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  • Advice on Factory Method

    - by heath
    Using php 5.2, I'm trying to use a factory to return a service to the controller. My request uri would be of the format www.mydomain.com/service/method/param1/param2/etc. My controller would then call a service factory using the token sent in the uri. From what I've seen, there are two main routes I could go with my factory. Single method: class ServiceFactory { public static function getInstance($token) { switch($token) { case 'location': return new StaticPageTemplateService('location'); break; case 'product': return new DynamicPageTemplateService('product'); break; case 'user' return new UserService(); break; default: return new StaticPageTemplateService($token); } } } or multiple methods: class ServiceFactory { public static function getLocationService() { return new StaticPageTemplateService('location'); } public static function getProductService() { return new DynamicPageTemplateService('product'); } public static function getUserService() { return new UserService(); } public static function getDefaultService($token) { return new StaticPageTemplateService($token); } } So, given this, I will have a handful of generic services in which I will pass that token (for example, StaticPageTemplateService and DynamicPageTemplateService) that will probably implement another factory method just like this to grab templates, domain objects, etc. And some that will be specific services (for example, UserService) which will be 1:1 to that token and not reused. So, this seems to be an ok approach (please give suggestions if it is not) for a small amount of services. But what about when, over time and my site grows, I end up with 100s of possibilities. This no longer seems like a good approach. Am I just way off to begin with or is there another design pattern that would be a better fit? Thanks. UPDATE: @JSprang - the token is actually sent in the uri like mydomain.com/location would want a service specific to loction and mydomain.com/news would want a service specific to news. Now, for a lot of these, the service will be generic. For instance, a lot of pages will call a StaticTemplatePageService in which the token is passed in to the service. That service in turn will grab the "location" template or "links" template and just spit it back out. Some will need DynamicTemplatePageService in which the token gets passed in, like "news" and that service will grab a NewsDomainObject, determine how to present it and spit that back out. Others, like "user" will be specific to a UserService in which it will have methods like Login, Logout, etc. So basically, the token will be used to determine which service is needed AND if it is generic service, that token will be passed to that service. Maybe token isn't the correct terminology but I hope you get the purpose. I wanted to use the factory so I can easily swap out which Service I need in case my needs change. I just worry that after the site grows larger (both pages and functionality) that the factory will become rather bloated. But I'm starting to feel like I just can't get away from storing the mappings in an array (like Stephen's solution). That just doesn't feel OOP to me and I was hoping to find something more elegant.

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  • surfaceDestroyed called out of turn

    - by Avasulthiris
    I'm currently developing on minimum sdk version 3 (Android 1.5 - cupcake) and I'm having a strange unexplained issue that I have not been able to solve on my own. It is now becoming a rather urgent issue as I've already missed 1 deadline... I'm writing a high-level library to make long term android development easier and quicker. The one specific module has to capture images for a application... I've gotten everything right so far over the last couple months, except this one little thing and I don't know what to do any more: When I use the Camera object and implement a SurfaceHolder.Callback, the methods surfaceCreated() and surfaceChanged() are called one after the other. Then when the activity finishes, surfaceDestroyed() is called. This is how it should be, but when I stick the exact same code in my library (plain Java library that references the Android API - not in an activity), surfaceDestroyed() is called directly after created and changed. As a result - the camera object is closed before I can use it and the application force closes. What a pain. I can't do anything! This method call is controlled by the device.. Why does the surface close for no reason? Even when I post it to run on the activity thread through my own invokeAndWait(Runnable) method, like I do for many other things. I have 5 different working examples of different ways and implementations of capturing images in android but I still get the same issue when I plug it into my library. I don't understand what the difference is. The code is pretty much the same - and I post all the related code to the UI thread so its not a thread handling issue or anything like that. I've rewritten it about 20 times in different ways - same issue every time.. The only other way to approach it that I know of is creating a new Camera and setting it to the VideoView. The android source (c++ native code) however provides no Camera constructor, only an open() method which automatically forwards the camera's state to 'prepared' but I can only set the camera to the VideoView from the 'initialized' state. Pretty silly, I know, but there is no way around it unless I modify the Android library source code haha. not an option! The API does not allow for this method - you are expected to use it like my first example. So essentially - i just need to understand exactly why surfaceDestroyed() is called out of turn and if there is anything I can do to avoid it closing? If i can just understand the exact logic behind it and how it works! The documentation isn't much help! Secondly, if someone knows of any alternative ways to do it, as my second example, but hopefully one which the API actually allows for? haha Thanks guys. I would post code, but its fairly complicated, a couple thousand lines for this specific class and it would probably take a couple days to explain with all the threading and event listeners and what not. I just need help with this 1 single thing. Please let me know if you have any questions.

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  • Why doesn't my QsciLexerCustom subclass work in PyQt4 using QsciScintilla?

    - by Jon Watte
    My end goal is to get Erlang syntax highlighting in QsciScintilla using PyQt4 and Python 2.6. I'm running on Windows 7, but will also need Ubuntu support. PyQt4 is missing the necessary wrapper code for the Erlang lexer/highlighter that "base" scintilla has, so I figured I'd write a lightweight one on top of QsciLexerCustom. It's a little bit problematic, because the Qsci wrapper seems to really want to talk about line+index rather than offset-from-start when getting/setting subranges of text. Meanwhile, the lexer gets arguments as offset-from-start. For now, I get a copy of the entire text, and split that up as appropriate. I have the following lexer, and I apply it with setLexer(). It gets all the appropriate calls when I open a new file and sets this as the lexer, and prints a bunch of appropriate lines based on what it's doing... but there is no styling in the document. I tried making all the defined styles red, and the document is still stubbornly black-on-white, so apparently the styles don't really "take effect" What am I doing wrong? If nobody here knows, what's the appropriate discussion forum where people might actually know these things? (It's an interesting intersection between Python, Qt and Scintilla, so I imagine the set of people who would know is small) Let's assume prefs.declare() just sets up a dict that returns the value for the given key (I've verified this -- it's not the problem). Let's assume scintilla is reasonably properly constructed into its host window QWidget. Specifically, if I apply a bundled lexer (such as QsciLexerPython), it takes effect and does show styled text. prefs.declare('font.name.margin', "MS Dlg") prefs.declare('font.size.margin', 8) prefs.declare('font.name.code', "Courier New") prefs.declare('font.size.code', 10) prefs.declare('color.editline', "#d0e0ff") class LexerErlang(Qsci.QsciLexerCustom): def __init__(self, obj = None): Qsci.QsciLexerCustom.__init__(self, obj) self.sci = None self.plainFont = QtGui.QFont() self.plainFont.setPointSize(int(prefs.get('font.size.code'))) self.plainFont.setFamily(prefs.get('font.name.code')) self.marginFont = QtGui.QFont() self.marginFont.setPointSize(int(prefs.get('font.size.code'))) self.marginFont.setFamily(prefs.get('font.name.margin')) self.boldFont = QtGui.QFont() self.boldFont.setPointSize(int(prefs.get('font.size.code'))) self.boldFont.setFamily(prefs.get('font.name.code')) self.boldFont.setBold(True) self.styles = [ Qsci.QsciStyle(0, QtCore.QString("base"), QtGui.QColor("#000000"), QtGui.QColor("#ffffff"), self.plainFont, True), Qsci.QsciStyle(1, QtCore.QString("comment"), QtGui.QColor("#008000"), QtGui.QColor("#eeffee"), self.marginFont, True), Qsci.QsciStyle(2, QtCore.QString("keyword"), QtGui.QColor("#000080"), QtGui.QColor("#ffffff"), self.boldFont, True), Qsci.QsciStyle(3, QtCore.QString("string"), QtGui.QColor("#800000"), QtGui.QColor("#ffffff"), self.marginFont, True), Qsci.QsciStyle(4, QtCore.QString("atom"), QtGui.QColor("#008080"), QtGui.QColor("#ffffff"), self.plainFont, True), Qsci.QsciStyle(5, QtCore.QString("macro"), QtGui.QColor("#808000"), QtGui.QColor("#ffffff"), self.boldFont, True), Qsci.QsciStyle(6, QtCore.QString("error"), QtGui.QColor("#000000"), QtGui.QColor("#ffd0d0"), self.plainFont, True), ] print("LexerErlang created") def description(self, ix): for i in self.styles: if i.style() == ix: return QtCore.QString(i.description()) return QtCore.QString("") def setEditor(self, sci): self.sci = sci Qsci.QsciLexerCustom.setEditor(self, sci) print("LexerErlang.setEditor()") def styleText(self, start, end): print("LexerErlang.styleText(%d,%d)" % (start, end)) lines = self.getText(start, end) offset = start self.startStyling(offset, 0) print("startStyling()") for i in lines: if i == "": self.setStyling(1, self.styles[0]) print("setStyling(1)") offset += 1 continue if i[0] == '%': self.setStyling(len(i)+1, self.styles[1]) print("setStyling(%)") offset += len(i)+1 continue self.setStyling(len(i)+1, self.styles[0]) print("setStyling(n)") offset += len(i)+1 def getText(self, start, end): data = self.sci.text() print("LexerErlang.getText(): " + str(len(data)) + " chars") return data[start:end].split('\n') Applied to the QsciScintilla widget as follows: _lexers = { 'erl': (Q.SCLEX_ERLANG, LexerErlang), 'hrl': (Q.SCLEX_ERLANG, LexerErlang), 'html': (Q.SCLEX_HTML, Qsci.QsciLexerHTML), 'css': (Q.SCLEX_CSS, Qsci.QsciLexerCSS), 'py': (Q.SCLEX_PYTHON, Qsci.QsciLexerPython), 'php': (Q.SCLEX_PHP, Qsci.QsciLexerHTML), 'inc': (Q.SCLEX_PHP, Qsci.QsciLexerHTML), 'js': (Q.SCLEX_CPP, Qsci.QsciLexerJavaScript), 'cpp': (Q.SCLEX_CPP, Qsci.QsciLexerCPP), 'h': (Q.SCLEX_CPP, Qsci.QsciLexerCPP), 'cxx': (Q.SCLEX_CPP, Qsci.QsciLexerCPP), 'hpp': (Q.SCLEX_CPP, Qsci.QsciLexerCPP), 'c': (Q.SCLEX_CPP, Qsci.QsciLexerCPP), 'hxx': (Q.SCLEX_CPP, Qsci.QsciLexerCPP), 'tpl': (Q.SCLEX_CPP, Qsci.QsciLexerCPP), 'xml': (Q.SCLEX_XML, Qsci.QsciLexerXML), } ... inside my document window class ... def addContentsDocument(self, contents, title): handler = self.makeScintilla() handler.title = title sci = handler.sci sci.append(contents) self.tabWidget.addTab(sci, title) self.tabWidget.setCurrentWidget(sci) self.applyLexer(sci, title) EventBus.bus.broadcast('command.done', {'text': 'Opened ' + title}) return handler def applyLexer(self, sci, title): (language, lexer) = language_and_lexer_from_title(title) if lexer: l = lexer() print("making lexer: " + str(l)) sci.setLexer(l) else: print("setting lexer by id: " + str(language)) sci.SendScintilla(Qsci.QsciScintillaBase.SCI_SETLEXER, language) linst = sci.lexer() print("lexer: " + str(linst)) def makeScintilla(self): sci = Qsci.QsciScintilla() sci.setUtf8(True) sci.setTabIndents(True) sci.setIndentationsUseTabs(False) sci.setIndentationWidth(4) sci.setMarginsFont(self.smallFont) sci.setMarginWidth(0, self.smallFontMetrics.width('00000')) sci.setFont(self.monoFont) sci.setAutoIndent(True) sci.setBraceMatching(Qsci.QsciScintilla.StrictBraceMatch) handler = SciHandler(sci) self.handlers[sci] = handler sci.setMarginLineNumbers(0, True) sci.setCaretLineVisible(True) sci.setCaretLineBackgroundColor(QtGui.QColor(prefs.get('color.editline'))) return handler Let's assume the rest of the application works, too (because it does :-)

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  • How to design a C / C++ library to be usable in many client languages?

    - by Brian Schimmel
    I'm planning to code a library that should be usable by a large number of people in on a wide spectrum of platforms. What do I have to consider to design it right? To make this questions more specific, there are four "subquestions" at the end. Choice of language Considering all the known requirements and details, I concluded that a library written in C or C++ was the way to go. I think the primary usage of my library will be in programs written in C, C++ and Java SE, but I can also think of reasons to use it from Java ME, PHP, .NET, Objective C, Python, Ruby, bash scrips, etc... Maybe I cannot target all of them, but if it's possible, I'll do it. Requirements It would be to much to describe the full purpose of my library here, but there are some aspects that might be important to this question: The library itself will start out small, but definitely will grow to enormous complexity, so it is not an option to maintain several versions in parallel. Most of the complexity will be hidden inside the library, though The library will construct an object graph that is used heavily inside. Some clients of the library will only be interested in specific attributes of specific objects, while other clients must traverse the object graph in some way Clients may change the objects, and the library must be notified thereof The library may change the objects, and the client must be notified thereof, if it already has a handle to that object The library must be multi-threaded, because it will maintain network connections to several other hosts While some requests to the library may be handled synchronously, many of them will take too long and must be processed in the background, and notify the client on success (or failure) Of course, answers are welcome no matter if they address my specific requirements, or if they answer the question in a general way that matters to a wider audience! My assumptions, so far So here are some of my assumptions and conclusions, which I gathered in the past months: Internally I can use whatever I want, e.g. C++ with operator overloading, multiple inheritance, template meta programming... as long as there is a portable compiler which handles it (think of gcc / g++) But my interface has to be a clean C interface that does not involve name mangling Also, I think my interface should only consist of functions, with basic/primitive data types (and maybe pointers) passed as parameters and return values If I use pointers, I think I should only use them to pass them back to the library, not to operate directly on the referenced memory For usage in a C++ application, I might also offer an object oriented interface (Which is also prone to name mangling, so the App must either use the same compiler, or include the library in source form) Is this also true for usage in C# ? For usage in Java SE / Java EE, the Java native interface (JNI) applies. I have some basic knowledge about it, but I should definitely double check it. Not all client languages handle multithreading well, so there should be a single thread talking to the client For usage on Java ME, there is no such thing as JNI, but I might go with Nested VM For usage in Bash scripts, there must be an executable with a command line interface For the other client languages, I have no idea For most client languages, it would be nice to have kind of an adapter interface written in that language. I think there are tools to automatically generate this for Java and some others For object oriented languages, it might be possible to create an object oriented adapter which hides the fact that the interface to the library is function based - but I don't know if its worth the effort Possible subquestions is this possible with manageable effort, or is it just too much portability? are there any good books / websites about this kind of design criteria? are any of my assumptions wrong? which open source libraries are worth studying to learn from their design / interface / souce? meta: This question is rather long, do you see any way to split it into several smaller ones? (If you reply to this, do it as a comment, not as an answer)

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  • How might maven's buildNumber metadata become inconsistent across multiple build agents?

    - by Brian Laframboise
    We recently added a second build machine to our build environment and began experiencing very odd occasional build failures. I have two separate Maven build machines, A and B, each running Maven 2.2.1 and communicating to a shared Nexus 1.5.0 repository manager. My problem is that builds on B will occasionally fail because it refuses to download a newer version of a common dependency 'acme-1.0.0-SNAPSHOT' previously built by A and uploaded to Nexus. Looking inside the local repositories on both machines I noticed some oddities in the repository metadata. Machine A's acme\1.0.0-SNAPSHOT\maven-metadata-nexus.xml: <metadata> <groupId>acme</groupId> <artifactId>acme</artifactId> <version>1.0.0-SNAPSHOT</version> <versioning> <snapshot> <buildNumber>1</buildNumber> </snapshot> <lastUpdated>20100525173546</lastUpdated> </versioning> </metadata> Machine B's acme\1.0.0-SNAPSHOT\maven-metadata-nexus.xml: <metadata> <groupId>acme</groupId> <artifactId>acme</artifactId> <version>1.0.0-SNAPSHOT</version> <versioning> <snapshot> <buildNumber>2</buildNumber> </snapshot> <lastUpdated>20100519232317</lastUpdated> </versioning> </metadata> In Nexus's acme/1.0.0-SNAPSHOT/maven-metadata.xml: <metadata> <groupId>acme</groupId> <artifactId>acme</artifactId> <version>1.0.0-SNAPSHOT</version> <versioning /> </metadata> If I'm interpreting the metadata files correctly (documentation online is scant), it appears machine B believes it has a newer version of the acme dependency (based on buildNumber) despite the fact that machine A last built it 6 days after machine B did (based on timestamp). Nexus also appears to be unaware of a universally correct buildNumber. How could this situation possibly arise? What could I do to prevent my builds from failing due to inconsistent metadata? Have you experienced anything similar? Important notes: Both build machines have settings.xml files where the updatePolicy is "always". Nexus does indeed have the newer version of acme that was built by A. B simply refuses to download it. A and B are the only machines uploading to Nexus. Both servers share the same system time. All processes involved have write privileges to the metadata files so that they can be updated as necessary. I was unable to find any open Maven or Nexus issues describing this behaviour. Our CI server (Atlassian Bamboo) prevents builds of the same artifact from happening concurrently, so some race condition while uploading to Nexus is rather unlikely.

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  • How can I disable 'output escaping' in minidom

    - by William
    I'm trying to build an xml document from scratch using xml.dom.minidom. Everything was going well until I tried to make a text node with a ® (Registered Trademark) symbol in. My objective is for when I finally hit print mydoc.toxml() this particular node will actually contain a ® symbol. First I tried: import xml.dom.minidom as mdom data = '®' which gives the rather obvious error of: File "C:\src\python\HTMLGen\test2.py", line 3 SyntaxError: Non-ASCII character '\xae' in file C:\src\python\HTMLGen\test2.py on line 3, but no encoding declared; see http://www.python.or g/peps/pep-0263.html for details I have of course also tried changing the encoding of my python script to 'utf-8' using the opening line comment method, but this didn't help. So I thought import xml.dom.minidom as mdom data = '&#174;' #Both accepted xml encodings for registered trademark data = '&reg;' text = mdom.Text() text.data = data print data print text.toxml() But because when I print text.toxml(), the ampersands are being escaped, I get this output: &reg; &amp;reg; My question is, does anybody know of a way that I can force the ampersands not to be escaped in the output, so that I can have my special character reference carry through to the XML document? Basically, for this node, I want print text.toxml() to produce output of &reg; or &#174; in a happy and cooperative way! EDIT 1: By the way, if minidom actually doesn't have this capacity, I am perfectly happy using another module that you can recommend which does. EDIT 2: As Hugh suggested, I tried using data = u'®' (while also using data # -*- coding: utf-8 -*- Python source tags). This almost helped in the sense that it actually caused the ® symbol itself to be outputted to my xml. This is actually not the result I am looking for. As you may have guessed by now (and perhaps I should have specified earlier) this xml document happens to be an HTML page, which needs to work in a browser. So having ® in the document ends up causing rubbish in the browser (® to be precise!). I also tried: data = unichr(174) text.data = data.encode('ascii','xmlcharrefreplace') print text.toxml() But of course this lead to the same origional problem where all that happens is the ampersand gets escaped by .toxml(). My ideal scenario would be some way of escaping the ampersand so that the XML printing function won't "escape" it on my behalf for the document (in other words, achieving my original goal of having &reg; or &#174; appear in the document). Seems like soon I'm going to have to resort to regular expressions! EDIT 2a: Or perhaps not. Seems like getting my html meta information correct <META http-equiv="Content-Type" Content="text/html; charset=UTF-8"> could help, but I'm not sure yet how this fits in with the xml structure...

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  • Calculus? Need help solving for a time-dependent variable given some other variables.

    - by user451527
    Long story short, I'm making a platform game. I'm not old enough to have taken Calculus yet, so I know not of derivatives or integrals, but I know of them. The desired behavior is for my character to automagically jump when there is a block to either side of him that is above the one he's standing on; for instance, stairs. This way the player can just hold left / right to climb stairs, instead of having to spam the jump key too. The issue is with the way I've implemented jumping; I've decided to go mario-style, and allow the player to hold 'jump' longer to jump higher. To do so, I have a 'jump' variable which is added to the player's Y velocity. The jump variable increases to a set value when the 'jump' key is pressed, and decreases very quickly once the 'jump' key is released, but decreases less quickly so long as you hold the 'jump' key down, thus providing continuous acceleration up as long as you hold 'jump.' This also makes for a nice, flowing jump, rather than a visually jarring, abrupt acceleration. So, in order to account for variable stair height, I want to be able to calculate exactly what value the 'jump' variable should get in order to jump exactly to the height of the stair; preferably no more, no less, though slightly more is permissible. This way the character can jump up steep or shallow flights of stairs without it looking weird or being slow. There are essentially 5 variables in play: h -the height the character needs to jump to reach the stair top<br> j -the jump acceleration variable<br> v -the vertical velocity of the character<br> p -the vertical position of the character<br> d -initial vertical position of the player minus final position<br> Each timestep:<br> j -= 1.5; //the jump variable's deceleration<br> v -= j; //the jump value's influence on vertical speed<br> v *= 0.95; //friction on the vertical speed<br> v += 1; //gravity<br> p += v; //add the vertical speed to the vertical position<br> v-initial is known to be zero<br> v-final is known to be zero<br> p-initial is known<br> p-final is known<br> d is known to be p-initial minus p-final<br> j-final is known to be zero<br> j-initial is unknown<br> Given all of these facts, how can I make an equation that will solve for j? tl;dr How do I Calculus? Much thanks to anyone who's made it this far and decides to plow through this problem.

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  • R: extracting "clean" UTF-8 text from a web page scraped with RCurl

    - by SlowLearner
    Using R, I am trying to scrape a web page save the text, which is in Japanese, to a file. Ultimately this needs to be scaled to tackle hundreds of pages on a daily basis. I already have a workable solution in Perl, but I am trying to migrate the script to R to reduce the cognitive load of switching between multiple languages. So far I am not succeeding. Related questions seem to be this one on saving csv files and this one on writing Hebrew to a HTML file. However, I haven't been successful in cobbling together a solution based on the answers there. The pages are from Yahoo! Japan Finance and my Perl code that looks like this. use strict; use HTML::Tree; use LWP::Simple; #use Encode; use utf8; binmode STDOUT, ":utf8"; my @arr_links = (); $arr_links[1] = "http://stocks.finance.yahoo.co.jp/stocks/detail/?code=7203"; $arr_links[2] = "http://stocks.finance.yahoo.co.jp/stocks/detail/?code=7201"; foreach my $link (@arr_links){ $link =~ s/"//gi; print("$link\n"); my $content = get($link); my $tree = HTML::Tree->new(); $tree->parse($content); my $bar = $tree->as_text; open OUTFILE, ">>:utf8", join("","c:/", substr($link, -4),"_perl.txt") || die; print OUTFILE $bar; } This Perl script produces a CSV file that looks like the screenshot below, with proper kanji and kana that can be mined and manipulated offline: My R code, such as it is, looks like the following. The R script is not an exact duplicate of the Perl solution just given, as it doesn't strip out the HTML and leave the text (this answer suggests an approach using R but it doesn't work for me in this case) and it doesn't have the loop and so on, but the intent is the same. require(RCurl) require(XML) links <- list() links[1] <- "http://stocks.finance.yahoo.co.jp/stocks/detail/?code=7203" links[2] <- "http://stocks.finance.yahoo.co.jp/stocks/detail/?code=7201" txt <- getURL(links, .encoding = "UTF-8") Encoding(txt) <- "bytes" write.table(txt, "c:/geturl_r.txt", quote = FALSE, row.names = FALSE, sep = "\t", fileEncoding = "UTF-8") This R script generates the output shown in the screenshot below. Basically rubbish. I assume that there is some combination of HTML, text and file encoding that will allow me to generate in R a similar result to that of the Perl solution but I cannot find it. The header of the HTML page I'm trying to scrape says the chartset is utf-8 and I have set the encoding in the getURL call and in the write.table function to utf-8, but this alone isn't enough. The question How can I scrape the above web page using R and save the text as CSV in "well-formed" Japanese text rather than something that looks like line noise? Edit: I have added a further screenshot to show what happens when I omit the Encoding step. I get what look like Unicode codes, but not the graphical representation of the characters. So it may be some kind of locale-related issue, but in the exact same locale the Perl script does provide useful output. So this is still puzzling.

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  • Can this be improved? Scrubbing of dangerous html tags.

    - by chobo2
    I been finding that for something that I consider pretty import there is very little information or libraries on how to deal with this problem. I found this while searching. I really don't know all the million ways that a hacker could try to insert the dangerous tags. I have a rich html editor so I need to keep non dangerous tags but strip out bad ones. So is this script missing anything? It uses html agility pack. public string ScrubHTML(string html) { HtmlDocument doc = new HtmlDocument(); doc.LoadHtml(html); //Remove potentially harmful elements HtmlNodeCollection nc = doc.DocumentNode.SelectNodes("//script|//link|//iframe|//frameset|//frame|//applet|//object|//embed"); if (nc != null) { foreach (HtmlNode node in nc) { node.ParentNode.RemoveChild(node, false); } } //remove hrefs to java/j/vbscript URLs nc = doc.DocumentNode.SelectNodes("//a[starts-with(translate(@href, 'ABCDEFGHIJKLMNOPQRSTUVWXYZ', 'abcdefghijklmnopqrstuvwxyz'), 'javascript')]|//a[starts-with(translate(@href, 'ABCDEFGHIJKLMNOPQRSTUVWXYZ', 'abcdefghijklmnopqrstuvwxyz'), 'jscript')]|//a[starts-with(translate(@href, 'ABCDEFGHIJKLMNOPQRSTUVWXYZ', 'abcdefghijklmnopqrstuvwxyz'), 'vbscript')]"); if (nc != null) { foreach (HtmlNode node in nc) { node.SetAttributeValue("href", "#"); } } //remove img with refs to java/j/vbscript URLs nc = doc.DocumentNode.SelectNodes("//img[starts-with(translate(@src, 'ABCDEFGHIJKLMNOPQRSTUVWXYZ', 'abcdefghijklmnopqrstuvwxyz'), 'javascript')]|//img[starts-with(translate(@src, 'ABCDEFGHIJKLMNOPQRSTUVWXYZ', 'abcdefghijklmnopqrstuvwxyz'), 'jscript')]|//img[starts-with(translate(@src, 'ABCDEFGHIJKLMNOPQRSTUVWXYZ', 'abcdefghijklmnopqrstuvwxyz'), 'vbscript')]"); if (nc != null) { foreach (HtmlNode node in nc) { node.SetAttributeValue("src", "#"); } } //remove on<Event> handlers from all tags nc = doc.DocumentNode.SelectNodes("//*[@onclick or @onmouseover or @onfocus or @onblur or @onmouseout or @ondoubleclick or @onload or @onunload]"); if (nc != null) { foreach (HtmlNode node in nc) { node.Attributes.Remove("onFocus"); node.Attributes.Remove("onBlur"); node.Attributes.Remove("onClick"); node.Attributes.Remove("onMouseOver"); node.Attributes.Remove("onMouseOut"); node.Attributes.Remove("onDoubleClick"); node.Attributes.Remove("onLoad"); node.Attributes.Remove("onUnload"); } } // remove any style attributes that contain the word expression (IE evaluates this as script) nc = doc.DocumentNode.SelectNodes("//*[contains(translate(@style, 'ABCDEFGHIJKLMNOPQRSTUVWXYZ', 'abcdefghijklmnopqrstuvwxyz'), 'expression')]"); if (nc != null) { foreach (HtmlNode node in nc) { node.Attributes.Remove("stYle"); } } return doc.DocumentNode.WriteTo(); } Edit 2 people have suggested whitelisting. I actually like the idea of whitelisting but never actually did it because no one can actually tell me how to do it in C# and I can't even really find tutorials for how to do it in c#(the last time I looked. I will check it out again). How do you make a white list? Is it just a list collection? How do you actual parse out all html tags, script tags and every other tag? Once you have the tags how do you determine which ones are allowed? Compare them to you list collection? But what happens if the content is coming in and has like 100 tags and you have 50 allowed. You got to compare each of those 100 tag by 50 allowed tags. Thats quite a bit to go through and could be slow. Once you found a invalid tag how do you remove it? I don't really want to reject a whole set of text if one tag was found to be invalid. I rather remove and insert the rest. Should I be using html agility pack?

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  • How can I tell the size of my app during development?

    - by Newbyman
    My programming decissions are directly related to how much room I have left, or worse perhaps how much I need to shave off in order to get up the 10mb limit. I have read that Apple has quietly increased the 3G & Edge download limit from 10mb up to 20mb in preparation for the iPad in April. Either way, my real question is how can I gauge a rough estimate of how large my app will end while I'm still in the development phase? Is the file size of my development folder roughly 1 to 1 ratio? Is the compressed file size of my development a better approximation? My .xcodeproj file is only a couple hundred kB, but the size of my folder is 11.8 MB. I have a .sqlite database, less than 20 small png images and a Settings.Bundle. The rest are unknown Xcode files related to build, build for iphoneOS, simulator etc.... My source code is rather large with around 1000 lines in most of the major controllers, all in all around 48 .h&.m files. But my classes folder inside my development folder is less than 800kb. Digging around inside my Build file, there is lots of iphone simulator files and debugging files which I don't think will contribute to the final product. The Application file states that it is around 2.3 MB. However, this is such a large difference from the 11.8 MB, I have to wonder if this is just another piece of the equation. I have the app on the my device, I'm in the testing phase. Therefore, I though that I would try to see how large the working version was on the device by checking in iTunes, however my development app is visible on the right-hand the application's iphone screen, but no information about the app most importantly its size. I also checked in Organizer, I used the lower portion of the screen-(Applications), found my application and selected the drop down arrow which gave my "Application Data" and a download arrow button to the right to save a file on my desktop, named with the unique AppleID. Inside the folder it had three folders-(documents, library, tmp) the documents had a copy of my .sqlite database, the library a few more files but not anything obvious or of size, and the tmp was empty. All in all the entire folder was only 164kb-which tells me that this is not the right place to find the size either. I understand that the size is considered to be the size of my binary plus all the additional files and images that I have add. Does anyone have a effective way of guaging how large the binary is or the relating the development folder size to what the final App Store application size will end up. I know that questions have been posted with similar aspects, but I could not find any answered post that really described...what files, or how to determine size specifically. I know that this question looks like a book, but I just wanted to be specific in conveying exactly what I'm looking for and the attempts thus far. *Note all files are unzipped and still in regular working Xcode order of a single app with no brought-in builds or referenced projects. I'm sure that this is straight forward, I just don't know where to look?

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  • Parse Nested XML tags with the same name

    - by footose
    Let's take a simple XML document: <x> <e> <e> <e>Whatever 1</e> </e> </e> <e> <e> <e>Whatever 2</e> </e> </e> <e> <e> <e>Whatever 3</e> </e> </e> </x> Using the standard org.w3c.dom, I can get the nodes in X by doing.. NodeList fullnodelist = doc.getElementsByTagName("x"); But if I want to return the next set of "e" I try to use something like .. Element element = (Element) fullnodelist.item(0); NodeList nodes = pelement.getElementsByTagName("e"); Expecting it to return "3" nodes (because there are 3 sets of "e"), but instead, it returns "9" - becuase it gets all entries with "e" apperently. This would be fine in the above case, because I could probably iterate through and find what I'm looking for. The problem I'm having is that when the XML file looks like the following: <x> <e> <pattern>whatever</pattern> <blanks> <e>Something Else</e> </blanks> </e> <e> <pattern>whatever</pattern> <blanks> <e>Something Else</e> </blanks> </e> </x> When I request the "e" value, it returns 4, instead of (what i expect) 2. Am I just not understanding how the DOM parsing works? Typically in the past I have used my own XML documents so I would never name the items like this, but unfortunately this is not my XML file and I have no choice to work like this. What I thought I would do is write a loop that "drills down" nodes so that I could group each node together... public static NodeList getNodeList(Element pelement, String find) { String[] nodesfind = Utilities.Split(find, "/"); NodeList nodeList = null; for (int i = 0 ; i <= nodesfind.length - 1; i++ ) { nodeList = pelement.getElementsByTagName( nodesfind[i] ); pelement = (Element)nodeList.item(i); } // value of the nod we are looking for return nodeList; } .. So that if you passed "s/e" into the function, it would return the 2 nodes that I'm looking for (or elements, maybe I'm using the terminology incorrect?). instead it returns all of the "e" nodes within that node. I'm using J2SE for this, so options are rather limited. I can't use any third party XML Parsers. Anyway, if anyone is still with me and has a suggestion, it would be appreciated.

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  • Converting XML to RSS

    - by hkw
    I've got an xml feed that will be published in one location of our website, and would like to repurpose that for an RSS feed. A few different pages on the website will also be referencing the same xml - all of those transformations are set up and working. The base xml file (XMLTEST.xml) is using this structure: <POST> <item> <POST_ID>80000852</POST_ID> <POST_TITLE>title</POST_TITLE> <POST_CHANNEL>I</POST_CHANNEL> <POST_DESC>description</POST_DESC> <LINK>http://www...</LINK> <STOC>N</STOC> </item> </POST> I'm trying to transform the xml into an RSS feed using the following setup (feed.xml + rss.xsl) feed.xml: <?xml-stylesheet href="rss.xsl" type="text/xsl"?> <RSSChannels> <RSSChannel src="XMLTEST.xml"/> </RSSChannels> rss.xsl: <xsl:stylesheet version="1.0" xmlns:xsl="http://www.w3.org/1999/XSL/Transform"> <xsl:output method="xml" omit-xml-declaration="yes" /> <xsl:template match="RSSChannels"> <rss version="2.0"> <channel> <title>site title</title> <link></link> <description>Site description...</description> <xsl:apply-templates /> </channel> </rss> </xsl:template> <xsl:template match="RSSChannel"> <xsl:apply-templates select="document(@src)" /> </xsl:template> <xsl:template match="item"> <xsl:choose> <xsl:when test="STOC = 'Y'"></xsl:when> <xsl:when test="POST_CHANNEL = 'I'"></xsl:when> <xsl:otherwise> <item> <title> <xsl:value-of select="*[local-name()='POST_TITLE']" /> </title> <link> <xsl:value-of select="*[local-name()='LINK']" /> </link> <description> <xsl:value-of select="*[local-name()='POST_DESC']" /> </description> </item> </xsl:otherwise> </xsl:choose> </xsl:template> </xsl:stylesheet> When I try to view the output of feed.xml in Firefox, all of the filtering is applied correctly (sorting out items that shouldn't be published in that channel), but the page outputs as plain text, rather than the usual feed-detection that takes place in Firefox. Any ideas on what I'm missing? Thanks for any suggestions you can provide.

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  • What does the `forall` keyword in Haskell/GHC do?

    - by JUST MY correct OPINION
    I've been banging my head on this one for (quite literally) years now. I'm beginning to kinda/sorta understand how the foreach keyword is used in so-called "existential types" like this: data ShowBox = forall s. Show s => SB s (This despite the confusingly-worded explanations of it in the fragments found all around the web.) This is only a subset, however, of how foreach is used and I simply cannot wrap my mind around its use in things like this: runST :: forall a. (forall s. ST s a) -> a Or explaining why these are different: foo :: (forall a. a -> a) -> (Char,Bool) bar :: forall a. ((a -> a) -> (Char, Bool)) Or the whole RankNTypes stuff that breaks my brain when "explained" in a way that makes me want to do that Samuel L. Jackson thing from Pulp Fiction. (Don't follow that link if you're easily offended by strong language.) The problem, really, is that I'm a dullard. I can't fathom the chicken scratchings (some call them "formulae") of the elite mathematicians that created this language seeing as my university years are over two decades behind me and I never actually had to put what I learnt into use in practice. I also tend to prefer clear, jargon-free English rather than the kinds of language which are normal in academic environments. Most of the explanations I attempt to read on this (the ones I can find through search engines) have these problems: They're incomplete. They explain one part of the use of this keyword (like "existential types") which makes me feel happy until I read code that uses it in a completely different way (like runST, foo and bar above). They're densely packed with assumptions that I've read the latest in whatever branch of discrete math, category theory or abstract algebra is popular this week. (If I never read the words "consult the paper whatever for details of implementation" again, it will be too soon.) They're written in ways that frequently turn even simple concepts into tortuously twisted and fractured grammar and semantics. (I suspect that the last two items are the biggest problem. I wouldn't know, though, since I'm too much a dullard to comprehend them.) It's been asked why Haskell never really caught on in industry. I suspect, in my own humble, unintelligent way, that my experience in figuring out one stupid little keyword -- a keyword that is increasingly ubiquitous in the libraries being written these days -- are also part of the answer to that question. It's hard for a language to catch on when even its individual keywords cause years-long quests to comprehend. Years-long quests which end in failure. So... On to the actual question. Can anybody completely explain the foreach keyword in clear, plain English (or, if it exists somewhere, point to such a clear explanation which I've missed) that doesn't assume I'm a mathematician steeped in the jargon?

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  • Overloading stream insertion without violating information hiding?

    - by Chris
    I'm using yaml-cpp for a project. I want to overload the << and >> operators for some classes, but I'm having an issue grappling with how to "properly" do this. Take the Note class, for example. It's fairly boring: class Note { public: // constructors Note( void ); ~Note( void ); // public accessor methods void number( const unsigned long& number ) { _number = number; } unsigned long number( void ) const { return _number; } void author( const unsigned long& author ) { _author = author; } unsigned long author( void ) const { return _author; } void subject( const std::string& subject ) { _subject = subject; } std::string subject( void ) const { return _subject; } void body( const std::string& body ) { _body = body; } std::string body( void ) const { return _body; } private: unsigned long _number; unsigned long _author; std::string _subject; std::string _body; }; The << operator is easy sauce. In the .h: YAML::Emitter& operator << ( YAML::Emitter& out, const Note& v ); And in the .cpp: YAML::Emitter& operator << ( YAML::Emitter& out, const Note& v ) { out << v.number() << v.author() << v.subject() << v.body(); return out; } No sweat. Then I go to declare the >> operator. In the .h: void operator >> ( const YAML::Node& node, Note& note ); But in the .cpp I get: void operator >> ( const YAML::Node& node, Note& note ) { node[0] >> ? node[1] >> ? node[2] >> ? node[3] >> ? return; } If I write things like node[0] >> v._number; then I would need to change the CV-qualifier to make all of the Note fields public (which defeats everything I was taught (by professors, books, and experience))) about data hiding. I feel like doing node[0] >> temp0; v.number( temp0 ); all over the place is not only tedious, error-prone, and ugly, but rather wasteful (what with the extra copies). Then I got wise: I attempted to move these two operators into the Note class itself, and declare them as friends, but the compiler (GCC 4.4) didn't like that: src/note.h:44: error: ‘YAML::Emitter& Note::operator<<(YAML::Emitter&, const Note&)’ must take exactly one argument src/note.h:45: error: ‘void Note::operator(const YAML::Node&, Note&)’ must take exactly one argument Question: How do I "properly" overload the >> operator for a class Without violating the information hiding principle? Without excessive copying?

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  • C#: Parallel forms, multithreading and "applications in application"

    - by Harry
    First, what I need is - n WebBrowser-s, each in its own window doing its own job. The user should be able to see them all, or just one of them (or none), and to execute commands on each one. There is a main form, without a browser, this one contains control panel for my application. The key feautre is, each browser logs on to secured web page and it needs to stay logged in as long as possible. Well, I've done it, but I'm afraid something is wrong with my approach. The question is: Is code below valid, or rather a nasty hack which can cause problems: internal class SessionList : List<Session> { public SessionList(Server main) { MyRecords.ForEach(record => { var st = new System.Threading.Thread((data) => { var s = new Session(main, data as MyRecord); this.Add(s); Application.Run(s); Application.ExitThread(); }); st.SetApartmentState(System.Threading.ApartmentState.STA); st.Start(record); }); } // some other uninteresting methods here... } What's going on here? Session inherits from Form, so it creates a form, puts WebBrowser into it, and has methods to operate on websites. WebBrowser requires to be run in STA thread, so we provide one for each browser. The most interesting part of it is Application.Run(s). It makes the newly created forms alive and interactive. The next Application.ExitThread() is called after browser window is closed and its controls disposed. Main application stays alive to perform the rest of the cleanup job. When user select "Exit" or "Shutdown" option - first the browser threads are ended, so Application.ExitThread() is called. It all works, but everywhere I can read about "main GUI thread" - and here - I've created many GUI threads. I handle communication between main form and my new forms (sessions) with thread-safe methods using Invoke(). It all works, so is it right or is it wrong? Is everything right with using Application.Run() more than once in one application? :) An ugly hack or a normal practice? This code dies if I start a WebBrowser from the session form thread. It beats me why. It works however if I start WebBrowser (by changing its Url property) from any other thread. I'd like to know more what is really happening in such application. But most of all - I'd like to know if my idea of "applications in application" is OK. I'm not sure what exactly does Application.Run() do. Without it forms created in new threads were dead unresponsive. How is it possible I can call Application.Run() many times? It seems to do exactly what it should, but it seems a little undocumented feature to me. I'm almost sure, that the crashes are caused by WebBrowser component itself (since it's not completely "managed" and "native"). But maybe it's something else.

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  • How do I use accepts_nested_attributes_for?

    - by Angela
    Editing my question for conciseness and to update what I've done: How do I model having multiple Addresses for a Company and assign a single Address to a Contact, and be able to assign them when creating or editing a Contact? I want to use nested attributes to be able to add an address at the time of creating a new contact. That address exists as its own model because I may want the option to drop-down from existing addresses rather than entering from scratch. I can't seem to get it to work. I get a undefined method `build' for nil:NilClass error Here is my model for Contacts: class Contact < ActiveRecord::Base attr_accessible :first_name, :last_name, :title, :phone, :fax, :email, :company, :date_entered, :campaign_id, :company_name, :address_id, :address_attributes belongs_to :company belongs_to :address accepts_nested_attributes_for :address end Here is my model for Address: class Address < ActiveRecord::Base attr_accessible :street1, :street2, :city, :state, :zip has_many :contacts end I would like, when creating an new contact, access all the Addresses that belong to the other Contacts that belong to the Company. So here is how I represent Company: class Company < ActiveRecord::Base attr_accessible :name, :phone, :addresses has_many :contacts has_many :addresses, :through => :contacts end Here is how I am trying to create a field in the View for _form for Contact so that, when someone creates a new Contact, they pass the address to the Address model and associate that address to the Contact: <% f.fields_for :address, @contact.address do |builder| %> <p> <%= builder.label :street1, "Street 1" %> </br> <%= builder.text_field :street1 %> <p> <% end %> When I try to Edit, the field for Street 1 is blank. And I don't know how to display the value from show.html.erb. At the bottom is my error console -- can't seem to create values in the address table: My Contacts controller is as follows: def new @contact = Contact.new @contact.address.build # Iundefined method `build' for nil:NilClass @contact.date_entered = Date.today @campaigns = Campaign.find(:all, :order => "name") if params[:campaign_id].blank? else @campaign = Campaign.find(params[:campaign_id]) @contact.campaign_id = @campaign.id end if params[:company_id].blank? else @company = Company.find(params[:company_id]) @contact.company_name = @company.name end end def create @contact = Contact.new(params[:contact]) if @contact.save flash[:notice] = "Successfully created contact." redirect_to @contact else render :action => 'new' end end def edit @contact = Contact.find(params[:id]) @campaigns = Campaign.find(:all, :order => "name") end Here is a snippet of my error console: I am POSTING the attribute, but it is not CREATING in the Address table.... Processing ContactsController#create (for 127.0.0.1 at 2010-05-12 21:16:17) [POST] Parameters: {"commit"="Submit", "authenticity_token"="d8/gx0zy0Vgg6ghfcbAYL0YtGjYIUC2b1aG+dDKjuSs=", "contact"={"company_name"="Allyforce", "title"="", "campaign_id"="2", "address_attributes"={"street1"="abc"}, "fax"="", "phone"="", "last_name"="", "date_entered"="2010-05-12", "email"="", "first_name"="abc"}} Company Load (0.0ms)[0m [0mSELECT * FROM "companies" WHERE ("companies"."name" = 'Allyforce') LIMIT 1[0m Address Create (16.0ms)[0m [0;1mINSERT INTO "addresses" ("city", "zip", "created_at", "street1", "updated_at", "street2", "state") VALUES(NULL, NULL, '2010-05-13 04:16:18', NULL, '2010-05-13 04:16:18', NULL, NULL)[0m Contact Create (0.0ms)[0m [0mINSERT INTO "contacts" ("company", "created_at", "title", "updated_at", "campaign_id", "address_id", "last_name", "phone", "fax", "company_id", "date_entered", "first_name", "email") VALUES(NULL, '2010-05-13 04:16:18', '', '2010-05-13 04:16:18', 2, 2, '', '', '', 5, '2010-05-12', 'abc', '')[0m

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  • GCC error with variadic templates: "Sorry, unimplemented: cannot expand 'Identifier...' into a fixe

    - by Dennis
    While doing variadic template programming in C++0x on GCC, once in a while I get an error that says "Sorry, unimplemented: cannot expand 'Identifier...' into a fixed-length arugment list." If I remove the "..." in the code then I get a different error: "error: parameter packs not expanded with '...'". So if I have the "..." in, GCC calls that an error, and if I take the "..." out, GCC calls that an error too. The only way I have been able to deal with this is to completely rewrite the template metaprogram from scratch using a different approach, and (with luck) I eventually come up with code that doesn't cause the error. But I would really like to know what I was doing wrong. Despite Googling for it and despite much experimentation, I can't pin down what it is that I'm doing differently between variadic template code that does produce this error, and code that does not have the error. The wording of the error message seems to imply that the code should work according the C++0x standard, but that GCC doesn't support it yet. Or perhaps it is a compiler bug? Here's some code that produces the error. Note: I don't need you to write a correct implementation for me, but rather just to point out what is about my code that is causing this specific error // Used as a container for a set of types. template <typename... Types> struct TypePack { // Given a TypePack<T1, T2, T3> and T=T4, returns TypePack<T1, T2, T3, T4> template <typename T> struct Add { typedef TypePack<Types..., T> type; }; }; // Takes the set (First, Others...) and, while N > 0, adds (First) to TPack. // TPack is a TypePack containing between 0 and N-1 types. template <int N, typename TPack, typename First, typename... Others> struct TypePackFirstN { // sorry, unimplemented: cannot expand ‘Others ...’ into a fixed-length argument list typedef typename TypePackFirstN<N-1, typename TPack::template Add<First>::type, Others...>::type type; }; // The stop condition for TypePackFirstN: when N is 0, return the TypePack that has been built up. template <typename TPack, typename... Others> struct TypePackFirstN<0, TPack, Others...> //sorry, unimplemented: cannot expand ‘Others ...’ into a fixed-length argument list { typedef TPack type; }; EDIT: I've noticed that while a partial template instantiation that looks like does incur the error: template <typename... T> struct SomeStruct<1, 2, 3, T...> {}; Rewriting it as this does not produce an error: template <typename... T> struct SomeStruct<1, 2, 3, TypePack<T...>> {}; It seems that you can declare parameters to partial specializations to be variadic; i.e. this line is OK: template <typename... T> But you cannot actually use those parameter packs in the specialization, i.e. this part is not OK: SomeStruct<1, 2, 3, T... The fact that you can make it work if you wrap the pack in some other type, i.e. like this: SomeStruct<1, 2, 3, TypePack<T...>> to me implies that the declaration of the variadic parameter to a partial template specialization was successful, and you just can't use it directly. Can anyone confirm this?

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  • Form values appear blank when submitting to the database - Drupal FormAPI

    - by GaxZE
    Hello, I have been working on this drupal form API script for past week and half. to give an insight into my problem.. the form below merely lists a host of database records which contain 5 individual scoring ranks. (mind, action, relationship, language and IT). this code is apart of my own custom module where all values are listed from the database. the idea behind this module is to be able to edit these values on a large scale. I am having trouble getting the values entered in the form to be passed to the variables inside of the marli_admin_submit function. the second problem is the assigning those values to their specific ID. for this purpose id like to add im merely trying to get just one score updated rather than all of them. below is my code. any advice appreciated. function marli_scores(){ $result = pager_query(db_rewrite_sql('SELECT * FROM marli WHERE value != " "')); while ($node = db_fetch_object($result)) { $attribute = $node->attribute; $field = $node->field_name; $item = $node->value; $mind = $node->mind; $action = $node->action; $relationship = $node->relationship; $language = $node->language; $it = $node->it; $form['field'][$node->marli_id] = array('#type' => 'markup', '#value' => $field, '#prefix' => '<b>', '#suffix' => '</b>'); $form['title'][$node->marli_id] = array('#type' => 'markup', '#value' => $item, '#prefix' => '<b>', '#suffix' => '</b>'); $form['mind'][$node->marli_id] = array('#type' => 'textfield', '#maxlength' => '1', '#size' => '1', '#value' => $mind); $form['action'][$node->marli_id] = array('#type' => 'textfield', '#maxlength' => '1', '#size' => '1', '#value' => $action); $form['relationship'][$node->marli_id] = array('#type' => 'textfield', '#maxlength' => '1', '#size' => '1', '#value' => $relationship); $form['language'][$node->marli_id] = array('#type' => 'textfield', '#maxlength' => '1', '#size' => '1', '#value' => $language); $form['it'][$node->marli_id] = array('#type' => 'textfield', '#maxlength' => '1', '#size' => '1', '#value' => $it); } $form['pager'] = array('#value' => theme('pager', NULL, 50, 0)); $form['save'] = array('#type' => 'submit', '#value' => t('Save')); $form['#theme'] = 'marli_scores'; return $form; } function marli_admin_submit($form, &$form_state) { $marli_id = 4; $submit_mind = $form_state['values']['mind'][$marli_id]; $submit_action = $form_state['values']['action'][$marli_id]; $submit_relationship = $form_state['values']['relationship'][$marli_id]; $submit_language = $form_state['values']['language'][$marli_id]; $submit_it = $form_state['values']['it'][$marli_id]; $sql_query = "UPDATE {marli} SET mind = %d, action = %d, relationship = %d, language = %d, it = %d WHERE marli_id = %d"; if ($success = db_query($sql_query, $submit_mind, $submit_action, $submit_relationship, $submit_language, $submit_it)) { drupal_set_message(t(' Values have been saved.')); } else { drupal_set_message(t('There was an error saving your data. Please try again.')); } }

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  • Explicit method tables in C# instead of OO - good? bad?

    - by FunctorSalad
    Hi! I hope the title doesn't sound too subjective; I absolutely do not mean to start a debate on OO in general. I'd merely like to discuss the basic pros and cons for different ways of solving the following sort of problem. Let's take this minimal example: you want to express an abstract datatype T with functions that may take T as input, output, or both: f1 : Takes a T, returns an int f2 : Takes a string, returns a T f3 : Takes a T and a double, returns another T I'd like to avoid downcasting and any other dynamic typing. I'd also like to avoid mutation whenever possible. 1: Abstract-class-based attempt abstract class T { abstract int f1(); // We can't have abstract constructors, so the best we can do, as I see it, is: abstract void f2(string s); // The convention would be that you'd replace calls to the original f2 by invocation of the nullary constructor of the implementing type, followed by invocation of f2. f2 would need to have side-effects to be of any use. // f3 is a problem too: abstract T f3(double d); // This doesn't express that the return value is of the *same* type as the object whose method is invoked; it just expresses that the return value is *some* T. } 2: Parametric polymorphism and an auxilliary class (all implementing classes of TImpl will be singleton classes): abstract class TImpl<T> { abstract int f1(T t); abstract T f2(string s); abstract T f3(T t, double d); } We no longer express that some concrete type actually implements our original spec -- an implementation is simply a type Foo for which we happen to have an instance of TImpl. This doesn't seem to be a problem: If you want a function that works on arbitrary implementations, you just do something like: // Say we want to return a Bar given an arbitrary implementation of our abstract type Bar bar<T>(TImpl<T> ti, T t); At this point, one might as well skip inheritance and singletons altogether and use a 3 First-class function table class /* or struct, even */ TDictT<T> { readonly Func<T,int> f1; readonly Func<string,T> f2; readonly Func<T,double,T> f3; TDict( ... ) { this.f1 = f1; this.f2 = f2; this.f3 = f3; } } Bar bar<T>(TDict<T> td; T t); Though I don't see much practical difference between #2 and #3. Example Implementation class MyT { /* raw data structure goes here; this class needn't have any methods */ } // It doesn't matter where we put the following; could be a static method of MyT, or some static class collecting dictionaries static readonly TDict<MyT> MyTDict = new TDict<MyT>( (t) => /* body of f1 goes here */ , // f2 (s) => /* body of f2 goes here */, // f3 (t,d) => /* body of f3 goes here */ ); Thoughts? #3 is unidiomatic, but it seems rather safe and clean. One question is whether there are any performance concerns with it. I don't usually need dynamic dispatch, and I'd prefer if these function bodies get statically inlined in places where the concrete implementing type is known statically. Is #2 better in that regard?

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  • jQuery e.stopPropagation() - how to use without breaking dropbox functionality altogether?

    - by Knut Ole
    Short story: stopPropagation() prevents a dropdown menu from closing - which is good. But it also prevents the dropbox from opening next time around - which is bad. Long story: I'm using Twitter-Bootstrap and I've put a search box inside the dropdown menu like so: <div id="search_word_menu" style="position:absolute;right:157px;top:60px;"> <ul class="nav nav-pills"> <li class="dropdown" id="menu200"> <a class="dropdown-toggle btn-inverse" data-toggle="dropdown" style="width:117px;position:relative;left:2px" href="#menu200"> <i class="icon-th-list icon-white"></i> Testing <b class="caret"></b> </a> <ul class="dropdown-menu"> <li><a href="#">Retweets</a></li> <li><a href="#">Favourites</a></li> <li class="divider"></li> <li><a href="#">A list</a></li> <li class="divider"></li> <li><a href="#">A saved search</a></li> <li><a href="#">A saved #hashtag</a></li> <li class="divider"></li> <li> <!-- HERE --> <input id="drop_search" type="text" class="search_box_in_menu" value="Search..."> </li> </ul> </li> </ul> When I click inside the searchbox, the default behaviour is obviously to close the dropdown - but that makes it rather hard to write in a search term. So I've tried with the e.stopPropagation(), which does indeed prevent the dropdown from closing. Then, when I press enter in the searchbox, I'm closing the dropdown with a .toggle() - also seems to work fine. The PROBLEM arises when I want to to it all again, because the e.stopPropagation() has now disabled the dropdown alltogether - ie. when I press the dropdown menu, it doesn't open anymore! This is because of stopPropagation(), no doubt - but how can I resolve this, so that I get the aforementioned functionality, but without breaking the rest altogether? jQuery below: $(document).ready(function() { console.log("document.ready - "); //clearing search box on click $(".search_box_in_menu").click(function(e) { e.stopPropagation(); // works for the specific task console.log(".search_box_in_menu - click."); if($(this).val() == 'Search...') { $(this).val(''); console.log(".search_box_in_menu - value removed."); }; //return false; //this is e.preventDefault() and e.stopPropagation() }); // when pressing enter key in search box $('.search_box_in_menu').keypress(function(e) { var keycode = (e.keyCode ? e.keyCode : e.which); if(keycode == '13') { console.log(".search_box_in_menu - enter-key pressed."); console.log($(this).val()); $(this).closest('.dropdown-menu').toggle(); //works } }); $('.dropdown').click(function() { console.log(".dropdown - click."); $(this).closest('.dropdown-toggle').toggle(); //does nothing }); Would greatly appreciate some help! I'm starting to suspect this might be a bootstrapped-only problem, or at least caused by their implementation - but it's beyond me atm.

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  • ValidationProperty not returning entered value for textbox in custom ontrol

    - by nat
    hi I have a custom control, (relevant code at the bottom) it consists of some text/links and a hidden textbox (rather than a hidden input). when rendered, the user via another dialog and some JS sets the value of the textbox to an integer and clicks submit on the form. i am trying to assure that the user has entered a number (via the JS) and that the textbox is not still set to its default of "0" the requiredfieldvalidator works just fine, if i dont change the value it spots it on the client and fills the validation summary on the page with the appropriate message. unfortunately when i do fill the textbox, the validator also rejests the post as the controls textbox text value is still set to "0", even though on the form it has changed. clearly i am doing something wrong.. but cant work out what it is? could someone enlighten me please, this is driving me potty if i step through the code, when the get of the mediaidtext is hit,the findcontrol finds does not the textbox, if i inspect the controls collection however i can find the textbox, but its value is still "0" it also seems that when findcontrol is called, the createchildcontrols is called again - thus resetting the value back to "0" there.. ! how can i ever assure the control realises that the textbox value has changed? many thanks code below nat [ValidationProperty("MediaIdText")] public class MediaLibraryFileControl: CompositeControl { private int mediaId = 0; public int MediaId { get { return mediaId; } set { mediaId = value; } } public string MediaIdText { get { string txt = "0"; Control ctrl = this.FindControl(this.UniqueID+ "_hidden"); try { txt = ((TextBox)ctrl).Text; MediaId = Convert.ToInt32(txt); } catch { MediaId = 0; } return txt; } } protected override void CreateChildControls() { this.Controls.Add(new LiteralControl("<span>")); this.Controls.Add(new LiteralControl("<span id=\"" + TextControlName + "\">" + getMediaDetails() + "</span>")); TextBox tb = new TextBox(); tb.Text = this.MediaId.ToString(); tb.ID = this.UniqueID + "_hidden"; tb.CssClass = "hidden"; this.Controls.Add(tb); if (Select == true) { this.Controls.Add(new LiteralControl(string.Format("&nbsp;[<a href=\"javascript:{0}(this,'{1}','{2}')\" class=\"select\">{3}</a>]", dialog, this.UniqueID, this.categoryId, "select"))); this.Controls.Add(new LiteralControl(string.Format("&nbsp;[<a href=\"javascript:{0}(this,'{1}')\" class=\"select\">{2}</a>]", clearDialog, this.ID, "clear"))); } this.Controls.Add(new LiteralControl("</span>")); } protected virtual string getMediaDetails() { //... return String.Empty; } } this is the code adding the validationcontrol the editcontrol is the instance of the control above public override Control RenderValidationControl(Control editControl) { Control ctrl = new PlaceHolder(); RequiredFieldValidator req = new RequiredFieldValidator(); req.ID = editControl.ClientID + "_validator"; req.ControlToValidate = editControl.ID; req.Display = ValidatorDisplay.None; req.InitialValue = "0"; req.EnableClientScript = false; req.ErrorMessage = "control cannot be blank"; ctrl.Controls.Add(req); return ctrl; }

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  • Dynamically loading modules in Python (+ multi processing question)

    - by morpheous
    I am writing a Python package which reads the list of modules (along with ancillary data) from a configuration file. I then want to iterate through each of the dynamically loaded modules and invoke a do_work() function in it which will spawn a new process, so that the code runs ASYNCHRONOUSLY in a separate process. At the moment, I am importing the list of all known modules at the beginning of my main script - this is a nasty hack I feel, and is not very flexible, as well as being a maintenance pain. This is the function that spawns the processes. I will like to modify it to dynamically load the module when it is encountered. The key in the dictionary is the name of the module containing the code: def do_work(work_info): for (worker, dataset) in work_info.items(): #import the module defined by variable worker here... # [Edit] NOT using threads anymore, want to spawn processes asynchronously here... #t = threading.Thread(target=worker.do_work, args=[dataset]) # I'll NOT dameonize since spawned children need to clean up on shutdown # Since the threads will be holding resources #t.daemon = True #t.start() Question 1 When I call the function in my script (as written above), I get the following error: AttributeError: 'str' object has no attribute 'do_work' Which makes sense, since the dictionary key is a string (name of the module to be imported). When I add the statement: import worker before spawning the thread, I get the error: ImportError: No module named worker This is strange, since the variable name rather than the value it holds are being used - when I print the variable, I get the value (as I expect) whats going on? Question 2 As I mentioned in the comments section, I realize that the do_work() function written in the spawned children needs to cleanup after itself. My understanding is to write a clean_up function that is called when do_work() has completed successfully, or an unhandled exception is caught - is there anything more I need to do to ensure resources don't leak or leave the OS in an unstable state? Question 3 If I comment out the t.daemon flag statement, will the code stil run ASYNCHRONOUSLY?. The work carried out by the spawned children are pretty intensive, and I don't want to have to be waiting for one child to finish before spawning another child. BTW, I am aware that threading in Python is in reality, a kind of time sharing/slicing - thats ok Lastly is there a better (more Pythonic) way of doing what I'm trying to do? [Edit] After reading a little more about Pythons GIL and the threading (ahem - hack) in Python, I think its best to use separate processes instead (at least IIUC, the script can take advantage of multiple processes if they are available), so I will be spawning new processes instead of threads. I have some sample code for spawning processes, but it is a bit trivial (using lambad functions). I would like to know how to expand it, so that it can deal with running functions in a loaded module (like I am doing above). This is a snippet of what I have: def do_mp_bench(): q = mp.Queue() # Not only thread safe, but "process safe" p1 = mp.Process(target=lambda: q.put(sum(range(10000000)))) p2 = mp.Process(target=lambda: q.put(sum(range(10000000)))) p1.start() p2.start() r1 = q.get() r2 = q.get() return r1 + r2 How may I modify this to process a dictionary of modules and run a do_work() function in each loaded module in a new process?

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  • reorder XML elements or set an explicit template with XSLT

    - by Sash
    I tried the solution in my previous question (flattening XML to load via SSIS package), however this isn't working. I now know what I need to do, however I need some guidance on how to do it. So say I have the following XML structure: <person id="1"> <name>John</name> <surname>Smith</surname> <age>25</age> <comment> <comment_id>1</comment_id> <comment_text>Hello</comment_text> </comment> <comment> <comment_id>2</comment_id> <comment_text>Hello again!</comment_text> </comment> <somethingelse> <id>1</id> </somethingelse> <comment> <comment_id>3</comment_id> <comment_text>Third Item</comment_text> </comment> </person> <person id="2"> <name>John</name> <surname>Smith</surname> <age>25</age> <somethingelse> <id>1</id> </somethingelse> </person> ... ... If I am to load this into a SSIS package, as an XML source, what I will essentially get is a table created for each element, as opposed to get a structured table output such as person table (name, surname, age) somethingelse table (id) comment table (comment_id, comment_text) What I end up getting is: person table (person_Id <-- internal SSIS id) name table surname table age table person_name table person_surname table person_comment_comment_id table etc... What I found was that if each element and all inner elements are not in the same format and consistency, i will get the above anomaly which makes it rather complex especially if I am dealing with 80 - 100+ columns. Unfortunately I have no way of modifying the system (Lotus Notes) that produces these reports, so I was wondering whether I may be able to explicitly have an XSLT template that will be able to align each person sub elements (and the sub collection elements such as comments ? Unless there is a quicker way to realign all inner elements. Seems that SSIS XML source requires a very consistent XML file in the sense of: if the name element is in position 1, then all subsequent name elements within person parent have to be in position 1. SSIS seems to pickup the inconsistencies if there are certain elements missing from one parent to another, however, if their ordering is not right (A, B, C)(A, B, C)(A,C,B), it will chuck a massive fuss! All help is appreciated! Thank you in advance.

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  • All UITableCells rendered at once... why?

    - by Greg
    I'm extremely confused by the proper behavior of UITableView cell rendering. Here's the situation: I have a list of 250 items that are loading into a table view, each with an image. To optimize the image download, I followed along with Apple's LazyTableImages sample code... pretty much following it exactly. Really good system... for reference, here's the cell renderer within the Apple sample code: - (UITableViewCell *)tableView:(UITableView *)tableView cellForRowAtIndexPath:(NSIndexPath *)indexPath { // customize the appearance of table view cells // static NSString *CellIdentifier = @"LazyTableCell"; static NSString *PlaceholderCellIdentifier = @"PlaceholderCell"; // add a placeholder cell while waiting on table data int nodeCount = [self.entries count]; if (nodeCount == 0 && indexPath.row == 0) { UITableViewCell *cell = [tableView dequeueReusableCellWithIdentifier:PlaceholderCellIdentifier]; if (cell == nil) { cell = [[[UITableViewCell alloc] initWithStyle:UITableViewCellStyleSubtitle reuseIdentifier:PlaceholderCellIdentifier] autorelease]; cell.detailTextLabel.textAlignment = UITextAlignmentCenter; cell.selectionStyle = UITableViewCellSelectionStyleNone; } cell.detailTextLabel.text = @"Loading…"; return cell; } UITableViewCell *cell = [tableView dequeueReusableCellWithIdentifier:CellIdentifier]; if (cell == nil) { cell = [[[UITableViewCell alloc] initWithStyle:UITableViewCellStyleSubtitle reuseIdentifier:CellIdentifier] autorelease]; cell.selectionStyle = UITableViewCellSelectionStyleNone; } // Leave cells empty if there's no data yet if (nodeCount > 0) { // Set up the cell... AppRecord *appRecord = [self.entries objectAtIndex:indexPath.row]; cell.textLabel.text = appRecord.appName; cell.detailTextLabel.text = appRecord.artist; // Only load cached images; defer new downloads until scrolling ends if (!appRecord.appIcon) { if (self.tableView.dragging == NO && self.tableView.decelerating == NO) { [self startIconDownload:appRecord forIndexPath:indexPath]; } // if a download is deferred or in progress, return a placeholder image cell.imageView.image = [UIImage imageNamed:@"Placeholder.png"]; } else { cell.imageView.image = appRecord.appIcon; } } return cell; } So – my implementation of Apple's LazyTableImages system has one crucial flaw: it starts all downloads for all images immediately. Now, if I remove this line: //[self startIconDownload:appRecord forIndexPath:indexPath]; Then the system behaves exactly like you would expect: new images load as their placeholders scroll into view. However, the initial view cells do not automatically load their images without that prompt in the cell renderer. So, I have a problem: with the prompt in the cell renderer, all images load at once. Without the prompt, the initial view doesn't load. Now, this works fine in Apple sample code, which got me wondering what was going on with mine. It's almost like it was building all cells up front rather than just the 8 or so that would appear within the display. So, I got looking into it, and this is indeed the case... my table is building 250 unique cells! I didn't think the UITableView worked like this, I guess I thought it only built as many items as were needed to populate the table. Is this the case, or is it correct that it would build all 250 cells up front? Also – related question: I've tried to compare my implementation against the Apple LazyTableImages sample, but have discovered that NSLog appears to be disabled within the Apple sample code (which makes direct behavior comparisons extremely difficult). Is that just a simple publish setting somewhere, or has Apple somehow locked down their samples so that you can't log output at runtime? Thanks!

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  • Displaying unnecessary HTML when showing content from MySQL database.

    - by ThatMacLad
    My homepage pulls in content from my MySQL database to create a blog. I've got it so that it only displays an extract from the posts. For some reason it displays HTML tags as well rather than formatting it using the tags (See picture below). Any help is appreciated. Homepage: <html> <head> <title>Ultan Casey | Homepage</title> <link rel="stylesheet" href="css/style.css" type="text/css" /> </head> <body> <div class="wrapper"> <div id="upperbar"> <a href="#">Home</a> <a href="#">About Me</a> <a href="#">Contact Me</a> <a href="http://www.twitter.com/UltanKC">Twitter</a> <form id="search-form" action="/search" method="get"> <input type="text" id="textarea" size="33" name="q" value=""/> <input type="submit" id="submit" value="Search"/> </form> </div> <div id="banner"> <img src="images/banner.jpg"> </div> <div class="sidebar"></div> <div class="posts"> <?php mysql_connect ('localhost', 'root', 'root') ; mysql_select_db ('tmlblog'); $sql = "SELECT * FROM php_blog ORDER BY timestamp DESC LIMIT 5"; $result = mysql_query($sql) or print ("Can't select entries from table php_blog.<br />" . $sql . "<br />" . mysql_error()); while($row = mysql_fetch_array($result)) { $date = date("l F d Y", $row['timestamp']); $title = stripslashes($row['title']); $entry = stripslashes($row['entry']); $id = $row['id']; ?> <?php echo "<p id='title'><strong><a href=\"post.php?id=". $id . "\">" . $title . "</a></strong></p>"; ?><br /> <div class="post-thumb"><img src="thumbs/<?php echo $id ?>.png"></div> <?php echo htmlspecialchars(substr($entry, 0, 1050)) ?>... <br> <hr><br /> Posted on <?php echo $date; ?> </p> </div> </div> </p <?php } ?> </div> </div> </div> </body> </html> Image:

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