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  • Is there a way to delay compilation of a stored procedure's execution plan?

    - by Ian Henry
    (At first glance this may look like a duplicate of http://stackoverflow.com/questions/421275 or http://stackoverflow.com/questions/414336, but my actual question is a bit different) Alright, this one's had me stumped for a few hours. My example here is ridiculously abstracted, so I doubt it will be possible to recreate locally, but it provides context for my question (Also, I'm running SQL Server 2005). I have a stored procedure with basically two steps, constructing a temp table, populating it with very few rows, and then querying a very large table joining against that temp table. It has multiple parameters, but the most relevant is a datetime "@MinDate." Essentially: create table #smallTable (ID int) insert into #smallTable select (a very small number of rows from some other table) select * from aGiantTable inner join #smallTable on #smallTable.ID = aGiantTable.ID inner join anotherTable on anotherTable.GiantID = aGiantTable.ID where aGiantTable.SomeDateField > @MinDate If I just execute this as a normal query, by declaring @MinDate as a local variable and running that, it produces an optimal execution plan that executes very quickly (first joins on #smallTable and then only considers a very small subset of rows from aGiantTable while doing other operations). It seems to realize that #smallTable is tiny, so it would be efficient to start with it. This is good. However, if I make that a stored procedure with @MinDate as a parameter, it produces a completely inefficient execution plan. (I am recompiling it each time, so it's not a bad cached plan...at least, I sure hope it's not) But here's where it gets weird. If I change the proc to the following: declare @LocalMinDate datetime set @LocalMinDate = @MinDate --where @MinDate is still a parameter create table #smallTable (ID int) insert into #smallTable select (a very small number of rows from some other table) select * from aGiantTable inner join #smallTable on #smallTable.ID = aGiantTable.ID inner join anotherTable on anotherTable.GiantID = aGiantTable.ID where aGiantTable.SomeDateField > @LocalMinDate Then it gives me the efficient plan! So my theory is this: when executing as a plain query (not as a stored procedure), it waits to construct the execution plan for the expensive query until the last minute, so the query optimizer knows that #smallTable is small and uses that information to give the efficient plan. But when executing as a stored procedure, it creates the entire execution plan at once, thus it can't use this bit of information to optimize the plan. But why does using the locally declared variables change this? Why does that delay the creation of the execution plan? Is that actually what's happening? If so, is there a way to force delayed compilation (if that indeed is what's going on here) even when not using local variables in this way? More generally, does anyone have sources on when the execution plan is created for each step of a stored procedure? Googling hasn't provided any helpful information, but I don't think I'm looking for the right thing. Or is my theory just completely unfounded? Edit: Since posting, I've learned of parameter sniffing, and I assume this is what's causing the execution plan to compile prematurely (unless stored procedures indeed compile all at once), so my question remains -- can you force the delay? Or disable the sniffing entirely? The question is academic, since I can force a more efficient plan by replacing the select * from aGiantTable with select * from (select * from aGiantTable where ID in (select ID from #smallTable)) as aGiantTable Or just sucking it up and masking the parameters, but still, this inconsistency has me pretty curious.

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  • Representing complex scheduled reoccurance in a database

    - by David Pfeffer
    I have the interesting problem of representing complex schedule data in a database. As a guideline, I need to be able to represent the entirety of what the iCalendar -- ics -- format can represent, but in a database. I'm not actually implementing anything relating to ics, but it gives a good scope of the type of rules I need to be able to model. I need to allow allow representation of a single event or a reoccurring event based on multiple times per day, days of the week, week of a month, month, year, or some combination of those. For example, the third Thursday in November annually, or the 25th of December annually, or every two weeks starting November 2 and continuing until September 8 the following year. I don't care about insertion efficiency but query efficiency is critical. The operation I will be doing most often is providing either a single date/time or a date/time range, and trying to determine if the defined schedule matches any part of the date/time range. Other operations can be slower. For example, given January 15, 2010 at 10:00 AM through January 15, 2010 at 11:00 AM, find all schedules that match at least part of that time. (i.e. a schedule that covers 10:30 - 11:00 still matches.) Any suggestions? I looked at http://stackoverflow.com/questions/1016170/how-would-one-represent-scheduled-events-in-an-rdbms but it doesn't cover the scope of the type of reoccurance rules I'd like to model.

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  • What does this structure actually do?

    - by LGTrader
    I found this structure code in a Julia Set example from a book on CUDA. I'm a newbie C programmer and cannot get my head around what it's doing, nor have I found the right thing to read on the web to clear it up. Here's the structure: struct cuComplex { float r; float i; cuComplex( float a, float b ) : r(a), i(b) {} float magnitude2( void ) { return r * r + i * i; } cuComplex operator*(const cuComplex& a) { return cuComplex(r*a.r - i*a.i, i*a.r + r*a.i); } cuComplex operator+(const cuComplex& a) { return cuComplex(r+a.r, i+a.i); } }; and it's called very simply like this: cuComplex c(-0.8, 0.156); cuComplex a(jx, jy); int i = 0; for (i=0; i<200; i++) { a = a * a + c; if (a.magnitude2() > 1000) return 0; } return 1; So, the code did what? Defined something of structure type 'cuComplex' giving the real and imaginary parts of a number. (-0.8 & 0.156) What is getting returned? (Or placed in the structure?) How do I work through the logic of the operator stuff in the struct to understand what is actually calculated and held there? I think that it's probably doing recursive calls back into the stucture float magnitude2 (void) { return return r * r + i * i; } probably calls the '*' operator for r and again for i, and then the results of those two operations call the '+' operator? Is this correct and what gets returned at each step? Just plain confused. Thanks!

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  • Accelerometer gravity components

    - by Dvd
    Hi, I know this question is definitely solved somewhere many times already, please enlighten me if you know of their existence, thanks. Quick rundown: I want to compute from a 3 axis accelerometer the gravity component on each of these 3 axes. I have used 2 axes free body diagrams to work out the accelerometer's gravity component in the world X-Z, Y-Z and X-Y axes. But the solution seems slightly off, it's acceptable for extreme cases when only 1 accelerometer axis is exposed to gravity, but for a pitch and roll of both 45 degrees, the combined total magnitude is greater than gravity (obtained by Xa^2+Ya^2+Za^2=g^2; Xa, Ya and Za are accelerometer readings in its X, Y and Z axis). More detail: The device is a Nexus One, and have a magnetic field sensor for azimuth, pitch and roll in addition to the 3-axis accelerometer. In the world's axis (with Z in the same direction as gravity, and either X or Y points to the north pole, don't think this matters much?), I assumed my device has a pitch (P) on the Y-Z axis, and a roll (R) on the X-Z axis. With that I used simple trig to get: Sin(R)=Ax/Gxz Cos(R)=Az/Gxz Tan(R)=Ax/Az There is another set for pitch, P. Now I defined gravity to have 3 components in the world's axis, a Gxz that is measurable only in the X-Z axis, a Gyz for Y-Z, and a Gxy for X-Y axis. Gxz^2+Gyz^2+Gxy^2=2*G^2 the 2G is because gravity is effectively included twice in this definition. Oh and the X-Y axis produce something more exotic... I'll explain if required later. From these equations I obtained a formula for Az, and removed the tan operations because I don't know how to handle tan90 calculations (it's infinity?). So my question is, anyone know whether I did this right/wrong or able to point me to the right direction? Thanks! Dvd

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  • "Session is Closed!" - NHibernate

    - by Alexis Abril
    This is in a web application environment: An initial request is able to successfully complete, however any additional requests return a "Session is Closed" response from the NHibernate framework. I'm using a HttpModule approach with the following code: public class MyHttpModule : IHttpModule { public void Init(HttpApplication context) { context.EndRequest += ApplicationEndRequest; context.BeginRequest += ApplicationBeginRequest; } public void ApplicationBeginRequest(object sender, EventArgs e) { CurrentSessionContext.Bind(SessionFactory.Instance.OpenSession()); } public void ApplicationEndRequest(object sender, EventArgs e) { ISession currentSession = CurrentSessionContext.Unbind( SessionFactory.Instance); currentSession.Dispose(); } public void Dispose() { } } SessionFactory.Instance is my singleton implementation, using FluentNHibernate to return an ISessionFactory object. In my repository class, I attempt to use the following syntax: public class MyObjectRepository : IMyObjectRepository { public MyObject GetByID(int id) { using (ISession session = SessionFactory.Instance.GetCurrentSession()) return session.Get<MyObject>(id); } } This allows code in the application to be called as such: IMyObjectRepository repo = new MyObjectRepository(); MyObject obj = repo.GetByID(1); I have a suspicion my repository code is to blame, but I'm not 100% sure on the actual implementation I should be using. I found a similar issue on SO here. I too am using WebSessionContext in my implementation, however, no solution was provided other than writing a custom SessionManager. For simple CRUD operations, is a custom session provider required apart from the built in tools(ie WebSessionContext)?

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  • Is my objective possible using WCF (and is it the right way to do things?)

    - by David
    I'm writing some software that modifies a Windows Server's configuration (things like MS-DNS, IIS, parts of the filesystem). My design has a server process that builds an in-memory object graph of the server configuration state and a client which requests this object graph. The server would then serialize the graph, send it to the client (presumably using WCF), the server then makes changes to this graph and sends it back to the server. The server receives the graph and proceeds to make modifications to the server. However I've learned that object-graph serialisation in WCF isn't as simple as I first thought. My objects have a hierarchy and many have parametrised-constructors and immutable properties/fields. There are also numerous collections, arrays, and dictionaries. My understanding of WCF serialisation is that it requires use of either the XmlSerializer or DataContractSerializer, but DCS places restrictions on the design of my object-graph (immutable data seems right-out, it also requires parameter-less constructors). I understand XmlSerializer lets me use my own classes provided they implement ISerializable and have the de-serializer constructor. That is fine by me. I spoke to a friend of mine about this, and he advocates going for a Data Transport Object-only route, where I'd have to maintain a separate DataContract object-graph for the transport of data and re-implement my server objects on the client. Another friend of mine said that because my service only has two operations ("GetServerConfiguration" and "PutServerConfiguration") it might be worthwhile just skipping WCF entirely and implementing my own server that uses Sockets. So my questions are: Has anyone faced a similar problem before and if so, are there better approaches? Is it wise to send an entire object graph to the client for processing? Should I instead break it down so that the client requests a part of the object graph as it needs it and sends only bits that have changed (thus reducing concurrency-related risks?)? If sending the object-graph down is the right way, is WCF the right tool? And if WCF is right, what's the best way to get WCF to serialise my object graph?

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  • SL3 Nav framework + MVVM ligh

    - by Murari
    Hi All, Thanks for taking time to read through my question. Any guidance is really appreciated. I am using SL3 Navigation framework in my LOB application. I m currently using MVVM Light as the framework guidance. I have a datagrid consisting of employees and when the "user" clicks on "employee id link" in the datagrid, i am transferring the user to "Edit Page". I would like to transfer the "employee id" as query parameter to "edit page". The issue here is: I can access the query parameter in the EditStaffView.xaml.cs - which i don't want to do. protected override void OnNavigatedTo(NavigationEventArgs e) { if (this.NavigationContext.QueryString.ContainsKey("staffcode")) { string title = this.NavigationContext.QueryString["staffcode"]; } } I would like to retrieve the query parameter in my viewmodel and based on the query parameter, i will perform certain operations. When the constructor is called I would like the "view" to pass the staffid as shown below public EditStaffViewModel(int staffId) { LoadData(staffId); } I am constructing my hyperlink buttons in the datagrid dyanmically as shown below: staffListingModel.HyperlinkNavigationUri = string.Format("{0}{1}", NavigationUri.DataEntryEditStaff,"?staffcode={" + staffListingModel.StaffCode + "}"); and XAML looks HyperlinkButton Content="{Binding StaffCode,Mode=TwoWay}" NavigateUri="{Binding HyperlinkNavigationUri}" HyperlinkButton Any idea how to do this ?? Thanks for the help. Murari

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  • .NET multithreading, volatile and memory model

    - by fedor-serdukov
    Assume that we have the following code: class Program { static volatile bool flag1; static volatile bool flag2; static volatile int val; static void Main(string[] args) { for (int i = 0; i < 10000 * 10000; i++) { if (i % 500000 == 0) { Console.WriteLine("{0:#,0}",i); } flag1 = false; flag2 = false; val = 0; Parallel.Invoke(A1, A2); if (val == 0) throw new Exception(string.Format("{0:#,0}: {1}, {2}", i, flag1, flag2)); } } static void A1() { flag2 = true; if (flag1) val = 1; } static void A2() { flag1 = true; if (flag2) val = 2; } } } It's fault! The main quastion is Why... I suppose that CPU reorder operations with flag1 = true; and if(flag2) statement, but variables flag1 and flag2 marked as volatile fields...

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  • C++ boost mpl vector

    - by Gokul
    I understand that the following code won't work, as i is a runtime parameter and not a compile time parameter. But i want to know, whether there is a way to achieve the same. i have a list of classes and i need to call a template function, with each of these classes. void GucTable::refreshSessionParams() { typedef boost::mpl::vector< SessionXactDetails, SessionSchemaInfo > SessionParams; for( int i = 0; i < boost::mpl::size<SessionParams>::value; ++i ) boost::mpl::at<SessionParams, i>::type* sparam = g_getSessionParam< boost::mpl::at<SessionParams, i>::type >(); sparam->updateFromGucTable(this); } } Can someone suggest me a easy and elegant way to perform the same? i need to iterate through the mpl::vector and use the type to call a global function and then use that parameter to do some run-time operations. Thanks in advance, Gokul. Working code typedef boost::mpl::vector< SessionXactDetails, SessionSchemaInfo > SessionParams; class GucSessionIterator { private: GucTable& m_table; public: GucSessionIterator(GucTable& table) :m_table(table) { } template< typename U > void operator()(const U& ) { g_getSessionParam<U>()->updateFromGucTable(m_table); } }; void GucTable::refreshSessionParams() { boost::mpl::for_each< SessionParams >( GucSessionIterator(*this) ); return; }

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  • How can I provide users with the functionality of the DBUnit DatabaseOperation methods from a web in

    - by reckoner
    I am currently updating a java-based web application which allows database developers to create stored procedure regression test suites for database testing. Currently, for test setup, execution and clean-up stages, the user is provided with text boxes where they are able to enter SQL code which is executed by the isql command. I would like to extend the application to use DB Unit’s DatabaseOperation methods to provide more ways to setup the state of the database than just SQL statements. The main reason for using Db Unit rather than just SQL statements is to be able to create and store xml and xls DataSets on a server where they can be associated with their test cases and used for data setup. My question is: How can I provide users with the functionality of the DBUnit DatabaseOperation methods from a web interface? I have considered: Creating a simple programming language and a parser to read some simple syntax involving the DB Unit method names which accept a parameter being the file location to an xml or xls DataSet. I was thinking of allowing the user to register the files they need with the web app which would catalogue them and provide each file with an identifier which could passed as a parameter to the methods in this simple programming language. Creating an XML DTD which provides the user with the ability to specify operations and parameters. If I went this approach, how can I execute the methods and their parameters that I parse from the XML document? Creating a table in the database which stores the method and a FK relation to a catalogued DataSet file, however I don’t think this would be good solution due to the fact that data entry would be tedious. Thanks for your help.

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  • What am I doing wrong with this use of StructLayout( LayoutKind.Explicit ) when calling a PInvoke st

    - by csharptest.net
    The following is a complete program. It works fine as long as you don't uncomment the '#define BROKEN' at the top. The break is due to a PInvoke failing to marshal a union correctly. The INPUT_RECORD structure in question has a number of substructures that might be used depending on the value in EventType. What I don't understand is that when I define only the single child structure of KEY_EVENT_RECORD it works with the explicit declaration at offset 4. But when I add the other structures at the same offset the structure's content get's totally hosed. //UNCOMMENT THIS LINE TO BREAK IT: //#define BROKEN using System; using System.Runtime.InteropServices; class ConIOBroken { static void Main() { int nRead = 0; IntPtr handle = GetStdHandle(-10 /*STD_INPUT_HANDLE*/); Console.Write("Press the letter: 'a': "); INPUT_RECORD record = new INPUT_RECORD(); do { ReadConsoleInputW(handle, ref record, 1, ref nRead); } while (record.EventType != 0x0001/*KEY_EVENT*/); Assert.AreEqual((short)0x0001, record.EventType); Assert.AreEqual(true, record.KeyEvent.bKeyDown); Assert.AreEqual(0x00000000, record.KeyEvent.dwControlKeyState & ~0x00000020);//strip num-lock and test Assert.AreEqual('a', record.KeyEvent.UnicodeChar); Assert.AreEqual((short)0x0001, record.KeyEvent.wRepeatCount); Assert.AreEqual((short)0x0041, record.KeyEvent.wVirtualKeyCode); Assert.AreEqual((short)0x001e, record.KeyEvent.wVirtualScanCode); } static class Assert { public static void AreEqual(object x, object y) { if (!x.Equals(y)) throw new ApplicationException(); } } [DllImport("Kernel32.dll", CharSet = CharSet.Unicode, SetLastError = true)] public static extern IntPtr GetStdHandle(int nStdHandle); [DllImport("Kernel32.dll", CharSet = CharSet.Unicode, SetLastError = true)] public static extern bool ReadConsoleInputW(IntPtr hConsoleInput, ref INPUT_RECORD lpBuffer, int nLength, ref int lpNumberOfEventsRead); [StructLayout(LayoutKind.Explicit)] public struct INPUT_RECORD { [FieldOffset(0)] public short EventType; //union { [FieldOffset(4)] public KEY_EVENT_RECORD KeyEvent; #if BROKEN [FieldOffset(4)] public MOUSE_EVENT_RECORD MouseEvent; [FieldOffset(4)] public WINDOW_BUFFER_SIZE_RECORD WindowBufferSizeEvent; [FieldOffset(4)] public MENU_EVENT_RECORD MenuEvent; [FieldOffset(4)] public FOCUS_EVENT_RECORD FocusEvent; //} #endif } [StructLayout(LayoutKind.Sequential)] public struct KEY_EVENT_RECORD { public bool bKeyDown; public short wRepeatCount; public short wVirtualKeyCode; public short wVirtualScanCode; public char UnicodeChar; public int dwControlKeyState; } [StructLayout(LayoutKind.Sequential)] public struct MOUSE_EVENT_RECORD { public COORD dwMousePosition; public int dwButtonState; public int dwControlKeyState; public int dwEventFlags; }; [StructLayout(LayoutKind.Sequential)] public struct WINDOW_BUFFER_SIZE_RECORD { public COORD dwSize; } [StructLayout(LayoutKind.Sequential)] public struct MENU_EVENT_RECORD { public int dwCommandId; } [StructLayout(LayoutKind.Sequential)] public struct FOCUS_EVENT_RECORD { public bool bSetFocus; } [StructLayout(LayoutKind.Sequential)] public struct COORD { public short X; public short Y; } } UPDATE: For those worried about the struct declarations themselves: bool is treated as a 32-bit value the reason for offset(4) on the data is to allow for the 32-bit structure alignment which prevents the union from beginning at offset 2. Again, my problem isn't making PInvoke work at all, it's trying to figure out why these additional structures (supposedly at the same offset) are fowling up the data by simply adding them.

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  • Sparse (Pseudo) Infinite Grid Data Structure for Web Game

    - by Ming
    I'm considering trying to make a game that takes place on an essentially infinite grid. The grid is very sparse. Certain small regions of relatively high density. Relatively few isolated nonempty cells. The amount of the grid in use is too large to implement naively but probably smallish by "big data" standards (I'm not trying to map the Internet or anything like that) This needs to be easy to persist. Here are the operations I may want to perform (reasonably efficiently) on this grid: Ask for some small rectangular region of cells and all their contents (a player's current neighborhood) Set individual cells or blit small regions (the player is making a move) Ask for the rough shape or outline/silhouette of some larger rectangular regions (a world map or region preview) Find some regions with approximately a given density (player spawning location) Approximate shortest path through gaps of at most some small constant empty spaces per hop (it's OK to be a bad approximation often, but not OK to keep heading the wrong direction searching) Approximate convex hull for a region Here's the catch: I want to do this in a web app. That is, I would prefer to use existing data storage (perhaps in the form of a relational database) and relatively little external dependency (preferably avoiding the need for a persistent process). Guys, what advice can you give me on actually implementing this? How would you do this if the web-app restrictions weren't in place? How would you modify that if they were? Thanks a lot, everyone!

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  • How to handle dynamic role or username changes in JSF?

    - by roadrunner
    I have a JSF application running on glassfish 2.1 with a EJB 3 backend. For authentication I use a custom realm. The user authenticates using the e-mail-address and password he specified on registration. Everything is working quite well. Now I have two related problems: 1) The user can edit his profile and -- naturally -- he can also change his e-mail-address. Unfortunately when I perform operations based on the current user's identity using ExternalContext.getUserPrincipal().getName(), I will receive the previous e-mail-address the user used on login. At the moment I handle this by forcing the user to reauthenticate after he changed his e-mail-address, but is there another more graceful possibility? 2) Same for user roles. E.g. I have the user roles MEMBER and PREMIUM_MEMBER. A MEMBER may become a PREMIUM_MEMBER during his current session. Unfortunately the role seems to be only determined at login. Is there any possibility, that JSF and EJB recognize the new user role without the need for the user to re-authenticated?

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  • Which source control paradigm and solution to embed in a custom editor application?

    - by Greg Harman
    I am building an application that manages a number of custom objects, which may be edited concurrently by multiple users (using different instances of the application). These objects have an underlying serialized representation, and my plan is to persist them (through my application UI) in an external source control system. Of course this implies that my application can check the current version of an object for updates, a merging interface for each object, etc. My question is what source control paradigm(s) and specific solution(s) to support and why. The way I (perhaps naively) see the source control world is three general paradigms: Single-repository, locked access (MS SourceSafe) Single-repository, concurrent access (CVS/SVN) Distributed (Mercurial, Git) I haven't heard of anyone using #1 for quite a number of years, so I am planning to disregard this case altogether (unless I get a compelling argument otherwise). However, I'm at a loss as to whether to support #2 or #3, and which specific implementations. I'm concerned that the use paradigms are subtly different enough that I can't adequately capture basic operations in a single UI. The last bit of information I should convey is that this application is intended to be deployed in a commercial setting, where a source control system may already be in use. I would prefer not to support more than one solution unless it's really a deal-breaker, so wide adoption in a corporate setting is a plus.

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  • Pseudo-quicksort time complexity

    - by Ord
    I know that quicksort has O(n log n) average time complexity. A pseudo-quicksort (which is only a quicksort when you look at it from far enough away, with a suitably high level of abstraction) that is often used to demonstrate the conciseness of functional languages is as follows (given in Haskell): quicksort :: Ord a => [a] -> [a] quicksort [] = [] quicksort (p:xs) = quicksort [y | y<-xs, y<p] ++ [p] ++ quicksort [y | y<-xs, y>=p] Okay, so I know this thing has problems. The biggest problem with this is that it does not sort in place, which is normally a big advantage of quicksort. Even if that didn't matter, it would still take longer than a typical quicksort because it has to do two passes of the list when it partitions it, and it does costly append operations to splice it back together afterwards. Further, the choice of the first element as the pivot is not the best choice. But even considering all of that, isn't the average time complexity of this quicksort the same as the standard quicksort? Namely, O(n log n)? Because the appends and the partition still have linear time complexity, even if they are inefficient.

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  • Should java try blocks be scoped as tightly as possible?

    - by isme
    I've been told that there is some overhead in using the Java try-catch mechanism. So, while it is necessary to put methods that throw checked exception within a try block to handle the possible exception, it is good practice performance-wise to limit the size of the try block to contain only those operations that could throw exceptions. I'm not so sure that this is a sensible conclusion. Consider the two implementations below of a function that processes a specified text file. Even if it is true that the first one incurs some unnecessary overhead, I find it much easier to follow. It is less clear where exactly the exceptions come from just from looking at statements, but the comments clearly show which statements are responsible. The second one is much longer and complicated than the first. In particular, the nice line-reading idiom of the first has to be mangled to fit the readLine call into a try block. What is the best practice for handling exceptions in a funcion where multiple exceptions could be thrown in its definition? This one contains all the processing code within the try block: void processFile(File f) { try { // construction of FileReader can throw FileNotFoundException BufferedReader in = new BufferedReader(new FileReader(f)); // call of readLine can throw IOException String line; while ((line = in.readLine()) != null) { process(line); } } catch (FileNotFoundException ex) { handle(ex); } catch (IOException ex) { handle(ex); } } This one contains only the methods that throw exceptions within try blocks: void processFile(File f) { FileReader reader; try { reader = new FileReader(f); } catch (FileNotFoundException ex) { handle(ex); return; } BufferedReader in = new BufferedReader(reader); String line; while (true) { try { line = in.readLine(); } catch (IOException ex) { handle(ex); break; } if (line == null) { break; } process(line); } }

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  • Node & Redis: Crucial Design Issues in Production Mode

    - by Ali
    This question is a hybrid one, being both technical and system design related. I'm developing the backend of an application that will handle approx. 4K request per second. We are using Node.js being super fast and in terms of our database struction we are using MongoDB, with Redis being a layer between Node and MongoDB handling volatile operations. I'm quite stressed because we are expecting concurrent requests that we need to handle carefully and we are quite close to launch. However I do not believe I've applied the correct approach on redis. I have a class Student, and they constantly change stages(such as 'active', 'doing homework','in lesson' etc. Thus I created a Redis DB for each state. (1 for being 'active', 2 for being 'doing homework'). Above I have the structure of the 'active' students table; xa5p - JSON stringified object #1 pQrW - JSON stringified object #2 active_student_table - {{studentId:'xa5p'}, {studentId:'pQrW'}} Since there is no 'select all keys method' in Redis, I've been suggested to use a set such that when I run command 'smembers' I receive the keys and later on do 'get' for each id in order to find a specific user (lets say that age older than 15). I've been also suggested that in fact I used never use keys in production mode. My question is, no matter how 'conceptual' it is, what specific things I should avoid doing in Node & Redis in production stage?. Are they any issues related to my design? Students must be objects and I sure can list them in a list but I haven't done yet. Is it that crucial in production stage?

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  • Syncing magento database froms development to production

    - by ringerce
    I use git for version control. I have a development, staging and production environment. When I finish in development I push to staging for review by the client. When approved, I push changes from staging to production. That works fine as long as there is no database changes. What happens if I install modules via Magento connect on local development and it makes database modifications. How would I push those changes up to the production server since the production server is always changing? Edit: I wrote two shell scripts. One that pulls the production database down to my development server, replaces base url with develpment url and updates my development db accordingly. It also leaves the production sql dump behind to be added to my git repo. I'm not really sure if it's beneficial to keep the raw dumps in source control but I'm going to try it out. The second scripts moves the development database up to staging and essentially performs the same operations as the first. Now when it comes time to move to production I pull the updated production repo into the production server and allow magento to do it's thing. I also started using SQLYog recently and it has a database comparison wizard which will give me the differences in my development and production databases and allow me to merge the changes in selectively. It always creates a migration script that I added to source control as well. If anything goes wrong I can run the comparison to see if anything was missed. Does this sounds like a decent workflow to you guys?

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  • How to efficiently store and update binary data in Mongodb?

    - by Rocketman
    I am storing a large binary array within a document. I wish to continually add bytes to this array and sometimes change the value of existing bytes. I was looking for some $append_bytes and $replace_bytes type of modifiers but it appears that the best I can do is $push for arrays. It seems like this would be doable by performing seek-write type operations if I had access somehow to the underlying bson on disk, but it does not appear to me that there is anyway to do this in mongodb (and probably for good reason). If I were instead to just query this binary array, edit or add to it, and then update the document by rewriting the entire field, how costly will this be? Each binary array will be on the order of 1-2MB, and updates occur once every 5 minutes and across 1000s of documents. Worse, yet there is no easy way to spread these out (in time) and they will usually be happening close to one another on the 5 minute intervals. Does anyone have a good feel for how disastrous this will be? Seems like it would be problematic. An alternative would be to store this binary data as separate files on disk, implement a thread pool to efficiently manipulate the files on disk, and reference the filename from my mongodb document. (I'm using python and pymongo so I was looking at pytables). I'd prefer to avoid this though if possible. Is there any other alternative that I am overlooking here? Thanks in advnace.

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  • What can cause my code to run slower when the server JIT is activated?

    - by durandai
    I am doing some optimizations on an MPEG decoder. To ensure my optimizations aren't breaking anything I have a test suite that benchmarks the entire codebase (both optimized and original) as well as verifying that they both produce identical results (basically just feeding a couple of different streams through the decoder and crc32 the outputs). When using the "-server" option with the Sun 1.6.0_18, the test suite runs about 12% slower on the optimized version after warmup (in comparison to the default "-client" setting), while the original codebase gains a good boost running about twice as fast as in client mode. While at first this seemed to be simply a warmup issue to me, I added a loop to repeat the entire test suite multiple times. Then execution times become constant for each pass starting at the 3rd iteration of the test, still the optimized version stays 12% slower than in the client mode. I am also pretty sure its not a garbage collection issue, since the code involves absolutely no object allocations after startup. The code consists mainly of some bit manipulation operations (stream decoding) and lots of basic floating math (generating PCM audio). The only JDK classes involved are ByteArrayInputStream (feeds the stream to the test and excluding disk IO from the tests) and CRC32 (to verify the result). I also observed the same behaviour with Sun JDK 1.7.0_b98 (only that ist 15% instead of 12% there). Oh, and the tests were all done on the same machine (single core) with no other applications running (WinXP). While there is some inevitable variation on the measured execution times (using System.nanoTime btw), the variation between different test runs with the same settings never exceeded 2%, usually less than 1% (after warmup), so I conclude the effect is real and not purely induced by the measuring mechanism/machine. Are there any known coding patterns that perform worse on the server JIT? Failing that, what options are available to "peek" under the hood and observe what the JIT is doing there?

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  • Ruby Design Problem for SQL Bulk Inserter

    - by crunchyt
    This is a Ruby design problem. How can I make a reusable flat file parser that can perform different data scrubbing operations per call, return the emitted results from each scrubbing operation to the caller and perform bulk SQL insertions? Now, before anyone gets narky/concerned, I have written this code already in a very unDRY fashion. Which is why I am asking any Ruby rockstars our there for some assitance. Basically, everytime I want to perform this logic, I create two nested loops, with custom processing in between, buffer each processed line to an array, and output to the DB as a bulk insert when the buffer size limit is reached. Although I have written lots of helpers, the main pattern is being copy pasted everytime. Not very DRY! Here is a Ruby/Pseudo code example of what I am repeating. lines_from_file.each do |line| line.match(/some regex/).each do |sub_str| # Process substring into useful format # EG1: Simple gsub() call # EG2: Custom function call to do complex scrubbing # and matching, emitting results to array # EG3: Loop to match opening/closing/nested brackets # or other delimiters and emit results to array end # Add processed lines to a buffer as SQL insert statement @buffer << PREPARED INSERT STATEMENT # Flush buffer when "buffer size limit reached" or "end of file" if sql_buffer_full || last_line_reached @dbc.insert(SQL INSERTS FROM BUFFER) @buffer = nil end end I am familiar with Proc/Lambda functions. However, because I want to pass two separate procs to the one function, I am not sure how to proceed. I have some idea about how to solve this, but I would really like to see what the real Rubyists suggest? Over to you. Thanks in advance :D

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  • Looking for all-in-one drm/installer/CD creation kit.

    - by user30997
    The company I work for has a download manager in place that handles distribution, DRM, installation of our products - when a user gets them off our website. However, we're using an clunky system for packaging and protecting our products when we do press releases or make retail CDs. Part of the antiquation problem is the fact that the automated system that works with the installer- and DRM-creation software we have is a disaster that needs to be put out of my misery. The list of products that we currently produce, that I would like a new system MUST be capable of producing: Retail CDs, with a certain level of obfuscation to make copying difficult. Downloadable installers that time out after a few hours of use of the product. After the time has expired, removing and reinstalling the product will leave you still blocked from use. Installers that will fail to work after a certain date. I'd love to be able to just feed a tool the directory where a complete product resides and have the installer generated with a couple command-line operations. (The command-line issue is non-negotiable this well be called by an automated tool.) A single-solution package would be far preferable. Software with royalty-based or per-unit based licensing is not an option.

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  • Proftpd log issue

    - by ggenov
    Hi, I'm developing an application where I read the current changes in certain folders on the server via FTP. The problem is that on files which begin with non-standart symbols as "~" the FTP server doesn't write full path name in the log Here is a part of my log: myuser [14/Jun/2010:20:50:11 +0000] ::ffff:217.145.84.66 [STOR] [/home/myuser/public_html/galleries/~ajax-loader.gif] myuser [14/Jun/2010:20:50:11 +0000] ::ffff:217.145.84.66 [MFMT] [-] myuser [14/Jun/2010:20:50:11 +0000] ::ffff:217.145.84.66 [MLST] [-] myuser [14/Jun/2010:23:50:11 +0300] ::ffff:217.145.84.66 [MLST] [-] myuser [14/Jun/2010:20:50:11 +0000] ::ffff:217.145.84.66 [MLST] [-] myuser [14/Jun/2010:20:50:12 +0000] ::ffff:217.145.84.66 [PASV] [-] myuser [14/Jun/2010:20:50:12 +0000] ::ffff:217.145.84.66 [STOR] [/home/myuser/public_html/galleries/~~ajax-loader.gif                                                                                            ] myuser [14/Jun/2010:20:50:12 +0000] ::ffff:217.145.84.66 [MFMT] [-] myuser [14/Jun/2010:20:50:12 +0000] ::ffff:217.145.84.66 [MLST] [-] myuser [14/Jun/2010:23:50:12 +0300] ::ffff:217.145.84.66 [MLST] [-] myuser [14/Jun/2010:23:50:22 +0300] ::ffff:217.145.84.66 [DELE] [] As you can see, all operations work very well except [DELE] command. My proftpd.conf file and its log's settings: LogFormat               default "%U %t %a [%m] [%f]" ExtendedLog             /var/log/proftpd ALL default #SystemLog               /var/log/proftpd ALL default #TransferLog             /var/log/proftpd ALL default Does anybody have a solution for this issue ?

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  • Extracting noun+noun or (adj|noun)+noun from Text

    - by ssuhan
    I would like to query if it is possible to extract noun+noun or (adj|noun)+noun in R package openNLP?That is, I would like to use linguistic filtering to extract candidate noun phrases. Could you direct me how to do? Many thanks. Thanks for the responses. here is the code: library("openNLP") acq <- "Gulf Applied Technologies Inc said it sold its subsidiaries engaged in pipeline and terminal operations for 12.2 mln dlrs. The company said the sale is subject to certain post closing adjustments, which it did not explain. Reuter." acqTag <- tagPOS(acq) acqTagSplit = strsplit(acqTag," ") acqTagSplit qq = 0 tag = 0 for (i in 1:length(acqTagSplit[[1]])){ qq[i] <-strsplit(acqTagSplit[[1]][i],'/') tag[i] = qq[i][[1]][2] } index = 0 k = 0 for (i in 1:(length(acqTagSplit[[1]])-1)) { if ((tag[i] == "NN" && tag[i+1] == "NN") | (tag[i] == "NNS" && tag[i+1] == "NNS") | (tag[i] == "NNS" && tag[i+1] == "NN") | (tag[i] == "NN" && tag[i+1] == "NNS") | (tag[i] == "JJ" && tag[i+1] == "NN") | (tag[i] == "JJ" && tag[i+1] == "NNS")){ k = k +1 index[k] = i } } index Reader can refer index on acqTagSplit to do noun+noun or (adj|noun)+noun extractation. (The code is not optimum but work. If you have any idea, please let me know.) Furthermore, I still have a problem. Justeson and Katz (1995) proposed another linguistic filtering to extract candidate noun phrases: ((Adj|Noun)+|((Adj|Noun)(Noun-Prep)?)(Adj|Noun))Noun I cannot well understand its meaning, could someone do me a favor to explain it or transform such representation into R language

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  • Delphi Pascal / Windows API - Small problem with SetFilePointerEx and parameter FILE_END

    - by SuicideClutchX2
    I know I am about to be slapped by at least one person who was helping me with this API. Alright I have been able to use SetFilePointerEx just fine, when setting the position only. SetFilePointerEx(PD,512,@PositionVar,FILE_BEGIN); SetFilePointerEx(PD,0,@PositionVar,FILE_CURRENT); Both work, I can set positions and even check my current one. But when I set FILE_END as per the documentation no matter what the second parameter is and whether or not i provide a pointer for the third parameter it fails even on a valid handle that many other operations are able to use without fail. For Example: SetFailed := SetFilePointerEx(PD,0,@PositionVar,FILE_END); SetFailed := SetFilePointerEx(PD,0,nil,FILE_END); Whatever I put it fails. I am working with a handle to a physical disk and it most definitely has an end. SetFilePointer works just fine its just a little more trouble than I would like. Its not the end of the world, but whats happening.

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