this instance variable something more specific like @product_select_tmp in hopes of not interfering with anything that might be declared in the controller. This still seems very hacky though, and I'd prefer a cleaner solution. Surely there must be a way to have collection_select use a local variable instead of an instance variable. Note that I've tried a few different ways of calling collection_select with no success: <%= collection_select(product, ... <%= collection_select('product', ... etc. Any help greatly appreciated!

    Read the article

  • Row selection based on subtable data in MySQL

    - by Felthragar
    I've been struggling with this selection for a while now, I've been searching around StackOverflow and tried a bunch of stuff but nothing that helps me with my particular issue. Maybe I'm just missing something obvious. I have two tables: Measurements, MeasurementFlags "Measurements" contain measurements from a device, and each measurement can have properties/attributes attached to them (commonly known as "flags") to signify that the measurement in question is special in some way or another (for instance, one flag may signify a test or calibration measurement). Note: One record per flag! Right, so a record from the "Measurements" table can theoreticly have an unlimited amount of MeasurementFlags attached to it, or it can have none. Now, I need to select records from "Measurements", that have an attached "MeasurementFlag" valued "X", but it must also NOT have a flag valued "Y" attached to it. We're talking about a fairly large database with hundreds of millions of rows, which is why I'm trying to keep all of this logic within one query. Splitting it up would create too many queries, however if it's not possible to do in one query I guess I don't have a choise. Thanks in advance.

    Read the article

  • CarrierWave and nested forms saving empty image object if photo :title is included in form

    - by Wasabi Developer
    I'm after some advice in regards to handling nested form data and I would be ever so grateful for any insights. The trouble is I'm not 100% sure why I require the following code in my model accepts_nested_attributes_for :holiday_image, allow_destroy: true, :reject_if => lambda { |a| a[:title].blank? } If I don't understand why I require to tact on on my accepts_nested_attributes_for association: :reject_if => lambda { |a| a[:title].blank? } If I remove this :reject_if lambda, it will save a blank holiday photo object in the database. I presume because it takes the :title field from the form as an empty string? I guess my question is, am I doing this right or is there a better way of this this within nested forms if I want to extend my HolidayImage model to include more strings like description, notes? Sorry If I can't be more succinct. My simple holiday app. # holiday.rb class Holiday < ActiveRecord::Base has_many :holiday_image accepts_nested_attributes_for :holiday_image, allow_destroy: true, :reject_if => lambda { |a| a[:title].blank? } attr_accessible :name, :content, :holiday_image_attributes end I'm using CarrierWave for image uploads. # holiday_image.rb class HolidayImage < ActiveRecord::Base belongs_to :holiday attr_accessible :holiday_id, :image, :title mount_uploader :image, ImageUploader end Inside my _form partial there is a field_for block <h3>Photo gallery</h3> <%= f.fields_for :holiday_image do |holiday_image| %> <% if holiday_image.object.new_record? %> <%= holiday_image.label :title, "Image Title" %> <%= holiday_image.text_field :title %> <%= holiday_image.file_field :image %> <% else %> Title: <%= holiday_image.object.title %> <%= image_tag(holiday_image.object.image.url(:thumb)) %> Tick to delete: <%= holiday_image.check_box :_destroy %> <% end %> Thanks again for your patience.

    Read the article

  • Calling services from the Orchestrating layer in SOA?

    - by Martin Lee
    The Service Oriented Architecture Principles site says that Service Composition is an important thing in SOA. But Service Loose Coupling is important as well. Does that mean that the "Orchestrating layer" should be the only one that is allowed to make calls to services in the system? As I understand SOA, the "Orchestrating layer" 'glues' all the services together into one software application. I tried to depict that on Fig.A and Fig.B. The difference between the two is that on Fig.A the application is composed of services and all the logic is done in the "Orchestrating layer" (all calls to services are done from the "Orchestrating layer" only). On Fig.B the application is composed from services, but one service calls another service. Does the architecture on Fig.B violate the "Service Loose Coupling" principle of SOA? Can a service call another service in SOA? And more generally, can the architecture on Fig.A be considered superior to the one on Fig.B in terms of service loose coupling, abstraction, reusability, autonomy, etc.? My guess is that the A architecture is much more universal, but it can add some unnecessary data transfers between the "Orchestrating layer" and all the called services.

    Read the article

  • Objective-C Getter Memory Management

    - by Marian André
    I'm fairly new to Objective-C and am not sure how to correctly deal with memory management in the following scenario: I have a Core Data Entity with a to-many relationship for the key "children". In order to access the children as an array, sorted by the column "position", I wrote the model class this way: @interface AbstractItem : NSManagedObject { NSArray * arrangedChildren; } @property (nonatomic, retain) NSSet * children; @property (nonatomic, retain) NSNumber * position; @property (nonatomic, retain) NSArray * arrangedChildren; @end @implementation AbstractItem @dynamic children; @dynamic position; @synthesize arrangedChildren; - (NSArray*)arrangedChildren { NSArray* unarrangedChildren = [[self.children allObjects] retain]; NSSortDescriptor* sortDescriptor = [[NSSortDescriptor alloc] initWithKey:@"position" ascending:YES]; [arrangedChildren release]; arrangedChildren = [unarrangedChildren sortedArrayUsingDescriptors:[NSArray arrayWithObject:sortDescriptor]]; [sortDescriptor release]; [unarrangedChildren release]; return [arrangedChildren retain]; } @end I'm not sure whether or not to retain unarrangedChildren and the returned arrangedChildren (first and last line of the arrangedChildren getter). Does the NSSet allObjects method already return a retained array? It's probably too late and I have a coffee overdose. I'd be really thankful if someone could point me in the right direction. I guess I'm missing vital parts of memory management knowledge and I will definitely look into it thoroughly.

    Read the article

  • Managing aesthetic code changes in git

    - by Ollie Saunders
    I find that I make a lot of small changes to my source code, often things that have almost no functional effect. For example: Refining or correcting comments. Moving function definitions within a class for a more natural reading order. Spacing and lining up some declarations for readability. Collapsing something using multiple lines on to one. Removing an old piece of commented-out code. Correcting some inconsistent whitespace. I guess I have a formidable attention to detail in my code. But the problem is I don't know what to do about these changes and they make it difficult to switch between branches etc. in git. I find myself not knowing whether to commit the minor changes, stash them, or put them in a separate branch of little tweaks and merge that in later. None those options seems ideal. The main problem is that these sort of changes are unpredictable. If I was to commit these there would be so many commits with the message "Minor code aesthetic change.", because, the second I make such a commit I notice another similar issue. What should I do when I make a minor change, a significant change, and then another minor change? I'd like to merge the three minor changes into one commit. It's also annoying seeing files as modified in git status when the change barely warrants my attention. I know about git commit --amend but I also know that's bad practice as it makes my repo inconsistent with remotes.

    Read the article

  • ActiveRecord exceptions not rescued

    - by zoopzoop
    I have the following code block: unless User.exist?(...) begin user = User.new(...) # Set more attributes of user user.save! rescue ActiveRecord::RecordInvalid, ActiveRecord::RecordNotUnique => e # Check if that user was created in the meantime user = User.exists?(...) raise e if user.nil? end end The reason is, as you can probably guess, that multiple processes might call this method at the same time to create the user (if it doesn't already exist), so while the first one enters the block and starts initializing a new user, setting the attributes and finally calling save!, the user might already be created. In that case I want to check again if the user exists and only raise the exception if it still doesn't (= if no other process has created it in the meantime). The problem is, that regularly ActiveRecord::RecordInvalid exceptions are raised from the save! and not rescued from the rescue block. Any ideas? EDIT: Alright, this is weird. I must be missing something. I refactored the code according to Simone's tip to look like this: unless User.find_by_email(...).present? # Here we know the user does not exist yet user = User.new(...) # Set more attributes of user unless user.save # User could not be saved for some reason, maybe created by another request? raise StandardError, "Could not create user for order #{self.id}." unless User.exists?(:email => ...) end end Now I got the following exception: ActiveRecord::RecordNotUnique: Mysql::DupEntry: Duplicate entry '[email protected]' for key 'index_users_on_email': INSERT INTO `users` ... thrown in the line where it says 'unless user.save'. How can that be? Rails thinks the user can be created because the email is unique but then the Mysql unique index prevents the insert? How likely is that? And how can it be avoided?

    Read the article

  • Non-wiki CMS for an online user guide

    - by Russell Leggett
    For a large web application I'm building, I need to create an extensive user guide. The first thought was a wiki, but what I've seen lacks the ease of customization I've seen in CMSs, and has a lot of extra features I don't need. The number of users editing the document is small and closed, but it needs to be editable by non-technical users. The number of pages will likely be between 50-100. It also needs to be searchable. It would also be a plus if it had nice readable urls to link to from our web app. Right now, my best guess is WordPress, but that seems a lot more geared towards blogging with just a handful of pages, than having several pages, and possibly no blogs. There isn't a language requirement, although we have the most experience with Java and PHP. We aren't looking to have to do any major coding other than customizing for visuals, so hopefully the language will not be too important. Again, I'm not looking for the best general purpose CMS, just something that would be easiest for a user guide.

    Read the article

  • How to access and run field events from extension js?

    - by Dan Roberts
    I have an extension that helps in submitting forms automatically for a process at work. We are running into a problem with dual select boxes where one option is selected and then that selection changes another field's options. Since setting an option selected property to true doesn't trigger the field's onchange event I am trying to do so through code. The problem I've run into is that if I try to access or run functions on the field object from the extension, I get the error Error: uncaught exception: [Exception... "Component is not available" nsresult: "0x80040111 (NS_ERROR_NOT_AVAILABLE)" location: "JS frame :: chrome://webformsidebar/content/webformsidebar.js :: WebFormSidebar_FillProcess :: line 499" data: no] the line causing the error is... if (typeof thisField.onchange === 'function') The line right before it works just fine... thisField.options[t].selected=true; ...so I'm not sure why this is resulting in such an error. What surprises me most I guess is that checking for the existence of the function leads to an error. It feels like the problem is related to the code running in the context of the extension instead of the browser window document. If so, is there any way to call a function in the browser window context instead? Do I need to actually inject code into the page somehow? Any other ideas? Thanks

    Read the article

  • Malware - Technical anlaysis

    - by nullptr
    Note: Please do not mod down or close. Im not a stupid PC user asking to fix my pc problem. I am intrigued and am having a deep technical look at whats going on. I have come across a Windows XP machine that is sending unwanted p2p traffic. I have done a 'netstat -b' command and explorer.exe is sending out the traffic. When I kill this process the traffic stops and obviously Windows Explorer dies. Here is the header of the stream from the Wireshark dump (x.x.x.x) is the machines IP. GNUTELLA CONNECT/0.6 Listen-IP: x.x.x.x:8059 Remote-IP: 76.164.224.103 User-Agent: LimeWire/5.3.6 X-Requeries: false X-Ultrapeer: True X-Degree: 32 X-Query-Routing: 0.1 X-Ultrapeer-Query-Routing: 0.1 X-Max-TTL: 3 X-Dynamic-Querying: 0.1 X-Locale-Pref: en GGEP: 0.5 Bye-Packet: 0.1 GNUTELLA/0.6 200 OK Pong-Caching: 0.1 X-Ultrapeer-Needed: false Accept-Encoding: deflate X-Requeries: false X-Locale-Pref: en X-Guess: 0.1 X-Max-TTL: 3 Vendor-Message: 0.2 X-Ultrapeer-Query-Routing: 0.1 X-Query-Routing: 0.1 Listen-IP: 76.164.224.103:15649 X-Ext-Probes: 0.1 Remote-IP: x.x.x.x GGEP: 0.5 X-Dynamic-Querying: 0.1 X-Degree: 32 User-Agent: LimeWire/4.18.7 X-Ultrapeer: True X-Try-Ultrapeers: 121.54.32.36:3279,173.19.233.80:3714,65.182.97.15:5807,115.147.231.81:9751,72.134.30.181:15810,71.59.97.180:24295,74.76.84.250:25497,96.234.62.221:32344,69.44.246.38:42254,98.199.75.23:51230 GNUTELLA/0.6 200 OK So it seems that the malware has hooked into explorer.exe and hidden its self quite well as a Norton Scan doesn't pick anything up. I have looked in Windows firewall and it shouldn't be letting this traffic through. I have had a look into the messages explorer.exe is sending in Spy++ and the only related ones I can see are socket connections etc... My question is what can I do to look into this deeper? What does malware achieve by sending p2p traffic? I know to fix the problem the easiest way is to reinstall Windows but I want to get to the bottom of it first, just out of interest.

    Read the article

  • Processing command-line arguments in prefix notation in Python

    - by ejm
    I'm trying to parse a command-line in Python which looks like the following: $ ./command -o option1 arg1 -o option2 arg2 arg3 In other words, the command takes an unlimited number of arguments, and each argument may optionally be preceded with an -o option, which relates specifically to that argument. I think this is called a "prefix notation". In the Bourne shell I would do something like the following: while test -n "$1" do if test "$1" = '-o' then option="$2" shift 2 fi # Work with $1 (the argument) and $option (the option) # ... shift done Looking around at the Bash tutorials, etc. this seems to be the accepted idiom, so I'm guessing Bash is optimized to work with command-line arguments this way. Trying to implement this pattern in Python, my first guess was to use pop(), as this is basically a stack operation. But I'm guessing this won't work as well on Python because the list of arguments in sys.argv is in the wrong order and would have to be processed like a queue (i.e. pop from the left). I've read that lists are not optimized for use as queues in Python. So, my ideas are: convert argv to a collections.deque and use popleft(), reverse argv using reverse() and use pop(), or maybe just work with the int list indices themselves. Does anyone know of a better way to do this, otherwise which of my ideas would be best-practise in Python?

    Read the article

  • debugging scaffolding contingent upon degbugging boolean (java)

    - by David
    Recently i've found myself writing a lot of methods with what i can only think to call debugging scaffolding. Here's an example: public static void printArray (String[] array, boolean bug) { for (int i = 0; i<array.lenght; i++) { if (bug) System.out.print (i) ; //this line is what i'm calling the debugging scaffolding i guess. System.out.println(array[i]) ; } } in this method if i set bug to true, wherever its being called from maybe by some kind of user imput, then i get the special debugging text to let me know what index the string being printed as at just in case i needed to know for the sake of my debugging (pretend a state of affairs exists where its helpful). All of my questions more or less boil down to the question: is this a good idea? but with a tad bit more objectivity: Is this an effective way to test my methods and debug them? i mean effective in terms of efficiency and not messing up my code. Is it acceptable to leave the if (bug) stuff ; code in place after i've got my method up and working? (if a definition of "acceptability" is needed to make this question objective then use "is not a matter of programing controversy such as ommiting brackets in an if(boolean) with only one line after it, though if you've got something better go ahead and use your definition i won't mind) Is there a more effective way to accomplish the gole of making debugging easier than what i'm doing? Anything you know i mean to ask but that i have forgotten too (as much information as makes sense is appreciated).

    Read the article

  • How to make Web Storage persistent in Cordova using JS?

    - by ett
    I have a small quiz app, which is a cross-platform mobile app, that I plan for it to run on Android, iOS, and WP8. I want to store a local highscore, where it will keep track how many points the user had, and if he/she does better than the already stored highscore, update the current highscore. Though, I want the highscore to be persistent, what I mean is, every time the user opens the app I want the last highscore to be present and it to be compared with the new quiz score. Meaning, I don't want the highscore to be deleted after each time the app is closed. I also want for the first time when the app is ran, the highscore to be set to 0, so obviously the first time the user finishes the quiz gets a new highscore. I have those codes so far: scoredb.js // Wait for device API libraries to load document.addEventListener("deviceready", initScoreDB, false); // Device APIs are available function initScoreDB() { window.localStorage.setItem("score", 0); highscore = window.localStorage.getItem("score"); } main.js var correct = 0; var highscore; // In between I have some code that keeps incrementing // correct variable for each correct answer. if (correct > highscore) { window.localStorage.setItem("score", correct); highscore = correct; } It does seem to work okay once the app is started. I did the quiz three times, in the simulator, and it keeps the score as it should. Though, each time I open the app, highscore is reseted to 0. I guess it is due to the fact that I call initScoreDB when the device is ready, and I initialize the score to 0 there and give that value to highscore. Can someone help me to initialize the score to 0 only when the app is ran for the first time, and all the other times to keep the latest highscore as the current highscore and compare it each time with the score that is achieved when the quiz is finished. If someone can help me, I would be glad.

    Read the article

  • Simulating 3D 'cards' with just orthographic rendering

    - by meds
    I am rendering textured quads from an orthographic perspective and would like to simulate 'depth' by modifying UVs and the vertex positions of the quads four points (top left, top right, bottom left, bottom right). I've found if I make the top left and bottom right corners y position be the same I don't get a linear 'skew' but rather a warped one where the texture covering the top triangle (which makes up the quad) seems to get squashed while the bottom triangles texture looks normal. I can change UVs, any of the four points on the quad (but only in 2D space, it's orthographic projection anyway so 3D space won't matter much). So basically I'm trying to simulate perspective on a two dimensional quad in orthographic projection, any ideas? Is it even mathematically possible/feasible? ideally what I'd like is a situation where I can set an x/y rotation as well as a virtual z 'position' (which simulates z depth) through a function and see it internally calclate the positions/uvs to create the 3D effect. It seems like this should all be mathematical where a set of 2D transforms can be applied to each corner of the quad to simulate depth, I just don't know how to make it happen. I'd guess it requires trigonometry or something, I'm trying to crunch the math but not making much progress. here's what I mean: Top left is just the card, center is the card with a y rotation of X degrees and right most is a card with an x and y rotation of different degrees.

    Read the article

  • SharePoint randomly replacing file names in web parts?

    - by nvuono
    Ok SharePoint is driving me crazy and I need to see if anyone has encountered a similar problem or knows of a solution: I have a content editor webpart with some HTML including links to PDF files that I've modified slightly to append an employee number querystring ie: <a href="http://moss.company.com/group/home/EPermits /Blank%20Form%20Templates/_blank_breach_permit.pdf?empNum=">New Breach Permit</a> And SharePoint seems to randomly replace the filename with aab04168 or some other similar characters: <a href="http://moss.company.com/group/home/EPermits /Blank%20Form%20Templates/aab04168?empNum=">New Breach Permit</a> After this happened a few times with no explanation I tried changing the content editor webpart to look directly at a documentLinks.html file located in the Shared Documents folder of the SharePoint site and guess what... SharePoint edited that document and replaced my filenames with random characters in there too! Figuring that filenames beginning with an underscore could be triggering some internal SharePoint procedures I've renamed all the files to remove the starting underscore--unfortunately the problem isn't immediately reproducible and I'm waiting right now to see if I run into any more trouble. edit: the underscore in the filename didn't help... my documentLinks.html wound up getting modified and all the hrefs were replaced with random characters again. Now I'm setting the hrefs in javascript with the filename text concatenated together from multiple strings. linkEle.href = ".../EPermits/Blank%20Form%20Templates/blank" + "_Chemical_Usage.pdf?empNum=" + empNumber;

    Read the article

  • Beginning Haskell: "not in scope" Unprecedented error

    - by user1071838
    So I just started learning Haskell, and this (http://learnyouahaskell.com) nifty book is giving a lot of help. So yesterday I wrote in a text file doubleMe x = x + x and saved it as double.hs. So after saving that I open up my command prompt, CD to the right folder, type in "ghci" to get haskell started, and then type in >doubleMe 5 10 and everything seems to work. Now today, I do the same thing and this happens (actual copy paste from command line) . . . C:\Users\myName\haskell>ghci GHCi, version 7.0.3: http://www.haskell.org/ghc/ :? for help Loading package ghc-prim ... linking ... done. Loading package integer-gmp ... linking ... done. Loading package base ... linking ... done. Loading package ffi-1.0 ... linking ... done. Prelude> :l double.hs [1 of 1] Compiling Main ( double.hs, interpreted ) Ok, modules loaded: Main. *Main> doubleMe 5 <interactive>:1:1: Not in scope: `doubleMe' So basically, everything was working fine, but now haskell can't find the function I wrote in double.hs. Can anyone tell what is going on? I'm pretty lost and confused. This is just a guess but does it have to do with *Main at all? Thanks for the help.

    Read the article

  • Two way sync with rsync

    - by mwm
    I have a folder a/ and a remote folder A/. I now run something like this on a Makefile: get-music: rsync -avzru server:/media/10001/music/ /media/Incoming/music/ put-music: rsync -avzru /media/Incoming/music/ server:/media/10001/music/ sync-music: get-music put-music when I make sync-music, it first gets all the diffs from server to local and then the opposite, sending all the diffs from local to server. This works very well only if there are just updates or new files on the future. If there are deletions, it doesn't do anything. In rsync there is --delete and --delete-after options to help accomplish what I want but thing is, it doesn't work on a 2-way-sync. If I want to delete server files on a syn, when local files have been deleted, it works, but if, for some reason (explained after) I have some files that aren't in the server but exist locally and they were deleted, I want locally to remove them and not server copied (as it happens). Thing is I have 3 machines in context: desktop notebook home-server So, sometimes, server will have files that were deleted with a notebook sync, for example and then, when I run a sync with my desktop (where the deleted server files still exist on) I want these files to be deleted and not to be copied again to the server. I guess this is only possible with a database and track of operations :P Any simple solutions? Thank you.

    Read the article

  • Displaying tree path of record in SQL Server 2005

    - by jskiles1
    An example of my tree table is: ([id] is an identity) [id], [parent_id], [path] 1, NULL, 1 2, 1, 1-2 3, 1, 1-3 4, 3, 1-3-4 My goal is to query quickly for multiple rows of this table and view the full path of the node from its root, through its superiors, down to itself. The ultimate question is, should I generate this path on inserts and maintain it in its own column or generate this path on query to save disk space? I guess it depends if this table is write heavy or read heavy. I've been contemplating several approaches to using the "path" characteristic of this parent/child relationship and I just can't seem to settle on one. This "path" is simply for display purposes and serves absolutely no purpose other than that. Here is what I have done to implement this "path." AFTER INSERT TRIGGER - requires passing a NULL path to the insert and updating the path for the record at the inserted rows identity INSTEAD OF INSERT TRIGGER - does not require insert to have NULL path passed, but does require the trigger to insert with a NULL path and updating the path for the record at SCOPE_IDENTITY() STORED PROCEDURE - requiring all inserts into this table to be done through the stored procedure implementing the trigger logic VIEW - requires building the path in the view 1 and 2 seem annoying if massive amounts of data are entered at once. 3 seems annoying because all inserts must go through the procedure in order to have a valid path populated. 1, 2, and 3 require maintaining a path column on the table. 4 removes all the limitations of the above but require the view to perform the path logic and requires use of the view if a path is to be displayed. I have successfully implemented all of the above approaches and I'm mainly looking for some advice. Am I way off the mark here or are any of the above acceptable? Each has it's advantages and disadvantages.

    Read the article

  • Firebug error causing code to fail in Sitecore when using IE8 to view the Content Editor

    - by iamdudley
    Hi, I have a Sitecore 6 CMS with a custom data provider to create child items on the fly based on items added to a field in the parent item. This was working okay (about a week ago was the last time I was working on this project), but now I am getting errors in the web client which are originating in the FirebugLite html and JS files. Basically, I click on a content item, the FirebugLite js fails, and then my code in my custom data provider fails to run. I would have thought any FirebugLite scripts would be disabled or ignored when running under IE8 (isn't FirebugLite a Firefox addin?) When I remove the FirebugLite folder from ..\sitecore\shell\Controls\Lib\ my code runs fine and I don't get the clientside errors. I'm not really sure what my question is. I guess it is should FirebugLite affect IE8? What am I missing out on if I remove FirebugLite from the Sitecore directory tree? I'm running WindowsXP SP3, VS2008. The errors I get are the following: Webpage error details User Agent: Mozilla/4.0 (compatible; MSIE 8.0; Windows NT 5.1; Trident/4.0; .NET CLR 1.1.4322; .NET CLR 2.0.50727; .NET CLR 3.0.4506.2152; .NET CLR 3.5.30729) Timestamp: Fri, 14 May 2010 06:42:04 UTC Message: Invalid argument. Line: 301 Char: 9 Code: 0 URI: http://xxxxxxx.com.au/sitecore/shell/controls/lib/FirebugLite/firebug.js Message: Object doesn't support this property or method Line: 21 Char: 1 Code: 0 URI: http://xxxxxxxx.com.au/sitecore/shell/controls/lib/FirebugLite/firebug.html Message: Invalid argument. Line: 301 Char: 9 Code: 0 URI: http://xxxxxxxx.com.au/sitecore/shell/controls/lib/FirebugLite/firebug.js Message: Object doesn't support this property or method Line: 21 Char: 1 Code: 0 URI: http://xxxxxxxx.com.au/sitecore/shell/controls/lib/FirebugLite/firebug.html Cheers, James.

    Read the article

  • How to debug PHP?

    - by NutMotion
    Anyone's been trying himself at object oriented programming ? Most probably every developer I guess:D I for one have never studied OO design patterns thoroughly, and trying to put it all together now does prove at times thrilling, and many times frustrating also. Even more so when trying to do it in : PHP! All-in-all, my boss asked me to add some Database persistence functions to her server, but most of all, she asked me to translate her already working procedural code into a working Object Oriented code. Here I am, still standing on my PHP OO project. I'm (already) fed up with this "file logging only" PHP capability. I believe there must be some (free or not too much expansive) PHP debugging utility ? I've heard about Zend Studio and PHPEd so far, which didn't quite do the trick for whatever reasons. WIRCW("Which I don't Remember Correctly Why" lol) What say yé? on debugging PHP ? Is there a tool that provides a good debug mode? what's more, don't forget I'm not speaking about the classical web Request/response model. Talking about a debugging facility which can enable you to trigger a web service (aka client request) and go into debug mode on the SOAP web service side. Thks for any input.

    Read the article

  • Resolve php "deadlock"

    - by Matt
    Hey all, I'm currently running into a situation that I guess would be called deadlock. I'm implementing a message service that calls various object methods.. it's quite similar to observer pattern.. Here's whats going on: Dispatcher.php Dispatcher.php <? class Dispatcher { ... public function message($name, $method) { // Find the object based on the name $object = $this->findObjectByName($name); // Slight psuedocode.. for ease of example if($this->not_initialized($object)) $object = new $object(); // This is where it locks up. } return $object->$method(); ... } class A { function __construct() { $Dispatcher->message("B", "getName"); } public function getName() { return "Class A"; } } class B { function __construct() { // Assume $Dispatcher is the classes $Dispatcher->message("A", "getName"); } public function getName() { return "Class B"; } } ?> It locks up when neither object is initialized. It just goes back and forth from message each other and no one can be initialized. Any help would be immensely helpful.. Thanks! Matt Mueller

    Read the article

  • TreeMap sort by value

    - by vito huang
    I'm new to java, i want to write an comparator to that will let me sort TreeMap by value instead of the default natural sorting. i tried something like this, but can't find out what went wrong: import java.util.*; class treeMap { public static void main(String[] args) { System.out.println("the main"); byValue cmp = new byValue(); Map<String, Integer> map = new TreeMap<String, Integer>(cmp); map.put("de",10); map.put("ab", 20); map.put("a",5); for (Map.Entry<String,Integer> pair: map.entrySet()) { System.out.println(pair.getKey()+":"+pair.getValue()); } } } class byValue implements Comparator<Map.Entry<String,Integer>> { public int compare(Map.Entry<String,Integer> e1, Map.Entry<String,Integer> e2) { if (e1.getValue() < e2.getValue()){ return 1; } else if (e1.getValue() == e2.getValue()) { return 0; } else { return -1; } } } I guess what am i asking is what controls what get pass to comparator function, can i get an Map.Entry pass to comparator?

    Read the article

  • Perl program for extracting the functions alone in a Ruby file

    - by thillaiselvan
    Hai all, I am having the following Ruby program. puts "hai" def mult(a,b) a * b end puts "hello" def getCostAndMpg cost = 30000 # some fancy db calls go here mpg = 30 return cost,mpg end AltimaCost, AltimaMpg = getCostAndMpg puts "AltimaCost = #{AltimaCost}, AltimaMpg = {AltimaMpg}" I have written a perl script which will extract the functions alone in a Ruby file as follows while (<DATA>){ print if ( /def/ .. /end/ ); } Here the <DATA> is reading from the ruby file. So perl prograam produces the following output. def mult(a,b) a * b end def getCostAndMpg cost = 30000 # some fancy db calls go here mpg = 30 return cost,mpg end But, if the function is having block of statements, say for example it is having an if condition testing block means then it is not working. It is taking only up to the "end" of "if" block. And it is not taking up to the "end" of the function. So kindly provide solutions for me. Example: def function if x > 2 puts "x is greater than 2" elsif x <= 2 and x!=0 puts "x is 1" else puts "I can't guess the number" end #----- My code parsing only up to this end Thanks in Advance!

    Read the article

  • How to disable selective keys on the keyboard?

    - by Vilx-
    I'd like to write an application which disables certain keys on the keyboard while it's working. More specifically I'm interested in keys that might make the application loose focus (like ALT+TAB, WinKey, Ctrl+Shift+Esc, etc.) The need for this is has to do with babies/animals bashing wildly at the keyboard. :) My first idea was to use SetWindowsHookEx, however I ran into a problem. Since I need a global hook, the procedure would have to reside in a .DLL which would get injected in all active applications. But a .DLL can be either 64-bit or 32-bit, not both. And on a 64-bit system there are both types of applications. I guess then that I must write two copies of the hook .DLL - one for 32-bit and the other for 64-bit. And then I'd also have to launch two copies of the application as well, because the application first has to load the DLL itself before it can pass it on to SetWindowsHookEx(). Sounds pretty clumsy and awkward. Is there perhaps a better way? Or maybe I've misunderstood something?

    Read the article

  • Partial Classes - are they bad design?

    - by dferraro
    Hello, I'm wondering why the 'partial class' concept even exists in .NET. I'm working on an application and we are reading a (actually very good) book relavant to the development platform we are implementing at work. In the book he provides a large code base /wrapper around the platform API and explains how he developed it as he teaches different topics about the platform development. Anyway, long story short - he uses partial classes, all over the place, as a way to fake multiple inheritence in C# (IMO). Why he didnt just split the classes up into multiple ones and use composition is beyond me. He will have 3 'partial class' files to make up his base class, each w/ 3-500 lines of code... And does this several times in his API. Do you find this justifiable? If it were me, I'd have followed the S.R.P. and created multiple classes to handle different required behaviors, then create a base class that has instances of these classes as members (e.g. composition). Why did MS even put partial class into the framework?? They removed the ability to expand/collapse all code at each scope level in C# (this was allowed in C++) because it was obviously just allowing bad habits - partial class is IMO the same thing. I guess my quetion is: Can you explain to me when there would be a legitimate reason to ever use a partial class? I do not mean this to be a rant / war thread. I'm honeslty looking to learn something here. Thanks

    Read the article

< Previous Page | 236 237 238 239 240 241 242 243 244 245 246 247  | Next Page >